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between 179 and 168 BC, proved unable to stop the advancing Roman legions and Macedon's defeat at the Battle of Pydna signaled the end of the dynasty. Dynasty The ruling members of the Antigonid dynasty were: The Greek rebel against Rome and last King of Macedonia, Andriscus, claimed to be the son of Perseus. Family tree of Antigonids Coin gallery See also List of kings of Macedon References Further reading Adams, Winthrop Lindsay. 2010. "Alexander's Successors to 221 BC." In A Companion to Ancient Macedonia. Edited by Joseph Roisman and Ian Worthington, 208–224. Malden, MA: Wiley-Blackwell. Anson, Edward M. 2014. Alexander's Heirs: The Age of the Successors. Malden, MA: Wiley-Blackwell. Edson, Charles F. 1934. "The Antigonids, Heracles, and Beroia." Harvard Studies in Classical
last scion of the dynasty, Perseus of Macedon, who reigned between 179 and 168 BC, proved unable to stop the advancing Roman legions and Macedon's defeat at the Battle of Pydna signaled the end of the dynasty. Dynasty The ruling members of the Antigonid dynasty were: The Greek rebel against Rome and last King of Macedonia, Andriscus, claimed to be the son of Perseus. Family tree of Antigonids Coin gallery See also List of kings of Macedon References Further reading Adams, Winthrop Lindsay. 2010. "Alexander's Successors to 221 BC." In A Companion to Ancient Macedonia. Edited by Joseph Roisman and Ian Worthington, 208–224. Malden, MA: Wiley-Blackwell. Anson, Edward M. 2014. Alexander's Heirs: The Age of the Successors. Malden, MA: Wiley-Blackwell. Edson, Charles F. 1934. "The Antigonids, Heracles, and Beroia." Harvard Studies in Classical Philology 45:213–246. O'Neil, James L. 2003. "The Ethnic Origins of the Friends of the Antigonid Kings of Macedon." The Classical Quarterly 53, no. 2: 510–22.
Abingdon, Maryland Abingdon, Virginia Abingdon (plantation), Virginia Other countries Abingdon Downs, Queensland, Australia Abingdon Airport Abingdon, Ontario, Canada Abingdon Island, Galapagos Islands, Ecuador Other uses Abingdon (1902 automobile)
Islands, Ecuador Other uses Abingdon (1902 automobile) Abingdon (1922 automobile) Abingdon Motorcycles, a former British motorcycle manufacturer Abingdon Press, publishing house of the United Methodist Church Abingdon School, in Abingdon, England Earl of Abingdon, a title in
of the Presbyterian Covenanters. Those who would not swear "whether they have arms, or not" could be "immediately killed" by field trial "before two witnesses" on a charge of high treason. John Brown was included among those executed in this judicial process by John Graham (Bluidy Clavers) on 1 May 1685. The wives and children of such men could also be put out of their houses if they had spoken to the suspect or refused the oath themselves. Great Britain and Ireland In England (and after 1707 Great Britain) the Oath of Abjuration denied the royal title of James II's heirs (i.e. the direct Catholic descendant of the House of Stuart exiled after the Glorious Revolution in 1688). In England, an Oath of Abjuration was taken by Members of Parliament, clergy, and laymen, pledging to support the current British monarch and repudiated the right of the Stuarts and other claimants to the throne. This oath was imposed under William III, George I and George III. It was superseded by the oath of allegiance. In Ireland, the oath was imposed of state officeholders, teachers, lawyers, and on the clergy of the established church in
or some other right or privilege. The term comes from the Latin abjurare, "to forswear". Abjuration of the realm Abjuration of the realm was a type of abjuration in ancient English law. The person taking the oath swore to leave the country directly and promptly, never to return to the kingdom unless by permission of the sovereign. This was often taken by fugitives who had taken sanctuary: English Commonwealth Near the start of the English Civil War, on 18 August 1643 Parliament passed "An Ordinance for Explanation of a former Ordinance for Sequestration of Delinquents Estates with some Enlargements." The enlargements included an oath which became known as the "Oath of Abjuration": In 1656–7, it was reissued in what was for Catholics an even more objectionable form. Everyone was to be "adjudged a Papist" who refused this oath, and the consequent penalties began with the confiscation of two-thirds of the recusant's goods, and went on to deprive him of almost every civic right. The Catholic Encyclopaedia makes the point that the oath and the penalties were so severe that it stopped the efforts of the Gallicanizing party among the English Catholics, who had been ready to offer forms of submission similar to the old
(provincial electoral district), a former Quebec provincial electoral district Abitibi County, Quebec (Canada), an historical county Abitibi Regional County Municipality, Quebec (Canada) Abitibi River (Canada) Lake Abitibi (Canada) The Abitibi (train), a Via Rail passenger train in Quebec Abitibi Eskimos, a junior A hockey club based in Iroquois Falls, Ontario, playing in the Northern Ontario Junior Hockey League Abitibi
the company that merged with Bowater to create AbitibiBowater Abitibi—Témiscamingue (Canada), a federal electoral district Abitibi—Baie-James—Nunavik—Eeyou (Canada), a former federal electoral district Abitibi (provincial electoral district), a former Quebec provincial electoral district Abitibi County, Quebec (Canada), an historical county Abitibi Regional County Municipality, Quebec
position, she argues, women have no position open to them in society. Johnson therefore sees Wollstonecraft as a critic, in both the Rights of Men and the Rights of Woman, of the "masculinization of sensitivity" in such works as Edmund Burke's Reflections on the Revolution in France. In the Rights of Woman Wollstonecraft adheres to a version of republicanism that includes a belief in the eventual overthrow of all titles, including the monarchy. She also briefly suggests that all men and women should be represented in government. But the bulk of her "political criticism", as Chris Jones, a Wollstonecraft scholar, explains, "is couched predominantly in terms of morality". Her definition of virtue focuses on the individual's happiness rather than, for example, the good of the entire society. This is reflected in her explanation of natural rights. Because rights ultimately proceed from God, Wollstonecraft maintains that there are duties, tied to those rights, incumbent upon each and every person. For Wollstonecraft, the individual is taught republicanism and benevolence within the family; domestic relations and familial ties are crucial to her understanding of social cohesion and patriotism. Class In many ways the Rights of Woman is inflected by a bourgeois view of the world, as is its direct predecessor the Rights of Men. Wollstonecraft addresses her text to the middle class, which she calls the "most natural state". She also frequently praises modesty and industry, virtues which, at the time, were associated with the middle class. From her position as a middle-class writer arguing for a middle-class ethos, Wollstonecraft also attacks the wealthy, criticizing them using the same arguments she employs against women. She points out the "false-refinement, immorality, and vanity" of the rich, calling them "weak, artificial beings, raised above the common wants and affections of their race, in a premature unnatural manner [who] undermine the very foundation of virtue, and spread corruption through the whole mass of society". But Wollstonecraft's criticisms of the wealthy do not necessarily reflect a concomitant sympathy for the poor. For her, the poor are fortunate because they will never be trapped by the snares of wealth: "Happy is it when people have the cares of life to struggle with; for these struggles prevent their becoming a prey to enervating vices, merely from idleness!" Moreover, she contends that charity has only negative consequences because, as Jones puts it, she "sees it as sustaining an unequal society while giving the appearance of virtue to the rich". In her national plan for education, she retains class distinctions (with an exception for the intelligent), suggesting that: "After the age of nine, girls and boys, intended for domestic employments, or mechanical trades, ought to be removed to other schools, and receive instruction, in some measure appropriated to the destination of each individual ... The young people of superior abilities, or fortune, might now be taught, in another school, the dead and living languages, the elements of science, and continue the study of history and politics, on a more extensive scale, which would not exclude polite literature." Rhetoric and style In attempting to navigate the cultural expectations of female writers and the generic conventions of political and philosophical discourse, Wollstonecraft, as she does throughout her oeuvre, constructs a unique blend of masculine and feminine styles in the Rights of Woman. She uses the language of philosophy, referring to her work as a "treatise" with "arguments" and "principles". However, Wollstonecraft also uses a personal tone, employing "I" and "you", dashes and exclamation marks, and autobiographical references to create a distinctly feminine voice in the text. The Rights of Woman further hybridizes its genre by weaving together elements of the conduct book, the short essay, and the novel, genres often associated with women, while at the same time claiming that these genres could be used to discuss philosophical topics such as rights. Although Wollstonecraft argues against excessive sensibility, the rhetoric of the Rights of Woman is at times heated and attempts to provoke the reader. Many of the most emotional comments in the book are directed at Rousseau. For example, after excerpting a long passage from Emile (1762), Wollstonecraft pithily states, "I shall make no other comments on this ingenious passage, than just to observe, that it is the philosophy of lasciviousness." A mere page later, after indicting Rousseau's plan for female education, she writes "I must relieve myself by drawing another picture." These terse exclamations are meant to draw the reader to her side of the argument (it is assumed that the reader will agree with them). While she claims to write in a plain style so that her ideas will reach the broadest possible audience, she actually combines the plain, rational language of the political treatise with the poetic, passionate language of sensibility to demonstrate that one can combine rationality and sensibility in the same self. In her efforts to vividly describe the condition of women within society, Wollstonecraft employs several different analogies. She often compares women to slaves, arguing that their ignorance and powerlessness places them in that position. But at the same time, she also compares them to "capricious tyrants" who use cunning and deceit to manipulate the men around them. At one point, she reasons that a woman can become either a slave or tyrant, which she describes as two sides of the same coin. Wollstonecraft also compares women to soldiers; like military men, they are valued only for their appearance and obedience. And like the rich, women's "softness" has "debased mankind". Revision Wollstonecraft was forced to write the Rights of Woman hurriedly to respond to Talleyrand and ongoing events. Upon completing the work, she wrote to her friend William Roscoe: "I am dissatisfied with myself for not having done justice to the subject. – Do not suspect me of false modesty – I mean to say that had I allowed myself more time I could have written a better book, in every sense of the word . . . I intend to finish the next volume before I begin to print, for it is not pleasant to have the Devil coming for the conclusion of a sheet fore it is written." When Wollstonecraft revised the Rights of Woman for the second edition, she took the opportunity not only to fix small spelling and grammar mistakes but also to bolster the feminist claims of her argument. She changed some of her statements regarding female and male difference to reflect a greater equality between the sexes. Wollstonecraft never wrote the second part to the Rights of Woman, although William Godwin published her "Hints", which were "chiefly designed to have been incorporated in the second part of the Vindication of the Rights of Woman", in the posthumous collection of her works. However, she did begin writing the novel Maria: or, The Wrongs of Woman, which most scholars consider a fictionalized sequel to the Rights of Woman. It was unfinished at her death and also included in the Posthumous Works published by Godwin. Reception and legacy When it was first published in 1792, the Rights of Woman was reviewed favourably by the Analytical Review, the General Magazine, the Literary Magazine, New York Magazine, and the Monthly Review, although the assumption persists that Rights of Woman received hostile reviews. It was almost immediately released in a second edition in 1792, several American editions appeared, and it was translated into French. Taylor writes that "it was an immediate success". Moreover, other writers such as Mary Hays and Mary Robinson specifically alluded to Wollstonecraft's text in their own works. Hays cited the Rights of Woman in her novel Memoirs of Emma Courtney (1796) and modelled her female characters after Wollstonecraft's ideal woman. Although female conservatives such as Hannah More excoriated Wollstonecraft personally, they actually shared many of the same values. As the scholar Anne Mellor has shown, both More and Wollstonecraft wanted a society founded on "Christian virtues of rational benevolence, honesty, personal virtue, the fulfillment of social duty, thrift, sobriety, and hard work". During the early 1790s, many writers within British society were engaged in an intense debate regarding the position of women in society. For example, the respected poet and essayist Anna Laetitia Barbauld and Wollstonecraft sparred back and forth; Barbauld published several poems responding to Wollstonecraft's work and Wollstonecraft commented on them in footnotes to the Rights of Woman. The work also provoked outright hostility. The bluestocking Elizabeth Carter was unimpressed with the work. Thomas Taylor, the Neoplatonist translator who had been a landlord to the Wollstonecraft family in the late 1770s, swiftly wrote a satire called A Vindication of the Rights of Brutes: if women have rights, why not animals too? After Wollstonecraft died in 1797, her husband William Godwin published his Memoirs of the Author of A Vindication of the Rights of Woman (1798). He revealed much about her private life that had previously not been known to the public: her illegitimate child, her love affairs, and her attempts at suicide. While Godwin believed he was portraying his wife with love, sincerity, and compassion, contemporary readers were shocked by Wollstonecraft's unorthodox lifestyle and she became a reviled figure. Richard Polwhele targeted her in particular in his anonymous long poem The Unsex'd Females (1798), a defensive reaction to women's literary self-assertion: Hannah More is Christ to Wollstonecraft's Satan. His poem was "well known" among the responses A Vindication. Most reviewers of the poem considered it artistically uninspiring and tedious, though some conservative publications praised its political stance. Wollstonecraft's ideas became associated with her life story and women writers felt that it was dangerous to mention her in their texts. Hays, who had previously been a close friend and an outspoken advocate for Wollstonecraft and her Rights of Woman, for example, did not include her in the collection of Illustrious and Celebrated Women she published in 1803. Maria Edgeworth specifically distances herself from Wollstonecraft in her novel Belinda (1802); she caricatures Wollstonecraft as a radical feminist in the character of Harriet Freke. But, like Jane Austen, she does not reject Wollstonecraft's ideas. Both Edgeworth and Austen argue that women are crucial to the development of the nation; moreover, they portray women as rational beings who should choose companionate marriage. The negative views towards Wollstonecraft persisted for over a century. The Rights of Woman was not reprinted until the middle of the 19th century and it still retained an aura of ill-repute. George Eliot wrote "there is in some quarters a vague prejudice against the Rights of Woman as in some way or other a reprehensible book, but readers who go to it with this impression will be surprised to find it eminently serious, severely moral, and withal rather heavy". The suffragist (i.e. moderate reformer, as opposed to suffragette) Millicent Garrett Fawcett wrote the introduction to the centenary edition of the Rights of Woman, cleansing the memory of Wollstonecraft and claiming her as the foremother of the struggle for the vote. While the Rights of Woman may have paved the way for feminist arguments, 20th century feminists have tended to use Wollstonecraft's life story, rather than her texts, for inspiration; her unorthodox lifestyle convinced them to try new "experiments in living", as Virginia Woolf termed it in her famous essay on Wollstonecraft. However, there is some evidence that the Rights of Woman may be influencing current feminists. Ayaan Hirsi Ali, a feminist who is critical of Islam's dictates regarding women, cites the Rights of Woman in her autobiography Infidel, writing that she was "inspired by Mary Wollstonecraft, the pioneering feminist thinker who told women they had the same ability to reason as men did and deserved the same rights". Miriam Schneir also includes this text in her anthology Feminism: The Essential Historical Writings, labelling it as one of the essential feminist works. Further evidence of the enduring legacy of Wollstonecraft's A Vindication may be seen by direct references in recent historical fiction set: for example, in The Silk Weaver (1998) set in the late 18th century among Dublin silk weavers, author Gabrielle Warnock (1998) intervenes as narrator to hold up ‘Rights of Woman’ for the reader to reflect upon the politics, morals, and feelings of her female characters. In Death comes to Pemberley (2011)set in 1803 P.D.James has one male character reference Rights of Woman in reproving another (Darcy) for denying voice to the woman in matters that concern her. See also Timeline of Mary Wollstonecraft A Vindication of the Rights of Men Notes Bibliography Modern reprints Wollstonecraft, Mary. The Complete Works of Mary Wollstonecraft. Ed. Janet Todd and Marilyn Butler. 7 vols. London: William Pickering, 1989. . Wollstonecraft, Mary. The Vindications: The Rights of Men and The Rights of Woman. Eds. D.L. Macdonald and Kathleen Scherf. Toronto: Broadview Literary Texts, 1997. Wollstonecraft, Mary. A Vindication of the Rights of Woman. Ed. Miriam Brody Kramnick. Rev. ed. Harmondsworth: Penguin, 2004. . Wollstonecraft, Mary. A Vindication of the Rights of Woman. Ed. Deidre Shauna Lynch. 3rd ed. New York: W. W. Norton and Company, 2009. . Wollstonecraft, Mary. A Vindication of the Rights of Men and A Vindication of the Rights of Woman. Ed. Sylvana Tomaselli. Cambridge: Cambridge University Press, 1995. . Contemporary reviews Analytical Review 12 (1792): 241–249; 13 (1792): 418–489. Christian Miscellany 1 (1792): 209–212. Critical Review New Series 4 (1792): 389–398; 5 (1792): 132–141. General Magazine and Imperial Review 6.2 (1792): 187–191. Literary Magazine and British Review 8 (1792); 133–139. Monthly Review New Series 8 (1792): 198–209. New Annual Register 13 (1792): 298. New-York Magazine 4 (1793): 77–81. Scots Magazine 54 (1792): 284–290. Sentimental and Masonic Magazine 1 (1792): 63–72. Town and Country Magazine 24 (1792): 279. Secondary sources Barker-Benfield, G.J. The Culture of Sensibility: Sex and Society in Eighteenth-Century Britain. Chicago: University of Chicago Press, 1992. . DeLucia, JoEllen. "A Vindication of the Rights of Woman". The Literary Encyclopedia, Volume 1.2.1.06: English Writing and Culture of the Romantic Period, 1789-1837, 2011. Gordon, Lyndall. Vindication: A Life of Mary Wollstonecraft. Great Britain: Virago, 2005. . Hume, David. A Treatise of Human Nature 1. London: John Noon, 1739. Retrieved 19 May 2020. Janes, R.M. "On the Reception of Mary Wollstonecraft's A Vindication of the Rights of Woman". Journal of the History of Ideas 39 (1978): 293–302. Johnson, Claudia L. Equivocal Beings: Politics, Gender, and Sentimentality in the 1790s. Chicago: University of Chicago Press, 1995. . Jones, Chris. "Mary Wollstonecraft's Vindications and their political tradition". The Cambridge Companion to Mary Wollstonecraft. Ed. Claudia L. Johnson. Cambridge: Cambridge University Press, 2002. . Kaplan, Cora. "Mary Wollstonecraft's reception and legacies". The Cambridge Companion to Mary Wollstonecraft. Ed. Claudia L. Johnson. Cambridge: Cambridge University Press, 2002. . Kaplan, Cora. "Pandora's Box: Subjectivity, Class and Sexuality in Socialist Feminist Criticism". Sea Changes: Essays on Culture and Feminism. London: Verso, 1986. . Kaplan, Cora. "Wild Nights: Pleasure/Sexuality/Feminism". Sea Changes: Essays on Culture and Feminism. London: Verso, 1986. . Kelly, Gary. Revolutionary Feminism: The Mind and Career of Mary Wollstonecraft. New York: St. Martin's, 1992. . Mellor, Anne K. "Mary Wollstonecraft's A Vindication of the Rights of Woman and the women writers of her day". The Cambridge Companion to Mary Wollstonecraft. Ed. Claudia L. Johnson. Cambridge: Cambridge University Press, 2002. . Poovey, Mary. The Proper Lady and the Woman Writer: Ideology as Style in the Works of Mary Wollstonecraft, Mary Shelley and
but I see not the shadow of a reason to conclude that their virtues should differ in respect to their nature. In fact, how can they, if virtue has only one eternal standard? I must therefore, if I reason consequentially, as strenuously maintain that they have the same simple direction, as that there is a God. Moreover, Wollstonecraft calls on men, rather than women, to initiate the social and political changes she outlines in the Rights of Woman. Because women are uneducated, they cannot alter their own situation—men must come to their aid. Wollstonecraft writes at the end of her chapter "Of the Pernicious Effects Which Arise from the Unnatural Distinctions Established in Society": I then would fain convince reasonable men of the importance of some of my remarks; and prevail on them to weigh dispassionately the whole tenor of my observations. – I appeal to their understandings; and, as a fellow-creature, claim, in the name of my sex, some interest in their hearts. I entreat them to assist to emancipate their companion, to make her a help meet for them! Would men but generously snap our chains, and be content with rational fellowship instead of slavish obedience, they would find us more observant daughters, more affectionate sisters, more faithful wives, more reasonable mothers – in a word, better citizens. It is Wollstonecraft's last novel, Maria: or, The Wrongs of Woman (1798), the fictionalized sequel to the Rights of Woman, that is usually considered her most radical feminist work. Sensibility One of Wollstonecraft's most scathing criticisms in the Rights of Woman is against false and excessive sensibility, particularly in women. She argues that women who succumb to sensibility are "blown about by every momentary gust of feeling"; because these women are "the prey of their senses", they cannot think rationally. In fact, not only do they do harm to themselves but they also do harm to all of civilization: these are not women who can refine civilization – these are women who will destroy it. But reason and feeling are not independent for Wollstonecraft; rather, she believes that they should inform each other. For Wollstonecraft the passions underpin all reason. This was a theme that she would return to throughout her career, but particularly in her novels Mary: A Fiction (1788) and Maria: or, The Wrongs of Woman. For the 18th-century Scottish philosopher David Hume reason is dominated by the passions. He held that passions rather than reason govern human behaviour, famously proclaiming in A Treatise of Human Nature that "Reason is, and ought only to be the slave of the passions." As part of her argument that women should not be overly influenced by their feelings and emotions, Wollstonecraft emphasises that they should not be constrained by or made slaves to their bodies or their sexual feelings. This particular argument has led many modern feminists to suggest that Wollstonecraft intentionally avoids granting women any sexual desire. Cora Kaplan argues that the "negative and prescriptive assault on female sexuality" is a "leitmotif" of the Rights of Woman. For example, Wollstonecraft advises her readers to "calmly let passion subside into friendship" in the ideal companionate marriage (that is, in the ideal of a love-based marriage that was developing at the time). It would be better, she writes, when "two virtuous young people marry . . . if some circumstances checked their passion". According to Wollstonecraft, "love and friendship cannot subsist in the same bosom". As Mary Poovey explains, "Wollstonecraft betrays her fear that female desire might in fact court man's lascivious and degrading attentions, that the subordinate position women have been given might even be deserved. Until women can transcend their fleshly desires and fleshly forms, they will be hostage to the body." If women are not interested in sexuality, they cannot be dominated by men. Wollstonecraft worries that women are consumed with "romantic wavering", that is, they are interested only in satisfying their lusts. Because the Rights of Woman eliminates sexuality from a woman's life, Kaplan contends, it "expresses a violent antagonism to the sexual" while at the same time "exaggerat[ing] the importance of the sensual in the everyday life of women". Wollstonecraft was so determined to wipe sexuality from her picture of the ideal woman that she ended up foregrounding it by insisting upon its absence. But as Kaplan and others have remarked, Wollstonecraft may have been forced to make this sacrifice: "it is important to remember that the notion of woman as politically enabled and independent [was] fatally linked [during the eighteenth century] to the unrestrained and vicious exercise of her sexuality." Republicanism Claudia Johnson, a prominent Wollstonecraft scholar, has called the Rights of Woman "a republican manifesto". Johnson contends that Wollstonecraft is hearkening back to the Commonwealth tradition of the 17th century and attempting to reestablish a republican ethos. In Wollstonecraft's version, there would be strong, but separate, masculine and feminine roles for citizens. According to Johnson, Wollstonecraft "denounces the collapse of proper sexual distinction as the leading feature of her age, and as the grievous consequence of sentimentality itself. The problem undermining society in her view is feminized men". If men feel free to adopt both the masculine position and the sentimental feminine position, she argues, women have no position open to them in society. Johnson therefore sees Wollstonecraft as a critic, in both the Rights of Men and the Rights of Woman, of the "masculinization of sensitivity" in such works as Edmund Burke's Reflections on the Revolution in France. In the Rights of Woman Wollstonecraft adheres to a version of republicanism that includes a belief in the eventual overthrow of all titles, including the monarchy. She also briefly suggests that all men and women should be represented in government. But the bulk of her "political criticism", as Chris Jones, a Wollstonecraft scholar, explains, "is couched predominantly in terms of morality". Her definition of virtue focuses on the individual's happiness rather than, for example, the good of the entire society. This is reflected in her explanation of natural rights. Because rights ultimately proceed from God, Wollstonecraft maintains that there are duties, tied to those rights, incumbent upon each and every person. For Wollstonecraft, the individual is taught republicanism and benevolence within the family; domestic relations and familial ties are crucial to her understanding of social cohesion and patriotism. Class In many ways the Rights of Woman is inflected by a bourgeois view of the world, as is its direct predecessor the Rights of Men. Wollstonecraft addresses her text to the middle class, which she calls the "most natural state". She also frequently praises modesty and industry, virtues which, at the time, were associated with the middle class. From her position as a middle-class writer arguing for a middle-class ethos, Wollstonecraft also attacks the wealthy, criticizing them using the same arguments she employs against women. She points out the "false-refinement, immorality, and vanity" of the rich, calling them "weak, artificial beings, raised above the common wants and affections of their race, in a premature unnatural manner [who] undermine the very foundation of virtue, and spread corruption through the whole mass of society". But Wollstonecraft's criticisms of the wealthy do not necessarily reflect a concomitant sympathy for the poor. For her, the poor are fortunate because they will never be trapped by the snares of wealth: "Happy is it when people have the cares of life to struggle with; for these struggles prevent their becoming a prey to enervating vices, merely from idleness!" Moreover, she contends that charity has only negative consequences because, as Jones puts it, she "sees it as sustaining an unequal society while giving the appearance of virtue to the rich". In her national plan for education, she retains class distinctions (with an exception for the intelligent), suggesting that: "After the age of nine, girls and boys, intended for domestic employments, or mechanical trades, ought to be removed to other schools, and receive instruction, in some measure appropriated to the destination of each individual ... The young people of superior abilities, or fortune, might now be taught, in another school, the dead and living languages, the elements of science, and continue the study of history and politics, on a more extensive scale, which would not exclude polite literature." Rhetoric and style In attempting to navigate the cultural expectations of female writers and the generic conventions of political and philosophical discourse, Wollstonecraft, as she does throughout her oeuvre, constructs a unique blend of masculine and feminine styles in the Rights of Woman. She uses the language of philosophy, referring to her work as a "treatise" with "arguments" and "principles". However, Wollstonecraft also uses a personal tone, employing "I" and "you", dashes and exclamation marks, and autobiographical references to create a distinctly feminine voice in the text. The Rights of Woman further hybridizes its genre by weaving together elements of the conduct book, the short essay, and the novel, genres often associated with women, while at the same time claiming that these genres could be used to discuss philosophical topics such as rights. Although Wollstonecraft argues against excessive sensibility, the rhetoric of the Rights of Woman is at times heated and attempts to provoke the reader. Many of the most emotional comments in the book are directed at Rousseau. For example, after excerpting a long passage from Emile (1762), Wollstonecraft pithily states, "I shall make no other comments on this ingenious passage, than just to observe, that it is the philosophy of lasciviousness." A mere page later, after indicting Rousseau's plan for female education, she writes "I must relieve myself by drawing another picture." These terse exclamations are meant to draw the reader to her side of the argument (it is assumed that the reader will agree with them). While she claims to write in a plain style so that her ideas will reach the broadest possible audience, she actually combines the plain, rational language of the political treatise with the poetic, passionate language of sensibility to demonstrate that one can combine rationality and sensibility in the same self. In her efforts to vividly describe the condition of women within society, Wollstonecraft employs several different analogies. She often compares women to slaves, arguing that their ignorance and powerlessness places them in that position. But at the same time, she also compares them to "capricious tyrants" who use cunning and deceit to manipulate the men around them. At one point, she reasons that a woman can become either a slave or tyrant, which she describes as two sides of the same coin. Wollstonecraft also compares women to soldiers; like military men, they are valued only for their appearance and obedience. And like the rich, women's "softness" has "debased mankind". Revision Wollstonecraft was forced to write the Rights of Woman hurriedly to respond to Talleyrand and ongoing events. Upon completing the work, she wrote to her friend William Roscoe: "I am dissatisfied with myself for not having done justice to the subject. – Do not suspect me of false modesty – I mean to say that had I allowed myself more time I could have written a better book, in every sense of the word . . . I intend to finish the next volume before I begin to print, for it is not pleasant to have the Devil coming for the conclusion of a sheet fore it is written." When Wollstonecraft revised the Rights of Woman for the second edition, she took the opportunity not only to fix small spelling and grammar mistakes but also to bolster the feminist claims of her argument. She changed some of her statements regarding female and male difference to reflect a greater equality between the sexes. Wollstonecraft never wrote the second part to the Rights of Woman, although William Godwin published her "Hints", which were "chiefly designed to have been incorporated in the second part of the Vindication of the Rights of Woman", in the posthumous collection of her works. However, she did begin writing the novel Maria: or, The Wrongs of Woman, which most scholars consider a fictionalized sequel to the Rights of Woman. It was unfinished at her death and also included in the Posthumous Works published by Godwin. Reception and legacy When it was first published in 1792, the Rights of Woman was reviewed favourably by the Analytical Review, the General Magazine, the Literary Magazine, New York Magazine, and the Monthly Review, although the assumption persists that Rights of Woman received hostile reviews. It was almost immediately released in a second edition in 1792, several American editions appeared, and it was translated into French. Taylor writes that "it was an immediate success". Moreover, other writers such as Mary Hays and Mary Robinson specifically alluded to Wollstonecraft's text in their own works. Hays cited the Rights of Woman in her novel Memoirs of Emma Courtney (1796) and modelled her female characters after Wollstonecraft's ideal woman. Although female conservatives such as Hannah More excoriated Wollstonecraft personally, they actually shared many of the same values. As the scholar Anne Mellor has shown, both More and Wollstonecraft wanted a society founded on "Christian virtues of rational benevolence, honesty, personal virtue, the fulfillment of social duty, thrift, sobriety, and hard work". During the early 1790s, many writers within British society were engaged in an intense debate regarding the position of women in society. For example, the respected poet and essayist Anna Laetitia Barbauld and Wollstonecraft sparred back and forth; Barbauld published several poems responding to Wollstonecraft's work and Wollstonecraft commented on them in footnotes to the Rights of Woman. The work also provoked outright hostility. The bluestocking Elizabeth Carter was unimpressed with the work. Thomas Taylor, the Neoplatonist translator who had been a landlord to the Wollstonecraft family in the late 1770s, swiftly wrote a satire called A Vindication of the Rights of Brutes: if women have rights, why not animals too? After Wollstonecraft died in 1797, her husband William Godwin published his Memoirs of the Author of A Vindication of the Rights of Woman (1798). He revealed much about her private life that had previously not been known to the public: her illegitimate child, her love affairs, and her attempts at suicide. While Godwin believed he was portraying his wife
Bakhmull have an average lifespan of 13–17 years and 14-18 years for females. Closely related breeds The Saluki is a breed with ancient origins (though its establishment as a standardised breed was primarily carried out in the United Kingdom and Germany) and is the most closely related to the Afghan Hound out of modern and internationally accepted breeds. The Sloughi, with a name of the same derivation, is primarily of North African stock and is a separate breed. Health Lifespan In various surveys conducted within the UK, Afghan Hounds were shown to have an average lifespan of about 12 years, similar to other breeds of their size. In the 2004 UK Kennel Club survey, the most common causes of death were cancer (31%), old age (20%), cardiac (10.5%), and urologic (5%). Those that died of old age had a median lifespan of 12 years, with 12% living to at least 14. Health concerns Major health issues are allergies, cancer, and hip dysplasia (not typical of bakhmulls). Sensitivity to anesthesia is an issue the Afghan Hound shares with the rest of the sighthound group, as sighthounds have relatively low levels of body fat. Afghan Hounds are also among the dog breeds most likely to develop chylothorax, a rare condition which causes the thoracic ducts to leak, allowing large quantities of chyle fluid to enter the dog's chest cavity. This condition commonly results in a lung-lobe torsion (in which the dog's lung twists within the chest cavity, requiring emergency surgery), due to the breed's typically deep, "barrel"-shaped chest. If not corrected through surgery, chylothorax can ultimately cause fibrosing pleuritis, or a hardening of the organs, due to scar tissue forming around the organs to protect them from the chyle fluid. Chylothorax is not necessarily, but often proves to be, fatal. Among other health problems are laryngeal paralysis, dilated cardiomyopathy (twice as common in males as females), and dermatological issues such as testosterone-responsive dermatosis of male dogs (often seen in castrated males), nasal depigmentation (also known as Dudley nose), and skin tumours. Afghans are also prone to Central diabetes insipidus (CDI), hypothyroidism and tricholemmoma, a rare condition which mainly affects older dogs in the Middle Ages. Ocular conditions that can occur include medial canthal pocket syndrome (breed predisposition due to shape of head), corneal dystrophy, cataract and generalized progressive retinal atrophy (GPRA). Afghan myelopathy (causing pelvic limb ataxia) is sometimes reported. In popular culture Because of its distinctive appearance, the Afghan hound has been represented in animated feature films and TV shows, including Universal Pictures' Balto (Sylvie) and Disney's Lady and the Tramp II: Scamp's Adventure (Ruby), an Afghan hound also appeared on 101 Dalmatians as well as in 102 Dalmatians as one of the dogs in Cruella de Vil's party and the television series What-a-Mess (Prince Amir of Kinjan; based on children's books by Frank Muir) and, as Prissy in the 1961 Disney animated film One Hundred and One Dalmatians and 101 Dalmatians II: Patch's London Adventure. Brainy Barker from Krypto the Superdog claims to be an Afghan Hound in the episode "Meet the Dog Stars", although her design actually resembles that of a Saluki instead of an Afghan Hound. Malory Archer in the show Archer had an Afghan hound named Duchess at some point during the childhood of her son, Sterling Archer. The dog is a point of contention between the two, due to Malory's apparent preference for it over her son. In the show Road Rovers, Persia, who is the leader of the Space Rovers, is an Afghan Hound. Burt, an Afghan Hound in the show Foofur antagonizes Foofur to win Dolly's love. Afghan hounds have also been featured in television advertisements and in fashion magazines. The Afghan hound is represented in books as well, including being featured in a series of mystery novels by Nina Wright (Abra), and a talking Afghan Hound in David Rothman's The Solomon Scandals (2008, Twilight Times Books). In the novel Between the Acts, Virginia Woolf uses an Afghan hound (named Sohrab) to represent aspects of one of the book's human characters. On August 3, 2005, Korean scientist Hwang Woo-Suk announced that his team of researchers had become the first team to successfully clone a dog, an Afghan Hound named Snuppy. In 2006 Hwang Woo-Suk was dismissed from his university position for fabricating data in his research. Snuppy, nonetheless, was a genuine clone, and thus the first cloned dog in history. The Afghan Hound features prominently in the avant-garde music video of popular French band M83's, "Set in Stone (M83 Remix)". See also Dogs portal List of dog breeds Saluki also known as Persian Hound References Further reading Afghan Hounds (The World of Dogs) Race L., publisher Kingdom Books, PO Box 15, Waterlooville PO7 6BQ, 1999, England, 240 pages, ch 4, pages 81–83, contributed by Natalia Ghersiova, Russia. Encyclopedia "Russian Hunting". Scientific edition, publisher "Big Russian Encyclopedia", 1998,
Afghan Hound has been identified as a basal breed that predates the emergence of the modern breeds in the 19th century. It is most closely related to the Saluki. Connections with other types and breeds from the same area may provide clues to the history. A name for a desert coursing Afghan hound, Tazi (Sag-e-Tazi), suggests a shared ancestry with the very similar Tasy breed from the Caspian Sea area of Russia and Turkmenistan. Other types or breeds of similar appearance are the Taigan from the mountainous Tian Shan region on the Chinese border of Afghanistan, and the Barakzay, or Kurram Valley Hound. There are at least 13 types known in Afghanistan, and some are being developed (through breeding and record keeping) into modern purebred breeds. Once out of Afghanistan, the history of the Afghan Hound breed became entwined with that of the very earliest dog shows and the Kennel Club (UK). Various sighthounds were brought to England in the 1800s by army officers returning from British India (which at the time included), Afghanistan, and Persia, and were exhibited at dog shows, which were then just becoming popular, under various names, such as Barukzy hounds. They were also called "Persian Greyhounds" by the English, in reference to their own indigenous sighthound. One dog in particular, Zardin, was brought in 1907 from India by Captain Bariff, and became the early ideal of breed type for what was still called the Persian Greyhound. Zardin was the basis of the writing of the first breed standard in 1912, but breeding of the dogs was stopped by World War I. Out of the longhaired sighthound types known in Afghanistan, two main strains make up the modern Afghan Hound breed. The first were a group of hounds brought to Scotland from Balochistan by Major and Mrs. G. Bell-Murray and Miss Jean C. Manson in 1920, and are called the Bell-Murray strain. These dogs were of the lowland or steppe type, and are less heavily coated. The second strain was a group of dogs from a kennel in Kabul owned by Mrs. Mary Amps, which she shipped to England in 1925. She and her husband came to Kabul after the Afghan war in 1919, and the foundation sire of her kennel (named Ghazni) in Kabul was a dog that closely resembled Zardin. Her Ghazni strain were the more heavily coated mountain type. Most of the Afghans in the United States were developed from the Ghazni strain from England. The first Afghans in Australia were imported from the United States in 1934, also of the Ghazni strain. The French breed club was formed in 1939 (FALAPA). The mountain and steppe strains became mixed into the modern Afghan Hound breed, and a new standard was written in 1948, which is still used today. The Afghan Hound can also come with a much more "patterned" coat. This descends from the Bell-Murray's and the Ghazni lines, and is displayed in much lighter feathering of coat, deeper saddle (often actually looking like a saddle) and much shorter hair on the face and neck. It is believed that these particular Afghan Hounds were a product of much hotter parts of the country. The beauty of Afghan Hound dogs caused them to become highly desirable show dogs and pets, and they are recognised by all of the major kennel clubs in the English-speaking world. One of the Amps Ghazni, Sirdar, won BIS at Crufts in 1928 and 1930. An Afghan hound was featured on the cover of Life Magazine, November 26, 1945. Afghan Hounds were the most popular in Australia in the 1970s, and won most of the major shows. An Afghan Hound won BIS (Best in Show) at the 1996 World Dog Show in Budapest. Afghan hounds were BIS at the Westminster Kennel Club Dog Show in 1957 and again in 1983. That win also marked the most recent win at Westminster for breeder-owner-handler, Chris Terrell. The Afghan Hound breed is no longer used for hunting, although it can be seen in the sport of lure coursing. Description The Afghan Hound is tall, standing in height and weighing . The coat may be any colour, but white markings, particularly on the head, are discouraged; many individuals have a black facial mask. A specimen
dark fawn/brown, red and brindle (with or without a dark mask), with white bib, tail tip, and white on all feet (which can be tips of toes to high stockings). Since 2015 white stockings that go above the elbow joint are considered disqualifying features in the FCI member countries, as is a white collar or half collar (Irish marked). Some conservationists support the idea that in Africa, Azawakhs are still found in a variety of colours such as red, blue fawn (that is, with a lilac cast), grizzle, and, rarely, blue and black with various white markings including Irish marked (white collar) and particolour (mostly white). Because of this wide color variation in the native population, the American standard used by the AKC and UKC allows any color combination found in Africa. (AKC and UKC are not a member of the FCI) Movement The Azawakh's light, supple, lissome gait is a notable breed characteristic, as is an upright double suspension gallop. Health Azawakhs are an incredibly sound coursing hound. There is a small occurrence of adult-onset idiopathic epilepsy in the breed. Wobbler disease, or cervical vertebral instability, does rarely occur. Reproduction Unassisted birth of healthy puppies is normal. Litter sizes are usually from four to six puppies, but litters as small as one and as large as ten occur. Temperament Bred by the Tuareg, Fula and various other nomads of the Sahara and sub-Saharan Sahel in the countries of Mali, Niger, Burkina Faso, and southern Algeria, the breed known by the tuaregs as ”Oska” was used
still found in a variety of colours such as red, blue fawn (that is, with a lilac cast), grizzle, and, rarely, blue and black with various white markings including Irish marked (white collar) and particolour (mostly white). Because of this wide color variation in the native population, the American standard used by the AKC and UKC allows any color combination found in Africa. (AKC and UKC are not a member of the FCI) Movement The Azawakh's light, supple, lissome gait is a notable breed characteristic, as is an upright double suspension gallop. Health Azawakhs are an incredibly sound coursing hound. There is a small occurrence of adult-onset idiopathic epilepsy in the breed. Wobbler disease, or cervical vertebral instability, does rarely occur. Reproduction Unassisted birth of healthy puppies is normal. Litter sizes are usually from four to six puppies, but litters as small as one and as large as ten occur. Temperament Bred by the Tuareg, Fula and various other nomads of the Sahara and sub-Saharan Sahel in the countries of Mali, Niger, Burkina Faso, and southern Algeria, the breed known by the tuaregs as ”Oska” was used there as a guard dog and to hunt gazelle and hare at speeds up to . The austerity of the Sahel environment has ensured that only the most fit dogs survive and has accentuated the breed's ruggedness and independence. Unlike some other sighthounds, the Azawakh is more of a pack hunter and they bump down the quarry with hindquarters when it has been tired out. In role of a guard dog, if an Azawakh senses danger it will bark to alert the other members of the pack, and they will gather together as a pack under the lead of the alpha dog, then chase off or attack the predator. The Sloughi, by comparison, is more of an independent lone hunter and has a high hunting instinct. Azawakhs have a range of temperaments from lap dog to quite fierce. Lifelong socialization and gentle handling are critical. Well socialised and trained, they can be good with other dogs, cats, children, and strangers. Unlike other
Leonard Bocour and Sam Golden invented a solution acrylic paint under the brand Magna paint. These were mineral spirit-based paints. Water-based acrylic paints were subsequently sold as latex house paints, as latex is the technical term for a suspension of polymer microparticles in water. Interior latex house paints tend to be a combination of binder (sometimes acrylic, vinyl, pva, and others), filler, pigment, and water. Exterior latex house paints may also be a co-polymer blend, but the best exterior water-based paints are 100% acrylic, due to elasticity and other factors. Vinyl, however, costs half of what 100% acrylic resins cost, and polyvinyl acetate (PVA) is even cheaper, so paint companies make many different combinations of them to match the market. Soon after the water-based acrylic binders were introduced as house paints, artists and companies alike began to explore the potential of the new binders. Diego Rivera, David Alfaro Siqueiros, and José Clemente Orozco were the first ones who experimented with acrylic paint. This is because they were very impressed with the durability of the acrylic paint. Because of this, artists and companies alike began to produce Politic Acrylic Artists' Colors in Mexico in 1953. According to The Times newspaper, Lancelot Ribeiro pioneered the use of acrylic paints in the UK because of his "increasing impatience" by the 1960s over the time it took for oil paints to dry, as also its "lack of brilliance in its colour potential." He took to the new synthetic plastic bases that commercial paints were beginning to use, and soon got help from manufacturers like ICI, Courtaulds and Geigy. The companies supplied him samples of their latest paints in quantities that he was using three decades later, according to the paper. Initially, the firms thought the PVA compounds would not be needed in commercially viable quantities. But they quickly recognised the potential demand and "so Ribeiro became the godfather of generations of artists using acrylics as an alternative to oils." In 1956, José L. Gutiérrez produced Politec Acrylic Artists' Colors in Mexico, and Henry Levinson of Cincinnati-based Permanent Pigments Co. produced Liquitex colors. These two product lines were the first acrylic emulsion artists' paints, with modern high-viscosity paints becoming available in the early 1960s. Following that development, Golden came up with a waterborne acrylic paint called "Aquatec". In 1963, George Rowney (part of Daler-Rowney since 1983) was the first manufacturer to introduce artists' acrylic paints in Europe, under the brand name "Cryla". Painting with acrylics Acrylic painters can modify the appearance, hardness, flexibility, texture, and other characteristics of the paint surface by using acrylic mediums or simply by adding water. Watercolor and oil painters also use various mediums, but the range of acrylic mediums is much greater. Acrylics have the ability to bond to many different surfaces, and mediums can be used to modify their binding characteristics. Acrylics can be used on paper, canvas, and a range of other materials; however, their use on engineered woods such as medium-density fiberboard can be problematic because of the porous nature of those surfaces. In these cases, it is recommended that the surface first be sealed with an appropriate sealer. Acrylics can be applied in thin layers or washes to create effects that resemble watercolors and other water-based mediums. They can also be used to build thick layers of paint — gel and molding paste are sometimes used to create paintings with relief features. Acrylic paints are also used in hobbies such as trains, cars, houses, DIY projects, and human models. People who make such models use acrylic paint to build facial features on dolls or raised details on other types of models. Wet acrylic paint is easily removed from paintbrushes and skin with water, whereas oil paints require the use of a hydrocarbon. Acrylics are the most common paints used in grattage, a surrealist technique that began to be used with the advent of this type of paint. Acrylics are used for this purpose because they easily scrape or peel from a surface. Painting techniques Acrylic artists' paints may be thinned with water or acrylic medium and used as washes in the manner of watercolor paints, but unlike watercolor the washes are not rehydratable once dry. For this reason, acrylics do not lend themselves to the color lifting techniques of gum arabic-based watercolor paints. Instead, the paint is applied in layers, sometimes diluting with water or acrylic medium to allow layers underneath to partially show through. Using an acrylic medium gives the paint more of a rich and glossy appearance, whereas using water makes the paint look more like watercolor and have a matte finish. Acrylic paints with gloss or matte finishes are common, although a satin (semi-matte) sheen is most common. Some brands exhibit a range of finishes (e.g. heavy-body paints from Golden, Liquitex, Winsor & Newton and Daler-Rowney); Politec acrylics are fully matte. As with oils, pigment amounts and particle size or shape can affect the paint sheen. Matting agents can also be added during manufacture to dull the finish. If desired, the artist can mix different media with their paints and use topcoats or varnishes to alter or unify sheen. When dry, acrylic paint is generally non-removable from a solid surface if it adheres to the surface. Water or mild solvents do not re-solubilize it, although isopropyl alcohol can lift some fresh paint films off. Toluene and acetone can remove paint films, but they do not lift paint stains very well and are not selective. The use of a solvent to remove paint may result in removal of all of the paint layers (acrylic gesso, et cetera). Oils and warm, soapy water can remove acrylic paint from skin.
blend, but the best exterior water-based paints are 100% acrylic, due to elasticity and other factors. Vinyl, however, costs half of what 100% acrylic resins cost, and polyvinyl acetate (PVA) is even cheaper, so paint companies make many different combinations of them to match the market. Soon after the water-based acrylic binders were introduced as house paints, artists and companies alike began to explore the potential of the new binders. Diego Rivera, David Alfaro Siqueiros, and José Clemente Orozco were the first ones who experimented with acrylic paint. This is because they were very impressed with the durability of the acrylic paint. Because of this, artists and companies alike began to produce Politic Acrylic Artists' Colors in Mexico in 1953. According to The Times newspaper, Lancelot Ribeiro pioneered the use of acrylic paints in the UK because of his "increasing impatience" by the 1960s over the time it took for oil paints to dry, as also its "lack of brilliance in its colour potential." He took to the new synthetic plastic bases that commercial paints were beginning to use, and soon got help from manufacturers like ICI, Courtaulds and Geigy. The companies supplied him samples of their latest paints in quantities that he was using three decades later, according to the paper. Initially, the firms thought the PVA compounds would not be needed in commercially viable quantities. But they quickly recognised the potential demand and "so Ribeiro became the godfather of generations of artists using acrylics as an alternative to oils." In 1956, José L. Gutiérrez produced Politec Acrylic Artists' Colors in Mexico, and Henry Levinson of Cincinnati-based Permanent Pigments Co. produced Liquitex colors. These two product lines were the first acrylic emulsion artists' paints, with modern high-viscosity paints becoming available in the early 1960s. Following that development, Golden came up with a waterborne acrylic paint called "Aquatec". In 1963, George Rowney (part of Daler-Rowney since 1983) was the first manufacturer to introduce artists' acrylic paints in Europe, under the brand name "Cryla". Painting with acrylics Acrylic painters can modify the appearance, hardness, flexibility, texture, and other characteristics of the paint surface by using acrylic mediums or simply by adding water. Watercolor and oil painters also use various mediums, but the range of acrylic mediums is much greater. Acrylics have the ability to bond to many different surfaces, and mediums can be used to modify their binding characteristics. Acrylics can be used on paper, canvas, and a range of other materials; however, their use on engineered woods such as medium-density fiberboard can be problematic because of the porous nature of those surfaces. In these cases, it is recommended that the surface first be sealed with an appropriate sealer. Acrylics can be applied in thin layers or washes to create effects that resemble watercolors and other water-based mediums. They can also be used to build thick layers of paint — gel and molding paste are sometimes used to create paintings with relief features. Acrylic paints are also used in hobbies such as trains, cars, houses, DIY projects, and human models. People who make such models use acrylic paint to build facial features on dolls or raised details on other types of models. Wet acrylic paint is easily removed from paintbrushes and skin with water, whereas oil paints require the use of a hydrocarbon. Acrylics are the most common paints used in grattage, a surrealist technique that began to be used with the advent of this type of paint. Acrylics are used for this purpose because they easily scrape or peel from a surface. Painting techniques Acrylic artists' paints may be thinned with water or acrylic medium and used as washes in the manner of watercolor paints, but unlike watercolor the washes are not rehydratable once dry. For this reason, acrylics do not lend themselves to the color lifting techniques of gum arabic-based watercolor paints. Instead, the paint is applied in layers, sometimes diluting with water or acrylic medium to allow layers underneath to partially show through. Using an acrylic medium gives the paint more of a rich and glossy appearance, whereas using water
equivalent) speed . Linear speed referred to the central point is simply the product of the distance and the angular speed versus the point: another moment. Hence, angular momentum contains a double moment: Simplifying slightly, the quantity is the particle's moment of inertia, sometimes called the second moment of mass. It is a measure of rotational inertia. Because moment of inertia is a crucial part of the spin angular momentum, the latter necessarily includes all of the complications of the former, which is calculated by multiplying elementary bits of the mass by the squares of their distances from the center of rotation. Therefore, the total moment of inertia, and the angular momentum, is a complex function of the configuration of the matter about the center of rotation and the orientation of the rotation for the various bits. For a rigid body, for instance a wheel or an asteroid, the orientation of rotation is simply the position of the rotation axis versus the matter of the body. It may or may not pass through the center of mass, or it may lie completely outside of the body. For the same body, angular momentum may take a different value for every possible axis about which rotation may take place. It reaches a minimum when the axis passes through the center of mass. For a collection of objects revolving about a center, for instance all of the bodies of the Solar System, the orientations may be somewhat organized, as is the Solar System, with most of the bodies' axes lying close to the system's axis. Their orientations may also be completely random. In brief, the more mass and the farther it is from the center of rotation (the longer the moment arm), the greater the moment of inertia, and therefore the greater the angular momentum for a given angular velocity. In many cases the moment of inertia, and hence the angular momentum, can be simplified by, where is the radius of gyration, the distance from the axis at which the entire mass may be considered as concentrated. Similarly, for a point mass the moment of inertia is defined as, where is the radius of the point mass from the center of rotation, and for any collection of particles as the sum, Angular momentum's dependence on position and shape is reflected in its units versus linear momentum: kg⋅m2/s, N⋅m⋅s, or J⋅s for angular momentum versus kg⋅m/s or N⋅s for linear momentum. When calculating angular momentum as the product of the moment of inertia times the angular velocity, the angular velocity must be expressed in radians per second, where the radian assumes the dimensionless value of unity. (When performing dimensional analysis, it may be productive to use orientational analysis which treats radians as a base unit, but this is outside the scope of the International system of units). Angular momentum's units can be interpreted as torque⋅time or as energy⋅time per angle. An object with angular momentum of can be reduced to zero rotation (all of the rotational energy can be transferred out of it) by an angular impulse of or equivalently, by torque or work of for one second, or energy of for one second. The plane perpendicular to the axis of angular momentum and passing through the center of mass is sometimes called the invariable plane, because the direction of the axis remains fixed if only the interactions of the bodies within the system, free from outside influences, are considered. One such plane is the invariable plane of the Solar System. Angular momentum and torque Newton's second law of motion can be expressed mathematically, or force = mass × acceleration. The rotational equivalent for point particles may be derived as follows: which means that the torque (i.e. the time derivative of the angular momentum) is Because the moment of inertia is , it follows that , and which, reduces to This is the rotational analog of Newton's Second Law. Note that the torque is not necessarily proportional or parallel to the angular acceleration (as one might expect). The reason for this is that the moment of inertia of a particle can change with time, something that cannot occur for ordinary mass. Conservation of angular momentum General considerations A rotational analog of Newton's third law of motion might be written, "In a closed system, no torque can be exerted on any matter without the exertion on some other matter of an equal and opposite torque." Hence, angular momentum can be exchanged between objects in a closed system, but total angular momentum before and after an exchange remains constant (is conserved). Seen another way, a rotational analogue of Newton's first law of motion might be written, "A rigid body continues in a state of uniform rotation unless acted by an external influence." Thus with no external influence to act upon it, the original angular momentum of the system remains constant. The conservation of angular momentum is used in analyzing central force motion. If the net force on some body is directed always toward some point, the center, then there is no torque on the body with respect to the center, as all of the force is directed along the radius vector, and none is perpendicular to the radius. Mathematically, torque because in this case and are parallel vectors. Therefore, the angular momentum of the body about the center is constant. This is the case with gravitational attraction in the orbits of planets and satellites, where the gravitational force is always directed toward the primary body and orbiting bodies conserve angular momentum by exchanging distance and velocity as they move about the primary. Central force motion is also used in the analysis of the Bohr model of the atom. For a planet, angular momentum is distributed between the spin of the planet and its revolution in its orbit, and these are often exchanged by various mechanisms. The conservation of angular momentum in the Earth–Moon system results in the transfer of angular momentum from Earth to Moon, due to tidal torque the Moon exerts on the Earth. This in turn results in the slowing down of the rotation rate of Earth, at about 65.7 nanoseconds per day, and in gradual increase of the radius of Moon's orbit, at about 3.82 centimeters per year. The conservation of angular momentum explains the angular acceleration of an ice skater as she brings her arms and legs close to the vertical axis of rotation. By bringing part of the mass of her body closer to the axis, she decreases her body's moment of inertia. Because angular momentum is the product of moment of inertia and angular velocity, if the angular momentum remains constant (is conserved), then the angular velocity (rotational speed) of the skater must increase. The same phenomenon results in extremely fast spin of compact stars (like white dwarfs, neutron stars and black holes) when they are formed out of much larger and slower rotating stars. Decrease in the size of an object n times results in increase of its angular velocity by the factor of n2. Conservation is not always a full explanation for the dynamics of a system but is a key constraint. For example, a spinning top is subject to gravitational torque making it lean over and change the angular momentum about the nutation axis, but neglecting friction at the point of spinning contact, it has a conserved angular momentum about its spinning axis, and another about its precession axis. Also, in any planetary system, the planets, star(s), comets, and asteroids can all move in numerous complicated ways, but only so that the angular momentum of the system is conserved. Noether's theorem states that every conservation law is associated with a symmetry (invariant) of the underlying physics. The symmetry associated with conservation of angular momentum is rotational invariance. The fact that the physics of a system is unchanged if it is rotated by any angle about an axis implies that angular momentum is conserved. Relation to Newton's second law of motion While angular momentum total conservation can be understood separately from Newton's laws of motion as stemming from Noether's theorem in systems symmetric under rotations, it can also be understood simply as an efficient method of calculation of results that can also be otherwise arrived at directly from Newton's second law, together with laws governing the forces of nature (such as Newton's third law, Maxwell's equations and Lorentz force). Indeed, given initial conditions of position and velocity for every point, and the forces at such a condition, one may use Newton's second law to calculate the second derivative of position, and solving for this gives full information on the development of the physical system with time. Note, however, that this is no longer true in quantum mechanics, due to the existence of particle spin, which is angular momentum that cannot be described by the cumulative effect of point-like motions in space. As an example, consider decreasing of the moment of inertia, e.g. when a figure skater is pulling in her/his hands, speeding up the circular motion. In terms of angular momentum conservation, we have, for angular momentum L, moment of inertia I and angular velocity ω: Using this, we see that the change requires an energy of: so that a decrease in the moment of inertia requires investing energy. This can be compared to the work done as calculated using Newton's laws. Each point in the rotating body is accelerating, at each point of time, with radial acceleration of: Let us observe a point of mass m, whose position vector relative to the center of motion is parallel to the z-axis at a given point of time, and is at a distance z. The centripetal force on this point, keeping the circular motion, is: Thus the work required for moving this point to a distance dz farther from the center of motion is: For a non-pointlike body one must integrate over this, with m replaced by the mass density per unit z. This gives: which is exactly the energy required for keeping the angular momentum conserved. Note, that the above calculation can also be performed per mass, using kinematics only. Thus the phenomena of figure skater accelerating tangential velocity while pulling her/his hands in, can be understood as follows in layman's language: The skater's palms are not moving in a straight line, so they are constantly accelerating inwards, but do not gain additional speed because the accelerating is always done when their motion inwards is zero. However, this is different when pulling the palms closer to the body: The acceleration due to rotation now increases the speed; but because of the rotation, the increase in speed does not translate to a significant speed inwards, but to an increase of the rotation speed. In Lagrangian formalism In Lagrangian mechanics, angular momentum for rotation around a given axis, is the conjugate momentum of the generalized coordinate of the angle around the same axis. For example, , the angular momentum around the z axis, is: where is the Lagrangian and is the angle around the z axis. Note that , the time derivative of the angle, is the angular velocity . Ordinarily, the Lagrangian depends on the angular velocity through the kinetic energy: The latter can be written by separating the velocity to its radial and tangential part, with the tangential part at the x-y plane, around the z-axis, being equal to: where the subscript i stands for the i-th body, and m, vT and ωz stand for mass, tangential velocity around the z-axis and angular velocity around that axis, respectively. For a body that is not point-like, with density ρ, we have instead: where integration runs over the area of the body, and Iz is the moment of inertia around the z-axis. Thus, assuming the potential energy does not depend on ωz (this assumption may fail for electromagnetic systems), we have the angular momentum of the i-th object: We have thus far rotated each object by a separate angle; we may also define an overall angle θz by which we rotate the whole system, thus rotating also each object around the z-axis, and have the overall angular momentum: From Euler-Lagrange equations it then follows that: Since the lagrangian is dependent upon the angles of the object only through the potential, we have: which is the torque on the i-th object. Suppose the system is invariant to rotations, so that the potential is independent of an overall rotation by the angle θz (thus it may depend on the angles of objects only through their differences, in the form ). We therefore get for the total angular momentum: And thus the angular momentum around the z-axis is conserved. This analysis can be repeated separately for each axis, giving conversation of the angular momentum vector. However, the angles around the three axes cannot be treated simultaneously as generalized coordinates, since they are not independent; in particular, two angles per point suffice to determine its position. While it is true that in the case of a rigid body, fully describing it requires, in addition to three translational degrees of freedom, also specification of three rotational degrees of freedom; however these cannot be defined as rotations around the Cartesian axes (see Euler angles). This caveat is reflected in quantum mechanics in the non-trivial commutation relations of the different components of the angular momentum operator. In Hamiltonian formalism Equivalently, in Hamiltonian mechanics the Hamiltonian can be described as a function of the angular momentum. As before, the part of the kinetic energy related to rotation around the z-axis for the i-th object is: which is analogous to the energy dependence upon momentum along the z-axis, . Hamilton's equations relate the angle around the z-axis to its conjugate momentum, the angular momentum around the same axis: The first equation gives And so we get the same results as in the Lagrangian formalism. Note, that for combining all axes together, we write the kinetic energy as: where pr is the momentum in the radial direction, and the moment of inertia is a 3-dimensional matrix; bold letters stand for 3-dimensional vectors. For point-like bodies we have: This form of the kinetic energy part of the Hamiltonian is useful in analyzing central potential problems, and is easily transformed to a quantum mechanical work frame (e.g. in the hydrogen atom problem). Angular momentum in orbital mechanics While in classical mechanics the language of angular momentum can be replaced by Newton's laws of motion, it is particularly useful for motion in central potential such as planetary motion in the solar system. Thus, the orbit of a planet in the solar system is defined by its energy, angular momentum and angles of the orbit major axis relative to a coordinate frame. In astrodynamics and celestial mechanics, a massless (or per unit mass) angular momentum is defined called specific angular momentum. Note that Mass is often unimportant in orbital mechanics calculations, because motion is defined by gravity. The primary body of the system is often so much larger than any bodies in motion about it that the smaller bodies have a negligible gravitational effect on it; it is, in effect, stationary. All bodies are apparently attracted by its gravity in the same way, regardless of mass, and therefore all move approximately the same way under the same conditions. Solid bodies Angular momentum is also an extremely useful concept for describing rotating rigid bodies such as a gyroscope or a rocky planet. For a continuous mass distribution with density function ρ(r), a differential volume element dV with position vector r within the mass has a mass element dm = ρ(r)dV. Therefore, the infinitesimal angular momentum of this element is: and integrating this differential over the volume of the entire mass gives its total angular momentum: In the derivation which follows, integrals similar to this can replace the sums for the case of continuous mass. Collection of particles For a collection of particles in motion about an arbitrary origin, it is informative to develop the equation of angular momentum by resolving their motion into components about their own center of mass and about the origin. Given, is the mass of particle , is the position vector of particle vs the origin, is the velocity of particle vs the origin, is the position vector of the center of mass vs the origin, is the velocity of the center of mass vs the origin, is the position vector of particle vs the center of mass, is the velocity of particle vs the center of mass, The total mass of the particles is simply their sum, The position vector of the center of mass is defined by, By inspection, and The total angular momentum of the collection of particles is the sum of the angular momentum of each particle, Expanding , Expanding , It can be shown that (see sidebar), and therefore the second and third terms vanish, The first term can be rearranged, and total angular momentum for the collection of particles is finally, The first term is the angular momentum of the center of mass relative to the origin. Similar to Single particle, below, it is the angular momentum of one particle of mass M at the center of mass moving with velocity V. The second term is the angular momentum of the particles moving relative to the center of mass, similar to Fixed center of mass, below. The result is general—the motion of the particles is not restricted to rotation or revolution about the origin or center of mass. The particles need not be individual masses, but can be elements of a continuous distribution, such as a solid body. Rearranging equation () by vector identities, multiplying both terms by "one", and grouping appropriately, gives the total angular momentum of the system of particles in terms of moment of inertia and angular velocity , Single particle case In the case of a single particle moving about the arbitrary origin, and equations () and () for total angular momentum reduce to, Case of a fixed center of mass For the case of the center of mass fixed in space with respect to the origin, and equations () and () for total angular momentum reduce to, Angular momentum in general relativity In modern (20th century) theoretical physics, angular momentum (not including any intrinsic angular momentum – see below) is described using a different formalism, instead of a classical pseudovector. In this formalism, angular momentum is the 2-form Noether charge associated with rotational invariance. As a result, angular momentum is not conserved for general curved spacetimes, unless it happens to be asymptotically rotationally invariant. In classical mechanics, the angular momentum of a particle can be reinterpreted as a plane element: in which the exterior product ∧ replaces the cross product × (these products have similar characteristics but are nonequivalent). This has the advantage of a clearer geometric interpretation as a plane element, defined from the x and p vectors, and the expression is true in any number of dimensions (two or higher). In Cartesian coordinates: or more compactly in index notation: The angular velocity can also be defined as an antisymmetric second order tensor, with components ωij. The relation between the two antisymmetric tensors is given by the moment of inertia which must now be a fourth order tensor: Again, this equation in L and ω as tensors is true in any number of dimensions. This equation also appears in the geometric algebra formalism, in which L and ω are bivectors, and the moment of inertia is a mapping between them. In relativistic mechanics, the relativistic angular momentum of a particle is expressed as an antisymmetric tensor of second order: in the language of four-vectors, namely the four position X and the four momentum P, and absorbs the above L together with the motion of the centre of mass of the particle. In each of the above cases, for a system of particles, the total angular momentum is just the sum of the individual particle angular momenta, and the centre of mass is for the system. Angular momentum in quantum mechanics In quantum mechanics, angular momentum (like other quantities) is expressed as an operator, and its one-dimensional projections have quantized eigenvalues. Angular momentum is subject to the Heisenberg uncertainty principle, implying that at any time, only one projection (also called "component") can be measured with definite precision; the other two then remain uncertain. Because of this, the axis of rotation of a quantum particle is undefined. Quantum particles do possess a type of non-orbital angular momentum called "spin", but this angular momentum does not correspond to a spinning motion. In relativistic quantum mechanics the above relativistic definition becomes a tensorial operator. Spin, orbital, and total angular momentum The classical definition of angular momentum as can be carried over to quantum mechanics, by reinterpreting r as the quantum position operator and p as the quantum momentum operator. L is then an operator, specifically called the orbital angular momentum operator. The components of the angular momentum operator satisfy the commutation relations of the Lie algebra so(3). Indeed, these operators are precisely the infinitesimal action of the rotation group on the quantum Hilbert space. (See also the discussion below of the angular momentum operators as
it is, in effect, stationary. All bodies are apparently attracted by its gravity in the same way, regardless of mass, and therefore all move approximately the same way under the same conditions. Solid bodies Angular momentum is also an extremely useful concept for describing rotating rigid bodies such as a gyroscope or a rocky planet. For a continuous mass distribution with density function ρ(r), a differential volume element dV with position vector r within the mass has a mass element dm = ρ(r)dV. Therefore, the infinitesimal angular momentum of this element is: and integrating this differential over the volume of the entire mass gives its total angular momentum: In the derivation which follows, integrals similar to this can replace the sums for the case of continuous mass. Collection of particles For a collection of particles in motion about an arbitrary origin, it is informative to develop the equation of angular momentum by resolving their motion into components about their own center of mass and about the origin. Given, is the mass of particle , is the position vector of particle vs the origin, is the velocity of particle vs the origin, is the position vector of the center of mass vs the origin, is the velocity of the center of mass vs the origin, is the position vector of particle vs the center of mass, is the velocity of particle vs the center of mass, The total mass of the particles is simply their sum, The position vector of the center of mass is defined by, By inspection, and The total angular momentum of the collection of particles is the sum of the angular momentum of each particle, Expanding , Expanding , It can be shown that (see sidebar), and therefore the second and third terms vanish, The first term can be rearranged, and total angular momentum for the collection of particles is finally, The first term is the angular momentum of the center of mass relative to the origin. Similar to Single particle, below, it is the angular momentum of one particle of mass M at the center of mass moving with velocity V. The second term is the angular momentum of the particles moving relative to the center of mass, similar to Fixed center of mass, below. The result is general—the motion of the particles is not restricted to rotation or revolution about the origin or center of mass. The particles need not be individual masses, but can be elements of a continuous distribution, such as a solid body. Rearranging equation () by vector identities, multiplying both terms by "one", and grouping appropriately, gives the total angular momentum of the system of particles in terms of moment of inertia and angular velocity , Single particle case In the case of a single particle moving about the arbitrary origin, and equations () and () for total angular momentum reduce to, Case of a fixed center of mass For the case of the center of mass fixed in space with respect to the origin, and equations () and () for total angular momentum reduce to, Angular momentum in general relativity In modern (20th century) theoretical physics, angular momentum (not including any intrinsic angular momentum – see below) is described using a different formalism, instead of a classical pseudovector. In this formalism, angular momentum is the 2-form Noether charge associated with rotational invariance. As a result, angular momentum is not conserved for general curved spacetimes, unless it happens to be asymptotically rotationally invariant. In classical mechanics, the angular momentum of a particle can be reinterpreted as a plane element: in which the exterior product ∧ replaces the cross product × (these products have similar characteristics but are nonequivalent). This has the advantage of a clearer geometric interpretation as a plane element, defined from the x and p vectors, and the expression is true in any number of dimensions (two or higher). In Cartesian coordinates: or more compactly in index notation: The angular velocity can also be defined as an antisymmetric second order tensor, with components ωij. The relation between the two antisymmetric tensors is given by the moment of inertia which must now be a fourth order tensor: Again, this equation in L and ω as tensors is true in any number of dimensions. This equation also appears in the geometric algebra formalism, in which L and ω are bivectors, and the moment of inertia is a mapping between them. In relativistic mechanics, the relativistic angular momentum of a particle is expressed as an antisymmetric tensor of second order: in the language of four-vectors, namely the four position X and the four momentum P, and absorbs the above L together with the motion of the centre of mass of the particle. In each of the above cases, for a system of particles, the total angular momentum is just the sum of the individual particle angular momenta, and the centre of mass is for the system. Angular momentum in quantum mechanics In quantum mechanics, angular momentum (like other quantities) is expressed as an operator, and its one-dimensional projections have quantized eigenvalues. Angular momentum is subject to the Heisenberg uncertainty principle, implying that at any time, only one projection (also called "component") can be measured with definite precision; the other two then remain uncertain. Because of this, the axis of rotation of a quantum particle is undefined. Quantum particles do possess a type of non-orbital angular momentum called "spin", but this angular momentum does not correspond to a spinning motion. In relativistic quantum mechanics the above relativistic definition becomes a tensorial operator. Spin, orbital, and total angular momentum The classical definition of angular momentum as can be carried over to quantum mechanics, by reinterpreting r as the quantum position operator and p as the quantum momentum operator. L is then an operator, specifically called the orbital angular momentum operator. The components of the angular momentum operator satisfy the commutation relations of the Lie algebra so(3). Indeed, these operators are precisely the infinitesimal action of the rotation group on the quantum Hilbert space. (See also the discussion below of the angular momentum operators as the generators of rotations.) However, in quantum physics, there is another type of angular momentum, called spin angular momentum, represented by the spin operator S. Almost all elementary particles have nonzero spin. Spin is often depicted as a particle literally spinning around an axis, but this is a misleading and inaccurate picture: spin is an intrinsic property of a particle, unrelated to any sort of motion in space and fundamentally different from orbital angular momentum. All elementary particles have a characteristic spin (possibly zero), for example electrons have "spin 1/2" (this actually means "spin ħ/2"), photons have "spin 1" (this actually means "spin ħ"), and pi-mesons have spin 0. Finally, there is total angular momentum J, which combines both the spin and orbital angular momentum of all particles and fields. (For one particle, .) Conservation of angular momentum applies to J, but not to L or S; for example, the spin–orbit interaction allows angular momentum to transfer back and forth between L and S, with the total remaining constant. Electrons and photons need not have integer-based values for total angular momentum, but can also have half-integer values. In molecules the total angular momentum F is the sum of the rovibronic (orbital) angular momentum N, the electron spin angular momentum S, and the nuclear spin angular momentum I. For electronic singlet states the rovibronic angular momentum is denoted J rather than N. As explained by Van Vleck, the components of the molecular rovibronic angular momentum referred to molecule-fixed axes have different commutation relations from those for the components about space-fixed axes. Quantization In quantum mechanics, angular momentum is quantized – that is, it cannot vary continuously, but only in "quantum leaps" between certain allowed values. For any system, the following restrictions on measurement results apply, where is the reduced Planck constant and is any Euclidean vector such as x, y, or z: (There are additional restrictions as well, see angular momentum operator for details.) The reduced Planck constant is tiny by everyday standards, about 10−34 J s, and therefore this quantization does not noticeably affect the angular momentum of macroscopic objects. However, it is very important in the microscopic world. For example, the structure of electron shells and subshells in chemistry is significantly affected by the quantization of angular momentum. Quantization of angular momentum was first postulated by Niels Bohr in his Bohr model of the atom and was later predicted by Erwin Schrödinger in his Schrödinger equation. Uncertainty In the definition , six operators are involved: The position operators , , , and the momentum operators , , . However, the Heisenberg uncertainty principle tells us that it is not possible for all six of these quantities to be known simultaneously with arbitrary precision. Therefore, there are limits to what can be known or measured about a particle's angular momentum. It turns out that the best that one can do is to simultaneously measure both the angular momentum vector's magnitude and its component along one axis. The uncertainty is closely related to the fact that different components of an angular momentum operator do not commute, for example . (For the precise commutation relations, see angular momentum operator.) Total angular momentum as generator of rotations As mentioned above, orbital angular momentum L is defined as in classical mechanics: , but total angular momentum J is defined in a different, more basic way: J is defined as the "generator of rotations". More specifically, J is defined so that the operator is the rotation operator that takes any system and rotates it by angle about the axis . (The "exp" in the formula refers to operator exponential) To put this the other way around, whatever our quantum Hilbert space is, we expect that the rotation group SO(3) will act on it. There is then an associated action of the Lie algebra so(3) of SO(3); the operators describing the action of so(3) on our Hilbert space are the (total) angular momentum operators. The relationship between the angular momentum operator and the rotation operators is the same as the relationship between Lie algebras and Lie groups in mathematics. The close relationship between angular momentum and rotations is reflected in Noether's theorem that proves that angular momentum is conserved whenever the laws of physics are rotationally invariant. Angular momentum in electrodynamics When describing the motion of a charged particle in an electromagnetic field, the canonical momentum P (derived from the Lagrangian for this system) is not gauge invariant. As a consequence, the canonical angular momentum L = r × P is not gauge invariant either. Instead, the momentum that is physical, the so-called kinetic momentum (used throughout this article), is (in SI units) where e is the electric charge of the particle and A the magnetic vector potential of the electromagnetic field. The gauge-invariant angular momentum, that is kinetic angular momentum, is given by The interplay with quantum mechanics is discussed further in the article on canonical commutation relations. Angular momentum in optics In classical Maxwell electrodynamics the Poynting vector is a linear momentum density of electromagnetic field. The angular momentum density vector is given by a vector product as in classical mechanics: The above identities are valid locally, i.e. in each space point in a given moment . Angular momentum in nature and the cosmos Tropical cyclones and other related weather phenomena involve conservation of angular momentum in order to explain the dynamics. Winds revolve slowly around low pressure systems, mainly due to the coriolis effect. If the low pressure intensifies and the slowly circulating air is drawn toward the center, the molecules must speed up in order to conserve angular momentum. By the time they reach the center, the speeds become destructive. Johannes Kepler determined the laws of planetary motion without knowledge of conservation of momentum. However, not long after his discovery their derivation was determined
atomic model quantized angular momentum as h/2. The Bohr Model was initially planar as the Nagaoka model, but Sommerfeld introduced elliptical orbits in the years 1914-1925 until the theory was overthrown by modern quantum mechanics. The colloquial nickname "plum pudding" was soon attributed to Thomson's model as the distribution of electrons within its positively charged region of space reminded many scientists of raisins, then called "plums", in the common English dessert, plum pudding. In 1909, Hans Geiger and Ernest Marsden conducted experiments with thin sheets of gold. Their professor, Ernest Rutherford, expected to find results consistent with Thomson's atomic model. It was not until 1911 that Rutherford correctly interpreted the experiment's results which implied the presence of a very small nucleus of positive charge at the center of each gold atom. This led to the development of the Rutherford model of the atom. Immediately after Rutherford published his results, Antonius Van den Broek made the intuitive proposal that the atomic number of an atom is the total number of units of charge present in its nucleus. Henry Moseley's 1913 experiments (see Moseley's law) provided the necessary evidence to support Van den Broek's proposal. The effective nuclear charge was found to be consistent with the atomic number (Moseley found only one unit of charge difference). This work culminated in the solar-system-like (but quantum-limited) Bohr model of the atom in the same year, in which a nucleus containing an atomic number of positive charges is surrounded by an equal number of electrons in orbital shells. As Thomson's model guided Rutherford's experiments, Bohr's model guided Moseley's research. Related scientific problems The plum pudding model with a single electron was used in part by the physicist Arthur Erich Haas in 1910 to estimate the numerical value of Planck's constant and the Bohr radius of hydrogen atoms. Haas' work estimated these values to within an order of magnitude and preceded the work of Niels Bohr by three years. Of note, the Bohr model itself provides reasonable predictions only for atomic and ionic systems with just one effective electron. A particularly useful mathematics problem related to the plum pudding model is the optimal distribution of equal point charges on a unit sphere, called the Thomson problem. The Thomson problem is a natural consequence of the plum pudding model in the absence of its uniform positive background charge. The classical electrostatic treatment of electrons confined to spherical quantum dots is also similar to their treatment in the plum pudding model. In this classical problem, the quantum dot is modeled as a simple dielectric sphere (in place of a uniform, positively charged sphere as in
angular momentum as h/2. The Bohr Model was initially planar as the Nagaoka model, but Sommerfeld introduced elliptical orbits in the years 1914-1925 until the theory was overthrown by modern quantum mechanics. The colloquial nickname "plum pudding" was soon attributed to Thomson's model as the distribution of electrons within its positively charged region of space reminded many scientists of raisins, then called "plums", in the common English dessert, plum pudding. In 1909, Hans Geiger and Ernest Marsden conducted experiments with thin sheets of gold. Their professor, Ernest Rutherford, expected to find results consistent with Thomson's atomic model. It was not until 1911 that Rutherford correctly interpreted the experiment's results which implied the presence of a very small nucleus of positive charge at the center of each gold atom. This led to the development of the Rutherford model of the atom. Immediately after Rutherford published his results, Antonius Van den Broek made the intuitive proposal that the atomic number of an atom is the total number of units of charge present in its nucleus. Henry Moseley's 1913 experiments (see Moseley's law) provided the necessary evidence to support Van den Broek's proposal. The effective nuclear charge was found to be consistent with the atomic number (Moseley found only one unit of charge difference). This work culminated in the solar-system-like (but quantum-limited) Bohr model of the atom in the same year, in which a nucleus containing an atomic number of positive charges is surrounded by an equal number of electrons in orbital shells. As Thomson's model guided Rutherford's experiments, Bohr's model guided Moseley's research. Related scientific problems The plum pudding model with a single electron was used in part by the physicist Arthur Erich Haas in 1910 to estimate the numerical value of Planck's constant and the Bohr radius of hydrogen atoms. Haas' work estimated these values to within an order of magnitude and preceded the work of Niels Bohr by three years. Of note, the Bohr model itself provides reasonable predictions only for atomic and ionic systems with just one effective electron. A particularly useful mathematics problem related to the plum pudding model is the optimal distribution of equal point charges on a unit sphere, called the Thomson problem. The Thomson problem is a natural consequence of the plum pudding model in the absence of its uniform positive background charge. The classical electrostatic treatment of electrons confined to spherical quantum dots is also
expanded upon this previous work and defended a new idea, later known as the law of multiple proportions: if the same two elements can be combined to form a number of different compounds, then the ratios of the masses of the two elements in their various compounds will be represented by small whole numbers. This is a common pattern in chemical reactions that was observed by Dalton and other chemists at the time. Example 1 — tin oxides: Dalton identified two oxides of tin. One is a grey powder in which for every 100 parts of tin there is 13.5 parts of oxygen. The other oxide is a white powder in which for every 100 parts of tin there is 27 parts of oxygen. 13.5 and 27 form a ratio of 1:2. These oxides are today known as tin(II) oxide (SnO) and tin(IV) oxide (SnO2) respectively. Example 2 — iron oxides: Dalton identified two oxides of iron. One is a black powder in which for every 100 parts of iron there is about 28 parts of oxygen. The other is a red powder in which for every 100 parts of iron there is 42 parts of oxygen. 28 and 42 form a ratio of 2:3. These oxides are today known as iron(II) oxide (better known as wüstite) and iron(III) oxide (the major constituent of rust). Their formulas are FeO and Fe2O3 respectively. Example 3 — nitrogen oxides: There are three oxides of nitrogen in which for every 140 g of nitrogen, there is 80 g, 160 g, and 320 g of oxygen respectively, which gives a ratio of 1:2:4. These are nitrous oxide (N2O), nitric oxide (NO), and nitrogen dioxide (NO2) respectively. This recurring pattern suggested that chemicals do not react in any arbitrary quantity, but in multiples of some basic indivisible unit of mass. In his writings, Dalton used the term "atom" to refer to the basic particle of any chemical substance, not strictly for elements as is the practice today. Dalton did not use the word "molecule"; instead, he used the terms "compound atom" and "elementary atom". Dalton proposed that each chemical element is composed of atoms of a single, unique type, and though they cannot be altered or destroyed by chemical means, they can combine to form more complex structures (chemical compounds). This marked the first truly scientific theory of the atom, since Dalton reached his conclusions by experimentation and examination of the results in an empirical fashion. In 1803 Dalton referred to a list of relative atomic weights for a number of substances in a talk before the Manchester Literary and Philosophical Society on the solubility of various gases, such as carbon dioxide and nitrogen, in water. Dalton did not indicate how he obtained the relative weights, but he initially hypothesized that variation in solubility was due to differences in mass and complexity of the gas particles – an idea that he abandoned by the time the paper was finally published in 1805. Over the years, several historians have attributed the development of Dalton’s atomic theory to his study of gaseous solubility, but a recent study of his laboratory notebook entries concludes he developed the chemical atomic theory in 1803 to reconcile Cavendish’s and Lavoisier’s analytical data on the composition of nitric acid, not to explain the solubility of gases in water. Thomas Thomson published the first brief account of Dalton’s atomic theory in the third edition of his book, A System of Chemistry. In 1808 Dalton published a fuller account in the first part of A New System of Chemical Philosophy. However, it was not until 1811 that Dalton provided his rationale for his theory of multiple proportions. Dalton estimated the atomic weights according to the mass ratios in which they combined, with the hydrogen atom taken as unity. However, Dalton did not conceive that with some elements atoms exist in molecules—e.g. pure oxygen exists as O2. He also mistakenly believed that the simplest compound between any two elements is always one atom of each (so he thought water was HO, not H2O). This, in addition to the crudity of his equipment, flawed his results. For instance, in 1803 he believed that oxygen atoms were 5.5 times heavier than hydrogen atoms, because in water he measured 5.5 grams of oxygen for every 1 gram of hydrogen and believed the formula for water was HO. Adopting better data, in 1806 he concluded that the atomic weight of oxygen must actually be 7 rather than 5.5, and he retained this weight for the rest of his life. Others at this time had already concluded that the oxygen atom must weigh 8 relative to hydrogen equals 1, if one assumes Dalton's formula for the water molecule (HO), or 16 if one assumes the modern water formula (H2O). Avogadro The flaw in Dalton's theory was corrected in principle in 1811 by Amedeo Avogadro. Avogadro had proposed that equal volumes of any two gases, at equal temperature and pressure, contain equal numbers of molecules (in other words, the mass of a gas's particles does not affect the volume that it occupies). Avogadro's law allowed him to deduce the diatomic nature of numerous gases by studying the volumes at which they reacted. For instance: since two liters of hydrogen will react with just one liter of oxygen to produce two liters of water vapor (at constant pressure and temperature), it meant a single oxygen molecule splits in two in order to form two particles of water. Thus, Avogadro was able to offer more accurate estimates of the atomic mass of oxygen and various other elements, and made a clear distinction between molecules and atoms. Brownian Motion In 1827, the British botanist Robert Brown observed that dust particles inside pollen grains floating in water constantly jiggled about for no apparent reason. In 1905, Albert Einstein theorized that this Brownian motion was caused by the water molecules continuously knocking the grains about, and developed a hypothetical mathematical model to describe it. This model was validated experimentally in 1908 by French physicist Jean Perrin, thus providing additional validation for particle theory (and by extension atomic theory). Statistical Mechanics In order to introduce the Ideal gas law and statistical forms of physics, it was necessary to postulate the existence of atoms. In 1738, Swiss physicist and mathematician Daniel Bernoulli postulated that the pressure of gases and heat were both caused by the underlying motion of molecules. In 1860, James Clerk Maxwell, who was a vocal proponent of atomism, was the first to use statistical mechanics in physics. Ludwig Boltzmann and Rudolf Clausius expanded his work on gases and the laws of Thermodynamics especially the second law relating to entropy. In the 1870s, Josiah Willard Gibbs, sometimes referred to as America’s greatest physicist, extended the laws of entropy and thermodynamics and coined the term “statistical mechanics.” Einstein later independently reinvented Gibb’s laws, because they had only been printed in an obscure American journal. Einstein later commented, had he known of Gibb’s work he would “not have published those papers at all, but confined myself to the treatment of some few points [that were distinct].” All of statistical mechanics and the laws of heat, gas, and entropy were necessarily postulated upon the existence of atoms. Discovery of subatomic particles Atoms were thought to be the smallest possible division of matter until 1897 when J. J. Thomson discovered the electron through his work on cathode rays. A Crookes tube is a sealed glass container in which two electrodes are separated by a vacuum. When a voltage is applied across the electrodes, cathode rays are generated, creating a glowing patch where they strike the glass at the opposite end of the tube.
established by the French chemist Joseph Proust in 1797 this law states that if a compound is broken down into its constituent chemical elements, then the masses of the constituents will always have the same proportions by weight, regardless of the quantity or source of the original substance. John Dalton studied and expanded upon this previous work and defended a new idea, later known as the law of multiple proportions: if the same two elements can be combined to form a number of different compounds, then the ratios of the masses of the two elements in their various compounds will be represented by small whole numbers. This is a common pattern in chemical reactions that was observed by Dalton and other chemists at the time. Example 1 — tin oxides: Dalton identified two oxides of tin. One is a grey powder in which for every 100 parts of tin there is 13.5 parts of oxygen. The other oxide is a white powder in which for every 100 parts of tin there is 27 parts of oxygen. 13.5 and 27 form a ratio of 1:2. These oxides are today known as tin(II) oxide (SnO) and tin(IV) oxide (SnO2) respectively. Example 2 — iron oxides: Dalton identified two oxides of iron. One is a black powder in which for every 100 parts of iron there is about 28 parts of oxygen. The other is a red powder in which for every 100 parts of iron there is 42 parts of oxygen. 28 and 42 form a ratio of 2:3. These oxides are today known as iron(II) oxide (better known as wüstite) and iron(III) oxide (the major constituent of rust). Their formulas are FeO and Fe2O3 respectively. Example 3 — nitrogen oxides: There are three oxides of nitrogen in which for every 140 g of nitrogen, there is 80 g, 160 g, and 320 g of oxygen respectively, which gives a ratio of 1:2:4. These are nitrous oxide (N2O), nitric oxide (NO), and nitrogen dioxide (NO2) respectively. This recurring pattern suggested that chemicals do not react in any arbitrary quantity, but in multiples of some basic indivisible unit of mass. In his writings, Dalton used the term "atom" to refer to the basic particle of any chemical substance, not strictly for elements as is the practice today. Dalton did not use the word "molecule"; instead, he used the terms "compound atom" and "elementary atom". Dalton proposed that each chemical element is composed of atoms of a single, unique type, and though they cannot be altered or destroyed by chemical means, they can combine to form more complex structures (chemical compounds). This marked the first truly scientific theory of the atom, since Dalton reached his conclusions by experimentation and examination of the results in an empirical fashion. In 1803 Dalton referred to a list of relative atomic weights for a number of substances in a talk before the Manchester Literary and Philosophical Society on the solubility of various gases, such as carbon dioxide and nitrogen, in water. Dalton did not indicate how he obtained the relative weights, but he initially hypothesized that variation in solubility was due to differences in mass and complexity of the gas particles – an idea that he abandoned by the time the paper was finally published in 1805. Over the years, several historians have attributed the development of Dalton’s atomic theory to his study of gaseous solubility, but a recent study of his laboratory notebook entries concludes he developed the chemical atomic theory in 1803 to reconcile Cavendish’s and Lavoisier’s analytical data on the composition of nitric acid, not to explain the solubility of gases in water. Thomas Thomson published the first brief account of Dalton’s atomic theory in the third edition of his book, A System of Chemistry. In 1808 Dalton published a fuller account in the first part of A New System of Chemical Philosophy. However, it was not until 1811 that Dalton provided his rationale for his theory of multiple proportions. Dalton estimated the atomic weights according to the mass ratios in which they combined, with the hydrogen atom taken as unity. However, Dalton did not conceive that with some elements atoms exist in molecules—e.g. pure oxygen exists as O2. He also mistakenly believed that the simplest compound between any two elements is always one atom of each (so he thought water was HO, not H2O). This, in addition to the crudity of his equipment, flawed his results. For instance, in 1803 he believed that oxygen atoms were 5.5 times heavier than hydrogen atoms, because in water he measured 5.5 grams of oxygen for every 1 gram of hydrogen and believed the formula for water was HO. Adopting better data, in 1806 he concluded that the atomic weight of oxygen must actually be 7 rather than 5.5, and he retained this weight for the rest of his life. Others at this time had already concluded that the oxygen atom must weigh 8 relative to hydrogen equals 1, if one assumes Dalton's formula for the water molecule (HO), or 16 if one assumes the modern water formula (H2O). Avogadro The flaw in Dalton's theory was corrected in principle in 1811 by Amedeo Avogadro. Avogadro had proposed that equal volumes of any two gases, at equal temperature and pressure, contain equal numbers of molecules (in other words, the mass of a gas's particles does not affect the volume that it occupies). Avogadro's law allowed him to deduce the diatomic nature of numerous gases by studying the volumes at which they reacted. For instance: since two liters of hydrogen will react with just one liter of oxygen to produce two liters of water vapor (at constant pressure and temperature), it meant a single oxygen molecule splits in two in order to form two particles of water. Thus, Avogadro was able to offer more accurate estimates of the atomic mass of oxygen and various other elements, and made a clear distinction between molecules and atoms. Brownian Motion In 1827, the British botanist Robert Brown observed that dust particles inside pollen grains floating in water constantly jiggled about for no apparent reason. In 1905, Albert Einstein theorized that this Brownian motion was caused by the water molecules continuously knocking the grains about, and developed a hypothetical mathematical model to describe it. This model was validated experimentally in 1908 by French physicist Jean Perrin, thus providing additional validation for particle theory (and by extension atomic theory). Statistical Mechanics In order to introduce the Ideal gas law and statistical forms of physics, it was necessary to postulate the existence of atoms. In 1738, Swiss physicist and mathematician Daniel Bernoulli postulated that the pressure of gases and heat were both caused by the underlying motion of molecules. In 1860, James Clerk Maxwell, who was a vocal proponent of atomism, was the first to use statistical mechanics in physics. Ludwig Boltzmann and Rudolf Clausius expanded his work on gases and the laws of Thermodynamics especially the second law relating to entropy. In the 1870s, Josiah Willard Gibbs, sometimes referred to as America’s greatest physicist, extended the laws of entropy and thermodynamics and coined the term “statistical mechanics.” Einstein later independently reinvented Gibb’s laws, because they had only been printed in an obscure American journal. Einstein later commented, had he known of Gibb’s work he would “not have published those papers at all, but confined myself to the treatment of some few points [that were distinct].” All of statistical mechanics and the laws of heat, gas, and entropy were necessarily postulated upon the existence of atoms. Discovery of subatomic particles Atoms were thought to be the smallest possible division of matter until 1897 when J. J. Thomson discovered the electron through his work on cathode rays. A Crookes tube is a sealed glass container in which two electrodes are separated by a vacuum. When a voltage is applied across the electrodes, cathode rays are generated, creating a glowing patch where they strike the glass at the opposite end of the tube. Through experimentation, Thomson discovered that the rays could be deflected by an electric field (in addition to magnetic fields, which was already known). He concluded that these rays, rather than being a form of light, were composed of very light negatively charged particles he called "corpuscles" (they would later be renamed electrons by other scientists). He measured the mass-to-charge ratio and discovered it was 1800 times smaller than that of hydrogen, the smallest atom. These corpuscles were a particle unlike any other previously known. Thomson suggested that atoms were divisible, and that the corpuscles were their building blocks. To explain the overall neutral charge of the atom, he proposed that the corpuscles were distributed in a uniform sea of positive charge; this was the plum pudding model as the electrons were embedded in the positive charge like raisins in a plum pudding (although in Thomson's model they were not stationary). The reason J.J. Thompson’s spherical positive charge model interspersed with negative electrons was most widely accepted over several different versions of nuclear planetary models was that the Thompson model could best align with classical physics. Solar system models proposed before Thompson always resulted in atoms spiraling into the nucleus. Discovery of the nucleus Thomson's plum pudding model was disproved in 1909 by one of his former students, Ernest Rutherford, who discovered that most of the mass and positive charge of an atom is concentrated in a very small fraction of its volume, which he assumed to be at the very center. Ernest Rutherford and his colleagues Hans Geiger and Ernest Marsden came to have doubts about the Thomson model after they encountered difficulties when they tried to build an instrument to measure the charge-to-mass ratio of alpha particles (these are positively-charged particles emitted by certain radioactive substances such as radium). The alpha particles were being scattered by the air in the detection chamber, which made the measurements unreliable. Thomson had encountered a similar problem in his work on cathode rays, which he solved by creating a near-perfect vacuum in his instruments. Rutherford didn't think he'd run into this same problem because alpha particles are much heavier than electrons. According to Thomson's model of the atom, the positive charge in the atom is not concentrated enough to produce an electric field strong enough to deflect an alpha particle, and the electrons are so lightweight they should be pushed aside effortlessly by the much heavier alpha particles. Yet there was scattering, so Rutherford and his colleagues decided to investigate this scattering carefully. Between 1908 and 1913, Rutherford and his colleagues performed a series of experiments in which they bombarded thin foils of metal with alpha particles. They spotted alpha particles being deflected by angles greater than 90°. To explain this, Rutherford proposed that the positive charge of the atom is not
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that Muslims in Myanmar have been subject to ethnic cleansing, insisting that the tensions were due to a "climate of fear" caused by "a worldwide perception that global Muslim power is 'very great. She did condemn "hate of any kind" in the interview. According to Peter Popham, in the aftermath of the interview, she expressed anger at being interviewed by a Muslim. Husain had challenged Aung San Suu Kyi that almost all of the impact of violence was against the Rohingya, in response to Aung San Suu Kyi's claim that violence was happening on both sides, and Peter Popham described her position on the issue as one of purposeful ambiguity for political gain. However, she said that she wanted to work towards reconciliation and she cannot take sides as violence has been committed by both sides. According to The Economist, her "halo has even slipped among foreign human-rights lobbyists, disappointed at her failure to make a clear stand on behalf of the Rohingya minority". However, she has spoken out "against a ban on Rohingya families near the Bangladeshi border having more than two children". In a 2015 BBC News article, reporter Jonah Fisher suggested that Aung San Suu Kyi's silence over the Rohingya issue is due to a need to obtain support from the majority Bamar ethnicity as she is in "the middle of a general election campaign". In May 2015, the Dalai Lama publicly called upon her to do more to help the Rohingya in Myanmar, claiming that he had previously urged her to address the plight of the Rohingya in private during two separate meetings and that she had resisted his urging. In May 2016, Aung San Suu Kyi asked the newly appointed United States Ambassador to Myanmar, Scot Marciel, not to refer to the Rohingya by that name as they "are not recognized as among the 135 official ethnic groups" in Myanmar. This followed Bamar protests at Marciel's use of the word "Rohingya". In 2016, Aung San Suu Kyi was accused of failing to protect Myanmar's Rohingya Muslims during the 2016–17 persecution. State crime experts from Queen Mary University of London warned that Aung San Suu Kyi is "legitimising genocide" in Myanmar. Despite continued persecution of the Rohingya well into 2017, Aung San Suu Kyi was "not even admitting, let alone trying to stop, the army's well-documented campaign of rape, murder and destruction against Rohingya villages". On 4 September 2017, Yanghee Lee, the UN's special rapporteur on human rights in Myanmar, criticised Aung San Suu Kyi's response to the "really grave" situation in Rakhine, saying: "The de facto leader needs to step in—that is what we would expect from any government, to protect everybody within their own jurisdiction." The BBC reported that "Her comments came as the number of Rohingya fleeing to Bangladesh reached 87,000, according to UN estimates", adding that "her sentiments were echoed by Nobel Peace laureate Malala Yousafzai, who said she was waiting to hear from Ms Suu Kyi—who has not commented on the crisis since it erupted". The next day George Monbiot, writing in The Guardian, called on readers to sign a change.org petition to have the Nobel peace prize revoked, criticising her silence on the matter and asserting "whether out of prejudice or out of fear, she denies to others the freedoms she rightly claimed for herself. Her regime excludes—and in some cases seeks to silence—the very activists who helped to ensure her own rights were recognised." The Nobel Foundation replied that there existed no provision for revoking a Nobel Prize. Archbishop Desmond Tutu, a fellow peace prize holder, also criticised Aung San Suu Kyi's silence: in an open letter published on social media, he said: "If the political price of your ascension to the highest office in Myanmar is your silence, the price is surely too steep ... It is incongruous for a symbol of righteousness to lead such a country." On 13 September it was revealed that Aung San Suu Kyi would not be attending a UN General Assembly debate being held the following week to discuss the humanitarian crisis, with a Myanmar government spokesman stating "perhaps she has more pressing matters to deal with". In October 2017, Oxford City Council announced that, following a unanimous cross-party vote, the honour of Freedom of the City, granted in 1997 in recognition of her "long struggle for democracy", was to be withdrawn following evidence emerging from the United Nations which meant that she was "no longer worthy of the honour". A few days later, Munsur Ali, a councillor for City of London Corporation, tabled a motion to rescind the Freedom of the City of London: the motion was supported by Catherine McGuinness, chair of the corporation's policy and resources committee, who expressed "distress ... at the situation in Burma and the atrocities committed by the Burmese military". On 13 November 2017, Bob Geldof returned his Freedom of the City of Dublin award in protest over Aung San Suu Kyi also holding the accolade, stating that he does not "wish to be associated in any way with an individual currently engaged in the mass ethnic cleansing of the Rohingya people of north-west Burma". Calling Aung San Suu Kyi a "handmaiden to genocide", Geldof added that he would take pride in his award being restored if it is first stripped from her. The Dublin City Council voted 59–2 (with one abstention) to revoke Aung San Suu Kyi's Freedom of the City award over Myanmar's treatment of the Rohingya people in December 2017, though Lord Mayor of Dublin Mícheál Mac Donncha denied the decision was influenced by protests by Geldof and members of U2. At the same meeting, the Councillors voted 37–7 (with 5 abstentions) to remove Geldof's name from the Roll of Honorary Freemen. In March 2018, the United States Holocaust Memorial Museum revoked Aung San Suu Kyi's Elie Wiesel Award, awarded in 2012, citing her failure "to condemn and stop the military's brutal campaign" against Rohingya Muslims. In May 2018, Aung San Suu Kyi was considered complicit in the crimes against Rohingyas in a report by Britain's International Development Committee. In August 2018, it was revealed that Aung San Suu Kyi would be stripped of her Freedom of Edinburgh award over her refusal to speak out against the crimes committed against the Rohingya. She had received the award in 2005 for promoting peace and democracy in Burma. This will be only the second time that anyone has ever been stripped of the award, after Charles Stewart Parnell lost it in 1890 due to a salacious affair. Also in August, a UN report, while describing the violence as genocide, added that Aung San Suu Kyi did as little as possible to prevent it. In early October 2018, both the Canadian Senate and its House of Commons voted unanimously to strip Aung San Suu Kyi of her honorary citizenship. This decision was caused by the Government of Canada's determination that the treatment of the Rohingya by Myanmar's government amounts to genocide. On 11 November 2018, Amnesty International announced it was revoking her Ambassador of Conscience award. In December 2019, Aung San Suu Kyi appeared in the International Court of Justice at The Hague where she defended the Burmese military against allegations of genocide against the Rohingya. In a speech of over 3,000 words, Aung San Suu Kyi did not use the term "Rohingya" in describing the ethnic group. She stated that the allegations of genocide were "incomplete and misleading", claiming that the situation was actually a Burmese military response to attacks by the Arakan Rohingya Salvation Army. She also questioned how there could be "genocidal intent" when the Burmese government had opened investigations and also encouraged Rohingya to return after being displaced. However, experts have largely criticized the Burmese investigations as insincere, with the military declaring itself innocent and the government preventing a visit from investigators from the United Nations. Many Rohingya have also not returned due to perceiving danger and a lack of rights in Myanmar. In January 2020, the International Court of Justice decided that there was a "real and imminent risk of irreparable prejudice to the rights" of the Rohingya. The court also took the view that the Burmese government's efforts to remedy the situation "do not appear sufficient" enough to protect the Rohingya. Therefore, the court ordered the Burmese government to take "all measures within its power" to protect the Rohingya from genocidal actions. The court also instructed the Burmese government to preserve evidence and report back to the court at timely intervals about the situation. Arrests and prosecution of journalists In December 2017, two Reuters journalists, Wa Lone and Kyaw Soe Oo, were arrested while investigating the Inn Din massacre of Rohingyas. Suu Kyi publicly commented in June 2018 that the journalists "weren't arrested for covering the Rakhine issue", but because they had broken Myanmar's Official Secrets Act. As the journalists were then on trial for violating the Official Secrets Act, Aung San Suu Kyi's presumption of their guilt were criticized by rights groups for potentially influencing the verdict. American diplomat Bill Richardson said that he had privately discussed the arrest with Suu Kyi, and that Aung San Suu Kyi reacted angrily and labelled the journalists "traitors". A police officer testified that he was ordered by superiors to use entrapment to frame and arrest the journalists; he was later jailed and his family evicted from their home in the police camp. The judge found the journalists guilty in September 2018 and to be jailed for seven years. Aung San Suu Kyi reacted to widespread international criticism of the verdict by stating: "I don't think anyone has bothered to read" the judgement as it had "nothing to do with freedom of expression at all", but the Official Secrets Act. She also challenged critics to "point out where there has been a miscarriage of justice", and told the two Reuters journalists that they could appeal their case to a higher court. In September 2018, the Office of the United Nations High Commissioner for Human Rights issued a report that since Aung San Suu Kyi's party, the NLD, came to power, the arrests and criminal prosecutions of journalists in Myanmar by the government and military, under laws which are too vague and broad, have "made it impossible for journalists to do their job without fear or favour." 2021 arrest and trial On 1 February 2021, Aung San Suu Kyi was arrested and deposed by the Myanmar military, along with other leaders of her National League for Democracy (NLD) party, after the Myanmar military declared the November 2020 general election results fraudulent. A 1 February court order authorized her detainment for 15 days, stating that soldiers searching her Naypyidaw villa had uncovered imported communications equipment lacking proper paperwork. Aung San Suu Kyi was transferred to house arrest on the same evening, and on 3 February was formally charged with illegally importing ten or more walkie-talkies. She faces up to three years in prison for the charges. According to The New York Times, the charge "echoed previous accusations of esoteric legal crimes (and) arcane offenses" used by the military against critics and rivals. As of 9 February, Aung San Suu Suu Kyi continues to be held incommunicado. US President Joe Biden raised the threat of new sanctions as a result of the Myanmar military coup. In a statement, the UN Secretary-General António Guterres believes "These developments represent a serious blow to democratic reforms in Myanmar." Volkan Bozkir, President of the UN General Assembly, also voiced his concerns, having tweeted "Attempts to undermine democracy and rule of law are unacceptable", and called for the "immediate release" of the detained NLD party leaders. On 1 April 2021, Aung San Suu Kyi was charged with the fifth offence, a British-era colonial law of violating the official secrets act. According to her lawyer, it is the most serious charge brought against her after the coup and could carry a sentence of up to 14-years in prison if convicted. On 12 April 2021, Aung San Suu Kyi was hit with another charge, this time "under section 25 of the natural disaster management law". According to her lawyer, it is her sixth indictment. She appeared in court via video link and now faces five charges in the capital Naypyidaw and one in Yangon. On 28 April 2021, the National Unity Government (NUG), in which Aung San Suu Kyi symbolically remains in her position, anticipated that there would be no talks with the junta until all political prisoners, including her, are set free. This move by her supporters come after an ASEAN-supported consensus with the junta leadership in the past days. However, on 8 May 2021, the junta designated NUG as a terrorist organization and warned citizens not to cooperate, or give aid to the parallel government, stripping Aung San Suu Kyi of her symbolic position. On 10 May 2021, her lawyer said she would appear in court in person for the first time since her arrest after the Supreme Court ruled that she could attend in person and meet her lawyers. She had been previously only allowed to do so remotely from her home. On 21 May 2021, a military junta commission was formed to dissolve Aung San Suu Kyi's National League for Democracy (NLD) on grounds of election fraud in the November 2020 election. On 22 May 2021, during his first interview since the coup, junta leader Min Aung Hlaing reported that she was in good health at her home and that she would appear in court in a matter of days. On 23 May 2021, the European Union expressed support for Aung San Suu Kyi's party and condemned the commission aimed at dissolving the party, echoing the NLD's statement released earlier in the week. On 24 May 2021, Aung San Suu Kyi appeared in person in court for the first time since the coup to face the "incitement to sedition" charge against her. During the 30-minute hearing, she said that she was not fully aware of what was going on outside as she had no access to full information from the outside and refused to respond on the matters. She was also quoted on the possibility of her party forced dissolution as "Our party grew out of the people so it will exist as long as people support it." In her meeting with her lawyers, Aung San Suu Kyi also wished people "good health." On 2 June 2021, it was reported that the military had moved her (as well as Win Myint) from their homes to an unknown location. On 10 June 2021, Aung San Suu Kyi was charged with corruption, the most serious charge brought against her, which carries a maximum penalty of 15 years' imprisonment. Aung San Suu Kyi's lawyers say the charges are made to keep her out of the public eye. On 14 June 2021, the trial against Aung San Suu Kyi began. Any conviction would prevent her from running for office again. Aung San Suu Kyi's lawyers attempted to have prosecution testimony against her on the sedition charge disqualified but the motion was denied by the judge. On 13 September 2021, court proceedings were to resume against her, but it was postponed due to Aung San Suu Kyi presenting "minor health issues" that impeded her from attending the court in person. On 4 October 2021, Suu Kyi asked the judge to reduce her times of court appearances because of her fragile health. Suu Kyi described her health as "strained." In November, the Myanmar courts deferred the first verdicts in the trial without further explanation or giving dates. In the same month, she was charged with another charge of corruption, related to the purchase and rental of a helicopter, amounting to nearly a dozen of charges that she faces now. On 6 December 2021, Suu Kyi was sentenced to 4 years in jail. Suu Kyi, who is still facing multiple charges and further sentences, was sentenced on the charge of inciting dissent and violating COVID-19 protocols. Following a partial pardon by the chief of the military government, Aung San Suu Kyi's four-year sentence was reduced to two years' imprisonment. On 10 January 2022, the military court in Myanmar sentenced Suu Kyi to an additional four years in prison on a number of charges including "importing and owning walkie-talkies" and "breaking coronavirus rules". The trials, which are closed to the public, the media, and any observers, were described as a “courtroom circus of secret proceedings on bogus charges” by the Deputy Director of for Asia of Human Rights Watch. Political beliefs Asked what democratic models Myanmar could look to, she said: "We have many, many lessons to learn from various places, not just the Asian countries like South Korea, Taiwan, Mongolia, and Indonesia." She also cited "eastern Europe and countries, which made the transition from communist autocracy to democracy in the 1980s and 1990s, and the Latin American countries, which made the transition from military governments. And we cannot of course forget South Africa, because although it wasn't a military regime, it was certainly an authoritarian regime." She added: "We wish to learn from everybody who has achieved a transition to democracy, and also ... our great strong point is that, because we are so far behind everybody else, we can also learn which mistakes we should avoid." In a nod to the deep US political divide between Republicans led by Mitt Romney and the Democrats of Obama—then battling to win the 2012 presidential election—she stressed, "Those of you who are familiar with American politics I'm sure understand the need for negotiated compromise." Related organisations Freedom Now, a Washington, D.C.-based non-profit organisation, was retained in 2006 by a member of her family to help secure Aung San Suu Kyi's release from house arrest. The organisation secured several opinions from the UN Working Group on Arbitrary Detention that her detention was in violation of international law; engaged in political advocacy such as spearheading a letter from 112 former Presidents and Prime Ministers to UN Secretary-General Ban Ki-moon urging him to go to Burma to seek her release, which he did six weeks later; and published numerous op-eds and spoke widely to the media about her ongoing detention. Its representation of her ended when she was released from house arrest on 13 November 2010. Aung San Suu Kyi has been an honorary board member of International IDEA and ARTICLE 19 since her detention, and has received support from these organisations. The Vrije Universiteit Brussel and the University of Louvain (UCLouvain), both located in Belgium, granted her the title of Doctor Honoris Causa. In 2003, the Freedom Forum recognised Aung San Suu Kyi's efforts to promote democracy peacefully with the Al Neuharth Free Spirit of the Year Award, in which she was presented over satellite because she was under house arrest. She was awarded one million dollars. In June of each year, the U.S. Campaign for Burma organises hundreds of "Arrest Yourself" house parties around the world in support of Aung San Suu Kyi. At these parties, the organisers keep themselves under house arrest for 24 hours, invite their friends, and learn more about Burma and Aung San Suu Kyi. The Freedom Campaign, a joint effort between the Human Rights Action Center and US Campaign for Burma, looks to raise worldwide attention to the struggles of Aung San Suu Kyi and the people of Burma. The Burma Campaign UK is a UK-based NGO (Non-Governmental Organisation) that aims to raise awareness of Burma's struggles and follow the guidelines established by the NLD and Aung San Suu Kyi. St Hugh's College, Oxford, where she studied, had a Burmese theme for their annual ball in support of her in 2006. The university later awarded her an honorary doctorate in civil law on 20 June 2012 during her visitation on her alma mater. Aung San Suu Kyi is the official patron of The Rafto Human Rights House in Bergen, Norway. She received the Thorolf Rafto Memorial Prize in 1990. She was made an honorary free person of the City of Dublin, Ireland in November 1999, although a space had been left on the roll of signatures to symbolize her continued detention. This was subsequently revoked on 13 December 2017. In November 2005 the human rights group Equality Now proposed Aung Sun Suu Kyi as a potential candidate, among other qualifying women, for the position of U.N. Secretary General. In the proposed list of qualified women Aung San Suu Kyi is recognised by Equality Now as the Prime Minister-Elect of Burma. The UN' special envoy to Myanmar, Ibrahim Gambari, met Aung San Suu Kyi on 10 March 2008 before wrapping up his trip to the military-ruled country. Aung San Suu Kyi was an honorary member of The Elders, a group of eminent global leaders brought together by Nelson Mandela. Her ongoing detention meant that she was unable to take an active role in the group, so The Elders placed an empty chair for her at their meetings. The Elders have consistently called for the release of all political prisoners in Burma. Upon her election to parliament, she stepped down from her post. In 2010, Aung San Suu Kyi was given an honorary doctorate from the University of Johannesburg. In 2011, Aung San Suu Kyi was named the Guest Director of the 45th Brighton Festival. She was part of the international jury of Human Rights Defenders and Personalities who helped to choose a universal Logo for Human Rights in 2011. In June 2011, the BBC announced that Aung San Suu Kyi was to deliver the 2011 Reith Lectures. The BBC covertly recorded two lectures with Aung San Suu Kyi in Burma, which were then smuggled out of the country and brought back to London. The lectures were broadcast on BBC Radio 4 and the BBC World Service on 28 June 2011 and 5 July 2011. 8 March 2012, Canadian Foreign Affairs Minister John Baird presented Aung San Suu Kyi a certificate of honorary Canadian citizenship and an informal invitation to visit Canada. The honorary citizenship was revoked in September 2018 due to the Rohingya conflict. In April 2012, British Prime Minister David Cameron became the first leader of a major world power to visit Aung San Suu Kyi and the first British prime minister to visit Burma since the 1950s. In his visit, Cameron invited Aung San Suu Kyi to Britain where she would be able to visit her 'beloved' Oxford, an invitation which she later accepted. She visited Britain on 19 June 2012. In 2012 she received the Honorary degree of Doctor of Civil Law from the University of Oxford. In May 2012, Aung San Suu Kyi received the inaugural Václav Havel Prize for Creative Dissent of the Human Rights Foundation. 29 May 2012 PM Manmohan Singh of India visited Aung San Suu Kyi. In his visit, PM invited Aung San Suu Kyi to India as well. She started her six-day visit to India on 16 November 2012, where among the places she visited was her alma mater Lady Shri Ram College in New Delhi. In 2012, Aung San Suu Kyi set up the charity Daw Khin Kyi Foundation to improve health, education and living standards in underdeveloped parts of Myanmar. The charity was named after Aung San Suu Kyi's mother. Htin Kyaw played a leadership role in the charity before his election as President of Myanmar. The charity runs a Hospitality and Catering Training Academy in Kawhmu Township, in Yangon Region, and runs a mobile library service which in 2014 had 8000 members. Seoul National University in South Korea conferred an honorary doctorate degree to Aung San Suu Kyi in February 2013. University of Bologna, Italy conferred an honorary doctorate degree in philosophy to Aung San Suu Kyi in October 2013. Monash University,
Obama asked the country's military leadership to set free all political prisoners, including Aung San Suu Kyi. In her appeal, Aung San Suu Kyi had argued that the conviction was unwarranted. However, her appeal against the August sentence was rejected by a Burmese court on 2 October 2009. Although the court accepted the argument that the 1974 constitution, under which she had been charged, was null and void, it also said the provisions of the 1975 security law, under which she has been kept under house arrest, remained in force. The verdict effectively meant that she would be unable to participate in the elections scheduled to take place in 2010—the first in Burma in two decades. Her lawyer stated that her legal team would pursue a new appeal within 60 days. Late 2000s: International support for release Aung San Suu Kyi has received vocal support from Western nations in Europe, Australia and North and South America, as well as India, Israel, Japan the Philippines and South Korea. In December 2007, the US House of Representatives voted unanimously 400–0 to award Aung San Suu Kyi the Congressional Gold Medal; the Senate concurred on 25 April 2008. On 6 May 2008, President George W. Bush signed legislation awarding Aung San Suu Kyi the Congressional Gold Medal. She is the first recipient in American history to receive the prize while imprisoned. More recently, there has been growing criticism of her detention by Burma's neighbours in the Association of Southeast Asian Nations, particularly from Indonesia, Thailand, the Philippines and Singapore. At one point Malaysia warned Burma that it faced expulsion from ASEAN as a result of the detention of Aung San Suu Kyi. Other nations including South Africa, Bangladesh and the Maldives also called for her release. The United Nations has urged the country to move towards inclusive national reconciliation, the restoration of democracy, and full respect for human rights. In December 2008, the United Nations General Assembly passed a resolution condemning the human rights situation in Burma and calling for Aung San Suu Kyi's release—80 countries voting for the resolution, 25 against and 45 abstentions. Other nations, such as China and Russia, are less critical of the regime and prefer to cooperate only on economic matters. Indonesia has urged China to push Burma for reforms. However, Samak Sundaravej, former Prime Minister of Thailand, criticised the amount of support for Aung San Suu Kyi, saying that "Europe uses Aung San Suu Kyi as a tool. If it's not related to Aung San Suu Kyi, you can have deeper discussions with Myanmar." Vietnam, however, did not support calls by other ASEAN member states for Myanmar to free Aung San Suu Kyi, state media reported Friday, 14 August 2009. The state-run Việt Nam News said Vietnam had no criticism of Myanmar's decision 11 August 2009 to place Aung San Suu Kyi under house arrest for the next 18 months, effectively barring her from elections scheduled for 2010. "It is our view that the Aung San Suu Kyi trial is an internal affair of Myanmar", Vietnamese government spokesman Le Dung stated on the website of the Ministry of Foreign Affairs. In contrast with other ASEAN member states, Dung said Vietnam has always supported Myanmar and hopes it will continue to implement the "roadmap to democracy" outlined by its government. Nobel Peace Prize winners (Archbishop Desmond Tutu, the Dalai Lama, Shirin Ebadi, Adolfo Pérez Esquivel, Mairead Corrigan, Rigoberta Menchú, Prof. Elie Wiesel, US President Barack Obama, Betty Williams, Jody Williams and former US President Jimmy Carter) called for the rulers of Burma to release Aung San Suu Kyi to "create the necessary conditions for a genuine dialogue with Daw Aung San Suu Kyi and all concerned parties and ethnic groups to achieve an inclusive national reconciliation with the direct support of the United Nations". Some of the money she received as part of the award helped fund higher education grants to Burmese students through the London-based charity Prospect Burma. It was announced prior to the 2010 Burmese general election that Aung San Suu Kyi may be released "so she can organize her party", However, Aung San Suu Kyi was not allowed to run. On 1 October 2010 the government announced that she would be released on 13 November 2010. US President Barack Obama personally advocated the release of all political prisoners, especially Aung San Suu Kyi, during the US-ASEAN Summit of 2009. The US Government hoped that successful general elections would be an optimistic indicator of the Burmese government's sincerity towards eventual democracy. The Hatoyama government which spent 2.82 billion yen in 2008, has promised more Japanese foreign aid to encourage Burma to release Aung San Suu Kyi in time for the elections; and to continue moving towards democracy and the rule of law. In a personal letter to Aung San Suu Kyi, UK Prime Minister Gordon Brown cautioned the Burmese government of the potential consequences of rigging elections as "condemning Burma to more years of diplomatic isolation and economic stagnation". Aung San Suu Kyi met with many heads of state and opened a dialog with the Minister of Labor Aung Kyi (not to be confused with Aung San Suu Kyi). She was allowed to meet with senior members of her NLD party at the State House, however these meetings took place under close supervision. 2010 release On the evening of 13 November 2010, Aung San Suu Kyi was released from house arrest. This was the date her detention had been set to expire according to a court ruling in August 2009 and came six days after a widely criticised general election. She appeared in front of a crowd of her supporters, who rushed to her house in Rangoon when nearby barricades were removed by the security forces. Aung San Suu Kyi had been detained for 15 of the past 21 years. The government newspaper New Light of Myanmar reported the release positively, saying she had been granted a pardon after serving her sentence "in good conduct". The New York Times suggested that the military government may have released Aung San Suu Kyi because it felt it was in a confident position to control her supporters after the election. Her son Kim Aris was granted a visa in November 2010 to see his mother shortly after her release, for the first time in 10 years. He visited again on 5 July 2011, to accompany her on a trip to Bagan, her first trip outside Yangon since 2003. Her son visited again on 8 August 2011, to accompany her on a trip to Pegu, her second trip. Discussions were held between Aung San Suu Kyi and the Burmese government during 2011, which led to a number of official gestures to meet her demands. In October, around a tenth of Burma's political prisoners were freed in an amnesty and trade unions were legalised. In November 2011, following a meeting of its leaders, the NLD announced its intention to re-register as a political party to contend 48 by-elections necessitated by the promotion of parliamentarians to ministerial rank. Following the decision, Aung San Suu Kyi held a telephone conference with US President Barack Obama, in which it was agreed that Secretary of State Hillary Clinton would make a visit to Burma, a move received with caution by Burma's ally China. On 1 December 2011, Aung San Suu Kyi met with Hillary Clinton at the residence of the top-ranking US diplomat in Yangon. On 21 December 2011, Thai Prime Minister Yingluck Shinawatra met Aung San Suu Kyi in Yangoon, marking Aung San Suu Kyi's "first-ever meeting with the leader of a foreign country". On 5 January 2012, British Foreign Minister William Hague met Aung San Suu Kyi and his Burmese counterpart. This represented a significant visit for Aung San Suu Kyi and Burma. Aung San Suu Kyi studied in the UK and maintains many ties there, whilst Britain is Burma's largest bilateral donor. During Aung San Suu Kyi's visit to Europe, she visited the Swiss parliament, collected her 1991 Nobel Prize in Oslo and her honorary degree from the University of Oxford. 2012 by-elections In December 2011, there was speculation that Aung San Suu Kyi would run in the 2012 national by-elections to fill vacant seats. On 18 January 2012, Aung San Suu Kyi formally registered to contest a Pyithu Hluttaw (lower house) seat in the Kawhmu Township constituency in special parliamentary elections to be held on 1 April 2012. The seat was previously held by Soe Tint, who vacated it after being appointed Construction Deputy Minister, in the 2010 election. She ran against Union Solidarity and Development Party candidate Soe Min, a retired army physician and native of Twante Township. On 3 March 2012, at a large campaign rally in Mandalay, Aung San Suu Kyi unexpectedly left after 15 minutes, because of exhaustion and airsickness. In an official campaign speech broadcast on Burmese state television's MRTV on 14 March 2012, Aung San Suu Kyi publicly campaigned for reform of the 2008 Constitution, removal of restrictive laws, more adequate protections for people's democratic rights, and establishment of an independent judiciary. The speech was leaked online a day before it was broadcast. A paragraph in the speech, focusing on the Tatmadaw's repression by means of law, was censored by authorities. Aung San Suu Suu Kyi also called for international media to monitor the by-elections, while publicly pointing out irregularities in official voter lists, which include deceased individuals and exclude other eligible voters in the contested constituencies. On 21 March 2012, Aung San Suu Kyi was quoted as saying "Fraud and rule violations are continuing and we can even say they are increasing." When asked whether she would assume a ministerial post if given the opportunity, she said the following: On 26 March 2012, Aung San Suu Kyi suspended her nationwide campaign tour early, after a campaign rally in Myeik (Mergui), a coastal town in the south, citing health problems due to exhaustion and hot weather. On 1 April 2012, the NLD announced that Aung San Suu Kyi had won the vote for a seat in Parliament. A news broadcast on state-run MRTV, reading the announcements of the Union Election Commission, confirmed her victory, as well as her party's victory in 43 of the 45 contested seats, officially making Aung San Suu Kyi the Leader of the Opposition in the Pyidaungsu Hluttaw. Although she and other MP-elects were expected to take office on 23 April when the Hluttaws resumed session, National League for Democracy MP-elects, including Aung San Suu Kyi, said they might not take their oaths because of its wording; in its present form, parliamentarians must vow to "safeguard" the constitution. In an address on Radio Free Asia, she said "We don't mean we will not attend the parliament, we mean we will attend only after taking the oath ... Changing that wording in the oath is also in conformity with the Constitution. I don't expect there will be any difficulty in doing it." On 2 May 2012, National League for Democracy MP-elects, including Aung San Suu Kyi, took their oaths and took office, though the wording of the oath was not changed. According to the Los Angeles Times, "Suu Kyi and her colleagues decided they could do more by joining as lawmakers than maintaining their boycott on principle." On 9 July 2012, she attended the Parliament for the first time as a lawmaker. 2015 general election On 16 June 2012, Aung San Suu Kyi was finally able to deliver her Nobel acceptance speech (Nobel lecture) at Oslo's City Hall, two decades after being awarded the peace prize. In September 2012, Aung San Suu Kyi received in person the United States Congressional Gold Medal, which is the highest Congressional award. Although she was awarded this medal in 2008, at the time she was under house arrest, and was unable to receive the medal. Aung San Suu Kyi was greeted with bipartisan support at Congress, as part of a coast-to-coast tour in the United States. In addition, Aung San Suu Kyi met President Barack Obama at the White House. The experience was described by Aung San Suu Kyi as "one of the most moving days of my life." In 2014, she was listed as the 61st-most-powerful woman in the world by Forbes. On 6 July 2012, Aung San Suu Kyi announced on the World Economic Forum's website that she wanted to run for the presidency in Myanmar's 2015 elections. The current Constitution, which came into effect in 2008, bars her from the presidency because she is the widow and mother of foreigners—provisions that appeared to be written specifically to prevent her from being eligible. The NLD won a sweeping victory in those elections, winning at least 255 seats in the House of Representatives and 135 seats in the House of Nationalities. In addition, Aung San Suu Kyi won re-election to the House of Representatives. Under the 2008 constitution, the NLD needed to win at least a two-thirds majority in both houses to ensure that its candidate would become president. Before the elections, Aung San Suu Kyi announced that even though she is constitutionally barred from the presidency, she would hold the real power in any NLD-led government. On 30 March 2016 she became Minister for the President's Office, for Foreign Affairs, for Education and for Electric Power and Energy in President Htin Kyaw's government; later she relinquished the latter two ministries and President Htin Kyaw appointed her State Counsellor, a position akin to a Prime Minister created especially for her. The position of State Counsellor was approved by the House of Nationalities on 1 April 2016 and the House of Representatives on 5 April 2016. The next day, her role as State Counsellor was established. State Counsellor and Foreign Minister (2016–2021) As soon as she became foreign minister, she invited Chinese Foreign Minister Wang Yi, Canadian Foreign Minister Stephane Dion and Italian Foreign Minister Paolo Gentiloni in April and Japanese Foreign Minister Fumio Kishida in May and discussed to have good diplomatic relationships with these countries. Initially, upon accepting the State Counsellor position, she granted amnesty to the students who were arrested for opposing the National Education Bill, and announced the creation of the commission on Rakhine State, which had a long record of persecution of the Muslim Rohingya minority. However, soon Aung San Suu Kyi's government did not manage with the ethnic conflicts in Shan and Kachin states, where thousands of refugees fled to China, and by 2017 the persecution of the Rohingya by the government forces escalated to the point that it is not uncommonly called a genocide. Aung San Suu Kyi, when interviewed, has denied the allegations of ethnic cleansing. She has also refused to grant citizenship to the Rohingya, instead taking steps to issue ID cards for residency but no guarantees of citizenship. Her tenure as State Counsellor of Myanmar has drawn international criticism for her failure to address her country's economic and ethnic problems, particularly the plight of the Rohingya following the 25 August 2017 ARSA attacks (described as "certainly one of the biggest refugee crises and cases of ethnic cleansing since the Second World War"), for the weakening of freedom of the press and for her style of leadership, described as imperious and "distracted and out of touch". During the COVID-19 pandemic in Myanmar, Suu Kyi chaired a National Central Committee responsible for coordinating the country's pandemic response. Response to violence against Rohingya Muslims and refugees In 2017, critics called for Aung San Suu Kyi's Nobel prize to be revoked, citing her silence over the persecution of Rohingya people in Myanmar. Some activists criticised Aung San Suu Kyi for her silence on the 2012 Rakhine State riots (later repeated during the 2015 Rohingya refugee crisis), and her indifference to the plight of the Rohingya, Myanmar's persecuted Muslim minority. In 2012, she told reporters she did not know if the Rohingya could be regarded as Burmese citizens. In a 2013 interview with the BBC's Mishal Husain, Aung San Suu Kyi did not condemn violence against the Rohingya and denied that Muslims in Myanmar have been subject to ethnic cleansing, insisting that the tensions were due to a "climate of fear" caused by "a worldwide perception that global Muslim power is 'very great. She did condemn "hate of any kind" in the interview. According to Peter Popham, in the aftermath of the interview, she expressed anger at being interviewed by a Muslim. Husain had challenged Aung San Suu Kyi that almost all of the impact of violence was against the Rohingya, in response to Aung San Suu Kyi's claim that violence was happening on both sides, and Peter Popham described her position on the issue as one of purposeful ambiguity for political gain. However, she said that she wanted to work towards reconciliation and she cannot take sides as violence has been committed by both sides. According to The Economist, her "halo has even slipped among foreign human-rights lobbyists, disappointed at her failure to make a clear stand on behalf of the Rohingya minority". However, she has spoken out "against a ban on Rohingya families near the Bangladeshi border having more than two children". In a 2015 BBC News article, reporter Jonah Fisher suggested that Aung San Suu Kyi's silence over the Rohingya issue is due to a need to obtain support from the majority Bamar ethnicity as she is in "the middle of a general election campaign". In May 2015, the Dalai Lama publicly called upon her to do more to help the Rohingya in Myanmar, claiming that he had previously urged her to address the plight of the Rohingya in private during two separate meetings and that she had resisted his urging. In May 2016, Aung San Suu Kyi asked the newly appointed United States Ambassador to Myanmar, Scot Marciel, not to refer to the Rohingya by that name as they "are not recognized as among the 135 official ethnic groups" in Myanmar. This followed Bamar protests at Marciel's use of the word "Rohingya". In 2016, Aung San Suu Kyi was accused of failing to protect Myanmar's Rohingya Muslims during the 2016–17 persecution. State crime experts from Queen Mary University of London warned that Aung San Suu Kyi is "legitimising genocide" in Myanmar. Despite continued persecution of the Rohingya well into 2017, Aung San Suu Kyi was "not even admitting, let alone trying to stop, the army's well-documented campaign of rape, murder and destruction against Rohingya villages". On 4 September 2017, Yanghee Lee, the UN's special rapporteur on human rights in Myanmar, criticised Aung San Suu Kyi's response to the "really grave" situation in Rakhine, saying: "The de facto leader needs to step in—that is what we would expect from any government, to protect everybody within their own jurisdiction." The BBC reported that "Her comments came as the number of Rohingya fleeing to Bangladesh reached 87,000, according to UN estimates", adding that "her sentiments were echoed by Nobel Peace laureate Malala Yousafzai, who said she was waiting to hear from Ms Suu Kyi—who has not commented on the crisis since it erupted". The next day George Monbiot, writing in The Guardian, called on readers to sign a change.org petition to have the Nobel peace prize revoked, criticising her silence on the matter and asserting "whether out of prejudice or out of fear, she denies to others the freedoms she rightly claimed for herself. Her regime excludes—and in some cases seeks to silence—the very activists who helped to ensure her own rights were recognised." The Nobel Foundation replied that there existed no provision for revoking a Nobel Prize. Archbishop Desmond Tutu, a fellow peace prize holder, also criticised Aung San Suu Kyi's silence: in an open letter published on social media, he said: "If the political price of your ascension to the highest office in Myanmar is your silence, the price is surely too steep ... It is incongruous for a symbol of righteousness to lead such a country." On 13 September it was revealed that Aung San Suu Kyi would not be attending a UN General Assembly debate being held the following week to discuss the humanitarian crisis, with a Myanmar government spokesman stating "perhaps she has more pressing matters to deal with". In October 2017, Oxford City Council announced that, following a unanimous cross-party vote, the honour of Freedom of the City, granted in 1997 in recognition of her "long struggle for democracy", was to be withdrawn following evidence emerging from the United Nations which meant that she was "no longer worthy of the honour". A few days later, Munsur Ali, a councillor for City of London Corporation, tabled a motion to rescind the Freedom of the City of London: the motion was supported by Catherine McGuinness, chair of the corporation's policy and resources committee, who expressed "distress ... at the situation in Burma and the atrocities committed by the Burmese military". On 13 November 2017, Bob Geldof returned his Freedom of the City of Dublin award in protest over Aung San Suu Kyi also holding the accolade, stating that he does not "wish to be associated in any way with an individual currently engaged in the mass ethnic cleansing of the Rohingya people of north-west Burma". Calling Aung San Suu Kyi a "handmaiden to genocide", Geldof added that he would take pride in his award being restored if it is first stripped from her. The Dublin City Council voted 59–2 (with one abstention) to revoke Aung San Suu Kyi's Freedom of the City award over Myanmar's treatment of the Rohingya people in December 2017, though Lord Mayor of Dublin Mícheál Mac Donncha denied the decision was influenced by protests by Geldof and members of U2. At the same meeting, the Councillors voted 37–7 (with 5 abstentions) to remove Geldof's name from the Roll of Honorary Freemen. In March 2018, the United States Holocaust Memorial Museum revoked Aung San Suu Kyi's Elie Wiesel Award, awarded in 2012, citing her failure "to condemn and stop the military's brutal campaign" against Rohingya Muslims. In May 2018, Aung San Suu Kyi was considered complicit in the crimes against Rohingyas in a report by Britain's International Development Committee. In August 2018, it was revealed that Aung San Suu Kyi would be stripped of her Freedom of Edinburgh award over her refusal to speak out against the crimes committed against the Rohingya. She had received the award in 2005 for promoting peace and democracy in Burma. This will be only the second time that anyone has ever been stripped of the award, after Charles Stewart Parnell lost it in 1890 due to a salacious affair. Also in August, a UN report, while describing the violence as genocide, added that Aung San Suu Kyi did as little as possible to prevent it. In early October 2018, both the Canadian Senate and its House of Commons voted unanimously to strip Aung San Suu Kyi of her honorary citizenship. This decision was caused by the Government of Canada's determination that the treatment of the Rohingya by Myanmar's government amounts to genocide. On 11 November 2018, Amnesty International announced it was revoking her Ambassador of Conscience award. In December 2019, Aung San Suu Kyi appeared in the International Court of Justice at The Hague where she defended the Burmese military against allegations of genocide against the Rohingya. In a speech of over 3,000 words, Aung San Suu Kyi did not use the term "Rohingya" in describing the ethnic group. She stated that the allegations of genocide were "incomplete and misleading", claiming that the situation was actually a Burmese military response to attacks by the Arakan Rohingya Salvation Army. She also questioned how there could be "genocidal intent" when the Burmese government had opened investigations and also encouraged Rohingya to return after being displaced. However, experts have largely criticized the Burmese investigations as insincere, with the military declaring itself innocent and the government preventing a visit from investigators from the United Nations. Many Rohingya have also not returned due to perceiving danger and a lack of rights in Myanmar. In January 2020, the International Court of Justice decided that there was a "real and imminent risk of irreparable prejudice to the rights" of the Rohingya. The court also took the view that the Burmese government's efforts to remedy the situation "do not appear sufficient" enough to protect the Rohingya. Therefore, the court ordered the Burmese government to take "all measures within its power" to protect the Rohingya from genocidal actions. The court also instructed the Burmese government to preserve evidence and report back to the court at timely intervals about the situation. Arrests and prosecution of journalists In December 2017, two Reuters journalists, Wa Lone and Kyaw Soe Oo, were arrested while investigating the Inn Din massacre of Rohingyas. Suu Kyi publicly commented in June 2018 that the journalists "weren't arrested for covering the Rakhine issue", but because they had broken Myanmar's Official Secrets Act. As the journalists were then on trial for violating the Official Secrets Act, Aung San Suu Kyi's presumption of their guilt were criticized by rights groups for potentially influencing the verdict. American diplomat Bill Richardson said that he had privately discussed the arrest with Suu Kyi, and that Aung San Suu Kyi reacted angrily and labelled the journalists "traitors". A police officer testified that he was ordered by superiors to use entrapment to frame and arrest the journalists; he was later jailed and his family evicted from their home in the police camp. The judge found the journalists guilty in September 2018 and to be jailed for seven years. Aung San Suu Kyi reacted to widespread international criticism of the verdict by stating: "I don't think anyone has bothered to read" the judgement as it had "nothing to do with freedom of expression at all", but the Official Secrets Act. She also challenged critics to "point out where there has been a miscarriage of justice", and told the two Reuters journalists that they could appeal their case to a higher court. In September 2018, the Office of the United Nations High Commissioner for Human Rights issued a report that since Aung San Suu Kyi's party, the NLD, came to power, the arrests and criminal prosecutions of journalists in Myanmar by the government and military, under laws which are too vague and broad, have "made it impossible for journalists to do their job without fear or favour." 2021 arrest and trial On 1 February 2021, Aung San Suu Kyi was arrested and deposed by the Myanmar military, along with other leaders of her National League for Democracy (NLD) party, after the Myanmar military declared the November 2020 general election results fraudulent. A 1 February court order authorized her detainment for 15 days, stating that soldiers searching her Naypyidaw villa had uncovered imported communications equipment lacking proper paperwork. Aung San Suu Kyi was transferred to house arrest on the same evening, and on 3 February was formally charged with illegally importing ten or more walkie-talkies. She faces up to three years in prison for the charges. According to The New York Times, the charge "echoed previous accusations of esoteric legal crimes (and) arcane offenses" used by the military against critics and rivals. As of 9 February, Aung San Suu Suu Kyi continues to be held incommunicado. US President Joe Biden raised the threat of new sanctions as a result of the Myanmar military coup. In a statement, the UN Secretary-General António Guterres believes "These developments represent a serious blow to democratic reforms in Myanmar." Volkan Bozkir, President of the UN General Assembly, also voiced his concerns, having tweeted "Attempts to undermine democracy and rule of law are unacceptable", and called for the "immediate release" of the detained NLD party leaders. On 1 April 2021, Aung San Suu Kyi was charged with the fifth offence, a British-era colonial law of violating the official secrets act. According to her lawyer, it is the most serious charge brought against her after the coup and could carry a sentence of up to 14-years in prison if convicted. On 12 April 2021, Aung San Suu Kyi was hit with another charge, this time "under section 25 of the natural disaster management law". According to her lawyer, it is her sixth indictment. She appeared in court via video link and now faces five charges in the capital Naypyidaw and one in Yangon. On 28 April 2021, the National Unity Government (NUG), in which Aung San Suu Kyi symbolically remains in her position, anticipated that there would be no talks with the junta until all political prisoners, including her, are set free. This move by her supporters come after an ASEAN-supported consensus with the junta leadership in the past days. However, on 8 May 2021, the junta designated NUG as a terrorist organization and warned citizens not to cooperate, or give aid to the parallel government, stripping Aung San Suu Kyi of her symbolic position. On 10 May 2021, her lawyer said she would appear in court in person for the first time since her arrest after the Supreme Court ruled that she could attend in person and meet her lawyers. She had been previously only allowed to do so remotely from her home. On 21 May 2021, a military junta commission was formed to dissolve Aung San Suu Kyi's National League for Democracy (NLD) on grounds of election fraud in the November 2020 election. On
of six children of Moshe Mordechai Heschel and Reizel Perlow Heschel. He was descended from preeminent European rabbis on both sides of his family. His paternal great-great-grandfather and namesake was Rebbe Avraham Yehoshua Heshel of Apt in present-day Poland. His mother was also a descendant of Avraham Yehoshua Heshel and other Hasidic dynasties. His siblings were Sarah, Dvora Miriam, Esther Sima, Gittel, and Jacob. Their father Moshe died of influenza in 1916 when Abraham was nine. After a traditional yeshiva education and studying for Orthodox rabbinical ordination (semicha), Heschel pursued his doctorate at the University of Berlin and rabbinic ordination at the non-denominational Hochschule für die Wissenschaft des Judentums. There he studied under some of the finest Jewish educators of the time: Chanoch Albeck, Ismar Elbogen, Julius Guttmann, Alexander Guttmann, and Leo Baeck. His mentor in Berlin was David Koigen. Heschel later taught Talmud at the Hochschule. He joined a Yiddish poetry group, Jung Vilna, and in 1933, published a volume of Yiddish poems, Der Shem Hamefoyrosh: Mentsch, dedicated to his father. In late October 1938, when Heschel was living in a rented room in the home of a Jewish family in Frankfurt, he was arrested by the Gestapo and deported to Poland. He spent ten months lecturing on Jewish philosophy and Torah at Warsaw's Institute for Jewish Studies. Six weeks before the German invasion of Poland, Heschel left Warsaw for London with the help of Julian Morgenstern, president of Hebrew Union College, who had been working to obtain visas for Jewish scholars in Europe and Alexander Guttmann, later his colleague in Cincinnati, who secretly re-wrote his ordination certificate to meet American visa requirements. Heschel's sister Esther was killed in a German bombing. His mother was murdered by the Nazis, and two other sisters, Gittel and Devorah, died in Nazi concentration camps. He never returned to Germany, Austria or Poland. He once wrote, "If I should go to Poland or Germany, every stone, every tree would remind me of contempt, hatred, murder, of children killed, of mothers burned alive, of human beings asphyxiated." Heschel arrived in New York City in March 1940. He served on the faculty of Hebrew Union College (HUC), the main seminary of Reform Judaism, in Cincinnati for five years. In 1946, he took a position at the Jewish Theological Seminary of America (JTS) in New York City, the main seminary of Conservative Judaism. He served as professor of Jewish ethics and Mysticism until his death in 1972. At the time of his death, Heschel lived near JTS at 425 Riverside Drive in Manhattan. Marriage and family Heschel married Sylvia Straus, a concert pianist, on December 10, 1946, in Los Angeles. Their daughter, Susannah Heschel, became a Jewish scholar in her own right. Heschel's papers are held in the Rubenstein Rare Book & Manuscript Library at Duke University. Ideology Heschel explicated many facets of Jewish thought, including studies on medieval Jewish philosophy, Kabbalah, and Hasidic philosophy. According to some scholars, he was more interested in spirituality than in critical text study; the latter was a specialty of many scholars at JTS. He was not given a graduate assistant for many years and he was mainly relegated to teach in the education school or the Rabbinical school, not in the academic graduate program. Heschel became friendly with his colleague Mordecai Kaplan. Though they differed in their approaches to Judaism, they had a very cordial relationship and visited each other's homes from time to time. Heschel believed that the teachings of the Hebrew prophets were a clarion call for social action in the United States and inspired by this belief, he worked for African Americans' civil rights and spoke out against the Vietnam War. He also criticized what he specifically called "pan-halakhism", or an exclusive focus upon religiously compatible behavior to the neglect of the non-legalistic dimension of rabbinic tradition. Influence outside Judaism Heschel is a widely read Jewish theologian whose most influential works include Man Is Not Alone, God in Search of Man, The Sabbath, and The Prophets. At the Second Vatican Council, as a representative of American Jews, Heschel persuaded the Catholic Church to eliminate or modify passages in its liturgy which demeaned the Jews, or referred to an expected conversion of the Jews to Christianity. His theological works argued that religious experience is a fundamentally human impulse, not just a Jewish one. He believed that no religious community could claim a monopoly on religious truth. For these and other reasons, Martin Luther King Jr. called Heschel "a truly great prophet." Heschel actively participated in the Civil Rights movement, and was a participant in the third Selma to Montgomery march, accompanying Dr. King and John Lewis. Published works Man Is Not Alone (1951) Man Is Not Alone: A Philosophy of Religion offers Heschel's views on how people can comprehend God. Judaism views God as being radically different from humans, so Heschel explores the ways that Judaism teaches that a person may have an encounter with the ineffable. A recurring theme in this work is the radical amazement that people feel when experiencing the presence of the Divine. Heschel then goes on to explore the problems of doubts and faith; what Judaism means by teaching that God is one; the essence of humanity and the problem of human needs; the definition of religion in general and of Judaism in particular; and human yearning for spirituality. He offers his views as to Judaism being a pattern for life. The Sabbath (1951) The Sabbath: Its Meaning for Modern Man is a work on the nature and celebration of Shabbat, the Jewish Sabbath. It is rooted in the thesis that Judaism is a religion of
through power." God in Search of Man (1955) God in Search of Man: A Philosophy of Judaism is a companion volume to Man Is Not Alone. In this book Heschel discusses the nature of religious thought, how thought becomes faith, and how faith creates responses in the believer. He discusses ways that people can seek God's presence, and the radical amazement that we receive in return. He offers a criticism of nature worship; a study of humanity's metaphysical loneliness, and his view that we can consider God to be in search of humanity. The first section concludes with a study of Jews as a chosen people. Section two deals with the idea of revelation, and what it means for one to be a prophet. This section gives us his idea of revelation as an event, as opposed to a process. This relates to Israel's commitment to God. Section three discusses his views of how a Jew should understand the nature of Judaism as a religion. He discusses and rejects the idea that mere faith (without law) alone is enough, but then cautions against rabbis he sees as adding too many restrictions to Jewish law. He discusses the need to correlate ritual observance with spirituality and love, the importance of Kavanah (intention) when performing mitzvot. He engages in a discussion of religious behaviorism—when people strive for external compliance with the law, yet disregard the importance of inner devotion. The Prophets (1962) This work started out as his PhD thesis in German, which he later expanded and translated into English. Originally published in a two-volume edition, this work studies the books of the Hebrew prophets. It covers their lives and the historical context that their missions were set in, summarizes their work, and discusses their psychological state. In it Heschel puts forward what would become a central idea in his theology: that the prophetic (and, ultimately, Jewish) view of God is best understood not as anthropomorphic (that God takes human form) but rather as anthropopathic—that God has human feelings. In his book The Prophets, Abraham Joshua Heschel describes the unique aspect of the Jewish prophets as compared to other similar figures. Whereas other nations have soothsayers and diviners who attempt to discover the will of their gods, according to Heschel the Hebrew prophets are characterized by their experience of what he calls theotropism—God turning towards humanity. Heschel argues for the view of Hebrew prophets as receivers of the "Divine Pathos", of the wrath and sorrow of God over his nation that has forsaken him. In this view, prophets do not speak for God so much as they remind their audience of God's voice for the voiceless, the poor and oppressed. He writes: {{Blockquote|Prophecy is the voice that God has lent to the silent agony, a voice to the plundered poor, to the profane riches of the world. It is a form of living, a crossing point of God and man. God is raging in the prophet's words.<ref>The Prophets Ch. 1</ref>}} Torah min HaShamayim (1962) Many consider Heschel's Torah min HaShamayim BeAspaklariya shel HaDorot, (Torah from Heaven in the mirror of the generations) to be his masterwork. The three volumes of this work are a study of classical rabbinic theology and aggadah, as opposed to halakha (Jewish law.) It explores the views of the rabbis in the Mishnah, Talmud and Midrash about the nature of Torah, the revelation of God to mankind, prophecy, and the ways that Jews have used scriptural exegesis to expand and understand these core Jewish texts. In this work, Heschel views the 2nd century sages Rabbi Akiva and Ishmael ben Elisha as paradigms for the two dominant world-views in Jewish theology Two Hebrew volumes were published during his lifetime by Soncino Press, and the third Hebrew volume was published posthumously by JTS Press in the 1990s. A new edition, including an expanded third volume, due to manuscripts which were found and edited by Dr. Dror Bondi, was published by Magid Press in 2021. An English translation of all three volumes, with notes, essays and appendices, was translated and edited by Rabbi Gordon Tucker, entitled Heavenly Torah: As Refracted Through the Generations. In its own right it can be the subject of intense study and analysis, and provides insight into the relationship between God and Man beyond the world of Judaism and for all Monotheism. Who is Man? (1965) One of the world's most illustrious and influential theologians here confronts one of the crucial philosophical and religious questions of our time: the nature and role of man. In these three lectures, originally delivered in somewhat different form as The Raymond Fred West Memorial Lectures at Stanford University in May 1963, Dr. Heschel inquires into the logic of being human: What is meant by being human? What are the grounds on which to justify a human being's claim to being human? In the author's words, “We have never been as openmouthed and inquisitive, never as astonished and embarrassed at our ignorance about man. We know what he makes, but we do not know what he is or what to expect of him. Is it not conceivable that our entire civilization is built upon a misinterpretation of man? Or that the tragedy of man is due to the fact that he is a being who has forgotten the question: Who is Man? The failure to identify himself, to know what is authentic human existence, leads him to assume a false identity, to pretend to be what he is unable to be or to not accepting what is at the very root of his being. Ignorance about man is not lack of knowledge, but false knowledge.” Prophetic Inspiration After the Prophets (1966) Heschel wrote a series of articles, originally in Hebrew, on the existence of prophecy in Judaism after the destruction of the Holy Temple in Jerusalem in 70 CE. These essays were translated into English and published as Prophetic Inspiration After the Prophets: Maimonides and Others by the American Judaica publisher Ktav. The publisher of this book states, "The standard Jewish view is that prophecy ended with the ancient prophets, somewhere early in the Second Temple era. Heschel demonstrated that this view is not altogether accurate. Belief in the possibility of continued prophetic inspiration, and belief in its actual occurrence existed throughout much of
both more voluminous and less energetic than those of the Ashmole Bestiary. The color usage has been suggested as potentially Biblical in meaning as color usage had different interpretations in the early 13th century. The overall style of the human figures as well as color usage is very reminiscent of Roman mosaic art especially with the attention to detail in the drapery. Circles and ovals semi-realistically depict highlights throughout the manuscript. The way that animals are shaded in a Romanesque fashion with the use of bands to depict volume and form, which is similar to an earlier 12th-century Bury Bible made at Bury St.Edmunds. This Bestiary also shows stylistic similarities with the Paris Psalters of Canterbury. The Aviary section is similar to the Aviariium which is a well-known 12th century monastic text. The deviation from traditional color usage can be seen in the tiger, satyr, and unicorn folios as well as many other folios. The satyr in the Aberdeen Bestiary when compared to the satyr section of the slightly older Worksop bestiary is almost identical. There are small color notes in the Aberdeen Bestiary that are often seen in similar manuscripts dating between 1175 and 1250 which help indicate that it was made near the year 1200 or 1210. These notes are similar to many other side notes written on the sides of pages throughout the manuscript and were probably by the painter to remind himself of special circumstances, these note occur irregularly throughout the text. Illuminations Folio page 1 to 3 recto depicts the Genesis 1:1-25 which is represented with a large full page illumination Biblical Creation scene in the manuscript. Folio 5 recto shows Adam, a large figure surrounded by gold leaf and towering over others, with the theme of 'Adam naming the animals' - this starts the compilation of the bestiary portion within the manuscript. Folio 5 verso depicts quadrupeds, livestock, wild beasts, and the concept of the herd. Folio 7 to 18 recto depicts large cats and other beasts such as wolves, foxes and dogs. Many pages from the start of the manuscript's bestiary section such as 11 verso featuring a hyena shows small pin holes which were likely used to map out and copy artwork to a new manuscript. Folio 20 verso to 28 recto depicts livestock such as sheep, horses, and goats. Small animals like cats and mice are depicted on folio 24 to 25. Pages 25 recto to 63 recto feature depictions of birds and folio 64 recto to 80 recto depicts reptiles, worms and fish. 77 recto to 91 verso depicts trees and plants and other elements of nature such as the nature of man. The end folios of the manuscript from 93 recto to 100 recto depicts the nature of stones and rocks. Seventeen of the Aberdeen manuscript pages are pricked for transfer in a process called pouncing such as clearly seen in the hyena folio as well as folio 3 recto and 3 verso depicting Genesis 1:26-1:28, 31, 1:1-2. The pricking must have been done shortly after the creation of the Adam and Eve folio pages since there is not damage done to nearby pages. Other pages used for pouncing include folio 7 recto to 18 verso which is the beginning of the beasts portion of the manuscript and likely depicted a lions as well as other big cats such as leopards, panthers and their characteristic as well as other large wild and domesticated beasts. Missing Folios On folio 6 recto there was likely intended to be a depiction of a lion as in the Ashmole bestiary, but in this instance the pages were left blank although there are markings of margin lines. In comparison to the Ashmole bestiary, on 9 verso some leaves are missing which should have likely contained imagery of the antelope (Antalops), unicorn (Unicornis), lynx (Lynx), griffin (Gryps), part of elephant (Elephans). Near folio 21 verso two illuminations of the ox (Bos), camel (Camelus), dromedary (Dromedarius), ass (Asinus), onager (Onager) and part of horse (Equus) are also assumed to be missing. Also missing from folio 15 recto on are some leaves which should have contained crocodile (Crocodilus), manticore (Mantichora) and part of parandrus (Parandrus). These missing folios are assumed from comparisons between the Ashmole and other related bestiaries. Contents Folio 1 recto : Creation of heaven and earth (Genesis, 1: 1–5). (Full page) Folio 1 verso: Creation of the waters and the firmament (Genesis, 1: 6–8) Folio 2 recto : Creation of the birds and fishes (Genesis, 1: 20–23) Folio 2 verso : Creation of the animals (Genesis, 1: 24–25) Folio 3 recto : Creation of man (Genesis, 1: 26–28, 31; 2: 1–2) Folio 5 recto : Adam names the animals (Isidore of Seville, Etymologiae, Book XII, i, 1–2) Folio 5 verso : Animal (Animal) (Isidore of Seville, Etymologiae, Book XII, i, 3) Folio 5 verso : Quadruped (Quadrupes) (Isidore of Seville, Etymologiae, Book XII, i, 4) Folio 5 verso : Livestock (Pecus) (Isidore of Seville, Etymologiae, Book XII, i, 5–6) Folio 5 verso : Beast of burden (Iumentum) (Isidore of Seville, Etymologiae, Book XII, i, 7) Folio 5 verso : Herd (Armentum) (Isidore of Seville, Etymologiae, Book XII, i, 8) Beasts (Bestiae) Folio 7 recto : Lion (Leo) (Physiologus, Chapter 1; Isidore of Seville, Etymologiae, Book XII, ii, 3–6) Folio 8 recto : Tiger (Tigris) (Isidore of Seville, Etymologiae, Book XII, ii, 7) Folio 8 verso : Pard (Pard) (Isidore of Seville, Etymologiae, Book XII, ii, 10–11) Folio 9 recto : Panther (Panther) (Physiologus, Chapter 16; Isidore of Seville, Etymologiae, Book XII, ii, 8–9) Folio 10 recto : Elephant (Elephans) (Isidore of Seville, Etymologiae, Book XII, ii, 14; Physiologus, Chapter 43; Ambrose, Hexaemeron, Book VI, 35; Solinus, Collectanea rerum memorabilium, xxv, 1–7) Folio 11 recto : Beaver (Castor) Folio 11 recto : Ibex (Ibex) (Hugh of Fouilloy, II, 15) Folio 11 verso : Hyena (Yena) (Physiologus, Chapter 24; Solinus, Collectanea rerum memorabilium, xxvii, 23–24) Folio 12 recto : Crocotta (Crocotta) (Solinus, Collectanea rerum memorabilium, xxvii, 26) Folio 12 recto : Bonnacon (Bonnacon) (Solinus, Collectanea rerum memorabilium, xl, 10–11) Folio 12 verso : Ape (Simia) Folio 13 recto : Satyr (Satyrs) Folio 13 recto : Deer (Cervus) Folio 14 recto : Goat (Caper) Folio 14 verso : Wild goat (Caprea) Folio 15 recto : Monoceros (Monoceros) (Solinus, Collectanea rerum memorabilium, lii, 39–40) Folio 15 recto : Bear (Ursus) Folio 15 verso : Leucrota (Leucrota) (Solinus, Collectanea rerum memorabilium, lii, 34) Folio 16 recto : Parandrus (Parandrus) (Solinus, Collectanea rerum memorabilium, xxx, 25) Folio 16 recto : Fox (Vulpes) Folio 16 verso : Yale (Eale) (Solinus, Collectanea rerum memorabilium, lii, 35) Folio 16 verso : Wolf (Lupus) Folio 18 recto : Dog (Canis) Livestock (Pecora) Folio 20 verso : Sheep (Ovis) (Isidore of Seville, Etymologiae, Book XII, i, 9; Ambrose, Hexaemeron, Book VI, 20) Folio 21 recto : Wether (Vervex) (Isidore of Seville, Etymologiae, Book XII, i, 10) Folio 21 recto : Ram (Aries) (Isidore of Seville, Etymologiae, Book XII, i, 11) Folio 21 recto : Lamb (Agnus) (Isidore of Seville, Etymologiae, Book XII, i, 12; Ambrose, Hexaemeron, Book VI, 28) Folio 21 recto : He-goat (Hircus) (Isidore of Seville, Etymologiae, Book XII, i, 14) Folio 21 verso : Kid (Hedus) (Isidore of Seville, Etymologiae, Book XII, i, 13) Folio 21 verso : Boar (Aper) (Isidore of Seville, Etymologiae, Book XII, i, 27) Folio 21 verso : Bullock (Iuvencus) (Isidore of Seville, Etymologiae, Book XII, i, 28) Folio 21 verso : Bull (Taurus) (Isidore of Seville, Etymologiae, Book XII, i, 29) Folio 22 recto : Horse (Equus) (Isidore of Seville, Etymologiae, Book XII, i, 41–56; Hugh of Fouilloy, III, xxiii) Folio 23 recto : Mule (Mulus) (Isidore of Seville, Etymologiae, Book XII, i, 57–60) Small animals (Minuta animala) Folio 23 verso : Cat (Musio) (Isidore of Seville, Etymologiae, Book XII, ii, 38) Folio 23 verso : Mouse (Mus) (Isidore of Seville, Etymologiae, Book XII, iii, 1) Folio 23 verso : Weasel (Mustela) (Isidore of Seville, Etymologiae, Book
both more voluminous and less energetic than those of the Ashmole Bestiary. The color usage has been suggested as potentially Biblical in meaning as color usage had different interpretations in the early 13th century. The overall style of the human figures as well as color usage is very reminiscent of Roman mosaic art especially with the attention to detail in the drapery. Circles and ovals semi-realistically depict highlights throughout the manuscript. The way that animals are shaded in a Romanesque fashion with the use of bands to depict volume and form, which is similar to an earlier 12th-century Bury Bible made at Bury St.Edmunds. This Bestiary also shows stylistic similarities with the Paris Psalters of Canterbury. The Aviary section is similar to the Aviariium which is a well-known 12th century monastic text. The deviation from traditional color usage can be seen in the tiger, satyr, and unicorn folios as well as many other folios. The satyr in the Aberdeen Bestiary when compared to the satyr section of the slightly older Worksop bestiary is almost identical. There are small color notes in the Aberdeen Bestiary that are often seen in similar manuscripts dating between 1175 and 1250 which help indicate that it was made near the year 1200 or 1210. These notes are similar to many other side notes written on the sides of pages throughout the manuscript and were probably by the painter to remind himself of special circumstances, these note occur irregularly throughout the text. Illuminations Folio page 1 to 3 recto depicts the Genesis 1:1-25 which is represented with a large full page illumination Biblical Creation scene in the manuscript. Folio 5 recto shows Adam, a large figure surrounded by gold leaf and towering over others, with the theme of 'Adam naming the animals' - this starts the compilation of the bestiary portion within the manuscript. Folio 5 verso depicts quadrupeds, livestock, wild beasts, and the concept of the herd. Folio 7 to 18 recto depicts large cats and other beasts such as wolves, foxes and dogs. Many pages from the start of the manuscript's bestiary section such as 11 verso featuring a hyena shows small pin holes which were likely used to map out and copy artwork to a new manuscript. Folio 20 verso to 28 recto depicts livestock such as sheep, horses, and goats. Small animals like cats and mice are depicted on folio 24 to 25. Pages 25 recto to 63 recto feature depictions of birds and folio 64 recto to 80 recto depicts reptiles, worms and fish. 77 recto to 91 verso depicts trees and plants and other elements of nature such as the nature of man. The end folios of the manuscript from 93 recto to 100 recto depicts the nature of stones and rocks. Seventeen of the Aberdeen manuscript pages are pricked for transfer in a process called pouncing such as clearly seen in the hyena folio as well as folio 3 recto and 3 verso depicting Genesis 1:26-1:28, 31, 1:1-2. The pricking must have been done shortly after the creation of the Adam and Eve folio pages since there is not damage done to nearby pages. Other pages used for pouncing include folio 7 recto to 18 verso which is the beginning of the beasts portion of the manuscript and likely depicted a lions as well as other big cats such as leopards, panthers and their characteristic as well as other large wild and domesticated beasts. Missing Folios On folio 6 recto there was likely intended to be a depiction of a lion as in the Ashmole bestiary, but in this instance the pages were left blank although there are markings of margin lines. In comparison to the Ashmole bestiary, on 9 verso some leaves are missing which should have likely contained imagery of the antelope (Antalops), unicorn (Unicornis), lynx (Lynx), griffin (Gryps), part of elephant (Elephans). Near folio 21 verso two illuminations of the ox (Bos), camel (Camelus), dromedary (Dromedarius), ass (Asinus), onager (Onager) and part of horse (Equus) are also assumed to be missing. Also missing from folio 15 recto on are some leaves which should have contained crocodile (Crocodilus), manticore (Mantichora) and part of parandrus (Parandrus). These missing folios are assumed from comparisons between the Ashmole and other related bestiaries. Contents Folio 1 recto : Creation of heaven and earth (Genesis, 1: 1–5). (Full page) Folio 1 verso: Creation of the waters and the firmament (Genesis, 1: 6–8) Folio 2 recto : Creation of the birds and fishes (Genesis, 1: 20–23) Folio 2 verso : Creation of the animals (Genesis, 1: 24–25) Folio 3 recto : Creation of man (Genesis, 1: 26–28, 31; 2: 1–2) Folio 5 recto : Adam names the animals (Isidore of Seville, Etymologiae, Book XII, i, 1–2) Folio 5 verso : Animal (Animal) (Isidore of Seville, Etymologiae, Book XII, i, 3) Folio 5 verso : Quadruped (Quadrupes) (Isidore of Seville, Etymologiae, Book XII, i, 4) Folio 5 verso : Livestock (Pecus) (Isidore of Seville, Etymologiae, Book XII, i, 5–6) Folio 5 verso : Beast of burden (Iumentum) (Isidore of Seville, Etymologiae, Book XII, i, 7) Folio 5 verso : Herd (Armentum) (Isidore of Seville, Etymologiae, Book XII, i, 8) Beasts (Bestiae) Folio 7 recto : Lion (Leo) (Physiologus, Chapter 1; Isidore of Seville, Etymologiae, Book XII, ii, 3–6) Folio 8 recto : Tiger (Tigris) (Isidore of Seville, Etymologiae, Book XII, ii, 7) Folio 8 verso : Pard (Pard) (Isidore of Seville, Etymologiae, Book XII, ii, 10–11) Folio 9 recto : Panther (Panther) (Physiologus, Chapter 16; Isidore of Seville, Etymologiae, Book XII, ii, 8–9) Folio 10 recto : Elephant (Elephans) (Isidore of Seville, Etymologiae, Book XII, ii, 14; Physiologus, Chapter 43; Ambrose, Hexaemeron, Book VI, 35; Solinus, Collectanea rerum memorabilium, xxv, 1–7) Folio 11 recto : Beaver (Castor) Folio 11 recto : Ibex (Ibex) (Hugh of Fouilloy, II, 15) Folio 11 verso : Hyena (Yena) (Physiologus, Chapter 24; Solinus, Collectanea rerum memorabilium, xxvii, 23–24) Folio 12 recto : Crocotta (Crocotta) (Solinus, Collectanea rerum memorabilium, xxvii, 26) Folio 12 recto : Bonnacon (Bonnacon) (Solinus, Collectanea rerum memorabilium, xl, 10–11) Folio 12 verso : Ape (Simia) Folio 13 recto : Satyr (Satyrs) Folio 13 recto : Deer (Cervus) Folio 14 recto : Goat (Caper) Folio 14 verso : Wild goat (Caprea) Folio 15 recto : Monoceros (Monoceros) (Solinus, Collectanea rerum memorabilium, lii, 39–40) Folio 15 recto : Bear (Ursus) Folio 15 verso : Leucrota (Leucrota) (Solinus, Collectanea rerum memorabilium, lii, 34) Folio 16 recto : Parandrus (Parandrus) (Solinus, Collectanea rerum memorabilium, xxx, 25) Folio 16 recto : Fox (Vulpes) Folio 16 verso : Yale (Eale) (Solinus, Collectanea rerum memorabilium, lii, 35) Folio 16 verso : Wolf (Lupus) Folio 18 recto : Dog (Canis) Livestock (Pecora) Folio 20 verso : Sheep (Ovis) (Isidore of Seville, Etymologiae, Book XII, i, 9; Ambrose, Hexaemeron, Book VI, 20) Folio 21 recto : Wether (Vervex) (Isidore of Seville, Etymologiae, Book XII, i, 10) Folio 21 recto : Ram (Aries) (Isidore of Seville, Etymologiae, Book XII, i, 11) Folio 21 recto : Lamb (Agnus) (Isidore of Seville, Etymologiae, Book XII, i, 12; Ambrose, Hexaemeron, Book VI, 28) Folio 21 recto : He-goat (Hircus) (Isidore of Seville, Etymologiae, Book XII, i, 14) Folio 21 verso : Kid (Hedus) (Isidore of Seville, Etymologiae, Book XII, i, 13) Folio 21 verso : Boar (Aper) (Isidore of Seville, Etymologiae, Book XII, i, 27) Folio 21 verso : Bullock (Iuvencus) (Isidore of Seville, Etymologiae, Book XII, i, 28) Folio 21 verso : Bull (Taurus) (Isidore of Seville, Etymologiae, Book XII, i, 29) Folio 22 recto : Horse (Equus) (Isidore of Seville, Etymologiae, Book XII, i, 41–56; Hugh of Fouilloy, III, xxiii) Folio 23 recto : Mule (Mulus) (Isidore of Seville, Etymologiae, Book XII, i, 57–60) Small animals (Minuta animala) Folio 23 verso : Cat (Musio) (Isidore of Seville, Etymologiae, Book XII, ii, 38) Folio 23 verso : Mouse (Mus) (Isidore of Seville, Etymologiae, Book XII, iii, 1) Folio 23 verso : Weasel (Mustela) (Isidore of Seville, Etymologiae, Book XII, iii, 2; Physiologus, Chapter 21) Folio 24 recto : Mole (Talpa) (Isidore of Seville, Etymologiae, Book XII, iii, 5) Folio 24 recto : Hedgehog (Ericius) (Isidore of Seville, Etymologiae, Book XII, iii, 7; Ambrose, Hexaemeron, VI, 20) Folio 24 verso : Ant (Formica) (Physiologus, 12; Ambrose, Hexaemeron, Book VI, 16, 20) Birds (Aves) Folio 25 recto :
of an area of economic preferences within the region, in order to create a Latin-American common market, through three mechanisms: A Regional Tariff Preference applied to goods from the member countries compared to tariffs in-force for third countries. Regional Scope Agreements, those in which all member countries participate. Partial Scope Agreements, those wherein two or more countries of the area participate. The Relatively Less Economically Developed Countries of the region (Bolivia, Ecuador and Paraguay) benefit from a preferential system, through the lists of markets opening offered by the countries in favor of the Relatively Less Economically Developed Countries; special programs of cooperation (business rounds, pre-investment, financing, technological support); and countervailing measures in favor of the land-locked countries, the full participation of such countries in the integration process is sought. The ALADI includes in its legal structure the strongest sub-regional, plurilateral and bilateral integration agreements arising in growing numbers in the continent. As a result, the ALADI – as an institutional and legal framework or “umbrella” of the regional integration- develops actions in order to support and foster these efforts for the progressive establishment of a common economic space. Member states Accession of other Latin American countries The 1980 Montevideo Treaty is open to the accession of any Latin-American country. On 26 August 1999, the first accession to the 1980 Montevideo Treaty was executed, with the incorporation of the Republic of Cuba as a member country of the ALADI. On 10 May 2012, the Republic of Panama became the thirteenth member country of the ALADI. Likewise, the accession of the Republic of Nicaragua was accepted in the Sixteenth Meeting of the Council of Ministers (Resolution 75 (XVI)), held on 11 August 2011. Currently, Nicaragua moves towards
integration process developed within the framework of the ALADI aims at promoting the harmonious and balanced socio-economic development of the region, and its long-term objective is the gradual and progressive establishment of a Latin-American single market. Basic functions Promotion and regulation of reciprocal trade Economic complementation Development of economic cooperation actions contributing to the markets extension. General principles Pluralism in political and economic matters; Progressive convergence of partial actions for the establishment of a Latin-American Common Market; Flexibility; Differential treatments based on the development level of the member countries; and Multiple forms of trade agreements. Integration mechanisms The ALADI promotes the establishment of an area of economic preferences within the region, in order to create a Latin-American common market, through three mechanisms: A Regional Tariff Preference applied to goods from the member countries compared to tariffs in-force for third countries. Regional Scope Agreements, those in which all member countries participate. Partial Scope Agreements, those wherein two or more countries of the area participate. The Relatively Less Economically Developed Countries of the region (Bolivia, Ecuador and Paraguay) benefit from a preferential system, through the lists of markets opening offered by the countries in favor of the Relatively Less Economically Developed Countries; special programs of cooperation (business rounds, pre-investment, financing, technological support); and countervailing measures in favor of the land-locked countries, the full participation of such countries in the integration process is sought. The ALADI includes in its legal structure the strongest sub-regional, plurilateral and bilateral integration agreements arising in growing numbers in the continent. As a result, the ALADI – as an institutional and legal framework or “umbrella” of the regional integration- develops actions in order to support and foster these efforts for the progressive establishment
The Aeroplane Spotter was published in January 1940. The publication included a glossary that was refined in 2010 and published online. The development of technology and global resources enabled a revolution in spotting. Point and shoot cameras, DSLRs & walkie talkies significantly changed the hobby. With the help of the internet, websites such as FlightAware and Flightradar24 have made it possible for spotters to track and locate specific aircraft from all across the world. Websites specifically for aircraft, such as airliners.net, and social networking services, such as Twitter, Facebook and Instagram, allow spotters to record their sightings and upload their shots or see pictures of aircraft spotted by other people from all over the world. People can upload videos to YouTube, including inflight videos. Techniques When spotting aircraft, observers generally notice the key attributes of an aircraft, such as a distinctive noise from its engine, the number of vapour trails it is leaving or its callsign. Observers assess the size of the aircraft and the number, type and position of its engines. Another distinctive attribute is the position of wings relative to the fuselage and the degree to which they are swept rearwards. The wings may be above the fuselage, below it, or fixed at midpoint. The number of wings indicates whether it is a monoplane, biplane or triplane. The position of the tailplane relative to the fin(s) and the shape of the fin are other attributes. The configuration of the landing gear can be distinctive, as well as the size and shape of the cockpit and passenger windows along with the layout of emergency exits and doors. Other features include the speed, cockpit placement, colour scheme or special equipment that changes the silhouette of the aircraft. Taken together these traits will enable the identification of an aircraft. If the observer is familiar with the airfield being used by the aircraft and its normal traffic patterns, he or she is more likely to leap quickly to a decision about the aircraft's identity – they may have seen the same type of aircraft from the same angle many times. This is particularly prevalent if the aircraft spotter is spotting commercial aircraft, operated by airlines that have a limited fleet. Spotters use equipment such as ADS-B decoders to track the movements of aircraft. The two most famous devices used are the AirNav Systems RadarBox and Kinetic Avionics SBS series. Both of them read and process the radar data and show the movements on a computer screen. Another tool that spotters can use are apps such as FlightRadar24 or Flightaware, where they can look at arrival and departure schedules and track the location of aircraft that have their transponder on. Most of the decoders also allow the exporting of logs from a certain route or airport. Spotting styles Some spotters will note and compile the markings, a national insignia or airline livery or logo, a squadron badge or code letters in the case of a military aircraft. Published manuals allow more information to be deduced, such as the delivery date or the manufacturer's construction number. Camouflage markings differ, depending on the surroundings in which that aircraft is expected to operate.
for aircraft, such as airliners.net, and social networking services, such as Twitter, Facebook and Instagram, allow spotters to record their sightings and upload their shots or see pictures of aircraft spotted by other people from all over the world. People can upload videos to YouTube, including inflight videos. Techniques When spotting aircraft, observers generally notice the key attributes of an aircraft, such as a distinctive noise from its engine, the number of vapour trails it is leaving or its callsign. Observers assess the size of the aircraft and the number, type and position of its engines. Another distinctive attribute is the position of wings relative to the fuselage and the degree to which they are swept rearwards. The wings may be above the fuselage, below it, or fixed at midpoint. The number of wings indicates whether it is a monoplane, biplane or triplane. The position of the tailplane relative to the fin(s) and the shape of the fin are other attributes. The configuration of the landing gear can be distinctive, as well as the size and shape of the cockpit and passenger windows along with the layout of emergency exits and doors. Other features include the speed, cockpit placement, colour scheme or special equipment that changes the silhouette of the aircraft. Taken together these traits will enable the identification of an aircraft. If the observer is familiar with the airfield being used by the aircraft and its normal traffic patterns, he or she is more likely to leap quickly to a decision about the aircraft's identity – they may have seen the same type of aircraft from the same angle many times. This is particularly prevalent if the aircraft spotter is spotting commercial aircraft, operated by airlines that have a limited fleet. Spotters use equipment such as ADS-B decoders to track the movements of aircraft. The two most famous devices used are the AirNav Systems RadarBox and Kinetic Avionics SBS series. Both of them read and process the radar data and show the movements on a computer screen. Another tool that spotters can use are apps such as FlightRadar24 or Flightaware, where they can look at arrival and departure schedules and track the location of aircraft that have their transponder on. Most of the decoders also allow the exporting of logs from a certain route or airport. Spotting styles Some spotters will note and compile the markings, a national insignia or airline livery or logo, a squadron badge or code letters in the case of a military aircraft. Published manuals allow more information to be deduced, such as the delivery date or the manufacturer's construction number. Camouflage markings differ, depending on the surroundings in which that aircraft is expected to operate. In general, most spotters attempt to see as many aircraft of a given type, a particular airline, or a particular subset of aircraft such as business jets, commercial airliners, military and/or general aviation aircraft. Some spotters attempt to see every airframe and are known as "frame spotters."
1980s The late 1980s and early 1990s saw the introduction of cable television and particularly MTV. Pioneering the concept of the music video, MTV ushered in a new type of advertising: the consumer tunes in for the advertising message, rather than it being a by-product or afterthought. As cable and satellite television became increasingly prevalent, specialty channels emerged, including channels entirely devoted to advertising, such as QVC, Home Shopping Network, and ShopTV Canada. Internet from the 1990s With the advent of the ad server, online advertising grew, contributing to the "dot-com" boom of the 1990s. Entire corporations operated solely on advertising revenue, offering everything from coupons to free Internet access. At the turn of the 21st century, some websites, including the search engine Google, changed online advertising by personalizing ads based on web browsing behavior. This has led to other similar efforts and an increase in interactive advertising. The share of advertising spending relative to GDP has changed little across large changes in media since 1925. In 1925, the main advertising media in America were newspapers, magazines, signs on streetcars, and outdoor posters. Advertising spending as a share of GDP was about 2.9 percent. By 1998, television and radio had become major advertising media; by 2017, the balance between broadcast and online advertising had shifted, with online spending exceeding broadcast. Nonetheless, advertising spending as a share of GDP was slightly lower – about 2.4 percent. Guerrilla marketing involves unusual approaches such as staged encounters in public places, giveaways of products such as cars that are covered with brand messages, and interactive advertising where the viewer can respond to become part of the advertising message. This type of advertising is unpredictable, which causes consumers to buy the product or idea. This reflects an increasing trend of interactive and "embedded" ads, such as via product placement, having consumers vote through text messages, and various campaigns utilizing social network services such as Facebook or Twitter. The advertising business model has also been adapted in recent years. In media for equity, advertising is not sold, but provided to start-up companies in return for equity. If the company grows and is sold, the media companies receive cash for their shares. Domain name registrants (usually those who register and renew domains as an investment) sometimes "park" their domains and allow advertising companies to place ads on their sites in return for per-click payments. These ads are typically driven by pay per click search engines like Google or Yahoo, but ads can sometimes be placed directly on targeted domain names through a domain lease or by making contact with the registrant of a domain name that describes a product. Domain name registrants are generally easy to identify through WHOIS records that are publicly available at registrar websites. Classification Advertising may be categorized in a variety of ways, including by style, target audience, geographic scope, medium, or purpose. For example, in print advertising, classification by style can include display advertising (ads with design elements sold by size) vs. classified advertising (ads without design elements sold by the word or line). Advertising may be local, national or global. An ad campaign may be directed toward consumers or to businesses. The purpose of an ad may be to raise awareness (brand advertising), or to elicit an immediate sale (direct response advertising). The term above the line (ATL) is used for advertising involving mass media; more targeted forms of advertising and promotion are referred to as below the line (BTL). The two terms date back to 1954 when Procter & Gamble began paying their advertising agencies differently from other promotional agencies. In the 2010s, as advertising technology developed, a new term, through the line (TTL) began to come into use, referring to integrated advertising campaigns. Traditional media Virtually any medium can be used for advertising. Commercial advertising media can include wall paintings, billboards, street furniture components, printed flyers and rack cards, radio, cinema and television adverts, web banners, mobile telephone screens, shopping carts, web popups, skywriting, bus stop benches, human billboards and forehead advertising, magazines, newspapers, town criers, sides of buses, banners attached to or sides of airplanes ("logojets"), in-flight advertisements on seatback tray tables or overhead storage bins, taxicab doors, roof mounts and passenger screens, musical stage shows, subway platforms and trains, elastic bands on disposable diapers, doors of bathroom stalls, stickers on apples in supermarkets, shopping cart handles (grabertising), the opening section of streaming audio and video, posters, and the backs of event tickets and supermarket receipts. Any situation in which an "identified" sponsor pays to deliver their message through a medium is advertising. Television Television advertising is one of the most expensive types of advertising; networks charge large amounts for commercial airtime during popular events. The annual Super Bowl football game in the United States is known as the most prominent advertising event on television – with an audience of over 108 million and studies showing that 50% of those only tuned in to see the advertisements. During the 2014 edition of this game, the average thirty-second ad cost US$4 million, and $8 million was charged for a 60-second spot. Virtual advertisements may be inserted into regular programming through computer graphics. It is typically inserted into otherwise blank backdrops or used to replace local billboards that are not relevant to the remote broadcast audience. Virtual billboards may be inserted into the background where none exist in real-life. This technique is especially used in televised sporting events. Virtual product placement is also possible. An infomercial is a long-format television commercial, typically five minutes or longer. The name blends the words "information" and "commercial". The main objective in an infomercial is to create an impulse purchase, so that the target sees the presentation and then immediately buys the product through the advertised toll-free telephone number or website. Infomercials describe and often demonstrate products, and commonly have testimonials from customers and industry professionals. Radio Radio advertisements are broadcast as radio waves to the air from a transmitter to an antenna and a thus to a receiving device. Airtime is purchased from a station or network in exchange for airing the commercials. While radio has the limitation of being restricted to sound, proponents of radio advertising often cite this as an advantage. Radio is an expanding medium that can be found on air, and also online. According to Arbitron, radio has approximately 241.6 million weekly listeners, or more than 93 percent of the U.S. population. Online Online advertising is a form of promotion that uses the Internet and World Wide Web for the expressed purpose of delivering marketing messages to attract customers. Online ads are delivered by an ad server. Examples of online advertising include contextual ads that appear on search engine results pages, banner ads, in pay per click text ads, rich media ads, Social network advertising, online classified advertising, advertising networks and e-mail marketing, including e-mail spam. A newer form of online advertising is Native Ads; they go in a website's news feed and are supposed to improve user experience by being less intrusive. However, some people argue this practice is deceptive. Domain names Domain name advertising is most commonly done through pay per click web search engines, however, advertisers often lease space directly on domain names that generically describe their products. When an Internet user visits a website by typing a domain name directly into their web browser, this is known as "direct navigation", or "type in" web traffic. Although many Internet users search for ideas and products using search engines and mobile phones, a large number of users around the world still use the address bar. They will type a keyword into the address bar such as "geraniums" and add ".com" to the end of it. Sometimes they will do the same with ".org" or a country-code Top Level Domain (TLD such as ".co.uk" for the United Kingdom or ".ca" for Canada). When Internet users type in a generic keyword and add .com or another top-level domain (TLD) ending, it produces a targeted sales lead. Domain name advertising was originally developed by Oingo (later known as Applied Semantics), one of Google's early acquisitions. Product placements is when a product or brand is embedded in entertainment and media. For example, in a film, the main character can use an item or other of a definite brand, as in the movie Minority Report, where Tom Cruise's character John Anderton owns a phone with the Nokia logo clearly written in the top corner, or his watch engraved with the Bulgari logo. Another example of advertising in film is in I, Robot, where main character played by Will Smith mentions his Converse shoes several times, calling them "classics", because the film is set far in the future. I, Robot and Spaceballs also showcase futuristic cars with the Audi and Mercedes-Benz logos clearly displayed on the front of the vehicles. Cadillac chose to advertise in the movie The Matrix Reloaded, which as a result contained many scenes in which Cadillac cars were used. Similarly, product placement for Omega Watches, Ford, VAIO, BMW and Aston Martin cars are featured in recent James Bond films, most notably Casino Royale. In "Fantastic Four: Rise of the Silver Surfer", the main transport vehicle shows a large Dodge logo on the front. Blade Runner includes some of the most obvious product placement; the whole film stops to show a Coca-Cola billboard. Print Print advertising describes advertising in a printed medium such as a newspaper, magazine, or trade journal. This encompasses everything from media with a very broad readership base, such as a major national newspaper or magazine, to more narrowly targeted media such as local newspapers and trade journals on very specialized topics. One form of print advertising is classified advertising, which allows private individuals or companies to purchase a small, narrowly targeted ad paid by the word or line. Another form of print advertising is the display ad, which is generally a larger ad with design elements that typically run in an article section of a newspaper. Outdoor Billboards, also known as hoardings in some parts of the world, are large structures located in public places which display advertisements to passing pedestrians and motorists. Most often, they are located on main roads with a large amount of passing motor and pedestrian traffic; however, they can be placed in any location with large numbers of viewers, such as on mass transit vehicles and in stations, in shopping malls or office buildings, and in stadiums. The form known as street advertising first came to prominence in the UK by Street Advertising Services to create outdoor advertising on street furniture and pavements. Working with products such as Reverse Graffiti, air dancers and 3D pavement advertising, for getting brand messages out into public spaces. Sheltered outdoor advertising combines outdoor with indoor advertisement by placing large mobile, structures (tents) in public places on temporary bases. The large outer advertising space aims to exert a strong pull on the observer, the product is promoted indoors, where the creative decor can intensify the impression. Mobile billboards are generally vehicle mounted billboards or digital screens. These can be on dedicated vehicles built solely for carrying advertisements along routes preselected by clients, they can also be specially equipped cargo trucks or, in some cases, large banners strewn from planes. The billboards are often lighted; some being backlit, and others employing spotlights. Some billboard displays are static, while others change; for example, continuously or periodically rotating among a set of advertisements. Mobile displays are used for various situations in metropolitan areas throughout the world, including: target advertising, one-day and long-term campaigns, conventions, sporting events, store openings and similar promotional events, and big advertisements from smaller companies. Point-of-sale In-store advertising is any advertisement placed in a retail store. It includes placement of a product in visible locations in a store, such as at eye level, at the ends of aisles and near checkout counters (a.k.a. POP – point of purchase display), eye-catching displays promoting a specific product, and advertisements in such places as shopping carts and in-store video displays. Novelties Advertising printed on small tangible items such as coffee mugs, T-shirts, pens, bags, and such is known as novelty advertising. Some printers specialize in printing novelty items, which can then be distributed directly by the advertiser, or items may be distributed as part of a cross-promotion, such as ads on fast food containers. Celebrity endorsements Advertising in which a celebrity endorses a product or brand leverages celebrity power, fame, money, popularity to gain recognition for their products or to promote specific stores' or products. Advertisers often advertise their products, for example, when celebrities share their favorite products or wear clothes by specific brands or designers. Celebrities are often involved in advertising campaigns such as television or print adverts to advertise specific or general products. The use of celebrities to endorse a brand can have its downsides, however; one mistake by a celebrity can be detrimental to the public relations of a brand. For example, following his performance of eight gold medals at the 2008 Olympic Games in Beijing, China, swimmer Michael Phelps' contract with Kellogg's was terminated, as Kellogg's did not want to associate with him after he was photographed smoking marijuana. Celebrities such as Britney Spears have advertised for multiple products including Pepsi, Candies from Kohl's, Twister, NASCAR, and Toyota. Aerial Using aircraft, balloons or airships to create or display advertising media. Skywriting is a notable example. New media approaches A new advertising approach is known as advanced advertising, which is data-driven advertising, using large quantities of data, precise measuring tools and precise targeting. Advanced advertising also makes it easier for companies which sell ad-space to attribute customer purchases to the ads they display or broadcast. Increasingly, other media are overtaking many of the "traditional" media such as television, radio and newspaper because of a shift toward the usage of the Internet for news and music as well as devices like digital video recorders (DVRs) such as TiVo. Online advertising began with unsolicited bulk e-mail advertising known as "e-mail spam". Spam has been a problem for e-mail users since 1978. As new online communication channels became available, advertising followed. The first banner ad appeared on the World Wide Web in 1994. Prices of Web-based advertising space are dependent on the "relevance" of the surrounding web content and the traffic that the website receives. In online display advertising, display ads generate awareness quickly. Unlike search, which requires someone to be aware of a need, display advertising can drive awareness of something new and without previous knowledge. Display works well for direct response. Display is not only used for generating awareness, it's used for direct response campaigns that link to a landing page with a clear 'call to action'. As the mobile phone became a new mass medium in 1998 when the first paid downloadable content appeared on mobile phones in Finland, mobile advertising followed, also first launched in Finland in 2000. By 2007 the value of mobile advertising had reached $2 billion and providers such as Admob delivered billions of mobile ads. More advanced mobile ads include banner ads, coupons, Multimedia Messaging Service picture and video messages, advergames and various engagement marketing campaigns. A particular feature driving mobile ads is the 2D barcode, which replaces the need to do any typing of web addresses, and uses the camera feature of modern phones to gain immediate access to web content. 83 percent of Japanese mobile phone users already are active users of 2D barcodes. Some companies have proposed placing messages or corporate logos on the side of booster rockets and the International Space Station. Unpaid advertising (also called "publicity advertising"), can include personal recommendations ("bring a friend", "sell it"), spreading buzz, or achieving the feat of equating a brand with a common noun (in the United States, "Xerox" = "photocopier", "Kleenex" = tissue, "Vaseline" = petroleum jelly, "Hoover" = vacuum cleaner, and "Band-Aid" = adhesive bandage). However, some companies oppose the use of their brand name to label an object. Equating a brand with a common noun also risks turning that brand into a generic trademark – turning it into a generic term which means that its legal protection as a trademark is lost. Early in its life, The CW aired short programming breaks called "Content Wraps", to advertise one company's product during an entire commercial break. The CW pioneered "content wraps" and some products featured were Herbal Essences, Crest, Guitar Hero II, CoverGirl, and Toyota. A new promotion concept has appeared, "ARvertising", advertising on augmented reality technology. Controversy exists on the effectiveness of subliminal advertising (see mind control), and the pervasiveness of mass messages (propaganda). Rise in new media With the Internet came many new advertising opportunities. Pop-up, Flash, banner, pop-under, advergaming, and email advertisements (all of
by Guillaume de la Villeneuve. In the 18th century advertisements started to appear in weekly newspapers in England. These early print advertisements were used mainly to promote books and newspapers, which became increasingly affordable with advances in the printing press; and medicines, which were increasingly sought after. However, false advertising and so-called "quack" advertisements became a problem, which ushered in the regulation of advertising content. 19th century Thomas J. Barratt of London has been called "the father of modern advertising". Working for the Pears soap company, Barratt created an effective advertising campaign for the company products, which involved the use of targeted slogans, images and phrases. One of his slogans, "Good morning. Have you used Pears' soap?" was famous in its day and into the 20th century. Becoming the company's brand manager in 1865, listed as the first of its kind by the Guinness Book of Records, Barratt introduced many of the crucial ideas that lie behind successful advertising and these were widely circulated in his day. He constantly stressed the importance of a strong and exclusive brand image for Pears and of emphasizing the product's availability through saturation campaigns. He also understood the importance of constantly reevaluating the market for changing tastes and mores, stating in 1907 that "tastes change, fashions change, and the advertiser has to change with them. An idea that was effective a generation ago would fall flat, stale, and unprofitable if presented to the public today. Not that the idea of today is always better than the older idea, but it is different – it hits the present taste." Enhanced advertising revenues was one effect of the Industrial Revolution in Britain. Thanks to the revolution and the consumers it created, by the mid-19th century biscuits and chocolate became products for the masses, and British biscuit manufacturers were among the first to introduce branding to distinguish grocery products. One the world's first global brands, Huntley & Palmers biscuits were sold in 172 countries in 1900, and their global reach was reflected in their advertisements. In June 1836, French newspaper La Presse was the first to include paid advertising in its pages, allowing it to lower its price, extend its readership and increase its profitability and the formula was soon copied by all titles. Around 1840, Volney B. Palmer established the roots of the modern day advertising agency in Philadelphia. In 1842 Palmer bought large amounts of space in various newspapers at a discounted rate then resold the space at higher rates to advertisers. The actual ad – the copy, layout, and artwork – was still prepared by the company wishing to advertise; in effect, Palmer was a space broker. The situation changed when the first full-service advertising agency of N.W. Ayer & Son was founded in 1869 in Philadelphia. Ayer & Son offered to plan, create, and execute complete advertising campaigns for its customers. By 1900 the advertising agency had become the focal point of creative planning, and advertising was firmly established as a profession. Around the same time, in France, Charles-Louis Havas extended the services of his news agency, Havas to include advertisement brokerage, making it the first French group to organize. At first, agencies were brokers for advertisement space in newspapers. 20th century Advertising increased dramatically in the United States as industrialization expanded the supply of manufactured products. In 1919 it was 2.5 percent of gross domestic product (GDP) in the US, and it averaged 2.2 percent of GDP between then and at least 2007, though it may have declined dramatically since the Great Recession. Industry could not benefit from its increased productivity without a substantial increase in consumer spending. This contributed to the development of mass marketing designed to influence the population's economic behavior on a larger scale. In the 1910s and 1920s, advertisers in the U.S. adopted the doctrine that human instincts could be targeted and harnessed – "sublimated" into the desire to purchase commodities. Edward Bernays, a nephew of Sigmund Freud, became associated with the method and is sometimes called the founder of modern advertising and public relations. Bernays claimed that:"[The] general principle, that men are very largely actuated by motives which they conceal from themselves, is as true of mass as of individual psychology. It is evident that the successful propagandist must understand the true motives and not be content to accept the reasons which men give for what they do."In other words, selling products by appealing to the rational minds of customers (the main method used prior to Bernays) was much less effective than selling products based on the unconscious desires that Bernays felt were the true motivators of human action. "Sex sells" became a controversial issue, with techniques for titillating and enlarging the audience posing a challenge to conventional morality. In the 1920s, under Secretary of Commerce Herbert Hoover, the American government promoted advertising. Hoover himself delivered an address to the Associated Advertising Clubs of the World in 1925 called 'Advertising Is a Vital Force in Our National Life." In October 1929, the head of the U.S. Bureau of Foreign and Domestic Commerce, Julius Klein, stated "Advertising is the key to world prosperity." This was part of the "unparalleled" collaboration between business and government in the 1920s, according to a 1933 European economic journal. The tobacco companies became major advertisers in order to sell packaged cigarettes. The tobacco companies pioneered the new advertising techniques when they hired Bernays to create positive associations with tobacco smoking. Advertising was also used as a vehicle for cultural assimilation, encouraging workers to exchange their traditional habits and community structure in favor of a shared "modern" lifestyle. An important tool for influencing immigrant workers was the American Association of Foreign Language Newspapers (AAFLN). The AAFLN was primarily an advertising agency but also gained heavily centralized control over much of the immigrant press. At the turn of the 20th century, advertising was one of the few career choices for women. Since women were responsible for most household purchasing done, advertisers and agencies recognized the value of women's insight during the creative process. In fact, the first American advertising to use a sexual sell was created by a woman – for a soap product. Although tame by today's standards, the advertisement featured a couple with the message "A skin you love to touch". In the 1920s psychologists Walter D. Scott and John B. Watson contributed applied psychological theory to the field of advertising. Scott said, "Man has been called the reasoning animal but he could with greater truthfulness be called the creature of suggestion. He is reasonable, but he is to a greater extent suggestible". He demonstrated this through his advertising technique of a direct command to the consumer. Radio from the 1920s In the early 1920s, the first radio stations were established by radio equipment manufacturers, followed by non-profit organizations such as schools, clubs and civic groups who also set up their own stations. Retailer and consumer goods manufacturers quickly recognized radio's potential to reach consumers in their home and soon adopted advertising techniques that would allow their messages to stand out; slogans, mascots, and jingles began to appear on radio in the 1920s and early television in the 1930s. The rise of mass media communications allowed manufacturers of branded goods to bypass retailers by advertising directly to consumers. This was a major paradigm shift which forced manufacturers to focus on the brand and stimulated the need for superior insights into consumer purchasing, consumption and usage behaviour; their needs, wants and aspirations. The earliest radio drama series were sponsored by soap manufacturers and the genre became known as a soap opera. Before long, radio station owners realized they could increase advertising revenue by selling 'air-time' in small time allocations which could be sold to multiple businesses. By the 1930s, these advertising spots, as the packets of time became known, were being sold by the station's geographical sales representatives, ushering in an era of national radio advertising. By the 1940s, manufacturers began to recognize the way in which consumers were developing personal relationships with their brands in a social/psychological/anthropological sense. Advertisers began to use motivational research and consumer research to gather insights into consumer purchasing. Strong branded campaigns for Chrysler and Exxon/Esso, using insights drawn research methods from psychology and cultural anthropology, led to some of the most enduring campaigns of the 20th century. Commercial television in the 1950s In the early 1950s, the DuMont Television Network began the modern practice of selling advertisement time to multiple sponsors. Previously, DuMont had trouble finding sponsors for many of their programs and compensated by selling smaller blocks of advertising time to several businesses. This eventually became the standard for the commercial television industry in the United States. However, it was still a common practice to have single sponsor shows, such as The United States Steel Hour. In some instances the sponsors exercised great control over the content of the show – up to and including having one's advertising agency actually writing the show. The single sponsor model is much less prevalent now, a notable exception being the Hallmark Hall of Fame. Cable television from the 1980s The late 1980s and early 1990s saw the introduction of cable television and particularly MTV. Pioneering the concept of the music video, MTV ushered in a new type of advertising: the consumer tunes in for the advertising message, rather than it being a by-product or afterthought. As cable and satellite television became increasingly prevalent, specialty channels emerged, including channels entirely devoted to advertising, such as QVC, Home Shopping Network, and ShopTV Canada. Internet from the 1990s With the advent of the ad server, online advertising grew, contributing to the "dot-com" boom of the 1990s. Entire corporations operated solely on advertising revenue, offering everything from coupons to free Internet access. At the turn of the 21st century, some websites, including the search engine Google, changed online advertising by personalizing ads based on web browsing behavior. This has led to other similar efforts and an increase in interactive advertising. The share of advertising spending relative to GDP has changed little across large changes in media since 1925. In 1925, the main advertising media in America were newspapers, magazines, signs on streetcars, and outdoor posters. Advertising spending as a share of GDP was about 2.9 percent. By 1998, television and radio had become major advertising media; by 2017, the balance between broadcast and online advertising had shifted, with online spending exceeding broadcast. Nonetheless, advertising spending as a share of GDP was slightly lower – about 2.4 percent. Guerrilla marketing involves unusual approaches such as staged encounters in public places, giveaways of products such as cars that are covered with brand messages, and interactive advertising where the viewer can respond to become part of the advertising message. This type of advertising is unpredictable, which causes consumers to buy the product or idea. This reflects an increasing trend of interactive and "embedded" ads, such as via product placement, having consumers vote through text messages, and various campaigns utilizing social network services such as Facebook or Twitter. The advertising business model has also been adapted in recent years. In media for equity, advertising is not sold, but provided to start-up companies in return for equity. If the company grows and is sold, the media companies receive cash for their shares. Domain name registrants (usually those who register and renew domains as an investment) sometimes "park" their domains and allow advertising companies to place ads on their sites in return for per-click payments. These ads are typically driven by pay per click search engines like Google or Yahoo, but ads can sometimes be placed directly on targeted domain names through a domain lease or by making contact with the registrant of a domain name that describes a product. Domain name registrants are generally easy to identify through WHOIS records that are publicly available at registrar websites. Classification Advertising may be categorized in a variety of ways, including by style, target audience, geographic scope, medium, or purpose. For example, in print advertising, classification by style can include display advertising (ads with design elements sold by size) vs. classified advertising (ads without design elements sold by the word or line). Advertising may be local, national or global. An ad campaign may be directed toward consumers or to businesses. The purpose of an ad may be to raise awareness (brand advertising), or to elicit an immediate sale (direct response advertising). The term above the line (ATL) is used for advertising involving mass media; more targeted forms of advertising and promotion are referred to as below the line (BTL). The two terms date back to 1954 when Procter & Gamble began paying their advertising agencies differently from other promotional agencies. In the 2010s, as advertising technology developed, a new term, through the line (TTL) began to come into use, referring to integrated advertising campaigns. Traditional media Virtually any medium can be used for advertising. Commercial advertising media can include wall paintings, billboards, street furniture components, printed flyers and rack cards, radio, cinema and television adverts, web banners, mobile telephone screens, shopping carts, web popups, skywriting, bus stop benches, human billboards and forehead advertising, magazines, newspapers, town criers, sides of buses, banners attached to or sides of airplanes ("logojets"), in-flight advertisements on seatback tray tables or overhead storage bins, taxicab doors, roof mounts and passenger screens, musical stage shows, subway platforms and trains, elastic bands on disposable diapers, doors of bathroom stalls, stickers on apples in supermarkets, shopping cart handles (grabertising), the opening section of streaming audio and video, posters, and the backs of event tickets and supermarket receipts. Any situation in which an "identified" sponsor pays to deliver their message through a medium is advertising. Television Television advertising is one of the most expensive types of advertising; networks charge large amounts for commercial airtime during popular events. The annual Super Bowl football game in the United States is known as the most prominent advertising event on television – with an audience of over 108 million and studies showing that 50% of those only tuned in to see the advertisements. During the 2014 edition of this game, the average thirty-second ad cost US$4 million, and $8 million was charged for a 60-second spot. Virtual advertisements may be inserted into regular programming through computer graphics. It is typically inserted into otherwise blank backdrops or used to replace local billboards that are not relevant to the remote broadcast audience. Virtual billboards may be inserted into the background where none exist in real-life. This technique is especially used in televised sporting events. Virtual product placement is also possible. An infomercial is a long-format television commercial, typically five minutes or longer. The name blends the words "information" and "commercial". The main objective in an infomercial is to create an impulse purchase, so that the target sees the presentation and then immediately buys the product through the advertised toll-free telephone number or website. Infomercials describe and often demonstrate products, and commonly have testimonials from customers and industry professionals. Radio Radio advertisements are broadcast as radio waves to the air from a transmitter to an antenna and a thus to a receiving device. Airtime is purchased from a station or network in exchange for airing the commercials. While radio has the limitation of being restricted to sound, proponents of radio advertising often cite this as an advantage. Radio is an expanding medium that can be found on air, and also online. According to Arbitron, radio has approximately 241.6 million weekly listeners, or more than 93 percent of the U.S. population. Online Online advertising is a form of promotion that uses the Internet and World Wide Web for the expressed purpose of delivering marketing messages to attract customers. Online ads are delivered by an ad server. Examples of online advertising include contextual ads that appear on search engine results pages, banner ads, in pay per click text ads, rich media ads, Social network advertising, online classified advertising, advertising networks and e-mail marketing, including e-mail spam. A newer form of online advertising is Native Ads; they go in a website's news feed and are supposed to improve user experience by being less intrusive. However, some people argue this practice is deceptive. Domain names Domain name advertising is most commonly done through pay per click web search engines, however, advertisers often lease space directly on domain names that generically describe their products. When an Internet user visits a website by typing a domain name directly into their web browser, this is known as "direct navigation", or "type in" web traffic. Although many Internet users search for ideas and products using search engines and mobile phones, a large number of users around the world still use the address bar. They will type a keyword into the address bar such as "geraniums" and add ".com" to the end of it. Sometimes they will do the same with ".org" or a country-code Top Level Domain (TLD such as ".co.uk" for the United Kingdom or ".ca" for Canada). When Internet users type in a generic keyword and add .com or another top-level domain (TLD) ending, it produces a targeted sales lead. Domain name advertising was originally developed by Oingo (later known as Applied Semantics), one of Google's early acquisitions. Product placements is when a product or brand is embedded in entertainment and media. For example, in a film, the main character can use an item or other of a definite brand, as in the movie Minority Report, where Tom Cruise's character John Anderton owns a phone with the Nokia logo clearly written in the top corner, or his watch engraved with the Bulgari logo. Another example of advertising in film is in I, Robot, where main character played by Will Smith mentions his Converse shoes several times, calling them "classics", because the film is set far in the future. I, Robot and Spaceballs also showcase futuristic cars with the Audi and Mercedes-Benz logos clearly displayed on the front of the vehicles. Cadillac chose to advertise in the movie The Matrix Reloaded, which as a result contained many scenes in which Cadillac cars were used. Similarly, product placement for Omega Watches, Ford, VAIO, BMW and Aston Martin cars are featured in recent James Bond films, most notably Casino Royale. In "Fantastic Four: Rise of the Silver Surfer", the main transport vehicle shows a large Dodge logo on the front. Blade Runner includes some of the most obvious product placement; the whole film stops to show a Coca-Cola billboard. Print Print advertising describes advertising in a printed medium such as a newspaper, magazine, or trade journal. This encompasses everything from media with a very broad readership base, such as a major national newspaper or magazine, to more narrowly targeted media such as local newspapers and trade journals on very specialized topics. One form of print advertising is classified advertising, which allows private individuals or companies to purchase a small, narrowly targeted ad paid by the word or line. Another form of print advertising is the display ad, which is generally a larger ad with design elements that typically run in an article section of a newspaper. Outdoor Billboards, also known as hoardings in some parts of the world, are large structures located in public places which display advertisements to passing pedestrians and motorists. Most often, they are located on main roads with a large amount of passing motor and pedestrian traffic; however, they can be placed in any location with large numbers of viewers, such as on mass transit vehicles and in stations, in shopping malls or office buildings, and in stadiums. The form known as street advertising first came to prominence in the UK by Street Advertising Services to create outdoor advertising on street furniture and pavements. Working with products such as Reverse Graffiti, air dancers and 3D pavement advertising, for getting brand messages out into public spaces. Sheltered outdoor advertising combines outdoor with indoor advertisement by placing large mobile, structures (tents) in public places on temporary bases. The large outer advertising space aims to exert a strong pull on the observer, the product is promoted indoors, where the creative decor can intensify the impression. Mobile billboards are generally vehicle mounted billboards or digital screens. These can be on dedicated vehicles built solely for carrying advertisements along routes preselected by clients, they can also be specially equipped cargo trucks or, in some cases, large banners strewn from planes. The billboards are often lighted; some being backlit, and others employing spotlights. Some billboard displays are static, while others change; for example, continuously or periodically rotating among a set of advertisements. Mobile displays are used for various situations in metropolitan areas throughout the world, including: target advertising, one-day and long-term campaigns, conventions, sporting events, store openings and similar promotional events, and big advertisements from smaller companies. Point-of-sale In-store advertising is any advertisement placed in a retail store. It includes placement of a product in visible locations in a store, such as at eye level, at the ends of aisles and near checkout counters (a.k.a. POP – point of purchase display), eye-catching displays promoting a specific product, and advertisements in such places as shopping carts and in-store video displays. Novelties Advertising printed on small tangible items such as coffee mugs, T-shirts, pens, bags, and such is known as novelty advertising. Some printers specialize in printing novelty items, which can then be distributed directly by the advertiser, or items may be distributed as part of a cross-promotion, such as ads on fast food containers. Celebrity endorsements Advertising in which a celebrity endorses a product or brand leverages celebrity power, fame, money, popularity to gain recognition for their products or to promote specific stores' or products. Advertisers often advertise their products, for example, when celebrities share their favorite products or wear clothes by specific brands or designers. Celebrities are often involved in advertising campaigns such as television or print adverts to advertise specific or general products. The use of celebrities to endorse a brand can have its downsides, however; one mistake by a celebrity can be detrimental to the public relations of a brand. For example, following his performance of eight gold medals at the 2008 Olympic Games in Beijing, China, swimmer Michael Phelps' contract with Kellogg's was terminated, as Kellogg's did not want to associate with him after he was photographed smoking marijuana. Celebrities such as Britney Spears have advertised for multiple products including Pepsi, Candies from Kohl's, Twister, NASCAR, and Toyota. Aerial Using aircraft, balloons or airships to create or display advertising media. Skywriting is a notable example. New media approaches A new advertising
to circumvent brute-force attacks. History The term was coined by Fanya Montalvo by analogy with NP-complete and NP-hard in complexity theory, which formally describes the most famous class of difficult problems. Early uses of the term are in Erik Mueller's 1987 PhD dissertation and in Eric Raymond's 1991 Jargon File. AI-complete problems AI-complete problems are hypothesized to include: AI peer review (composite natural language understanding, automated reasoning, automated theorem proving, formalized logic expert system) Bongard problems Computer vision (and subproblems such as object recognition) Natural language understanding (and subproblems such as text mining, machine translation, and word-sense disambiguation) Dealing with unexpected circumstances while solving any real world problem, whether it's navigation or planning or even the kind of reasoning done by expert systems. Machine translation To translate accurately, a machine must be able to understand the text. It must be able to follow the author's argument, so it must have some ability to reason. It must have extensive world knowledge so that it knows what is being discussed — it must at least be familiar with all the same commonsense facts that the average human translator knows. Some of this knowledge is in the form of facts that can be explicitly represented, but some knowledge is unconscious and closely tied to the human body: for example, the machine may need to understand how an ocean makes one feel to accurately translate a specific metaphor in the text. It must also model the authors' goals, intentions, and emotional states to accurately reproduce them in a new language. In short, the machine is required to have wide variety of human intellectual skills, including reason, commonsense knowledge and the intuitions that underlie motion and manipulation, perception, and social intelligence. Machine translation, therefore, is believed to be AI-complete: it may require strong AI to be done as well as humans can do it. Software brittleness Current AI systems can solve very simple and/or restricted versions of AI-complete problems, but never in their full generality. When AI researchers attempt to "scale up" their systems to handle more complicated, real-world situations, the programs tend to become excessively brittle without commonsense knowledge or a rudimentary
in Eric Raymond's 1991 Jargon File. AI-complete problems AI-complete problems are hypothesized to include: AI peer review (composite natural language understanding, automated reasoning, automated theorem proving, formalized logic expert system) Bongard problems Computer vision (and subproblems such as object recognition) Natural language understanding (and subproblems such as text mining, machine translation, and word-sense disambiguation) Dealing with unexpected circumstances while solving any real world problem, whether it's navigation or planning or even the kind of reasoning done by expert systems. Machine translation To translate accurately, a machine must be able to understand the text. It must be able to follow the author's argument, so it must have some ability to reason. It must have extensive world knowledge so that it knows what is being discussed — it must at least be familiar with all the same commonsense facts that the average human translator knows. Some of this knowledge is in the form of facts that can be explicitly represented, but some knowledge is unconscious and closely tied to the human body: for example, the machine may need to understand how an ocean makes one feel to accurately translate a specific metaphor in the text. It must also model the authors' goals, intentions, and emotional states to accurately reproduce them in a new language. In short, the machine is required to have wide variety of human intellectual skills, including reason, commonsense knowledge and the intuitions that underlie motion and manipulation, perception, and social intelligence. Machine translation, therefore, is believed to be AI-complete: it may require strong AI to be done as well as humans can do it. Software brittleness Current AI systems can solve very simple and/or restricted versions of AI-complete problems, but never in their full generality. When AI researchers attempt to "scale up" their systems to handle more complicated, real-world situations, the programs tend to become excessively brittle without commonsense knowledge or a rudimentary understanding of the situation: they fail as unexpected circumstances outside of its original problem context begin to appear. When human beings are dealing with new situations in
data led to some claims of high accuracy that were comparatively weak when compared to the statistically led investigations in Europe. This came to a head at a meeting sponsored by the International Astronomical Union (IAU) in Oxford in 1981. The methodologies and research questions of the participants were considered so different that the conference proceedings were published as two volumes. Nevertheless, the conference was considered a success in bringing researchers together and Oxford conferences have continued every four or five years at locations around the world. The subsequent conferences have resulted in a move to more interdisciplinary approaches with researchers aiming to combine the contextuality of archaeological research, which broadly describes the state of archaeoastronomy today, rather than merely establishing the existence of ancient astronomies, archaeoastronomers seek to explain why people would have an interest in the night sky. Relations to other disciplines Archaeoastronomy has long been seen as an interdisciplinary field that uses written and unwritten evidence to study the astronomies of other cultures. As such, it can be seen as connecting other disciplinary approaches for investigating ancient astronomy: astroarchaeology (an obsolete term for studies that draw astronomical information from the alignments of ancient architecture and landscapes), history of astronomy (which deals primarily with the written textual evidence), and ethnoastronomy (which draws on the ethnohistorical record and contemporary ethnographic studies). Reflecting Archaeoastronomy's development as an interdisciplinary subject, research in the field is conducted by investigators trained in a wide range of disciplines. Authors of recent doctoral dissertations have described their work as concerned with the fields of archaeology and cultural anthropology; with various fields of history including the history of specific regions and periods, the history of science and the history of religion; and with the relation of astronomy to art, literature and religion. Only rarely did they describe their work as astronomical, and then only as a secondary category. Both practicing archaeoastronomers and observers of the discipline approach it from different perspectives. Other researchers relate archaeoastronomy to the history of science, either as it relates to a culture's observations of nature and the conceptual framework they devised to impose an order on those observations or as it relates to the political motives which drove particular historical actors to deploy certain astronomical concepts or techniques. Art historian Richard Poss took a more flexible approach, maintaining that the astronomical rock art of the North American Southwest should be read employing "the hermeneutic traditions of western art history and art criticism" Astronomers, however, raise different questions, seeking to provide their students with identifiable precursors of their discipline, and are especially concerned with the important question of how to confirm that specific sites are, indeed, intentionally astronomical. The reactions of professional archaeologists to archaeoastronomy have been decidedly mixed. Some expressed incomprehension or even hostility, varying from a rejection by the archaeological mainstream of what they saw as an archaeoastronomical fringe to an incomprehension between the cultural focus of archaeologists and the quantitative focus of early archaeoastronomers. Yet archaeologists have increasingly come to incorporate many of the insights from archaeoastronomy into archaeology textbooks and, as mentioned above, some students wrote archaeology dissertations on archaeoastronomical topics. Since archaeoastronomers disagree so widely on the characterization of the discipline, they even dispute its name. All three major international scholarly associations relate archaeoastronomy to the study of culture, using the term Astronomy in Culture or a translation. Michael Hoskin sees an important part of the discipline as fact-collecting, rather than theorizing, and proposed to label this aspect of the discipline Archaeotopography. Ruggles and Saunders proposed Cultural Astronomy as a unifying term for the various methods of studying folk astronomies. Others have argued that astronomy is an inaccurate term, what are being studied are cosmologies and people who object to the use of logos have suggested adopting the Spanish cosmovisión. When debates polarise between techniques, the methods are often referred to by a colour code, based on the colours of the bindings of the two volumes from the first Oxford Conference, where the approaches were first distinguished. Green (Old World) archaeoastronomers rely heavily on statistics and are sometimes accused of missing the cultural context of what is a social practice. Brown (New World) archaeoastronomers in contrast have abundant ethnographic and historical evidence and have been described as 'cavalier' on matters of measurement and statistical analysis. Finding a way to integrate various approaches has been a subject of much discussion since the early 1990s. Methodology There is no one way to do archaeoastronomy. The divisions between archaeoastronomers tend not to be between the physical scientists and the social scientists. Instead, it tends to depend on the location and/or kind of data available to the researcher. In the Old World, there is little data but the sites themselves; in the New World, the sites were supplemented by ethnographic and historic data. The effects of the isolated development of archaeoastronomy in different places can still often be seen in research today. Research methods can be classified as falling into one of two approaches, though more recent projects often use techniques from both categories. Green archaeoastronomy Green archaeoastronomy is named after the cover of the book Archaeoastronomy in the Old World. It is based primarily on statistics and is particularly apt for prehistoric sites where the social evidence is relatively scant compared to the historic period. The basic methods were developed by Alexander Thom during his extensive surveys of British megalithic sites. Thom wished to examine whether or not prehistoric peoples used high-accuracy astronomy. He believed that by using horizon astronomy, observers could make estimates of dates in the year to a specific day. The observation required finding a place where on a specific date the Sunset into a notch on the horizon. A common theme is a mountain that blocked the Sun, but on the right day would allow the tiniest fraction to re-emerge on the other side for a 'double sunset'. The animation below shows two sunsets at a hypothetical site, one the day before the summer solstice and one at the summer solstice, which has a double sunset. To test this idea he surveyed hundreds of stone rows and circles. Any individual alignment could indicate a direction by chance, but he planned to show that together the distribution of alignments was non-random, showing that there was an astronomical intent to the orientation of at least some of the alignments. His results indicated the existence of eight, sixteen, or perhaps even thirty-two approximately equal divisions of the year. The two solstices, the two equinoxes and four cross-quarter days, days halfway between a solstice and the equinox were associated with the medieval Celtic calendar. While not all these conclusions have been accepted, it has had an enduring influence on archaeoastronomy, especially in Europe. Euan MacKie has supported Thom's analysis, to which he added an archaeological context by comparing Neolithic Britain to the Mayan civilization to argue for a stratified society in this period. To test his ideas he conducted a couple of excavations at proposed prehistoric observatories in Scotland. Kintraw is a site notable for its four-meter high standing stone. Thom proposed that this was a foresight to a point on the distant horizon between Beinn Shianaidh and Beinn o'Chaolias on Jura. This, Thom argued, was a notch on the horizon where a double sunset would occur at midwinter. However, from ground level, this sunset would be obscured by a ridge in the landscape, and the viewer would need to be raised by two meters: another observation platform was needed. This was identified across a gorge where a platform was formed from small stones. The lack of artifacts caused concern for some archaeologists and the petrofabric analysis was inconclusive, but further research at Maes Howe and on the Bush Barrow Lozenge led MacKie to conclude that while the term 'science' may be anachronistic, Thom was broadly correct upon the subject of high-accuracy alignments. In contrast Clive Ruggles has argued that there are problems with the selection of data in Thom's surveys. Others have noted that the accuracy of horizon astronomy is limited by variations in refraction near the horizon. A deeper criticism of Green archaeoastronomy is that while it can answer whether there was likely to be an interest in astronomy in past times, its lack of a social element means that it struggles to answer why people would be interested, which makes it of limited use to people asking questions about the society of the past. Keith Kintigh wrote: "To put it bluntly, in many cases it doesn't matter much to the progress of anthropology whether a particular archaeoastronomical claim is right or wrong because the information doesn’t inform the current interpretive questions." Nonetheless, the study of alignments remains a staple of archaeoastronomical research, especially in Europe. Brown archaeoastronomy In contrast to the largely alignment-oriented statistically led methods of green archaeoastronomy, brown archaeoastronomy has been identified as being closer to the history of astronomy or to cultural history, insofar as it draws on historical and ethnographic records to enrich its understanding of early astronomies and their relations to calendars and ritual. The many records of native customs and beliefs made by Spanish chroniclers and ethnographic researchers means that brown archaeoastronomy is often associated with studies of astronomy in the Americas. One famous site where historical records have been used to interpret sites is Chichen Itza. Rather than analyzing the site and seeing which targets appear popular, archaeoastronomers have instead examined the ethnographic records to see what features of the sky were important to the Mayans and then sought archaeological correlates. One example which could have been overlooked without historical records is the Mayan interest in the planet Venus. This interest is attested to by the Dresden codex which contains tables with information about Venus's appearances in the sky. These cycles would have been of astrological and ritual significance as Venus was associated with Quetzalcoatl or Xolotl. Associations of architectural features with settings of Venus can be found in Chichen Itza, Uxmal, and probably some other Mesoamerican sites. The Temple of the Warriors bears iconography depicting feathered serpents associated with Quetzalcoatl or Kukulcan. This means that the building's alignment towards the place on the horizon where Venus first appears in the evening sky (when it coincides with the rainy season) may be meaningful. However, since both the date and the azimuth of this event change continuously, a solar interpretation of this orientation is much more likely. Aveni claims that another building associated with the planet Venus in the form of Kukulcan, and the rainy season at Chichen Itza is the Caracol. This is a building with a circular tower and doors facing the cardinal directions. The base faces the most northerly setting of Venus. Additionally the pillars of a stylobate on the building's upper platform were painted black and red. These are colours associated with Venus as an evening and morning star. However the windows in the tower seem to have been little more than slots, making them poor at letting light in, but providing a suitable place to view out. In their discussion of the credibility of archaeoastronomical sites, Cotte and Ruggles considered the interpretation that the Caracol is an observatory site was debated among specialists, meeting the second of their four levels of site credibility. Aveni states that one of the strengths of the brown methodology is that it can explore astronomies invisible to statistical analysis and offers the astronomy of the Incas as another example. The empire of the Incas was conceptually divided using ceques, radial routes emanating from the capital at Cusco. Thus there are alignments in all directions which would suggest there is little of astronomical significance, However, ethnohistorical records show that the various directions do have cosmological and astronomical significance with various points in the landscape being significant at different times of the year. In eastern Asia archaeoastronomy has developed from the history of astronomy and much archaeoastronomy is searching for material correlates of the historical record. This is due to the rich historical record of astronomical phenomena which, in China, stretches back into the Han dynasty, in the second century BC. A criticism of this method is that it can be statistically weak. Schaefer in particular has questioned how robust the claimed alignments in the Caracol are. Because of the wide variety of evidence, which can include artefacts as well as sites, there is no one way to practice archaeoastronomy. Despite this it is accepted that archaeoastronomy is not a discipline that sits in isolation. Because archaeoastronomy is an interdisciplinary field, whatever is being investigated should make sense both archaeologically and astronomically. Studies are more likely to be considered sound if they use theoretical tools found in archaeology like analogy and homology and if they can demonstrate an understanding of accuracy and precision found in astronomy. Both quantitative analyses and interpretations based on ethnographic analogies and other contextual evidence have recently been applied in systematic studies of architectural orientations in the Maya area and in other parts of Mesoamerica. Source materials Because archaeoastronomy is about the many and various ways people interacted with the sky, there are a diverse range of sources giving information about astronomical practices. Alignments A common source of data for archaeoastronomy is the study of alignments. This is based on the assumption that the axis of alignment of an archaeological site is meaningfully oriented towards an astronomical target. Brown archaeoastronomers may justify this assumption through reading historical or ethnographic sources, while green archaeoastronomers tend to prove that alignments are unlikely to be selected by chance, usually by demonstrating common patterns of alignment at multiple sites. An alignment is calculated by measuring the azimuth, the angle from north, of the structure and the altitude of the horizon it faces The azimuth is usually measured using a theodolite or a compass. A compass is easier to use, though the deviation of the Earth's magnetic field from true north, known as its magnetic declination must be taken into account. Compasses are also unreliable in areas prone to magnetic interference, such as sites being supported by scaffolding. Additionally a compass can only measure the azimuth to a precision of a half a degree. A theodolite can be considerably more accurate if used correctly, but it is also considerably more difficult to use correctly. There is no inherent way to align a theodolite with North and so the scale has to be calibrated using astronomical observation, usually the position of the Sun. Because the position of celestial bodies changes with the time of day due to the Earth's rotation, the time of these calibration observations must be accurately known, or else there will be a systematic error in the measurements. Horizon altitudes can be measured with a theodolite or a clinometer. Artifacts For artifacts such as the Sky Disc of Nebra, alleged to be a Bronze Age artefact depicting the cosmos, the analysis would be similar to typical post-excavation analysis as used in other sub-disciplines in archaeology. An artefact is examined and attempts are made to draw analogies with historical or ethnographical records of other peoples. The more parallels that can be found, the more likely an explanation is to be accepted by other archaeologists. A more mundane example is the presence of astrological symbols found on some shoes and sandals from the Roman Empire. The use of shoes and sandals is well known, but Carol van Driel-Murray has proposed that astrological symbols etched onto sandals gave the footwear spiritual or medicinal meanings. This is supported through citation of other known uses of astrological symbols and their connection to medical practice and with the historical records of the time. Another well-known artefact with an astronomical use is the Antikythera mechanism. In this case analysis of the artefact, and reference to the description of similar devices described by Cicero, would indicate a plausible use for the device. The argument is bolstered by the presence of symbols on the mechanism, allowing the disc to be read. Art and inscriptions Art and inscriptions may not be confined to artefacts, but also appear painted or inscribed on an archaeological site. Sometimes inscriptions are helpful enough to give instructions to a site's use. For example, a Greek inscription on a stele (from Itanos) has been translated as:"Patron set this up for Zeus Epopsios. Winter solstice. Should anyone wish to know: off ‘the little pig’ and the stele the sun turns." From Mesoamerica come Mayan and Aztec codices. These are folding books made from Amatl, processed tree bark on which are glyphs in Mayan or Aztec script. The Dresden codex contains information regarding the Venus cycle, confirming its importance to the Mayans. More problematic are those cases where the movement of the Sun at different times and seasons causes light and shadow interactions with petroglyphs. A widely known example is the Sun Dagger of Fajada Butte at which a glint of sunlight passes over a spiral petroglyph. The location of a dagger of light on the petroglyph varies throughout the year. At the summer solstice a dagger can be seen through the heart of the spiral; at the winter solstice two daggers appear to either side of it. It is proposed that this petroglyph was created to mark these events. Recent studies have identified many similar sites in the US Southwest and Northwestern Mexico. It has been argued that the number of solstitial markers at these sites provides statistical evidence that they were intended to mark the solstices. The Sun Dagger site on Fajada Butte in Chaco Canyon, New Mexico, stands out for its explicit light markings that record all the key events of both the solar and lunar cycles: summer solstice, winter solstice, equinox, and the major and minor lunar standstills of the moon's 18.6 year cycle. In addition at two other sites on Fajada Butte, there are five light markings on petroglyphs recording the summer and winter solstices, equinox and solar noon. Numerous buildings and interbuilding alignments of the great houses of Chaco Canyon and outlying areas are oriented to the same solar and lunar directions that are marked at the Sun Dagger site. If no ethnographic nor historical data are found which can support this assertion then acceptance of the idea relies upon whether or not there are enough petroglyph sites in North America that such a correlation could occur by chance. It is helpful when petroglyphs are associated with existing peoples. This allows ethnoastronomers to question informants as to the meaning of such symbols. Ethnographies As well as the materials left by peoples themselves, there are also the reports of other who have encountered them. The historical records of the Conquistadores are a rich source of information about the pre-Columbian Americans. Ethnographers also provide material about many other peoples. Aveni uses the importance of zenith passages as an example of the importance of ethnography. For peoples living between the tropics of Cancer and Capricorn there are two days of the year when the noon Sun passes directly overhead and casts no shadow. In parts of Mesoamerica this was considered a significant day as it would herald the arrival of rains, and so play a part in the cycle of agriculture. This knowledge is still considered important amongst Mayan Indians living in Central America today. The ethnographic records suggested to archaeoastronomers that this day may have been important to the ancient Mayans. There are also shafts known as 'zenith tubes' which illuminate subterranean rooms when the Sun passes overhead found at places like Monte Albán and Xochicalco. It is only through the ethnography that we can speculate that the timing of the illumination was considered important in Mayan society. Alignments to the sunrise and sunset on the day of the zenith passage have been claimed to exist at several sites. However, it has been shown that, since there are very few orientations that can be related to these phenomena, they likely have different explanations. Ethnographies also caution against over-interpretation of sites. At a site in Chaco Canyon can be found a pictograph with a star, crescent and hand. It has been argued by some astronomers that this is a record of the 1054 Supernova. However recent reexaminations of related 'supernova petroglyphs' raises questions about such sites in general. Cotte and Ruggles used the Supernova petroglyph as an example of a completely refuted site and anthropological evidence suggests other interpretations. The Zuni people, who claim a strong ancestral affiliation with Chaco, marked their sun-watching station with a crescent, star, hand and sundisc, similar to those found at the Chaco site. Ethnoastronomy is also an important field outside of the Americas. For example, anthropological work with Aboriginal Australians is producing much information about their Indigenous astronomies and about their interaction with the modern world. Recreating the ancient sky Once the researcher has data to test, it is often necessary to attempt to recreate ancient sky conditions to place the data in its historical environment. Declination To calculate what astronomical features a structure faced a coordinate system is needed. The stars provide such a system. If you were to go outside on a clear night you would observe the stars spinning around the celestial pole. This point is +90° if you are watching the North Celestial Pole or −90° if you are observing the Southern Celestial Pole. The concentric circles the stars trace out are lines of celestial latitude, known as declination. The arc connecting the points on the horizon due East and due West (if the horizon is flat) and all points midway between the Celestial Poles is the Celestial Equator which has a declination of 0°. The visible declinations vary depending where you are on the globe. Only an observer on the North Pole of Earth would be unable to see any stars from the Southern Celestial Hemisphere at night (see diagram below). Once a declination has been found for the point on the horizon that a building faces it is then possible to say whether a specific body can be seen in that direction. Solar positioning While the stars are fixed to their declinations the Sun is not. The rising point of the Sun varies throughout the year. It swings between two limits marked by the solstices a bit like a pendulum, slowing as it reaches the extremes, but passing rapidly through the midpoint. If an archaeoastronomer can calculate from the azimuth and horizon height that a site was built to view a declination of +23.5° then he or she need not wait until 21 June to confirm the site does indeed face the summer solstice. For more information see History of solar observation. Lunar positioning The Moon's appearance is considerably more complex. Its motion, like the Sun, is between two limits—known as lunistices rather than solstices. However, its travel between lunistices is considerably faster. It takes a sidereal month to complete its cycle rather than the year-long trek of the Sun. This is further complicated as the lunistices marking the limits of the Moon's movement move on an 18.6 year cycle. For slightly over nine years the extreme limits of the Moon are outside the range of sunrise. For the remaining half of the cycle the Moon never exceeds the limits of the range of sunrise. However, much lunar observation was concerned with the phase of the Moon. The cycle from one New Moon to the next runs on an entirely different cycle, the Synodic month. Thus when examining sites for lunar significance the data can appear sparse due to the extremely variable nature of the moon. See Moon for more details. Stellar positioning Finally there is often a need to correct for the apparent movement of the stars. On the timescale of human civilisation the stars have largely maintained the same position relative to each other. Each night they appear to rotate around the celestial poles due to the Earth's rotation about its axis. However, the Earth spins rather like a spinning top. Not only does the Earth rotate, it wobbles. The Earth's axis takes around 25,800 years to complete one full wobble. The effect to the archaeoastronomer is that stars did not rise over the horizon in the past in the same places as they do today. Nor did the stars rotate around Polaris as they do now. In the case of the Egyptian pyramids, it has been shown they were aligned towards Thuban, a faint star in the constellation of Draco. The effect can be substantial over relatively short lengths of time, historically speaking. For instance a person born on 25 December in Roman times would have been born with the Sun in the constellation Capricorn. In the modern period a person born on the same date would have the Sun in Sagittarius due to the precession of the equinoxes. Transient phenomena Additionally there are often transient phenomena, events which do not happen on an annual cycle. Most predictable are events like eclipses. In the case of solar eclipses these can be
Brown archaeoastronomers may justify this assumption through reading historical or ethnographic sources, while green archaeoastronomers tend to prove that alignments are unlikely to be selected by chance, usually by demonstrating common patterns of alignment at multiple sites. An alignment is calculated by measuring the azimuth, the angle from north, of the structure and the altitude of the horizon it faces The azimuth is usually measured using a theodolite or a compass. A compass is easier to use, though the deviation of the Earth's magnetic field from true north, known as its magnetic declination must be taken into account. Compasses are also unreliable in areas prone to magnetic interference, such as sites being supported by scaffolding. Additionally a compass can only measure the azimuth to a precision of a half a degree. A theodolite can be considerably more accurate if used correctly, but it is also considerably more difficult to use correctly. There is no inherent way to align a theodolite with North and so the scale has to be calibrated using astronomical observation, usually the position of the Sun. Because the position of celestial bodies changes with the time of day due to the Earth's rotation, the time of these calibration observations must be accurately known, or else there will be a systematic error in the measurements. Horizon altitudes can be measured with a theodolite or a clinometer. Artifacts For artifacts such as the Sky Disc of Nebra, alleged to be a Bronze Age artefact depicting the cosmos, the analysis would be similar to typical post-excavation analysis as used in other sub-disciplines in archaeology. An artefact is examined and attempts are made to draw analogies with historical or ethnographical records of other peoples. The more parallels that can be found, the more likely an explanation is to be accepted by other archaeologists. A more mundane example is the presence of astrological symbols found on some shoes and sandals from the Roman Empire. The use of shoes and sandals is well known, but Carol van Driel-Murray has proposed that astrological symbols etched onto sandals gave the footwear spiritual or medicinal meanings. This is supported through citation of other known uses of astrological symbols and their connection to medical practice and with the historical records of the time. Another well-known artefact with an astronomical use is the Antikythera mechanism. In this case analysis of the artefact, and reference to the description of similar devices described by Cicero, would indicate a plausible use for the device. The argument is bolstered by the presence of symbols on the mechanism, allowing the disc to be read. Art and inscriptions Art and inscriptions may not be confined to artefacts, but also appear painted or inscribed on an archaeological site. Sometimes inscriptions are helpful enough to give instructions to a site's use. For example, a Greek inscription on a stele (from Itanos) has been translated as:"Patron set this up for Zeus Epopsios. Winter solstice. Should anyone wish to know: off ‘the little pig’ and the stele the sun turns." From Mesoamerica come Mayan and Aztec codices. These are folding books made from Amatl, processed tree bark on which are glyphs in Mayan or Aztec script. The Dresden codex contains information regarding the Venus cycle, confirming its importance to the Mayans. More problematic are those cases where the movement of the Sun at different times and seasons causes light and shadow interactions with petroglyphs. A widely known example is the Sun Dagger of Fajada Butte at which a glint of sunlight passes over a spiral petroglyph. The location of a dagger of light on the petroglyph varies throughout the year. At the summer solstice a dagger can be seen through the heart of the spiral; at the winter solstice two daggers appear to either side of it. It is proposed that this petroglyph was created to mark these events. Recent studies have identified many similar sites in the US Southwest and Northwestern Mexico. It has been argued that the number of solstitial markers at these sites provides statistical evidence that they were intended to mark the solstices. The Sun Dagger site on Fajada Butte in Chaco Canyon, New Mexico, stands out for its explicit light markings that record all the key events of both the solar and lunar cycles: summer solstice, winter solstice, equinox, and the major and minor lunar standstills of the moon's 18.6 year cycle. In addition at two other sites on Fajada Butte, there are five light markings on petroglyphs recording the summer and winter solstices, equinox and solar noon. Numerous buildings and interbuilding alignments of the great houses of Chaco Canyon and outlying areas are oriented to the same solar and lunar directions that are marked at the Sun Dagger site. If no ethnographic nor historical data are found which can support this assertion then acceptance of the idea relies upon whether or not there are enough petroglyph sites in North America that such a correlation could occur by chance. It is helpful when petroglyphs are associated with existing peoples. This allows ethnoastronomers to question informants as to the meaning of such symbols. Ethnographies As well as the materials left by peoples themselves, there are also the reports of other who have encountered them. The historical records of the Conquistadores are a rich source of information about the pre-Columbian Americans. Ethnographers also provide material about many other peoples. Aveni uses the importance of zenith passages as an example of the importance of ethnography. For peoples living between the tropics of Cancer and Capricorn there are two days of the year when the noon Sun passes directly overhead and casts no shadow. In parts of Mesoamerica this was considered a significant day as it would herald the arrival of rains, and so play a part in the cycle of agriculture. This knowledge is still considered important amongst Mayan Indians living in Central America today. The ethnographic records suggested to archaeoastronomers that this day may have been important to the ancient Mayans. There are also shafts known as 'zenith tubes' which illuminate subterranean rooms when the Sun passes overhead found at places like Monte Albán and Xochicalco. It is only through the ethnography that we can speculate that the timing of the illumination was considered important in Mayan society. Alignments to the sunrise and sunset on the day of the zenith passage have been claimed to exist at several sites. However, it has been shown that, since there are very few orientations that can be related to these phenomena, they likely have different explanations. Ethnographies also caution against over-interpretation of sites. At a site in Chaco Canyon can be found a pictograph with a star, crescent and hand. It has been argued by some astronomers that this is a record of the 1054 Supernova. However recent reexaminations of related 'supernova petroglyphs' raises questions about such sites in general. Cotte and Ruggles used the Supernova petroglyph as an example of a completely refuted site and anthropological evidence suggests other interpretations. The Zuni people, who claim a strong ancestral affiliation with Chaco, marked their sun-watching station with a crescent, star, hand and sundisc, similar to those found at the Chaco site. Ethnoastronomy is also an important field outside of the Americas. For example, anthropological work with Aboriginal Australians is producing much information about their Indigenous astronomies and about their interaction with the modern world. Recreating the ancient sky Once the researcher has data to test, it is often necessary to attempt to recreate ancient sky conditions to place the data in its historical environment. Declination To calculate what astronomical features a structure faced a coordinate system is needed. The stars provide such a system. If you were to go outside on a clear night you would observe the stars spinning around the celestial pole. This point is +90° if you are watching the North Celestial Pole or −90° if you are observing the Southern Celestial Pole. The concentric circles the stars trace out are lines of celestial latitude, known as declination. The arc connecting the points on the horizon due East and due West (if the horizon is flat) and all points midway between the Celestial Poles is the Celestial Equator which has a declination of 0°. The visible declinations vary depending where you are on the globe. Only an observer on the North Pole of Earth would be unable to see any stars from the Southern Celestial Hemisphere at night (see diagram below). Once a declination has been found for the point on the horizon that a building faces it is then possible to say whether a specific body can be seen in that direction. Solar positioning While the stars are fixed to their declinations the Sun is not. The rising point of the Sun varies throughout the year. It swings between two limits marked by the solstices a bit like a pendulum, slowing as it reaches the extremes, but passing rapidly through the midpoint. If an archaeoastronomer can calculate from the azimuth and horizon height that a site was built to view a declination of +23.5° then he or she need not wait until 21 June to confirm the site does indeed face the summer solstice. For more information see History of solar observation. Lunar positioning The Moon's appearance is considerably more complex. Its motion, like the Sun, is between two limits—known as lunistices rather than solstices. However, its travel between lunistices is considerably faster. It takes a sidereal month to complete its cycle rather than the year-long trek of the Sun. This is further complicated as the lunistices marking the limits of the Moon's movement move on an 18.6 year cycle. For slightly over nine years the extreme limits of the Moon are outside the range of sunrise. For the remaining half of the cycle the Moon never exceeds the limits of the range of sunrise. However, much lunar observation was concerned with the phase of the Moon. The cycle from one New Moon to the next runs on an entirely different cycle, the Synodic month. Thus when examining sites for lunar significance the data can appear sparse due to the extremely variable nature of the moon. See Moon for more details. Stellar positioning Finally there is often a need to correct for the apparent movement of the stars. On the timescale of human civilisation the stars have largely maintained the same position relative to each other. Each night they appear to rotate around the celestial poles due to the Earth's rotation about its axis. However, the Earth spins rather like a spinning top. Not only does the Earth rotate, it wobbles. The Earth's axis takes around 25,800 years to complete one full wobble. The effect to the archaeoastronomer is that stars did not rise over the horizon in the past in the same places as they do today. Nor did the stars rotate around Polaris as they do now. In the case of the Egyptian pyramids, it has been shown they were aligned towards Thuban, a faint star in the constellation of Draco. The effect can be substantial over relatively short lengths of time, historically speaking. For instance a person born on 25 December in Roman times would have been born with the Sun in the constellation Capricorn. In the modern period a person born on the same date would have the Sun in Sagittarius due to the precession of the equinoxes. Transient phenomena Additionally there are often transient phenomena, events which do not happen on an annual cycle. Most predictable are events like eclipses. In the case of solar eclipses these can be used to date events in the past. A solar eclipse mentioned by Herodotus enables us to date a battle between the Medes and the Lydians, which following the eclipse failed to happen, to 28 May, 585 BC. Other easily calculated events are supernovae whose remains are visible to astronomers and therefore their positions and magnitude can be accurately calculated. Some comets are predictable, most famously Halley's Comet. Yet as a class of object they remain unpredictable and can appear at any time. Some have extremely lengthy orbital periods which means their past appearances and returns cannot be predicted. Others may have only ever passed through the Solar System once and so are inherently unpredictable. Meteor showers should be predictable, but some meteors are cometary debris and so require calculations of orbits which are currently impossible to complete. Other events noted by ancients include aurorae, sun dogs and rainbows all of which are as impossible to predict as the ancient weather, but nevertheless may have been considered important phenomena. Major topics of archaeoastronomical research The use of calendars A common justification for the need for astronomy is the need to develop an accurate calendar for agricultural reasons. Ancient texts like Hesiod's Works and Days, an ancient farming manual, would appear to partially confirm this: astronomical observations are used in combination with ecological signs, such as bird migrations to determine the seasons. Ethnoastronomical studies of the Hopi of the southwestern United States indicate that they carefully observed the rising and setting positions of the Sun to determine the proper times to plant crops. However, ethnoastronomical work with the Mursi of Ethiopia shows that their luni-solar calendar was somewhat haphazard, indicating the limits of astronomical calendars in some societies. All the same, calendars appear to be an almost universal phenomenon in societies as they provide tools for the regulation of communal activities. An example of a non-agricultural calendar is the Tzolk'in calendar of the Maya civilization of pre-Columbian Mesoamerica, which is a cycle of 260 days. This count is based on an earlier calendar and is found throughout Mesoamerica. This formed part of a more comprehensive system of Maya calendars which combined a series of astronomical observations and ritual cycles. Other peculiar calendars include ancient Greek calendars. These were nominally lunar, starting with the New Moon. In reality the calendar could pause or skip days with confused citizens inscribing dates by both the civic calendar and ton theoi, by the moon. The lack of any universal calendar for ancient Greece suggests that coordination of panhellenic events such as games or rituals could be difficult and that astronomical symbolism may have been used as a politically neutral form of timekeeping. Orientation measurements in Greek temples and Byzantine churches have been associated to deity's name day, festivities, and special events. Myth and cosmology Another motive for studying the sky is to understand and explain the universe. In these cultures myth was a tool for achieving this, and the explanations, while not reflecting the standards of modern science, are cosmologies. The Incas arranged their empire to demonstrate their cosmology. The capital, Cusco, was at the centre of the empire and connected to it by means of ceques, conceptually straight lines radiating out from the centre. These ceques connected the centre of the empire to the four suyus, which were regions defined by their direction from Cusco. The notion of a quartered cosmos is common across the Andes. Gary Urton, who has conducted fieldwork in the Andean villagers of Misminay, has connected this quartering with the appearance of the Milky Way in the night sky. In one season it will bisect the sky and in another bisect it in a perpendicular fashion. The importance of observing cosmological factors is also seen on the other side of the world. The Forbidden City in Beijing is laid out to follow cosmic order though rather than observing four directions. The Chinese system was composed of five directions: North, South, East, West and Centre. The Forbidden City occupied the centre of ancient Beijing. One approaches the Emperor from the south, thus placing him in front of the circumpolar stars. This creates the situation of the heavens revolving around the person of the Emperor. The Chinese cosmology is now better known through its export as feng shui. There is also much information about how the universe was thought to work stored in the mythology of the constellations. The Barasana of the Amazon plan part of their annual cycle based on observation of the stars. When their constellation of the Caterpillar-Jaguar (roughly equivalent to the modern Scorpius) falls they prepare to catch the pupating caterpillars of the forest as they fall from the trees. The caterpillars provide food at a season when other foods are scarce. A more well-known source of constellation myth are the texts of the Greeks and Romans. The origin of their constellations remains a matter of vigorous and occasionally fractious debate. The loss of one of the sisters, Merope, in some Greek myths may reflect an astronomical event wherein one of the stars in the Pleiades disappeared from view by the naked eye. Giorgio de Santillana, professor of the History of Science in the School of Humanities at the Massachusetts Institute of Technology, along with Hertha von Dechend believed that the old mythological stories handed down from antiquity were not random fictitious tales but were accurate depictions of celestial cosmology clothed in tales to aid their oral transmission. The chaos, monsters and violence in ancient myths are representative of the forces that shape each age. They believed that ancient myths are the remains of preliterate astronomy that became lost with the rise of the Greco-Roman civilization. Santillana and von Dechend in their book Hamlet's Mill, An Essay on Myth and the Frame of Time (1969) clearly state that ancient myths have no historical or factual basis other than a cosmological one encoding astronomical phenomena, especially the precession of the equinoxes. Santillana and von Dechend's approach is not widely accepted. Displays of power By including celestial motifs in clothing it becomes possible for the wearer to make claims the power on Earth is drawn from above. It has been said that the Shield of Achilles described by Homer is also a catalogue of constellations. In North America shields depicted in Comanche petroglyphs appear to include Venus symbolism. Solsticial alignments also can be seen as displays of power. When viewed from a ceremonial plaza on the Island of the Sun (the mythical origin place of the Sun) in Lake Titicaca, the Sun was seen to rise at the June solstice between two towers on a nearby ridge. The sacred part of the island was separated from the remainder of it by a stone wall and ethnographic records indicate that access to the sacred space was restricted to members of the Inca ruling elite. Ordinary pilgrims stood on a platform outside the ceremonial area to see the solstice Sun rise between the towers. In Egypt the temple of Amun-Re at Karnak has been the subject of much study. Evaluation of the site, taking into account the change over time of the obliquity of the ecliptic show that the Great Temple was aligned on the rising of the midwinter Sun. The length of the corridor down which sunlight would travel would have limited illumination at other times of the year. In a later period the Serapeum in Alexandria was also said to have contained a solar alignment so that, on a specific sunrise, a shaft of light would pass across the lips of the statue of Serapis thus symbolising the Sun saluting the god. Major sites of archaeoastronomical interest Clive Ruggles and Michel Cotte recently edited a book on heritage sites of astronomy and archaeoastronomy which discussed a worldwide sample of astronomical and archaeoastronomical sites and provided criteria for the classification of archaeoastronomical sites. Newgrange Newgrange is a passage tomb in the Republic of Ireland dating from around 3,300 to 2,900 BC For a few days around the Winter Solstice light shines along the central passageway into the heart of the tomb. What makes this notable is not that light shines in the passageway, but that it does not do so through the main entrance. Instead it enters via a hollow box above the main doorway discovered by Michael O'Kelly. It is this roofbox which strongly indicates that the tomb was built with an astronomical aspect in mind. In their discussion of the credibility of archaeoastronomical sites, Cotte and Ruggles gave Newgrange as an example of a Generally accepted site, the highest of their four levels of credibility. Clive Ruggles notes: Egypt Since the first modern measurements of the precise cardinal orientations of the pyramids by Flinders Petrie, various astronomical methods have been proposed for the original establishment of these orientations. It was recently proposed that this was done by observing the positions of two stars in the Plough / Big Dipper which was known to Egyptians as the thigh. It is thought that a vertical alignment between these two stars checked with a plumb bob was used to ascertain where north lay. The deviations from true north using this model reflect the accepted dates of construction. Some have argued that the pyramids were laid out as a map of the three stars in the belt of Orion, although this theory has been criticized by reputable astronomers. The site was instead probably governed by a spectacular hierophany which occurs at the summer solstice, when the Sun, viewed from the Sphinx terrace, forms—together with the two giant pyramids—the symbol Akhet, which was also the name of the Great Pyramid. Further, the south east corners of all the three pyramids align towards the temple of Heliopolis, as first discovered by the Egyptologist Mark Lehner. The astronomical ceiling of the tomb of Senenmut (BC) contains the Celestial Diagram depicting circumpolar constellations in the form of discs. Each disc is divided into 24 sections suggesting a 24-hour time period. Constellations are portrayed as sacred deities of Egypt. The observation of lunar cycles is also evident. El Castillo El Castillo, also known as Kukulcán's Pyramid, is a Mesoamerican step-pyramid built in the centre of Mayan center of Chichen Itza in Mexico. Several architectural features have suggested astronomical elements. Each of the stairways built into the sides of the pyramid has 91 steps. Along with the extra one for the platform at the top, this totals 365 steps, which is possibly one for each day of the year (365.25) or the number of lunar orbits in 10,000 rotations (365.01). A visually striking effect is seen every March and September as an unusual shadow occurs around the equinoxes. Light and shadow phenomena have been proposed to explain a possible architectural hierophany involving the sun at Chichén Itzá in a Maya Toltec structure dating to about 1000 CE. A shadow appears to descend the west balustrade of the northern stairway. The visual effect is of a serpent descending the stairway, with its head at the base in light. Additionally the western face points to sunset around 25 May, traditionally the date of transition from the dry to the rainy season. The intended alignment was, however, likely incorporated in the northern (main) facade of the temple, as it corresponds to sunsets on May 20 and July 24, recorded also by the central axis of Castillo at Tulum. The two dates are separated by 65 and 300 days, and it has been shown that the solar orientations in Mesoamerica regularly correspond to dates separated by calendrically significant intervals (multiples of 13 and 20 days). In their discussion of the credibility of archaeoastronomical sites, Cotte and Ruggles used the "equinox hierophany" at Chichén Itzá as an example of an Unproven site, the third of their four levels of credibility. Stonehenge Many astronomical alignments have been claimed for Stonehenge, a complex of megaliths and earthworks in the Salisbury Plain of England. The most famous of these is the midsummer alignment, where the Sun rises over the Heel Stone. However, this interpretation has been challenged by some archaeologists who argue that the midwinter alignment, where the viewer is outside Stonehenge and sees the Sun setting in the henge, is the more significant alignment, and the midsummer alignment may be a coincidence due to local topography. In their discussion of the credibility of archaeoastronomical sites, Cotte and Ruggles gave Stonehenge as an example of a Generally accepted site, the highest of their four levels of credibility. As well as solar alignments, there are proposed lunar alignments. The four station stones mark out a rectangle. The short sides point towards the midsummer sunrise and midwinter sunset. The long sides if viewed towards the south-east, face the most southerly rising of the Moon. Aveni notes that these lunar alignments have never gained the acceptance that the solar alignments have received. The Heel Stone azimuth is one-seventh of circumference, matching the latitude of Avebury, while summer solstice sunrise azimuth is no longer equal to the construction era direction. Maeshowe This is an architecturally outstanding Neolithic chambered tomb on the mainland of Orkney, Scotland—probably dating to the early 3rd millennium BC, and where the setting Sun at midwinter shines down the entrance passage into the central chamber (see Newgrange). In the 1990s further investigations were carried out to discover whether this was an accurate or an approximate solar alignment. Several new aspects of the site were discovered. In the first place the entrance passage faces the hills of the island Hoy, about 10 miles away. Secondly, it consists of two straight lengths, angled at a few degrees to each other. Thirdly, the outer part is aligned towards the midwinter sunset position on a level horizon just to the left of Ward Hill on Hoy. Fourthly the inner part points directly at the Barnhouse standing stone about 400m away and then to the right end of the summit of Ward Hill, just before it dips down to the notch between it at Cuilags to the right. This indicated line points to sunset on the first Sixteenths of the solar year (according to A. Thom) before and after the winter solstice and the notch at the base of the right slope of the Hill is at the same declination. Fourthly a similar 'double sunset' phenomenon is seen at the right end of Cuilags, also on Hoy; here the date is the first Eighth of the year before and after the winter solstice, at the beginning of November and February respectively—the Old Celtic festivals of Samhain and Imbolc. This alignment is not indicated by an artificial structure but gains plausibility from the other two indicated lines. Maeshowe is thus an extremely sophisticated calendar site which must have been positioned carefully in order to use the horizon foresights in the ways described. Uxmal Uxmal is a Mayan city in the Puuc Hills of Yucatán Peninsula, Mexico. The Governor's Palace at Uxmal is often used as an exemplar of why it
He had a son named Krzysztof (1972–2019) for whom he wrote the first Witcher story. Awards and recognition Sapkowski is a recipient of numerous awards from Polish fandom. Sapkowski has won five Zajdel Awards, including three for short stories "Mniejsze zło" ("Lesser Evil", 1990), "Miecz przeznaczenia" ("Sword of Destiny", 1992) and "W leju po bombie" ("In a Bomb Crater", 1993), and two for the novels, Krew elfów (Blood of Elves, 1994) and Narrenturm (2002). He also won the Spanish Ignotus Award, best anthology, for The Last Wish in 2003, and for Muzykanci (The Musicians), best foreign short story, same year. In 2003 he was nominated for one of Poland's most prestigious literary prizes Nike Award for his novel Narrenturm. He also received several Russian fandom awards and was awarded Sfinks Award, the readers' award of the SFinks magazine, in 1995, 1997, 1998 (two awards), 2000, 2005, 2007. Since 2008, he has been an honorary citizen of the city of Łódź. 2016: World Fantasy Award—Life Achievement for The Witcher saga 2014: Silver medal Gloria Artis, Ministry of Culture and National Heritage of the Republic of Poland 2012: Silver medal Gloria Artis, Ministry of Culture and National Heritage of the Republic of Poland 2010: European Science Fiction Society "European Grand Master" honorary award 2009: David Gemmell Legend Award 1997: Polityka's Passport award, which is awarded annually to artists who have strong prospects for international success 1996: European Science Fiction Society Hall of Fame: author In 2005, Stanisław Bereś conducted a lengthy interview with Sapkowski that was eventually published in a book form as Historia i fantastyka. Bibliography The Witcher Saga Short story collections The Witcher (pl:Wiedźmin, 1990), 5 stories. Currently out of print, although 4 of its stories were reprinted in The Last Wish along with new material, while the fifth story was reprinted in Something ends, Something begins and The Malady and Other Stories. Sword of Destiny (Miecz przeznaczenia, 1992), 6 stories. English edition: 2015 The Last Wish (Ostatnie życzenie, 1993), 7 stories. English edition: 2007 (in US: 2008). Its stories (including both its original stories and the stories which it republishes from The Witcher) take place before Sword of Destiny even though it was published later. The short story "The Hexer" in the English anthology Chosen by Fate: Zajdel Award Winner Anthology (by SuperNOVA in cooperation with the Silesian Club of Fantasy Literature, 2000) is an English translation by Agnieszka Fulińska of the short story "The Witcher" which had previously been published in Polish in The Witcher and The Last Wish. The Last Wish was later translated into English in full. The short story "Spellmaker" in the English anthology A Polish Book of Monsters (edited and translated by Michael Kandel, 2010) is another translation of the short story "The Witcher" which had previously been published in The Witcher, The Last Wish, and Chosen by Fate: Zajdel Award Winner Anthology. Something Ends, Something Begins (pl:Coś się kończy, coś się zaczyna, 2000), 8 stories. Only two of its stories are related
School No. 21. He also studied economics at the University of Łódź, and before turning to writing, he had worked as a senior sales representative for a foreign trade company. He started his literary career as a translator, in particular, of science fiction. Among the first works translated by him was The Words of Guru by Cyril M. Kornbluth. He says he wrote his first short story, The Witcher ("Wiedźmin", also translated "The Hexer" or "Spellmaker"), on a whim, in order to enter a contest by Polish science fiction and fantasy magazine Fantastyka. In an interview, he said that being a businessman at the time and thus familiar with marketing, he knew how to sell, and indeed, he won third prize. The story was published in Fantastyka in 1986 and was enormously successful both with readers and critics. Sapkowski has created a cycle of tales based on the world of "The Witcher", comprising three collections of short stories and six novels. This cycle and his other works have made him one of the best-known fantasy authors in Poland in the 1990s. The main character of "The Witcher" is Geralt of Rivia, a monster hunter trained for this since childhood. Geralt exists in a morally ambiguous universe, yet manages to maintain his own coherent code of ethics. At the same time cynical and noble, Geralt has been compared to Raymond Chandler's signature character Philip Marlowe. The world in which these adventures take place is heavily influenced by Slavic mythology. Sapkowski next series was The Hussite Trilogy set in the 15th century at the time of the Hussite Wars with Reinmar of Bielawa as the main protagonist. Mariusz Czubaj writes: Translations of his books and other derivative works Sapkowski's books have been translated into Czech, Georgian, Hungarian, Russian, Lithuanian, German, Spanish, French, Chinese, Ukrainian, Portuguese, Finnish, Slovak, Bulgarian, Serbian, English, Italian, Dutch, Turkish, Estonian, Romanian, Korean, Swedish, Norwegian and Croatian. An English translation of The Last Wish short story collection was published by Gollancz in 2007. From 2008, the Witcher saga is published by Gollancz. The English translation of Sapkowski's novel Blood of Elves won the David Gemmell Legend Award in 2009. In 2001, a television series based on the Witcher cycle was released in Poland and internationally, entitled Wiedźmin (The Hexer). A film by the same title was compiled from excerpts of the television series but both have been critical and box office failures. The Polish game developer, CD Projekt Red, created a role-playing game series based on The Witcher universe. The first game, titled simply The Witcher, was first released in October 2007. The sequel, The Witcher 2: Assassins of Kings was released in 2011. The third game in the trilogy, The Witcher 3: Wild Hunt, was released in May 2015. In May 2017, Netflix commissioned The Witcher, an English-language adaptation of the book series. The Witcher television series premiered on Netflix on 20 December 2019. Sapkowski served for a while as a creative consultant on the project. Personal life Sapkowski admitted that The Witcher series was created at the request of his son, who was an avid reader of the Polish Fantastyka magazine. In an interview, Sapkowski mentioned that his favorite writers included Ernest Hemingway, Mikhail Bulgakov, Raymond Chandler and Umberto Eco, and stated "I love their style, but I know I can never match them". When also asked about feminism, Sapkowski said "I believe that the feminine element dominates in nature. Women are generally stronger than men. All power of this world should be in the hands of women. Life, the world are too serious to leave it in our hands". Sapkowski is a member of the Polish Writers' Association, and resides in his hometown of Łódź in central Poland. He is an atheist. He had a son named Krzysztof (1972–2019) for whom he wrote the first Witcher story. Awards and recognition Sapkowski is a recipient of numerous awards from Polish fandom. Sapkowski has won five Zajdel Awards, including three for short stories "Mniejsze zło" ("Lesser Evil", 1990), "Miecz przeznaczenia" ("Sword of Destiny", 1992) and "W leju po bombie" ("In a Bomb Crater", 1993), and two for the novels, Krew elfów (Blood of Elves, 1994) and Narrenturm (2002). He also
marked with a positive terminal, but some have centre-zero mechanisms and can display currents in either direction. A moving coil meter indicates the average (mean) of a varying current through it, which is zero for AC. For this reason, moving-coil meters are only usable directly for DC, not AC. This type of meter movement is extremely common for both ammeters and other meters derived from them, such as voltmeters and ohmmeters. Moving magnet Moving magnet ammeters operate on essentially the same principle as moving coil, except that the coil is mounted in the meter case, and a permanent magnet moves the needle. Moving magnet Ammeters are able to carry larger currents than moving coil instruments, often several tens of Amperes, because the coil can be made of thicker wire and the current does not have to be carried by the hairsprings. Indeed, some Ammeters of this type do not have hairsprings at all, instead using a fixed permanent magnet to provide the restoring force. Electrodynamic An electrodynamic ammeter uses an electromagnet instead of the permanent magnet of the d'Arsonval movement. This instrument can respond to both alternating and direct current and also indicates true RMS for AC. See Wattmeter for an alternative use for this instrument. Moving-iron Moving iron ammeters use a piece of iron which moves when acted upon by the electromagnetic force of a fixed coil of wire. The moving-iron meter was invented by Austrian engineer Friedrich Drexler in 1884. This type of meter responds to both direct and alternating currents (as opposed to the moving-coil ammeter, which works on direct current only). The iron element consists of a moving vane attached to a pointer, and a fixed vane, surrounded by a coil. As alternating or direct current flows through the coil and induces a magnetic field in both vanes, the vanes repel each other and the moving vane deflects against the restoring force provided by fine helical springs. The deflection of a moving iron meter is proportional to the square of the current. Consequently, such meters would normally have a nonlinear scale, but the iron parts are usually modified in shape to make the scale fairly linear over most of its range. Moving iron instruments indicate the RMS value of any AC waveform applied. Moving iron ammeters are commonly used to measure current in industrial frequency AC circuits. Hot-wire In a hot-wire ammeter, a current passes through a wire which expands as it heats. Although these instruments have slow response time and low accuracy, they were sometimes used in measuring radio-frequency current. These also measure true RMS for an applied AC. Digital In much the same way as the analogue ammeter formed the basis for a wide variety of derived meters, including voltmeters, the basic mechanism for a digital meter is a digital voltmeter mechanism, and other types of meter are built around this. Digital ammeter designs use a shunt resistor to produce a calibrated voltage proportional to the current flowing. This voltage is then measured by a digital
permanent magnet causes the coil to move. The modern form of this instrument was developed by Edward Weston, and uses two spiral springs to provide the restoring force. The uniform air gap between the iron core and the permanent magnet poles make the deflection of the meter linearly proportional to current. These meters have linear scales. Basic meter movements can have full-scale deflection for currents from about 25 microamperes to 10 milliamperes. Because the magnetic field is polarised, the meter needle acts in opposite directions for each direction of current. A DC ammeter is thus sensitive to which polarity it is connected in; most are marked with a positive terminal, but some have centre-zero mechanisms and can display currents in either direction. A moving coil meter indicates the average (mean) of a varying current through it, which is zero for AC. For this reason, moving-coil meters are only usable directly for DC, not AC. This type of meter movement is extremely common for both ammeters and other meters derived from them, such as voltmeters and ohmmeters. Moving magnet Moving magnet ammeters operate on essentially the same principle as moving coil, except that the coil is mounted in the meter case, and a permanent magnet moves the needle. Moving magnet Ammeters are able to carry larger currents than moving coil instruments, often several tens of Amperes, because the coil can be made of thicker wire and the current does not have to be carried by the hairsprings. Indeed, some Ammeters of this type do not have hairsprings at all, instead using a fixed permanent magnet to provide the restoring force. Electrodynamic An electrodynamic ammeter uses an electromagnet instead of the permanent magnet of the d'Arsonval movement. This instrument can respond to both alternating and direct current and also indicates true RMS for AC. See Wattmeter for an alternative use for this instrument. Moving-iron Moving iron ammeters use a piece of iron which moves when acted upon by the electromagnetic force of a fixed coil of wire. The moving-iron meter was invented by Austrian engineer Friedrich Drexler in 1884. This type of meter responds to both direct and alternating currents (as opposed to the moving-coil ammeter, which works on direct current only). The iron element consists of a moving vane attached to a pointer, and a fixed vane, surrounded by a coil. As alternating or direct current flows through the coil and induces a magnetic field in both vanes, the vanes repel each other and the moving vane deflects against the restoring force provided by fine helical springs. The deflection of a moving iron meter is proportional to the square of the current. Consequently, such meters would normally have a nonlinear scale, but the iron parts are usually modified in shape to make the scale fairly linear over most of its range. Moving iron instruments indicate the RMS value of any AC waveform applied. Moving iron ammeters are commonly used to measure current in industrial frequency AC circuits. Hot-wire In a hot-wire ammeter, a current passes through a wire which expands as it heats. Although these instruments have slow response time and low accuracy, they were sometimes used in measuring radio-frequency current. These also measure true RMS for an applied AC. Digital In much the same way as the analogue ammeter formed the basis for a wide variety of derived meters, including voltmeters, the basic mechanism for a digital meter is a digital voltmeter mechanism, and other types of meter are built around this. Digital ammeter designs use a shunt resistor to produce a calibrated voltage proportional to the current flowing. This voltage is then measured by a digital voltmeter, through use of an analog-to-digital converter (ADC); the digital display is calibrated to display the current through the shunt. Such instruments are often calibrated to indicate the RMS value for a sine wave only, but many designs will indicate true RMS within limitations of the wave crest factor. Integrating There is also a range of devices referred to as integrating ammeters. In these ammeters the current is summed over time, giving as a result the product of current and time; which is proportional to the electrical charge transferred with that current. These can be used
the Table, a Collection of Essays from the New York Times (W. W. Norton & Company, 2009) [Edited 26 previously published essays]The Essential New York Times Cookbook: Classic Recipes for a New Century (W. W. Norton & Company, 2010)The Food52 Cookbook: 140 Winning Recipes from Exceptional Home Cooks (William Morrow Cookbooks, 2011)The Food52 Cookbook, Volume 2: Seasonal Recipes from Our Kitchens to Yours (William Morrow Cookbooks, 2012)Food52 Genius Recipes: 100 Recipes That Will Change the Way You Cook (Ten Speed Press, 2015)Food52 Vegan: 60 Vegetable-Driven Recipes for Any Kitchen (Ten Speed Press, 2015)Food52 Baking: 60 Sensational Treats You Can Pull Off in a Snap (Ten Speed Press, 2015)Food52 A New Way to Dinner: A Playbook of Recipes and Strategies for the Week Ahead (Ten Speed Press, 2016)Food52 Mighty Salads: 60 New Ways to Turn Salad into Dinner (Ten Speed Press, 2017)Food52 Ice Cream and Friends: 60 Recipes and Riffs for Sorbets, Sandwiches, No-Churn Ice Creams, and More (Ten Speed Press, 2017)Food52 Any Night Grilling: 60 Ways to Fire Up Dinner (and More) (Ten Speed Press, 2018)Food52 Genius Desserts: 100 Recipes That Will Change the Way You Bake (Ten Speed Press, 2018) eBooks "Food 52 Holiday Recipes & Party Planning Guide: A cookbook, instruction manual, and entertaining battle plan" (Open Air Publishing, 2011) Anthologized worksWomen Who Eat (2003)Best Food Writing (2002, 2004)The Art of Eating (2004)Alone in the Kitchen with an Eggplant'' (2007) References External links 1972 births Living people American food writers Women food writers Women cookbook writers
While Hesser left the Times in March 2008 to focus on the development of Food52 she continued to write the "Recipe Redux" feature for the Times magazine until February 27, 2011. As co-founder and CEO of Food52 she has raised two rounds of investment from parties including Lerer Hippeau Ventures and Bertelsmann Digital Media Investments. Food52 has won numerous notable awards including the James Beard Award for Publication of the Year (2012) and the IACP Award for Best Website (2013). In February 2017, noting that 92 percent of the company was white, she and her co-founder Merrill Stubbs "issued a statement about the ways in which the company intended to redress a lack of racial equality in its workplace." By the following January, "they published a follow-up letter updating readers on the progress of their efforts, stating that their staff had been reduced to being 76 percent white." Hesser was featured in Food & Wine'''s 40 under 40 list, was named one of the 50 most influential women in food by Gourmet Magazine, and had a cameo as herself in the film Julie & Julia. Hesser lives in Brooklyn Heights with her husband, Tad Friend, a staff writer for The New Yorker, and their two children. Bibliography BooksThe Cook and the Gardener (W. W. Norton & Company, 1999)Cooking for Mr. Latte: A Food Lover's Courtship, with Recipes (W. W. Norton & Company, 2004) [Collected Food Diary columns she wrote from 2000-2002]Eat, Memory: Great Writers at the Table, a Collection of Essays from the New York Times (W. W. Norton & Company, 2009) [Edited 26 previously published essays]The Essential New York Times Cookbook: Classic Recipes for a New Century (W. W. Norton & Company, 2010)The Food52 Cookbook: 140 Winning Recipes from Exceptional Home Cooks (William Morrow Cookbooks, 2011)The Food52 Cookbook, Volume 2: Seasonal Recipes from Our Kitchens to Yours (William Morrow Cookbooks, 2012)Food52 Genius Recipes: 100 Recipes That Will Change the Way You Cook (Ten Speed Press, 2015)Food52 Vegan: 60 Vegetable-Driven Recipes for Any Kitchen (Ten Speed Press, 2015)Food52 Baking: 60 Sensational Treats You Can Pull
Pregabalin (Lyrica) produces anxiolytic effect after one week of use comparable to lorazepam, alprazolam, and venlafaxine with more consistent psychic and somatic anxiety reduction. Unlike BZDs, it does not disrupt sleep architecture nor does it cause cognitive or psychomotor impairment. Hydroxyzine Hydroxyzine (Atarax) is an antihistamine originally approved for clinical use by the FDA in 1956. Hydroxyzine has a calming effect which helps ameliorate anxiety. Hydroxyzine efficacy is comparable to benzodiazepines in the treatment of generalized anxiety disorder. Phenibut Phenibut (Anvifen, Fenibut, Noofen) is an anxiolytic used in Russia. Phenibut is a GABAB receptor agonist, as well as an antagonist at α2δ subunit-containing voltage-dependent calcium channels (VDCCs), similarly to gabapentinoids like gabapentin and pregabalin. The medication is not approved by the FDA for use in the United States, but is sold online as a supplement. Mebicar Mebicar is an anxiolytic produced in Latvia and used in Eastern Europe. Mebicar has an effect on the structure of limbic-reticular activity, particularly on the hypothalamus, as well as on all 4 basic neuromediator systems – γ aminobutyric acid (GABA), choline, serotonin and adrenergic activity. Mebicar decreases noradrenaline, increases serotonin, and exerts no effect on dopamine. Fabomotizole Fabomotizole (Afobazole) is an anxiolytic drug launched in Russia in the early 2000s. Its mechanism of action is poorly-defined, with GABAergic, NGF and BDNF release promoting, MT1 receptor agonism, MT3 receptor antagonism, and sigma agonism thought to have some involvement. Bromantane Bromantane is a stimulant drug with anxiolytic properties developed in Russia during the late 1980s. Bromantane acts mainly by facilitating the biosynthesis of dopamine, through indirect genomic upregulation of relevant enzymes (tyrosine hydroxylase (TH) and aromatic L-amino acid decarboxylase (AAAD). Emoxypine Emoxypine is an antioxidant that is also a purported anxiolytic. Its chemical structure resembles that of pyridoxine, a form of vitamin B6. Menthyl isovalerate Menthyl isovalerate is a flavoring food additive marketed as a sedative and anxiolytic drug in Russia under the name Validol. Racetams Some racetam based drugs such as aniracetam can have an antianxiety effect. Etifoxine Etifoxine has similar anxiolytic effects as benzodiazepine drugs, but does not produce the same levels of sedation and ataxia. Further, etifoxine does not affect memory and vigilance, and does not induce rebound anxiety, drug dependence, or withdrawal symptoms. Alcohol Alcohol is sometimes used as an anxiolytic by self-medication. fMRI can measure the anxiolytic effects of alcohol in the human brain. Alternatives to medication Cognitive behavioral therapy (CBT) is an effective treatment for panic disorder, social anxiety disorder, generalized anxiety disorder, and obsessive-compulsive disorder, while exposure therapy is the recommended treatment for anxiety related phobias. Healthcare providers can guide those with anxiety disorder by referring them to self-help resources. Sometimes medication is combined with psychotherapy but research has not found a benefit of combined pharmacotherapy and psychotherapy versus monotherapy. If CBT is found ineffective, both the Canadian and American medical associations then suggest the use of medication. See also Categories References External links Anxiety disorder treatment Drug classes defined by psychological
some personality disorders. SSRIs can increase anxiety initially due to negative feedback through the serotonergic autoreceptors, for this reason a concurrent benzodiazepine can be used until the anxiolytic effect of the SSRI occurs. Serotonin–norepinephrine reuptake inhibitors Serotonin–norepinephrine reuptake inhibitor (SNRIs) include venlafaxine and duloxetine drugs. Venlafaxine, in extended release form, and duloxetine, are indicated for the treatment of GAD. SNRIs are as effective as SSRIs in the treatment of anxiety disorders. Tricyclic antidepressants Tricyclic antidepressants (TCAs) have anxiolytic effects; however, side effects are often more troubling or severe and overdose is dangerous. They are considered effective, but have generally been replaced by antidepressants that cause fewer adverse effects. Examples include imipramine, doxepin, amitriptyline, nortriptyline and desipramine. Tetracyclic antidepressant Mirtazapine has demonstrated anxiolytic effect comparable to SSRIs while rarely causing or exacerbating anxiety. Mirtazapine's anxiety reduction tends to occur significantly faster than SSRIs. Monoamine oxidase inhibitors Monoamine oxidase inhibitors (MAOIs) are first-generation antidepressants effective for anxiety treatment but their dietary restrictions, adverse effect profile and availability of newer medications have limited their use. MAOIs include phenelzine, isocarboxazid and tranylcypromine. Pyrazidol is a reversible MAOI that lacks dietary restriction. Sympatholytics Sympatholytics are a group of anti-hypertensives which inhibit activity of the sympathetic nervous system. Beta blockers reduce anxiety by decreasing heart rate and preventing shaking. Beta blockers include propranolol, oxprenolol, and metoprolol. The Alpha-1 agonist prazosin could be effective for PTSD. The Alpha-2 agonists clonidine and guanfacine have demonstrated both anxiolytic and anxiogenic effects. Miscellaneous Buspirone Buspirone (Buspar) is a 5-HT1A receptor agonist used to treated generalized anxiety disorder. If an individual has taken a benzodiazepine, buspirone will be less effective. Pregabalin Pregabalin (Lyrica) produces anxiolytic effect after one week of use comparable to lorazepam, alprazolam, and venlafaxine with more consistent psychic and somatic anxiety reduction. Unlike BZDs, it does not disrupt sleep architecture nor does it cause cognitive or psychomotor impairment. Hydroxyzine Hydroxyzine (Atarax) is an antihistamine originally approved for clinical use by the FDA in
including hospitalization. Dementia Psychosis and agitation develop in as many as 80 percent of people living in nursing homes. Despite a lack of FDA approval and black-box warnings, atypical antipsychotics are very often prescribed to people with dementia. An assessment for an underlying cause of behavior is needed before prescribing antipsychotic medication for symptoms of dementia. Antipsychotics in old age dementia showed a modest benefit compared to placebo in managing aggression or psychosis, but this is combined with a fairly large increase in serious adverse events. Thus, antipsychotics should not be used routinely to treat dementia with aggression or psychosis, but may be an option in a few cases where there is severe distress or risk of physical harm to others. Psychosocial interventions may reduce the need for antipsychotics. In 2005, the FDA issued an advisory warning of an increased risk of death when atypical antipsychotics are used in dementia. In the subsequent 5 years, the use of atypical antipsychotics to treat dementia decreased by nearly 50%. Major depressive disorder A number of atypical antipsychotics have some benefits when used in addition to other treatments in major depressive disorder. Aripiprazole, quetiapine extended-release, and olanzapine (when used in conjunction with fluoxetine) have received the Food and Drug Administration (FDA) labelling for this indication. There is, however, a greater risk of side effects with their use compared to using traditional antidepressants. The greater risk of serious side effects with antipsychotics is why, e.g., quetiapine was denied approval as monotherapy for major depressive disorder or generalized anxiety disorder, and instead was only approved as an adjunctive treatment in combination with traditional antidepressants. Other Besides the above uses antipsychotics may be used for obsessive–compulsive disorder, post-traumatic stress disorder, personality disorders, Tourette syndrome, autism and agitation in those with dementia. Evidence however does not support the use of atypical antipsychotics in eating disorders or personality disorder. The atypical antipsychotic risperidone may be useful for obsessive–compulsive disorder. The use of low doses of antipsychotics for insomnia, while common, is not recommended as there is little evidence of benefit and concerns regarding adverse effects. Low dose antipsychotics may also be used in treatment of impulse-behavioural and cognitive-perceptual symptoms of borderline personality disorder. In children they may be used in those with disruptive behavior disorders, mood disorders and pervasive developmental disorders or intellectual disability. Antipsychotics are only weakly recommended for Tourette syndrome, because although they are effective, side effects are common. The situation is similar for those on the autism spectrum. Much of the evidence for the off-label use of antipsychotics (for example, for dementia, OCD, PTSD, Personality Disorders, Tourette's) was of insufficient scientific quality to support such use, especially as there was strong evidence of increased risks of stroke, tremors, significant weight gain, sedation, and gastrointestinal problems. A UK review of unlicensed usage in children and adolescents reported a similar mixture of findings and concerns. A survey of children with pervasive developmental disorder found that 16.5% were taking an antipsychotic drug, most commonly for irritability, aggression, and agitation. Both risperidone and aripiprazole have been approved by the US FDA for the treatment of irritability in autistic children and adolescents. Aggressive challenging behavior in adults with intellectual disability is often treated with antipsychotic drugs despite lack of an evidence base. A recent randomized controlled trial, however, found no benefit over placebo and recommended that the use of antipsychotics in this way should no longer be regarded as an acceptable routine treatment. Antipsychotics may be an option, together with stimulants, in people with ADHD and aggressive behavior when other treatments have not worked. They have not been found to be useful for the prevention of delirium among those admitted to hospital. Typicals vs atypicals It is unclear whether the atypical (second-generation) antipsychotics offer advantages over older, first generation antipsychotics. Amisulpride, olanzapine, risperidone and clozapine may be more effective but are associated with greater side effects. Typical antipsychotics have equal drop-out and symptom relapse rates to atypicals when used at low to moderate dosages. Clozapine is an effective treatment for those who respond poorly to other drugs ("treatment-resistant" or "refractory" schizophrenia), but it has the potentially serious side effect of agranulocytosis (lowered white blood cell count) in less than 4% of people. Due to bias in the research the accuracy of comparisons of atypical antipsychotics is a concern. In 2005, a US government body, the National Institute of Mental Health published the results of a major independent study (the CATIE project). No other atypical studied (risperidone, quetiapine, and ziprasidone) did better than the typical perphenazine on the measures used, nor did they produce fewer adverse effects than the typical antipsychotic perphenazine, although more patients discontinued perphenazine owing to extrapyramidal effects compared to the atypical agents (8% vs. 2% to 4%). Atypical antipsychotics do not appear to lead to improved rates of medication adherence compared to typical antipsychotics. Many researchers question the first-line prescribing of atypicals over typicals, and some even question the distinction between the two classes. In contrast, other researchers point to the significantly higher risk of tardive dyskinesia and other extrapyramidal symptoms with the typicals and for this reason alone recommend first-line treatment with the atypicals, notwithstanding a greater propensity for metabolic adverse effects in the latter. The UK government organization NICE recently revised its recommendation favoring atypicals, to advise that the choice should be an individual one based on the particular profiles of the individual drug and on the patient's preferences. The re-evaluation of the evidence has not necessarily slowed the bias toward prescribing the atypicals. Adverse effects Generally, more than one antipsychotic drug should not be used at a time because of increased adverse effects. Very rarely antipsychotics may cause tardive psychosis. By rate Common (≥ 1% and up to 50% incidence for most antipsychotic drugs) adverse effects of antipsychotics include: Sedation (particularly common with asenapine, clozapine, olanzapine, quetiapine, chlorpromazine and zotepine) Headaches Dizziness Diarrhea Anxiety Extrapyramidal side effects (particularly common with first-generation antipsychotics), which include: - Akathisia, an often distressing sense of inner restlessness. - Dystonia, an abnormal muscle contraction - Pseudoparkinsonism, symptoms that are similar to what people with Parkinson's disease experience, including tremulousness and drooling Hyperprolactinaemia (rare for those treated with clozapine, quetiapine and aripiprazole), which can cause: - Galactorrhoea, the unusual secretion of breast milk. - Gynaecomastia, abnormal growth of breast tissue - Sexual dysfunction (in both sexes) - Osteoporosis Orthostatic hypotension Weight gain (particularly prominent with clozapine, olanzapine, quetiapine and zotepine) Anticholinergic side-effects (common for olanzapine, clozapine; less likely on risperidone) such as: - Blurred vision - Constipation - Dry mouth (although hypersalivation may also occur) - Reduced perspiration Tardive dyskinesia appears to be more frequent with high-potency first-generation antipsychotics, such as haloperidol, and tends to appear after chronic and not acute treatment. It is characterized by slow (hence the tardive) repetitive, involuntary and purposeless movements, most often of the face, lips, legs, or torso, which tend to resist treatment and are frequently irreversible. The rate of appearance of TD is about 5% per year of use of antipsychotic drug (whatever the drug used). Rare/Uncommon (<1% incidence for most antipsychotic drugs) adverse effects of antipsychotics include: Blood dyscrasias (e.g., agranulocytosis, leukopenia, and neutropaenia), which is more common in patients on clozapine. Metabolic syndrome and other metabolic problems such as type II diabetes mellitus — particularly common with clozapine, olanzapine and zotepine. In American studies African Americans appeared to be at a heightened risk for developing type II diabetes mellitus. Evidence suggests that females are more sensitive to the metabolic side effects of first-generation antipsychotic drugs than males. Metabolic adverse effects appear to be mediated by the following mechanisms: - Causing weight gain by antagonizing the histamine H1 and serotonin 5-HT2Creceptors and perhaps by interacting with other neurochemical pathways in the central nervous system. Neuroleptic malignant syndrome, a potentially fatal condition characterized by: - Autonomic instability, which can manifest with tachycardia, nausea, vomiting, diaphoresis, etc. - Hyperthermia — elevated body temperature. - Mental status change (confusion, hallucinations, coma, etc.) - Muscle rigidity - Laboratory abnormalities (e.g., elevated creatine kinase, reduced iron plasma levels, electrolyte abnormalities, etc.) Pancreatitis QT interval prolongation — more prominent in those treated with amisulpride, pimozide, sertindole, thioridazine and ziprasidone. Torsades de pointes Seizures, particularly in people treated with chlorpromazine and clozapine. Thromboembolism Myocardial infarction Stroke Long-term effects Some studies have found decreased life expectancy associated with the use of antipsychotics, and argued that more studies are needed. Antipsychotics may also increase the risk of early death in individuals with dementia. Antipsychotics typically worsen symptoms in people who suffer from depersonalisation disorder. Antipsychotic polypharmacy (prescribing two or more antipsychotics at the same time for an individual) is a common practice but not evidence-based or recommended, and there are initiatives to curtail it. Similarly, the use of excessively high doses (often the result of polypharmacy) continues despite clinical guidelines and evidence indicating that it is usually no more effective but is usually more harmful. Loss of grey matter and other brain structural changes over time are observed amongst people diagnosed with schizophrenia. Meta-analyses of the effects of antipsychotic treatment on grey matter volume and the brain's structure have reached conflicting conclusions. A 2012 meta-analysis concluded that grey matter loss is greater in patients treated with first generation antipsychotics relative to those treated with atypicals, and hypothesized a protective effect of atypicals as one possible explanation. A second meta-analysis suggested that treatment with antipsychotics was associated with increased grey matter loss. Animal studies found that monkeys exposed to both first- and second-generation antipsychotics experience significant reduction in brain volume, resulting in an 8-11% reduction in brain volume over a 17–27 month period. Subtle, long-lasting forms of akathisia are often overlooked or confused with post-psychotic depression, in particular when they lack the extrapyramidal aspect that psychiatrists have been taught to expect when looking for signs of akathisia. Adverse effect on cognitive function and increased risk of death in people with dementia along with worsening of symptoms has been describe in the literature. Discontinuation The British National Formulary recommends a gradual withdrawal when discontinuing antipsychotics to avoid acute withdrawal syndrome or rapid relapse. Symptoms of withdrawal commonly include nausea, vomiting, and loss of appetite. Other symptoms may include restlessness, increased sweating, and trouble sleeping. Less commonly there may be a feeling of the world spinning, numbness, or muscle pains. Symptoms generally resolve after a short period of time. There is tentative evidence that discontinuation of antipsychotics can result in psychosis. It may also result in recurrence of the condition that is being treated. Rarely tardive dyskinesia can occur when the medication is stopped. Unexpected psychotic episodes have been observed in patients withdrawing from clozapine. This is referred to as supersensitivity psychosis, not to be equated with tardive dyskinesia. Tardive dyskinesia may abate during withdrawal from the antipsychotic agent, or it may persist. Withdrawal effects may also occur when switching a person from one antipsychotic to another, (it is presumed due to variations of potency and receptor activity). Such withdrawal effects can include cholinergic rebound, an activation syndrome, and motor syndromes including dyskinesias. These adverse effects are more likely during rapid changes between antipsychotic agents, so making a gradual change between antipsychotics minimises these withdrawal effects. The British National Formulary recommends a gradual withdrawal when discontinuing antipsychotic treatment to avoid acute withdrawal syndrome or rapid relapse. The process of cross-titration involves gradually increasing the dose of the new medication while gradually decreasing the dose of the old medication. City and Hackney Clinical Commissioning Group found more than 1,000 patients in their area in July 2019 who had not had regular medication reviews or health checks because they were not registered as having serious mental illness. On average they had been taking these drugs for six years. If this is typical of practice in England more than 100,000 patients are probably in the same position. List of agents Clinically used antipsychotic medications are listed below by drug group. Trade names appear in parentheses. A 2013 review has stated that the division of antipsychotics into first and second generation is perhaps not accurate. Notes: † indicates drugs that are no longer (or were never) marketed in English-speaking countries. ‡ denotes drugs that are no longer (or were never to begin with) marketed in the United States. Some antipsychotics are not firmly placed in either first-generation or second-generation classes. # denotes drugs that have been withdrawn worldwide. First-generation (typical) Butyrophenones Benperidol‡ Bromperidol† Droperidol‡ Haloperidol Moperone (discontinued)† Pipamperone (discontinued)† Timiperone † Diphenylbutylpiperidines Fluspirilene ‡ Penfluridol ‡ Pimozide Phenothiazines Acepromazine † — although it is mostly used in veterinary medicine. Chlorpromazine Cyamemazine † Dixyrazine † Fluphenazine Levomepromazine‡ Mesoridazine (discontinued)† Perazine Pericyazine‡ Perphenazine Pipotiazine ‡ Prochlorperazine Promazine (discontinued) Promethazine Prothipendyl † Thioproperazine‡ (only English-speaking country it is available in is Canada) Thioridazine (discontinued) Trifluoperazine Triflupromazine (discontinued)† Thioxanthenes Chlorprothixene † Clopenthixol Flupentixol ‡ Thiothixene Zuclopenthixol ‡ Disputed/unknown This category is for drugs that have been called both first and second-generation, depending on the literature being used. Benzamides Sulpiride ‡ Sultopride † Veralipride † Tricyclics Carpipramine † Clocapramine † Clorotepine † Clotiapine ‡ Loxapine Mosapramine † Others Molindone # Second-generation (atypical) Benzamides Amisulpride ‡ – Selective dopamine antagonist. Higher doses (greater than 400 mg) act upon post-synaptic dopamine receptors resulting in a reduction in the positive symptoms of schizophrenia, such as psychosis. Lower doses, however, act upon dopamine autoreceptors, resulting in increased dopamine transmission, improving the negative symptoms of schizophrenia. Lower doses of amisulpride have also been shown to have antidepressant and anxiolytic effects in non-schizophrenic patients, leading to its use in dysthymia and social phobias. Nemonapride † – Used in Japan. Remoxipride # – Has a risk of causing aplastic anaemia and, hence, has been withdrawn from the market worldwide. It has also been found to possess relatively low (virtually absent) potential to induce hyperprolactinaemia and extrapyramidal symptoms, likely attributable to its comparatively weak binding to (and, hence, rapid dissociation from) the D2 receptor. Sultopride – An atypical antipsychotic of the benzamide chemical class used in Europe, Japan, and Hong Kong for the treatment of schizophrenia. It was launched by Sanofi-Aventis in 1976. Sultopride acts as a selective D2 and D3 receptor antagonist. Benzisoxazoles/benzisothiazoles Iloperidone – Approved by the US FDA in 2009, it is fairly well tolerated, although hypotension, dizziness, and somnolence were very common side effects. Has not received regulatory approval in other countries, however. Lurasidone – Approved by the US FDA for schizophrenia and bipolar depression, and for use as schizophrenia treatment in Canada. Paliperidone – Primary, active metabolite of risperidone that was approved in 2006. Perospirone † – Has a higher incidence of extrapyramidal side effects than other atypical antipsychotics. Risperidone – Divided dosing is recommended until initial titration is completed, at which time the drug can be administered once daily. Used off-label to treat Tourette syndrome and anxiety disorder. Ziprasidone – Approved in 2004 to treat
outside of a hospital, called outpatient commitment. Antipsychotics in long-acting injectable (LAI), or "depot", form have been suggested as a method of decreasing medication nonadherence (sometimes also called non-compliance). NICE advises LAIs be offered to patients when preventing covert, intentional nonadherence is a clinical priority. LAIs are used to ensure adherence in outpatient commitment. A meta-analysis found that LAIs resulted in lower rates of rehospitalization with a hazard ratio of 0.83, however these results were not statistically significant (the 95% confidence interval was 0.62 to 1.11). Bipolar disorder Antipsychotics are routinely used, often in conjunction with mood stabilisers such as lithium/valproate, as a first-line treatment for manic and mixed episodes associated with bipolar disorder. The reason for this combination is the therapeutic delay of the aforementioned mood stabilisers (for valproate therapeutic effects are usually seen around five days after treatment is commenced whereas lithium usually takes at least a week before the full therapeutic effects are seen) and the comparatively rapid antimanic effects of antipsychotic drugs. The antipsychotics have a documented efficacy when used alone in acute mania/mixed episodes. Three atypical antipsychotics (lurasidone, olanzapine and quetiapine) have also been found to possess efficacy in the treatment of bipolar depression as a monotherapy, whereas only olanzapine and quetiapine have been proven to be effective broad-spectrum (i.e. against all three types of relapse—manic, mixed and depressive) prophylactic (or maintenance) treatments in patients with bipolar disorder. A recent Cochrane review also found that olanzapine had a less favourable risk/benefit ratio than lithium as a maintenance treatment for bipolar disorder. The American Psychiatric Association and the UK National Institute for Health and Care Excellence recommend antipsychotics for managing acute psychotic episodes in schizophrenia or bipolar disorder, and as a longer-term maintenance treatment for reducing the likelihood of further episodes. They state that response to any given antipsychotic can be variable so that trials may be necessary, and that lower doses are to be preferred where possible. A number of studies have looked at levels of "compliance" or "adherence" with antipsychotic regimes and found that discontinuation (stopping taking them) by patients is associated with higher rates of relapse, including hospitalization. Dementia Psychosis and agitation develop in as many as 80 percent of people living in nursing homes. Despite a lack of FDA approval and black-box warnings, atypical antipsychotics are very often prescribed to people with dementia. An assessment for an underlying cause of behavior is needed before prescribing antipsychotic medication for symptoms of dementia. Antipsychotics in old age dementia showed a modest benefit compared to placebo in managing aggression or psychosis, but this is combined with a fairly large increase in serious adverse events. Thus, antipsychotics should not be used routinely to treat dementia with aggression or psychosis, but may be an option in a few cases where there is severe distress or risk of physical harm to others. Psychosocial interventions may reduce the need for antipsychotics. In 2005, the FDA issued an advisory warning of an increased risk of death when atypical antipsychotics are used in dementia. In the subsequent 5 years, the use of atypical antipsychotics to treat dementia decreased by nearly 50%. Major depressive disorder A number of atypical antipsychotics have some benefits when used in addition to other treatments in major depressive disorder. Aripiprazole, quetiapine extended-release, and olanzapine (when used in conjunction with fluoxetine) have received the Food and Drug Administration (FDA) labelling for this indication. There is, however, a greater risk of side effects with their use compared to using traditional antidepressants. The greater risk of serious side effects with antipsychotics is why, e.g., quetiapine was denied approval as monotherapy for major depressive disorder or generalized anxiety disorder, and instead was only approved as an adjunctive treatment in combination with traditional antidepressants. Other Besides the above uses antipsychotics may be used for obsessive–compulsive disorder, post-traumatic stress disorder, personality disorders, Tourette syndrome, autism and agitation in those with dementia. Evidence however does not support the use of atypical antipsychotics in eating disorders or personality disorder. The atypical antipsychotic risperidone may be useful for obsessive–compulsive disorder. The use of low doses of antipsychotics for insomnia, while common, is not recommended as there is little evidence of benefit and concerns regarding adverse effects. Low dose antipsychotics may also be used in treatment of impulse-behavioural and cognitive-perceptual symptoms of borderline personality disorder. In children they may be used in those with disruptive behavior disorders, mood disorders and pervasive developmental disorders or intellectual disability. Antipsychotics are only weakly recommended for Tourette syndrome, because although they are effective, side effects are common. The situation is similar for those on the autism spectrum. Much of the evidence for the off-label use of antipsychotics (for example, for dementia, OCD, PTSD, Personality Disorders, Tourette's) was of insufficient scientific quality to support such use, especially as there was strong evidence of increased risks of stroke, tremors, significant weight gain, sedation, and gastrointestinal problems. A UK review of unlicensed usage in children and adolescents reported a similar mixture of findings and concerns. A survey of children with pervasive developmental disorder found that 16.5% were taking an antipsychotic drug, most commonly for irritability, aggression, and agitation. Both risperidone and aripiprazole have been approved by the US FDA for the treatment of irritability in autistic children and adolescents. Aggressive challenging behavior in adults with intellectual disability is often treated with antipsychotic drugs despite lack of an evidence base. A recent randomized controlled trial, however, found no benefit over placebo and recommended that the use of antipsychotics in this way should no longer be regarded as an acceptable routine treatment. Antipsychotics may be an option, together with stimulants, in people with ADHD and aggressive behavior when other treatments have not worked. They have not been found to be useful for the prevention of delirium among those admitted to hospital. Typicals vs atypicals It is unclear whether the atypical (second-generation) antipsychotics offer advantages over older, first generation antipsychotics. Amisulpride, olanzapine, risperidone and clozapine may be more effective but are associated with greater side effects. Typical antipsychotics have equal drop-out and symptom relapse rates to atypicals when used at low to moderate dosages. Clozapine is an effective treatment for those who respond poorly to other drugs ("treatment-resistant" or "refractory" schizophrenia), but it has the potentially serious side effect of agranulocytosis (lowered white blood cell count) in less than 4% of people. Due to bias in the research the accuracy of comparisons of atypical antipsychotics is a concern. In 2005, a US government body, the National Institute of Mental Health published the results of a major independent study (the CATIE project). No other atypical studied (risperidone, quetiapine, and ziprasidone) did better than the typical perphenazine on the measures used, nor did they produce fewer adverse effects than the typical antipsychotic perphenazine, although more patients discontinued perphenazine owing to extrapyramidal effects compared to the atypical agents (8% vs. 2% to 4%). Atypical antipsychotics do not appear to lead to improved rates of medication adherence compared to typical antipsychotics. Many researchers question the first-line prescribing of atypicals over typicals, and some even question the distinction between the two classes. In contrast, other researchers point to the significantly higher risk of tardive dyskinesia and other extrapyramidal symptoms with the typicals and for this reason alone recommend first-line treatment with the atypicals, notwithstanding a greater propensity for metabolic adverse effects in the latter. The UK government organization NICE recently revised its recommendation favoring atypicals, to advise that the choice should be an individual one based on the particular profiles of the individual drug and on the patient's preferences. The re-evaluation of the evidence has not necessarily slowed the bias toward prescribing the atypicals. Adverse effects Generally, more than one antipsychotic drug should not be used at a time because of increased adverse effects. Very rarely antipsychotics may cause tardive psychosis. By rate Common (≥ 1% and up to 50% incidence for most antipsychotic drugs) adverse effects of antipsychotics include: Sedation (particularly common with asenapine, clozapine, olanzapine, quetiapine, chlorpromazine and zotepine) Headaches Dizziness Diarrhea Anxiety Extrapyramidal side effects (particularly common with first-generation antipsychotics), which include: - Akathisia, an often distressing sense of inner restlessness. - Dystonia, an abnormal muscle contraction - Pseudoparkinsonism, symptoms that are similar to what people with Parkinson's disease experience, including tremulousness and drooling Hyperprolactinaemia (rare for those treated with clozapine, quetiapine and aripiprazole), which can cause: - Galactorrhoea, the unusual secretion of breast milk. - Gynaecomastia, abnormal growth of breast tissue - Sexual dysfunction (in both sexes) - Osteoporosis Orthostatic hypotension Weight gain (particularly prominent with clozapine, olanzapine, quetiapine and zotepine) Anticholinergic side-effects (common for olanzapine, clozapine; less likely on risperidone) such as: - Blurred vision - Constipation - Dry mouth (although hypersalivation may also occur) - Reduced perspiration Tardive dyskinesia appears to be more frequent with high-potency first-generation antipsychotics, such as haloperidol, and tends to appear after chronic and not acute treatment. It is characterized by slow (hence the tardive) repetitive, involuntary and purposeless movements, most often of the face, lips, legs, or torso, which tend to resist treatment and are frequently irreversible. The rate of appearance of TD is about 5% per year of use of antipsychotic drug (whatever the drug used). Rare/Uncommon (<1% incidence for most antipsychotic drugs) adverse effects of antipsychotics include: Blood dyscrasias (e.g., agranulocytosis, leukopenia, and neutropaenia), which is more common in patients on clozapine. Metabolic syndrome and other metabolic problems such as type II diabetes mellitus — particularly common with clozapine, olanzapine and zotepine. In American studies African Americans appeared to be at a heightened risk for developing type II diabetes mellitus. Evidence suggests that females are more sensitive to the metabolic side effects of first-generation antipsychotic drugs than males. Metabolic adverse effects appear to be mediated by the following mechanisms: - Causing weight gain by antagonizing the histamine H1 and serotonin 5-HT2Creceptors and perhaps by interacting with other neurochemical pathways in the central nervous system. Neuroleptic malignant syndrome, a potentially fatal condition characterized by: - Autonomic instability, which can manifest with tachycardia, nausea, vomiting, diaphoresis, etc. - Hyperthermia — elevated body temperature. - Mental status change (confusion, hallucinations, coma, etc.) - Muscle rigidity - Laboratory abnormalities (e.g., elevated creatine kinase, reduced iron plasma levels, electrolyte abnormalities, etc.) Pancreatitis QT interval prolongation — more prominent in those treated with amisulpride, pimozide, sertindole, thioridazine and ziprasidone. Torsades de pointes Seizures, particularly in people treated with chlorpromazine and clozapine. Thromboembolism Myocardial infarction Stroke Long-term effects Some studies have found decreased life expectancy associated with the use of antipsychotics, and argued that more studies are needed. Antipsychotics may also increase the risk of early death in individuals with dementia. Antipsychotics typically worsen symptoms in people who suffer from depersonalisation disorder. Antipsychotic polypharmacy (prescribing two or more antipsychotics at the same time for an individual) is a common practice but not evidence-based or recommended, and there are initiatives to curtail it. Similarly, the use of excessively high doses (often the result of polypharmacy) continues despite clinical guidelines and evidence indicating that it is usually no more effective but is usually more harmful. Loss of grey matter and other brain structural changes over time are observed amongst people diagnosed with schizophrenia. Meta-analyses of the effects of antipsychotic treatment on grey matter volume and the brain's structure have reached conflicting conclusions. A 2012 meta-analysis concluded that grey matter loss is greater in patients treated with first generation antipsychotics relative to those treated with atypicals, and hypothesized a protective effect of atypicals as one possible explanation. A second meta-analysis suggested that treatment with antipsychotics was associated with increased grey matter loss. Animal studies found that monkeys exposed to both first- and second-generation antipsychotics experience significant reduction in brain volume, resulting in an 8-11% reduction in brain volume over a 17–27 month period. Subtle, long-lasting forms of akathisia are often overlooked or confused with post-psychotic depression, in particular when they lack the extrapyramidal aspect that psychiatrists have been taught to expect when looking for signs of akathisia. Adverse effect on cognitive function and increased risk of death in people with dementia along with worsening of symptoms has been describe in the literature. Discontinuation The British National Formulary recommends a gradual withdrawal when discontinuing antipsychotics to avoid acute withdrawal syndrome or rapid relapse. Symptoms of withdrawal commonly include nausea, vomiting, and loss of appetite. Other symptoms may include restlessness, increased sweating, and trouble sleeping. Less commonly there may be a feeling of the world spinning, numbness, or muscle pains. Symptoms generally resolve after a short period of time. There is tentative evidence that discontinuation of antipsychotics can result in psychosis. It may also result in recurrence of the condition that is being treated. Rarely tardive dyskinesia can occur when the medication is stopped. Unexpected psychotic episodes have been observed in patients withdrawing from clozapine. This is referred to as supersensitivity psychosis, not to be equated with tardive dyskinesia. Tardive dyskinesia may abate during withdrawal from the antipsychotic agent, or it may persist. Withdrawal effects may also occur when switching a person from one antipsychotic to another, (it is presumed due to variations of potency and receptor activity). Such withdrawal effects can include cholinergic rebound, an activation syndrome, and motor syndromes including dyskinesias. These adverse effects are more likely during rapid changes between antipsychotic agents, so making a gradual change between antipsychotics minimises these withdrawal effects. The British National Formulary recommends a gradual withdrawal when discontinuing antipsychotic treatment to avoid acute withdrawal syndrome or rapid relapse. The process of cross-titration involves gradually increasing the dose of the new medication while gradually decreasing the dose of the old medication. City and Hackney Clinical Commissioning Group found more than 1,000 patients in their area in July 2019 who had not had regular medication reviews or health checks because they were not registered as having serious mental illness. On average they had been taking these drugs for six years. If this is typical of practice in England more than 100,000 patients are probably in the same position. List of agents Clinically used antipsychotic medications are listed below by drug group. Trade names appear in parentheses. A 2013 review has stated that the division of antipsychotics into first and second generation is perhaps not accurate. Notes: † indicates drugs that are no longer (or were never) marketed in English-speaking countries. ‡ denotes drugs that are no longer (or were never to begin with) marketed in the United States. Some antipsychotics are not firmly placed in either first-generation or
Akita Domain, also known as Kubota Domain Akita, Kumamoto (飽田町), a former town in Kumamoto Prefecture Akita Prefecture, Japan Akita (city) (秋田市), its capital city Akita-Yake-Yama, a small stratovolcano in Akita Prefecture, Japan People Akita clan, a Japanese samurai clan of northern Honshū Akita (surname), for people with the surname Art, entertainment, and media "Akita Ondo", a folk song of Akita Prefecture, Japan Akita ranga, a Japanese school of painting 1773–1780 Companies Akita Asahi Broadcasting, a Japanese broadcast network Akita Bank, a Japanese regional bank Akita Broadcasting System, a Japanese television and radio broadcaster Akita Shoten, a Japanese publishing company Akita Television, a television station in Akita, Japan Education Akita International University, a public university in Akita, Japan Akita Municipal Junior College of Arts and Crafts, a municipal junior college in Akita, Japan Akita Nutrition Junior College, a private university in Akita, Japan Akita Prefectural University, a Japanese prefectural university in Akita, Japan Akita University, a Japanese national university in Akita, Japan Akita University of Art, a public university in Akita, Japan Akita University of Nursing and Welfare, a private university in Ōdate, Japan College of Allied Medical Science Akita University, a former national junior college in Akita, Japan Cultural institutions Akita Museum of Art,
Places 8182 Akita, a main-belt Asteroid Akita Castle, a Nara period fortified settlement in Akita, Japan Akita Domain, also known as Kubota Domain Akita, Kumamoto (飽田町), a former town in Kumamoto Prefecture Akita Prefecture, Japan Akita (city) (秋田市), its capital city Akita-Yake-Yama, a small stratovolcano in Akita Prefecture, Japan People Akita clan, a Japanese samurai clan of northern Honshū Akita (surname), for people with the surname Art, entertainment, and media "Akita Ondo", a folk song of Akita Prefecture, Japan Akita ranga, a Japanese school of painting 1773–1780 Companies Akita Asahi Broadcasting, a Japanese broadcast network Akita Bank, a Japanese regional bank Akita Broadcasting System, a Japanese television and radio broadcaster Akita Shoten, a Japanese publishing company Akita Television, a television station in Akita, Japan Education Akita International
Austrian field-marshal, the third son of Emperor Leopold II and his wife, Maria Luisa of Spain. He was also the younger brother of Francis II, Holy Roman Emperor. Despite being epileptic, Charles achieved respect both as a commander and as a reformer of the Austrian army. He was considered one of Napoleon's more formidable opponents and one of the greatest generals of the French Revolutionary Wars. He began his career fighting the revolutionary armies of France. Early in the wars of the First Coalition, he saw victory at Neerwinden in 1793, before being defeated at Wattignies 1793 and Fleurus 1794. In 1796, as chief of all Austrian forces on the Rhine, Charles defeated Jean-Baptiste Jourdan at Amberg, Würzburg and Limburg, and then won victories at Wetzlar, Emmendingen and Schliengen that forced Jean Victor Marie Moreau to withdraw across the Rhine. He also defeated opponents at Zürich, Ostrach, Stockach, and Mannheim in 1799. He reformed Austria's armies to adopt the nation-at-arms principle. In 1809, he entered the War of the Fifth Coalition and inflicted Napoleon's first major setback at Aspern-Essling, before suffering a defeat at the bloody Battle of Wagram. After Wagram, Charles saw no more significant action in the Napoleonic Wars. As a military strategist, Charles was able to successfully execute complex and risky maneuvers of troops. However, his contemporary Carl von Clausewitz criticized his rigidity and adherence to "geographic" strategy. Austrians nevertheless remember Charles as a hero of the French Revolutionary and Napoleonic wars. Youth and early career Charles was born in Florence, Tuscany. His father, then Grand Duke of Tuscany, generously permitted Charles's childless aunt Archduchess Maria Christina of Austria and her husband Albert of Saxe-Teschen to adopt and raise the boy in Vienna. Charles spent his youth in Tuscany, at Vienna and in the Austrian Netherlands, where he began his career of military service in the wars of the French Revolution. He commanded a brigade at the Battle of Jemappes (1792), and in the campaign of 1793 distinguished himself at the Action of Aldenhoven and the Battle of Neerwinden. In this year he became Governor of the Habsburg Netherlands, an office he lost with the occupation of the Low Countries by the French revolutionaries in 1794. The year he became Governor he also received the army rank of Lieutenant Field Marshal. Shortly thereafter another promotion saw him made Feldzeugmeister (equivalent of Lieutenant General). In the remainder of the war in the Low Countries he held high commands, and was present at the Battle of Fleurus (1794). In 1795 he served on the Rhine, and in the following year, he was entrusted with chief control of all the Austrian forces on that river. His conduct of the operations against Jourdan and Moreau in 1796 marked him out at once as one of the greatest generals in Europe. At first, falling back carefully and avoiding a decision, he finally marched away, leaving a mere screen in front of Moreau. Falling upon Jourdan, he beat him in the battles of Amberg (August), Würzburg and Limburg (September), and drove him over the Rhine with great loss. He then turned upon Moreau's army, which he defeated and forced out of Germany after the battles of Wetzlar, Emmendingen and Schliengen. Napoleonic Wars In 1797 he was sent to arrest the victorious march of General Bonaparte in Italy, and he conducted the retreat of the over-matched Austrians with the highest skill. In the campaign of 1799 he once more opposed Jourdan, whom he defeated in the battles of Ostrach and Stockach, following up his success by invading Switzerland and defeating Masséna in the First Battle of Zurich, after which he re-entered Germany and drove the French once more over the Rhine after winning at Mannheim in 1799. Ill-health, however, forced him to retire to Bohemia, but he was soon recalled to undertake the task of checking Moreau's advance on Vienna. The result of the Battle of Hohenlinden had, however, foredoomed the attempt, and the archduke had to make the armistice of Steyr. His popularity was now such that the Perpetual Diet of Regensburg, which met in 1802, resolved to erect a statue in his honor and to give him the title of savior of his country, but Charles refused both distinctions. In the short and disastrous war of 1805 Archduke Charles commanded what was intended to be the main army in Italy, but events made Germany the decisive theatre of operations; Austria sustained defeat on the Danube, and the archduke was defeated by Massena in the Battle of Caldiero. With the conclusion of peace he began his active work of army reorganization, which was first tested on the field in 1809. In 1806 Francis II (now Francis I of Austria) named the Archduke Charles, already a field marshal, as Commander in Chief of the Austrian army and Head of the Council of War. Supported by the prestige of being the only general who had proved capable of defeating the French, he promptly initiated a far-reaching scheme of reform, which replaced the obsolete methods of the 18th century. The chief characteristics of the new order were the adoption of the nation in arms principle and the adoption of French war organization and tactics. The army reforms were not yet completed by the war of 1809, in which Charles acted as commander in chief, yet even so it proved a far more formidable opponent than the old and was only defeated after a desperate struggle involving Austrian victories and large loss of life on both sides. Its initial successes were neutralized by the reverses of Abensberg, Landshut and Eckmühl but, after the evacuation of Vienna, the archduke won a strong victory at the Battle of Aspern-Essling but soon afterwards
career of military service in the wars of the French Revolution. He commanded a brigade at the Battle of Jemappes (1792), and in the campaign of 1793 distinguished himself at the Action of Aldenhoven and the Battle of Neerwinden. In this year he became Governor of the Habsburg Netherlands, an office he lost with the occupation of the Low Countries by the French revolutionaries in 1794. The year he became Governor he also received the army rank of Lieutenant Field Marshal. Shortly thereafter another promotion saw him made Feldzeugmeister (equivalent of Lieutenant General). In the remainder of the war in the Low Countries he held high commands, and was present at the Battle of Fleurus (1794). In 1795 he served on the Rhine, and in the following year, he was entrusted with chief control of all the Austrian forces on that river. His conduct of the operations against Jourdan and Moreau in 1796 marked him out at once as one of the greatest generals in Europe. At first, falling back carefully and avoiding a decision, he finally marched away, leaving a mere screen in front of Moreau. Falling upon Jourdan, he beat him in the battles of Amberg (August), Würzburg and Limburg (September), and drove him over the Rhine with great loss. He then turned upon Moreau's army, which he defeated and forced out of Germany after the battles of Wetzlar, Emmendingen and Schliengen. Napoleonic Wars In 1797 he was sent to arrest the victorious march of General Bonaparte in Italy, and he conducted the retreat of the over-matched Austrians with the highest skill. In the campaign of 1799 he once more opposed Jourdan, whom he defeated in the battles of Ostrach and Stockach, following up his success by invading Switzerland and defeating Masséna in the First Battle of Zurich, after which he re-entered Germany and drove the French once more over the Rhine after winning at Mannheim in 1799. Ill-health, however, forced him to retire to Bohemia, but he was soon recalled to undertake the task of checking Moreau's advance on Vienna. The result of the Battle of Hohenlinden had, however, foredoomed the attempt, and the archduke had to make the armistice of Steyr. His popularity was now such that the Perpetual Diet of Regensburg, which met in 1802, resolved to erect a statue in his honor and to give him the title of savior of his country, but Charles refused both distinctions. In the short and disastrous war of 1805 Archduke Charles commanded what was intended to be the main army in Italy, but events made Germany the decisive theatre of operations; Austria sustained defeat on the Danube, and the archduke was defeated by Massena in the Battle of Caldiero. With the conclusion of peace he began his active work of army reorganization, which was first tested on the field in 1809. In 1806 Francis II (now Francis I of Austria) named the Archduke Charles, already a field marshal, as Commander in Chief of the Austrian army and Head of the Council of War. Supported by the prestige of being the only general who had proved capable of defeating the French, he promptly initiated a far-reaching scheme of reform, which replaced the obsolete methods of the 18th century. The chief characteristics of the new order were the adoption of the nation in arms principle and the adoption of French war organization and tactics. The army reforms were not yet completed by the war of 1809, in which Charles acted as commander in chief, yet even so it proved a far more formidable opponent than the old and was only defeated after a desperate struggle involving Austrian victories and large loss of life on both sides. Its initial successes were neutralized by the reverses of Abensberg, Landshut and Eckmühl but, after the evacuation of Vienna, the archduke won a strong victory at the Battle of Aspern-Essling but soon afterwards lost at the Battle of Wagram after heavy casualties on both sides. At the end of the campaign the archduke gave up all his military offices. In 1808, when Napoleon crowned his brother Joseph king of Spain, Archduke Charles said to his brother, emperor Francis II, "Now we know what Napoleon wants - he wants everything". Later life When Austria joined the ranks of the allies during the War of the Sixth Coalition, Charles was not given a command and the post of commander-in-chief of the allied Grand Army of Bohemia went to the Prince of Schwarzenberg. Charles spent the rest of his life in retirement, except for a short time in 1815 when he was military governor of the Fortress Mainz. In 1822 he succeeded to the duchy of Saxe-Teschen. On 15 September/17 September 1815 in Weilburg, Charles married Princess Henrietta of Nassau-Weilburg (1797–1829). She was a daughter of Frederick William of Nassau-Weilburg (1768–1816) and his wife Burgravine Louise Isabelle of Kirchberg. Frederick William was the eldest surviving son of Karl Christian of Nassau-Weilburg and Princess Wilhelmine Carolina of Orange-Nassau. Wilhelmine Carolina was a daughter of William IV, Prince of Orange and Anne, Princess Royal and Princess of Orange. Anne was in turn the eldest daughter of George II of Great Britain and Caroline of Ansbach. Charles died at Vienna on 30 April 1847. He is buried in tomb 122 in the New Vault of the Imperial Crypt in Vienna. An equestrian statue was erected to his memory on the Heldenplatz in Vienna in 1860. Assessment of his achievements The caution which the archduke preached so earnestly in his strategic works, he displayed in practice only when the situation seemed
– probably 26 May 604) was a monk who became the first Archbishop of Canterbury in the year 597. He is considered the "Apostle to the English" and a founder of the English Church. Augustine was the prior of a monastery in Rome when Pope Gregory the Great chose him in 595 to lead a mission, usually known as the Gregorian mission, to Britain to Christianize King Æthelberht and his Kingdom of Kent from Anglo-Saxon paganism. Kent was probably chosen because Æthelberht had married a Christian princess, Bertha, daughter of Charibert I the King of Paris, who was expected to exert some influence over her husband. Before reaching Kent, the missionaries had considered turning back, but Gregory urged them on, and in 597, Augustine landed on the Isle of Thanet and proceeded to Æthelberht's main town of Canterbury. King Æthelberht converted to Christianity and allowed the missionaries to preach freely, giving them land to found a monastery outside the city walls. Augustine was consecrated as a bishop and converted many of the king's subjects, including thousands during a mass baptism on Christmas Day in 597. Pope Gregory sent more missionaries in 601, along with encouraging letters and gifts for the churches, although attempts to persuade the native British bishops to submit to Augustine's authority failed. Roman bishops were established at London, and Rochester in 604, and a school was founded to train Anglo-Saxon priests and missionaries. Augustine also arranged the consecration of his successor, Laurence of Canterbury. The archbishop probably died in 604 and was soon revered as a saint. Background to the mission After the withdrawal of the Roman legions from their province of Britannia in 410, the inhabitants were left to defend themselves against the attacks of the Saxons. Before the Roman withdrawal, Britannia had been converted to Christianity and produced the ascetic Pelagius. Britain sent three bishops to the Council of Arles in 314, and a Gaulish bishop went to the island in 396 to help settle disciplinary matters. Material remains testify to a growing presence of Christians, at least until around 360. After the Roman legions departed, pagan tribes settled the southern parts of the island while western Britain, beyond the Anglo-Saxon kingdoms, remained Christian. This native British Church developed in isolation from Rome under the influence of missionaries from Ireland and was centred on monasteries instead of bishoprics. Other distinguishing characteristics were its calculation of the date of Easter and the style of the tonsure haircut that clerics wore. Evidence for the survival of Christianity in the eastern part of Britain during this time includes the survival of the cult of Saint Alban and the occurrence in place names of eccles, derived from the Latin ecclesia, meaning "church". There is no evidence that these native Christians tried to convert the Anglo-Saxons. The invasions destroyed most remnants of Roman civilisation in the areas held by the Saxons and related tribes, including the economic and religious structures. It was against this background that Pope Gregory I decided to send a mission, often called the Gregorian mission, to convert the Anglo-Saxons to Christianity in 595. The Kingdom of Kent was ruled by Æthelberht, who married a Christian princess named Bertha before 588, and perhaps earlier than 560. Bertha was the daughter of Charibert I, one of the Merovingian kings of the Franks. As one of the conditions of her marriage, she brought a bishop named Liudhard with her to Kent. Together in Canterbury, they restored a church that dated to Roman times—possibly the current St Martin's Church. Æthelberht was a pagan at this point but allowed his wife freedom of worship. One biographer of Bertha states that under his wife's influence, Æthelberht asked Pope Gregory to send missionaries. The historian Ian N. Wood feels that the initiative came from the Kentish court as well as the queen. Other historians, however, believe that Gregory initiated the mission, although the exact reasons remain unclear. Bede, an 8th-century monk who wrote a history of the English church, recorded a famous story in which Gregory saw fair-haired Saxon slaves from Britain in the Roman slave market and was inspired to try to convert their people. More practical matters, such as the acquisition of new provinces acknowledging the primacy of the papacy, and a desire to influence the emerging power of the Kentish kingdom under Æthelberht, were probably involved. The mission may have been an outgrowth of the missionary efforts against the Lombards who, as pagans and Arian Christians, were not on good relations with the Catholic church in Rome. Aside from Æthelberht's granting of freedom of worship to his wife, the choice of Kent was probably dictated by a number of other factors. Kent was the dominant power in southeastern Britain. Since the eclipse of King Ceawlin of Wessex in 592, Æthelberht was the bretwalda, or leading Anglo-Saxon ruler; Bede refers to Æthelberht as having imperium (overlordship) south of the River Humber. Trade between the Franks and Æthelberht's kingdom was well established, and the language barrier between the two regions was apparently only a minor obstacle, as the interpreters for the mission came from the Franks. Lastly, Kent's proximity to the Franks allowed support from a Christian area. There is some evidence, including Gregory's letters to Frankish kings in support of the mission, that some of the Franks felt that they had a claim to overlordship over some of the southern British kingdoms at this time. The presence of a Frankish bishop could also have lent credence to claims of overlordship, if Bertha's Bishop Liudhard was felt to be acting as a representative of the Frankish church and not merely as a spiritual advisor to
Catholic church in Rome. Aside from Æthelberht's granting of freedom of worship to his wife, the choice of Kent was probably dictated by a number of other factors. Kent was the dominant power in southeastern Britain. Since the eclipse of King Ceawlin of Wessex in 592, Æthelberht was the bretwalda, or leading Anglo-Saxon ruler; Bede refers to Æthelberht as having imperium (overlordship) south of the River Humber. Trade between the Franks and Æthelberht's kingdom was well established, and the language barrier between the two regions was apparently only a minor obstacle, as the interpreters for the mission came from the Franks. Lastly, Kent's proximity to the Franks allowed support from a Christian area. There is some evidence, including Gregory's letters to Frankish kings in support of the mission, that some of the Franks felt that they had a claim to overlordship over some of the southern British kingdoms at this time. The presence of a Frankish bishop could also have lent credence to claims of overlordship, if Bertha's Bishop Liudhard was felt to be acting as a representative of the Frankish church and not merely as a spiritual advisor to the queen. Frankish influence was not merely political; archaeological remains attest to a cultural influence as well. In 595, Gregory chose Augustine, who was the prior of the Abbey of St Andrew's in Rome, to head the mission to Kent. The pope selected monks to accompany Augustine and sought support from the Frankish royalty and clergy in a series of letters, of which some copies survive in Rome. He wrote to King Theuderic II of Burgundy and to King Theudebert II of Austrasia, as well as their grandmother Brunhild, seeking aid for the mission. Gregory thanked King Chlothar II of Neustria for aiding Augustine. Besides hospitality, the Frankish bishops and kings provided interpreters and Frankish priests to accompany the mission. By soliciting help from the Frankish kings and bishops, Gregory helped to assure a friendly reception for Augustine in Kent, as Æthelbert was unlikely to mistreat a mission which visibly had the support of his wife's relatives and people. Moreover, the Franks appreciated the chance to participate in mission that would extend their influence in Kent. Chlothar, in particular, needed a friendly realm across the Channel to help guard his kingdom's flanks against his fellow Frankish kings. Sources make no mention of why Pope Gregory chose a monk to head the mission. Pope Gregory once wrote to Æthelberht complimenting Augustine's knowledge of the Bible, so Augustine was evidently well educated. Other qualifications included administrative ability, for Gregory was the abbot of St Andrews as well as being pope, which left the day-to-day running of the abbey to Augustine, the prior. Arrival and first efforts Augustine was accompanied by Laurence of Canterbury, his eventual successor to the archbishopric, and a group of about 40 companions, some of whom were monks. Soon after leaving Rome, the missionaries halted, daunted by the nature of the task before them. They sent Augustine back to Rome to request papal permission to return. Gregory refused and sent Augustine back with letters encouraging the missionaries to persevere. In 597, Augustine and his companions landed in Kent. They achieved some initial success soon after their arrival: Æthelberht permitted the missionaries to settle and preach in his capital of Canterbury where they used the church of St Martin's for services. Neither Bede nor Gregory mentions the date of Æthelberht's conversion, but it probably took place in 597. In the early medieval period, large-scale conversions required the ruler's conversion first, and Augustine is recorded as making large numbers of converts within a year of his arrival in Kent. Also, by 601, Gregory was writing to both Æthelberht and Bertha, calling the king his son and referring to his baptism. A late medieval tradition, recorded by the 15th-century chronicler Thomas Elmham, gives the date of the king's conversion as Whit Sunday, or 2 June 597; there is no reason to doubt this date, although there is no other evidence for it. Against a date in 597 is a letter of Gregory's to Patriarch Eulogius of Alexandria in June 598, which mentions the number of converts made by Augustine, but does not mention any baptism of the king. However, it is clear that by 601 the king had been converted. His baptism likely took place at Canterbury. Augustine established his episcopal see at Canterbury. It is not clear when and where Augustine was consecrated as a bishop. Bede, writing about a century later, states that Augustine was consecrated by the Frankish Archbishop Ætherius of Arles, Gaul (France) after the conversion of Æthelberht. Contemporary letters from Pope Gregory, however, refer to Augustine as a bishop before he arrived in England. A letter of Gregory's from September 597 calls Augustine a bishop, and one dated ten months later says Augustine had been consecrated on Gregory's command by
his authorities, Alexander does not only review their reasoning but also gives conclusions, expands on them, and offers his agreements and disagreement with them. He was also different in that he appeals to Pre-Lombardian figures, and in his use of Anselm of Canterbury and Bernard of Clairvaux, whose works were not cited as frequently by other 12th-century scholastics. Aristotle is also quite frequently quoted in Alexander's works. Alexander was fascinated by the Pseudo-Dionysian hierarchy of angels and in how their nature can be understood, given Aristotelian metaphysics. Among the doctrines which were specially developed and, so to speak, fixed by Alexander of Hales, are the thesaurus supererogationis perfectorum (treasury of supererogatory merits) and the character indelibilis (sacramental character) of baptism, confirmation, and ordination. That doctrine had been written about much earlier by Augustine of Hippo and was eventually defined a dogma by the Council of Trent. He also posed an important question about the cause of the Incarnation: would Christ have been incarnated if humanity had never sinned? The question eventually became the focal point for a philosophical issue (the theory of possible worlds) and a theological topic on the distinction between God's absolute power (potentia absoluta) and His ordained power (potentia ordinata). Summa Universae Theologiae He had written the summary/commentary of Peter Lombard's four books of the Sentences. It had exposed the trinitarian theology of the Greeks. This had been the most important writing that Alexander had claimed, and it had been the earliest in the genre. While it is common for scholars to state that Alexander was the first to write a commentary on the Sentences of Peter Lombard, it is not quite accurate. Authorship is more contentious for this work; although he started this work, he died before it could be finished, and it most likely was more a product of people other than Alexander. There were a number of "commentaries" on the Sentences, but Alexander's appears to have been the first magisterial commentary. Although it was Alexander's most significant writing, it had not been completed, therefore leaving historians with many questions on the reliability and quality of the writing. This was taken into consideration when the Summa had been examined by Father Victorin Doucet for different editions of them. The sources has seem to be the resulting problem of the Summa, "counted there were 4814 explicit quotations and 1372 implicit quotations from Augustine, more than one quarter of texts were cited in the body of the Summa. Of Alexander's Summa, which was on one occasion proclaimed by an assembly of seventy doctors to be infallible, Roger Bacon declared that, though it was as heavy as the weight of a horse, it was full of errors and displayed ignorance of physics, of metaphysics, and even of logic. Other historical works Alexander also influenced and sometimes is confused with Alexander Carpenter, Latinized as Fabricius (fl. 1429), who was the author of the Destructorium viciorum, a religious work popular in the 15th and 16th centuries. Carpenter also authored other works, such as "Homiliae eruditae" ("Learned Sermons"). Historiographical contribution Alexander was said to have been among the earliest scholastics to engage with Aristotle's newly translated writings. Between 1220 and 1227, he wrote Glossa in quatuor libros Sententiarum Petri Lombardi (A Gloss on the Four Books of the Sentences of Peter Lombard) (composed in the mid-12th century), which was particularly important because it was the first time that a book other than the Bible was used as a basic text for theological study. This steered the development of scholasticism in a more systematic direction, inaugurating an important tradition of writing commentaries on the Sentences as a fundamental step in the training of master theologians. A medieval scholastic In doing so, he elevated Lombard's work from a mere theological resource to the basic framework of questions and problems from which masters could teach. The commentary (or more correctly titled a Gloss) survived in student reports from Alexander's teaching in the classroom and so it provides a major insight into the way theologians taught their discipline in the 1220s. As is the case with Glossa and Quaestiones Disputatae, much of his work is probably written in the form of notes on his oral teachings by students, though the content is definitely his. For his contemporaries, however, Alexander's fame was his inexhaustible interest in disputation. His disputations prior to his becoming a Franciscan cover over 1,600 pages in their modern edition. His disputed questions after 1236 remain unpublished. Alexander was also one of the first scholastics to participate in the Quodlibetal, a university event in which a master had to respond to any question posed by any student or master over a period of three days. Alexander's Quodlibetal questions also remain unedited. Theologian At the beginning of 1236, he entered the Franciscan order (he was at least 50) and was the first Franciscan to hold a chair at the University of Paris. He held this post until shortly before his death in Paris in 1245. When he became a Franciscan and thus created a formal Franciscan school of theology at Paris, it was soon clear that his students lacked some of the basic tools for the discipline. Alexander responded by beginning a Summa theologiae that is now known as the Summa fratris Alexandri. Alexander drew mainly from his own disputations, but also selected ideas, arguments and sources from his contemporaries. It treats in its first part the doctrines of God and his attributes; in its second, those of creation and sin; in its third, those of redemption and atonement; and, in its fourth and last, those of the sacraments. This massive text, which Roger Bacon would later sarcastically describe as weighing as much as a horse, was unfinished at his death; his students, William of Middleton and John of Rupella, were charged with its completion. It was certainly read by the Franciscans at Paris, including Bonaventure. Alexander was an innovative theologian. He was part of the generation that first grappled with the writings of Aristotle. While there was a ban on using Aristotle's works as teaching texts, theologians like Alexander continued to exploit his ideas
significant disciples. He was called Doctor Irrefragibilis (Irrefutable Teacher) and Doctor Doctorum (Teacher of Teachers). The latter title is especially suggestive of his role in forming several Franciscans who later became influential thinkers in the faculty, among them Bonaventure, John of La Rochelle, Odo Rigaldus, William of Middleton and Richard Rufus of Cornwall. Bonaventure, who may not have sat under Alexander directly, nevertheless referred to Alexander as his "father and master" and wished to "follow in his footsteps." Works Alexander is known for reflecting the works of several other Middle Age thinkers, especially those of Saint Anselm and Saint Augustine. He was also known to quote thinkers such as Saint Bernard and Richard of Saint-Victor. He differs from those in his genre as he is known to reflect his own interests and those of his generation. When using the works of his authorities, Alexander does not only review their reasoning but also gives conclusions, expands on them, and offers his agreements and disagreement with them. He was also different in that he appeals to Pre-Lombardian figures, and in his use of Anselm of Canterbury and Bernard of Clairvaux, whose works were not cited as frequently by other 12th-century scholastics. Aristotle is also quite frequently quoted in Alexander's works. Alexander was fascinated by the Pseudo-Dionysian hierarchy of angels and in how their nature can be understood, given Aristotelian metaphysics. Among the doctrines which were specially developed and, so to speak, fixed by Alexander of Hales, are the thesaurus supererogationis perfectorum (treasury of supererogatory merits) and the character indelibilis (sacramental character) of baptism, confirmation, and ordination. That doctrine had been written about much earlier by Augustine of Hippo and was eventually defined a dogma by the Council of Trent. He also posed an important question about the cause of the Incarnation: would Christ have been incarnated if humanity had never sinned? The question eventually became the focal point for a philosophical issue (the theory of possible worlds) and a theological topic on the distinction between God's absolute power (potentia absoluta) and His ordained power (potentia ordinata). Summa Universae Theologiae He had written the summary/commentary of Peter Lombard's four books of the Sentences. It had exposed the trinitarian theology of the Greeks. This had been the most important writing that Alexander had claimed, and it had been the earliest in the genre. While it is common for scholars to state that Alexander was the first to write a commentary on the Sentences of Peter Lombard, it is not quite accurate. Authorship is more contentious for this work; although he started this work, he died before it could be finished, and it most likely was more a product of people other than Alexander. There were a number of "commentaries" on the Sentences, but Alexander's appears to have been the first magisterial commentary. Although it was Alexander's most significant writing, it had not been completed, therefore leaving historians with many questions on the reliability and quality of the writing. This was taken into consideration when the Summa had been examined by Father Victorin Doucet for different editions of them. The sources has seem to be the resulting problem of the Summa, "counted there were 4814 explicit quotations and 1372 implicit quotations from Augustine, more than one quarter of texts were cited in the body of the Summa. Of Alexander's Summa, which was on one occasion proclaimed by an assembly of seventy doctors to be infallible, Roger Bacon declared that, though it was as heavy as the weight of a horse, it was full of errors and displayed ignorance of physics, of metaphysics, and even of logic. Other historical works Alexander also influenced and sometimes is confused with Alexander Carpenter, Latinized as Fabricius (fl. 1429), who was the author of the Destructorium viciorum, a religious work popular in the 15th and 16th centuries. Carpenter also authored other works, such as "Homiliae eruditae" ("Learned Sermons"). Historiographical contribution Alexander was said to have been among the earliest scholastics to engage with Aristotle's newly translated writings. Between 1220 and 1227, he wrote Glossa in quatuor libros Sententiarum Petri Lombardi (A Gloss on the Four Books of the Sentences of Peter Lombard) (composed in the mid-12th century), which was particularly important because it was the first time that a book other than the Bible was used as a basic text for theological study. This steered the development of scholasticism in a more systematic direction, inaugurating an important tradition of writing commentaries on the Sentences as a fundamental step in the training of master theologians. A medieval scholastic In doing so, he elevated Lombard's work from a mere theological resource to the basic framework of questions and problems from which masters could teach. The commentary (or more correctly titled a Gloss) survived in student reports from Alexander's teaching in the classroom and so it provides a major insight into the way theologians taught their discipline in the 1220s. As is the case with Glossa and Quaestiones Disputatae, much of his work is probably written in the form of notes on his oral teachings by students, though the content is definitely his. For his contemporaries, however, Alexander's fame was his inexhaustible interest in disputation. His disputations prior to his becoming a Franciscan cover over 1,600 pages in their modern edition. His disputed questions after 1236 remain unpublished. Alexander was also one of the first scholastics to participate in the Quodlibetal, a university event in which a master had to respond to any question posed by any student or master over a period of three days. Alexander's Quodlibetal questions also remain unedited. Theologian At the beginning of 1236, he entered the Franciscan order (he was at least 50) and was the first Franciscan to hold a chair at the University of Paris. He held this post until shortly before his death in Paris in 1245. When he became a Franciscan and thus created a formal Franciscan school of theology at Paris, it was soon clear that his students lacked some of the basic tools for the discipline. Alexander responded by beginning a Summa theologiae that is now known as the Summa fratris Alexandri. Alexander
of IIS 5.0 ASP 2.0 provides six built-in objects: Application, ASPError, Request, Response, Server, and Session. Session object, for example, represents a session that maintains the state of variables from page to page. The Active Scripting engine's support of the Component Object Model (COM) enables ASP websites to access functionality in compiled libraries such as DLLs. ASP 3.0 does not differ greatly from ASP 2.0 but it does offer some additional enhancements such as Server.Transfer method, Server.Execute method, and an enhanced ASPError object. ASP 3.0 also enables buffering by default and optimized the engine for better performance. ASP was supported until 14 January 2020 on Windows 7. The use of ASP pages will be supported on Windows 8 for a minimum of 10 years from the Windows 8 release date. ASP is currently supported in all available versions of IIS. Architecture ASP uses scripting on the server to generate content that is sent to the client's web browser via HTTP response. The ASP interpreter reads and executes all script code between <% and %> tags, the result of which is content generation. These scripts were written using VBScript, JScript, or PerlScript. The @Language directive, the syntax or server configuration can be used to select the language. In the example below, Response.Write Now() is in an HTML page; it would be dynamically replaced by the current time of the server. Web pages with the .asp filename extension use ASP, although some web sites disguise their choice of scripting language for security purposes by using the more common .htm or .html extensions. Pages with the .aspx extension use compiled ASP.NET; however, ASP.NET pages may still include some ASP scripting. The introduction of ASP.NET led to use of the term Classic ASP for the original technology. Sun Java System ASP (formerly ChiliSoft ASP) was a popular and reportedly complete emulator, but it has been discontinued. The Server object The server object allows connections to databases (ADO),
each introduced with different versions of IIS: ASP 1.0 was released in December 1996 as part of IIS 3.0 ASP 2.0 was released in September 1997 as part of IIS 4.0 ASP 3.0 was released in November 2000 as part of IIS 5.0 ASP 2.0 provides six built-in objects: Application, ASPError, Request, Response, Server, and Session. Session object, for example, represents a session that maintains the state of variables from page to page. The Active Scripting engine's support of the Component Object Model (COM) enables ASP websites to access functionality in compiled libraries such as DLLs. ASP 3.0 does not differ greatly from ASP 2.0 but it does offer some additional enhancements such as Server.Transfer method, Server.Execute method, and an enhanced ASPError object. ASP 3.0 also enables buffering by default and optimized the engine for better performance. ASP was supported until 14 January 2020 on Windows 7. The use of ASP pages will be supported on Windows 8 for a minimum of 10 years from the Windows 8 release date. ASP is currently supported in all available versions of IIS. Architecture ASP uses scripting on the server to generate content that is sent to the client's web browser via HTTP response. The ASP interpreter reads and executes all script code between <% and %> tags, the result of which is content generation. These scripts were written using VBScript, JScript, or PerlScript. The @Language directive, the syntax or server configuration can be
symptoms that seem even remotely suspicious must be taken very seriously. However, more mild allergy symptoms, such as a rash, can occur at any time during treatment, even up to a week after treatment has ceased. For some people allergic to amoxicillin, the adverse effects can be fatal due to anaphylaxis. Use of the amoxicillin/clavulanic acid combination for more than one week has caused a drug-induced immunoallergic-type hepatitis in some patients. Young children having ingested acute overdoses of amoxicillin manifested lethargy, vomiting, and renal dysfunction. There is poor reporting of adverse effects of amoxicillin from clinical trials. For this reason, the severity and frequency of adverse effects from amoxicillin is probably higher than reported from clinical trials. Nonallergic rash Between 3 and 10% of children taking amoxicillin (or ampicillin) show a late-developing (>72 hours after beginning medication and having never taken penicillin-like medication previously) rash, which is sometimes referred to as the "amoxicillin rash". The rash can also occur in adults and may rarely be a component of the DRESS syndrome. The rash is described as maculopapular or morbilliform (measles-like; therefore, in medical literature, it is called "amoxicillin-induced morbilliform rash".). It starts on the trunk and can spread from there. This rash is unlikely to be a true allergic reaction and is not a contraindication for future amoxicillin usage, nor should the current regimen necessarily be stopped. However, this common amoxicillin rash and a dangerous allergic reaction cannot easily be distinguished by inexperienced persons, so a healthcare professional is often required to distinguish between the two. A nonallergic amoxicillin rash may also be an indicator of infectious mononucleosis. Some studies indicate about 80-90% of patients with acute Epstein Barr virus infection treated with amoxicillin or ampicillin develop such a rash. Interactions Amoxicillin may interact with these drugs: Anticoagulants (dabigatran, warfarin). Cancer treatment (methotrexate). Uricosuric drugs. Typhoid vaccine Probenecid reduces renal excretion and increases the blood levels of amoxicillin. Oral contraceptives may become less effective. Allopurinol (gout treatment). Pharmacology Amoxicillin (α-amino-p-hydroxybenzyl penicillin) is a semisynthetic derivative of penicillin with a structure similar to ampicillin but with better absorption when taken by mouth, thus yielding higher concentrations in blood and in urine. Amoxicillin diffuses easily into tissues and body fluids. It will cross the placenta and is excreted into breastmilk in small quantities. It is metabolized by the liver and excreted into the urine. It has an onset of 30 minutes and a half-life of 3.7 hours in newborns and 1.4 hours in adults. Amoxicillin attaches to the cell wall of susceptible bacteria and results in their death. It also is a bactericidal compound. It is effective against streptococci, pneumococci, enterococci, Haemophilus influenzae, Escherichia coli, Proteus mirabilis, Neisseria meningitidis, Neisseria gonorrhoeae, Shigella, Chlamydia trachomatis, Salmonella, Borrelia burgdorferi, and Helicobacter pylori. As a derivative of ampicillin, amoxicillin is a member of the penicillin family and, like penicillins, is a β-lactam antibiotic. It inhibits cross-linkage between the linear peptidoglycan polymer chains that
ear infection, strep throat, pneumonia, skin infections, and urinary tract infections among others. It is taken by mouth, or less commonly by injection. Common adverse effects include nausea and rash. It may also increase the risk of yeast infections and, when used in combination with clavulanic acid, diarrhea. It should not be used in those who are allergic to penicillin. While usable in those with kidney problems, the dose may need to be decreased. Its use in pregnancy and breastfeeding does not appear to be harmful. Amoxicillin is in the beta-lactam family of antibiotics. Amoxicillin was discovered in 1958 and came into medical use in 1972. It is on the World Health Organization's List of Essential Medicines. It is one of the most commonly prescribed antibiotics in children. Amoxicillin is available as a generic medication. In 2019, it was the 23rd most commonly prescribed medication in the United States, with more than 25million prescriptions. Medical uses Amoxicillin is used in the treatment of a number of infections, including acute otitis media, streptococcal pharyngitis, pneumonia, skin infections, urinary tract infections, Salmonella infections, Lyme disease, and chlamydia infections. Acute otitis media Children with acute otitis media who are younger than 6 months of age are generally treated with amoxicillin or other antibiotics. Although most children with acute otitis media who are older than two years old do not benefit from treatment with amoxicillin or other antibiotics, such treatment may be helpful in children younger than two years old with acute otitis media that is bilateral or accompanied by ear drainage. In the past, amoxicillin was dosed three times daily when used to treat acute otitis media, which resulted in missed doses in routine ambulatory practice. There is now evidence that two times daily dosing or once daily dosing has similar effectiveness. Respiratory infections Amoxicillin and amoxicillin-clavulanate have been recommended by guidelines as the drug of choice for bacterial sinusitis and other respiratory infections. Most sinusitis infections are caused by viruses, for which amoxicillin and amoxicillin-clavulanate are ineffective, and the small benefit gained by amoxicillin may be overridden by the adverse effects. Amoxicillin is recommended as the preferred first-line treatment for community-acquired pneumonia in adults by the National Institute for Health and Care Excellence, either alone (mild to moderate severity disease) or in combination with a macrolide. The World Health Organization (WHO) recommends amoxicillin as first-line treatment for pneumonia that is not "severe". Amoxicillin is used in post-exposure inhalation of anthrax to prevent disease progression and for prophylaxis. H. pylori It is effective as one part of a multi-drug regimen for treatment of stomach infections of Helicobacter pylori. It is typically combined with a proton-pump inhibitor (such as omeprazole) and a macrolide antibiotic (such as clarithromycin); other drug combinations are also effective. Lyme borreliosis Amoxicillin is effective for treatment of early cutaneous Lyme borreliosis; the effectiveness and safety of oral amoxicillin is neither better nor worse than common alternatively-used antibiotics. Skin infections Amoxicillin is occasionally used for the treatment of skin infections, such as acne vulgaris. It is often an effective treatment for cases of acne vulgaris that have responded poorly to other antibiotics, such as doxycycline and minocycline. Infections in infants in resource-limited settings Amoxicillin is recommended by the World Health Organization for the treatment of infants with signs and symptoms of pneumonia in resource-limited situations when the parents are unable or unwilling to accept hospitalization of the child. Amoxicillin in combination with gentamicin is recommended for the treatment of infants with signs of other severe infections when hospitalization is not an option. Prevention of bacterial endocarditis It is also used to prevent bacterial endocarditis and as a pain-reliever in high-risk people having dental work done, to prevent Streptococcus pneumoniae and other encapsulated bacterial infections in those without spleens, such as people with sickle-cell disease, and for both the prevention and the treatment of anthrax. The United Kingdom recommends against its use for infectious endocarditis prophylaxis. These recommendations do not appear to have changed the rates of infection for infectious endocarditis. Combination treatment Amoxicillin is susceptible to degradation by β-lactamase-producing bacteria,
diffusion of deposited atomic species would allow for the formation of crystallites with long-range atomic order. Regarding their applications, amorphous metallic layers played an important role in the discovery of superconductivity in amorphous metals by Buckel and Hilsch. The superconductivity of amorphous metals, including amorphous metallic thin films, is now understood to be due to phonon-mediated Cooper pairing, and the role of structural disorder can be rationalized based on the strong-coupling Eliashberg theory of superconductivity. Today, optical coatings made from TiO2, SiO2, Ta2O5 etc. and combinations of them in most cases consist of amorphous phases of these compounds. Much research is carried out into thin amorphous films as a gas separating membrane layer. The technologically most important thin amorphous film is probably represented by a few nm thin SiO2 layers serving as isolator above the conducting channel of a metal-oxide semiconductor field-effect transistor (MOSFET). Also, hydrogenated amorphous silicon, a-Si:H for short, is of technical significance for thin-film solar cells. In the case of a-Si:H the missing long-range order between silicon atoms is partly induced by the presence of hydrogen in the percent range. The occurrence of amorphous phases turned out as a phenomenon of particular interest for studying thin-film growth. Remarkably, the growth of polycrystalline films is often used and preceded by an initial amorphous layer, the thickness of which may amount to only a few nm. The most investigated example is represented by thin polycrystalline silicon films, where such as the unoriented molecule. An initial amorphous layer was observed in many studies. Wedge-shaped polycrystals were identified by transmission electron microscopy to grow out of the amorphous phase only after the latter has exceeded a certain thickness, the precise value of which depends on deposition temperature, background pressure and various other process parameters. The phenomenon has been interpreted in the framework of Ostwald's rule of stages that predicts the formation of phases to proceed with increasing condensation time towards increasing stability. Experimental studies of the phenomenon require a clearly defined state of the substrate surface and its contaminant density etc., upon which the thin film is deposited. Soils Amorphous materials in soil strongly influence bulk density, aggregate stability, plasticity and water holding capacity of soils. The low bulk density and high void ratios are mostly due to glass shards and other porous
for thin-film solar cells. In the case of a-Si:H the missing long-range order between silicon atoms is partly induced by the presence of hydrogen in the percent range. The occurrence of amorphous phases turned out as a phenomenon of particular interest for studying thin-film growth. Remarkably, the growth of polycrystalline films is often used and preceded by an initial amorphous layer, the thickness of which may amount to only a few nm. The most investigated example is represented by thin polycrystalline silicon films, where such as the unoriented molecule. An initial amorphous layer was observed in many studies. Wedge-shaped polycrystals were identified by transmission electron microscopy to grow out of the amorphous phase only after the latter has exceeded a certain thickness, the precise value of which depends on deposition temperature, background pressure and various other process parameters. The phenomenon has been interpreted in the framework of Ostwald's rule of stages that predicts the formation of phases to proceed with increasing condensation time towards increasing stability. Experimental studies of the phenomenon require a clearly defined state of the substrate surface and its contaminant density etc., upon which the thin film is deposited. Soils Amorphous materials in soil strongly influence bulk density, aggregate stability, plasticity and water holding capacity of soils. The low bulk density and high void ratios are mostly due to glass shards and other porous minerals not becoming compacted. Andisol soils contain the highest amounts of amorphous materials. References Further reading External links Journal of Non-crystalline Solids (Elsevier) Phases of
is inhabited by both humans and dragons, and several among the humans are sorcerers or wizards. The world is shown as being based on a delicate balance, which most of its inhabitants are aware of, but which is disrupted by somebody in each of the original trilogy of novels. The setting of Earthsea is preindustrial, and has many cultures within the widespread archipelago. Most of the characters of the story are of the Hardic peoples, who are dark-skinned, and who populate most of the islands. Some of the Eastern islands are populated by the white-skinned Kargish people, who see the Hardic folk as evil sorcerers: the Kargish, in turn, are viewed by the Hardic as barbarians. The far western regions of the archipelago are where the dragons live. Plot summary The novel follows a young boy called Duny, nicknamed "Sparrowhawk", born on the island of Gont. Discovering that the boy has great innate power, his aunt teaches him the little magic she knows. When his village is attacked by Kargish raiders, Duny summons a fog to conceal the village and its inhabitants, enabling the residents to drive off the Kargs. Hearing of this, the powerful mage Ogion takes him as an apprentice, giving him his "true name"—Ged. Ogion tries to teach Ged about the "equilibrium", the concept that magic can upset the natural order of the world if used improperly. In an attempt to impress a girl, however, Ged searches Ogion's spell books and inadvertently summons a strange shadow, which has to be banished by Ogion. Sensing Ged's eagerness to act and impatience with his slow teaching methods, Ogion sends him to the renowned school for wizards on the island of Roke. At the school, Ged's skills inspire admiration even among the teachers. He is befriended by an older student named Vetch, but generally remains aloof from his fellows. Another student, Jasper, acts condescendingly towards Ged and provokes the latter's proud nature. After Jasper needles Ged during a feast, Ged challenges him to a duel of magic. Ged casts a powerful spell intended to raise the spirit of a legendary dead woman, but the spell goes awry and instead releases a shadow creature, which attacks him and scars his face. The Archmage Nemmerle drives the shadow away, but at the cost of his life. Ged spends many months healing before resuming his studies. The new Archmage, Gensher, describes the shadow as an ancient evil that wishes to possess Ged, and warns him that the creature has no name. Ged eventually receives his wizard's staff, and takes up residence in the Ninety Isles, providing the poor villagers protection from the dragons that have seized and taken up residence on the nearby island of Pendor, but discovers that he is still being sought by the shadow. Knowing that he cannot guard against both threats at the same time, he sails to Pendor and gambles his life on a guess of the adult dragon's true name. When he is proved right, the dragon offers to tell him the name of the shadow, but Ged instead extracts a promise that the dragon and his offspring will never threaten the archipelago. Chased by the shadow, Ged flees to Osskil, having heard of the stone of the Terrenon. He is attacked by the shadow, and barely escapes into the Court of Terrenon. Serret, the lady of the castle, shows him the stone, and urges Ged to speak to it, claiming it can give him limitless knowledge and power. Recognizing that the stone harbors one of the Old Powers—ancient, powerful, malevolent beings—Ged refuses. He flees and is pursued by the stone's minions, but transforms into a swift falcon and escapes. Ged flies back to Ogion on Gont. Unlike Gensher, Ogion insists that all creatures have a name and advises Ged to confront the shadow. Ogion is proved right; when Ged seeks out the shadow, it flees from him. Ged pursues it in a small sailboat, until it lures him into a fog where the boat is wrecked on a reef. Ged recovers with the help of an elderly couple marooned on a small island since they were children; the woman gives Ged part of a broken bracelet as a gift. Ged patches his boat and resumes his pursuit of the creature into the East Reach. On the island of Iffish, he meets his friend Vetch, who insists on joining him. They journey east far beyond the last known lands before they finally come upon the shadow. Naming it with his own name, Ged merges with it and joyfully tells Vetch he is healed and whole. Illustrations The first edition of the book, published in 1968, was illustrated by Ruth Robbins. The cover illustration was in color, and the interior of the book contained a map of the archipelago of Earthsea. In addition, each chapter had a black-and-white illustration by Robbins, similar to a woodcut image. The images represented topics from each chapter; for instance, the very first image depicted the island of Gont, while the illustration for the chapter "The Dragon of Pendor" pictured a flying dragon. The image shown here depicts Ged sailing in his boat Lookfar, and was used in the 10th chapter, "The Open Sea", in which Ged and Vetch travel from Iffish eastward past all known lands to confront the shadow creature. Publication A Wizard of Earthsea was first published in 1968 by Parnassus Press in Berkeley, a year before The Left Hand of Darkness, Le Guin's watershed work. It was a personal landmark for Le Guin, as it represented her first attempt at writing for children; she had written only a handful of other novels and short stories prior to its publication. The book was also her first attempt at writing fantasy, rather than science-fiction. A Wizard of Earthsea was the first of Le Guin's books to receive widespread critical attention, and has been described as her best known work, as part of the Earthsea series. The book has been released in numerous editions, including an illustrated Folio Society edition released in 2015. It was also translated into a number of other languages. An omnibus edition of all of Le Guin's Earthsea works was released on the 50th anniversary of the publication of A Wizard of Earthsea in 2018. Le Guin originally intended for A Wizard of Earthsea to be a standalone novel, but decided to write a sequel after considering the loose ends in the first book, and The Tombs of Atuan was released in 1971. The Farthest Shore was written as a third volume after further consideration, and was published in 1972. The Tombs of Atuan tells of the story of Ged's attempt to make whole the ring of Erreth Akbe, half of which is buried in the tombs of Atuan in the Kargish lands, from where he must steal it. There, he meets the child priestess Tenar, on whom the book focuses. In The Farthest Shore, Ged, who has become Archmage, tries to combat a dwindling of magic across Earthsea, accompanied by Arren, a young prince. The first three books are together seen as the "original trilogy"; in each of these, Ged is shown as trying to heal some imbalance in the world. They were followed by Tehanu (1990), Tales from Earthsea (2001), and The Other Wind (2001), which are sometimes referred to as the "second trilogy". Reception As children's literature Initial recognition for the book was from children's-book critics, among whom it garnered acclaim. A Wizard of Earthsea received an even more positive response in the United Kingdom when it was released there in 1971, which, according to White, reflected the greater admiration of British critics for children's fantasy. In her 1975 annotated collection Fantasy for Children, British critic Naomi Lewis described it in the following terms: "[It is not] the easiest book for casual browsing, but readers who take the step will find themselves in one of the most important works of fantasy of our time." Similarly, literary scholar Margaret Esmonde wrote in 1981 that "Le Guin has ... enriched children's literature with what may be its finest high fantasy", while a review in The Guardian by author and journalist Amanda Craig said it was "The most thrilling, wise and beautiful children's novel ever, [written] in prose as taut and clean as a ship's sail." In discussing the book for a gathering of children's librarians Eleanor Cameron praised the world building in the story, saying "it is as if [Le Guin] herself has lived on the archipelago." Author David Mitchell called the titular character Ged a "superb creation", and argued that he was a more relatable wizard than those featured in prominent works of fantasy at the time. According to him, characters such as Gandalf were "variants on the archetype of Merlin, a Caucasian scholarly aristocrat amongst sorcerers" with little room to grow, whereas Ged developed as a character through his story. Mitchell also praised the other characters in the story, who he said seemed to have a "fully thought-out inner life" despite being fleeting presences. The 1995 Encyclopedia of Science Fiction said that the Earthsea books had been considered the finest science fiction books for children in the post-World War II period. As fantasy Commentators have noted that the Earthsea novels in general received less critical attention because they were considered children's books. Le Guin herself took exception to this treatment of children's literature, describing it as "adult chauvinist piggery". In 1976, literary scholar George Slusser criticized the "silly publication classification designating the original series as 'children's literature'". Barbara Bucknall stated that "Le Guin was not writing for young children when she wrote these fantasies, nor yet for adults. She was writing for 'older kids.' But in fact she can be read, like Tolkien, by ten-year-olds and by adults. These stories are ageless because they deal with problems that confront us at any age." Only in later years did A Wizard of Earthsea receive attention from a more general audience. Literary scholar T. A. Shippey was among the first to treat A Wizard of Earthsea as serious literature, assuming in his analysis of the volume that it belonged alongside works by C. S. Lewis and Fyodor Dostoevsky, among others. Margaret Atwood said that she saw the book as "a fantasy book for adults", and added that the book could be categorized as either young adult fiction or as fantasy, but since it dealt with themes such as "life and mortality and who are we as human beings", it could be read and enjoyed by anybody older than twelve. The Encyclopedia of Science Fiction echoed this view, saying the series's appeal went "far beyond" the young adults for whom it was written. It went on to praise the book as "austere but vivid", and said the series was more thoughtful than the Narnia books by C. S.
are populated by the white-skinned Kargish people, who see the Hardic folk as evil sorcerers: the Kargish, in turn, are viewed by the Hardic as barbarians. The far western regions of the archipelago are where the dragons live. Plot summary The novel follows a young boy called Duny, nicknamed "Sparrowhawk", born on the island of Gont. Discovering that the boy has great innate power, his aunt teaches him the little magic she knows. When his village is attacked by Kargish raiders, Duny summons a fog to conceal the village and its inhabitants, enabling the residents to drive off the Kargs. Hearing of this, the powerful mage Ogion takes him as an apprentice, giving him his "true name"—Ged. Ogion tries to teach Ged about the "equilibrium", the concept that magic can upset the natural order of the world if used improperly. In an attempt to impress a girl, however, Ged searches Ogion's spell books and inadvertently summons a strange shadow, which has to be banished by Ogion. Sensing Ged's eagerness to act and impatience with his slow teaching methods, Ogion sends him to the renowned school for wizards on the island of Roke. At the school, Ged's skills inspire admiration even among the teachers. He is befriended by an older student named Vetch, but generally remains aloof from his fellows. Another student, Jasper, acts condescendingly towards Ged and provokes the latter's proud nature. After Jasper needles Ged during a feast, Ged challenges him to a duel of magic. Ged casts a powerful spell intended to raise the spirit of a legendary dead woman, but the spell goes awry and instead releases a shadow creature, which attacks him and scars his face. The Archmage Nemmerle drives the shadow away, but at the cost of his life. Ged spends many months healing before resuming his studies. The new Archmage, Gensher, describes the shadow as an ancient evil that wishes to possess Ged, and warns him that the creature has no name. Ged eventually receives his wizard's staff, and takes up residence in the Ninety Isles, providing the poor villagers protection from the dragons that have seized and taken up residence on the nearby island of Pendor, but discovers that he is still being sought by the shadow. Knowing that he cannot guard against both threats at the same time, he sails to Pendor and gambles his life on a guess of the adult dragon's true name. When he is proved right, the dragon offers to tell him the name of the shadow, but Ged instead extracts a promise that the dragon and his offspring will never threaten the archipelago. Chased by the shadow, Ged flees to Osskil, having heard of the stone of the Terrenon. He is attacked by the shadow, and barely escapes into the Court of Terrenon. Serret, the lady of the castle, shows him the stone, and urges Ged to speak to it, claiming it can give him limitless knowledge and power. Recognizing that the stone harbors one of the Old Powers—ancient, powerful, malevolent beings—Ged refuses. He flees and is pursued by the stone's minions, but transforms into a swift falcon and escapes. Ged flies back to Ogion on Gont. Unlike Gensher, Ogion insists that all creatures have a name and advises Ged to confront the shadow. Ogion is proved right; when Ged seeks out the shadow, it flees from him. Ged pursues it in a small sailboat, until it lures him into a fog where the boat is wrecked on a reef. Ged recovers with the help of an elderly couple marooned on a small island since they were children; the woman gives Ged part of a broken bracelet as a gift. Ged patches his boat and resumes his pursuit of the creature into the East Reach. On the island of Iffish, he meets his friend Vetch, who insists on joining him. They journey east far beyond the last known lands before they finally come upon the shadow. Naming it with his own name, Ged merges with it and joyfully tells Vetch he is healed and whole. Illustrations The first edition of the book, published in 1968, was illustrated by Ruth Robbins. The cover illustration was in color, and the interior of the book contained a map of the archipelago of Earthsea. In addition, each chapter had a black-and-white illustration by Robbins, similar to a woodcut image. The images represented topics from each chapter; for instance, the very first image depicted the island of Gont, while the illustration for the chapter "The Dragon of Pendor" pictured a flying dragon. The image shown here depicts Ged sailing in his boat Lookfar, and was used in the 10th chapter, "The Open Sea", in which Ged and Vetch travel from Iffish eastward past all known lands to confront the shadow creature. Publication A Wizard of Earthsea was first published in 1968 by Parnassus Press in Berkeley, a year before The Left Hand of Darkness, Le Guin's watershed work. It was a personal landmark for Le Guin, as it represented her first attempt at writing for children; she had written only a handful of other novels and short stories prior to its publication. The book was also her first attempt at writing fantasy, rather than science-fiction. A Wizard of Earthsea was the first of Le Guin's books to receive widespread critical attention, and has been described as her best known work, as part of the Earthsea series. The book has been released in numerous editions, including an illustrated Folio Society edition released in 2015. It was also translated into a number of other languages. An omnibus edition of all of Le Guin's Earthsea works was released on the 50th anniversary of the publication of A Wizard of Earthsea in 2018. Le Guin originally intended for A Wizard of Earthsea to be a standalone novel, but decided to write a sequel after considering the loose ends in the first book, and The Tombs of Atuan was released in 1971. The Farthest Shore was written as a third volume after further consideration, and was published in 1972. The Tombs of Atuan tells of the story of Ged's attempt to make whole the ring of Erreth Akbe, half of which is buried in the tombs of Atuan in the Kargish lands, from where he must steal it. There, he meets the child priestess Tenar, on whom the book focuses. In The Farthest Shore, Ged, who has become Archmage, tries to combat a dwindling of magic across Earthsea, accompanied by Arren, a young prince. The first three books are together seen as the "original trilogy"; in each of these, Ged is shown as trying to heal some imbalance in the world. They were followed by Tehanu (1990), Tales from Earthsea (2001), and The Other Wind (2001), which are sometimes referred to as the "second trilogy". Reception As children's literature Initial recognition for the book was from children's-book critics, among whom it garnered acclaim. A Wizard of Earthsea received an even more positive response in the United Kingdom when it was released there in 1971, which, according to White, reflected the greater admiration of British critics for children's fantasy. In her 1975 annotated collection Fantasy for Children, British critic Naomi Lewis described it in the following terms: "[It is not] the easiest book for casual browsing, but readers who take the step will find themselves in one of the most important works of fantasy of our time." Similarly, literary scholar Margaret Esmonde wrote in 1981 that "Le Guin has ... enriched children's literature with what may be its finest high fantasy", while a review in The Guardian by author and journalist Amanda Craig said it was "The most thrilling, wise and beautiful children's novel ever, [written] in prose as taut and clean as a ship's sail." In discussing the book for a gathering of children's librarians Eleanor Cameron praised the world building in the story, saying "it is as if [Le Guin] herself has lived on the archipelago." Author David Mitchell called the titular character Ged a "superb creation", and argued that he was a more relatable wizard than those featured in prominent works of fantasy at the time. According to him, characters such as Gandalf were "variants on the archetype of Merlin, a Caucasian scholarly aristocrat amongst sorcerers" with little room to grow, whereas Ged developed as a character through his story. Mitchell also praised the other characters in the story, who he said seemed to have a "fully thought-out inner life" despite being fleeting presences. The 1995 Encyclopedia of Science Fiction said that the Earthsea books had been considered the finest science fiction books for children in the post-World War II period. As fantasy Commentators have noted that the Earthsea novels in general received less critical attention because they were considered children's books. Le Guin herself took exception to this treatment of children's literature, describing it as "adult chauvinist piggery". In 1976, literary scholar George Slusser criticized the "silly publication classification designating the original series as 'children's literature'". Barbara Bucknall stated that "Le Guin was not writing for young children when she wrote these fantasies, nor yet for adults. She was writing for 'older kids.' But in fact she can be read, like Tolkien, by ten-year-olds and by adults. These stories are ageless because they deal with problems that confront us at any age." Only in later years did A Wizard of Earthsea receive attention from a more general audience. Literary scholar T. A. Shippey was among the first to treat A Wizard of Earthsea as serious literature, assuming in his analysis of the volume that it belonged alongside works by C. S. Lewis and Fyodor Dostoevsky, among others. Margaret Atwood said that she saw the book as "a fantasy book for adults", and added that the book could be categorized as either young adult fiction or as fantasy, but since it dealt with themes such as "life and mortality and who are we as human beings", it could be read and enjoyed by anybody older than twelve. The Encyclopedia of Science Fiction echoed this view, saying the series's appeal went "far beyond" the young adults for whom it was written. It went on to praise the book as "austere but vivid", and said the series was more thoughtful than the Narnia books by C. S. Lewis. In his 1980 history of fantasy, Brian Attebery called the Earthsea trilogy "the most challenging and richest American fantasy to date". Slusser described the Earthsea cycle as a "work of high style and imagination", and the original trilogy of books a product of "genuine epic vision". In 1974, critic Robert Scholes compared Le Guin's work favorably to that of C. S. Lewis, saying, "Where C. S. Lewis worked out a specifically Christian set of values, Ursula LeGuin works not with a theology but with an ecology, a cosmology, a reverence for the universe as a self-regulating structure." He added that Le Guin's three Earthsea novels were themselves a sufficient legacy for anybody to leave. In 2014 David Pringle called it "a beautiful story—poetic, thrilling, and profound". Accolades A Wizard of Earthsea won or contributed to several notable awards for Le Guin. It won the Boston Globe–Horn Book Award in 1969, and was one of the last winners of the Lewis Carroll Shelf Award ten years later. In 1984 it won the or the "Golden Sepulka" in Poland. In 2000 Le Guin was given the Margaret A. Edwards Award by the American Library Association for young adult literature. The award cited six of her works, including the first four Earthsea volumes, The Left Hand of Darkness, and The Beginning Place. A 1987 poll in Locus ranked A Wizard of Earthsea third among "All-Time Best Fantasy Novels", while in 2014 Pringle listed it at number 39 in his list of the 100 best novels in modern fantasy. Influence The book has been seen as widely influential within the genre of fantasy. Margaret Atwood has called A Wizard of Earthsea one of the "wellsprings" of fantasy literature. The book has been compared to major works of high fantasy such as J. R. R. Tolkien's The Lord of the Rings and L. Frank Baum's The Wonderful Wizard of Oz. The notion that names can exert power is also present in Hayao Miyazaki's 2001 film Spirited Away; critics have suggested that that idea originated with Le Guin's Earthsea series. Novelist David Mitchell, author of books such as Cloud Atlas, described A Wizard of Earthsea as having a strong influence on him, and said that he felt a desire to "wield words with the same power as Ursula Le Guin". Modern writers have credited A Wizard of Earthsea for introducing the idea of a "wizard school", which would later be made famous by the Harry Potter series of books, and with popularizing the trope of a boy wizard, also present in Harry Potter. Reviewers have also commented that the basic premise of A Wizard of Earthsea, that of a talented boy going to a wizard's school and making an enemy with whom he has a close connection, is also the premise of Harry Potter. Ged also receives a scar from the shadow, which hurts whenever the shadow is near him, just as Harry Potter's scar from Voldemort. Commenting on the similarity, Le Guin said that she did not feel that J. K. Rowling "ripped her off", but that Rowling's books received too much praise for supposed originality, and that Rowling "could have been more gracious about her predecessors. My incredulity was at the critics who found the first book wonderfully original. She has many virtues, but originality isn't one of them. That hurt." Themes Coming of age A Wizard of Earthsea focuses on Ged's adolescence and coming of age, and along with the other two works of the original Earthsea trilogy forms a part of Le Guin's dynamic portrayal of the process of growing old. The three novels together follow Ged from youth to old age, and each of them also follow the coming of age of a different character. The novel is frequently described as a Bildungsroman. Scholar Mike Cadden stated that the book is a convincing tale "to a reader as young and possibly as headstrong as Ged, and therefore sympathetic to him". Ged's coming of age is also intertwined with the physical journey he undertakes
Allan Holdsworth; he explained in 2011 that "Clapton's solos seemed a little easier and more approachable. I remember sitting at my record player and moving the needle back and forth to get the solo in 'Spoonful.' But there was nothing I could do with Hendrix." In 1963, Lifeson met future Rush drummer John Rutsey in school. Both interested in music, they decided to form a band. Lifeson was primarily a self-taught guitarist with the only formal instruction coming from a high school friend in 1971 who taught classical guitar lessons. This training lasted for roughly a year and a half. Lifeson recalls what inspired him to play guitar in a 2008 interview: Lifeson's first girlfriend, Charlene, gave birth to their eldest son, Justin, in October 1970. The couple married in 1975, and their second son, Adrian, was born two years later. Adrian is also involved in music, and performed on two tracks from Lifeson's 1996 solo project, Victor. Rush Lifeson's neighbour John Rutsey began experimenting on a rented drum kit. In 1968, Lifeson and Rutsey formed The Projection, which disbanded few months later.In August 1968, following the recruitment of original bassist and vocalist Jeff Jones, Lifeson and Rutsey founded Rush. Geddy Lee, a high school friend of Lifeson, assumed Jones's role soon after. Instrumentally, Lifeson is renowned for his signature riffing, electronic effects and processing, unorthodox chord structures, and the copious arsenal of equipment he has used over the years.Alex Lifeson minor overview Guitar Player Accessed 16 July 2007 Rush was on hiatus for several years starting in 1997 owing to personal tragedies in Neil Peart's life, and Lifeson had not picked up a guitar for at least a year following those events. However, after some work in his home studio and on various side projects, Lifeson returned to the studio with Rush to begin work on 2002's Vapor Trails. Vapor Trails is the first Rush album since the 1970s to lack keyboards—as such, Lifeson used over 50 different guitars in what Shawn Hammond of Guitar Player called "his most rabid and experimental playing ever." Geddy Lee was amenable to leaving keyboards off the album due in part to Lifeson's ongoing concern about their use. Lifeson's approach to the guitar tracks for the album eschewed traditional riffs and solos in favour of "tonality and harmonic quality." During live performances, he used foot pedals to cue various synthesizer, guitar, and backing vocal effects as he played. Victor While the bulk of Lifeson's work in music has been with Rush, his first major outside work was his solo project, Victor, released in 1996. Victor was attributed as a self-titled work (i.e. Victor is attributed as the artist as well as the album title). This was done deliberately as an alternative to issuing the album explicitly under Lifeson's name. The title track is from the W. H. Auden poem, also entitled "Victor". Both son Adrian and wife Charlene also contributed to the album. Side projects Lifeson has also contributed to a body of work outside his involvement with the band in the form of instrumental contributions to other musical outfits. He made a guest appearance on the 1985 Platinum Blonde album Alien Shores performing guitar solos on the songs "Crying Over You" and "Holy Water". Later, in 1990, he appeared on Lawrence Gowan's album Lost Brotherhood to play guitar. In 1995, he guested on two tracks on Tom Cochrane's Ragged Ass Road album and then in 1996 on I Mother Earth's "Like a Girl" from the Scenery and Fish album. In 1997, he appeared on the Merry Axemas: A Guitar Christmas album. Lifeson played "The Little Drummer Boy" which was released as track 9 on the album. In 2006, Lifeson founded the Big Dirty Band, which he created for the purpose of providing original soundtrack material for Trailer Park Boys: The Movie. Lifeson jammed regularly with the Dexters (the Orbit Room house band from 1994 to 2004). Lifeson made a guest appearance on the 2007 album Fear of a Blank Planet by UK progressive rock band Porcupine Tree, contributing a solo during the song "Anesthetize". He also appeared on the 2008 album Fly Paper by Detroit progressive rockers Tiles. He plays on the track "Sacred and Mundane". Outside band related endeavours, Lifeson composed the theme for the first season of the science-fiction TV series Andromeda. He also produced three songs from the album Away from the Sun by 3 Doors Down. He was executive producer and contributor to the 2014 album "Come to Life" by Keram Malicki-Sanchez - playing guitar on the songs "Mary Magdalene", "Moving Dark Circles" and "The Devil Knows Me Well," and later on Keram's subsequent singles "Artificial Intelligence," (2019), "That Light," (2020) and "Rukh." (2021). Alex Lifeson is featured on Marco Minnemann's 2017 release Borrego, on which he played guitars on three songs and co-wrote the track "On That Note". In 2018, he played lead guitar on Fu Manchu's 18-minute mostly instrumental track "Il Mostro Atomico" from the group's Clone of the Universe album. On June 15 2021, Lifeson released two new instrumental songs, "Kabul Blues" and "Spy House" on his website alexlifeson.com. The songs were released as a self titled project. Andy Curran played bass on both songs, and drums on "Spy House" were done by David Quinton Steinberg. Envy of None The first single, "Liar", from Envy of None's debut album was released on January 12, 2022. Envy of None consists of Lifeson, Curran, singer Maiah Wynne, and producer and engineer Alfio Annibalini. "Liar" along with "Kabul Blues" and "Spy House" are on Envy of None's self-titled debut album scheduled to be released on April 8. Television and film appearances Lifeson made his film debut as himself under his birth name in the 1973 Canadian documentary film Come on Children. He has appeared in several installments of the Canadian mockumentary franchise Trailer Park Boys. In 2003, he was featured in an episode titled "Closer to the Heart", playing a partly fictional version of himself. In the episode, he is kidnapped by Ricky and held as punishment for his inability (or refusal) to provide the main characters with free tickets to a Rush concert. In the end of the episode, Alex reconciles with the characters, and performs a duet of "Closer to the Heart" with Bubbles at the trailer park. In 2006, Lifeson appeared in Trailer Park Boys: The Movie as a traffic cop in the opening scene and in 2009 he appeared in their follow up movie, Trailer Park Boys: Countdown to Liquor Day, as an undercover vice cop in drag. In 2017, Lifeson appeared in an episode of the spin-off series Trailer Park Boys: Out of the Park: USA titled "Memphis." He also voiced Big Chunk in the first season of Trailer Park Boys: The Animated Series. In 2008, Lifeson and the rest of Rush played "Tom Sawyer" at the end of an episode of The Colbert Report. According to Colbert, this was their first appearance on American television as a band in 33 years. In 2009, he and the rest of the band appeared as themselves in the comedy I Love You, Man. Lifeson appears as the border guard in the 2009 movie Suck. Lifeson and bandmate Geddy Lee appear in the series Chicago Fire, season 4, episode 6, called "2112", which first aired on November 17, 2015. The role of Dr. Funtime in The
2014 album "Come to Life" by Keram Malicki-Sanchez - playing guitar on the songs "Mary Magdalene", "Moving Dark Circles" and "The Devil Knows Me Well," and later on Keram's subsequent singles "Artificial Intelligence," (2019), "That Light," (2020) and "Rukh." (2021). Alex Lifeson is featured on Marco Minnemann's 2017 release Borrego, on which he played guitars on three songs and co-wrote the track "On That Note". In 2018, he played lead guitar on Fu Manchu's 18-minute mostly instrumental track "Il Mostro Atomico" from the group's Clone of the Universe album. On June 15 2021, Lifeson released two new instrumental songs, "Kabul Blues" and "Spy House" on his website alexlifeson.com. The songs were released as a self titled project. Andy Curran played bass on both songs, and drums on "Spy House" were done by David Quinton Steinberg. Envy of None The first single, "Liar", from Envy of None's debut album was released on January 12, 2022. Envy of None consists of Lifeson, Curran, singer Maiah Wynne, and producer and engineer Alfio Annibalini. "Liar" along with "Kabul Blues" and "Spy House" are on Envy of None's self-titled debut album scheduled to be released on April 8. Television and film appearances Lifeson made his film debut as himself under his birth name in the 1973 Canadian documentary film Come on Children. He has appeared in several installments of the Canadian mockumentary franchise Trailer Park Boys. In 2003, he was featured in an episode titled "Closer to the Heart", playing a partly fictional version of himself. In the episode, he is kidnapped by Ricky and held as punishment for his inability (or refusal) to provide the main characters with free tickets to a Rush concert. In the end of the episode, Alex reconciles with the characters, and performs a duet of "Closer to the Heart" with Bubbles at the trailer park. In 2006, Lifeson appeared in Trailer Park Boys: The Movie as a traffic cop in the opening scene and in 2009 he appeared in their follow up movie, Trailer Park Boys: Countdown to Liquor Day, as an undercover vice cop in drag. In 2017, Lifeson appeared in an episode of the spin-off series Trailer Park Boys: Out of the Park: USA titled "Memphis." He also voiced Big Chunk in the first season of Trailer Park Boys: The Animated Series. In 2008, Lifeson and the rest of Rush played "Tom Sawyer" at the end of an episode of The Colbert Report. According to Colbert, this was their first appearance on American television as a band in 33 years. In 2009, he and the rest of the band appeared as themselves in the comedy I Love You, Man. Lifeson appears as the border guard in the 2009 movie Suck. Lifeson and bandmate Geddy Lee appear in the series Chicago Fire, season 4, episode 6, called "2112", which first aired on November 17, 2015. The role of Dr. Funtime in The Drunk and On Drugs Happy Funtime Hour was originally written with Lifeson in mind, but due to scheduling conflicts the role was given to Maury Chaykin instead. Book forewords Lifeson has penned forewords to four books: Behind the Stage Door by Rich Engler in 2013; Shredders!: The Oral History Of Speed Guitar (And More) by Greg Prato in 2017; Geddy Lee's Big Beautiful Book of Bass by Geddy Lee in 2018; and Domenic Troiano: His Life and Music by Mark Doble and Frank Troiano in 2021. Legal issues On New Year's Eve 2003, Lifeson, his son and his daughter-in-law were arrested at the Ritz-Carlton hotel in Naples, Florida. Lifeson, after intervening in an altercation between his son and police, was accused of assaulting a sheriff's deputy in what was described as a drunken brawl. In addition to suffering a broken nose at the hands of the officers, Lifeson was tased six times. His son was also tased repeatedly. On 21 April 2005, Lifeson and his son agreed to a plea deal with the local prosecutor for the State's Attorney office to avoid jail time by pleading no contest to a first-degree misdemeanor charge of resisting arrest without violence. As part of the plea agreement, Lifeson and his son were each sentenced to 12 months of probation with the adjudication of that probation suspended. Lifeson acknowledged his subsequent legal action against both the Ritz-Carlton and the Collier County Sheriff's Office for "their incredibly discourteous, arrogant and aggressive behaviour of which I had never experienced in 30 years of travel". Although both actions were initially dismissed in April 2007, legal claims against the Ritz-Carlton were reinstated upon appeal and they were settled out of court on a confidential basis in August 2008. In his journal-based book Roadshow, Peart relates the band's perspective on the events of that New Year's Eve. Guitar equipment Early Rush (1970s) In Rush's early career, Lifeson used a Gibson ES-335 for the first tour, and in 1976 bought a 1974 Gibson Les Paul; he used those two guitars until the late 1970s. He had a Fender Stratocaster with a Bill Lawrence humbucker and Floyd Rose vibrato bridge as backup "and for a different sound." For the A Farewell to Kings sessions, Lifeson began using a Gibson EDS-1275 for songs like "Xanadu" and his main guitar became a white Gibson ES-355. During this period Lifeson used Hiwatt amplifiers. He played a twelve-string Gibson B-45 on songs like "Closer to the Heart." 1980s and 1990s From 1980 to 1986, Lifeson used four identically modified Stratocasters, all of them equipped with the Floyd Rose bridge. As a joke, he called these Hentor Sportscasters – a made-up name inspired by Peter Henderson's name, who was the producer of Grace Under Pressure. He would start using them again twenty years later. He also played a Gibson Howard Roberts Fusion and an Ovation Adamas acoustic/electric guitar. By 1987, Lifeson switched to Signature guitar despite describing them as "awful to play—very uncomfortable--...had a particular sound I liked." Lifeson primarily used PRS guitars in the later-half of the 1990 Presto tour, and again during the recording of Roll The Bones in 1990/1991. He would continue to play PRS for the next sixteen years through the recording and touring of Counterparts, Test for Echo and Vapor Trails as well as the R30 tour. During this period, he also played several Fender Telecasters. 2000s onward: Return to Gibson guitars In 2011, Lifeson said that for the past few years he "...used Gibson almost exclusively. There's nothing like
postal abbreviation is "AZ" Azerbaijan, a Eurasian country, designated by the 2-letter ISO 3166-1 country code Companies and organizations ITA Airways, IATA code for the national airline of Italy Alkmaar Zaanstreek, formerly AZ '67, a Dutch Eredivisie football club AZ (women), the affiliated women's football club (2007–2011) AstraZeneca, a UK-based pharmaceutical company Oxford–AstraZeneca COVID-19 vaccine, their COVID-19 vaccine (sometimes abbreviated as AZ) Ministry of General Affairs (), a Dutch Government ministry AZ (label), a French record label Language A (Cyrillic), the first letter of the Early Cyrillic alphabet Azerbaijani
Government ministry AZ (label), a French record label Language A (Cyrillic), the first letter of the Early Cyrillic alphabet Azerbaijani language, designated by the ISO 639-1 international-standard language-code "az" Music Authority Zero, an Arizona punk rock band AZ (label), a French record label Other uses .az, the country code top level domain for the nation of Azerbaijan Abendzeitung, a newspaper based in Munich, Germany AlphaZero, a computer program for chess and other games Assignment Zero, a crowdsourced journalism project AZ engine, a Toyota engine family Azimuth, the horizontal component of a compass
users and over 150 developers. In 2003, ArgoUML won the Software Development Magazine's annual Readers' Choice Award in the “Design and Analysis Tools” category. ArgoUML development has suffered from lack of manpower. For example, Undo has been a perpetually requested feature since 2003 but has not been implemented yet. Features According to the official feature list, ArgoUML is capable of the following: All 9 UML 1.4 diagrams are supported. Closely follows the UML standard. Platform independent
NB, PT, ZH. Advanced diagram editing and zoom. Built-in design critics provide unobtrusive review of design and suggestions for improvements. Extensible modules interface. OCL support. Forward engineering (code generation supports C++ and C#, Java, PHP 4, PHP 5, Ruby and, with less mature modules, Ada, Delphi and SQL). Reverse engineering / JAR/class file import. Weaknesses ArgoUML does not yet completely implement the UML standard. Partial undo feature (working for graphics edits ) See also List of UML tools MetaCASE tool References External links Java platform software Free
of the Unix tools use additional compression tools, such as gzip, bzip2, or xz, to compress the archive file after packing or remove compression before unpacking the archive file. The filename extensions are successively added at each step of this process. For example, archiving a collection of files with tar and then compressing the resulting archive file with gzip results a file with .tar.gz extension. This approach has two goals: It follows the Unix philosophy that each program should accomplish a single task to perfection, as opposed to attempting to accomplish everything with one tool. As compression technology progresses, users may use different compression programs without having to modify or abandon their archiver. The archives use solid compression. When the files are combined, the compressor can exploit redundancy across several archived files and achieve better compression than a compressor that compresses each files individually. This approach, however, has disadvantages too: Extracting or modifying one file is difficult. Extracting one file requires decompressing an entire archive, which can be time- and space-consuming. Modifying one means the file needs to be put back into archive and the archive recompressed again. This operation requires additional time and disk space. The archive becomes damage-prone. If the area holding shared data for several files is damaged, all those files are lost. It is impossible to take advantage of redundancy between files unless the compression window is larger than the size of an individual file. For example, gzip uses DEFLATE, which typically operates with a 32768-byte window, whereas bzip2 uses a Burrows–Wheeler transform roughly 27 times bigger. xz defaults to 8 MiB but supports significantly larger windows. Windows archivers The built-in
the Multics command archive, descended from the CTSS command of the same name, which was a basic archiver and performed no compression. Multics also had a "tape_archiver" command, abbreviated ta, which was perhaps the forerunner of unix' tar. Unix archivers The Unix tools ar, tar, and cpio act as archivers but not compressors. Users of the Unix tools use additional compression tools, such as gzip, bzip2, or xz, to compress the archive file after packing or remove compression before unpacking the archive file. The filename extensions are successively added at each step of this process. For example, archiving a collection of files with tar and then compressing the resulting archive file with gzip results a file with .tar.gz extension. This approach has two goals: It follows the Unix philosophy that each program should accomplish a single task to perfection, as opposed to attempting to accomplish everything with one tool. As compression technology progresses, users may use different compression programs without having to modify or abandon their archiver. The archives use solid compression. When the files are combined, the compressor can exploit redundancy across several archived files and achieve better compression than a compressor that compresses each files individually. This approach, however, has disadvantages too: Extracting or modifying one file is difficult. Extracting one
to some versions, two of the Niobids were spared, one boy and one girl. Amphion, at the sight of his dead sons, killed himself. A devastated Niobe and her remaining children were turned to stone by Artemis as they wept. The gods themselves entombed them. Chione Chione was a princess of Pokis. She was beloved by two gods, Hermes and Apollo, and boasted that she was more beautiful than Artemis because she had made two gods fall in love with her at once. Artemis was furious and killed Chione with an arrow, or struck her mute by shooting off her tongue. However, some versions of this myth say Apollo and Hermes protected her from Artemis' wrath. Atalanta, Oeneus and the Meleagrids Artemis saved the infant Atalanta from dying of exposure after her father abandoned her. She sent a female bear to nurse the baby, who was then raised by hunters. In some stories, Artemis later sent a bear to injure Atalanta because others claimed Atalanta was a superior hunter. Among other adventures, Atalanta participated in the Calydonian boar hunt, which Artemis had sent to destroy Calydon because King Oeneus had forgotten her at the harvest sacrifices. In the hunt, Atalanta drew the first blood and was awarded the prize of the boar's hide. She hung it in a sacred grove at Tegea as a dedication to Artemis. Meleager was a hero of Aetolia. King Oeneus ordered him to gather heroes from all over Greece to hunt the Calydonian boar. After the death of Meleager, Artemis turns his grieving sisters, the Meleagrids, into guineafowl that Artemis favoured. Aura In Nonnus' Dionysiaca, Aura, the daughter of Lelantos and Periboia, was a companion of Artemis. When out hunting one day with Artemis, she asserts that the goddess's body is too womanly and doubts her virginity. Artemis asks Nemesis for help to avenge her dignity, leading to Aura being raped by Dionysus, after which she becomes a deranged killer. When she bore twin sons, she ate one, while the other, Iacchus, was saved by Artemis. Polyphonte Polyphonte was a young woman who fled home in pursuit of a free, virginal life with Artemis, as opposed to the conventional life of marriage and children favoured by Aphrodite. As a punishment, Aphrodite cursed her, causing her to have children by a bear. Her resulting offspring, Agrius and Oreius, were wild cannibals who incurred the hatred of Zeus. Ultimately the entire family was transformed into birds who became ill portents for mankind. Trojan War Artemis may have been represented as a supporter of Troy because her brother Apollo was the patron god of the city, and she herself was widely worshipped in western Anatolia in historical times. In the Iliad she comes to blows with Hera when the divine allies of the Greeks and Trojans engage each other in conflict. Hera strikes Artemis on the ears with her own quiver, causing the arrows to fall out. As Artemis flees, crying to Zeus, Leto gathers up the bow and arrows. Artemis plays a significant role in the war. Like Leto and Apollo, Artemis took the side of the Trojans. At the beginning of the Greek's journey to Troy, Artemis stilled the sea, stopping the journey until an oracle came saying they could win the goddess' heart by sacrificing Iphigenia, Agamemnon's daughter. Agamemnon once promised the goddess he would sacrifice the dearest thing to him, which was Iphigenia, but broke that promise. Other sources said he boasted about his hunting ability and provoked the goddess' anger. However, Artemis saved Iphigenia because of her bravery. In some versions of the myth, Artemis made Iphigenia her attendant or turned her into Hecate, goddess of night, witchcraft, and the underworld. Aeneas was also helped by Artemis, Leto, and Apollo. Apollo found him wounded by Diomedes and lifted him to heaven. There, the three deities secretly healed him in a great chamber. Worship Artemis, the goddess of forests and hills, was worshipped throughout ancient Greece. Her best known cults were on the island of Delos (her birthplace), in Attica at Brauron and Mounikhia (near Piraeus), and in Sparta. She was often depicted in paintings and statues in a forest setting, carrying a bow and arrows and accompanied by a deer. The ancient Spartans used to sacrifice to her as one of their patron goddesses before starting a new military campaign. Athenian festivals in honor of Artemis included Elaphebolia, Mounikhia, Kharisteria, and Brauronia. The festival of Artemis Orthia was observed in Sparta. Pre-pubescent and adolescent Athenian girls were sent to the sanctuary of Artemis at Brauron to serve the Goddess for one year. During this time, the girls were known as arktoi, or little she-bears. A myth explaining this servitude states that a bear had formed the habit of regularly visiting the town of Brauron, and the people there fed it, so that, over time, the bear became tame. A girl teased the bear, and, in some versions of the myth, it killed her, while, in other versions, it clawed out her eyes. Either way, the girl's brothers killed the bear, and Artemis was enraged. She demanded that young girls "act the bear" at her sanctuary in atonement for the bear's death. Artemis was worshipped as one of the primary goddesses of childbirth and midwifery along with Eileithyia. Dedications of clothing to her sanctuaries after a successful birth was common in the Classical era. Artemis could be a deity to be feared by pregnant women, as deaths during this time were attributed to her. As childbirth and pregnancy was a very common and important event, there were numerous other deities associated with it, many localized to a particular geographic area, including but not limited to Aphrodite, Hera and Hekate. According to Pseudo-Apollodorus, she assisted her mother in the delivery of her twin. Older sources, such as Homeric Hymn to Delian Apollo (in Line 115), have the arrival of Eileithyia on Delos as the event that allows Leto to give birth to her children. Contradictory is Hesiod's presentation of the myth in Theogony, where he states that Leto bore her children before Zeus’ marriage to Hera with no commentary on any drama related to their birth. During the Classical period in Athens, she was identified with Hekate. Artemis also assimilated Caryatis (Carya). There was a women's cult at Cyzicus worshiping Artemis, which was called Dolon (Δόλων). Epithets As Aeginaea, she was worshipped in Sparta; the name means either huntress of chamois, or the wielder of the javelin (). Also in Sparta, Artemis Lygodesma was worshipped. This epithet means "willow-bound" from the Greek lygos (λυγός, willow) and desmos (δεσμός, bond). The willow tree appears in several ancient Greek myths and rituals. According to Pausanias (3.16.7), a statue of Artemis was found by the brothers Astrabacus and Alopecus under a bush of willows (λύγος), by which it was surrounded in such a manner that it stood upright. As Artemis Orthia (Ὀρθία, "upright") and was common to the four villages originally constituting Sparta: Limnai, in which it is situated, Pitana, Kynosoura, and Mesoa. In Athens she was worshipped under the epithet Aristo ("the best"). Also in Athens, she was worshipped as Aristoboule, "the best adviser". As Artemis Isora also known as Isoria or Issoria, in the temple at the Issorium near lounge of the Crotani (the body of troops named the Pitanatae) near Pitane, Sparta. Pausanias mentions that although the locals refer to her as Artemis Isora, he says "They surname her also Lady of the Lake, though she is not really Artemis hut Britomartis of Crete" She was worshipped at Naupactus as Aetole; in her temple in that town, there was a statue of white marble representing her throwing a javelin. This "Aetolian Artemis" would not have been introduced at Naupactus, anciently a place of Ozolian Locris, until it was awarded to the Aetolians by Philip II of Macedon. Strabo records another precinct of "Aetolian Artemos" at the head of the Adriatic. As Agoraea she was the protector of the agora. As Agrotera, she was especially associated as the patron goddess of hunters. In Athens Artemis was often associated with the local Aeginian goddess, Aphaea. As Potnia Theron, she was the patron of wild animals; Homer used this title. As Kourotrophos, she was the nurse of youths. As Locheia, she was the goddess of childbirth and midwives. She was sometimes known as Cynthia, from her birthplace on Mount Cynthus on Delos, or Amarynthia from a festival in her honor originally held at Amarynthus in Euboea. She was sometimes identified by the name Phoebe, the feminine form of her brother Apollo's solar epithet Phoebus. Alphaea, Alpheaea, or Alpheiusa (Gr. , , or ) was an epithet that Artemis derived from the river god Alpheius, who was said to have been in love with her. It was under this name that she was worshipped at Letrini in Elis, and in Ortygia. Artemis Alphaea was associated with the wearing of masks, largely because of the legend that while fleeing the advances of Alpheius, she and her nymphs escaped him by covering their faces. As Artemis Anaitis, the 'Persian Artemis' was identified with Anahita. As Apanchomene, she was worshipped as a hanged goddess. She was also worshiped as Artemis Tauropolos, variously interpreted as "worshipped at Tauris", "pulled by a yoke of bulls", or "hunting bull goddess". A statue of Artemis "Tauropolos" in her temple at Brauron in Attica was supposed to have been brought from the Taurians by Iphigenia. Tauropolia was also a festival of Artemis in Athens. There was a Tauropolion, a temple in a temenos sacred to Artemis Tauropolos, in the north Aegean island of Doliche (now Ikaria). There is a Temple to 'Artemis Tauropolos' (as well as a smaller temple to an unknown goddess about south, on the beach) located on the eastern shore of Attica, in the modern town of Artemida (Loutsa). An aspect of the Taurian Artemis was also worshipped as Aricina. At Castabala in Cilicia there was a sanctuary of Artemis Perasia. Strabo wrote that: "some tell us over and over the same story of Orestes and Tauropolos, asserting that she was called Perasian because she was brought from the other side." Pausanias at the Description of Greece writes that near Pyrrhichus, there was a sanctuary of Artemis called Astrateias (), with an image of the goddess said to have been dedicated by the Amazons. He also wrote that at Pheneus there was a sanctuary of Artemis, which the legend said that it was founded by Odysseus when he lost his mares and when he traversed Greece in search of them, he found them on this site. For this the goddess was called Heurippa (), meaning horse finder. One of the epithets of Artemis was Chitone (). Ancient writers believed that the epithet derived from the chiton that the goddess was wearing as a huntress or from the clothes in which newborn infants were dressed being sacred to her or from the Attic village of Chitone. Syracusans had a dance sacred to the Chitone Artemis. At the Miletus there was a sanctuary of Artemis Chitone and was one of the oldest sanctuaries in the city. The epithet Leucophryne (Λευκοφρύνη), derived from the city of Leucophrys. At the Magnesia on the Maeander there was a sanctuary dedicated to her. In addition, the sons of Themistocles dedicated a statue to her at the Acropolis of Athens, because Themistocles had once ruled the Magnesia. Bathycles of Magnesia dedicated a statue of her at Amyclae. Festivals Artemis was born on the sixth day, which made it sacred for her. Festival of Artemis in Brauron, where girls, aged between five and ten, dressed in saffron robes and played at being bears, or "act the bear" to appease the goddess after she sent the plague when her bear was killed. Festival of Amarysia is a celebration to worship Artemis Amarysia in Attica. In 2007, a team of Swiss and Greek archaeologists found the ruin of Artemis Amarysia Temple, at Euboea, Greece. Festival of Artemis Saronia, a festival to celebrate Artemis in Trozeinos, a town in Argolis. A king named Saron built a sanctuary for the goddess after the goddess saved his life when he went hunting and was swept away by a wave. He held a festival in her honor. On the 16th day of Metageitnio (second month on the Athenian calendar), people sacrificed to Artemis and Hecate at Deme in Erchia. Kharisteria Festival on 6th day of Boidromion (third month) celebrates the victory of the Battle of Marathon, also known as the Athenian "Thanksgiving". Day six of Elaphobolia (ninth month) festival of Artemis the Deer Huntress where she was offered cakes shaped like stags, made from dough, honey and sesame seeds. Day 6 or 16 of Mounikhion (tenth month) is a celebration of her as the goddess of nature and animals. A goat was sacrificed to her. Day 6 of Thargelion (eleventh month), is the Goddess's birthday, while the seventh was Apollo's. A festival for Artemis Diktynna (of the net) was held in Hypsous. Laphria, a festival for Artemis in Patrai. The procession starts by setting logs of wood around the altar, each of them 16 cubits long. On the altar, within the circle, the driest wood is placed. Just before the festival, a smooth ascent to the altar is built by piling earth upon the altar steps. The festival begins with a splendid procession in honor of Artemis, and the maiden officiating as priestess rides last in the procession upon a chariot yoked to four deer, Artemis' traditional mode of transport (see below). However, the sacrifice is not offered until the next day. In Orchomenus, a sanctuary was built for Artemis Hymnia where her festival was celebrated every year. Attributes Virginity An important aspect of Artemis' persona and worship was her virginity, which may seem contradictory given her role as a goddess associated with childbirth. It is likely that the idea of Artemis as a virgin goddess is related to her primary role as a huntress. Hunters traditionally abstained from sex prior to the hunt as a form of ritual purity and out of a belief that the scent would scare off potential prey. The ancient cultural context in which Artemis' worship emerged also held that virginity was a prerequisite to marriage, and that a married woman became subservient to her husband. In this light, Artemis' virginity is also related to her power and independence. Rather than a form of asexuality, it is an attribute that signals Artemis as her own master, with power equal to that of male gods. It is also possible that her virginity represents a concentration of fertility that can be spread among her followers, in the manner of earlier mother goddess figures. However, some later Greek writers did come to treat Artemis as inherently asexual and as an opposite to Aphrodite. Furthermore, some have described Artemis along with the goddesses Hestia and Athena as being asexual, this is mainly supported by the fact that in the Homeric Hymns, 5, To Aphrodite, where Aphrodite is described as having "no power" over the three goddesses. As a mother goddess Despite her virginity, both modern scholars and ancient commentaries have linked Artemis to the archetype of the mother goddess. Artemis was traditionally linked to fertility and was petitioned to assist women with childbirth. According to Herodotus, the Greek playwright Aeschylus identified Artemis with Persephone as a daughter of Demeter. Her worshipers in Arcadia also traditionally associated her with Demeter and Persephone. In Asia Minor, she was often conflated with local mother goddess figures, such as Cybele, and Anahita in Iran. However, the archetype of the mother goddess was not highly compatible with the Greek pantheon, and though the Greeks had adopted the worship of Cybele and other Anatolian mother goddesses as early as the 7th century BCE, she was not directly conflated with any Greek goddesses; instead, bits and
Dedications of clothing to her sanctuaries after a successful birth was common in the Classical era. Artemis could be a deity to be feared by pregnant women, as deaths during this time were attributed to her. As childbirth and pregnancy was a very common and important event, there were numerous other deities associated with it, many localized to a particular geographic area, including but not limited to Aphrodite, Hera and Hekate. According to Pseudo-Apollodorus, she assisted her mother in the delivery of her twin. Older sources, such as Homeric Hymn to Delian Apollo (in Line 115), have the arrival of Eileithyia on Delos as the event that allows Leto to give birth to her children. Contradictory is Hesiod's presentation of the myth in Theogony, where he states that Leto bore her children before Zeus’ marriage to Hera with no commentary on any drama related to their birth. During the Classical period in Athens, she was identified with Hekate. Artemis also assimilated Caryatis (Carya). There was a women's cult at Cyzicus worshiping Artemis, which was called Dolon (Δόλων). Epithets As Aeginaea, she was worshipped in Sparta; the name means either huntress of chamois, or the wielder of the javelin (). Also in Sparta, Artemis Lygodesma was worshipped. This epithet means "willow-bound" from the Greek lygos (λυγός, willow) and desmos (δεσμός, bond). The willow tree appears in several ancient Greek myths and rituals. According to Pausanias (3.16.7), a statue of Artemis was found by the brothers Astrabacus and Alopecus under a bush of willows (λύγος), by which it was surrounded in such a manner that it stood upright. As Artemis Orthia (Ὀρθία, "upright") and was common to the four villages originally constituting Sparta: Limnai, in which it is situated, Pitana, Kynosoura, and Mesoa. In Athens she was worshipped under the epithet Aristo ("the best"). Also in Athens, she was worshipped as Aristoboule, "the best adviser". As Artemis Isora also known as Isoria or Issoria, in the temple at the Issorium near lounge of the Crotani (the body of troops named the Pitanatae) near Pitane, Sparta. Pausanias mentions that although the locals refer to her as Artemis Isora, he says "They surname her also Lady of the Lake, though she is not really Artemis hut Britomartis of Crete" She was worshipped at Naupactus as Aetole; in her temple in that town, there was a statue of white marble representing her throwing a javelin. This "Aetolian Artemis" would not have been introduced at Naupactus, anciently a place of Ozolian Locris, until it was awarded to the Aetolians by Philip II of Macedon. Strabo records another precinct of "Aetolian Artemos" at the head of the Adriatic. As Agoraea she was the protector of the agora. As Agrotera, she was especially associated as the patron goddess of hunters. In Athens Artemis was often associated with the local Aeginian goddess, Aphaea. As Potnia Theron, she was the patron of wild animals; Homer used this title. As Kourotrophos, she was the nurse of youths. As Locheia, she was the goddess of childbirth and midwives. She was sometimes known as Cynthia, from her birthplace on Mount Cynthus on Delos, or Amarynthia from a festival in her honor originally held at Amarynthus in Euboea. She was sometimes identified by the name Phoebe, the feminine form of her brother Apollo's solar epithet Phoebus. Alphaea, Alpheaea, or Alpheiusa (Gr. , , or ) was an epithet that Artemis derived from the river god Alpheius, who was said to have been in love with her. It was under this name that she was worshipped at Letrini in Elis, and in Ortygia. Artemis Alphaea was associated with the wearing of masks, largely because of the legend that while fleeing the advances of Alpheius, she and her nymphs escaped him by covering their faces. As Artemis Anaitis, the 'Persian Artemis' was identified with Anahita. As Apanchomene, she was worshipped as a hanged goddess. She was also worshiped as Artemis Tauropolos, variously interpreted as "worshipped at Tauris", "pulled by a yoke of bulls", or "hunting bull goddess". A statue of Artemis "Tauropolos" in her temple at Brauron in Attica was supposed to have been brought from the Taurians by Iphigenia. Tauropolia was also a festival of Artemis in Athens. There was a Tauropolion, a temple in a temenos sacred to Artemis Tauropolos, in the north Aegean island of Doliche (now Ikaria). There is a Temple to 'Artemis Tauropolos' (as well as a smaller temple to an unknown goddess about south, on the beach) located on the eastern shore of Attica, in the modern town of Artemida (Loutsa). An aspect of the Taurian Artemis was also worshipped as Aricina. At Castabala in Cilicia there was a sanctuary of Artemis Perasia. Strabo wrote that: "some tell us over and over the same story of Orestes and Tauropolos, asserting that she was called Perasian because she was brought from the other side." Pausanias at the Description of Greece writes that near Pyrrhichus, there was a sanctuary of Artemis called Astrateias (), with an image of the goddess said to have been dedicated by the Amazons. He also wrote that at Pheneus there was a sanctuary of Artemis, which the legend said that it was founded by Odysseus when he lost his mares and when he traversed Greece in search of them, he found them on this site. For this the goddess was called Heurippa (), meaning horse finder. One of the epithets of Artemis was Chitone (). Ancient writers believed that the epithet derived from the chiton that the goddess was wearing as a huntress or from the clothes in which newborn infants were dressed being sacred to her or from the Attic village of Chitone. Syracusans had a dance sacred to the Chitone Artemis. At the Miletus there was a sanctuary of Artemis Chitone and was one of the oldest sanctuaries in the city. The epithet Leucophryne (Λευκοφρύνη), derived from the city of Leucophrys. At the Magnesia on the Maeander there was a sanctuary dedicated to her. In addition, the sons of Themistocles dedicated a statue to her at the Acropolis of Athens, because Themistocles had once ruled the Magnesia. Bathycles of Magnesia dedicated a statue of her at Amyclae. Festivals Artemis was born on the sixth day, which made it sacred for her. Festival of Artemis in Brauron, where girls, aged between five and ten, dressed in saffron robes and played at being bears, or "act the bear" to appease the goddess after she sent the plague when her bear was killed. Festival of Amarysia is a celebration to worship Artemis Amarysia in Attica. In 2007, a team of Swiss and Greek archaeologists found the ruin of Artemis Amarysia Temple, at Euboea, Greece. Festival of Artemis Saronia, a festival to celebrate Artemis in Trozeinos, a town in Argolis. A king named Saron built a sanctuary for the goddess after the goddess saved his life when he went hunting and was swept away by a wave. He held a festival in her honor. On the 16th day of Metageitnio (second month on the Athenian calendar), people sacrificed to Artemis and Hecate at Deme in Erchia. Kharisteria Festival on 6th day of Boidromion (third month) celebrates the victory of the Battle of Marathon, also known as the Athenian "Thanksgiving". Day six of Elaphobolia (ninth month) festival of Artemis the Deer Huntress where she was offered cakes shaped like stags, made from dough, honey and sesame seeds. Day 6 or 16 of Mounikhion (tenth month) is a celebration of her as the goddess of nature and animals. A goat was sacrificed to her. Day 6 of Thargelion (eleventh month), is the Goddess's birthday, while the seventh was Apollo's. A festival for Artemis Diktynna (of the net) was held in Hypsous. Laphria, a festival for Artemis in Patrai. The procession starts by setting logs of wood around the altar, each of them 16 cubits long. On the altar, within the circle, the driest wood is placed. Just before the festival, a smooth ascent to the altar is built by piling earth upon the altar steps. The festival begins with a splendid procession in honor of Artemis, and the maiden officiating as priestess rides last in the procession upon a chariot yoked to four deer, Artemis' traditional mode of transport (see below). However, the sacrifice is not offered until the next day. In Orchomenus, a sanctuary was built for Artemis Hymnia where her festival was celebrated every year. Attributes Virginity An important aspect of Artemis' persona and worship was her virginity, which may seem contradictory given her role as a goddess associated with childbirth. It is likely that the idea of Artemis as a virgin goddess is related to her primary role as a huntress. Hunters traditionally abstained from sex prior to the hunt as a form of ritual purity and out of a belief that the scent would scare off potential prey. The ancient cultural context in which Artemis' worship emerged also held that virginity was a prerequisite to marriage, and that a married woman became subservient to her husband. In this light, Artemis' virginity is also related to her power and independence. Rather than a form of asexuality, it is an attribute that signals Artemis as her own master, with power equal to that of male gods. It is also possible that her virginity represents a concentration of fertility that can be spread among her followers, in the manner of earlier mother goddess figures. However, some later Greek writers did come to treat Artemis as inherently asexual and as an opposite to Aphrodite. Furthermore, some have described Artemis along with the goddesses Hestia and Athena as being asexual, this is mainly supported by the fact that in the Homeric Hymns, 5, To Aphrodite, where Aphrodite is described as having "no power" over the three goddesses. As a mother goddess Despite her virginity, both modern scholars and ancient commentaries have linked Artemis to the archetype of the mother goddess. Artemis was traditionally linked to fertility and was petitioned to assist women with childbirth. According to Herodotus, the Greek playwright Aeschylus identified Artemis with Persephone as a daughter of Demeter. Her worshipers in Arcadia also traditionally associated her with Demeter and Persephone. In Asia Minor, she was often conflated with local mother goddess figures, such as Cybele, and Anahita in Iran. However, the archetype of the mother goddess was not highly compatible with the Greek pantheon, and though the Greeks had adopted the worship of Cybele and other Anatolian mother goddesses as early as the 7th century BCE, she was not directly conflated with any Greek goddesses; instead, bits and pieces of her worship and aspects were absorbed variously by Artemis, Aphrodite, and others as Eastern influence spread. As the Lady of Ephesus At Ephesus in Ionia, Turkey, her temple became one of the Seven Wonders of the World. It was probably the best-known center of her worship except for Delos. There the Lady whom the Ionians associated with Artemis through interpretatio graeca was worshipped primarily as a mother goddess, akin to the Phrygian goddess Cybele, in an ancient sanctuary where her cult image depicted the "Lady of Ephesus" adorned with multiple large beads. Excavation at the site of the Artemision in 1987–88 identified a multitude of tear-shaped amber beads that had been hung on the original wooden statue (xoanon), and these were probably carried over into later sculpted copies. In Acts of the Apostles, Ephesian metalsmiths who felt threatened by Saint Paul's preaching of Christianity, jealously rioted in her defense, shouting "Great is Artemis of the Ephesians!" Of the 121 columns of her temple, only one composite, made up of fragments, still stands as a marker of the temple's location. Symbols Bow and arrow According to one of the Homeric Hymns to Artemis, she had a golden bow and arrows, as her epithet was Khryselakatos ("she of the golden shaft") and Iokheira ("showered by arrows"). The arrows of Artemis could also bring sudden death and disease to girls and women. Artemis got her bow and arrow for the first time from the Cyclopes, as the one she asked from her father. The bow of Artemis also became the witness of Callisto's oath of her virginity. Chariots Artemis' chariot was made of gold and was pulled by four golden horned deer. The bridles of her chariot were also made of gold. Spears, nets, and lyre Although quite seldom, Artemis is sometimes portrayed with a hunting spear. Her cult in Aetolia, the Artemis Aetolian, showed her with a hunting spear. The description of Artemis' spear can be found in Ovid's Metamorphoses, while Artemis with a fishing spear connected with her cult as a patron goddess of fishing. As a goddess of maiden dances and songs, Artemis is often portrayed with a lyre in ancient art. Deer Deer were the only animals held sacred to Artemis herself. On seeing a deer larger than a bull with horns shining, she fell in love with these creatures and held them sacred. Deer were also the first animals she captured. She caught five golden horned deer and harnessed them to her chariot. The third labour of Heracles, commanded by Eurystheus, consisted of catching the Cerynitian Hind alive. Heracles begged Artemis for forgiveness and promised to return it alive. Artemis forgave him but targeted Eurystheus for her wrath. Hunting dog Artemis got her hunting dogs from Pan in the forest of Arcadia. Pan gave Artemis two black-and-white dogs, three reddish ones, and one spotted one – these dogs were able to hunt even lions. Pan also gave Artemis seven bitches of the finest Arcadian race. However, Artemis only ever brought seven dogs hunting with her at any one time. Bear The sacrifice of a bear for Artemis started with the Brauron cult. Every year a girl between five and ten years of age was sent to Artemis' temple at Brauron. The Byzantine writer Suidos relayed the legend in Arktos e Brauroniois. A bear was tamed by Artemis and introduced to the people of Athens. They touched it and played with it until one day a group of girls poked the bear until it attacked them. A brother of one of the girls killed the bear, so Artemis sent a plague in revenge. The Athenians consulted an oracle to understand how to end the plague. The oracle suggested that, in payment for the bear's blood, no Athenian virgin should be allowed to marry until she had served Artemis in her temple ('played the bear for the goddess'). Boar The boar is one of
Auschwitz prisoners: In 1933 the first political prisoners were being rounded up for an indefinite period without charges. They were held in a number of places in Germany. The slogan was first used over the gate of a "wild camp" in the city of Oranienburg, which was set up in an abandoned brewery in March 1933 (it was later rebuilt in 1936 as Sachsenhausen). It can also be seen at the Dachau, Gross-Rosen, and Theresienstadt camps, as well as at Fort Breendonk in Belgium. At the Monowitz camp (also known as Auschwitz III), the slogan was reportedly placed over the entrance gates. However, Primo Levi describes seeing the words illuminated over a doorway (as distinct from a gate). The slogan appeared at the Flossenbürg camp on the left gate post at the camp entry. The original gate posts survive in another part of the camp, but the slogan sign no longer exists. In 1938 the Austrian political cabaret writer Jura Soyfer and the composer Herbert Zipper, while prisoners at Dachau Concentration Camp, wrote the , or "The Dachau Song". They had spent weeks marching in and out of the camp's gate to daily forced labour, and considered the motto over the gate an insult. The song repeats the phrase cynically as a "lesson" taught by Dachau. In The Kingdom of Auschwitz, Otto Friedrich wrote about Rudolf Höss, regarding his decision to display the motto so prominently at the Auschwitz entrance: The signs are prominently displayed, and were seen by all prisoners and staff— all of whom knew, suspected, or quickly learned that prisoners confined there would likely only be freed by death. The signs' psychological impact was tremendous. Thefts of signs The sign over the Auschwitz I gate was stolen in December 2009 and later recovered by authorities in three pieces. Anders Högström, a Swedish neo-Nazi, and two Polish neo-Nazi men were jailed as a result. The original sign is now in storage at the Auschwitz-Birkenau State Museum and a replica was put over the gate
to a number of Nazi concentration camps. The slogan's use was implemented by (SS) officer Theodor Eicke at Dachau concentration camp and then copied by Rudolf Höss at Auschwitz. The slogan can still be seen at several sites, including over the entrance to Auschwitz I where the sign was erected by order of commandant Rudolf Höss. The Auschwitz I sign was made by prisoner-labourers including master blacksmith Jan Liwacz, and features an upside-down B, which has been interpreted as an act of defiance by the prisoners who made it. An example of ridiculing the falsity of the slogan was a popular saying used among Auschwitz prisoners: In 1933 the first political prisoners were being rounded up for an indefinite period without charges. They were held in a number of places in Germany. The slogan was first used over the gate of a "wild camp" in the city of Oranienburg, which was set up in an abandoned brewery in March 1933 (it was later rebuilt in 1936 as Sachsenhausen). It can also be seen at the Dachau, Gross-Rosen, and Theresienstadt camps, as well as at Fort Breendonk in Belgium. At the Monowitz camp (also known as Auschwitz III), the slogan was reportedly placed over the entrance gates. However, Primo Levi describes seeing the words illuminated over a doorway (as distinct from a gate). The slogan appeared at the Flossenbürg
princess Atotoztli II and her cousin, prince Tezozomoc. He was a grandson of the Emperors Moctezuma I and Itzcoatl. He was a descendant of the king Cuauhtototzin. He was a successor of Moctezuma and his brothers were Emperors Tizoc and Ahuitzotl and his sister was the Queen Chalchiuhnenetzin. He was an uncle of the Emperor Cuauhtémoc and father of Emperors Moctezuma II and Cuitláhuac. Rise to power During his youth, his military prowess gained him the favor influential figures such as Nezahualcoyotl and Tlacaelel I, and thus, upon the death of Moctezuma I in 1469, he was chosen to ascend to the throne, much to the displeasure of his two older brothers, Tizoc and Ahuitzotl. It is also important that the Great Sun Stone, also known as the Aztec Calendar, was carved under his leadership. In the year 1475 there was a major earthquake that
the favor influential figures such as Nezahualcoyotl and Tlacaelel I, and thus, upon the death of Moctezuma I in 1469, he was chosen to ascend to the throne, much to the displeasure of his two older brothers, Tizoc and Ahuitzotl. It is also important that the Great Sun Stone, also known as the Aztec Calendar, was carved under his leadership. In the year 1475 there was a major earthquake that destroyed many homes in Tenochtitlán. Military actions and death Using as a pretext the insulting behavior of a few Tlatelolcan citizens, Axayacatl invaded his neighbor, killed its ruler, Moquihuix, and replaced him with a military governor. The Tlatelolcans lost any voice they had in forming Aztec policy. Axayacatl largely dedicated his twelve-year reign to consolidating his militaristic repute: he led successful campaigns against the neighboring of Tlatelolco in 1473 (see Battle of Tlatelolco) and the Matlatzinca of the Toluca Valley in 1474, but was
and Cuauhtémoc, and one daughter. Biography Perhaps the greatest known military leader of pre-Columbian Mesoamerica, Ahuizotl began his reign by suppressing a Huastec rebellion, and then swiftly more than doubled the size of lands under Aztec dominance. He conquered the Mixtec, Zapotec, and other peoples from Pacific Coast of Mexico down to the western part of Guatemala. Ahuizotl also supervised a major rebuilding of Tenochtitlan on a grander scale including the expansion of the Great Pyramid or Templo Mayor in the year 8 Reed (1487). He presided over the introduction of the great-tailed grackle into the Valley of Mexico, the earliest documented case of human-mediated bird introduction in the Western Hemisphere. Ahuizotl died in the year 10 Rabbit (1502) and was succeeded by his nephew, Moctezuma II. Ahuizotl took his name from the animal ahuizotl, which the Aztecs considered to be a legendary creature in its own right rather than a mere mythical representation of the king. In January 2021 the INAH proposed moving the statues of Ahuizotl and Itzcóatl, known as the Indios Verdes, from the Parque del Mestizaje in Gustavo A. Madero, Mexico City to the Paseo de la Reforma. “The transfer means a reading of the urban space, recovering the historical discourse that gave rise to the formation of a set of monuments and roundabouts on Paseo de la Reforma, conceived at the end of the 19th century, with the idea of honoring the Reformation, a great
Coast of Mexico down to the western part of Guatemala. Ahuizotl also supervised a major rebuilding of Tenochtitlan on a grander scale including the expansion of the Great Pyramid or Templo Mayor in the year 8 Reed (1487). He presided over the introduction of the great-tailed grackle into the Valley of Mexico, the earliest documented case of human-mediated bird introduction in the Western Hemisphere. Ahuizotl died in the year 10 Rabbit (1502) and was succeeded by his nephew, Moctezuma II. Ahuizotl took his name from the animal ahuizotl, which the Aztecs considered to be a legendary creature in its own right rather than a mere mythical representation of the king. In January 2021 the INAH proposed moving the statues of Ahuizotl and Itzcóatl, known as the Indios Verdes, from the Parque del Mestizaje in Gustavo A. Madero, Mexico City to the Paseo de la Reforma. “The transfer means a reading of the urban space, recovering the historical discourse that gave rise to the formation of a set of monuments and roundabouts on Paseo de la Reforma, conceived at the end of the 19th century, with the idea of honoring the Reformation, a great transformation
decrease strabismus. Nystagmus-damping surgery can also be performed, to reduce the "shaking" of the eyes back and forth. The effectiveness of all these procedures varies greatly and depends on individual circumstances. Glasses, low vision aids, large-print materials, and bright angled reading lights can help individuals with albinism. Some people with albinism do well using bifocals (with a strong reading lens), prescription reading glasses, hand-held devices such as magnifiers or monoculars or wearable devices like eSight and Brainport. The condition may lead to abnormal development of the optic nerve and sunlight may damage the retina of the eye as the iris cannot filter out excess light due to a lack of pigmentation. Photophobia may be ameliorated by the use of sunglasses which filter out ultraviolet light. Some use bioptics, glasses which have small telescopes mounted on, in, or behind their regular lenses, so that they can look through either the regular lens or the telescope. Newer designs of bioptics use smaller light-weight lenses. Some US states allow the use of bioptic telescopes for driving motor vehicles. (See also NOAH bulletin "Low Vision Aids".) There are a number of national support groups across the globe which come under the umbrella of the World Albinism Alliance. Epidemiology Albinism affects people of all ethnic backgrounds; its frequency worldwide is estimated to be approximately one in 17,000. Prevalence of the different forms of albinism varies considerably by population, and is highest overall in people of sub-Saharan African descent. Today, the prevalence of albinism in sub-Saharan Africa is around 1 in 5,000, while in Europe and the US it's around 1 in 20,000 of the European derived population. Rates as high as 1 in 1,000 have been reported for some populations in Zimbabwe and other parts of Southern Africa. Certain ethnic groups and populations in isolated areas exhibit heightened susceptibility to albinism, presumably due to genetic factors. These include notably the Native American Kuna, Zuni and Hopi nations (respectively of Panama, New Mexico and Arizona); Japan, in which one particular form of albinism is unusually common ; and Ukerewe Island, the population of which shows a very high incidence of albinism. Society and culture In physical terms, humans with albinism commonly have visual problems and need sun protection. Persecution of people with albinism Humans with albinism often face social and cultural challenges (even threats), as the condition is often a source of ridicule, discrimination, or even fear and violence. It is especially socially stigmatised in many African societies. A study conducted in Nigeria on albino children stated that "they experienced alienation, avoided social interactions and were less emotionally stable. Furthermore, affected individuals were less likely to complete schooling, find employment, and find partners". Many cultures around the world have developed beliefs regarding people with albinism. In African countries such as Tanzania and Burundi, there has been an unprecedented rise in witchcraft-related killings of people with albinism in recent years, because their body parts are used in potions sold by witch doctors. Numerous authenticated incidents have occurred in Africa during the 21st century. For example, in Tanzania, in September 2009, three men were convicted of killing a 14-year-old albino boy and severing his legs in order to sell them for witchcraft purposes. Again in Tanzania and Burundi in 2010, the murder and dismemberment of a kidnapped albino child was reported from the courts, as part of a continuing problem. The US-based National Geographic Society estimated that in Tanzania a complete set of albino body parts is worth US$75,000. Another harmful and false belief is that sex with an albinistic woman will cure a man of HIV. This has led, for example in Zimbabwe, to rapes (and subsequent HIV infection). Albinism in popular culture Famous people with albinism include historical figures such as Oxford don William Archibald Spooner; actor-comedian Victor Varnado; musicians such as Johnny and Edgar Winter, Salif Keita, Winston "Yellowman" Foster, Brother Ali, Sivuca, Hermeto Pascoal, Willie "Piano Red" Perryman, Kalash Criminel; actor-rapper Krondon, and fashion models Connie Chiu, Ryan "La Burnt" Byrne and Shaun
due to light scattering within the eye (ocular straylight) Photophobia is specifically when light enters the eye, unrestrictedwith full force. It is painful and causes extreme sensitivity to light. Reduced visual acuity due to foveal hypoplasia and possibly light-induced retinal damage. Eye conditions common in albinism include: Nystagmus, irregular rapid movement of the eyes back and forth, or in circular motion. Amblyopia, decrease in acuity of one or both eyes due to poor transmission to the brain, often due to other conditions such as strabismus. Optic nerve hypoplasia, underdevelopment of the optic nerve. The improper development of the retinal pigment epithelium (RPE), which in normal eyes absorbs most of the reflected sunlight, further increases glare due to light scattering within the eye. The resulting sensitivity (photophobia) generally leads to discomfort in bright light, but this can be reduced by the use of sunglasses or brimmed hats. Genetics Oculocutaneous albinism is generally the result of the biological inheritance of genetically recessive alleles (genes) passed from both parents of an individual such as OCA1 and OCA2. A mutation in the human TRP-1 gene may result in the deregulation of melanocyte tyrosinase enzymes, a change that is hypothesized to promote brown versus black melanin synthesis, resulting in a third oculocutaneous albinism (OCA) genotype, "OCA3". Some rare forms are inherited from only one parent. There are other genetic mutations which are proven to be associated with albinism. All alterations, however, lead to changes in melanin production in the body. Some of these are associated with increased risk of skin cancer . The chance of offspring with albinism resulting from the pairing of an organism with albinism and one without albinism is low. However, because organisms (including humans) can be carriers of genes for albinism without exhibiting any traits, albinistic offspring can be produced by two non-albinistic parents. Albinism usually occurs with equal frequency in both sexes. An exception to this is ocular albinism, which it is passed on to offspring through X-linked inheritance. Thus, ocular albinism occurs more frequently in males as they have a single X and Y chromosome, unlike females, whose genetics are characterized by two X chromosomes. There are two different forms of albinism: a partial lack of the melanin is known as hypomelanism, or hypomelanosis, and the total absence of melanin is known as amelanism or amelanosis. Enzyme The enzyme defect responsible for OCA1-type albinism is tyrosine 3-monooxygenase (tyrosinase), which synthesizes melanin from the amino acid tyrosine. Evolutionary theories It is suggested that the early genus Homo (humans in the broader sense) started to evolve in East Africa around 3 million years ago. The dramatic phenotypic change from the ape-like Australopithecus to early Homo is hypothesized to have involved the extreme loss of body hair – except for areas most exposed to UV radiation, such as the head – to allow for more efficient thermoregulation in the early hunter-gatherers. The skin that would have been exposed upon general body hair loss in these early proto-humans would have most likely been non-pigmented, reflecting the pale skin underlying the hair of our chimpanzee relatives. A positive advantage would have been conferred to early hominids inhabiting the African continent that were capable of producing darker skin – those who first expressed the eumelanin-producing MC1R allele – which protected them from harmful epithelium-damaging ultraviolet rays. Over time, the advantage conferred to those with darker skin may have led to the prevalence of darker skin on the continent. The positive advantage, however, would have had to be strong enough so as to produce a significantly higher reproductive fitness in those who produced more melanin. The cause of a selective pressure strong enough to cause this shift is an area of much debate. Some hypotheses include the existence of significantly lower reproductive fitness in people with less melanin due to lethal skin cancer, lethal kidney disease due to excess vitamin D formation in the skin of people with less melanin, or simply natural selection due to mate preference and sexual selection. When comparing the prevalence of albinism in Africa to its prevalence in other parts of the world, such as Europe and the United States, the potential evolutionary effects of skin cancer as a selective force due to its effect on these populations may not be insignificant. It would follow, then, that there would be stronger selective forces acting on albino individuals in Africa than on albinos in Europe and the US. In two separate studies in Nigeria, very few people with albinism appear to survive to old age. One study found that 89% of people diagnosed with albinism are between 0 and 30 years of age, while the other found that 77% of albinos were under the age of 20. Diagnosis Genetic testing can confirm albinism and what variety it is, but offers no medical benefits, except in the case of non-OCA disorders. Such disorders cause other medical problems in conjunction with albinism, and may be treatable. Genetic tests are currently available for parents who want to find out if they are carriers of ty-neg albinism. Diagnosis of albinism involves carefully examining a person's eyes, skin and hairs. Genealogical analysis can also help. Management Since there is no cure for albinism, it is managed through lifestyle adjustments. People with albinism need to take care not to get sunburnt and should have regular healthy skin checks by a dermatologist. For the most part, treatment of the eye conditions consists of visual rehabilitation. Surgery is possible on the extra-ocular muscles to decrease strabismus. Nystagmus-damping surgery can also be performed, to reduce the "shaking" of the eyes back and forth. The effectiveness of all these procedures varies greatly and depends on individual circumstances. Glasses, low vision aids, large-print materials, and bright angled reading lights can help individuals with albinism. Some people with albinism do well using bifocals (with a strong reading lens), prescription reading glasses, hand-held devices such as magnifiers
35th album, Sahran, which included 16 songs. Musical style Diab is known as the "father of Mediterranean music". David Cooper and Kevin Dawe refer to his music as "the new breed of Mediterranean music". According to author Michael Frishkopf, Diab has produced a new concept of Mediterranean music, especially with his international hit, "Nour El Ain". Moreover, Diab is known as a composer, having composed more than 97 of his own songs. Music videos Diab is one of the first singers to popularize music videos in the whole MENA region and is the first Egyptian singer to appear in music videos. Film career Diab's fame in the music industry has led him to experiment with other forms of media, such as film. Amr played himself in his first film, El Afareet, which was released in 1989. It also starred Madiha Kamel. His second film Ice Cream in Gleam (Ays Krim fi Glym), in which Diab starred in 1992, was chosen as one of the best five Egyptian musical films by the UCLA School of Theater, Film and Television. The film was featured in the UCLA Film and Television Archive's new program "Music on the Nile: Fifty Years of Egyptian Musical Films" at James Bridges Theater at UCLA on 6, 8 and 10 April 1999. David Chute of the Los Angeles Weekly termed it "observant" and "a big leap". His third movie was released in 1993, and was named Deahk We La'ab (Laughter and Fun). The film premiered in the Egyptian Film Festival in 1993. Amr played alongside international Egyptian movie star Omar Sharif (Lawrence of Arabia, Doctor Zhivago) and Yousra. Overall, Diab did not experience the same level of success in film that he had with his music career. Since 1993, Diab has focused on his singing career. Amr Diab in movies Amr Diab's songs have been used in several films, including: "Wala Ala Baloh" in Divine Intervention (2002) "Awedouni" in The Dancer Upstairs (2002) "El Alem Alah" and "Nour El Ain" in O Clone (2001) "Nafs El Makan" in Double Whammy (2001) "Tamally Ma'ak" and "Nour El Ain" in the French movie, Coco (2009) "Wala Ala Baloh" in The Dictator (2012) Egyptian Revolution During the 2011 uprising, some protesters criticized Diab for staying silent, and for fleeing Egypt for London. A few days after former President Hosni Mubarak stepped down, Amr Diab composed and sang a memorial song, "Masr A'let" (Egypt Said), and released it in conjunction with a music video showing pictures of the martyrs who died in the uprising. He initiated a charity campaign "Masry Begad" ("Truly Egyptian"). His online radio station Diab FM often presents talks and discussions about what the Diab FM team can offer to the community as well as applying it practically by being present in different sites across Egypt with a new humanitarian project each week. Personal life Diab has an elder daughter from his first marriage to Egyptian actress Shereen Reda. In 1994, he was married to Saudi businesswoman Zeina Ashour. They have three children. In 2018, he went on to marry another Egyptian actress, Dina El Sherbiny, after his relationship with Ashour ended. It is unknown whether they were separated or divorced. However, Diab and El Sherbiny separated in late 2020. Discography Main studio albums Famous songs Awards He has been awarded the World Music Award for Best Selling Middle Eastern Artist four times: 1996 for album Nour El Ain, 2001 for album Akter Wahed, 2007 for album El Lillady and 2013 for El Leila album. He has also won (Best Egyptian Artist, Best Male Arab Artist and World's Best Arab Male Artist Voted Online) at the World Music Awards 2014. Amr Diab is the only Middle Eastern artist to have received 7 World Music Awards. Five of his albums reached the top 10 of Billboard's
In February 2011, Amr Diab released his hit single Masr Allet ("Egypt spoke"), followed by the release of his album Banadeek Taala in September, produced by Rotana. In 2012, Diab hosted the first Google Hangout in the Middle East during his performance in Dubai. In October 2014, Amr Diab released his album Shoft El Ayam, which topped his last album El Leila and again became the best-selling album in Egypt on iTunes. In July 2015, Amr Diab released a music video for his song "Gamalo" from his album Shoft El Ayam. In March 2016, he released Ahla w Ahla, his first album since he left Rotana Music. The album was produced by a record label known as "Nay For Media". His new album Maadi el Nas was released in July 2017 with "Nay Records". In October 2018, he released a new album called Kol Hayaty. In 2019, he released a mini-album, Ana Gheir, and in February 2020 he released his 35th album, Sahran, which included 16 songs. Musical style Diab is known as the "father of Mediterranean music". David Cooper and Kevin Dawe refer to his music as "the new breed of Mediterranean music". According to author Michael Frishkopf, Diab has produced a new concept of Mediterranean music, especially with his international hit, "Nour El Ain". Moreover, Diab is known as a composer, having composed more than 97 of his own songs. Music videos Diab is one of the first singers to popularize music videos in the whole MENA region and is the first Egyptian singer to appear in music videos. Film career Diab's fame in the music industry has led him to experiment with other forms of media, such as film. Amr played himself in his first film, El Afareet, which was released in 1989. It also starred Madiha Kamel. His second film Ice Cream in Gleam (Ays Krim fi Glym), in which Diab starred in 1992, was chosen as one of the best five Egyptian musical films by the UCLA School of Theater, Film and Television. The film was featured in the UCLA Film and Television Archive's new program "Music on the Nile: Fifty Years of Egyptian Musical Films" at James Bridges Theater at UCLA on 6, 8 and 10 April 1999. David Chute of the Los Angeles Weekly termed it "observant" and "a big leap". His third movie was released in 1993, and was named Deahk We La'ab (Laughter and Fun). The film premiered in the Egyptian Film Festival in 1993. Amr played alongside international Egyptian movie star Omar Sharif (Lawrence of Arabia, Doctor Zhivago) and Yousra. Overall, Diab did not experience the same level of success in film that he had with his music career. Since 1993, Diab has focused on his singing career. Amr Diab in movies Amr Diab's songs have been used in several films, including: "Wala Ala Baloh" in Divine Intervention (2002) "Awedouni" in The Dancer Upstairs (2002) "El Alem Alah" and "Nour El Ain" in O Clone (2001) "Nafs El Makan" in Double Whammy (2001) "Tamally Ma'ak" and "Nour El Ain" in the French movie, Coco (2009) "Wala Ala Baloh" in The Dictator (2012) Egyptian Revolution During the 2011 uprising, some protesters criticized Diab for staying silent, and for
who were heard on Teenage Mutant Ninja Turtles: The Original Motion Picture Soundtrack. However, the first major pop rapper from Belgium was Benny B, who had a very mainstream and commercial sound. According to the European Music Office's report on Music in Europe, this was the first of many pop acts that helped inspire a backlash and the creation of an underground hip hop scene. Also in the late 1980s in the Walloon south of the country, French speaking/rapping Starflam was
Office's report on Music in Europe, this was the first of many pop acts that helped inspire a backlash and the creation of an underground hip hop scene. Also in the late 1980s in the Walloon south of the country, French speaking/rapping Starflam was the biggest name in hip hop. In the Flemish north Dutch speaking/rapping groups like 't Hof van Commerce, Krapoel In Axe, St Andries MC's, and ABN were popular, rapping in their regional dialects. Today, the Belgian hip hop scene is growing. Rappers like Coely, Roméo Elvis and Damso are achieving commercial success in their country and abroad. Other contemporary rappers/formations are Stikstof, Woodie Smalls, L'Or Du Commun and Isha. To
Bee or Capella, but also was featuring well known production teams like Snap (I Got the Power). This teamwork resulted in the single Lets Get Busy (Clubland Quarts feat Snap King Bee). This record ended up No. 1 in the Billboard Dance Charts (United States). Other productions in this line were Deepzone "It's Gonna Be All right", Kellee- my love, Ty Holden- you're my Inspiration and His Royal Freshness- They don't understand. 1990s Urban Dance Squad was a Dutch rap rock band formed after a jam-session at a festival in Utrecht in 1986, including rapper/vocalist Rudeboy Remington and DJ DNA (DoNotAsk). The band's music is described as a blend of genres, including hard rock, funk, soul, hip hop, reggae, jazz and ska and is compared with Living Colour, Red Hot Chili Peppers and Fishbone. They are still known for their hit single Deeper Shade of Soul, which charted at number 21 in the United States on Billboard Hot 100. In 1992, Osdorp Posse released their debut album Osdorp Stijl, making the first-ever Dutch language hip hop album. They started out translating N.W.A songs to Dutch, though later wrote their own rhymes in Dutch. Their beats, created by producer Seda on Amiga 500 with Protracker, have a familiar heavy sound and are similar to U.S. old-school hip hop. Frontman Def-P describes it as hardcore rap. After the Osdorp Posse's first demo cassette, they toured around the Netherlands. In Deventer they found their first following, and the first Dutch language hip hop scene. The first hip hop groups after Osdorp Posse were Zuid-Oost Posse and Maasstraat Mannen. These groups performed all across the Netherlands. Maasstraat became famous as the first group combining reggae with Dutch lyrics, inspiring acts like Postmen, for example. Rapper Extince, in 1995, took Dutch-language Nederhop to a new commercial level and audience. With two of his singles: Spraakwater and Kaal of Kammen becoming major hits in the mid-1990s, Extince was the first Dutch-language rapper to make the mainstream pop charts in the country. Spraakwater marked nothing short of a watershed, being not only the first Dutch rap to break in to the main Dutch Top 40 at all, but also making it into the top-10 – for mainstream radio listeners practically out of nowhere. There were then two styles dominating the Dutch hip hop landscape: Extince combined easy flows and funky tunes into catchy songs full of references and metaphoric imagery, while hardcore performers like Westklan and Osdorp Posse marked their niche with more angry rhymes and harsh beats. A mix of these two styles gave birth to the Spookrijders, a three-man hip-hop group founded in 1996. With MCs Stefan and Clyde rapping about their personal lives and life in Amsterdam as a black man, the Spookrijders even gained respect from non-hip-hop musicians and fans. Most people admired the work of producer/DJ Cliff 'the Jazz' Nille after releasing Spookrijders debut album De Echte Shit ("The Real Shit"). In 1999, Spookrijders hit the charts twice with the hits "Klokkenluiders" and "Ik ben de man." Both these songs appeared on the second album, Klokkenluiders van Amsterdam. After some personal arguments among the three crewmembers, Spookrijders split up in 2003, after releasing a third and final album Hey... Spookies!! In 1999 The Postmen released their rap/reggae mix De Bom ("The Bom"), a top three hit-single. They were active across Europe from 1998–2003. 2000s From 2000 onward, Dutch language hiphop grew considerably, both in number of artists, as well as in popularity, both underground and mainstream. In the early 2000s the MC fronted band Relax got much airplay, mainly impressing with their albums. Since 2002, they released four albums, the first three of which made the Dutch album top 40. Def Rhymz, Spookrijders & Brainpower helped develop the art. Def Rhymz & Brainpower dropped multiple hit records. Described by Ali B. as "..a white library boy with glasses..", Brainpower made Dutch rapping accessible to a much greater demographic. With at least eight Top 100 album/EP projects Brainpower is one of the most successful Dutch MC's ever and remains a prolific bilingual lyricist (in Dutch & in English) to this day. From the late 1990s, a flourishing underground scene in provincial town Zwolle included rappers Blaxtar, Jawat!, and Kubus, and centered around the group Opgezwolle. Formed in 1998 by rappers Sticky Steez and Phreaco Rico, together with DJ Delic, the band Opgezwolle (punning their town's name into "Swollen"), was a group making raw hiphop. They released three successful albums, in 2001, 2003, and 2006. Eigen Wereld ("Own World"), from 2006, achieved the highest notation of any Dutch-language rap album until then in the Dutch Album Top 100, reaching top 4. In the same year, rapper Typhoon, also from Zwolle, and inspired by aforementioned peer Blaxtar, released his philosophical debut album Tussen Licht en Lucht ("Between Light and Air"). The successes of the Zwolle rappers crop boosted other Dutch artists' confidence and inspired them to be proud of their origins – whether local, foreign, or mixed. Rapper Typhoon pointed out, that band names of trailblazers like 'Osdorp Posse' and 'Opgezwolle' refer to their origins (Amsterdam Osdorp and Zwolle) for an important reason, and tied this to the shift from rapping in English to Dutch, making it more relatable and resonant with the audience. Instead of hard and angry, some 2000s releases stood out fragile and sensitive, for instance the single Je moest waarschijnlijk gaan ("I Guess You Had to Go"; 2001) by
Billboard Hot 100. In 1992, Osdorp Posse released their debut album Osdorp Stijl, making the first-ever Dutch language hip hop album. They started out translating N.W.A songs to Dutch, though later wrote their own rhymes in Dutch. Their beats, created by producer Seda on Amiga 500 with Protracker, have a familiar heavy sound and are similar to U.S. old-school hip hop. Frontman Def-P describes it as hardcore rap. After the Osdorp Posse's first demo cassette, they toured around the Netherlands. In Deventer they found their first following, and the first Dutch language hip hop scene. The first hip hop groups after Osdorp Posse were Zuid-Oost Posse and Maasstraat Mannen. These groups performed all across the Netherlands. Maasstraat became famous as the first group combining reggae with Dutch lyrics, inspiring acts like Postmen, for example. Rapper Extince, in 1995, took Dutch-language Nederhop to a new commercial level and audience. With two of his singles: Spraakwater and Kaal of Kammen becoming major hits in the mid-1990s, Extince was the first Dutch-language rapper to make the mainstream pop charts in the country. Spraakwater marked nothing short of a watershed, being not only the first Dutch rap to break in to the main Dutch Top 40 at all, but also making it into the top-10 – for mainstream radio listeners practically out of nowhere. There were then two styles dominating the Dutch hip hop landscape: Extince combined easy flows and funky tunes into catchy songs full of references and metaphoric imagery, while hardcore performers like Westklan and Osdorp Posse marked their niche with more angry rhymes and harsh beats. A mix of these two styles gave birth to the Spookrijders, a three-man hip-hop group founded in 1996. With MCs Stefan and Clyde rapping about their personal lives and life in Amsterdam as a black man, the Spookrijders even gained respect from non-hip-hop musicians and fans. Most people admired the work of producer/DJ Cliff 'the Jazz' Nille after releasing Spookrijders debut album De Echte Shit ("The Real Shit"). In 1999, Spookrijders hit the charts twice with the hits "Klokkenluiders" and "Ik ben de man." Both these songs appeared on the second album, Klokkenluiders van Amsterdam. After some personal arguments among the three crewmembers, Spookrijders split up in 2003, after releasing a third and final album Hey... Spookies!! In 1999 The Postmen released their rap/reggae mix De Bom ("The Bom"), a top three hit-single. They were active across Europe from 1998–2003. 2000s From 2000 onward, Dutch language hiphop grew considerably, both in number of artists, as well as in popularity, both underground and mainstream. In the early 2000s the MC fronted band Relax got much airplay, mainly impressing with their albums. Since 2002, they released four albums, the first three of which made the Dutch album top 40. Def Rhymz, Spookrijders & Brainpower helped develop the art. Def Rhymz & Brainpower dropped multiple hit records. Described by Ali B. as "..a white library boy with glasses..", Brainpower made Dutch rapping accessible to a much greater demographic. With at least eight Top 100 album/EP projects Brainpower is one of the most successful Dutch MC's ever and remains a prolific bilingual lyricist (in Dutch & in English) to this day. From the late 1990s, a flourishing underground scene in provincial town Zwolle included rappers Blaxtar, Jawat!, and Kubus, and centered around the group Opgezwolle. Formed in 1998 by rappers Sticky Steez and Phreaco Rico, together with DJ Delic, the band Opgezwolle (punning their town's name into "Swollen"), was a group making raw hiphop. They released three successful albums, in 2001, 2003, and 2006. Eigen Wereld ("Own World"), from 2006, achieved the highest notation of any Dutch-language rap album until then in the Dutch Album Top 100, reaching top 4. In the same year, rapper Typhoon, also from Zwolle, and inspired by aforementioned peer Blaxtar, released his philosophical debut album Tussen Licht en Lucht ("Between Light and Air"). The successes of the Zwolle rappers crop boosted other Dutch artists' confidence and inspired them to be proud of their origins – whether local, foreign, or mixed. Rapper Typhoon pointed out, that band names of trailblazers like 'Osdorp Posse' and 'Opgezwolle' refer to their origins (Amsterdam Osdorp and Zwolle) for an important reason, and tied this to the shift from rapping in English to Dutch, making it more relatable and resonant with the audience. Instead of hard and angry, some 2000s releases stood out fragile and sensitive, for instance the single Je moest waarschijnlijk gaan ("I Guess You Had to Go"; 2001) by Brainpower, mourned the loss of his best friend; and the raps of Typhoon are called some of the most poetic. Opgezwolle split up in 2007, but members Rico & Sticks formed a new group: Fakkelbrigade, with Typhoon, Mick 2dope Murray, MC James and beatmaker A.R.T. In 2009, they released the critically acclaimed album Colucci Era. From 2003 through 2006, Lange Frans & Baas B had four top-three hits in the Dutch Top 40, beside three more listings. Zinloos, a sad commentary on senseless violence ("Zinloos Geweld"), and their patriotic yet introspective Het Land van .. ("The Land of..") gave the duo two number-1 hits, in 2004 and 2005 respectively. In the mid-2000s Cilvaringz, Ali B. and Raymzter were also commercially successful. Ali B featured on other artists' tracks, most significantly with Marco Borsato on the song "Wat zou je doen?" for the charity War Child. He first achieved solo success with "Ik ben je zat", featuring Brace, in 2003. Together with music artist Akon, and Ali's cousin Yes-R, Ali B made an internationally successful remix of Akon's track Ghetto, including additional Dutch lyrics. Yes-R had six Dutch Top 40 hits from 2006–2012, including his debut single. Ali B. has sofar had fourteen Top 40 hit singles since 2003, including several top three listings. In 2005, De Jeugd van Tegenwoordig ("Kids These Days") were successful with Watskeburt?! ("Wuzhappenin?!"). Rapper Jawat won the "Grote Prijs van Nederland" 2006.
her death. Her journals, many of which were published during her lifetime, detail her private thoughts and personal relationships. Her journals also describe her marriages to Hugh Parker Guiler and Rupert Pole, in addition to her numerous affairs, including those with psychoanalyst Otto Rank and writer Henry Miller, both of whom profoundly influenced Nin and her writing. In addition to her journals, Nin wrote several novels, critical studies, essays, short stories, and volumes of erotica. Much of her work, including the collections of erotica Delta of Venus and Little Birds, was published posthumously amid renewed critical interest in her life and work. Nin spent her later life in Los Angeles, California, where she died of cervical cancer in 1977. Early life Anaïs Nin was born in Neuilly, France, to Joaquín Nin, a Cuban pianist and composer of Catalan descent, and Rosa Culmell, a classically trained Cuban singer of French descent. Her father's grandfather had fled France during the Revolution, going first to Saint-Domingue, then New Orleans, and finally to Cuba where he helped build that country's first railway. Nin was raised a Roman Catholic but left the church when she was 16 years old. She spent her childhood and early life in Europe. Her parents separated when she was two; her mother then moved Anaïs and her two brothers, Thorvald Nin and Joaquín Nin-Culmell, to Barcelona, and then to New York City, where she attended high school. Nin would drop out of high school in 1919 at age sixteen, and according to her diaries, Volume One, 1931–1934, later began working as an artist's model. After being in the United States for several years, Nin had forgotten how to speak Spanish, but retained her French and became fluent in English. On March 3, 1923, in Havana, Cuba, Nin married her first husband, Hugh Parker Guiler (1898–1985), a banker and artist, later known as "Ian Hugo" when he became a maker of experimental films in the late 1940s. The couple moved to Paris the following year, where Guiler pursued his banking career and Nin began to pursue her interest in writing; in her diaries she also mentions having trained as a flamenco dancer in Paris in the mid-to-late 1920s with Francisco Miralles Arnau. Her first published work was a critical 1932 evaluation of D. H. Lawrence called D. H. Lawrence: An Unprofessional Study, which she wrote in sixteen days. Nin became profoundly interested in psychoanalysis and would study it extensively, first with René Allendy in 1932 and then with Otto Rank. Both men eventually became her lovers, as she recounts in her Journal. On her second visit to Rank, Nin reflects on her desire to be reborn as a woman and artist. Rank, she observes, helped her move back and forth between what she could verbalize in her journals and what remained unarticulated. She discovered the quality and depth of her feelings in the wordless transitions between what she could say and what she could not say. "As he talked, I thought of my difficulties with writing, my struggles to articulate feelings not easily expressed. Of my struggles to find a language for intuition, feeling, instincts which are, in themselves, elusive, subtle, and wordless." In the late summer of 1939, when residents from overseas were urged to leave France due to the approaching war, Nin left Paris and returned to New York City with her husband (Guiler, who was, according to his own wishes, edited out of the diaries published during Nin's lifetime; his role in her life is therefore difficult to gauge). During the war, Nin sent her books to Frances Steloff of the Gotham Book Mart in New York for safekeeping. In New York, Anaïs rejoined Otto Rank, who had previously moved there, and moved into his apartment. She actually began to act as a psychoanalyst herself, seeing patients in the room next to Rank's. She quit after several months, however, stating: "I found that I wasn't good because I wasn't objective. I was haunted by my patients. I wanted to intercede." It was in New York that she met the Japanese-American modernist photographer Soichi Sunami, who went on to photograph her for many of her books. Literary career Journals Nin's most studied works are her diaries or journals, which she began writing in her adolescence. The published journals, which span several decades from 1933 onward, provide a deeply explorative insight into her personal life and relationships. Nin was acquainted, often quite intimately, with a number of prominent authors, artists, psychoanalysts, and other figures, and wrote of them often, especially Otto Rank. Moreover, as a female author describing a primarily masculine constellation of celebrities, Nin's journals have acquired importance as a counterbalancing perspective. In the third volume of her unexpurgated journal, Incest, she wrote about her father candidly and graphically (207–15), detailing her adult sexual relationship with him. Previously unpublished works are coming to light in A Café in Space, the Anaïs Nin Literary Journal, which includes "Anaïs Nin and Joaquín Nin y Castellanos: Prelude to a Symphony—Letters between a father and daughter". So far sixteen volumes of her journals have been published. All but the last five of her adult journals are in expurgated form. Erotic writings Nin is hailed by many critics as one of the finest writers of female erotica. She was one of the first women known to explore fully the realm of erotic writing, and certainly the first prominent woman in the modern West known to write erotica. Before her, erotica acknowledged to be written by women was rare, with a few notable exceptions, such as the work of Kate Chopin. Nin often cited authors Djuna Barnes and D. H. Lawrence as inspirations, and
him to live in California. Guiler remained in New York City and was unaware of Nin's second marriage until after her death in 1977, though biographer Deirdre Bair alleges that Guiler knew what was happening while Nin was in California, but consciously "chose not to know". Nin referred to her simultaneous marriages as her "bicoastal trapeze". According to Deidre Bair: In 1966, Nin had her marriage with Pole annulled, due to the legal issues arising from both Guiler and Pole trying to claim her as a dependent on their federal tax returns. Though the marriage was annulled, Nin and Pole continued to live together as if they were married, up until her death in 1977. According to Barbara Kraft, prior to her death Anaïs had written to Hugh Guiler asking for his forgiveness. He responded by writing how meaningful his life had been because of her. After Guiler's death in 1985, the unexpurgated versions of her journals were commissioned by Pole. Six volumes have appeared (Henry and June, Fire, Incest, Nearer the Moon, Mirages, and Trapeze). Pole arranged for Guiler's ashes to be scattered in the same area where Anaïs's ashes were scattered, a place called Mermaid Cove off the Pacific coast. Pole died in July 2006. Nin once worked at Lawrence R. Maxwell Books, located at 45 Christopher Street in New York City. In addition to her work as a writer, Nin appeared in the Kenneth Anger film Inauguration of the Pleasure Dome (1954) as Astarte; in the Maya Deren film Ritual in Transfigured Time (1946); and in Bells of Atlantis (1952), a film directed by Guiler under the name "Ian Hugo" with a soundtrack of electronic music by Louis and Bebe Barron. In her later life, Nin worked as a tutor at the International College in Los Angeles. Death Nin was diagnosed with cervical cancer in 1974. She battled the cancer for several years as it metastasized, and underwent numerous surgeries, radiation, and chemotherapy. Nin died of the cancer at Cedars-Sinai Medical Center in Los Angeles, California, on January 14, 1977. Her body was cremated, and her ashes were scattered over Santa Monica Bay in Mermaid Cove. Her first husband, Hugh Guiler, died in 1985, and his ashes were scattered in the cove as well. Rupert Pole was named Nin's literary executor, and he arranged to have new, unexpurgated editions of Nin's books and diaries published between 1985 and his death in 2006. Large portions of the diaries are still available only in the expurgated form. The originals are located in the UCLA Library. Legacy The explosion of the feminist movement in the 1960s gave feminist perspectives on Nin's writings of the past twenty years, which made Nin a popular lecturer at various universities; contrarily, Nin disassociated herself from the political activism of the movement. In 1973, prior to her death, Nin received an honorary doctorate from the Philadelphia College of Art. She was also elected to the United States National Institute of Arts and Letters in 1974, and in 1976 was presented with a Los Angeles Times Woman of the Year award. Philip Kaufman directed the 1990 film Henry & June based on Nin's diaries published as Henry and June: From the Unexpurgated Diary of Anaïs Nin. She was portrayed in the film by actress Maria de Medeiros. Nin's work directly inspired Madonna when writing the text of her photo book Sex in 1992. In February 2008, poet Steven Reigns organized Anaïs Nin at 105 at the Hammer Museum in Westwood, Los Angeles. Reigns said: "Nin bonded and formed very deep friendships with women and men decades younger than her. Some of them are still living in Los Angeles and I thought it'd be wonderful to have them share their experiences with [Nin]." Bebe Barron, electronic music pioneer and longtime friend of Nin, made her last public appearance at this event. Reigns also published an essay refuting Bern Porter's claims of a sexual relationship with Nin in the 1930s. Cuban-American writer Daína Chaviano paid homage to Anaïs Nin and Henry Miller in her novel Gata encerrada (2001), where both characters are portraited as disembodied spirits whose previous lives they shared with Melisa, the main character—and presumably Chaviano's alter ego--, a young Cuban obsessed with Anaïs Nin. The Cuban poet and novelist Wendy Guerra, long fascinated with Nin's life and works, published a fictional diary in Nin's voice, Posar desnuda en la Habana (Posing Nude in Havana) in 2012. She explained that "[Nin's] Cuban Diary has very few pages and my delirium was always to write an apocryphal novel; literary conjecture about what might have happened". On September 27, 2013, screenwriter and author Kim Krizan published an article in The Huffington Post revealing she had found a previously unpublished love letter written by Gore Vidal to Nin. This letter contradicts Gore Vidal's previous characterization of his relationship with Nin, showing that Vidal did have feelings for Nin that he later heavily disavowed in his autobiography, Palimpsest. Krizan did this research in the run up to the release of the fifth volume of Anaïs Nin's uncensored diary, Mirages, for which Krizan provided the foreword. In 2019, Kim Krizan published Spy in the House of Anaïs Nin, an examination of long-buried letters, papers, and original manuscripts Krizan found while doing archival work in Nin's Los Angeles home. Bibliography Journals and letters The Early Diary of Anaïs Nin (1914–1931), in four volumes The Diary of Anaïs Nin, in seven volumes, edited by herself Henry and June: From A Journal of Love. The Unexpurgated Diary of Anaïs Nin (1931–1932) (1986), edited by Rupert Pole after her death A Literate Passion: Letters of Anaïs Nin & Henry Miller (1987) Incest: From a Journal of Love (1992) Fire: From A Journal of Love (1995) Nearer the Moon: From A Journal of Love (1996) Mirages: The Unexpurgated Diary of Anaïs Nin, 1939–1947 (2013) Trapeze: The Unexpurgated Diary of Anaïs Nin, 1947–1955 (2017) Fiction Novels House of Incest (1936) Winter of Artifice (1939) Cities of the Interior (1959), in five volumes: Ladders to Fire Children of the Albatross The Four-Chambered Heart A Spy in the House of Love Seduction of the Minotaur, originally published as Solar Barque (1958). Collages (1964) Short stories Waste of Timelessness: And Other Early Stories (written before 1932, published posthumously) Under a Glass Bell (1944) Delta of Venus (1977) Little Birds (1979) Auletris (2016) Non-fiction D. H. Lawrence: An Unprofessional Study (1932) The Novel of the Future (1968) In Favor of the Sensitive Man (1976) Filmography Ritual in Transfigured Time (1946): Short film, dir. Maya Deren Bells of Atlantis (1952): Short film, dir. Ian Hugo Inauguration of the Pleasure Dome (1954): Short film, dir. Kenneth Anger Anais Nin Observed (1974): Documentary, dir. Robert Snyder See also Henry & June List of Cuban American writers List of Cuban Americans Otto Rank Citations Works cited Further reading Lili Bita, "Anais Nin". EI Magazine of European Art Center (EUARCE), Is. 7/1994 pp. 9, 24–30 External links The Official Anaïs Nin Blog Sky Blue Press Preserving and promoting her literary work. Anaïs Nin.com Thinking of Anaïs Nin Anaïs Nin Foundation Contact the Anaïs Nin estate for rights and permissions requests Anaïs Nin: 82nd Avenue Ian Hugo (Nin's husband) Anaïs Nin Letters, 1932–1946 at Southern Illinois University Carbondale, Special Collections Research Center Anaïs Nin video text 1903 births 1977 deaths 20th-century American non-fiction writers 20th-century American women writers 20th-century diarists 20th-century French essayists American diarists American people of Catalan descent American writers of Cuban descent American people of Danish descent Analysands of Otto Rank Analysands of René Allendy Burials at sea Burials in California Bisexual women Bisexual writers Deaths from cancer in California Deaths from cervical cancer Former Roman Catholics French emigrants to the United States French erotica writers French novelists French people of Cuban descent French people of Catalan descent French people of Danish descent French short story writers People from Neuilly-sur-Seine People
Complex editor called it a "symbol of America". In April 2015, the Running Man was officially featured in the Virgin London Marathon, dressed by a person for the AOL-partnered Free The Children charity. Protocol The standard protocol that AIM clients used to communicate is called Open System for CommunicAtion in Realtime (OSCAR). Most AOL-produced versions of AIM and popular third party AIM clients use this protocol. However, AOL also created a simpler protocol called TOC that lacks many of OSCAR's features, but was sometimes used for clients that only require basic chat functionality. The TOC/TOC2 protocol specifications were made available by AOL, while OSCAR is a closed protocol that third parties had to reverse-engineer. In January 2008, AOL introduced experimental Extensible Messaging and Presence Protocol (XMPP) support for AIM, allowing AIM users to communicate using the standardized, open-source XMPP. However, in March 2008, this service was discontinued. In May 2011, AOL started offering limited XMPP support. On March 1, 2017, AOL announced (via XMPP-login-time messages) that the AOL XMPP gateway would be desupported, effective March 28, 2017. Privacy For privacy regulations, AIM had strict age restrictions. AIM accounts are available only for people over the age of 13; children younger than that were not permitted access to AIM. Under the AIM Privacy Policy, AOL had no rights to read or monitor any private communications between users. The profile of the user had no privacy. In November 2002, AOL targeted the corporate industry with Enterprise AIM Services (EAS), a higher security version of AIM. If public content was accessed, it could be used for online, print or broadcast advertising, etc. This was outlined in the policy and terms of service: "... you grant AOL, its parent, affiliates, subsidiaries, assigns, agents and licensees the irrevocable, perpetual, worldwide right to reproduce, display, perform, distribute, adapt and promote this Content in any medium". This allowed anything users posted to be used without a separate request for permission. AIM's security was called into question. AOL stated that it had taken great pains to ensure that personal information will not be accessed by unauthorized members, but that it cannot guarantee that it will not happen. AIM was different from other clients, such as Yahoo! Messenger, in that it did not require approval from users to be added to other users' buddy lists. As a result, it was possible for users to keep other unsuspecting users on their buddy list to see when they were online, read their status and away messages, and read their profiles. There was also a Web API to display one's status and away message as a widget on one's webpage. Though one could block a user from communicating with them and seeing their status, this did not prevent that user from creating a new account that would not automatically be blocked and therefore able to track their status. A more conservative privacy option was to select a menu feature that only allowed communication with users on one's buddy list; however, this option also created the side-effect of blocking all users who were not on one's buddy list. Chat robots AOL and various other companies supplied robots (bots) on AIM that could receive messages and send a response based on the bot's purpose. For example, bots could help with studying, like StudyBuddy. Some were made to relate to children and teenagers, like Spleak. Others gave advice. The more useful chat bots had features like the ability to play games, get sport scores, weather forecasts or financial stock information. Users were able to talk to automated chat bots that could respond to natural human language. They were primarily put into place as a marketing strategy and for unique advertising options. It was used by advertisers to market products or build better consumer relations. Before the inclusions of such bots, the other bots DoorManBot and AIMOffline provided features that were provided by AOL for those who needed it. ZolaOnAOL and ZoeOnAOL were short-lived bots that ultimately retired their features in favor of SmarterChild. URI scheme AOL Instant Messenger's installation process automatically installed an extra URI scheme ("protocol") handler into some Web browsers, so URIs beginning "aim:" could open a new AIM window with specified parameters. This was similar in function to the mailto: URI scheme, which created a new e-mail message using the system's default mail program. For instance, a webpage might have included a link like the following in its HTML source to open a window for sending a message to the AIM user notarealuser: <a href="aim:goim?screenname=notarealuser">Send Message</a> To specify a message body, the message parameter was used, so the link location would have looked like this: aim:goim?screenname=notarealuser&message=This+is+my+message To specify an away message, the message parameter was used, so the link location would have looked like this: aim:goaway?message=Hello,+my+name+is+Bill When placing this inside a URL link, an AIM user could click on the URL link and the away message "Hello, my name is Bill" would instantly become their away message. To add a buddy, the addbuddy message was used, with the "screenname" parameter aim:addbuddy?screenname=notarealuser This type of link was commonly found on forum profiles to easily add contacts. Vulnerabilities AIM had security weaknesses that have enabled exploits to be created that used third-party software to perform malicious acts on users' computers. Although most were relatively harmless, such as being kicked off the AIM service, others performed potentially dangerous actions, such as sending viruses. Some of these exploits relied on social engineering to spread by automatically sending instant messages that contained a Uniform Resource Locator (URL)
throughout a day or leaving a message up with one's computer left on to inform buddies of their ongoings, location, parties, thoughts, or jokes. AIM's popularity declined as AOL subscribers started decreasing and steeply towards the 2010s, as Gmail's Google Talk, SMS, and Internet social networks, like Facebook gained popularity. Its fall has often been compared with other once-popular Internet services, such as Myspace. In June 2015, AOL was acquired by Verizon Communications. In June 2017, Verizon combined AOL and Yahoo into its subsidiary Oath Inc. (now called Yahoo). The company discontinued AIM as a service on December 15, 2017. History In May 1997, AIM was released unceremoniously as a stand-alone download for Microsoft Windows. AIM was an outgrowth of "online messages" in the original platform written in PL/1 on a Stratus computer by Dave Brown. At one time, the software had the largest share of the instant messaging market in North America, especially in the United States (with 52% of the total reported ). This does not include other instant messaging software related to or developed by AOL, such as ICQ and iChat. During its heyday, its main competitors were ICQ (although AOL acquired ICQ in 1998), Yahoo! Messenger and MSN Messenger. AOL particularly had a rivalry or "chat war" with PowWow and Microsoft, starting in 1999. There were several attempts from Microsoft to simultaneously log into their own and AIM's protocol servers. AOL was not happy about this and started blocking MSN Messenger from being able to access AIM. This led to efforts by many companies to challenge the AOL and Time Warner merger on the grounds of antitrust behaviour, leading to the formation of the OpenNet Coalition. Official mobile versions of AIM appeared as early as 2001 on Palm OS through the AOL application. Third-party applications allowed it to be used in 2002 for the Sidekick. A version for Symbian OS was announced in 2003 and others for BlackBerry and Windows Mobile After 2012, stand-alone official AIM client software includes advertisements and was available for Microsoft Windows, Windows Mobile, Classic Mac OS, macOS, Android, iOS, BlackBerry OS. Usage decline and product sunset Around 2011, AIM started to lose popularity rapidly, partly due to the quick rise of Gmail and its built-in real-time Google Chat instant messenger integration in 2011 and because many people migrated to SMS or iMessages text messaging and later, social networking websites and apps for instant messaging, in particular, Facebook Messenger, which was released as a standalone application the same year. AOL made a partnership to integrate AIM messaging in Google Talk, and had a feature for AIM users to send SMS messages directly from AIM to any number, as well as for SMS users to send an IM to any AIM user. As of June 2011, one source reported AOL Instant Messenger market share had collapsed to 0.73%. However, this number only reflected installed IM applications, and not active users. The engineers responsible for AIM claimed that they were unable to convince AOL management that free was the future. On March 3, 2012, AOL ended employment of AIM's development staff while leaving it active and with help support still provided. On October 6, 2017, it was announced that the AIM service would be discontinued on December 15; however, a non-profit development team known as Wildman Productions started up a server for older versions of AOL Instant Messenger, known as AIM Phoenix. The "AIM Man" The AIM mascot was designed by JoRoan Lazaro and was implemented in the first release in 1997. This was a yellow stickman-like figure, often called the "Running Man". The mascot appeared on all AIM logos and most wordmarks, and always appeared at the top of the buddy list. AIM's popularity in the late 1990s and the 2000s led to the "Running Man" becoming a familiar brand on the Internet. After over 14 years, the iconic logo disappeared as part of the AIM rebranding in 2011. However, in August 2013, the "Running Man" returned. In 2014, a Complex editor called it a "symbol of America". In April 2015, the Running Man was officially featured in the Virgin London Marathon, dressed by a person for the AOL-partnered Free The Children charity. Protocol The standard protocol that AIM clients used to communicate is called Open System for CommunicAtion in Realtime (OSCAR). Most AOL-produced versions of AIM and popular third party AIM clients use this protocol. However, AOL also created a simpler protocol called TOC that lacks many of OSCAR's features, but was sometimes used for clients that only require basic chat functionality. The TOC/TOC2 protocol specifications were made available by AOL, while OSCAR is a closed protocol that third parties had to reverse-engineer. In January 2008, AOL introduced experimental Extensible Messaging and Presence Protocol (XMPP) support for AIM, allowing AIM users to communicate using the standardized, open-source XMPP. However, in March 2008, this service was discontinued. In May 2011, AOL started offering limited XMPP support. On March 1, 2017, AOL announced (via XMPP-login-time messages) that the AOL XMPP gateway would be desupported, effective March 28, 2017. Privacy For privacy regulations, AIM had strict age restrictions. AIM accounts are available only for people over the age of 13; children younger than that were not permitted access to AIM. Under the AIM Privacy Policy, AOL had no rights to read or monitor any private communications between users. The profile of the user had no privacy. In November 2002, AOL targeted the corporate industry with Enterprise AIM Services (EAS), a higher security version of AIM. If public content was accessed, it could be used for online, print or broadcast advertising, etc. This was outlined in the policy and terms of service: "... you grant AOL, its parent, affiliates, subsidiaries, assigns, agents and licensees the irrevocable, perpetual, worldwide right to reproduce, display, perform, distribute, adapt and promote this Content in any medium". This allowed anything users posted to be used without a separate request for permission. AIM's security was called into question. AOL stated that it had taken great pains to ensure that personal information
. The first disappears only after the whole sequence is unfolded. The computation according to the rules {b1 - b5, b7, r8 - r10} is more efficient in that respect. The iteration simulates the repeated loop over a block of code. The nesting is limited to , one recursion level per iterated function. showed this correspondence. These considerations concern the recursion depth only. Either way of iterating leads to the same number of reduction steps, involving the same rules (when the rules b6 and b7 are considered "the same"). The reduction of for instance converges in 35 steps: 12 × b1, 4 × b2, 1 × b3, 4 × b5, 12 × b6/b7, 1 × r9, 1 × r10. The modus iterandi only affects the order in which the reduction rules are applied. A real gain of execution time can only be achieved by not recalculating subresults over and over again. Memoization is an optimization technique where the results of function calls are cached and returned when the same inputs occur again. See for instance . published a cunning algorithm which computes within time and within space. Huge numbers To demonstrate how the computation of results in many steps and in a large number: Table of values Computing the Ackermann function can be restated in terms of an infinite table. First, place the natural numbers along the top row. To determine a number in the table, take the number immediately to the left. Then use that number to look up the required number in the column given by that number and one row up. If there is no number to its left, simply look at the column headed "1" in the previous row. Here is a small upper-left portion of the table: The numbers here which are only expressed with recursive exponentiation or Knuth arrows are very large and would take up too much space to notate in plain decimal digits. Despite the large values occurring in this early section of the table, some even larger numbers have been defined, such as Graham's number, which cannot be written with any small number of Knuth arrows. This number is constructed with a technique similar to applying the Ackermann function to itself recursively. This is a repeat of the above table, but with the values replaced by the relevant expression from the function definition to show the pattern clearly: Properties General remarks It may not be immediately obvious that the evaluation of always terminates. However, the recursion is bounded because in each recursive application either decreases, or remains the same and decreases. Each time that reaches zero, decreases, so eventually reaches zero as well. (Expressed more technically, in each case the pair decreases in the lexicographic order on pairs, which is a well-ordering, just like the ordering of single non-negative integers; this means one cannot go down in the ordering infinitely many times in succession.) However, when decreases there is no upper bound on how much can increase — and it will often increase greatly. For small values of m like 1, 2, or 3, the Ackermann function grows relatively slowly with respect to n (at most exponentially). For , however, it grows much more quickly; even is about 2, and the decimal expansion of is very large by any typical measure. An interesting aspect is that the only arithmetic operation it ever uses is addition of 1. Its fast growing power is based solely on nested recursion. This also implies that its running time is at least proportional to its output, and so is also extremely huge. In actuality, for most cases the running time is far larger than the output; see above. A single-argument version that increases both and at the same time dwarfs every primitive recursive function, including very fast-growing functions such as the exponential function, the factorial function, multi- and superfactorial functions, and even functions defined using Knuth's up-arrow notation (except when the indexed up-arrow is used). It can be seen that is roughly comparable to in the fast-growing hierarchy. This extreme growth can be exploited to show that which is obviously computable on a machine with infinite memory such as a Turing machine and so is a computable function, grows faster than any primitive recursive function and is therefore not primitive recursive. Not primitive recursive The Ackermann function grows faster than any primitive recursive function and therefore is not itself primitive recursive. Specifically, one shows that to every primitive recursive function there exists a non-negative integer such that for all non-negative integers , Once this is established, it follows that itself is not primitive recursive, since otherwise putting would lead to the contradiction The proof proceeds as follows: define the class of all functions that grow slower than the Ackermann function and show that contains all primitive recursive functions. The latter is achieved by showing that contains the constant functions, the successor function, the projection functions and that it is closed under the operations of function composition and primitive recursion. Inverse Since the function considered above grows very rapidly, its inverse function, f, grows very slowly. This inverse Ackermann function f−1 is usually denoted by α. In fact, α(n) is less than 5 for any practical input size n, since is on the order of . This inverse appears in the time complexity of some algorithms, such as the disjoint-set data structure and Chazelle's algorithm for minimum spanning trees. Sometimes Ackermann's original function or other variations are used in these settings, but they all grow at similarly high rates. In particular, some modified functions simplify the expression by eliminating the −3 and similar terms. A two-parameter variation of the inverse Ackermann function can be defined as follows, where is the floor function: This function arises in more precise analyses of the algorithms mentioned above, and gives a more refined time bound. In the disjoint-set data structure, m represents the number of operations while n represents the number of elements; in the minimum spanning tree algorithm, m represents the number of edges while n represents the number of vertices. Several slightly different definitions of exist; for example, is sometimes replaced by n, and the floor function is sometimes replaced by a ceiling. Other studies might define an inverse function of one where m is set to a constant, such that the inverse applies to a particular row. The inverse of the Ackermann function is primitive recursive. Use as benchmark The Ackermann function, due to its definition in terms of extremely deep recursion, can be used as a benchmark of a compiler's ability to optimize recursion. The first published use of Ackermann's function in this way was in 1970 by Dragoș Vaida and, almost simultaneously, in 1971, by Yngve Sundblad. Sundblad's seminal paper was taken up by Brian Wichmann (co-author of the Whetstone benchmark) in a trilogy of papers written between 1975 and 1982. See also Computability theory Double recursion Fast-growing hierarchy Goodstein function Primitive recursive function Recursion (computer science) Notes References Bibliography External links An animated Ackermann function calculator Ackerman function implemented using a for loop Scott Aaronson, Who can name the biggest number? (1999) Ackermann functions. Includes a table of some values. Hyper-operations: Ackermann's Function and New Arithmetical Operation
See for instance . published a cunning algorithm which computes within time and within space. Huge numbers To demonstrate how the computation of results in many steps and in a large number: Table of values Computing the Ackermann function can be restated in terms of an infinite table. First, place the natural numbers along the top row. To determine a number in the table, take the number immediately to the left. Then use that number to look up the required number in the column given by that number and one row up. If there is no number to its left, simply look at the column headed "1" in the previous row. Here is a small upper-left portion of the table: The numbers here which are only expressed with recursive exponentiation or Knuth arrows are very large and would take up too much space to notate in plain decimal digits. Despite the large values occurring in this early section of the table, some even larger numbers have been defined, such as Graham's number, which cannot be written with any small number of Knuth arrows. This number is constructed with a technique similar to applying the Ackermann function to itself recursively. This is a repeat of the above table, but with the values replaced by the relevant expression from the function definition to show the pattern clearly: Properties General remarks It may not be immediately obvious that the evaluation of always terminates. However, the recursion is bounded because in each recursive application either decreases, or remains the same and decreases. Each time that reaches zero, decreases, so eventually reaches zero as well. (Expressed more technically, in each case the pair decreases in the lexicographic order on pairs, which is a well-ordering, just like the ordering of single non-negative integers; this means one cannot go down in the ordering infinitely many times in succession.) However, when decreases there is no upper bound on how much can increase — and it will often increase greatly. For small values of m like 1, 2, or 3, the Ackermann function grows relatively slowly with respect to n (at most exponentially). For , however, it grows much more quickly; even is about 2, and the decimal expansion of is very large by any typical measure. An interesting aspect is that the only arithmetic operation it ever uses is addition of 1. Its fast growing power is based solely on nested recursion. This also implies that its running time is at least proportional to its output, and so is also extremely huge. In actuality, for most cases the running time is far larger than the output; see above. A single-argument version that increases both and at the same time dwarfs every primitive recursive function, including very fast-growing functions such as the exponential function, the factorial function, multi- and superfactorial functions, and even functions defined using Knuth's up-arrow notation (except when the indexed up-arrow is used). It can be seen that is roughly comparable to in the fast-growing hierarchy. This extreme growth can be exploited to show that which is obviously computable on a machine with infinite memory such as a Turing machine and so is a computable function, grows faster than any primitive recursive function and is therefore not primitive recursive. Not primitive recursive The Ackermann function grows faster than any primitive recursive function and therefore is not itself primitive recursive. Specifically, one shows that to every primitive recursive function there exists a non-negative integer such that for all non-negative integers , Once this is established, it follows that itself is not primitive recursive, since otherwise putting would lead to the contradiction The proof proceeds as follows: define the class of all functions that grow slower than the Ackermann function and show that contains all primitive recursive functions. The latter is achieved by showing that contains the constant functions, the successor function, the projection functions and that it is closed under the operations of function composition and primitive recursion. Inverse Since the function considered above grows very rapidly, its inverse function, f, grows very slowly. This inverse Ackermann function f−1 is usually denoted by α. In fact, α(n) is less than 5 for any practical input size n, since is on the order of . This inverse appears in the time complexity of some algorithms, such as the disjoint-set data structure and Chazelle's algorithm for minimum spanning trees. Sometimes Ackermann's original function or other variations are used in these settings, but they all grow at similarly high rates. In particular, some modified functions simplify the expression by eliminating the −3 and similar terms. A two-parameter variation of the inverse Ackermann function can be defined as follows, where is the floor function: This function arises in more precise analyses of the algorithms mentioned above, and gives a more refined time bound. In the disjoint-set data structure, m represents the number of operations while n represents the number of elements; in the minimum spanning tree algorithm, m represents the number of edges while n represents the number of vertices. Several slightly different definitions of exist; for example, is sometimes replaced by n, and the floor function is sometimes replaced by a ceiling. Other studies might define an inverse function of one where m is set to a constant, such that the inverse applies to a particular row. The inverse of the Ackermann function is primitive recursive. Use as benchmark The Ackermann function, due to its definition in terms of extremely deep recursion, can be used as a benchmark of a compiler's ability to optimize recursion. The first published use of Ackermann's function in this way was in 1970 by Dragoș Vaida and, almost simultaneously, in 1971, by Yngve Sundblad. Sundblad's seminal paper was taken up by Brian Wichmann (co-author of the Whetstone benchmark) in a trilogy of papers written between 1975 and 1982. See also Computability theory Double recursion Fast-growing hierarchy Goodstein function Primitive recursive function Recursion (computer science) Notes References Bibliography External links An animated Ackermann function calculator Ackerman function implemented using a for loop Scott Aaronson, Who
species richness, but multiple correlations have been found with area, temperature, remoteness of islands, and food chain stability. For example, herbivorous insects are poor in number due to low plant richness, and likewise, indigenous bird numbers are related to insects, which are a major food source. Isla de los Estados (Argentina) Isla Grande de Tierra del Fuego (Chile) Conservation The Antarctic hosts the world's largest protected area comprising 1.07 million km2, the South Georgia and the South Sandwich Islands Marine Protection Area created in 2012. The latter exceeds the surface area of another vast protected territory, the Greenland National Park’s 972,000 km2. (While the Ross Sea Marine Protection Area established in 2016 is still larger at 1.55 million km2, its protection is set to expire in 35 years.) To protect the area, all Antarctic ships over 500 tonnes are subject to mandatory regulations under the Polar Code, adopted by the International Maritime Organization (in force since 1 January 2017). Society People The first recorded sighting of Antarctica is credited to the Spaniard Gabriel de Castilla, who reported seeing distant southern snow-capped mountains in 1603. The first Antarctic land discovered was the island of South Georgia, visited by the English merchant Anthony de la Roché in 1675. Although myths and speculation about a Terra Australis ("Southern Land") date back to antiquity, the first confirmed sighting of the continent of Antarctica is commonly accepted to have occurred in 1820 by the Russian expedition of Fabian Gottlieb von Bellingshausen and Mikhail Lazarev on Vostok and Mirny. The Australian James Kerguelen Robinson (1859–1914) was the first human born in the Antarctic, on board the sealing ship Offley in Gulf of Morbihan (Royal Sound then), Kerguelen Island on 11 March 1859. The first human born on an Antarctic island was Solveig Gunbjørg Jacobsen born on 8 October 1913 in Grytviken, South Georgia. Emilio Marcos Palma (born 7 January 1978) is an Argentine man who was the first documented person born on the continent of Antarctica at the Esperanza Base. His father, Captain Jorge Palma, was head of the Argentine Army detachment at the base. While ten people have been born in Antarctica since, Palma's birthplace remains the southernmost. In late 1977, Silvia Morella de Palma, who was then seven months pregnant, was airlifted to Esperanza Base, in order to complete her pregnancy in the base. The airlift was a part of the Argentine solutions to the sovereignty dispute over territory in Antarctica. Emilio was automatically granted Argentine citizenship by the government since his parents were both Argentine citizens, and he was born in the claimed Argentine Antarctica. Palma can be considered to be the first native Antarctican. The Antarctic region had no indigenous population when first discovered, and its present inhabitants comprise a few thousand transient scientific and other personnel working on tours
Area created in 2012. The latter exceeds the surface area of another vast protected territory, the Greenland National Park’s 972,000 km2. (While the Ross Sea Marine Protection Area established in 2016 is still larger at 1.55 million km2, its protection is set to expire in 35 years.) To protect the area, all Antarctic ships over 500 tonnes are subject to mandatory regulations under the Polar Code, adopted by the International Maritime Organization (in force since 1 January 2017). Society People The first recorded sighting of Antarctica is credited to the Spaniard Gabriel de Castilla, who reported seeing distant southern snow-capped mountains in 1603. The first Antarctic land discovered was the island of South Georgia, visited by the English merchant Anthony de la Roché in 1675. Although myths and speculation about a Terra Australis ("Southern Land") date back to antiquity, the first confirmed sighting of the continent of Antarctica is commonly accepted to have occurred in 1820 by the Russian expedition of Fabian Gottlieb von Bellingshausen and Mikhail Lazarev on Vostok and Mirny. The Australian James Kerguelen Robinson (1859–1914) was the first human born in the Antarctic, on board the sealing ship Offley in Gulf of Morbihan (Royal Sound then), Kerguelen Island on 11 March 1859. The first human born on an Antarctic island was Solveig Gunbjørg Jacobsen born on 8 October 1913 in Grytviken, South Georgia. Emilio Marcos Palma (born 7 January 1978) is an Argentine man who was the first documented person born on the continent of Antarctica at the Esperanza Base. His father, Captain Jorge Palma, was head of the Argentine Army detachment at the base. While ten people have been born in Antarctica since, Palma's birthplace remains the southernmost. In late 1977, Silvia Morella de Palma, who was then seven months pregnant, was airlifted to Esperanza Base, in order to complete her pregnancy in the base. The airlift was a part of the Argentine solutions to the sovereignty dispute over territory in Antarctica. Emilio was automatically granted Argentine citizenship by the government since his parents were both Argentine citizens, and he was born in the claimed Argentine Antarctica. Palma can be considered to be the first native Antarctican. The Antarctic region had no indigenous population when first discovered, and its present inhabitants comprise a few thousand transient scientific and other personnel working on tours of duty at the several dozen research stations maintained by various countries. However, the region is visited by more than 40,000 tourists annually, the most popular destinations being the Antarctic Peninsula area (especially the South Shetland Islands) and South Georgia Island. In December 2009, the growth of tourism, with consequences for both the ecology and the safety of the travellers in its great and remote wilderness, was noted at a conference in New Zealand by experts from signatories to the Antarctic Treaty. The definitive results of the conference was presented at the Antarctic Treaty states' meeting in Uruguay in May 2010. Time zones Because Antarctica surrounds the South Pole, it is theoretically located in all time zones. For practical purposes, time zones are usually based on territorial claims or the time zone of a station's owner country or supply base. List of offshore islands North of 60°S latitude South of 60°S latitude See also Antarctic Circle Antarctic ice sheet History of Antarctica Notes References Further reading Krupnik, Igor, Michael A. Lang, and Scott E. Miller, eds. Smithsonian at the Poles: Contributions to International Polar Year Science. Washington, D.C.: Smithsonian Institution Scholarly Press, 2009. External links British Services Antarctic Expedition 2012 Committee for Environmental Protection of Antarctica Secretariat of the Antarctic Treaty CCAMLR Commission Antarctic Heritage Trusts International
Kosovo, although the government of Serbia claims that the army was only going after suspected Albanian terrorists. The NATO launched a 78-day air campaign in 1999 to halt the humanitarian catastrophe that was then unfolding in Kosovo and finally concluded the ended the war. Distribution Balkans Approximately 5 million Albanians are geographically distributed across the Balkan Peninsula with about half this number living in Albania, Kosovo, North Macedonia and Montenegro as well as to a more lesser extent in Croatia and Serbia. There are also significant Albanian populations in Greece. Approximately 1.8 million Albanians are concentrated in the partially recognised Republic of Kosovo. They are geographically distributed south of the municipality of North Mitrovica and constitute the overall majority ethnic group of the territory. In Montenegro, the Albanian population is currently estimated to be around 30,000 forming one of the constituent ethnic minority groups of the country. They predominantly live in the coastal region of Montenegro around the municipalities of Ulcinj and Bar but also Tuz and around Plav in the northern region as well as in the capital city of Podgorica in the central region. In North Macedonia, there are more than approximately 500,000 Albanians constituting the largest ethnic minority group in the country. The vast majority of the Albanians are chiefly concentrated around the municipalities of Tetovo and Gostivar in the northwestern region, Struga and Debar in the southwestern region as well as around the capital of Skopje in the central region. In Croatia, the number of Albanians stands at approximately 17.500 mostly concentrated in the counties of Istria, Split-Dalmatia and most notably in the capital city of Zagreb. The Arbanasi people who historically migrated to Bulgaria, Croatia and Ukraine live in scattered communities across Bulgaria, Croatia and Southern Ukraine. In Serbia, the Albanians are an officially recognised ethnic minority group with a population of around 70,000. They are significantly concentrated in the municipalities of Bujanovac and Preševo in the Pčinja District. In Romania, the number of Albanians is unofficially estimated from 500 to 10,000 mainly distributed in Bucharest. They are recognised as an ethnic minority group and are respectively represented in Parliament of Romania. Italy The Italian Peninsula across the Adriatic Sea has attracted Albanian people for more than half a millennium often due to its immediate proximity. Albanians in Italy later became important in establishing the fundamentals of the Albanian Renaissance and maintaining the Albanian culture. The Arbëreshë people came sporadically in several small and large cycles initially as Stratioti mercenaries in service of the kingdoms of Naples and Sicily and the Republic of Venice. Larger migration waves occurred after the death of Skanderbeg and the capture of Krujë and Shkodër by the Ottomans to escape the forthcoming political and religious changes. Today, Albanians in Italy constitute one of the largest ethnolinguistic minority groups and their status is protected by law. The total number of Arbëreshës is approximately 260,000 scattered across Sicily, Calabria and Apulia. There are Italian Albanians in the Americas especially in such countries as Argentina, Chile, Uruguay, Canada and the United States. Centuries later, at the end of the 20th century occurred another and the largest migration cycle of Albanians to Italy surpassing the earlier migration of the Arbëreshë. Their migration stemmed from decades of severe social and political oppression and isolation from the outside world under the communist regime led by Enver Hoxha. Between 2015 and 2016, the number of Albanians regularly residing in Italy was numbered to be around 480,000 and 500,000. Tuscany, Lombardy and Emilia-Romagna represent the regions with the strongest presence of the modern Albanian population in Italy. In 2012, 41.5% of the Albanian population were counted as Muslim, 38.9% as Christian including 27.7% as Roman Catholic and 11% as Eastern Orthodox and 17.8% as Irreligious. Greece The Arvanites and Albanians of Western Thrace are a group descended from Tosks who migrated to southern and central Greece between the 13th and 16th centuries. They are Greek Orthodox Christians, and though they traditionally speak a dialect of Tosk Albanian known as Arvanitika, they have fully assimilated into the Greek nation and do not identify as Albanians.. "First, we can explain the astonishing persistence of Albanian village culture from the fourteenth to the nineteenth centuries through the ethnic and religious tolerance characteristic of Islamic empires and so lacking in their Christian equivalents. Ottoman control rested upon allowing local communities to keep their religion, language, local laws, and representatives, provided that taxes were paid (the millet system). There was no pressure for Greeks and Albanians to conform to each other's language or other behavior. Clear signs of change are revealed in the travel diaries of the German scholar Ludwig Ross (1851), when he accompanied the Bavarian Otto, whom the Allies had foisted as king upon the newly freed Greek nation in the aftermath of the War of Independence in the 1830s. Ross praises the well-built Greek villages of central Greece with their healthy, happy, dancing inhabitants, and contrasts them specifically with the hovels and sickly inhabitants of Albanian villages. In fact, recent scholarship has underlined how far it was the West that built modem Greece in its own fanciful image as the land of a long-oppressed people who were the direct descendants of Pericles. Thus from the late nineteenth century onward the children of the inhabitants of the new "nation-state" were taught in Greek, history confined itself to the episodes of pure Greekness, and the tolerant Ottoman attitude to cultural diversity yielded to a deliberate policy of total Hellenization of the populace—effective enough to fool the casual observer. One is rather amazed at the persistence today of such dual-speaking populations in much of the Albanian colonization zone. However, apart from the provinciality of this essentially agricultural province, a high rate of illiteracy until well into this century has also helped to preserve Arvanitika in the Boeotian villagers (Meijs 1993)."; p. 140. "In contrast therefore to the more openly problematic issue of Slav speakers in northern Greece, Arvanitic speakers in central Greece lack any signs of an assertive ethnicity. I would like to suggest that they possess what we might term a passive ethnicity. As a result of a number of historical factors, much of the rural population in central Greece was Albanian-speaking by the time of the creation of the modern Greek state in the 1830s. Until this century, most of these people were illiterate and unschooled, yet there existed sufficient knowledge of Greek to communicate with officials and townspeople, itinerant traders, and so on, to limit the need to transform rural language usage. Life was extremely provincial, with just one major carriage-road passing through the center of the large province of Boeotia even in the 1930s (beyond which horseback and cart took over; van Effenterre 1989). Even in the 1960s, Arvanitic village children could be figures of fun for their Greek peers in the schools of Thebes (One of the two regional towns) (K. Sarri, personal communication, 2000). It was not a matter of cultural resistance but simple conservatism and provinciality, the extreme narrowness of rural life, that allowed Arvanitic language and local historic memories to survive so effectively to the very recent period." Arvanitika is in a state of attrition due to language shift towards Greek and large-scale internal migration to the cities and subsequent intermingling of the population during the 20th century. The Cham Albanians were a group that formerly inhabited a region of Epirus known as Chameria, nowadays Thesprotia in northwestern Greece. Many Cham Albanians converted to Islam during the Ottoman era. Muslim Chams were expelled from Greece during World War II, by an anti-communist resistance group (EDES), as a result of some participating in a communist resistance group (EAM-ELAS) and others collaborating with the Axis occupation. Orthodox Chams have largely assimilated into the Greek nation. Large-scale migration from Albania to Greece occurred after 1991. By 2005, around 600,000 Albanians lived in Greece, forming the largest immigrant community in the country. They are economic migrants whose migration began in 1991, following the collapse of the Socialist People's Republic of Albania. About 200,000 had acquired a status of homogeneis (co-ethnics) in Greece. Contemporary statistics on Albanians in Greece vary. There was a drop in the number of registered Albanian immigrants in 2012, suggesting that approximately 130,000 Albanian migrants have lost their stay permits and thereby making 29% of the Albanian immigrant population in Greece irregular. After 1991, at least 500,000 Albanians have migrated and relocated to Greece. Despite the a lack of exact statistics, it is estimated that at least 700,000 Albanians have moved to Greece during the last 25 years. The Albanian government estimates 500,000 Albanians in Greece at the very least, and that is excluding their children. A 2011 census indicated that Albanians consisted the biggest group of foreigners in Greece, with roughly 480,000, but taking into consideration the current population of Greece (11 million) and the fact that the census failed to account for illegal foreigners, it was estimated that Albanians consist of 5% of the population (at least 550,000). Albanians in Greece have a long history of Hellenisation, assimilation and integration.Lazaridis, Gabriella, and Iordanis Psimmenos. "Migrant flows from Albania to Greece: economic, social and spatial exclusion." In Eldorado or Fortress? Migration in Southern Europe, pp. 170-185. Palgrave Macmillan, London, 2000. Many ethnic Albanians have been naturalised as Greek nationals, others have self-declared as Greek since arrival and a considerable number live and work across both countries seasonally hence the number of Albanians in the country has often fluctuated. Diaspora Europe During the end of the 20th and the beginning of the 21st centuries, the conflicts in the Balkans and the Kosovo War set in motion large population movements of Albanians to Central, Western and Northern Europe. The gradual collapse of communism in Albania triggered as well a new wave of migration and contributed to the emergence of a new diaspora, mainly in Southern Europe, in such countries as Greece and Italy. In Central Europe, there are approximately 200,000 Albanians in Switzerland with the particular concentration in the cantons of Zürich, Basel, Lucerne, Bern and St. Gallen. The neighbouring Germany is home to around 250,000 to 300,000 Albanians while in Austria there are around 40,000 to 80,000 Albanians concentrated in the states of Vienna, Styria, Salzburg, Lower and Upper Austria. In Western Europe, the Albanian population of approximately 10,000 people living in the Benelux countries is in comparison to other regions relatively limited. There are more than 6,000 Albanian people living in Belgium and 2,800 in the nearby Netherlands. The most lesser number of Albanian people in the Benelux region is to be found in Luxembourg with a population of 2,100. Within Northern Europe, Sweden possesses the most sizeable population of Albanians in Scandinavia however there is no exact answer to their number in the country. The populations also tend to be lower in Norway, Finland and Denmark with more than 18,000, 10,000 and 8,000 Albanians respectively. The population of Albanians in the United Kingdom is officially estimated to be around 39,000 whiles in Ireland there are less than 2,500 Albanians. Asia and Africa The Albanian diaspora in Africa and Asia, in such countries as Egypt, Syria or Turkey, was predominantly formed during the Ottoman period through economic migration and early years of the Republic of Turkey through migration due to sociopolitical discrimination and violence experienced by Albanians in Balkans. In Turkey, the exact numbers of the Albanian population of the country are difficult to correctly estimate. According to a 2008 report, there were approximately 1.300,000 people of Albanian descent living in Turkey. As of that report, more than 500,000 Albanian descendants still recognise their ancestry and or their language, culture and traditions. There are also other estimates that range from being 3 to 4 million people up to a total of 5 million in number, although most of these are Turkish citizens of either full or partial Albanian ancestry being no longer fluent in Albanian, comparable to the German Americans.. This was due to various degrees of either linguistic and or cultural assimilation occurring amongst the Albanian diaspora in Turkey. Albanians are active in the civic life of Turkey.Tabak, Hüsrev (3 March 2013). "Albanian awakening: The worm has turned! ". Today's Zaman. Retrieved 17 July 2015. In Egypt there are 18,000 Albanians, mostly Tosk speakers. Many are descendants of the Janissaries of Muhammad Ali Pasha, an Albanian who became Wāli, and self-declared Khedive of Egypt and Sudan. In addition to the dynasty that he established, a large part of the former Egyptian and Sudanese aristocracy was of Albanian origin. Albanian Sunnis, Bektashis and Orthodox Christians were all represented in this diaspora, whose members at some point included major Renaissance figures (Rilindasit), including Thimi Mitko, Spiro Dine, Andon Zako Çajupi, Milo Duçi, Fan Noli and others who lived in Egypt for a time. With the ascension of Gamal Abdel Nasser in Egypt and rise of Arab nationalism, the last remnants of Albanian community there were forced to leave. Albanians have been present in Arab countries such as Syria, Lebanon, Iraq, Jordan, and for about five centuries as a legacy of Ottoman Turkish rule. Americas and Oceania The first Albanian migration to North America began in the 19th and 20th centuries not long after gaining independence from the Ottoman Empire. However the Arbëreshë people from Southern Italy were the first Albanian people to arrive in the New World, many of them migrating after the wars that accompanied the Risorgimento. Since then several Albanian migration waves have occurred throughout the 20th century as for instance after the Second World War with Albanians mostly from Yugoslavia rather than from Communist Albania, then after the Breakup of Communist Albania in 1990 and finally following the Kosovo War in 1998. The most sizeable Albanian population in the Americas is predominantly to be found in the United States. As of 2017, there are approximately 205,000 Albanians in the country with the main concentration in the states of New York, Michigan, Massachusetts and Illinois. The number could be higher counting the Arbëreshë people as well; they are often distinguishable from other Albanian Americans with regard to their Italianized names, nationality and a common religion. In Canada, there are approximately 39,000 Albanians in the country, including 36,185 Albanians from Albania and 2,870 Albanians from Kosovo, predominantly distributed in a multitude of provinces such as Ontario, Quebec, Alberta and British Columbia. Canada's largest cities such as Toronto, Montreal and Edmonton were besides the United States a major centre of Albanian migration to North America. Albanian immigration to Australia began in the late 19th century and most took place during the 20th century. People who planned to immigrate chose Australia after the US introduced immigration quotas on southern Europeans. Most were from southern Albania, of Muslim and Orthodox backgrounds and tended to live in Victoria and Queensland, with smaller numbers in Western and Northern Australia. Italy's annexation of Albania marked a difficult time for Albanian Australians as many were thought by Australian authorities to pose a fascist threat. Post-war, the numbers of Albanian immigrants slowed due to immigration restrictions placed by the communist government in Albania. Albanians from southwestern Yugoslavia (modern North Macedonia) arrived and settled in Melbourne in the 1960s-1970s. Other Albanian immigrants from Yugoslavia came from Montenegro and Serbia. The immigrants were mostly Muslims, but also Catholics among them including the relatives of the renowned Albanian nun and missionary Mother Teresa. Albanian refugees from Kosovo settled in Australia following the aftermath of the Kosovo conflict. In the early twenty first century, Victoria has the highest concentration of Albanians and smaller Albanian communities exist in Western Australia, South Australia, Queensland, New South Wales and the Northern Territory. In 2016, approximately 4,041 persons resident in Australia identified themselves as having been born in Albania and Kosovo, while 15,901 persons identified themselves as having Albanian ancestry, either alone or in combination with another ancestry. Albanian migration to New Zealand occurred mid twentieth century following the Second World War. A small group of Albanian refugees originating mainly from Albania and the rest from Yugoslavian Kosovo and Macedonia settled in Auckland. During the Kosovo crisis (1999), up to 400 Kosovo Albanian refugees settled in New Zealand. In the twenty first century, Albanian New Zealanders number 400-500 people and are mainly concentrated in Auckland. Culture Culinary arts The traditional cuisine of the Albanians is diverse and has been greatly influenced by traditions and their varied environment in the Balkans and turbulent history throughout the course of the centuries. There is a considerable diversity between the Mediterranean and Balkan-influenced cuisines of Albanians in the Western Balkan nations and the Italian and Greek-influenced cuisines of the Arbëreshës and Chams. The enjoyment of food
Arvanitic speakers in central Greece lack any signs of an assertive ethnicity. I would like to suggest that they possess what we might term a passive ethnicity. As a result of a number of historical factors, much of the rural population in central Greece was Albanian-speaking by the time of the creation of the modern Greek state in the 1830s. Until this century, most of these people were illiterate and unschooled, yet there existed sufficient knowledge of Greek to communicate with officials and townspeople, itinerant traders, and so on, to limit the need to transform rural language usage. Life was extremely provincial, with just one major carriage-road passing through the center of the large province of Boeotia even in the 1930s (beyond which horseback and cart took over; van Effenterre 1989). Even in the 1960s, Arvanitic village children could be figures of fun for their Greek peers in the schools of Thebes (One of the two regional towns) (K. Sarri, personal communication, 2000). It was not a matter of cultural resistance but simple conservatism and provinciality, the extreme narrowness of rural life, that allowed Arvanitic language and local historic memories to survive so effectively to the very recent period." Arvanitika is in a state of attrition due to language shift towards Greek and large-scale internal migration to the cities and subsequent intermingling of the population during the 20th century. The Cham Albanians were a group that formerly inhabited a region of Epirus known as Chameria, nowadays Thesprotia in northwestern Greece. Many Cham Albanians converted to Islam during the Ottoman era. Muslim Chams were expelled from Greece during World War II, by an anti-communist resistance group (EDES), as a result of some participating in a communist resistance group (EAM-ELAS) and others collaborating with the Axis occupation. Orthodox Chams have largely assimilated into the Greek nation. Large-scale migration from Albania to Greece occurred after 1991. By 2005, around 600,000 Albanians lived in Greece, forming the largest immigrant community in the country. They are economic migrants whose migration began in 1991, following the collapse of the Socialist People's Republic of Albania. About 200,000 had acquired a status of homogeneis (co-ethnics) in Greece. Contemporary statistics on Albanians in Greece vary. There was a drop in the number of registered Albanian immigrants in 2012, suggesting that approximately 130,000 Albanian migrants have lost their stay permits and thereby making 29% of the Albanian immigrant population in Greece irregular. After 1991, at least 500,000 Albanians have migrated and relocated to Greece. Despite the a lack of exact statistics, it is estimated that at least 700,000 Albanians have moved to Greece during the last 25 years. The Albanian government estimates 500,000 Albanians in Greece at the very least, and that is excluding their children. A 2011 census indicated that Albanians consisted the biggest group of foreigners in Greece, with roughly 480,000, but taking into consideration the current population of Greece (11 million) and the fact that the census failed to account for illegal foreigners, it was estimated that Albanians consist of 5% of the population (at least 550,000). Albanians in Greece have a long history of Hellenisation, assimilation and integration.Lazaridis, Gabriella, and Iordanis Psimmenos. "Migrant flows from Albania to Greece: economic, social and spatial exclusion." In Eldorado or Fortress? Migration in Southern Europe, pp. 170-185. Palgrave Macmillan, London, 2000. Many ethnic Albanians have been naturalised as Greek nationals, others have self-declared as Greek since arrival and a considerable number live and work across both countries seasonally hence the number of Albanians in the country has often fluctuated. Diaspora Europe During the end of the 20th and the beginning of the 21st centuries, the conflicts in the Balkans and the Kosovo War set in motion large population movements of Albanians to Central, Western and Northern Europe. The gradual collapse of communism in Albania triggered as well a new wave of migration and contributed to the emergence of a new diaspora, mainly in Southern Europe, in such countries as Greece and Italy. In Central Europe, there are approximately 200,000 Albanians in Switzerland with the particular concentration in the cantons of Zürich, Basel, Lucerne, Bern and St. Gallen. The neighbouring Germany is home to around 250,000 to 300,000 Albanians while in Austria there are around 40,000 to 80,000 Albanians concentrated in the states of Vienna, Styria, Salzburg, Lower and Upper Austria. In Western Europe, the Albanian population of approximately 10,000 people living in the Benelux countries is in comparison to other regions relatively limited. There are more than 6,000 Albanian people living in Belgium and 2,800 in the nearby Netherlands. The most lesser number of Albanian people in the Benelux region is to be found in Luxembourg with a population of 2,100. Within Northern Europe, Sweden possesses the most sizeable population of Albanians in Scandinavia however there is no exact answer to their number in the country. The populations also tend to be lower in Norway, Finland and Denmark with more than 18,000, 10,000 and 8,000 Albanians respectively. The population of Albanians in the United Kingdom is officially estimated to be around 39,000 whiles in Ireland there are less than 2,500 Albanians. Asia and Africa The Albanian diaspora in Africa and Asia, in such countries as Egypt, Syria or Turkey, was predominantly formed during the Ottoman period through economic migration and early years of the Republic of Turkey through migration due to sociopolitical discrimination and violence experienced by Albanians in Balkans. In Turkey, the exact numbers of the Albanian population of the country are difficult to correctly estimate. According to a 2008 report, there were approximately 1.300,000 people of Albanian descent living in Turkey. As of that report, more than 500,000 Albanian descendants still recognise their ancestry and or their language, culture and traditions. There are also other estimates that range from being 3 to 4 million people up to a total of 5 million in number, although most of these are Turkish citizens of either full or partial Albanian ancestry being no longer fluent in Albanian, comparable to the German Americans.. This was due to various degrees of either linguistic and or cultural assimilation occurring amongst the Albanian diaspora in Turkey. Albanians are active in the civic life of Turkey.Tabak, Hüsrev (3 March 2013). "Albanian awakening: The worm has turned! ". Today's Zaman. Retrieved 17 July 2015. In Egypt there are 18,000 Albanians, mostly Tosk speakers. Many are descendants of the Janissaries of Muhammad Ali Pasha, an Albanian who became Wāli, and self-declared Khedive of Egypt and Sudan. In addition to the dynasty that he established, a large part of the former Egyptian and Sudanese aristocracy was of Albanian origin. Albanian Sunnis, Bektashis and Orthodox Christians were all represented in this diaspora, whose members at some point included major Renaissance figures (Rilindasit), including Thimi Mitko, Spiro Dine, Andon Zako Çajupi, Milo Duçi, Fan Noli and others who lived in Egypt for a time. With the ascension of Gamal Abdel Nasser in Egypt and rise of Arab nationalism, the last remnants of Albanian community there were forced to leave. Albanians have been present in Arab countries such as Syria, Lebanon, Iraq, Jordan, and for about five centuries as a legacy of Ottoman Turkish rule. Americas and Oceania The first Albanian migration to North America began in the 19th and 20th centuries not long after gaining independence from the Ottoman Empire. However the Arbëreshë people from Southern Italy were the first Albanian people to arrive in the New World, many of them migrating after the wars that accompanied the Risorgimento. Since then several Albanian migration waves have occurred throughout the 20th century as for instance after the Second World War with Albanians mostly from Yugoslavia rather than from Communist Albania, then after the Breakup of Communist Albania in 1990 and finally following the Kosovo War in 1998. The most sizeable Albanian population in the Americas is predominantly to be found in the United States. As of 2017, there are approximately 205,000 Albanians in the country with the main concentration in the states of New York, Michigan, Massachusetts and Illinois. The number could be higher counting the Arbëreshë people as well; they are often distinguishable from other Albanian Americans with regard to their Italianized names, nationality and a common religion. In Canada, there are approximately 39,000 Albanians in the country, including 36,185 Albanians from Albania and 2,870 Albanians from Kosovo, predominantly distributed in a multitude of provinces such as Ontario, Quebec, Alberta and British Columbia. Canada's largest cities such as Toronto, Montreal and Edmonton were besides the United States a major centre of Albanian migration to North America. Albanian immigration to Australia began in the late 19th century and most took place during the 20th century. People who planned to immigrate chose Australia after the US introduced immigration quotas on southern Europeans. Most were from southern Albania, of Muslim and Orthodox backgrounds and tended to live in Victoria and Queensland, with smaller numbers in Western and Northern Australia. Italy's annexation of Albania marked a difficult time for Albanian Australians as many were thought by Australian authorities to pose a fascist threat. Post-war, the numbers of Albanian immigrants slowed due to immigration restrictions placed by the communist government in Albania. Albanians from southwestern Yugoslavia (modern North Macedonia) arrived and settled in Melbourne in the 1960s-1970s. Other Albanian immigrants from Yugoslavia came from Montenegro and Serbia. The immigrants were mostly Muslims, but also Catholics among them including the relatives of the renowned Albanian nun and missionary Mother Teresa. Albanian refugees from Kosovo settled in Australia following the aftermath of the Kosovo conflict. In the early twenty first century, Victoria has the highest concentration of Albanians and smaller Albanian communities exist in Western Australia, South Australia, Queensland, New South Wales and the Northern Territory. In 2016, approximately 4,041 persons resident in Australia identified themselves as having been born in Albania and Kosovo, while 15,901 persons identified themselves as having Albanian ancestry, either alone or in combination with another ancestry. Albanian migration to New Zealand occurred mid twentieth century following the Second World War. A small group of Albanian refugees originating mainly from Albania and the rest from Yugoslavian Kosovo and Macedonia settled in Auckland. During the Kosovo crisis (1999), up to 400 Kosovo Albanian refugees settled in New Zealand. In the twenty first century, Albanian New Zealanders number 400-500 people and are mainly concentrated in Auckland. Culture Culinary arts The traditional cuisine of the Albanians is diverse and has been greatly influenced by traditions and their varied environment in the Balkans and turbulent history throughout the course of the centuries. There is a considerable diversity between the Mediterranean and Balkan-influenced cuisines of Albanians in the Western Balkan nations and the Italian and Greek-influenced cuisines of the Arbëreshës and Chams. The enjoyment of food has a high priority in the lives of Albanian peoples especially when celebrating religious festivals such as Ramadan, Eid, Christmas, Easter, Hanukkah or Novruz Ingredients include many varieties of fruits such as lemons, oranges, figs and olives, herbs such as basil, lavender, mint, oregano, rosemary and thyme and vegetables such as garlic, onion, peppers, potatoes and tomatoes. Albanian peoples who live closer to the Mediterranean Sea, Prespa Lake and Ohrid Lake are able to complement their diet with fish, shellfish and other seafood. Otherwise, lamb is often considered the traditional meat for different religious festivals. Poultry, beef and pork are also in plentiful supply. Tavë Kosi is a national dish in Albania consisting of garlic lamb and rice baked under a thick, tart veil of yogurt. Fërgesë is another national dish and is made with peppers, tomatoes and cottage cheese. Pite is a baked pastry with a filling of a mixture of spinach and gjizë or mish. Desserts include Flia, consisting of multiple crepe-like layers brushed with crea; petulla, a traditionally fried dough, and Krofne, similar to Berliner. Visual arts Painting The earliest preserved relics of visual arts of the Albanian people are sacred in nature and represented by numerous frescoes, murals and icons which has been created with an admirable use of color and gold. They reveal a wealth of various influences and traditions that converged in the historical lands of the Albanian people throughout the course of the centuries. The rise of the Byzantines and Ottomans during the Middle Ages was accompanied by a corresponding growth in Christian and Islamic art often apparent in examples of architecture and mosaics throughout Albania. The Albanian Renaissance proved crucial to the emancipation of the modern Albanian culture and saw unprecedented developments in all fields of literature and arts whereas artists sought to return to the ideals of Impressionism and Romanticism. Onufri, founder of the Berat School, Kolë Idromeno, David Selenica, Kostandin Shpataraku and the Zografi Brothers are the most eminent representatives of Albanian art. Albanians in Italy and Croatia have been also active among others the Renaissance influenced artists such as Marco Basaiti, Viktor Karpaçi and Andrea Nikollë Aleksi. In Greece, Eleni Boukouras is noted as being the first great female painter of post independence Greece. In 1856, Pjetër Marubi arrived in Shkodër and established the first photography museum in Albania and probably the entire Balkans, the Marubi Museum. The collection of 150,000 photographs, captured by the Albanian-Italian Marubi dynasty, offers an ensemble of photographs depicting social rituals, traditional costumes, portraits of Albanian history. The Kulla, a traditional Albanian dwelling constructed completely from natural materials, is a cultural relic from the medieval period particularly widespread in the southwestern region of Kosovo and northern region of Albania. The rectangular shape of a Kulla is produced with irregular stone ashlars, river pebbles and chestnut woods, however, the size and number of floors depends on the size of the family and their financial resources. Literature The roots of literature of the Albanian people can be traced to the Middle Ages with surviving works about history, theology and philosophy dating from the Renaissance. The earliest known use of written Albanian is a baptismal formula (1462) written by the Archbishop of Durrës Paulus Angelus. In 1555, a Catholic clergyman Gjon Buzuku from the Shestan region published the earliest known book written in Albanian titled Meshari'' (The Missal) regarding Catholic prayers and rites containing archaic medieval language, lexemes and expressions obsolete in contemporary Albanian. Other Christian clergy such as Luca Matranga in the Arbëresh diaspora published (1592) in the Tosk dialect while other notable authors were from northern Albanian lands and included Pjetër Budi, Frang Bardhi, and Pjetër Bogdani. In the 17th century and onwards, important contributions were made by the Arbëreshë people of Southern Italy who played an influential role in encouraging the Albanian Renaissance. Notable among them was figures such as Demetrio Camarda, Gabriele Dara, Girolamo de Rada, Giulio Variboba and Giuseppe Serembe who produced inspiring nationalist literature and worked to systematise the Albanian language. The Bejtexhinj in the 18th century emerged as the result of the influences of Islam and particularly Sufism orders moving towards Orientalism. Individuals such as Nezim Frakulla, Hasan Zyko Kamberi, Shahin and Dalip Frashëri compiled literature infused with expressions, language and themes on the circumstances of the time, the insecurities of the future and their discontent at the conditions of the feudal system. The Albanian Renaissance in the 19th century is remarkable both for its valuable poetic achievement and for its variety within the Albanian literature. It drew on the ideas of Romanticism and Enlightenment characterised by its emphasis on emotion and individualism as well as the interaction between nature and mankind. Dora d'Istria, Girolamo de Rada, Naim Frashëri, Naum Veqilharxhi, Sami Frashëri and Pashko Vasa maintained this movement and are remembered today for composing series of prominent works. The 20th century was centred on the principles of Modernism and Realism and characterised by the development to a more distinctive and expressive form of Albanian literature. Pioneers of the time include Asdreni, Faik Konica, Fan Noli, Lasgush Poradeci, Migjeni who chose to portray themes of contemporary life and most notably Gjergj Fishta who created the epic masterpiece Lahuta e Malcís. After World War II, Albania emerged as a communist state and Socialist realism became part of the literary scene. Authors and poets emerged such as Sejfulla Malëshova, Dritero Agolli and Ismail Kadare who has become an internationally acclaimed novelist and others who challenged the regime through various sociopolitical and historic themes in their works. Martin Camaj wrote in the diaspora while in neighbouring Yugoslavia, the emergence of Albanian cultural expression resulted in sociopolitical and poetic literature by notable authors like Adem Demaçi, Rexhep Qosja, Jusuf Buxhovi. The literary scene of the 21st century remains vibrant producing new novelists, authors, poets and other writers. Performing arts Apparel The Albanian people have incorporated various natural materials from their local agriculture and livestock as a source of attire, clothing and fabrics. Their traditional apparel was primarily influenced by nature, the lifestyle and has continuously changed since ancient times. Different regions possesses their own exceptional clothing traditions and peculiarities varied occasionally in colour, material and shape. The traditional costume of Albanian men includes a white skirt called Fustanella, a white shirt with wide sleeves, and a thin black jacket or vest such as the Xhamadan or Xhurdia. In winter, they add a warm woolen or fur coat known as Flokata or Dollama made from sheepskin or goat fur. Another authentic piece is called Tirq which is a tight pair of felt trousers mostly white, sometimes dark brown or black. The Albanian women's costumes are much more elaborate, colorful and richer in ornamentation. In all the Albanian regions the women's clothing often has been decorated with filigree ironwork, colorful embroidery, a lot of symbols and vivid accessories. A unique and ancient dress is called Xhubleta, a bell shaped skirt reaching down to the calves and worn from the shoulders with two shoulder straps at the upper part. Different traditional handmade shoes and socks were worn by the Albanian people. Opinga, leather shoes made from rough animal skin, were worn with Çorape, knitted woolen or cotton socks. Headdresses remain a contrasting and recognisable feature of Albanian traditional clothing. Albanian men wore hats of various designs, shape and size. A common headgear is a Plis and Qylafë, in contrast, Albanian women wore a Kapica adorned with jewels or embroidery on the forehead, and a Lëvere or Kryqe which usually covers the head, shoulders and neck. Wealthy Albanian women wore headdresses embellished with gems, gold or silver. Music For the Albanian people, music is a vital component to their culture and characterised by its own peculiar features and diverse melodic pattern reflecting the history, language and way of life. It rather varies from region to another with two essential stylistic differences between the music of the Ghegs and Tosks. Hence, their geographic position in Southeast Europe in combination with cultural, political and social issues is frequently expressed through music along with the accompanying instruments and dances. Albanian folk music is contrasted by the heroic tone of the Ghegs and the relaxed sounds of the Tosks. Traditional iso-polyphony perhaps represents the most noble and essential genre of the Tosks which was proclaimed a Masterpiece of the Intangible Heritage of Humanity by UNESCO. Ghegs in contrast have a reputation for a distinctive variety of sung epic poetry often about the tumultuous history of the Albanian people. There are a number of internationally acclaimed singers of ethnic Albanian origin such as Ava Max, Bebe Rexha, Dua Lipa, Era Istrefi, Rita Ora, and rappers such as Action Bronson, Dardan, Gashi and Loredana Zefi. Notable singers of Albanian origin from the former Yugoslavia include Selma Bajrami and Zana Nimani. In international competitions, Albania participated in the Eurovision Song Contest for the first time in 2004. Albanians have also represented other countries in the contest: Anna Oxa for Italy in 1989, Adrian Gaxha for North Macedonia in 2008, Ermal Meta for Italy in 2018, Eleni Foureira for Cyprus in 2018, as well as Gjon Muharremaj for Switzerland in 2020 and 2021. Kosovo has never participated, but is currently applying to become a member of the EBU and therefore debut in the contest. Religion Many different spiritual traditions, religious faiths and beliefs are practised by the Albanian people who historically have succeeded to coexist peacefully over the centuries in Southeast Europe. They are traditionally both Christians and Muslims— Catholics and Orthodox, Sunnis and Bektashis and—but also to a lesser extant Evangelicals, other Protestants and Jews, constituting one of the most religiously diverse peoples of Europe. Christianity in Albania was under the jurisdiction of the Bishop of Rome until the 8th century. Then, dioceses in Albania were transferred to the patriarchate of Constantinople. In 1054 after the schism, the north became identified with the Roman Catholic Church. Since that time all churches north of the Shkumbin river were Catholic and under the jurisdiction of the Pope. Various reasons have been put forward for the spread of Catholicism among northern Albanians. Traditional affiliation with the Latin rite and Catholic missions in central Albania in the 12th century fortified the Catholic Church against Orthodoxy, while local leaders found an ally in Catholicism against Slavic Orthodox states. After the Ottoman conquest of the Balkans, Christianity began to be overtaken by Islam, and Catholicism and Orthodoxy continued to be practiced with less frequency. During the modern era, the monarchy and communism in Albania as well as the socialism in Kosovo, historically part of Yugoslavia, followed a systematic secularisation of its people. This policy was chiefly applied within the borders of both territories and produced a secular majority of its population. All forms of Christianity, Islam and other religious practices were prohibited except for old non-institutional pagan practices in the rural areas, which were seen as identifying with the national culture. The current Albanian state has revived some pagan festivals, such as the Spring festival () held yearly on 14 March in the city of Elbasan. It is a national holiday. The communist regime which ruled Albania after World War II persecuted and suppressed religious observance and institutions, and entirely banned religion to the point where Albania was officially declared to be the world's first atheist state. Religious freedom returned to Albania following the regime's change in 1992. Albanian Sunni Muslims are found throughout the country, Albanian Orthodox Christians as well as Bektashis are concentrated in the south, while Roman Catholics are found primarily in the north of the country. According to the 2011 Census, which has been recognised as unreliable by the Council of Europe, in Albania, 58.79% of the population adheres to Islam, making it the largest religion in the country. Christianity is practiced by 16.99% of the population, making it the second largest religion in the country. The remaining population is either irreligious or belongs to other religious groups. Before World War II, there was given a distribution of 70% Muslims, 20% Eastern Orthodox, and 10% Roman Catholics. Today, Gallup Global Reports 2010 shows that religion plays a role in the lives of only 39% of Albanians, and ranks Albania the thirteenth least religious country in the world. For part of its history, Albania has also had a Jewish community. Members of the Jewish community were saved by a group of Albanians during the Nazi occupation. Many left for Israel c. 1990–1992 when the borders were opened after the fall of the communist regime, but about 200 Jews still live in Albania. See also List of Albanians History of Albania Culture of Albania Geography of Albania Notes References Citations Cited sources ← External links Books about Albania and the Albanian people (scribd.com) Reference of books (and some journal articles) about Albania and the Albanian people; their history, language, origin, culture, literature, and so on Public domain books, fully accessible online. Albanians in the Balkans U.S. Institute of Peace Report, November 2001 "The Albanians and their Territories" by The
SIGIR: Information Retrieval SIGITE: Information Technology Education SIGKDD: Knowledge Discovery and Data Mining SIGLOG: Logic and Computation SIGMETRICS: Measurement and Evaluation SIGMICRO: Microarchitecture SIGMIS: Management Information Systems SIGMM: Multimedia SIGMOBILE: Mobility of Systems, Users, Data and Computing SIGMOD: Management of Data SIGOPS: Operating Systems SIGPLAN: Programming Languages SIGSAC: Security, Audit, and Control SIGSAM: Symbolic and Algebraic Manipulation SIGSIM: Simulation and Modeling SIGSOFT: Software Engineering SIGSPATIAL: Spatial Information SIGUCCS: University and College Computing Services SIGWEB: Hypertext, Hypermedia, and Web Conferences ACM and its Special Interest Groups (SIGs) sponsors numerous conferences with 170 hosted worldwide in 2017. ACM Conferences page has an up-to-date complete list while a partial list is shown below. Most of the SIGs also have an annual conference. ACM conferences are often very popular publishing venues and are therefore very competitive. For example, the 2007 SIGGRAPH conference attracted about 30000 visitors, and CIKM only accepted 15% of the long papers that were submitted in 2005. COMPASS: International Conference on Computing and Sustainable Societies ASPLOS: International Conference on Architectural Support for Programming Languages and Operating Systems CHI: Conference on Human Factors in Computing Systems SIGCSE: SIGCSE Technical Symposium on Computer Science Education CIKM: Conference on Information and Knowledge Management DAC: Design Automation Conference DEBS: Distributed Event Based Systems FCRC: Federated Computing Research Conference GECCO: Genetic and Evolutionary Computation Conference SC: Supercomputing Conference SIGGRAPH: International Conference on Computer Graphics and Interactive Techniques Hypertext: Conference on Hypertext and Hypermedia JCDL: Joint Conference on Digital Libraries TAPIA: Richard Tapia Celebration of Diversity in Computing Conference SIGCOMM: ACM SIGCOMM Conference MobiHoc: International Symposium on Mobile Ad Hoc Networking and Computing The ACM is a co–presenter and founding partner of the Grace Hopper Celebration of Women in Computing (GHC) with the Anita Borg Institute for Women and Technology. Some conferences are hosted by ACM student branches; this includes Reflections Projections, which is hosted by UIUC ACM.. In addition, ACM sponsors regional conferences. Regional conferences facilitate increased opportunities for collaboration between nearby institutions and they are well attended. For additional non-ACM conferences, see this list of computer science conferences. Awards The ACM presents or co–presents a number of awards for outstanding technical and professional achievements and contributions in computer science and information technology. ACM A. M. Turing Award ACM – AAAI Allen Newell Award ACM Athena Lecturer Award ACM/CSTA Cutler-Bell Prize in High School Computing ACM Distinguished Service Award ACM Doctoral Dissertation Award ACM Eugene L. Lawler Award ACM Fellowship, awarded annually since 1993 ACM Gordon Bell Prize ACM Grace Murray Hopper Award ACM – IEEE CS George Michael Memorial HPC Fellowships ACM – IEEE CS Ken Kennedy Award ACM – IEEE Eckert-Mauchly Award ACM India Doctoral Dissertation Award ACM Karl V. Karlstrom Outstanding Educator Award ACM Paris Kanellakis Theory and Practice Award ACM Policy Award ACM Presidential Award ACM Prize in Computing (formerly: ACM – Infosys Foundation Award in the Computing Sciences) ACM Programming Systems and Languages Paper Award ACM Student Research Competition ACM Software System Award International Science and Engineering Fair Outstanding Contribution to ACM Award SIAM/ACM Prize in Computational Science and Engineering Over 30 of ACM's Special Interest Groups also award individuals for their contributions with a few listed below. ACM Alan D. Berenbaum Distinguished Service Award ACM Maurice Wilkes Award ISCA Influential Paper Award Leadership The President of ACM for 2020–2022 is Gabriele Kotsis, Professor at the Johannes Kepler University Linz. She is successor of Cherri M. Pancake (2018–2020), Professor Emeritus at Oregon State University and Director of the Northwest Alliance for Computational Science and Engineering (NACSE); Vicki L. Hanson (2016–2018), Distinguished Professor at the Rochester Institute of Technology and Visiting Professor at the University of Dundee; Alexander L. Wolf (2014–2016), Dean of the Jack Baskin School of Engineering at the University of California, Santa Cruz; Vint Cerf (2012–2014), an American computer scientist who is recognized as one of "the fathers of the Internet"; Alain Chesnais (2010–2012), a French citizen living in Toronto, Ontario, Canada, where he runs his company named Visual Transitions; and Dame Wendy Hall of the University of Southampton, UK (2008–2010). ACM is led by a Council consisting of the President, Vice-President, Treasurer, Past President, SIG Governing Board Chair, Publications Board Chair, three representatives of the SIG Governing Board, and seven Members–At–Large. This institution is often referred to simply as "Council" in Communications of the ACM. Infrastructure ACM has five "Boards" that make up various committees and subgroups, to help Headquarters staff maintain quality services and products. These boards are as follows: Publications Board SIG Governing Board Education Board Membership Services Board Practitioners Board ACM Council on Women in Computing ACM-W, the ACM council on women in computing, supports, celebrates, and advocates internationally for the full engagement of women in computing. ACM–W's main programs are regional celebrations of women in computing, ACM-W chapters, and scholarships for women CS students to attend research conferences. In India and Europe these activities are overseen by ACM-W India and ACM-W Europe respectively. ACM-W collaborates with organizations such as the Anita Borg Institute, the National Center for Women & Information Technology (NCWIT), and Committee on the Status of Women in Computing Research (CRA-W). Athena Lectures The ACM-W gives an annual Athena Lecturer Award to honor outstanding women researchers who have made fundamental contributions to computer science. This program began in 2006. Speakers are nominated by SIG officers. 2006–2007:
ACM members with at least 10 years of professional experience and 5 years of continuous Professional Membership who have demonstrated performance through technical leadership, and technical or professional contributions". Senior membership also requires 3 letters of reference Distinguished Speakers While not technically a membership grade, the ACM recognizes distinguished speakers on topics in computer science. A distinguished speaker is appointed for a three-year period. There are usually about 125 current distinguished speakers. The ACM website describes these people as 'Renowned International Thought Leaders'. The distinguished speakers program (DSP) has been in existence for over 20 years and serves as an outreach program that brings renowned experts from Academia, Industry and Government to present on the topic of their expertise. The DSP is overseen by a committee Chapters ACM has three kinds of chapters: Special Interest Groups, Professional Chapters, and Student Chapters. , ACM has professional & SIG Chapters in 56 countries. , there exist ACM student chapters in 41 different countries. Special Interest Groups SIGACCESS: Accessible Computing SIGACT: Algorithms and Computation Theory SIGAda: Ada Programming Language SIGAI: Artificial Intelligence SIGAPP: Applied Computing SIGARCH: Computer Architecture SIGBED: Embedded Systems SIGBio: Bioinformatics SIGCAS: Computers and Society SIGCHI: Computer–Human Interaction SIGCOMM: Data Communication SIGCSE: Computer Science Education SIGDA: Design Automation SIGDOC: Design of Communication SIGecom: Electronic Commerce SIGEVO: Genetic and Evolutionary Computation SIGGRAPH: Computer Graphics and Interactive Techniques SIGHPC: High Performance Computing SIGIR: Information Retrieval SIGITE: Information Technology Education SIGKDD: Knowledge Discovery and Data Mining SIGLOG: Logic and Computation SIGMETRICS: Measurement and Evaluation SIGMICRO: Microarchitecture SIGMIS: Management Information Systems SIGMM: Multimedia SIGMOBILE: Mobility of Systems, Users, Data and Computing SIGMOD: Management of Data SIGOPS: Operating Systems SIGPLAN: Programming Languages SIGSAC: Security, Audit, and Control SIGSAM: Symbolic and Algebraic Manipulation SIGSIM: Simulation and Modeling SIGSOFT: Software Engineering SIGSPATIAL: Spatial Information SIGUCCS: University and College Computing Services SIGWEB: Hypertext, Hypermedia, and Web Conferences ACM and its Special Interest Groups (SIGs) sponsors numerous conferences with 170 hosted worldwide in 2017. ACM Conferences page has an up-to-date complete list while a partial list is shown below. Most of the SIGs also have an annual conference. ACM conferences are often very popular publishing venues and are therefore very competitive. For example, the 2007 SIGGRAPH conference attracted about 30000 visitors, and CIKM only accepted 15% of the long papers that were submitted in 2005. COMPASS: International Conference on Computing and Sustainable Societies ASPLOS: International Conference on Architectural Support for Programming Languages and Operating Systems CHI: Conference on Human Factors in Computing Systems SIGCSE: SIGCSE Technical Symposium on Computer Science Education CIKM: Conference on Information and Knowledge Management DAC: Design Automation Conference DEBS: Distributed Event Based Systems FCRC: Federated Computing Research Conference GECCO: Genetic and Evolutionary Computation Conference SC: Supercomputing Conference SIGGRAPH: International Conference on Computer Graphics and Interactive Techniques Hypertext: Conference on Hypertext and Hypermedia JCDL: Joint Conference on Digital Libraries TAPIA: Richard Tapia Celebration of Diversity in Computing Conference SIGCOMM: ACM SIGCOMM Conference MobiHoc: International Symposium on Mobile Ad Hoc Networking and Computing The ACM is a co–presenter and founding partner of the Grace Hopper Celebration of Women in Computing (GHC) with the Anita Borg Institute for Women and Technology. Some conferences are hosted by ACM student branches; this includes Reflections Projections, which is hosted by UIUC ACM.. In addition, ACM sponsors regional conferences. Regional conferences facilitate increased opportunities for collaboration between nearby institutions and they are well attended. For additional non-ACM conferences, see this list of computer science conferences. Awards The ACM presents or co–presents a number of awards for outstanding technical and professional achievements and contributions in computer science and information technology. ACM A. M. Turing Award ACM – AAAI Allen Newell Award ACM Athena Lecturer Award ACM/CSTA Cutler-Bell Prize in High School Computing ACM Distinguished Service Award ACM Doctoral Dissertation Award ACM Eugene L. Lawler Award ACM Fellowship, awarded annually since 1993 ACM Gordon Bell Prize ACM Grace Murray Hopper Award ACM – IEEE CS George Michael Memorial HPC Fellowships ACM – IEEE CS Ken Kennedy Award ACM – IEEE Eckert-Mauchly Award ACM India Doctoral Dissertation Award ACM Karl V. Karlstrom Outstanding Educator Award ACM Paris Kanellakis Theory and Practice Award ACM Policy Award ACM Presidential Award ACM Prize in Computing (formerly: ACM – Infosys Foundation Award in the Computing Sciences) ACM Programming Systems and Languages Paper Award ACM Student Research Competition ACM Software System Award International Science and Engineering Fair Outstanding Contribution to ACM Award SIAM/ACM Prize in Computational Science and Engineering Over 30 of ACM's Special Interest Groups also award individuals for their contributions with a few listed below. ACM Alan D. Berenbaum Distinguished Service Award ACM Maurice Wilkes Award ISCA Influential Paper Award Leadership The President of ACM for 2020–2022 is Gabriele Kotsis, Professor at the Johannes Kepler University Linz. She is successor of Cherri M. Pancake (2018–2020), Professor Emeritus at Oregon State University and Director of the
of origin is January 21, 1525, when Conrad Grebel baptized George Blaurock, and Blaurock in turn baptized several others immediately. These baptisms were the first "re-baptisms" known in the movement. This continues to be the most widely accepted date posited for the establishment of Anabaptism. Polygenesis James M. Stayer, Werner O. Packull, and Klaus Deppermann disputed the idea of a single origin of Anabaptists in a 1975 essay entitled "From Monogenesis to Polygenesis", suggesting that February 24, 1527, at Schleitheim is the proper date of the origin of Anabaptism. On this date the Swiss Brethren wrote a declaration of belief called the Schleitheim Confession. The authors of the essay noted the agreement among previous Anabaptist historians on polygenesis, even when disputing the date for a single starting point: "Hillerbrand and Bender (like Holl and Troeltsch) were in agreement that there was a single dispersion of Anabaptism ..., which certainly ran through Zurich. The only question was whether or not it went back further to Saxony." After criticizing the standard polygenetic history, the authors found six groups in early Anabaptism which could be collapsed into three originating "points of departure": "South German Anabaptism, the Swiss Brethren, and the Melchiorites". According to their polygenesis theory, South German–Austrian Anabaptism "was a diluted form of Rhineland mysticism", Swiss Anabaptism "arose out of Reformed congregationalism", and Dutch Anabaptism was formed by "Social unrest and the apocalyptic visions of Melchior Hoffman". As examples of how the Anabaptist movement was influenced from sources other than the Swiss Brethren movement, mention has been made of how Pilgram Marpeck's of 1542 was deeply influenced by the of 1533 by Münster theologian Bernhard Rothmann. Melchior Hoffman influenced the Hutterites when they used his commentary on the Apocalypse shortly after he wrote it. Others who have written in support of polygenesis include Grete Mecenseffy and Walter Klaassen, who established links between Thomas Müntzer and Hans Hut. In another work, Gottfried Seebaß and Werner Packull showed the influence of Thomas Müntzer on the formation of South German Anabaptism. Similarly, author Steven Ozment linked Hans Denck and Hans Hut with Thomas Müntzer, Sebastian Franck, and others. Author Calvin Pater showed how Andreas Karlstadt influenced Swiss Anabaptism in various areas, including his view of Scripture, doctrine of the church, and views on baptism. Several historians, including Thor Hall, Kenneth Davis, and Robert Kreider, have also noted the influence of Humanism on Radical Reformers in the three originating points of departure to account for how this brand of reform could develop independently from each other. Relatively recent research, begun in a more advanced and deliberate manner by Andrew P. Klager, also explores how the influence and a particular reading of the Church Fathers contributed to the development of distinctly Anabaptist beliefs and practices in separate regions of Europe in the early 16th century, including by Menno Simons in the Netherlands, Conrad Grebel in Switzerland, Thomas Müntzer in central Germany, Pilgram Marpeck in the Tyrol, Peter Walpot in Moravia, and especially Balthasar Hubmaier in southern Germany, Switzerland, and Moravia. Apostolic succession Baptist successionists have, at times, pointed to 16th-century Anabaptists as part of an apostolic succession of churches ("church perpetuity") from the time of Christ. This view is held by some Baptists, some Mennonites, and a number of "true church" movements. The opponents of the Baptist successionism theory emphasize that these non-Catholic groups clearly differed from each other, that they held some heretical views, or that the groups had no connection with one another and had origins that were separate both in time and in place. A different strain of successionism is the theory that the Anabaptists are of Waldensian origin. Some hold the idea that the Waldensians are part of the apostolic succession, while others simply believe they were an independent group out of whom the Anabaptists arose. Ludwig Keller, Thomas M. Lindsay, H. C. Vedder, Delbert Grätz, John T. Christian and Thieleman J. van Braght (author of Martyrs Mirror) all held, in varying degrees, the position that the Anabaptists were of Waldensian origin. History Switzerland Anabaptism in Switzerland began as an offshoot of the church reforms instigated by Ulrich Zwingli. As early as 1522 it became evident that Zwingli was on a path of reform preaching when he began to question or criticize such Catholic practices as tithes, the mass, and even infant baptism. Zwingli had gathered a group of reform-minded men around him, with whom he studied classical literature and the scriptures. However, some of these young men began to feel that Zwingli was not moving fast enough in his reform. The division between Zwingli and his more radical disciples became apparent in an October 1523 disputation held in Zurich. When the discussion of the mass was about to be ended without making any actual change in practice, Conrad Grebel stood up and asked "what should be done about the mass?" Zwingli responded by saying the council would make that decision. At this point, Simon Stumpf, a radical priest from Höngg, answered saying, "The decision has already been made by the Spirit of God." This incident illustrated clearly that Zwingli and his more radical disciples had different expectations. To Zwingli, the reforms would only go as fast as the city Council allowed them. To the radicals, the council had no right to make that decision, but rather the Bible was the final authority of church reform. Feeling frustrated, some of them began to meet on their own for Bible study. As early as 1523, William Reublin began to preach against infant baptism in villages surrounding Zurich, encouraging parents to not baptize their children. Seeking fellowship with other reform-minded people, the radical group wrote letters to Martin Luther, Andreas Karlstadt, and Thomas Müntzer. Felix Manz began to publish some of Karlstadt's writings in Zurich in late 1524. By this time the question of infant baptism had become agitated and the Zurich council had instructed Zwingli to meet weekly with those who rejected infant baptism "until the matter could be resolved". Zwingli broke off the meetings after two sessions, and Felix Manz petitioned the council to find a solution, since he felt Zwingli was too hard to work with. The council then called a meeting for January 17, 1525. The Council ruled in this meeting that all who continued to refuse to baptize their infants should be expelled from Zurich if they did not have them baptized within one week. Since Conrad Grebel had refused to baptize his daughter Rachel, born on January 5, 1525, the Council decision was extremely personal to him and others who had not baptized their children. Thus, when sixteen of the radicals met on Saturday evening, January 21, 1525, the situation seemed particularly dark. The Hutterian Chronicle records the event: Afterwards Blaurock was baptized, he in turn baptized others at the meeting. Even though some had rejected infant baptism before this date, these baptisms marked the first re-baptisms of those who had been baptized as infants and thus, technically, Swiss Anabaptism was born on that day. Tyrol Anabaptism appears to have come to Tyrol through the labors of George Blaurock. Similar to the German Peasants' War, the Gaismair uprising set the stage by producing a hope for social justice. Michael Gaismair had tried to bring religious, political, and economical reform through a violent peasant uprising, but the movement was squashed. Although little hard evidence exists of a direct connection between Gaismair's uprising and Tyrolian Anabaptism, at least a few of the peasants involved in the uprising later became Anabaptists. While a connection between a violent social revolution and non-resistant Anabaptism may be hard to imagine, the common link was the desire for a radical change in the prevailing social injustices. Disappointed with the failure of armed revolt, Anabaptist ideals of an alternative peaceful, just society probably resonated on the ears of the disappointed peasants. Before Anabaptism proper was introduced to South Tyrol, Protestant ideas had been propagated in the region by men such as Hans Vischer, a former Dominican. Some of those who participated in conventicles where Protestant ideas were presented later became Anabaptists. As well, the population in general seemed to have a favorable attitude towards reform, be it Protestant or Anabaptist. George Blaurock appears to have preached itinerantly in the Puster Valley region in 1527, which most likely was the first introduction of Anabaptist ideas in the area. Another visit through the area in 1529 reinforced these ideas, but he was captured and burned at the stake in Klausen on September 6, 1529. Jacob Hutter was one of the early converts in South Tyrol, and later became a leader among the Hutterites, who received their name from him. Hutter made several trips between Moravia and Tyrol, and most of the Anabaptists in South Tyrol ended up emigrating to Moravia because of the fierce persecution unleashed by Ferdinand I. In November 1535, Hutter was captured near Klausen and taken to Innsbruck where he was burned at the stake on February 25, 1536. By 1540 Anabaptism in South Tyrol was beginning to die out, largely because of the emigration to Moravia of the converts because of incessant persecution. Low Countries and northern Germany Melchior Hoffman is credited with the introduction of Anabaptist ideas into the Low Countries. Hoffman had picked up Lutheran and Reformed ideas, but on April 23, 1530 he was "re-baptized" at Strasbourg and within two months had gone to Emden and baptized about 300 persons. For several years Hoffman preached in the Low Countries until he was arrested and imprisoned at Strasbourg, where he died about 10 years later. Hoffman's apocalyptic ideas were indirectly related to the Münster Rebellion, even though he was "of a different spirit". Obbe and Dirk Philips had been baptized by disciples of Jan Matthijs, but were opposed to the violence that occurred at Münster. Obbe later became disillusioned with Anabaptism and withdrew from the movement in about 1540, but not before ordaining David Joris, his brother Dirk, and Menno Simons, the latter from whom the Mennonites received their name. David Joris and Menno Simons parted ways, with Joris placing more emphasis on "spirit and prophecy", while Menno emphasized the authority of the Bible. For the Mennonite side, the emphasis on the "inner" and "spiritual" permitted compromise to "escape persecution", while to the Joris side, the Mennonites were under the "dead letter of the Scripture". Because of persecution and expansion, some of the Low Country Mennonites emigrated to Vistula delta, a region settled by Germans but under Polish rule until it became part of Prussia in 1772. There they formed the Vistula delta Mennonites integrating some other Mennonites mainly from Northern Germany. In the late 18th century, several thousand of them migrated from there to Ukraine (which at the time was part of Russia) forming the so-called Russian Mennonites. Beginning in 1874, many of them emigrated to the prairie states and provinces of the United States and Canada. In the 1920s, the conservative faction of the Canadian settlers went to Mexico and Paraguay. Beginning in the 1950s, the most conservative of them started to migrate to Bolivia. In 1958, Mexican Mennonites migrated to Belize. Since the 1980s, traditional Russian Mennonites migrated to Argentina. Smaller groups went to Brazil and Uruguay. In 2015, some Mennonites from Bolivia settled in Peru. In 2018, there are more than 200,000 of them living in colonies in Central and South America. Moravia, Bohemia and Silesia Although Moravian Anabaptism was a transplant from other areas of Europe, Moravia soon became a center for the growing movement, largely because of the greater religious tolerance found there. Hans Hut was an early evangelist in the area, with one historian crediting him with baptizing more converts in two years than all the other Anabaptist evangelists put together. The coming of Balthasar Hübmaier to Nikolsburg was a definite boost for Anabaptist ideas to the area. With the great influx of religious refugees from all over Europe, many variations of Anabaptism appeared in Moravia, with Jarold Zeman documenting at least ten slightly different versions. Soon, one-eyed Jacob Wiedemann appeared at Nikolsburg, and began to teach the pacifistic convictions of the Swiss Brethren, on which Hübmaier had been less authoritative. This would lead to a division between the (sword-bearing) and the (staff-bearing). Wiedemann and those with him also promoted the practice of community of goods. With orders from the lords of Liechtenstein to leave Nikolsburg, about 200 withdrew to Moravia to form a community at Austerlitz. Persecution in South Tyrol brought many refugees to Moravia, many of whom formed into communities that practised community of goods. Jacob Hutter was instrumental in organizing these into what became known as the Hutterites. But others came from Silesia, Switzerland, German lands, and the Low Countries. With the passing of time and
to predict a 1528 coming of the kingdom of God. When the prediction failed, some of his converts became discouraged and left the Anabaptist movement. The large congregation of Anabaptists at Augsburg fell apart (partly because of persecution) and those who stayed with Anabaptist ideas were absorbed into Swiss and Moravia Anabaptist congregations. Pilgram Marpeck was another notable leader in early South German Anabaptism who attempted to steer between the two extremes of Denck's inner Holiness and the legalistic standards of the other Anabaptists. Persecutions and migrations Roman Catholics and Protestants alike persecuted the Anabaptists, resorting to torture and execution in attempts to curb the growth of the movement. The Protestants under Zwingli were the first to persecute the Anabaptists, with Felix Manz becoming the first Anabaptist martyr in 1527. On May 20 or 21, 1527, Roman Catholic authorities executed Michael Sattler. King Ferdinand declared drowning (called the third baptism) "the best antidote to Anabaptism". The Tudor regime, even the Protestant monarchs (Edward VI of England and Elizabeth I of England), persecuted Anabaptists as they were deemed too radical and therefore a danger to religious stability. The persecution of Anabaptists was condoned by the ancient laws of Theodosius I and Justinian I which were passed against the Donatists, and decreed the death penalty for anyone who practised rebaptism. Martyrs Mirror, by Thieleman J. van Braght, describes the persecution and execution of thousands of Anabaptists in various parts of Europe between 1525 and 1660. Continuing persecution in Europe was largely responsible for the mass emigrations to North America by the Amish, Hutterites, and Mennonites. Unlike Calvinists, Anabaptists failed to gain recognition in the Peace of Westphalia of 1648 and as a result, they continued to be persecuted in Europe long after that treaty was signed. Anabaptism stands out among other groups of martyrs, in the fact that during the reform in the 16th and 17th centuries, 30 to 40 percent of martyrs were women. Types Different types exist among the Anabaptists, although the categorizations tend to vary with the scholar's viewpoint on origins. Estep claims that in order to understand Anabaptism, one must "distinguish between the Anabaptists, inspirationists, and rationalists". He classes the likes of Blaurock, Grebel, Balthasar Hubmaier, Manz, Marpeck, and Simons as Anabaptists. He groups Müntzer, Storch, et al. as inspirationists, and anti-trinitarians such as Michael Servetus, Juan de Valdés, Sebastian Castellio, and Faustus Socinus as rationalists. Mark S. Ritchie follows this line of thought, saying, "The Anabaptists were one of several branches of 'Radical' reformers (i.e. reformers that went further than the mainstream Reformers) to arise out of the Renaissance and Reformation. Two other branches were Spirituals or Inspirationists, who believed that they had received direct revelation from the Spirit, and rationalists or anti-Trinitarians, who rebelled against traditional Christian doctrine, like Michael Servetus." Those of the polygenesis viewpoint use Anabaptist to define the larger movement, and include the inspirationists and rationalists as true Anabaptists. James M. Stayer used the term Anabaptist for those who rebaptized persons already "baptized" in infancy. Walter Klaassen was perhaps the first Mennonite scholar to define Anabaptists that way in his 1960 Oxford dissertation. This represents a rejection of the previous standard held by Mennonite scholars such as Bender and Friedmann. Another method of categorization acknowledges regional variations, such as Swiss Brethren (Grebel, Manz), Dutch and Frisian Anabaptism (Menno Simons, Dirk Philips), and South German Anabaptism (Hübmaier, Marpeck). Historians and sociologists have made further distinctions between radical Anabaptists, who were prepared to use violence in their attempts to build a New Jerusalem, and their pacifist brethren, later broadly known as Mennonites. Radical Anabaptist groups included the Münsterites, who occupied and held the German city of Münster in 1534–1535, and the Batenburgers, who persisted in various guises as late as the 1570s. Spirituality Charismatic manifestations Within the inspirationist wing of the Anabaptist movement, it was not unusual for charismatic manifestations to appear, such as dancing, falling under the power of the Holy Spirit, "prophetic processions" (at Zurich in 1525, at Munster in 1534 and at Amsterdam in 1535), and speaking in tongues. In Germany some Anabaptists, "excited by mass hypnosis, experienced healings, glossolalia, contortions and other manifestations of a camp-meeting revival". The Anabaptist congregations that later developed into the Mennonite and Hutterite churches tended not to promote these manifestations, but did not totally reject the miraculous. Pilgram Marpeck, for example, wrote against the exclusion of miracles: "Nor does Scripture assert this exclusion ... God has a free hand even in these last days." Referring to some who had been raised from the dead, he wrote: "Many of them have remained constant, enduring tortures inflicted by sword, rope, fire and water and suffering terrible, tyrannical, unheard-of deaths and martyrdoms, all of which they could easily have avoided by recantation. Moreover one also marvels when he sees how the faithful God (Who, after all, overflows with goodness) raises from the dead several such brothers and sisters of Christ after they were hanged, drowned, or killed in other ways. Even today, they are found alive and we can hear their own testimony ... Cannot everyone who sees, even the blind, say with a good conscience that such things are a powerful, unusual, and miraculous act of God? Those who would deny it must be hardened men." The Hutterite Chronicle and the Martyrs Mirror record several accounts of miraculous events, such as when a man named Martin prophesied while being led across a bridge to his execution in 1531: "this once yet the pious are led over this bridge, but no more hereafter". Just "a short time afterwards such a violent storm and flood came that the bridge was demolished". Holy Spirit leadership The Anabaptists insisted upon the "free course" of the Holy Spirit in worship, yet still maintained it all must be judged according to the Scriptures. The Swiss Anabaptist document titled "Answer of Some Who Are Called (Ana-)Baptists – Why They Do Not Attend the Churches". One reason given for not attending the state churches was that these institutions forbade the congregation to exercise spiritual gifts according to "the Christian order as taught in the gospel or the Word of God in 1 Corinthians 14". "When such believers come together, 'Everyone of you (note every one) hath a psalm, hath a doctrine, hath a revelation, hath an interpretation', and so on. When someone comes to church and constantly hears only one person speaking, and all the listeners are silent, neither speaking nor prophesying, who can or will regard or confess the same to be a spiritual congregation, or confess according to 1 Corinthians 14 that God is dwelling and operating in them through His Holy Spirit with His gifts, impelling them one after another in the above-mentioned order of speaking and prophesying." Today Anabaptists Among the Anabaptist groups still present are mainly the Amish, certain Brethren churches, Hutterites and Mennonites. Schwarzenau Brethren and River Brethren emerged in the 18th century under Anabaptist influence and adopted many Anabaptist practices and lifestyles. According to Rod Dreher, the same is true for the Bruderhof Communities that emerged in the early 20th century. Sometimes the Apostolic Christian Church is seen as ("Neo-Anabaptist"). Some historical connections have been demonstrated for all of these spiritual descendants, though perhaps not as clearly as the earliest institutionally lineal descendants. Although many see the more well-known Anabaptist groups (Amish, Hutterites and Mennonites) as ethnic groups, only the Amish and the Hutterites today are composed mainly of descendants of the European Anabaptists, while among the Mennonites there are Ethnic Mennonites and others who are not. Brethren groups have mostly lost their ethnic distinctiveness. In 2018, there would be 2,13 million baptized Anabaptists in 86 countries. The Bruderhof Communities were founded in Germany by Eberhard Arnold in 1920, establishing and organisationally joining the Hutterites in 1930. The group moved to England after the Gestapo confiscated their property in 1933, and they subsequently moved to Paraguay in order to avoid military conscription, and after World War II, they moved to the United States. Groups which are derived from the Schwarzenau Brethren, often called German Baptists, while not directly descended from the 16th-century Anabaptists, are usually considered Anabaptist because their doctrine and practice are almost identical to the doctrine and practice of Anabaptism. The modern-day Brethren movement is a combination of Anabaptism and Radical Pietism. Similar groups The relationship between Baptists and Anabaptists was originally strained. In
Organizations Academy of Natural Sciences of Philadelphia, Pennsylvania, United States Astronomical Netherlands Satellite, a Dutch X-ray satellite American Nuclear Society American Numismatic Society, formerly the American Numismatic and Archaeological Society Artificial neural system, or Artificial neural network Technology , an unofficial file extension for ANSI art Advanced Network and Services, a non-profit network service provider in the 1990s American National Standards, defined by the American National Standards Institute ans, a variable in MATLAB, created automatically when no output argument is specified, referring to the most recent answer ANS carriage control characters (or ASA control characters), for computer line printers Asymmetric numeral systems, coding in data compression Authoritative name server, a DNS server Transport Ainsdale railway station, England (by station code) Andahuaylas Airport, Peru (by IATA code) Air Navigation Services, as delivered by an Air Navigation Service Provider (ANSP) Arts, entertainment, and media Algemeen Nijmeegs Studentenblad, a Dutch student magazine ANS Group of Companies, a news organization in Azerbaijan Music ANS (album), a box set from the British band Coil ANS synthesizer, a Russian photoelectric musical instrument ANS
in the leucocyanidin biosynthetis pathway Approximate number system, a hypothesized physiological basis for the sense of number Autonomic nervous system, part of the peripheral nervous system in the body Research and Professional Organizations Academy of Natural Sciences of Philadelphia, Pennsylvania, United States Astronomical Netherlands Satellite, a Dutch X-ray satellite American Nuclear Society American Numismatic Society, formerly the American Numismatic and Archaeological Society Artificial neural system, or Artificial neural network Technology , an unofficial file extension for ANSI art Advanced Network and Services, a non-profit network service provider in the 1990s American National Standards, defined by the American National Standards Institute ans, a variable in MATLAB, created automatically when no output argument is specified, referring to the most recent answer ANS carriage control characters (or ASA control characters), for computer line printers Asymmetric numeral systems, coding in data compression Authoritative name server, a
Island National Monument and Misty Fjords National Monument), Glacier Bay National Park, Sitka National Historical Park, Alaska's Inside Passage, and myriad large and small islands. It is the sixth largest national park in the United States. On August 20, 1902, President Theodore Roosevelt established the Alexander Archipelago Forest Reserve, which formed the heart of the Tongass National Forest that covers most of the region. Glacier Bay National Park and Preserve Klondike Gold Rush National Historical Park Sitka National Historical Park Wrangell–St. Elias National Park and Preserve (part, the most southeastern section only) Admiralty Island National Monument Misty Fjords National Monument Climate The climate of Southeast Alaska is dominated by a mid-latitude oceanic climate (Köppen Cfb) in the south, an oceanic, marine sub-polar climate (Köppen Cfc) in the central region around Juneau, and a subarctic climate (Köppen Dfc) to the far northwest and the interior highlands of the archipelago. Southeast Alaska is also the only region in Alaska where the average daytime high temperature is above freezing during the winter months, except for in the southern parts of the Aleutian islands such as Unalaska. Ecology Southeast Alaska is a temperate rain forest within the Pacific temperate rain forest zone, as classified by the World Wildlife Fund's ecoregion system, which extends from northern California to Prince William Sound. The most common tree species are sitka spruce and western hemlock. Wildlife includes brown bears, black bears, endemic Alexander Archipelago wolf packs, Sitka black-tailed deer, humpback whales, orcas, five species of salmon, bald eagles, harlequin ducks, scoters, and marbled murrelets. The Ecological Atlas of Southeast Alaska, published by Audubon Alaska in 2016, offers an overview of the region's landscape, birds, wildlife, human uses, climate change, and more, synthesizing data from agencies and a variety of other sources. Culture This area is the traditional homeland of the Tlingit, and home of a historic settling of Haida as well as a modern settlement of Tsimshian. The region is closely connected to Seattle and the American Pacific Northwest economically and culturally. Industry Major industries in Southeast Alaska include commercial fishing and tourism (primarily the cruise ship industry). Logging Logging has been an important industry in the past, but has been steadily declining with competition from other areas and the closure of the region's major pulp mills; the Alaska Forest Association described the situation as "desperate" in 2011. Its members include Alcan Forest Products (owned by Canadian Transpac Group, one of the top 5 log exporters in North America) and Viking Lumber, which is based in Craig, Alaska. Debates over whether to expand logging in the federally owned Tongass are not uncommon. Mining Mining remains important in the northern area with the Juneau mining district and Admiralty mining district hosting active mines as of 2015. Gold was discovered in 1880 and played an important part in the early history of the region. In the 2010s, mines increasingly began to be explored and eventually completed in neighboring British Columbia, upstream of important rivers such as the Unuk and the Stikine, which became known as the transboundary mining issue. In 2014, the dam breach at the Mount Polley mine focused attention on the issue, and an agreement between Canada and Alaska was drafted in 2015. The proposed Kerr Sulphurets Mitchell exploration is upstream of the Unuk. Mines upstream of the Stikine include the Red Chris, which is owned by the same company (Imperial Metals) as the Mount Polley mine. History The border between Alaska and the Canadian province of British Columbia was the subject of the Alaska boundary dispute, where the United States and the United Kingdom claimed different borderlines at the Alaskan panhandle. While the British foreign affairs were in favor of support of the Canadian argument, the event resulted in what was thought of as a betrayal, leading to alienation of the British from the new nation of Canada. Transportation Due to the extremely rugged, mountainous nature of Southeastern Alaska, almost all communities (with the exception of Hyder, Skagway, and Haines) have no road connections outside of their locale, so aircraft and boats are the major means of transport. The Alaska Marine Highway passes through this region. Air transportation Alaska Airlines is by far the largest air carrier in the region, with Juneau's Juneau International Airport serving as the aerial hub for all of Southeast and Ketchikan's Ketchikan International Airport serving as a secondary
Wrangell–St. Elias National Park and Preserve (part, the most southeastern section only) Admiralty Island National Monument Misty Fjords National Monument Climate The climate of Southeast Alaska is dominated by a mid-latitude oceanic climate (Köppen Cfb) in the south, an oceanic, marine sub-polar climate (Köppen Cfc) in the central region around Juneau, and a subarctic climate (Köppen Dfc) to the far northwest and the interior highlands of the archipelago. Southeast Alaska is also the only region in Alaska where the average daytime high temperature is above freezing during the winter months, except for in the southern parts of the Aleutian islands such as Unalaska. Ecology Southeast Alaska is a temperate rain forest within the Pacific temperate rain forest zone, as classified by the World Wildlife Fund's ecoregion system, which extends from northern California to Prince William Sound. The most common tree species are sitka spruce and western hemlock. Wildlife includes brown bears, black bears, endemic Alexander Archipelago wolf packs, Sitka black-tailed deer, humpback whales, orcas, five species of salmon, bald eagles, harlequin ducks, scoters, and marbled murrelets. The Ecological Atlas of Southeast Alaska, published by Audubon Alaska in 2016, offers an overview of the region's landscape, birds, wildlife, human uses, climate change, and more, synthesizing data from agencies and a variety of other sources. Culture This area is the traditional homeland of the Tlingit, and home of a historic settling of Haida as well as a modern settlement of Tsimshian. The region is closely connected to Seattle and the American Pacific Northwest economically and culturally. Industry Major industries in Southeast Alaska include commercial fishing and tourism (primarily the cruise ship industry). Logging Logging has been an important industry in the past, but has been steadily declining with competition from other areas and the closure of the region's major pulp mills; the Alaska Forest Association described the situation as "desperate" in 2011. Its members include Alcan Forest Products (owned by Canadian Transpac Group, one of the top 5 log exporters in North America) and Viking Lumber, which is based in Craig, Alaska. Debates over whether to expand logging in the federally owned Tongass are not uncommon. Mining Mining remains important in the northern area with the Juneau mining district and Admiralty mining district hosting active mines as of 2015. Gold was discovered in 1880 and played an important part in the early history of the region. In the 2010s, mines increasingly began to be explored and eventually completed in neighboring British Columbia, upstream of important rivers such as the Unuk and the Stikine, which became known as the transboundary mining issue. In 2014, the dam breach at the Mount Polley mine focused attention on the issue, and an agreement between Canada and Alaska was drafted in 2015. The proposed Kerr Sulphurets Mitchell exploration is upstream of the Unuk. Mines upstream of
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this comes in the form of snow during the winter. Most storms in the interior of Alaska originate in the Gulf of Alaska, south of the state, though these storms often have limited precipitation due to a rain shadow effect caused by the Alaska Range. On clear winter nights, the aurora borealis can often be seen dancing in the sky. Like all subarctic regions, the months from May to July in the summer have no night, only a twilight during the night hours. The months of November to January have little daylight. Fairbanks receives an average 21 hours of daylight between May 10 and August 2 each summer, and an average of less than four hours of daylight between November 18 and January 24 each winter. The interior of Alaska is largely underlined by discontinuous permafrost, which grades to continuous permafrost as the Arctic Circle is approached. Alaska Natives While the vast majority of indigenous Native people of Interior Alaska are Athabaskan Indians, large Yup'ik and Iñupiaq populations reside in Fairbanks. The federally recognized tribes of Interior Alaska: Council of Athabascan Tribal Governments (CATG): Beaver Village, Birch Creek Tribe, Circle Native Community, Native Village of Fort Yukon, Native Village of Venetie Tribal Government (also known as Arctic Village and Village of Venetie). Tanana Chiefs Conference (TCC): Allakaket Village, Alatna Village, Village of Anaktuvuk Pass, Chalkyitsik Village, Village of Dot Lake, Native Village of Eagle, Evansville Village (also known as Bettles Field), Galena Village (also known as Louden Village), Healy
out as they are often far from populated areas. The 2004 season set a new record with over burned. The average annual precipitation in Fairbanks is 11.3 inches (28.7 cm). Most of this comes in the form of snow during the winter. Most storms in the interior of Alaska originate in the Gulf of Alaska, south of the state, though these storms often have limited precipitation due to a rain shadow effect caused by the Alaska Range. On clear winter nights, the aurora borealis can often be seen dancing in the sky. Like all subarctic regions, the months from May to July in the summer have no night, only a twilight during the night hours. The months of November to January have little daylight. Fairbanks receives an average 21 hours of daylight between May 10 and August 2 each summer, and an average of less than four hours of daylight between November 18 and January 24 each winter. The interior of Alaska is largely underlined by discontinuous permafrost, which grades to continuous permafrost as the Arctic Circle is approached. Alaska Natives While the vast majority of indigenous Native people of Interior Alaska are Athabaskan Indians, large Yup'ik and Iñupiaq populations reside in Fairbanks. The federally recognized tribes of Interior Alaska: Council of Athabascan Tribal Governments (CATG): Beaver Village, Birch Creek Tribe, Circle Native Community, Native Village of Fort Yukon, Native Village of Venetie Tribal Government (also known as Arctic Village and Village of Venetie). Tanana Chiefs Conference (TCC): Allakaket Village, Alatna Village, Village of Anaktuvuk Pass, Chalkyitsik Village, Village of Dot Lake, Native Village of Eagle, Evansville Village (also known as Bettles Field), Galena
original text is found in the preface Blake wrote for inclusion with Milton, a Poem, following the lines beginning "The Stolen and Perverted Writings of Homer & Ovid: of Plato & Cicero, which all Men ought to contemn: ..." Blake's poem Beneath the poem Blake inscribed a quotation from the Bible: "Dark Satanic Mills" The phrase "dark Satanic Mills", which entered the English language from this poem, is often interpreted as referring to the early Industrial Revolution and its destruction of nature and human relationships. This view has been linked to the fate of the Albion Flour Mills in Southwark, the first major factory in London. This rotary steam-powered flour mill by Matthew Boulton and James Watt could produce 6,000 bushels of flour per week. The factory could have driven independent traditional millers out of business, but it was destroyed in 1791 by fire, perhaps deliberately. London's independent millers celebrated with placards reading, "Success to the mills of Albion but no Albion Mills." Opponents referred to the factory as satanic, and accused its owners of adulterating flour and using cheap imports at the expense of British producers. A contemporary illustration of the fire shows a devil squatting on the building. The mills were a short distance from Blake's home. Blake's phrase resonates with a broader theme in his works, what he envisioned as a physically and spiritually repressive ideology based on a quantified reality. Blake saw the cotton mills and collieries of the period as a mechanism for the enslavement of millions, but the concepts underpinning the works had a wider application: Another interpretation, amongst Nonconformists, is that the phrase refers to the established Church of England. This church preached a doctrine of conformity to the established social order and class system, in contrast to Blake. In 2007 the new Bishop of Durham, N. T. Wright, explicitly recognised this element of English subculture when he acknowledged this alternative view that the "dark satanic mills" refer to the "great churches". In similar vein, the critic F. W. Bateson noted how "the adoption by the Churches and women's organizations of this anti-clerical paean of free love is amusing evidence of the carelessness with which poetry is read". Stonehenge and other megaliths are featured in Milton, suggesting they may relate to the oppressive power of priestcraft in general; as Peter Porter observed, many scholars argue that the "[mills] are churches and not the factories of the Industrial Revolution everyone else takes them for". An alternative theory is that Blake is referring to a mystical concept within his own mythology related to the ancient history of England. Satan's "mills" are referred to repeatedly in the main poem, and are first described in words which suggest neither industrialism nor ancient megaliths, but rather something more abstract: "the starry Mills of Satan/ Are built beneath the earth and waters of the Mundane Shell...To Mortals thy Mills seem everything, and the Harrow of Shaddai / A scheme of human conduct invisible and incomprehensible". "Chariots of fire" The line from the poem "Bring me my Chariot of fire!" draws on the story of 2 Kings 2:11, where the Old Testament prophet Elijah is taken directly to heaven: "And it came to pass, as they still went on, and talked, that, behold, there appeared a chariot of fire, and horses of fire, and parted them both asunder; and Elijah went up by a whirlwind into heaven." The phrase has become a byword for divine energy, and inspired the title of the 1981 film Chariots of Fire, in which the hymn Jerusalem is sung during the final scenes. The plural phrase "chariots of fire" refers to 2 Kings 6:17. "Green and pleasant land" Blake lived in London for most of his life, but wrote much of Milton while living in a cottage, now Blake’s Cottage, in the village of Felpham in Sussex. Amanda Gilroy argues that the poem is informed by Blake's "evident pleasure" in the Felpham countryside. However, locals allege that records from Lavant, near Chichester, state that Blake wrote the poem in an east-facing alcove of the Earl of March public house. The phrase "green and pleasant land" has become a common term for an identifiably English landscape or society. It appears as a headline, title or sub-title in numerous articles and books. Sometimes it refers, whether with appreciation, nostalgia or critical analysis, to idyllic or enigmatic aspects of the English countryside. In other contexts it can suggest the perceived habits and aspirations of rural middle-class life. Sometimes it is used ironically, e.g. in the Dire Straits song "Iron Hand". Revolution Several of Blake's poems and paintings express a notion of universal humanity: "As all men are alike (tho' infinitely various)". He retained an active interest in social and political events for all his life, but was often forced to resort to cloaking social idealism and political statements in Protestant mystical allegory. Even though the poem was written during the Napoleonic Wars, Blake was an outspoken supporter of the French Revolution, and Napoleon claimed to be continuing this revolution. The poem expressed his desire for radical change without overt sedition. In 1803 Blake was charged at Chichester with high treason for having "uttered seditious and treasonable expressions", but was acquitted. The poem is followed in the preface by a quotation from Numbers ch. 11, v. 29: "Would to God that all the Lords people were prophets." Christopher Rowland has argued that this includes everyone in the task of speaking out about what they saw. Prophecy for Blake, however, was not a prediction of the end of the world, but telling the truth as best a person can about what he or she sees, fortified by insight and an "honest persuasion" that with personal struggle, things could be improved. A
speaks out: it's a basic political maxim which is necessary for any age. Blake wanted to stir people from their intellectual slumbers, and the daily grind of their toil, to see that they were captivated in the grip of a culture which kept them thinking in ways which served the interests of the powerful." The words of the poem "stress the importance of people taking responsibility for change and building a better society 'in Englands green and pleasant land.' " Popularisation The poem, which was little known during the century which followed its writing, was included in the patriotic anthology of verse The Spirit of Man, edited by the Poet Laureate of the United Kingdom, Robert Bridges, and published in 1916, at a time when morale had begun to decline because of the high number of casualties in World War I and the perception that there was no end in sight. Under these circumstances, Bridges, finding the poem an appropriate hymn text to "brace the spirit of the nation [to] accept with cheerfulness all the sacrifices necessary," asked Sir Hubert Parry to put it to music for a Fight for Right campaign meeting in London's Queen's Hall. Bridges asked Parry to supply "suitable, simple music to Blake's stanzas – music that an audience could take up and join in", and added that, if Parry could not do it himself, he might delegate the task to George Butterworth. The poem's idealistic theme or subtext accounts for its popularity across much of the political spectrum. It was used as a campaign slogan by the Labour Party in the 1945 general election; Clement Attlee said they would build "a new Jerusalem". It has been sung at conferences of the Conservative Party, at the Glee Club of the British Liberal Assembly, the Labour Party and by the Liberal Democrats. Parry's setting of "Jerusalem" In adapting Blake's poem as a unison song, Parry deployed a two-stanza format, each taking up eight lines of Blake's original poem. He added a four-bar musical introduction to each verse and a coda, echoing melodic motifs of the song. The word "those" was substituted for "these" before "dark satanic mills". The piece was to be conducted by Parry's former student Walford Davies, but Parry was initially reluctant to set the words, as he had doubts about the ultra-patriotism of Fight for Right, but not wanting to disappoint either Robert Bridges or Davies he agreed, writing it on 10 March 1916, and handing the manuscript to Davies with the comment, "Here's a tune for you, old chap. Do what you like with it." Davies later recalled, Davies arranged for the vocal score to be published by Curwen in time for the concert at the Queen's Hall on 28 March and began rehearsing it. It was a success and was taken up generally. But Parry began to have misgivings again about Fight for Right and eventually wrote to Sir Francis Younghusband withdrawing his support entirely in May 1917. There was even concern that the composer might withdraw the song, but the situation was saved by Millicent Fawcett of the National Union of Women's Suffrage Societies (NUWSS). The song had been taken up by the Suffragists in 1917 and Fawcett asked Parry if it might be used at a Suffrage Demonstration Concert on 13 March 1918. Parry was delighted and orchestrated the piece for the concert (it had originally been for voices and organ). After the concert, Fawcett asked the composer if it might become the Women Voters' Hymn. Parry wrote back, "I wish indeed it might become the Women Voters' hymn, as you suggest. People seem to enjoy singing it. And having the vote ought to diffuse a good deal of joy too. So they would combine happily". Accordingly, he assigned the copyright to the NUWSS. When that organisation was wound up in 1928, Parry's executors reassigned the copyright to the Women's Institutes, where it remained until it entered the public domain in 1968. The song was first called "And Did Those Feet in Ancient Time" and the early published scores have this title. The change to "Jerusalem" seems to have been made about the time of the 1918 Suffrage Demonstration Concert, perhaps when the orchestral score was published (Parry's manuscript of the orchestral score has the old title crossed out and "Jerusalem" inserted in a different hand). However, Parry always referred to it by its first title. He had originally intended the first verse to be sung by a solo female voice (this is marked in the score), but this is rare in contemporary performances. Sir Edward Elgar re-scored the work for very large orchestra in 1922 for use at the Leeds Festival. Elgar's orchestration has overshadowed Parry's own, primarily because it is the version usually used now for the Last Night of the Proms (though Sir Malcolm Sargent, who introduced it to that event in the 1950s, always used Parry's version). Use as a hymn Although Parry composed the music as a unison song, many churches have adopted "Jerusalem" as a four-part hymn; a number of English entities, including the BBC, the Crown, cathedrals, churches, and chapels regularly use it as an office or recessional hymn on Saint George's Day. However, some clergy in the Church of England, according to the BBC TV programme Jerusalem: An Anthem for England, have said that the song is not technically a hymn as it is not a prayer to God (which they claim hymns always are, though many counter-examples appear in any hymnal). Consequently, it is not sung in some churches in England. Despite this, it was sung as a hymn during the wedding of Prince William and Catherine Middleton in Westminster Abbey. Many schools use the song, especially public schools in Great Britain (it was used as the title music for the BBC's 1979 series Public School about Radley College), and several private schools in Australia, New Zealand, New England and Canada. In Hong Kong, diverted version of "Jerusalem" is also used as the school hymn of St. Catherine's School for Girls, Kwun Tong and Bishop Hall Jubilee School. "Jerusalem" was chosen as the opening hymn for the London Olympics 2012, although "God Save the Queen" was the anthem sung during the raising of the flag in salute to the Queen. Some attempts have also been made to increase its use elsewhere with other words; examples include the State Funeral of President Ronald Reagan
proportion of Alaska Native populations live in the Bush, often depending on subsistence hunting and fishing. Geographically, the Bush comprises the Alaska North Slope; Northwest Arctic; West, including the Baldwin and Seward Peninsulas; the Yukon-Kuskokwim Delta; Southwest Alaska; Bristol Bay; Alaska Peninsula; and remote areas of the Alaska Panhandle and Interior. Some of the hub communities in the bush, which typically can
of the state that is not connected to the North American road network or does not have ready access to the state's ferry system. A large proportion of Alaska Native populations live in the Bush, often depending on subsistence hunting and fishing. Geographically, the Bush comprises the Alaska North Slope; Northwest Arctic; West, including the Baldwin and Seward Peninsulas; the
for Desiree, acknowledging that Fredrika is his daughter, and the two promise to start a new life together ("Send in the Clowns" (Reprise)). Madam Armfeldt sits alone with Fredrika, who tells her grandmother that she has watched carefully, but still has not seen the night smile. Madam Armfeldt laughs and points out that the night has indeed smiled twice: first on Henrik and Anne, the young, and second on Desiree and Fredrik, the fools. As the two wait for the "third smile... on the old", it occurs: Madam Armfeldt closes her eyes, and dies peacefully with Fredrika beside her. Musical numbers Act I Overture – Mr. Lindquist, Mrs. Nordstrom, Mrs. Anderssen, Mr. Erlanson and Mrs. Segstrom (the "Quintet") "Night Waltz" – Company "Now" – Fredrik Egerman "Later" – Henrik Egerman "Soon" – Anne Egerman "Soon/Later/Now" – Anne, Henrik and Fredrik "The Glamorous Life" – Fredrika Armfeldt, Desiree Armfeldt, Madam Armfeldt and Quintet "Remember?" – Quintet "You Must Meet My Wife" – Desiree and Fredrik "Liaisons" – Madam Armfeldt "In Praise of Women" – Count Carl-Magnus Malcolm "Every Day a Little Death" – Countess Charlotte Malcolm and Anne "A Weekend in the Country" – Company Act II Entr'acte – Orchestra "Night Waltz I (The Sun Won't Set)" – Quintet "Night Waltz II (The Sun Sits Low)" – Quintet "It Would Have Been Wonderful" – Fredrik and Carl-Magnus "Perpetual Anticipation" – Mrs. Nordstrom, Mrs. Segstrom and Mrs. Anderssen "Dinner Table Scene" – Orchestra "Send In the Clowns" – Desiree "The Miller's Son" – Petra "The World Won't End/Every Day a Little Death (reprise)" – Desiree and Charlotte Reprises ("Soon", "You Must Meet My Wife", "A Weekend in the Country" and "Every Day a Little Death") – Quintet "Send in the Clowns" (Reprise) – Desiree and Fredrik "Last Waltz" – Orchestra Additional musical numbers Stage: "Two Fairy Tales" – Henrik and Anne (cut for time) "Silly People" – Frid (cut for time) "Bang!" – Carl-Magnus (replaced by "In Praise of Women") "My Husband the Pig" – Charlotte (replaced by the second half of "In Praise of Women") Screen: "Love Takes Time" – Company (lyrics added to Night Waltz) "The Glamorous Life" – Fredrika (solo version) Characters Fredrik Egerman: A successful widowed middle-aged lawyer. He is married to the 18-year-old Anne and has one son from his previous marriage, Henrik. In the past, he and Desiree were lovers. Baritone A2–E4 Anne Egerman: Fredrik's new, naive wife, who is still a virgin after 11 months of marriage. Soprano G3–A5 Henrik Egerman: Fredrik's son, 20 years old and Anne's stepson. He is serious but confused; he reads the works of philosophers and theologians whilst studying for the Lutheran priesthood. His sexual repression is a great cause of his turmoil, as he lusts after Anne and attempts to have a sexual encounter with Petra. Tenor G2–B4 Petra: Anne's maid and closest confidante, brash, bold and flirtatious. She has relations with Henrik. Mezzo-soprano F3–F5 Desiree Armfeldt: Self-absorbed, once-successful actress, now touring the countryside in what is clearly not the "glamorous life". Harboured love for Fredrik for years since their affair. Mezzo-soprano F3–A5 Fredrika Armfeldt: Desiree's thirteen-year-old daughter, who may or may not be the product (unbeknownst to Fredrik) of the actress's and Fredrik's affair. Soprano C4–E5 Madame Armfeldt: Desiree's mother, a former courtesan who has had "liaisons" with royalty. Contralto C3–F4 Count Carl-Magnus Malcolm: A military dragoon who is Desiree's latest lover. Hypocritically places value on fidelity, being hugely possessive when it comes to both his wife and mistress. Comedic role. Operatic Baritone G2–F4 Countess Charlotte Malcolm: Carl-Magnus' wife, to whom he flaunts his infidelities. She despises her husband for his behaviour, but obeys his orders due to her hopeless love for him. Self-loathing and borderline alcoholic, yet the more intelligent half of the Malcolm couple. Mezzo-soprano G3–F5 Frid: Madame Armfeldt's manservant. Has a tryst with Petra. The Quintet: Mr. Lindquist, Mrs. Nordstrom, Mrs. Anderssen, Mr. Erlanson and Mrs. Segstrom. A group of five singers that act as a Greek chorus. Sometimes referred to as the Liebeslieder Singers (love song singers) although Stephen Sondheim and Hugh Wheeler did not script them to have that title, using Quintet instead. The first usage of Liebeslieder for the Quintet came during the 1990 New York City Opera production. Prince said that these characters represent "people in the show who aren't wasting time ... the play is about wasting time." Malla: Desiree's maid, who is with her constantly. Silent part Osa: Maid at Madame Armfeldt's manse. Silent part Bertrand: Page at Madame Armfeldt's manse. Silent part Productions Original Broadway production A Little Night Music opened on Broadway at the Shubert Theatre on February 25, 1973. It played there until September 15, 1973, then moved to the Majestic Theatre, on September 17, and closed there on August 3, 1974, after 601 performances and 12 previews. It was directed by Harold Prince with choreography by Patricia Birch and design by Boris Aronson. The cast included Glynis Johns (Desiree Armfeldt), Len Cariou (Fredrik Egerman), Hermione Gingold (Madame Armfeldt), Victoria Mallory (Anne Egerman), Judith Kahan (Fredrika Armfeldt), Mark Lambert (Henrik Egerman), Laurence Guittard (Carl-Magnus Malcolm), Patricia Elliott (Charlotte Malcolm), George Lee Andrews (Frid), and D’Jamin Bartlett (Petra). It won the New York Drama Critics' Circle Award and the Tony Award for Best Musical. Australian premiere The first international production opened at Her Majesty's Theatre in Sydney, Australia in November 1973, with a cast including Taina Elg, Bruce Barry, Jill Perryman, Doris Fitton, Anna Russell and Geraldine Turner. Australian revivals have been presented by the Sydney Theatre Company (featuring Geraldine Turner and a young Toni Collette) in 1990, Melbourne Theatre Company (featuring Helen Morse and John O'May) in 1997, Opera Australia (featuring Sigrid Thornton and Anthony Warlow) in 2009, and Victorian Opera (featuring Ali McGregor, Simon Gleeson and Verity Hunt-Ballard) in 2019. United States tour A US national tour began on February 26, 1974, at the Forrest Theatre, Philadelphia, and ended on February 13, 1975, at the Shubert Theatre, Boston. Jean Simmons as Desiree Armfeldt, George Lee Andrews as Fredrik Egerman and Margaret Hamilton as Madame Armfeldt headed the cast. West End premiere The musical premiered in the West End at the Adelphi Theatre on April 15, 1975, and starred Jean Simmons, Joss Ackland, David Kernan, Liz Robertson, and Diane Langton, with Hermione Gingold reprising her role as Madame Armfeldt. It ran for 406 performances. During the run, Angela Baddeley replaced Gingold, and Virginia McKenna replaced Simmons. 1989 West End revival A revival opened in the West End on October 6, 1989, at the Piccadilly Theatre, directed by Ian Judge, designed by Mark Thompson, and choreographed by Anthony Van Laast. It starred Lila Kedrova as Madame Armfeldt, Dorothy Tutin as Desiree Armfeldt, Peter McEnery as Fredrick, and Susan Hampshire. The production ran for 144 performances, closing on February 17, 1990. 1995 London revival A revival by the Royal National Theatre opened at the Olivier Theatre on September 26, 1995. It was directed by Sean Mathias, with set design by Stephen Brimson Lewis, costumes by Nicky Gillibrand, lighting by Mark Henderson and choreography by Wayne McGregor. It starred Judi Dench (Desiree), Siân Phillips (Madame Armfeldt), Joanna Riding (Anne Egerman), Laurence Guittard (Fredrik Egerman), Patricia Hodge (Countess Charlotte) and Issy van Randwyck (Petra). The production closed on August 31, 1996. Dench received the Olivier Award for Best Actress in a Musical. 2008 London revival The third London revival ran at the Menier Chocolate
who may or may not be the product (unbeknownst to Fredrik) of the actress's and Fredrik's affair. Soprano C4–E5 Madame Armfeldt: Desiree's mother, a former courtesan who has had "liaisons" with royalty. Contralto C3–F4 Count Carl-Magnus Malcolm: A military dragoon who is Desiree's latest lover. Hypocritically places value on fidelity, being hugely possessive when it comes to both his wife and mistress. Comedic role. Operatic Baritone G2–F4 Countess Charlotte Malcolm: Carl-Magnus' wife, to whom he flaunts his infidelities. She despises her husband for his behaviour, but obeys his orders due to her hopeless love for him. Self-loathing and borderline alcoholic, yet the more intelligent half of the Malcolm couple. Mezzo-soprano G3–F5 Frid: Madame Armfeldt's manservant. Has a tryst with Petra. The Quintet: Mr. Lindquist, Mrs. Nordstrom, Mrs. Anderssen, Mr. Erlanson and Mrs. Segstrom. A group of five singers that act as a Greek chorus. Sometimes referred to as the Liebeslieder Singers (love song singers) although Stephen Sondheim and Hugh Wheeler did not script them to have that title, using Quintet instead. The first usage of Liebeslieder for the Quintet came during the 1990 New York City Opera production. Prince said that these characters represent "people in the show who aren't wasting time ... the play is about wasting time." Malla: Desiree's maid, who is with her constantly. Silent part Osa: Maid at Madame Armfeldt's manse. Silent part Bertrand: Page at Madame Armfeldt's manse. Silent part Productions Original Broadway production A Little Night Music opened on Broadway at the Shubert Theatre on February 25, 1973. It played there until September 15, 1973, then moved to the Majestic Theatre, on September 17, and closed there on August 3, 1974, after 601 performances and 12 previews. It was directed by Harold Prince with choreography by Patricia Birch and design by Boris Aronson. The cast included Glynis Johns (Desiree Armfeldt), Len Cariou (Fredrik Egerman), Hermione Gingold (Madame Armfeldt), Victoria Mallory (Anne Egerman), Judith Kahan (Fredrika Armfeldt), Mark Lambert (Henrik Egerman), Laurence Guittard (Carl-Magnus Malcolm), Patricia Elliott (Charlotte Malcolm), George Lee Andrews (Frid), and D’Jamin Bartlett (Petra). It won the New York Drama Critics' Circle Award and the Tony Award for Best Musical. Australian premiere The first international production opened at Her Majesty's Theatre in Sydney, Australia in November 1973, with a cast including Taina Elg, Bruce Barry, Jill Perryman, Doris Fitton, Anna Russell and Geraldine Turner. Australian revivals have been presented by the Sydney Theatre Company (featuring Geraldine Turner and a young Toni Collette) in 1990, Melbourne Theatre Company (featuring Helen Morse and John O'May) in 1997, Opera Australia (featuring Sigrid Thornton and Anthony Warlow) in 2009, and Victorian Opera (featuring Ali McGregor, Simon Gleeson and Verity Hunt-Ballard) in 2019. United States tour A US national tour began on February 26, 1974, at the Forrest Theatre, Philadelphia, and ended on February 13, 1975, at the Shubert Theatre, Boston. Jean Simmons as Desiree Armfeldt, George Lee Andrews as Fredrik Egerman and Margaret Hamilton as Madame Armfeldt headed the cast. West End premiere The musical premiered in the West End at the Adelphi Theatre on April 15, 1975, and starred Jean Simmons, Joss Ackland, David Kernan, Liz Robertson, and Diane Langton, with Hermione Gingold reprising her role as Madame Armfeldt. It ran for 406 performances. During the run, Angela Baddeley replaced Gingold, and Virginia McKenna replaced Simmons. 1989 West End revival A revival opened in the West End on October 6, 1989, at the Piccadilly Theatre, directed by Ian Judge, designed by Mark Thompson, and choreographed by Anthony Van Laast. It starred Lila Kedrova as Madame Armfeldt, Dorothy Tutin as Desiree Armfeldt, Peter McEnery as Fredrick, and Susan Hampshire. The production ran for 144 performances, closing on February 17, 1990. 1995 London revival A revival by the Royal National Theatre opened at the Olivier Theatre on September 26, 1995. It was directed by Sean Mathias, with set design by Stephen Brimson Lewis, costumes by Nicky Gillibrand, lighting by Mark Henderson and choreography by Wayne McGregor. It starred Judi Dench (Desiree), Siân Phillips (Madame Armfeldt), Joanna Riding (Anne Egerman), Laurence Guittard (Fredrik Egerman), Patricia Hodge (Countess Charlotte) and Issy van Randwyck (Petra). The production closed on August 31, 1996. Dench received the Olivier Award for Best Actress in a Musical. 2008 London revival The third London revival ran at the Menier Chocolate Factory from November 22, 2008, until March 8, 2009. The production was directed by Trevor Nunn, with musical supervision by Caroline Humphris, choreography by Lynne Page, sets and costumes by David Farley and new orchestrations by Jason Carr. The cast included Hannah Waddingham as Desiree, Alexander Hanson as Frederik, Jessie Buckley (Anne), Maureen Lipman (Madame Armfeldt), Alistair Robins (the Count), Gabriel Vick (Henrik), Grace Link (Fredrika) and Kasia Hammarlund (Petra). This critically acclaimed production transferred to the Garrick Theatre in the West End for a limited season, opening on March 28, 2009 and running until July 25, 2009. The production then transferred to Broadway with a new cast. 2009 Broadway revival The 2008 Menier Chocolate Factory production opened on Broadway at the Walter Kerr Theatre in previews on November 24, 2009, and officially on December 13, 2009, with the same creative team. The cast starred Angela Lansbury as Madame Armfeldt and, in her Broadway debut, Catherine Zeta-Jones as Desiree. Also featured were Alexander Hanson as Frederik, Ramona Mallory (the daughter of original Broadway cast members Victoria Mallory and Mark Lambert) as Anne, Hunter Ryan Herdlicka as Henrik, Leigh Ann Larkin as Petra, Erin Davie as the Countess, Aaron Lazar as the Count, and Bradley Dean as Frid. Zeta-Jones received the award for Best Leading Actress in a Musical at the 64th Tony Awards. Originally, Katherine Doherty and Keaton Whittaker played Fredrika in alternating performances, beginning with the November 2009 previews. The official show album, which was recorded in January 2010, features both Doherty and Whittaker as Fredrika (on different songs). However, Katherine McNamara replaced Doherty in February 2010. McNamara and Whittaker stayed with the production until it ended in January 2011. When the contracts of Zeta-Jones and Lansbury ended, the production temporarily closed on June 20, 2010 and resumed on July 13, with new stars Bernadette Peters as Desiree Armfeldt and Elaine Stritch as Madame Armfeldt. In an interview, Peters said that Sondheim had "proposed the idea to her this spring and urged the producers of the revival to cast her." Trevor Nunn directed rehearsals with the two new stars, and the rest of the original cast remained. Peters and Stritch extended their contracts until January 9, 2011, when the production closed with 20 previews and 425 regular performances. Before the production closed, it recouped its initial investment. Europe Zarah Leander played Madame Armfeldt in the original Austrian staging (in 1975) as well as in the original Swedish staging in Stockholm in 1978 (here with Jan Malmsjö as Fredrik Egerman). The successful Stockholm staging was directed by Stig Olin. In 2010 the musical was scheduled to return to Stockholm and the Stockholm Stadsteater. The cast included Pia Johansson, Dan Ekborg, Yvonne Lombard and Thérese Andersson. The Théâtre du Châtelet, Paris production ran from February 15, 2010, through February 20, 2010. Lee Blakeley directed and Andrew George was the choreographer. Italian-born actress Greta Scacchi played Désirée, and Leslie Caron played Madame Armfeldt. The Turku City Theatre staged the musical in 2011 with in the role as Désirée. directed and Jussi Vahvaselkä was musical director. Opera companies The musical has also become part of the repertoire of a few opera companies. Michigan Opera Theatre was the first major American opera company to present the work in 1983, and again in November 2009. Light Opera Works (Evanston, Illinois) produced the work in August 1983. New York City Opera staged it in 1990, 1991 and 2003, the Houston Grand Opera in 1999, the Los Angeles Opera in 2004, and Hartford Opera Theater in 2014. New York City Opera's production in August 1990 and July 1991 (a total of 18 performances) won the 1990 Drama Desk Award for Outstanding Revival and was telecast on the PBS show Live at Lincoln Center on November 7, 1990. The cast included both stage performers: Sally Ann Howes and George Lee Andrews as Desiree and Frederick and opera regular Regina Resnik as Madame Armfeldt (in 1991). The 2003 production featured a young Anna Kendrick as Fredrika Armfeldt, alongside Jeremy Irons as Frederick, Juliet Stevenson as Desiree, Claire Bloom as Madame Armfeldt, Danny Gurwin as Henrik, Michele Pawk as Charlotte, and Marc Kudisch as Carl-Magnus. Opera Australia presented the piece in Melbourne in May 2009, starring Sigrid Thornton as Desiree Armfeldt and Nancye Hayes as Madame Armfeldt. The production returned in 2010 at the Sydney Opera House with Anthony Warlow taking on the role of Fredrik Egerman. The production was directed by Stuart Maunder, designed by Roger Kirk, and conducted by Andrew Greene. Opera Theatre of Saint Louis performed the musical in June 2010. Designer Isaac Mizrahi directed and designed the production, with a cast that starred Amy Irving, Siân Phillips and Ron Raines. The piece has also become a popular choice for amateur musical theatre and light opera companies. In 2017, the musical was performed by students at The Royal Academy of Dramatic Art. Film adaptation A film version of A Little Night Music was released in 1977, starring Elizabeth Taylor as Desiree, Lesley-Anne Down as Anne and Diana Rigg as Charlotte, with Len Cariou, Hermione Gingold and Laurence Guittard reprising their Broadway roles. The setting for the film was moved from Sweden to Austria. Stephen Sondheim wrote lyrics for the "Night Waltz" theme ("Love Takes Time") and wrote an entirely new version of "The Glamorous Life", which has been incorporated into several subsequent productions of the stage musical. However, other songs, including "In Praise of Women", "The Miller's Son" and "Liaisons", were cut and remain heard only as background orchestrations. The film marked Broadway director Harold Prince's second (and final) time as a motion picture director. Critical reaction to the film was mostly negative, with much being made of Taylor's wildly fluctuating weight from scene to scene. Some critics talked more positively of the film, with Variety calling it "an elegant looking, period romantic charade". There was praise for Diana Rigg's performance, and orchestrator Jonathan Tunick received an Oscar for his work on the score. A soundtrack recording was released on LP, and a DVD release was issued in June 2007. Music analysis The score for A Little Night Music presents performance challenges more often seen in operetta or light opera pieces than in standard musical comedy. The demands made on the singing cast are considerable; although the vocal demands of the role of Desiree are rather small, most of the other singing roles require strong, legitimately-trained voices with fairly wide ranges. Sondheim's liberal use of counterpoint extends to the vocal parts, including a free-structured round (the trio "Perpetual Anticipation") as well as songs in which characters engage in interior monologues or even overt dialogue simultaneously ("Now/Later/Soon", "A Weekend in the Country"). Critic Rex Reed noted that "The score of 'Night Music' ...contains patter songs, contrapuntal duets and trios, a quartet, and even a dramatic double quintet to puzzle through. All this has been gorgeously orchestrated by Jonathan Tunick; there is no rhythm section, only strings and
+ machairi knife) Thus, an inscription from Lyon, France, mentions such a type of gladiator, here spelled dymacherus. The dimachaeri were equipped for close-combat fighting. A dimachaerus used a pair of siccae (curved scimitar) or gladius and used a fighting style adapted to both attack and defend with his weapons rather than a shield, as he was not equipped with one. The use of weapon combinations in each hand has been mentioned for close combat in western Europe during the Byzantine, Medieval, and Renaissance era. The use of a parrying dagger such as a main gauche along with a rapier is common in historical European martial arts. North American Indian tribes of the Atlantic northeast used a form involving a tomahawk in the primary hand and a knife in the secondary. It is practiced today as part of the modern Cree martial art Okichitaw. All the above-mentioned examples, involve either one long and one short weapon, or two short weapons. An example of a dual wield of two sabres is the Ukrainian cossack dance hopak. Asia During the campaign Muslim conquest in 6th to 7th AD, a Rashidun caliphate general named Khalid ibn Walid was reported to favor wielding two broad swords, with one in each hand, during combat. Traditional schools of Japanese martial arts include dual wield techniques, particularly a style conceived by Miyamoto Musashi involving the katana and wakizashi, two-sword kenjutsu techniques he called Niten Ichi-ryū. Eskrima, the traditional martial arts of the Philippines teaches Doble Baston techniques involving the basic use of a pair of rattan sticks and also Espada y daga or Sword/Stick and Dagger. Okinawan martial arts have a method that uses a pair of sai. Chinese martial arts involve the use of a pair of butterfly swords and hook swords. Dian Wei, a military general serving under the warlord Cao Cao in the late Eastern Han dynasty of China. Famed for his enormous strength, Dian Wei excelled at wielding a pair of jis (a halberd-like weapon), each of which was said to weigh 40 jin. During Wei–Jie war, Ran Min, emperor of short-lived Ran Wei empire of China, wielded two weapons, one in each hand, and fought fiercely, inflicting many casualties on the Xianbei soldiers mounting famous horse Zhu Long ("Red Dragon") Gatka, a weapon-based martial art from the Punjab region, is known to use two sticks at a time. The Thailand weapon-based martial art Krabi Krabong involves the use of a separate Krabi in each hand. Kalaripayattu teaches advanced students to use either two sticks (of various sizes) or two daggers or two swords, simultaneously. Modern The use of a gun in each hand is often associated with the American Old West, mainly due to media portrayals. It was common for people in the era to carry two guns, but not to use them at
a main gauche along with a rapier is common in historical European martial arts. North American Indian tribes of the Atlantic northeast used a form involving a tomahawk in the primary hand and a knife in the secondary. It is practiced today as part of the modern Cree martial art Okichitaw. All the above-mentioned examples, involve either one long and one short weapon, or two short weapons. An example of a dual wield of two sabres is the Ukrainian cossack dance hopak. Asia During the campaign Muslim conquest in 6th to 7th AD, a Rashidun caliphate general named Khalid ibn Walid was reported to favor wielding two broad swords, with one in each hand, during combat. Traditional schools of Japanese martial arts include dual wield techniques, particularly a style conceived by Miyamoto Musashi involving the katana and wakizashi, two-sword kenjutsu techniques he called Niten Ichi-ryū. Eskrima, the traditional martial arts of the Philippines teaches Doble Baston techniques involving the basic use of a pair of rattan sticks and also Espada y daga or Sword/Stick and Dagger. Okinawan martial arts have a method that uses a pair of sai. Chinese martial arts involve the use of a pair of butterfly swords and hook swords. Dian Wei, a military general serving under the warlord Cao Cao in the late Eastern Han dynasty of China. Famed for his enormous strength, Dian Wei excelled at wielding a pair of jis (a halberd-like weapon), each of which was said to weigh 40 jin. During Wei–Jie war, Ran Min, emperor of short-lived Ran Wei empire of China, wielded two weapons, one in each hand, and fought fiercely, inflicting many casualties on the Xianbei soldiers mounting famous horse Zhu Long ("Red Dragon") Gatka, a weapon-based martial art from the Punjab region, is known to use two sticks at a time. The Thailand weapon-based martial art Krabi Krabong involves the use of a separate Krabi in each hand. Kalaripayattu teaches advanced students to use either two sticks (of various sizes) or two daggers or two swords, simultaneously. Modern The use of a gun in each hand is often associated with the American Old West, mainly due to media portrayals. It was common for people in the era to carry two guns, but not to use them at the same time, as shown in movies. The other pistol was used as a back-up weapon. However, there were several examples of gunmen in the West who actually used two pistols at the same time in their gunfights: John Wesley Hardin killed a gunman named Benjamin Bradley who shot at him, by drawing both of his pistols and firing back. The mexican vaquero Augustine Chacon had several gunfights in which he was outnumbered by more than one gunman and prevailed by equipping himself with a revolver in each hand. King Fisher once managed to kill three bandits in a shootout by pulling both of his pistols. During the infamous Four Dead in Five Seconds Gunfight, lawman Dallas Stoudenmire pulled both of his pistols
Commander, Zeev Amit, said to him, "How are we going to get out of this?" Sharon replied, "You don't know? We will cross the Suez Canal and the war will end over there." Sharon arrived at the front, to participate in his fourth war, in a civilian car. His forces did not engage the Egyptian Army immediately, despite his requests. Under cover of darkness, Sharon's forces moved to a point on the Suez Canal that had been prepared before the war. In a move that again thwarted the commands of his superiors, Sharon's division crossed the Suez, effectively winning the war for Israel. He then headed north towards Ismailia, intent on cutting the Egyptian second army's supply lines, but his division was halted south of the Fresh Water Canal. Abraham Adan's division passed over the bridgehead into Africa, advancing to within 101 kilometers of Cairo. His division managed to encircle Suez, cutting off and encircling the Third Army. Tensions between the two generals followed Sharon's decision, but a military tribunal later found his action was militarily effective. Sharon's complex ground maneuver is regarded as a decisive move in the Yom Kippur War, undermining the Egyptian Second Army and encircling the Egyptian Third Army. This move was regarded by many Israelis as the turning point of the war in the Sinai front. Thus, Sharon is widely viewed as the hero of the Yom Kippur War, responsible for Israel's ground victory in the Sinai in 1973. A photo of Sharon wearing a head bandage on the Suez Canal became a famous symbol of Israeli military prowess. Sharon's political positions were controversial, and he was relieved of duty in February 1974. Bar Lev Line Following Israel's victory in the six-day war, the war of attrition at the Suez Canal began. The Egyptians began firing in provocation against the Israeli forces posted on the eastern part of the canal. Haim Bar Lev, Israel's chief of staff, suggested that Israel construct a border line to protect its southern border. A wall of sand and earth raised along almost the entire length of the Suez Canal would both allow observation of Egyptian forces and conceal the movements of Israeli troops on the eastern side. This line, named after the chief of staff Haim Bar Lev, became known as the Bar Lev Line. It included at least thirty strong points stretching over almost 200 kilometers. Bar Lev suggested that such a line would defend against any major Egyptian assault across the canal, and was expected to function as a "graveyard for Egyptian troops". Moshe Dayan described it as "one of the best anti-tank ditches in the world." Sharon, and Israel Tal on the other hand, vigorously opposed the line. Sharon said that it would pin down large military formations that would be sitting ducks for deadly artillery attacks, and cited the opinion of Rabbi Menachem M. Schneerson, who explained him "the great military disaster such a line could bring." Notwithstanding, it was completed in spring 1970. During the Yom Kippur War, Egyptian forces successfully breached the Bar Lev Line in less than two hours at a cost of more than a thousand dead and some 5,000 wounded. Sharon would later recall that what Schneerson had told him was a tragedy, "but unfortunately, that happened." Early political career, 1974–2001 Beginnings of political career In the 1940s and 1950s, Sharon seemed to be personally devoted to the ideals of Mapai, the predecessor of the modern Labor Party. However, after retiring from military service, he joined the Liberal Party and was instrumental in establishing Likud in July 1973 by a merger of Herut, the Liberal Party and independent elements. Sharon became chairman of the campaign staff for that year's elections, which were scheduled for November. Two and a half weeks after the start of the election campaign, the Yom Kippur War erupted and Sharon was called back to reserve service. On the heels of being hailed as a war hero for crossing the Suez in the 1973 war, Sharon won a seat to the Knesset in the elections that year, but resigned a year later. From June 1975 to March 1976, Sharon was a special aide to Prime Minister Yitzhak Rabin. He planned his return to politics for the 1977 elections; first, he tried to return to the Likud and replace Menachem Begin at the head of the party. He suggested to Simha Erlich, who headed the Liberal Party bloc in the Likud, that he was more able than Begin to win an election victory; he was rejected, however. He then tried to join the Labor Party and the centrist Democratic Movement for Change, but was rejected by those parties too. Only then did he form his own list, Shlomtzion, which won two Knesset seats in the subsequent elections. Immediately after the elections, he merged Shlomtzion with the Likud and became Minister of Agriculture. When Sharon joined Begin's government, he had relatively little political experience. During this period, Sharon supported the Gush Emunim settlements movement and was viewed as the patron of the settlers' movement. He used his position to encourage the establishment of a network of Israeli settlements in the occupied territories to prevent the possibility of Palestinian Arabs' return to these territories. Sharon doubled the number of Jewish settlements on the West Bank and Gaza Strip during his tenure. After the 1981 elections, Begin rewarded Sharon for his important contribution to Likud's narrow win, by appointing him Minister of Defense. Under Sharon, Israel continued to build upon the unprecedented coordination between the Israel Defense Forces and the South African Defence Force, with Israeli and South African generals giving each other unfettered access to each other's battlefields and military tactics, and Israel sharing with South Africa highly classified information about its missions, such as Operation Opera, which had previously only been reserved for the United States. In 1981, after visiting South African forces fighting in Namibia for 10 days, Sharon argued that South Africa needed more weapons to fight Soviet infiltration in the region. Sharon promised that the relationship between Israel and South Africa would continue to deepen as they work to "ensure the National Defense of both our countries". The collaboration in carrying out joint-nuclear tests, in planning counter-insurgency strategies in Namibia and in designing security fences helped to make Israel, South Africa's closest ally in this period. 1982 Lebanon War and Sabra and Shatila massacre As Defense Minister, Sharon launched an invasion of Lebanon called Operation Peace for Galilee, later known as the 1982 Lebanon War, following the shooting of Israel's ambassador in London, Shlomo Argov. Although this attempted assassination was in fact perpetrated by the Abu Nidal Organization, possibly with Syrian or Iraqi involvement, the Israeli government justified the invasion by citing 270 terrorist attacks by the Palestinian Liberation Organization (PLO) in Israel, the occupied territories, and the Jordanian and Lebanese border (in addition to 20 attacks on Israeli interests abroad). Sharon intended the operation to eradicate the PLO from its state within a state inside Lebanon, but the war is primarily remembered for the Sabra and Shatila massacre. In a three-day massacre between 16 and 18 September, between 460 and 3,500 civilians, mostly Palestinians and Lebanese Shiites, in the Sabra neighborhood and the adjacent Shatila refugee camp were killed by the Phalanges— Lebanese Maronite Christian militias. Shatila had previously been one of the PLO's three main training camps for foreign terrorists and the main training camp for European terrorists; the Israelis maintained that 2,000 to 3,000 terrorists remained in the camps, but were unwilling to risk the lives of more of their soldiers after the Lebanese army repeatedly refused to "clear them out." The killings followed years of sectarian civil war in Lebanon that left 95,000 dead. The Lebanese army's chief prosecutor investigated the killings and counted 460 dead, Israeli intelligence estimated 700–800 dead, and the Palestinian Red Crescent claimed 2,000 dead. 1,200 death certificates were issued to anyone who produced three witnesses claiming a family member disappeared during the time of the massacre. Nearly all of the victims were men. The Phalange militia went into the camps to clear out PLO fighters while Israeli forces surrounded the camps, blocking camp exits and providing logistical support. The killings led some to label Sharon "the Butcher of Beirut". An Associated Press report on 15 September 1982 stated, "Defence Minister Ariel Sharon, in a statement, tied the killing of the Phalangist leader Bachir Gemayel to the PLO, saying 'it symbolises the terrorist murderousness of the PLO terrorist organisations and their supporters'." Habib Chartouni, a Lebanese Christian from the Syrian Socialist National Party confessed to the murder of Gemayel, and no Palestinians were involved. Robert Maroun Hatem, Hobeika's bodyguard, stated in his book From Israel to Damascus that Phalangist commander Elie Hobeika ordered the massacre of civilians in defiance of Israeli instructions to behave like a "dignified" army. Hatem claimed "Sharon had given strict orders to Hobeika....to guard against any desperate move" and that Hobeika perpetrated the massacre "to tarnish Israel's reputation worldwide" for the benefit of Syria. Hobeika subsequently joined the Syrian occupation government and lived as a prosperous businessman under Syrian protection; further massacres in Sabra and Shatilla occurred with Syrian support in 1985. The massacre followed intense Israeli bombings of Beirut that had seen heavy civilian casualties, testing Israel's relationship with the United States in the process. America sent troops to help negotiate the PLO's exit from Lebanon, withdrawing them after negotiating a ceasefire that ostensibly protected Palestinian civilians. Legal findings After 400,000 Peace Now protesters rallied in Tel Aviv to demand an official government inquiry into the massacres, the official Israeli government investigation into the massacre at Sabra and Shatila, the Kahan Commission (1982), was conducted. The inquiry found that the Israeli Defense Forces were indirectly responsible for the massacre since IDF troops held the area. The commission determined that the killings were carried out by a Phalangist unit acting on its own, but its entry was known to Israel and approved by Sharon. Prime Minister Begin was also found responsible for not exercising greater involvement and awareness in the matter of introducing the Phalangists into the camps. The commission also concluded that Sharon bore personal responsibility "for ignoring the danger of bloodshed and revenge [and] not taking appropriate measures to prevent bloodshed". It said Sharon's negligence in protecting the civilian population of Beirut, which had come under Israeli control, amounted to a dereliction of duty of the minister. In early 1983, the commission recommended the removal of Sharon from his post as defense minister and stated: We have found ... that the Minister of Defense [Ariel Sharon] bears personal responsibility. In our opinion, it is fitting that the Minister of Defense draw the appropriate personal conclusions arising out of the defects revealed with regard to the manner in which he discharged the duties of his office— and if necessary, that the Prime Minister consider whether he should exercise his authority ... to ... remove [him] from office." Sharon initially refused to resign as defense minister, and Begin refused to fire him. After a grenade was thrown into a dispersing crowd at an Israeli Peace Now march, killing Emil Grunzweig and injuring 10 others, a compromise was reached: Sharon agreed to forfeit the post of defense minister but stayed in the cabinet as a minister without portfolio. Sharon's resignation as defense minister is listed as one of the important events of the Tenth Knesset. In its 21 February 1983 issue, Time published an article implying that Sharon was directly responsible for the massacres. Sharon sued Time for libel in American and Israeli courts. Although the jury concluded that the Time article included false allegations, they found that the magazine had not acted with actual malice and so was not guilty of libel. On 18 June 2001, relatives of the victims of the Sabra massacre began proceedings in Belgium to have Sharon indicted on alleged war crimes charges. Elie Hobeika, the leader of the Phalange militia who carried out the massacres, was assassinated in January 2002, several months before he was scheduled to testify trial. Prior to his assassination, he had "specifically stated that he did not plan to identify Sharon as being responsible for Sabra and Shatila." Political downturn and recovery After his dismissal from the Defense Ministry post, Sharon remained in successive governments as a minister without portfolio (1983–1984), Minister for Trade and Industry (1984–1990), and Minister of Housing Construction (1990–1992). In the Knesset, he was member of the Foreign Affairs and Defense committee (1990–1992) and Chairman of the committee overseeing Jewish immigration from the Soviet Union. During this period he was a rival to then prime minister Yitzhak Shamir, but failed in various bids to replace him as chairman of Likud. Their
archeologists claimed that extensive building operations at the site were destroying priceless antiquities. Sharon's supporters claim that Yasser Arafat and the Palestinian National Authority planned the Second Intifada months prior to Sharon's visit. They state that Palestinian security chief Jabril Rajoub provided assurances that if Sharon did not enter the mosques, no problems would arise. They also often quote statements by Palestinian Authority officials, particularly Imad Falouji, the P.A. Communications Minister, who admitted months after Sharon's visit that the violence had been planned in July, far in advance of Sharon's visit, stating the intifada "was carefully planned since the return of (Palestinian President) Yasser Arafat from Camp David negotiations rejecting the U.S. conditions". According to the Mitchell Report, the government of Israel asserted that the immediate catalyst for the violence was the breakdown of the Camp David negotiations on 25 July 2000 and the "widespread appreciation in the international community of Palestinian responsibility for the impasse." In this view, Palestinian violence was planned by the PA leadership, and was aimed at "provoking and incurring Palestinian casualties as a means of regaining the diplomatic initiative." The Mitchell Report found that the Sharon visit did not cause the Al-Aqsa Intifada. But it was poorly timed and the provocative effect should have been foreseen; indeed, it was foreseen by those who urged that the visit be prohibited. More significant were the events that followed: The decision of the Israeli police on 29 September to use lethal means against the Palestinian demonstrators. In addition, the report stated, Accordingly, we have no basis on which to conclude that there was a deliberate plan by the PA [Palestinian Authority] to initiate a campaign of violence at the first opportunity; or to conclude that there was a deliberate plan by the GOI [Government of Israel] to respond with lethal force. The Or Commission, an Israeli panel of inquiry appointed to investigate the October 2000 events, criticised the Israeli police for being unprepared for the riots and possibly using excessive force to disperse the mobs, resulting in the deaths of 12 Arab Israeli, one Jewish and one Palestinian citizens. Prime Minister (2001–2006) After the collapse of Barak's government, Sharon was elected Prime Minister on 6 February 2001, defeating Barak 62 percent to 38 percent. Sharon's senior adviser was Raanan Gissin. In his first act as prime minister, Sharon invited the Labor Party to join in a coalition with Likud. After Israel was struck by a wave of suicide bombings in 2002, Sharon decided to launch Operation Defensive Shield and began the construction of a barrier around the West Bank. A survey conducted by Tel Aviv University's Jaffe Center in May 2004 found that 80% of Jewish Israelis believed that the Israel Defense Forces had succeeded in militarily countering the Al-Aqsa Intifada. The election of the more pro-Russian Sharon, as well as the more pro-Israel Vladimir Putin, led to an improvement in Israel–Russia relations. In September 2003, Sharon became the first prime minister of Israel to visit India, saying that Israel regarded India as one of the most important countries in the world. Some analysts speculated on the development of a three-way military axis of New Delhi, Washington, D.C., and Jerusalem. On 20 July 2004, Sharon called on French Jews to emigrate from France to Israel immediately, in light of an increase in antisemitism in France (94 antisemitic assaults were reported in the first six months of 2004, compared to 47 in 2003). France has the third-largest Jewish population in the world (about 600,000 people). Sharon observed that an "unfettered anti-Semitism" reigned in France. The French government responded by describing his comments as "unacceptable", as did the French representative Jewish organization CRIF, which denied Sharon's claim of intense anti-Semitism in French society. An Israeli spokesperson later claimed that Sharon had been misunderstood. France then postponed a visit by Sharon. Upon his visit, both Sharon and French President Jacques Chirac were described as showing a willingness to put the issue behind them. Unilateral disengagement In September 2001, Sharon stated for the first time that Palestinians should have the right to establish their own land west of the Jordan River. In May 2003, Sharon endorsed the Road Map for Peace put forth by the United States, the European Union and Russia, which opened a dialogue with Mahmud Abbas, and stated his commitment to the creation of a Palestinian state in the future. He embarked on a course of unilateral withdrawal from the Gaza Strip, while maintaining control of its coastline and airspace. Sharon's plan was welcomed by both the Palestinian Authority and Israel's left wing as a step towards a final peace settlement. However, it was greeted with opposition from within his own Likud party and from other right wing Israelis, on national security, military, and religious grounds. Disengagement from Gaza On 1 December 2004, Sharon dismissed five ministers from the Shinui party for voting against the government's 2005 budget. In January 2005, Sharon formed a national unity government that included representatives of Likud, Labor, and Meimad and Degel HaTorah as "out-of-government" supporters without any seats in the government (United Torah Judaism parties usually reject having ministerial offices as a policy). Between 16 and 30 August 2005, Sharon controversially expelled 9,480 Jewish settlers from 21 settlements in Gaza and four settlements in the northern West Bank. Once it became clear that the evictions were definitely going ahead, a group of conservative Rabbis, led by Yosef Dayan, placed an ancient curse on Sharon known as the Pulsa diNura, calling on the Angel of Death to intervene and kill him. After Israeli soldiers bulldozed every settlement structure except for several former synagogues, Israeli soldiers formally left Gaza on 11 September 2005 and closed the border fence at Kissufim. While his decision to withdraw from Gaza sparked bitter protests from members of the Likud party and the settler movement, opinion polls showed that it was a popular move among most of the Israeli electorate, with more than 80 percent of Israelis backing the plans. On 27 September 2005, Sharon narrowly defeated a leadership challenge by a 52–48 percent vote. The move was initiated within the central committee of the governing Likud party by Sharon's main rival, Benjamin Netanyahu, who had left the cabinet to protest Sharon's withdrawal from Gaza. The measure was an attempt by Netanyahu to call an early primary in November 2005 to choose the party's leader. Founding of Kadima On 21 November 2005, Sharon resigned as head of Likud, and dissolved parliament to form a new centrist party called Kadima ("Forward"). November polls indicated that Sharon was likely to be returned to the prime ministership. On 20 December 2005, Sharon's longtime rival Netanyahu was elected his successor as leader of Likud. Following Sharon's incapacitation, Ehud Olmert replaced Sharon as Kadima's leader, for the nearing general elections. Likud, along with the Labor Party, were Kadimas chief rivals in the March 2006 elections. Sharon's stroke occurred a few months before he had been expected to win a new election and was widely interpreted as planning on "clearing Israel out of most of the West Bank", in a series of unilateral withdrawals. In the elections, which saw Israel's lowest-ever voter turnout of 64 percent (the number usually averages on the high 70%), Kadima, headed by Olmert, received the most Knesset seats, followed by Labor. The new governing coalition installed in May 2006 included Kadima, with Olmert as Prime Minister, Labor (including Amir Peretz as Defense Minister), the Pensioners' Party (Gil), the Shas religious party, and Israel Beytenu. Alleged fundraising irregularities and Greek island affair During the latter part of his career, Sharon was investigated for alleged involvement in a number of financial scandals, in particular, the Greek island affair and irregularities of fundraising during the 1999 election campaign. In the Greek island affair, Sharon was accused of promising (during his term as Foreign Minister) to help Israeli businessman David Appel in his development project on a Greek island in exchange for large consultancy payments to Sharon's son Gilad. The charges were later dropped due to lack of evidence. In the 1999 election fundraising scandal, Sharon was not charged with any wrongdoing, but his son Omri, a Knesset member at the time, was charged and sentenced in 2006 to nine months in prison. To avoid a potential conflict of interest in relation to these investigations, Sharon was not involved in the confirmation of the appointment of a new attorney general, Menahem Mazuz, in 2005. On 10 December 2005, Israeli police raided Martin Schlaff's apartment in Jerusalem. Another suspect in the case was Robert Nowikovsky, an Austrian involved in Russian state-owned company Gazprom's business activities in Europe. According to Haaretz, "The $3 million that parachuted into Gilad and Omri Sharon's bank account toward the end of 2002 was transferred there in the context of a consultancy contract for development of kolkhozes (collective farms) in Russia. Gilad Sharon was brought into the campaign to make the wilderness bloom in Russia by Getex, a large Russian-based exporter of seeds (peas, millet, wheat) from Eastern Europe. Getex also has ties with Israeli firms involved in exporting wheat from Ukraine, for example. The company owns farms in Eastern Europe and is considered large and prominent in its field. It has its Vienna offices in the same building as Jurimex, which was behind the $1-million guarantee to the Yisrael Beiteinu party." On 17 December, police found evidence of a $3 million bribe paid to Sharon's sons. Shortly afterwards, Sharon suffered a stroke. Illness, incapacitation and death (2006–14) Sharon had been obese since the 1980s, and also had suspected chronic high blood pressure and high cholesterol – at tall, he was reputed to weigh . Stories of Sharon's appetite and obesity were legendary in Israel. He would often joke about his love of food and expansive girth. His staff car would reportedly be stocked with snacks, vodka, and caviar. In October 2004 when asked why he did not wear a bulletproof vest despite frequent death threats, Sharon smiled and replied, "There is none that fits my size". He was a daily consumer of cigars and luxury foods. Numerous attempts by doctors, friends, and staff to impose a balanced diet on Sharon were unsuccessful. Sharon was hospitalized on 18 December 2005, after suffering a minor ischemic stroke. During his hospital stay, doctors discovered a heart defect requiring surgery and ordered bed rest pending a cardiac catheterization scheduled for 5 January 2006. Instead, Sharon immediately returned to work and suffered a hemorrhagic stroke on 4 January. He was rushed to Hadassah Medical Center in Jerusalem. After two surgeries lasting 7 and 14 hours, doctors stopped the bleeding in Sharon's brain, but were unable to prevent him from entering into a coma. Subsequent media reports indicated that Sharon had been diagnosed with cerebral amyloid angiopathy (CAA) during his December hospitalisation. Hadassah Hospital Director Shlomo Mor-Yosef declined to respond to comments that the combination of CAA and blood thinners after Sharon's December stroke might have caused his more serious subsequent stroke. Ehud Olmert became Acting Prime Minister the night of Sharon's second stroke, while Sharon officially remained in office. Knesset elections followed in March, with Olmert and Sharon's Kadima party winning a plurality. The next month, the Israeli Cabinet declared Sharon permanently incapacitated and Olmert became Interim Prime Minister on 14 April 2006 and Prime Minister in his own right on 4 May. Sharon underwent a series of subsequent surgeries related to his state. In May 2006, he was transferred to a long-term care facility in Sheba Medical Center. In July of that year, he was briefly taken to the hospital's intensive care unit to be treated for bacteria in his blood, before returning to the long-term care facility on 6 November 2006. Sharon would remain at Sheba Medical Center until his death. Medical experts indicated that his cognitive abilities had likely been destroyed by the stroke. His condition worsened from late 2013, and Sharon suffered from renal failure on 1 January 2014. After spending eight years in a coma, Sharon died at 14:00 local time (12:00 UTC) on 11 January 2014. Sharon's state funeral was held on 13 January in accordance with Jewish burial customs, which require that interment take place as soon after death as possible. His body lay in state in the Knesset Plaza from 12 January until the official ceremony, followed by a funeral held at the family's ranch in the Negev Desert. Sharon was buried beside his wife, Lily. Personal life Sharon was married twice, to two sisters, Margalit and Lily Zimmerman, who were from Romania. Sharon met Margalit in 1947 when she was 16, while she was tending a vegetable field, and married her in 1953, shortly after becoming a military instructor. Margalit was a supervisory psychiatric nurse. They had one son, Gur. Margalit died in a car accident in May 1962 and Gur died in October 1967, aged 11, after a friend accidentally shot him while the two children were playing with a rifle at the Sharon family home. After Margalit's death, Sharon married her younger sister, Lily. They had two sons, Omri and Gilad, and six grandchildren. Lily Sharon died of lung cancer in 2000. Sharon's sister, Yehudit (Dita) married Dr. Shmuel Mandel. In the 1950s, the couple permanently left Israel and emigrated to the United States. This caused a permanent rift in the family. Shmuel and Vera Scheinerman were greatly hurt by their daughter's choice to leave Israel. As a result, Vera Scheinerman willed only a small part of her estate to Dita, an act which enraged her. At one point, Dita decided to return to Israel, but after Vera was informed by the Israel Lands Administration that it would not be legally possible to split the family property between Ariel and Dita, and informed her that she would not be able to build a home there, Dita, believing she was being lied to, permanently cut her family in Israel off, and refused to attend the funerals of her mother and sister-in-law. She reestablished contact after Sharon's stroke. Sharon's sister has rarely been mentioned in biographies of him: he himself rarely acknowledged her and only mentioned her twice in his autobiography. Recognition The Ariel Sharon Park, an environmental park near Tel Aviv, is
any, every, and all genders (panromanticism). Demiromantic: Romantic attraction towards any of the above but only after forming a deep emotional bond with the person(s) (demiromanticism). Greyromantic: Experiencing romantic attraction rarely or only under certain circumstances (greyromanticism). Relationship with sexual orientation and asexuality The implications of the distinction between romantic and sexual orientations have not been fully recognized, nor have they been studied extensively. It is common for sources to describe sexual orientation as including components of both sexual and romantic (or romantic equivalent) attractions. Publications investigating the relationship between sexual orientation and romantic orientation are limited. Challenges in collecting information result from survey participants having difficulty identifying or distinguishing between sexual and romantic attractions. Asexual individuals experience little to no sexual attraction (see gray asexuality); however, they may still experience romantic attraction. Lisa M. Diamond states that a person's romantic orientation can differ from whom the person is sexually attracted to. While there is limited research on the discordance between sexual attraction and romantic attraction in individuals, also known as cross orientation, the possibility of fluidity and diversity in attractions have been progressively recognized. Researchers Bulmer and Izuma found that people who identify as aromantic often have more negative attitudes in relation to romance. While roughly 1% of the population identifies as asexual, 74% of those people reported having some form of romantic attraction. Aromanticism Aromanticism is a romantic orientation characterized by experiencing little to no romantic attraction. One of the attributes of aromantic people is that, despite feeling no romantic attraction, they may still enjoy sex. Aromantic people are not incapable of feeling love; for example, they can still feel familial love, or the type of platonic love that is expressed between friends, and some form intimate partnerships called queerplatonic relationships. Individuals who identify as aromantic may have trouble distinguishing the affection of family and friends from that of a romantic partner. Many aromantic people are asexual, but the term aromantic can be used in relation to various sexual identities, such as aromantic bisexual, aromantic heterosexual, aromantic lesbian, aromantic gay man or aromantic asexual. This is because aromanticism primarily deals with romantic attraction rather than with sexuality or libido. Some publications have argued that there is an underrepresentation of asexual and aromantic people in media and in research, and that they are often misunderstood. Aromantic people often face stigma and are stereotyped with labels such as being afraid of intimacy, heartless, or deluded. Amatonormativity, a concept that elevates romantic relationships over non-romantic relationships, has been said to be
sexual and romantic (or romantic equivalent) attractions. Publications investigating the relationship between sexual orientation and romantic orientation are limited. Challenges in collecting information result from survey participants having difficulty identifying or distinguishing between sexual and romantic attractions. Asexual individuals experience little to no sexual attraction (see gray asexuality); however, they may still experience romantic attraction. Lisa M. Diamond states that a person's romantic orientation can differ from whom the person is sexually attracted to. While there is limited research on the discordance between sexual attraction and romantic attraction in individuals, also known as cross orientation, the possibility of fluidity and diversity in attractions have been progressively recognized. Researchers Bulmer and Izuma found that people who identify as aromantic often have more negative attitudes in relation to romance. While roughly 1% of the population identifies as asexual, 74% of those people reported having some form of romantic attraction. Aromanticism Aromanticism is a romantic orientation characterized by experiencing little to no romantic attraction. One of the attributes of aromantic people is that, despite feeling no romantic attraction, they may still enjoy sex. Aromantic people are not incapable of feeling love; for example, they can still feel familial love, or the type of platonic love that is expressed between friends, and some form intimate partnerships called queerplatonic relationships. Individuals who identify as aromantic may have trouble distinguishing the affection of family and friends from that of a romantic partner. Many aromantic people are asexual, but the term aromantic can be used in relation to various sexual identities, such as aromantic bisexual, aromantic heterosexual, aromantic lesbian, aromantic gay man or aromantic asexual. This is because aromanticism primarily deals with romantic attraction rather than with sexuality or libido. Some publications have argued that there is an underrepresentation of asexual and aromantic people in media and in research, and that they are often misunderstood. Aromantic people often face stigma and are stereotyped with labels such as being afraid of intimacy, heartless, or deluded.
are similar. The anoa is the smallest of the wild cattle species. When anoa are born, they have a set of thick, woolly fur that comes in many color variations ranging from yellow to brown. In adults, the fur is typically brown or black and males tend to have darker variations. Hair thickness varies slightly between the two species based on elevation and distribution. In both species of anoa, horns are present on both males and females and are typically straight protuberances. Another defining characteristic of the anoa is an extremely thick hide underneath the thick fur. Conservation Both anoa species are endemic to the island of Sulawesi and are currently experiencing large declines in their populations. Knowledge of their decline has only recently been documented, however, and the villages and villagers lack the knowledge of how to help maintain or increase populations. The leading cause of their population decline is hunting by local villagers for meat, with habitat loss also being significant. One benefit of the lack of knowledge about the legal status of what they are doing is that villagers are open to communication with researchers on their harvests and hunting practices; where awareness of conservation issues has penetrated, villagers will lie about their activities. Logging is a large issue due to the fact that both species prefer core forested habitat that is far away from humans and the influences that come with them. By logging, humans create much more fragmented habitat and, therefore, a decrease in the area where the anoa can breed and live. This habitat fragmentation also alters the natural mixing of populations of the anoa. This may lead to a loss in genetic diversity between the two species and, over time, could also lead to their decline. References External links DIET COMPOSITION OF ANOA (Bubalus sp.) STUDIED USING DIRECT OBSERVATION AND DUNG ANALYSIS METHOD IN THEIR HABITAT from https://ejournal.undip.ac.id/index.php/jitaa/article/view/7608/6259 Pujaningsih, R.i., et al. “DIET COMPOSITION OF ANOA (Bubalus sp.) STUDIED USING DIRECT OBSERVATION AND DUNG ANALYSIS METHOD IN THEIR HABITAT.” Journal of the Indonesian Tropical Animal Agriculture, vol. 34, no. 3, 2009, doi:10.14710/jitaa.34.3.223-228.
wild cattle species. When anoa are born, they have a set of thick, woolly fur that comes in many color variations ranging from yellow to brown. In adults, the fur is typically brown or black and males tend to have darker variations. Hair thickness varies slightly between the two species based on elevation and distribution. In both species of anoa, horns are present on both males and females and are typically straight protuberances. Another defining characteristic of the anoa is an extremely thick hide underneath the thick fur. Conservation Both anoa species are endemic to the island of Sulawesi and are currently experiencing large declines in their populations. Knowledge of their decline has only recently been documented, however, and the villages and villagers lack the knowledge of how to help maintain or increase populations. The leading cause of their population decline is hunting by local villagers for meat, with habitat loss also being significant. One benefit of the lack of knowledge about the legal status of what they are doing is that villagers are open to communication with researchers on their harvests and hunting practices; where awareness of conservation issues has penetrated, villagers will lie about their activities. Logging is a large issue due to the fact that both species prefer core forested habitat that is far away from humans and the influences that come with them. By logging, humans create much more fragmented habitat and, therefore, a decrease in the area where the anoa can breed and live. This habitat fragmentation also alters the natural mixing of populations of the anoa. This may lead to a loss in genetic diversity between the two species and, over time, could also lead to their decline. References External links DIET COMPOSITION OF ANOA (Bubalus sp.) STUDIED USING DIRECT OBSERVATION AND DUNG ANALYSIS METHOD IN THEIR HABITAT from https://ejournal.undip.ac.id/index.php/jitaa/article/view/7608/6259 Pujaningsih, R.i., et al. “DIET COMPOSITION OF ANOA (Bubalus sp.)
Automatic Telephone Exchanges", which contains his classic formulae for call loss and waiting time. 1920 - "Telephone waiting times", which is Erlang's principal work on waiting times, assuming constant holding times. These and other notable papers were translated into English, French and German. His papers were prepared in a very brief style and can be difficult to understand without a background in the field. One Bell Telephone Laboratories researcher is said to have learned Danish to study them. The British Post Office accepted his formula as the basis for calculating circuit facilities. In 1946, the CCITT named the international unit of telephone traffic the "erlang". A statistical distribution and programming language listed below have also been named in his honour. See also Erlang – a unit of communication activity Erlang distribution – a statistical probability distribution Erlang programming language – developed by Ericsson for large industrial real-time systems Queueing theory Teletraffic engineering References 20th-century Danish mathematicians Danish engineers Electrical engineers Queueing theorists Danish
and received an award for a paper that he submitted to the University of Copenhagen. He was a member of the Danish Mathematicians' Association (DMF) and through this met amateur mathematician Johan Jensen, the Chief Engineer of the Copenhagen Telephone Company (KTAS in Danish), an offshoot of the International Bell Telephone Company. Erlang worked for the CTC (KTAS) from 1908 for almost 20 years, until his death in Copenhagen after an abdominal operation. He was an associate of the British Institution of Electrical Engineers. Contributions While working for the CTC, Erlang was presented with the classic problem of determining how many circuits were needed to provide an acceptable telephone service. His thinking went further by finding how many telephone operators were needed to handle a given volume of calls. Most telephone exchanges then used human operators and cord boards to switch telephone calls by means of jack plugs. Out of necessity, Erlang was a hands-on researcher. He would conduct measurements and was prepared to climb into street manholes to do so. He was also an expert in the history and calculation of the numerical tables of mathematical functions, particularly logarithms. He devised new calculation methods for certain forms of tables. He developed his theory of telephone traffic over several years. His significant publications include: 1909 – "The Theory of Probabilities and Telephone Conversations", which proves that the Poisson distribution applies to random telephone traffic. 1917 – "Solution of some Problems in the Theory of Probabilities of Significance in Automatic Telephone Exchanges", which contains his classic formulae for call loss and waiting time. 1920 - "Telephone waiting times", which is Erlang's principal work on waiting times, assuming constant holding times. These and other notable papers were translated into English, French and German. His papers were prepared in a very brief style and can be difficult to understand without a background in the field. One Bell Telephone Laboratories researcher is said
guess who is who. Fay disappears, and hiding from the police, admits that she hopes for one miracle - for a hero who can come and deliver the town from the madness (“There Won't Be Trumpets”). Cora arrives on the scene with the Cookie Jar's manager, Dr. Detmold, but he says that Fay has taken the records to identify the inmates. He tells Cora that he is expecting a new assistant who might help them. At that moment a mysterious stranger, J. Bowden Hapgood, arrives asking for directions to the Cookie Jar. He is instantly taken for the new assistant. Asked to identify the missing Cookies, Hapgood begins questioning random people and sorting them into two groups, group A, and group one, but refuses to divulge which group is which. The town council becomes suspicious of this and tries to force the truth out, but Hapgood questions them until they begin to doubt their own sanity. Cora is too caught up with his logic to care. (“Simple”) As the extended musical sequence ends, the lights black out except for a spotlight on Hapgood, who announces to the audience, “You are all mad!” Seconds later, the stage lights are restored. The stage set has vanished, and the cast is revealed in theater seats, holding programs, applauding the audience, as the act ends. Act 2 As act two opens, the two groups are now in a bitter rivalry over who is the normal group (“A-1 March”) Another stranger, a French woman in a feathered coat appears. It is really Fay Apple in disguise. She introduces herself as the Lady from Lourdes, a professional Miracle Inspector, come to investigate the miracle. As Schub runs off to warn Cora, Fay seeks out Hapgood in his hotel, and the two seduce each other in the style of a French romantic film. (“Come Play Wiz Me”) Fay tries to get Hapgood's help in exposing the miracle. Hapgood, however, sees through her disguise and wants to question her first. Fay refuses to take her wig off and confesses to him that this disguise, leftover from a college play, is the only way she can break out of her rigid and cynical persona. She begins to hope, however, that Hapgood may be the one who can help her learn to be free. (“Anyone Can Whistle”) Meanwhile, the two groups continue to march, and Cora, trying to give a speech, realizes that Hapgood has stolen her limelight. (“A Parade in Town”) She and Schub plan an emergency meeting at her house. Back at the hotel, Hapgood comes up with an idea, telling Fay to destroy the inmates' records. That way Fay can be free of them and they can stop pretending. When Fay is reluctant, Hapgood produces a record of his own - he is her fiftieth Cookie. He is a practicing idealist who, after years of attempted heroism, is tired of crusading and has come to the Cookie Jar to retire. Inspired by his record, Fay begins to tear the records up. As she does, the Cookies appear and begin to dance (“Everybody Says Don't”). Act 3 Act three begins with Cora at her house with her council. Schub has put the miracle on hiatus but announces that they can easily turn the town against Hapgood by blaming him for it. The group celebrates their alliance. (“I've Got You to Lean On”) A mob quickly forms outside the hotel, and Hapgood and Fay, still disguised, take refuge under the rock. Discovering the fraud, Cora and the council confront them. At that moment, Cora receives a telegram from the governor warning that if the quota of forty-nine cookies is not filled, she will be impeached. Schub tells her that since Hapgood never said who is normal or not, they can arrest anyone at random until the quota is filled. Fay tries to get Hapgood to expose the miracle, but he warns her no one will believe it is a fake, because it works as a miracle should. Fay wants his help stopping the Mayoress, but he refuses since he is through with crusading. Although she knows she still isn't out of her shell, Fay angrily swears to go it alone. (“See What it Gets You”) As Cora and the police force begin rounding up Cookies, Fay tries to get the key away from the guards in an extended ballet sequence. (“The Cookie Chase”) As it ends, Fay is captured, and Dr. Detmold suddenly recognizes her. Fay tells the townspeople about the fake miracle, but the town refuses to believe her. Detmold tells Cora that even without the records, Fay can identify the inmates from memory. Cora warns that she will arrest forty-nine people, normal or not, and Fay, helplessly, identifies all the Cookies, except Hapgood. She tells him the world needs people like him, and Hapgood can't turn himself in. He asks Fay to come with him, but she still can't bring herself to break free. Parting ways, they reflect on what they briefly shared. (“With So Little to Be Sure Of”) Word comes of a new miracle, two towns over, of a statue with a warm heart. Soon the town is all but deserted, and Cora is again upstaged. Again, Schub has the answer - since the Cookie Jar is still successful, they can turn the entire town into one big Cookie Jar! Cora realizes she and Schub are meant for each other, and they dance off together. As Fay resumes work, Detmold's real new assistant arrives, and Fay is horrified to realize that she is even more practical, rigid and disbelieving than Fay herself, and the new nurse marches the Cookies off to the next town to disprove the new miracle. Horrified at seeing what she might become, Fay returns to the rock calling for Hapgood. When he doesn't answer, she tries to whistle - and succeeds in blowing a shrill, ugly whistle. Hapgood appears again, saying 'That's good enough for me.' As they embrace, the water begins flowing from the rock - a true miracle this time. (Finale) Notable casts Musical numbers (from the Broadway production) Act I Prelude Act I (instrumental) — Orchestra I'm Like the Bluebird — company Me and My Town — Cora Hoover Hooper and Boys Miracle Song — Cora, Treasurer Cooley, Townspeople, Tourists, and Pilgrims There Won't Be Trumpets — Fay Apple* Simple — J. Bowden Hapgood and Company Act II Prelude Act II (instrumental) — Orchestra A-1 March — Company Come Play Wiz Me — Fay, Hapgood, and Boys Anyone Can Whistle — Fay A Parade In Town — Cora Everybody Says Don't — Hapgood Don't Ballet (instrumental) — Orchestra Act III Prelude Act III (instrumental) — Orchestra I've Got You to Lean On — Cora, Comptroller Schub, Treasurer Cooley, Chief Magruder, and Boys See What It Gets You — Fay Anyone Can Whistle (Reprise) — Fay Cora's Chase (The Cookie Chase) — Company I'm Like the Bluebird (Reprise 1) — Cookies With So Little to Be Sure Of — Fay and Hapgood I've Got You to Lean On (Reprise) — Cora and Schub* I'm Like the Bluebird (Reprise 2) — Cookies Finale Ultimo (instrumental) — Orchestra Notes Asterisk (*) denotes song cut during Previews. Despite being cut from the original production, "There Won't Be Trumpets" was nonetheless recorded for the original Broadway cast recording. While not included on the LP release, the song was reinstated on a later CD release. Officially licensed scripts and scores for performance also include the song. The 1995 concert production restored two previously cut songs: "There Won't Be Trumpets" (Fay Apple) and "There's Always a Woman" (Fay and Cora) "Finale Ultimo" is attached to the end of "With So Little to Be Sure Of" on the Original Cast Recording. Critical response Howard Taubman in his The New York Times review wrote that Laurents's "book lacks the fantasy that would make the idea work, and his staging has not improved matters. Mr. Sondheim has written several pleasing songs but not enough of them to give the musical wings. The performers yell rather than talk and run rather than walk. The dancing is the cream." Steven Suskin wrote in his 2000 book about Broadway composers: The "fascinating extended musical scenes, with extended choral work, ... immediately marked Sondheim as the most distinctive theatre composer of his time. The first act sanity sequence ... and the third act chase ... are unlike anything that came before." Awards and nominations Original Broadway production References Balancing Act, The Authorized Biography of Angela Lansbury by Martin Gottfried, published by Little, Brown and Company, 1999 Notes External links sondheim.com MTI shows listing Live, Laugh, Love: Anyone Can Whistle Anyone Can Whistle on the Stephen Sondheim Reference Guide The story of Anyone Can Whistle by Mark Eden Horowitz in
revisions, the show opened on Broadway on April 4, 1964, at the Majestic Theatre, where it closed after 9 performances and 12 previews, unable to overcome negative notices from major papers such as the New York Times and the New York Herald Tribune. Scenic design was by William and Jean Eckart, costume design by Theoni V. Aldredge, and lighting design by Jules Fisher. Choreographer Herbert Ross received the show's sole Tony Award nomination. The show became a cult favorite, and a truncated original cast recording released by Columbia Records sold well among Sondheim fans and musical theatre buffs. "There Won't Be Trumpets," a song cut during previews, has become a favorite of cabaret performers. On April 8, 1995, a staged concert was held at Carnegie Hall in New York City as a benefit for the Gay Men's Health Crisis. The concert was recorded by Columbia Records, preserving for the first time musical passages and numbers not included on the original Broadway cast recording. For example, the cut song "There's Always A Woman" was included at this concert. Lansbury served as narrator, with Madeline Kahn as Cora, Bernadette Peters as Fay, and Scott Bakula as Hapgood. Additional cast included Chip Zien, Ken Page, and Harvey Evans, the only original cast member to reprise his original role. In 2003, Sony reissued the original Broadway cast recording on compact disc. Two revivals were staged that year, one in London, at the Bridewell Theatre, and one in Los Angeles, at the Matrix Theatre. The Ravinia Festival, Highland Park, Illinois, presented a staged concert on August 26 and 27, 2005, with Audra McDonald (Fay), Michael Cerveris (Hapgood) and Patti LuPone (Cora). On January 11, 2008, Talk Is Free Theatre presented the Canadian professional premiere (in concert) at the Gryphon Theatre in Barrie, Ontario, with a fundraiser performance on January 13 at the Diesel Playhouse in Toronto, Ontario. It starred Adam Brazier as Hapgood, Kate Hennig as Cora, Blythe Wilson as Fay, and Richard Ouzounian as Narrator, who also served as director. Choreography was by Sam Strasfeld. Additional cast included Juan Chioran as Comptroller Shub, Jonathan Monro as Treasurer Cooley, and Mark Harapiak as Chief Magruder. Musical direction was provided by Wayne Gwillim. New York City Center Encores! presented a staged concert from April 8 through April 11, 2010, with Sutton Foster as Nurse Fay Apple, Donna Murphy as Mayoress Cora Hoover Hooper, and Raul Esparza as Hapgood, with direction and choreography by Casey Nicholaw. The production was the second most attended in Encores! history, and Stephen Sondheim was present at the post-matinee talkback on April 10. A London production of Anyone can Whistle opened at the Jermyn Street Studio Theatre, London, in association with Primavera Productions, running from March 10, 2010, to April 17, 2010. The director is Tom Littler, with Musical Director Tom Attwood, and a cast that includes Issy van Randwyck (Mayoress), Rosalie Craig (Nurse Fay Apple) and David Ricardo-Pearce (Hapgood). Porchlight Music Theatre of Chicago presented Anyone Can Whistle in 2013 as a part of "Porchlight Revisits" series, in which they stage three forgotten musicals per year. It was directed by Christopher Pazdernik and music directed by Aaron Benham. A new production directed by Phil Willmott opened at the Union Theatre in London, running from February 8 through March 11, 2017. A concert presentation of the show will be presented by MasterVoices, under the direction and baton of Ted Sperling, on March 10, 2022, at Carnegie Hall in New York City. This production will feature Vanessa Williams (Cora Hoover Hooper), Santino Fontana (J. Bowden Hapgood), Elizabeth Stanley (Fay Apple), Douglas Sills (Comptroller Schub), Eddie Cooper (Treasurer Cooley), and Michael Mulheren (Police Chief Magruder). A brand new production of the show will be presented at the Southwark Playhouse from April 1, 2022 to May 7, 2022 under the direction of Matthew Rankcom, with Musical Direction by Natalie Pound and Choreography by Lisa Stevens. The show’s cast features Alex Young as Cora Hoover Hooper, Chrystine Symone as Nurse Fay Apple, and Jordan Broatch as J. Bowden Hapgood. This production is set to be the largest staged version of the show since it’s debut on Broadway in 1964. Plot Act 1 The story is set in an imaginary American town that has gone bankrupt. (Its former major industry was the production of an unidentified product that never wore out. Everyone has one now, and no one needs a replacement.) The only place in town doing good business is the local Sanatorium, known as “The Cookie Jar,” whose inmates look much healthier than the disgruntled townspeople. ("I'm Like the Bluebird") All the money is in the hands of Cora Hoover Hooper, the stylish, ruthless mayoress and her cronies - Comptroller Schub, Treasurer Cooley, and Police Chief Magruder. Cora appears carried in a litter by her backup singers, and admits that she can accept anything except unpopularity (“Me and My Town”). The scheming Comptroller Schub tells her that he has a plan to save her administration, and the town, promising “It's highly unethical.” He tells her to meet him at the rock on the edge of town. At the rock, a local mother, Mrs. Schroeder, tries to tell her child, Baby Joan, to come down from the rock, when Baby Joan licks it - and a spring of water begins flowing from it. The town instantly proclaims a miracle, and Cora and her council eagerly anticipate tourist dollars as they boast of the water's curative powers. ("Miracle Song") It is soon revealed to Cora that the miracle is a fake, controlled by a pump inside the rock. The only person in town who doubts the miracle is Fay Apple, an eternally skeptical young nurse from the Cookie Jar who refuses to believe in miracles. She appears at the rock with all forty-nine of the inmates, or “Cookies” in tow, intending to let them take some of the water. Schub realizes that if they drink the water and do not change, people will discover the fraud. As he tries to stop Fay, the inmates mingle with the townspeople, until no one can guess who is who. Fay disappears, and hiding from the police, admits that she hopes for one miracle - for a hero who can come and deliver the town from the madness (“There Won't Be Trumpets”). Cora arrives on the scene with the Cookie Jar's manager, Dr. Detmold, but he says that Fay has taken the records to identify the inmates. He tells Cora that he is expecting a new assistant who might help them. At that moment a mysterious stranger, J. Bowden Hapgood, arrives asking for directions to the Cookie Jar. He is instantly taken for the new assistant. Asked to identify the missing Cookies, Hapgood begins questioning random people and sorting them into two groups, group A, and group one, but refuses to divulge which group is which. The town council becomes suspicious of this and tries to force the truth out, but Hapgood questions them until they begin to doubt their own sanity. Cora is too caught up with his logic to care. (“Simple”) As the extended musical sequence ends, the lights black out except for a spotlight on Hapgood, who announces to the audience, “You are all mad!” Seconds later, the stage lights are restored. The stage set has vanished, and the cast is revealed in theater seats, holding programs, applauding the audience, as the act ends. Act 2 As act two opens, the two groups are now in a bitter rivalry over who is the normal group (“A-1 March”) Another stranger, a French woman in a feathered coat appears. It is really Fay Apple in disguise. She introduces herself as the Lady from Lourdes, a professional Miracle Inspector, come to investigate the miracle. As Schub runs off to warn Cora, Fay seeks out Hapgood in his hotel, and the two seduce each other in the style of a French romantic film. (“Come Play Wiz Me”) Fay tries to get Hapgood's help in exposing the miracle. Hapgood, however, sees through her disguise and wants to question her first. Fay refuses to take her wig off and confesses to him that this disguise, leftover from a college play, is the only way she can break out of her rigid and cynical persona. She begins to hope, however, that Hapgood may be the one who can help her learn to be free. (“Anyone Can Whistle”) Meanwhile, the two groups continue to march, and Cora, trying to give a speech, realizes that Hapgood has stolen her limelight. (“A Parade in Town”) She and Schub plan an emergency meeting at her house. Back at the hotel, Hapgood comes up with an idea, telling Fay to destroy the inmates' records. That way Fay can be free of them and they can stop pretending. When
spirits. There is the concern this tax will encourage consumers to buy straight spirits and mix the drinks themselves, possibly resulting in drinks with a higher alcohol concentration than the premixed alternatives. This tax was revoked during March 2009 meaning the government had to pay back the 290 million collected on the tax. The Federal Trade Commission report states, "Further, industry-conducted research on consumers over the age of 21 who use FMBs shows that these consumers generally view the FMBs as substitutes for beer, ... This research also concludes that consumers are not likely to consume more than two or three FMBs on any occasion because of the products' sweetness. In March 2018, Coca-Cola announced it would be launching an alcopop product for the first time, a chūhai beverage in Japan. Brands Brands of coolers are numerous and their alcoholic base vary greatly. Some notable brands include: VK Vodkakick, Smirnoff Ice, Mike's Hard Lemonade, Bacardi Breezer, Palm Bay, Skyy Blue, Jack Daniel's Hard Cola and, in the UK, WKD Original Vodka. Garage is an alcopop produced by the Finnish brewery Sinebrychoff. Attempts to discourage Australia The Australian government increased the tax on these drinks under the 2008 budget to the same rate as spirits, volumetrically, in an effort to stop binge drinking. The tax was criticized by the opposition as a tax grab, and voted down in the Senate on March 18, 2009. Before its rejection, the tax had already raised at least A$290 million after April 2008. In April 2009, some Labor party MPs planned to resubmit the tax to the Senate, and it was finally approved in August 2009, increasing the tax on the drinks from $39.36 to $66.67 per litre of alcohol. A 2013 study concluded that the tax had no impact on binge drinking of the drinks by teenagers. Germany On 1 July 2004 the German government increased the tax on mixed drinks based on spirits (e.g. vodka, rum) by roughly one Euro per 275-ml-bottle in order to discourage teenagers drinking excessively, although those drinks were already prohibited for those under the age of 18. This had two implications: The most common alcopops, such as Smirnoff Ice or Bacardi Breezer, were nearly taken off the market, while other manufacturers changed the recipes of their drinks to replace spirit alcohols with wine or beer, but with the same ABV, enabling these mixed drinks (which are not "alcopops" under German law) to be sold legally to minors 16 and 17 years of age. Philippines In 2019, some senators including Pia Cayetano and former Special Assistant to the President Bong Go called for pullout of alcopops from the market due to "deceptive packaging that resembles fruit juices usually bought by young consumers". Alcopops also have seven percent alcohol content, which is slightly lower than that of local beer brand Red Horse Beer. South Africa In South Africa, "spirit coolers" cannot be sold to persons under the age of 18. They are only sold at liquor stores. United Kingdom In June 1997, Co-op Food became the first major retailer to place an outright ban on the sale of alcopops in its shops. This has since been rescinded. See also Chuhai Comparison of alcopops Hard seltzer Hard soda Jello shot Jungle juice Nutcracker (drink) Purple drank Queen Mary (beer cocktail) References Sources Bloomberg News, FTC Says Alcohol Type Not Aimed at Minors, Los Angeles Times, June 5, 2002. Melillo, W. FTC: Ads for 'Alcopops' Not Aimed at Teens, Adweek, June 6, 2002. American Medical Association, AMA Says Alcohol Industry Targets Teen Girls, December 16, 2004. California boosts tax on 'alcopops', Associated Press, August 15, 2007. External links Portman Group (a UK alcoholic beverage industry trade advocacy group with a code of marketing practices) New wave of 'sophisticated' alcopops fuels teenage binge drinking The Guardian, 14 December 2002 The demonised drink: How has youth drinking evolved 20 years since the launch of alcopops? The Independent, 29 June 2013 The quiet death of
sold only where hard liquor is available. In the United States there is a proportionally limited tax on alcopops relative to those sold in Europe. According to the US Alcohol and Tobacco Tax and Trade Bureau (TTB): Flavored malt beverages are brewery products that differ from traditional malt beverages such as beer, ale, lager, porter, stout, or malt liquor in several respects. Flavored malt beverages exhibit little or no traditional beer or malt beverage character. Their flavor is derived primarily from added flavors rather than from malt and other materials used in fermentation. At the same time, flavored malt beverages are marketed in traditional beer-type bottles and cans and distributed to the alcohol beverage market through beer and malt beverage wholesalers, and their alcohol content is similar to other malt beverages in the 4-6% alcohol by volume range. Although flavored malt beverages are produced at breweries, their method of production differs significantly from the production of other malt beverages and beer. In producing flavored malt beverages, brewers brew a fermented base of beer from malt and other brewing materials. Brewers then treat this base using a variety of processes in order to remove malt beverage character from the base. For example, they remove the color, bitterness, and taste generally associated with beer, ale, porter, stout, and other malt beverages. This leaves a base product to which brewers add various flavors, which typically contain distilled spirits, to achieve the desired taste profile and alcohol level. While the alcohol content of flavored malt beverages is similar to that of most traditional malt beverages, the alcohol in many of them is derived primarily from the distilled spirits component of the added flavors rather than from fermentation. —70 Fed. Reg. 194 et seq. (January 3, 2005) In some Continental European countries, such as Austria and Germany, bottled beer cocktails and shandies are available, which are being marketed the same way like alcopops. However, these beverages are based on traditional hopped beers and therefore not considered to be alcopops. History Wine coolers gained popularity in the US market in the 1980s when Bartles and Jaymes began advertising their brand of wine coolers, which were followed by other brands, including when Bacardi introduced the Breezer. A growth in popularity occurred around 1993 with Two Dogs, DNA Alcoholic Spring Water, Hooper's Hooch and Zima, which was marketed under the title of "malternative beverage." Wine coolers were on the decline due to the increase in the US federal wine tax, and using a malt-beverage base became the new industry standard. Later, Mike's Hard Lemonade was released in the United States, with humorous commercials depicting what they called "violence against lemons". Smirnoff also came out with another citrus-flavored malt beverage in the United States in the late 1990s called Smirnoff Ice, which promoted itself with flashy commercials, usually involving trendy young people dancing in unlikely situations and places. (In the UK, Smirnoff Ice is marketed by Diageo as a PPS.) Through its Alcopop-Free Zone® campaign, " In December 2003, Ireland raised the tax on flavored malt beverages to equal that of spirits, the second-highest in Europe. Germany has imposed an extra duty of 0.80 to 0.90 euro per bottle effective August 1, 2004. To circumvent higher taxation, some German producers have switched to wine coolers, which are being marketed the same way. Some bottles now carry a warning stating that they are not for consumption by people under the legal drinking age (under 18 in the UK and 21 in the United States). On May 11, 2008, the Australian Government increased the excise tax on alcopops by 70%, to bring it in line with the tax on spirits.
water-extract of burned plant ashes, called potash and composed mostly of potassium carbonate, was mildly basic. After heating this substance with calcium hydroxide (slaked lime), a far more strongly basic substance known as caustic potash (potassium hydroxide) was produced. Caustic potash was traditionally used in conjunction with animal fats to produce soft soaps, one of the caustic processes that rendered soaps from fats in the process of saponification, one known since antiquity. Plant potash lent the name to the element potassium, which was first derived from caustic potash, and also gave potassium its chemical symbol K (from the German name Kalium), which ultimately derived from alkali. Common properties of alkalis and bases Alkalis are all Arrhenius bases, ones which form hydroxide ions (OH−) when dissolved in water. Common properties of alkaline aqueous solutions include: Moderately concentrated solutions (over 10−3 M) have a pH of 10 or greater. This means that they will turn phenolphthalein from colorless to pink. Concentrated solutions are caustic (causing chemical burns). Alkaline solutions are slippery or soapy to the touch, due to the saponification of the fatty substances on the surface of the skin. Alkalis are normally water-soluble, although some like barium carbonate are only soluble when reacting with an acidic aqueous solution. Difference between alkali and base The terms "base" and "alkali" are often used interchangeably, particularly outside the context of
greater than 7.0. The adjective alkaline is commonly, and alkalescent less often, used in English as a synonym for basic, especially for bases soluble in water. This broad use of the term is likely to have come about because alkalis were the first bases known to obey the Arrhenius definition of a base, and they are still among the most common bases. Etymology The word "alkali" is derived from Arabic al qalīy (or alkali), meaning the calcined ashes (see calcination), referring to the original source of alkaline substances. A water-extract of burned plant ashes, called potash and composed mostly of potassium carbonate, was mildly basic. After heating this substance with calcium hydroxide (slaked lime), a far more strongly basic substance known as caustic potash (potassium hydroxide) was produced. Caustic potash was traditionally used in conjunction with animal fats to produce soft soaps, one of the caustic processes that rendered soaps from fats in the process of saponification, one known since antiquity. Plant potash lent the name to the element potassium, which was first derived from caustic potash, and also gave potassium its chemical symbol K (from the German name Kalium), which ultimately
hooks argues that Black nationalism was largely a patriarchal and misogynist movement, seeking to overcome racial divisions by strengthening sexist ones, and that it readily latched onto the idea of the emasculating Black matriarch proposed by Daniel Patrick Moynihan, whose theories bell hooks often criticizes. Meanwhile, she says, the "feminist movement", a largely white middle and upper class affair, did not articulate the needs of poor and non-white women, thus reinforcing sexism, racism, and classism. She suggests this explains the low numbers of Black women who participated in the feminist movement in the 1970s, pointing to Louis Harris' Virginia Slims poll done in 1972 for Philip Morris that she says showed 62 percent of Black women supported "efforts to change women's status" and 67 percent "sympathized with the women's rights movement", compared with 45 and 35 percent of white women (also Steinem, 1972). Reception Since its publication, Ain't I a Woman has been critically acclaimed as groundbreaking in the study of feminist theory for discussing the correlation between the history of oppression Black women have faced in the United States and its lingering effects in modern American society. Ain't I a Woman is praised for tackling the intersection of race and gender that marginalizes Black women. hooks' writing has also opened the door for other Black women to write and theorize about similar topics. The book is commonly used in gender studies, Black studies, and philosophy courses. The work has led to some criticism of her being "ahistorical, unscholarly (there were many complaints about the absence of footnotes), and homophobic". She does
worst conditions of any group in American society. White female abolitionists and suffragists were often more comfortable with Black male abolitionists such as Frederick Douglass, while southern segregationalists and stereotypes of Black female promiscuity and immorality caused protests whenever Black women spoke. hooks points out that these white female reformers were more concerned with white morality than the conditions these morals caused Black Americans. Further, she argues that the stereotypes that were set during slavery still affect Black women today. She argued that slavery allowed white society to stereotype white women as the pure goddess virgin and move Black women to the seductive whore stereotype formerly placed on all women, thus justifying the devaluation of Black femininity and rape of Black women. The work which Black women have been forced to perform, either in slavery or in a discriminatory workplace, that would be non-gender conforming for white women has been used against Black women as a proof of their emasculating behaviour. bell hooks argues that Black nationalism was largely a patriarchal and misogynist movement, seeking to overcome racial divisions by strengthening sexist ones, and that it readily latched onto the idea of the emasculating Black matriarch proposed by Daniel Patrick Moynihan, whose theories bell hooks often criticizes. Meanwhile, she says, the "feminist movement", a largely white middle and upper class affair, did not articulate the needs of poor and
caused programs written in it to have a non-standard user interface, and also caused compatibility problems with newer versions of hardware. Today, the language has declined in popularity along with the Amiga computer for which it was written. Despite this, a small community of enthusiasts are still using it. The source code to AMOS was released around 2001 under a BSD style license by Clickteam, a company that includes the original programmer. On the 4 April 2019, François Lionet announced the release of AMOS2 on his website amos2.org. AMOS2 replaces STOS and AMOS together, using JavaScript as its code interpreter, making the new development system independent and generally deployed in internet browsers. Amos 2 is now called AOZ Studio. Its website is at https://www.aoz.studio/. Software Software written using AMOS BASIC includes: Miggybyte Scorched Tanks Games by Vulcan Software, amongst which was the Valhalla trilogy Amiga version of Ultimate Domain (called Genesia) by Microïds Flight of the Amazon Queen, by Interactive Binary Illusions Extreme Violence, included on an Amiga Power cover disk Jetstrike, a commercial game by Rasputin Software References External links Source code for AMOS Professional 68000 ASM from pianetaamiga.it (archived, ZIP) Source code for AMOS and STOS 68000 ASM from clickteam.com (archived, ZIP) The AMOS Factory (an AMOS support/community site) Amigacoding website (contains in-depth info and references for AMOS) History of STOS and AMOS: how they came to be published in the UK Amos Professional group on Facebook (one of the members is AMOS' original developer François Lionet) BASIC programming language family Video game development software Amiga
as a better IDE, ARexx support, a new UI API and new flow control constructs. Neither of these new versions was significantly more popular than the original AMOS. AMOS was used mostly to make multimedia software, video games (platformers and graphical adventures) and educational software. The language was mildly successful within the Amiga community. Its ease of use made it especially attractive to beginners. Perhaps AMOS BASIC's biggest disadvantage, stemming from its Atari ST lineage, was its incompatibility with the Amiga's operating system functions and interfaces. Instead, AMOS BASIC controlled the computer directly, which caused programs written in it to have a non-standard user interface, and also caused compatibility problems with newer versions of hardware. Today, the language has declined in popularity along with the Amiga computer for which it was written. Despite this, a small community of enthusiasts are still using it. The source code to AMOS was released around 2001 under a BSD style license by Clickteam, a company that includes the original programmer. On the 4 April 2019, François Lionet announced the release of AMOS2 on his website amos2.org. AMOS2 replaces STOS and AMOS together, using JavaScript as its code interpreter, making the new development system independent and generally deployed in internet browsers. Amos 2 is now called AOZ Studio. Its website is at https://www.aoz.studio/. Software Software written using AMOS BASIC includes: Miggybyte Scorched Tanks Games by Vulcan Software,
power supply so it can be used in a boat or a vehicle. It also has two outputs (or inputs) headphone jacks on the back of the unit, on the far left and far right sides. The system came with two Intellivision-style controllers with a 12-button keypad and 'fire' buttons on the sides. The direction pads have a removable joystick attachment. Most games came with BoPET overlays that could be applied to the controller's keypads. The console itself had five buttons: power, start, reset, option, and select. There are at least three different types of cartridge case styles and artwork, with variations on each. Emerson-family cartridges come in two different lengths (short and long) of black plastic cases. Technical specifications Main Processor: Signetics 2650 CPU (some variants run a Signetics 2650A) RAM: 1 KB ROM: None Video display: 128 × 208 / 128 × 104, 8 Colours Video display controller: Signetics 2637 UVI @ 3.58 MHz (NTSC), 3.55 MHz (PAL) Sound: Single Channel "Beeper" + Single Channel "Noise" Hardware Sprites: 4 independent, single color Controllers: 2 × 2 way Keypads: 2 × 12 button (more buttons on some variants) Console variants and clones Many variants and clones of the Arcadia 2001 have been released by various companies in different countries. These systems are mostly compatible with each other. In 1982, the Bandai Arcadia was released only in Japan. Four exclusive games were released for the system. Bandai Arcadia In 1982, the Bandai Arcadia, a variant of the Emerson Arcadia 2001, was licensed and distributed to Japan by Bandai for a price of 19,800 yen. There were four Japan-exclusive games released by Bandai. Doraemon Dr. Slump Mobile Suit Gundam Super Dimension Fortress Macross Reception After seeing the Arcadia 2001 at the summer 1982 Consumer Electronics Show, Danny Goodman of Creative Computing Video & Arcade Games reported that its graphics were similar to the Atari 2600's, and that "our overall impression of the game
Description The Arcadia is much smaller than its contemporary competitors and is powered by a standard 12 volt power supply so it can be used in a boat or a vehicle. It also has two outputs (or inputs) headphone jacks on the back of the unit, on the far left and far right sides. The system came with two Intellivision-style controllers with a 12-button keypad and 'fire' buttons on the sides. The direction pads have a removable joystick attachment. Most games came with BoPET overlays that could be applied to the controller's keypads. The console itself had five buttons: power, start, reset, option, and select. There are at least three different types of cartridge case styles and artwork, with variations on each. Emerson-family cartridges come in two different lengths (short and long) of black plastic cases. Technical specifications Main Processor: Signetics 2650 CPU (some variants run a Signetics 2650A) RAM: 1 KB ROM: None Video display: 128 × 208 / 128 × 104, 8
Grünbaum states in this paper that Norman Johnson deserves priority for achieving the same enumeration in 1991. He also mentions that I. Alexeyev of Russia had contacted him regarding a putative enumeration of these forms, but that Grünbaum was unable to verify this at the time. 2006: George Olshevsky, in his manuscript Uniform Panoploid Tetracombs, along with repeating the derived list of 11 convex uniform tilings, and 28 convex uniform honeycombs, expands a further derived list of 143 convex uniform tetracombs (Honeycombs of uniform 4-polytopes in 4-space). Only 14 of the convex uniform polyhedra appear in these patterns: three of the five Platonic solids, six of the thirteen Archimedean solids, and five of the infinite family of prisms. Names This set can be called the regular and semiregular honeycombs. It has been called the Archimedean honeycombs by analogy with the convex uniform (non-regular) polyhedra, commonly called Archimedean solids. Recently Conway has suggested naming the set as the Architectonic tessellations and the dual honeycombs as the Catoptric tessellations. The individual honeycombs are listed with names given to them by Norman Johnson. (Some of the terms used below are defined in Uniform 4-polytope#Geometric derivations for 46 nonprismatic Wythoffian uniform 4-polytopes) For cross-referencing, they are given with list indices from Andreini (1-22), Williams(1-2,9-19), Johnson (11-19, 21–25, 31–34, 41–49, 51–52, 61–65), and Grünbaum(1-28). Coxeter uses δ4 for a cubic honeycomb, hδ4 for an alternated cubic honeycomb, qδ4 for a quarter cubic honeycomb, with subscripts for other forms based on the ring patterns of the Coxeter diagram. Compact Euclidean uniform tessellations (by their infinite Coxeter group families) The fundamental infinite Coxeter groups for 3-space are: The , [4,3,4], cubic, (8 unique forms plus one alternation) The , [4,31,1], alternated cubic, (11 forms, 3 new) The cyclic group, [(3,3,3,3)] or [3[4]], (5 forms, one new) There is a correspondence between all three families. Removing one mirror from produces , and removing one mirror from produces . This allows multiple constructions of the same honeycombs. If cells are colored based on unique positions within each Wythoff construction, these different symmetries can be shown. In addition there are 5 special honeycombs which don't have pure reflectional symmetry and are constructed from reflectional forms with elongation and gyration operations. The total unique honeycombs above are 18. The prismatic stacks from infinite Coxeter groups for 3-space are: The ×, [4,4,2,∞] prismatic group, (2 new forms) The ×, [6,3,2,∞] prismatic group, (7 unique forms) The ×, [(3,3,3),2,∞] prismatic group, (No new forms) The ××, [∞,2,∞,2,∞] prismatic group, (These all become a cubic honeycomb) In addition there is one special elongated form of the triangular prismatic honeycomb. The total unique prismatic honeycombs above (excluding the cubic counted previously) are 10. Combining these counts, 18 and 10 gives us the total 28 uniform
of these tessellations. 1991: Norman Johnson's manuscript Uniform Polytopes identified the list of 28. 1994: Branko Grünbaum, in his paper Uniform tilings of 3-space, also independently enumerated all 28, after discovering errors in Andreini's publication. He found the 1905 paper, which listed 25, had 1 wrong, and 4 being missing. Grünbaum states in this paper that Norman Johnson deserves priority for achieving the same enumeration in 1991. He also mentions that I. Alexeyev of Russia had contacted him regarding a putative enumeration of these forms, but that Grünbaum was unable to verify this at the time. 2006: George Olshevsky, in his manuscript Uniform Panoploid Tetracombs, along with repeating the derived list of 11 convex uniform tilings, and 28 convex uniform honeycombs, expands a further derived list of 143 convex uniform tetracombs (Honeycombs of uniform 4-polytopes in 4-space). Only 14 of the convex uniform polyhedra appear in these patterns: three of the five Platonic solids, six of the thirteen Archimedean solids, and five of the infinite family of prisms. Names This set can be called the regular and semiregular honeycombs. It has been called the Archimedean honeycombs by analogy with the convex uniform (non-regular) polyhedra, commonly called Archimedean solids. Recently Conway has suggested naming the set as the Architectonic tessellations and the dual honeycombs as the Catoptric tessellations. The individual honeycombs are listed with names given to them by Norman Johnson. (Some of the terms used below are defined in Uniform 4-polytope#Geometric derivations for 46 nonprismatic Wythoffian uniform 4-polytopes) For cross-referencing, they are given with list indices from Andreini (1-22), Williams(1-2,9-19), Johnson (11-19, 21–25, 31–34, 41–49, 51–52, 61–65), and Grünbaum(1-28). Coxeter uses δ4 for a cubic honeycomb, hδ4 for an alternated cubic honeycomb, qδ4 for a quarter cubic honeycomb, with subscripts for other forms based on the ring patterns of the Coxeter diagram. Compact Euclidean uniform tessellations (by their infinite Coxeter group families) The fundamental infinite Coxeter groups for 3-space are: The , [4,3,4], cubic, (8 unique forms plus one alternation) The , [4,31,1], alternated cubic, (11 forms, 3 new) The cyclic group, [(3,3,3,3)] or [3[4]], (5 forms, one new) There is a correspondence between all three families. Removing one mirror from produces , and removing one mirror from produces . This allows multiple constructions of the same honeycombs. If cells are colored based on unique positions within each Wythoff construction, these different symmetries can be shown. In addition there are 5 special honeycombs which don't have pure reflectional symmetry and are constructed from reflectional forms with elongation and gyration operations. The total unique honeycombs above are 18. The prismatic stacks from infinite Coxeter groups for 3-space are: The ×, [4,4,2,∞] prismatic group, (2 new forms) The ×, [6,3,2,∞] prismatic group, (7 unique forms) The ×, [(3,3,3),2,∞] prismatic group, (No new forms) The ××, [∞,2,∞,2,∞] prismatic group, (These all become a cubic honeycomb) In addition there is one special elongated form of the triangular prismatic honeycomb. The total unique prismatic honeycombs above (excluding the cubic counted previously) are 10. Combining these counts, 18 and 10 gives us the total 28 uniform honeycombs. The C̃3, [4,3,4] group (cubic) The regular cubic honeycomb, represented by Schläfli symbol {4,3,4}, offers seven unique derived uniform honeycombs via truncation operations. (One redundant form, the runcinated cubic honeycomb, is included for completeness though identical to the cubic honeycomb.) The reflectional symmetry is the affine Coxeter group [4,3,4]. There are four index 2 subgroups that generate alternations: [1+,4,3,4], [(4,3,4,2+)], [4,3+,4], and [4,3,4]+, with the first two generated repeated forms, and the last two are nonuniform. B̃3, [4,31,1] group The , [4,3] group offers 11 derived forms via truncation operations, four being unique uniform honeycombs. There are 3 index 2 subgroups that generate alternations: [1+,4,31,1], [4,(31,1)+], and [4,31,1]+. The first generates repeated honeycomb, and the last two are nonuniform but included for completeness. The honeycombs from
War II used operatives specifically trained for assassination. The man sometimes identified as the last Russian Tsar, Grand Duke Michael Alexandrovich of Russia, was imprisoned and assassinated on June 13, 1918; on July 17 of the same year, Tsar Nicholas II of Russia (the last universally recognized Tsar), along with his wife and children, were all killed in Yekaterinburg by Bolsheviks following the October Revolution. Reinhard Heydrich died after an attack by British-trained Czechoslovak soldiers on behalf of the Czechoslovak government in exile in Operation Anthropoid, and knowledge from decoded transmissions allowed the United States to carry out a targeted attack, killing Japanese Admiral Isoroku Yamamoto while he was travelling by plane. The Polish Home Army conducted a regular campaign of assassinations against top Nazi German officials in occupied Poland. Adolf Hitler was almost killed by his own officers, and survived various attempts by other persons and organizations (such as Operation Foxley, though this plan was never put into practice). On June 7, 1927, Soviet Ambassador Pyotr Voykov was assassinated in Poland by a Russian monarchist. On July 17, 1928, Mexican General Alvaro Obregon was assassinated at La Bombilla Cafe in Mexico for being anti-Catholic. During the 1930s and 1940s, Joseph Stalin's NKVD carried out numerous assassinations outside of the Soviet Union, such as the killings of Organization of Ukrainian Nationalists leader Yevhen Konovalets, Ignace Poretsky, Fourth International secretary Rudolf Klement, Leon Trotsky, and the Workers' Party of Marxist Unification (POUM) leadership in Catalonia. On February 21, 1934, Nicaraguan revolutionary Augusto Cesar Sandino was assassinated by members of the National Guard. On October 9, 1934, during a state visit to France, King Alexander I of Yugoslavia died after being shot twice by a Bulgarian Vlado Chernozemski. French Foreign Minister Louis Barthou (who was with the king) was killed by a stray bullet fired by French police during the scuffle following the attack. India's "Father of the Nation", Mahatma Gandhi, was shot to death on January 30, 1948, by Nathuram Godse. The African-American civil rights activist, Martin Luther King Jr., was assassinated on April 4, 1968, at the Lorraine Motel (now the National Civil Rights Museum) in Memphis, Tennessee. Three years prior, another African-American civil rights activist, Malcolm X, was assassinated at the Audubon Ballroom on February 21, 1965. Two years prior, another African-American civil rights activist, Medgar Evers, was assassinated on June 12, 1963. Fred Hampton of the Black Panther Party was assassinated on December 4, 1969. Cold War and beyond Liaquat Ali Khan, the first Prime Minister of Pakistan, was assassinated by Saad Akbar, a lone assassin, in 1951. Conspiracy theorists believe his conflict with certain members of the Pakistani military (the Rawalpindi Conspiracy) or suppression of communists and antagonism towards the Soviet Union, were potential reasons for his assassination. On July 20, 1951, King Abdullah I of Jordan was shot dead at the entrance of Al-Aqsa Mosque in Jerusalem as he was arriving for Friday prayers by a Palestinian fearing the king would make peace with the Israelis. In the 14 July Revolution of 1958 in Iraq, King Faisal II of Iraq was assassinated in the royal family's overthrow. In 1960, Inejiro Asanuma, the chairman of the Japanese Socialist Party, was stabbed to death by Otoya Yamaguchi. On May 30, 1961, Dominican Republic President Rafael Trujillo was shot dead in an assassination plot to end his three decades of dictatorial rule. On March 25, 1975, King Faisal of Saudi Arabia was shot dead at point-blank range by his nephew, Faisal bin Musaid Al Saud, who had just returned from the United States. On August 27, 1975, Emperor Haile Selassie I of Ethiopia was murdered by Lieutenant Colonel Daniel Asfaw on the orders of the Derg. The U.S. Senate Select Committee, chaired by Senator Frank Church (the Church Committee), reported in 1975 that it had found "concrete evidence of at least eight plots involving the CIA to assassinate Fidel Castro from 1960 to 1965." On November 27, 1978, San Francisco City Supervisor Harvey Milk and Mayor George Moscone were assassinated by former City Supervisor Dan White for respectively lobbying against and refusing to reappoint White to the Board of Supervisors following his resignation. Most major powers repudiated Cold War assassination tactics, but many allege that was merely a smokescreen for political benefit and that covert and illegal training of assassins continues today, with Russia, Israel, the U.S., Argentina, Paraguay, Chile, and other nations accused of engaging in such operations. In 1986, U.S. President Ronald Reagan, who has survived an assassination attempt himself, ordered the Operation El Dorado Canyon air raid on Libya in which one of the primary targets was the home residence of Libyan ruler Muammar Gaddafi. Gaddafi escaped unharmed, but his adopted daughter Hanna was claimed to be one of the civilian casualties. In the Philippines, the assassination of Benigno Aquino Jr., triggered the eventual downfall of the 20-year autocratic rule of President Ferdinand Marcos. Aquino, a former senator and a leading figure of the political opposition, was assassinated in 1983 at the Manila International Airport (now the Ninoy Aquino International Airport) after he had returned home from exile. His death thrust his widow, Corazon Aquino into the limelight and, ultimately, the presidency after the peaceful 1986 EDSA Revolution. After the Iranian Revolution of 1979, the new Islamic government of Iran began an international campaign of assassination that lasted into the 1990s. At least 162 killings in 19 countries have been linked to the senior leadership of the Islamic Republic of Iran. The campaign came to an end after the Mykonos restaurant assassinations because a German court publicly implicated senior members of the government and issued arrest warrants for Ali Fallahian, the head of Iranian intelligence. Evidence indicates that Fallahian's personal involvement and individual responsibility for the murders were far more pervasive than his current indictment record represents. On September 17, 1980, Nicaraguan dictator Anastasio Somoza Debayle was assassinated in an ambush in Paraguay. Anwar Sadat, the president of the Arab Republic of Egypt (formerly the president of the United Arab Republic), was assassinated October 6, 1981, during the annual parade celebrating Operation Badr, the opening maneuver of the Yom Kippur War. On September 3, 1982, Italian general Carlo Alberto della Chiesa and his wife were sprayed with over thirty bullets and killed by the Sicilian Mafia in the Via Carini massacre. Swedish Prime Minister Olof Palme was murdered by a gun-wielding man close to midnight on February 28, 1986, after having visited a cinema with his wife. The couple was not accompanied by a bodyguard detail. In 2020 Swedish prosecutors named Stig Engström as the killer. On August 17, 1988, President of Pakistan Gen. M. Zia ul Haq died alongside 31 others, including the Chief of Staff of the Pakistani Armed Forces, the US Ambassador to Pakistan and the chief of the US Military Mission to Pakistan, when his C-130 transport plane mysteriously crashed. The crash is widely considered in Pakistan to be an act of political assassination. In post-Saddam Iraq, the Shiite-dominated government used death squads to perform extrajudicial executions of radical Sunni Iraqis, with some alleging that the death squads were trained by the U.S. Concrete allegations have since surfaced that the Iranian government has actively armed and funded Shia death-squads in post-Saddam Iraq. In India, Prime Ministers Indira Gandhi and her son Rajiv Gandhi (neither of whom was related to Mahatma Gandhi, who had himself been assassinated in 1948), were assassinated in 1984 and 1991 respectively in what were linked to separatist movements in Punjab and northern Sri Lanka, respectively. In Liberia, President Samuel Doe was assassinated on September 9, 1990, after being captured by rebels. His torturous and brutal death was captured live on television. On March 23, 1994, progressive Mexican presidential candidate Luis Donaldo Colosio was gunned down at a campaign rally in northern Mexico. Amidst the chaos of the Rwandan genocide of April 7 – July 15, 1994, Prime Minister Agathe Uwilingiyimana was murdered in the genocide's opening action on April 7. In Israel, Prime Minister Yitzhak Rabin was assassinated on November 4, 1995. Yigal Amir confessed to and was convicted of the crime. On July 15, 1997, Italian fashion designer Gianni Versace was shot twice execution-style and killed by spree killer Andrew Cunanan. In the Nepalese royal massacre of June 1, 2001, King Birendra of Nepal and Queen Aishwarya of Nepal, along with several other royal family members, were shot to death by the mentally unstable Crown Prince Dipendra of Nepal, who shot himself in the head and died three days later on June 4, spending his very brief reign as King in a coma. Israeli Tourist Minister Rehavam Ze'evi was assassinated on October 17, 2001, by Hamdi Quran and three other members of the Popular Front for the Liberation of Palestine (PFLP), which stated that the assassination was in retaliation for the August 27, 2001, killing of Abu Ali Mustafa, the Secretary General of the PFLP, by the Israeli Air Force under its policy of targeted killings. In Lebanon, the assassination of former Prime Minister Rafik Hariri on February 14, 2005, prompted an investigation by the United Nations. The suggestion in the resulting Mehlis report that there was involvement by Syria prompted the Cedar Revolution, which drove Syrian troops out of Lebanon. On January 19, 2007, Armenian-Turkish journalist Hrant Dink was shot three times in the back of the head and killed as retaliation for speaking out on the Armenian Genocide. Eleven years later, on October 2, 2018, another journalist, Saudi Arabian dissident Jamal Khashoggi, was assassinated by agents of the Saudi government for speaking out against it. In Pakistan, a former prime minister and opposition leader, Benazir Bhutto, was assassinated in 2007 while she was running for election. Bhutto's assassination drew unanimous condemnation from the international community. In Guinea Bissau, President João Bernardo Vieira was assassinated in the early hours of March 2, 2009, in the capital, Bissau. Unlike typical assassinations, his death was not swift; he first survived an explosion at the Presidential Villa, was then shot and wounded, and was finally butchered with machetes. His assassination was carried out by renegade soldiers, who were apparently avenging the death of General Tagme Na Waie, the Chief of Staff of the Armed Forces of Guinea Bissau, who had been killed by a bomb exploding the day before. In the 2012 Benghazi attack, occurring in the night of September 11–12, U.S. Ambassador J. Christopher Stevens was among those targeted and murdered in a coordinated terrorist attack. On December 19, 2016, the Russian Ambassador to Turkey, Andrei Karlov, was shot dead in Ankara by a Turkish nationalist during a tense period between Turkey and Russia over the conflict in Syria. On February 22, 2021, a World Food Programme convoy was attacked in the Democratic Republic of the Congo by militants, with Italian Ambassador Luca Attanasio, who was riding with the convoy, being murdered in the attack. On July 6, 2021, Dutch journalist Peter R. de Vries was shot in the head in Amsterdam. He died of his injury nine days later, on July 15. On July 7, 2021, Haitian President Jovenel Moïse was shot to death in his own home by gunmen. Further motivations As a military and foreign policy doctrine Assassination for military purposes has long been espoused: Sun Tzu, writing around 500 BC, argued in favor of using assassination in his book The Art of War. Nearly 2000 years later, in his book The Prince, Machiavelli also
a head of state, head of government, politician, member of a royal family, or CEO. An assassination may be prompted by political and military motives, or done for financial gain, to avenge a grievance, from a desire to acquire fame or notoriety, or because of a military, security, insurgent or secret police group's command to carry out the assassination. Acts of assassination have been performed since ancient times. A person who carried out an assassination is called an assassin or hitman. Etymology The word assassin is often believed to derive from the word hashshashin (Arabic: حشّاشين, ħashshāshīyīn), and shares its etymological roots with hashish ( or ; from Arabic: ). It referred to a group of Nizari Ismailis known as the Assassins who worked against various political targets. Founded by Hassan-i Sabbah, the Assassins were active in the fortress of Alamut in Persia from the 8th to the 14th centuries, and later expanded into a de facto state by acquiring or building many scattered strongholds. The group killed members of the Abbasid, Seljuk, Fatimid, and Christian Crusader elite for political and religious reasons. Although it is commonly believed that Assassins were under the influence of hashish during their killings or during their indoctrination, there is debate as to whether these claims have merit, with many Eastern writers and an increasing number of Western academics coming to believe that drug-taking was not the key feature behind the name. The earliest known use of the verb "to assassinate" in printed English was by Matthew Sutcliffe in A Briefe Replie to a Certaine Odious and Slanderous Libel, Lately Published by a Seditious Jesuite, a pamphlet printed in 1600, five years before it was used in Macbeth by William Shakespeare (1605). Use in history Ancient to medieval times Assassination is one of the oldest tools of power politics. It dates back at least as far as recorded history. In the Old Testament, King Joash of Judah was assassinated by his own servants; Joab assassinated Absalom, King David's son; and King Sennacherib of Assyria was assassinated by his own sons. Chanakya (c. 350–283 BC) wrote about assassinations in detail in his political treatise Arthashastra. His student Chandragupta Maurya, the founder of the Maurya Empire, later made use of assassinations against some of his enemies, including two of Alexander the Great's generals, Nicanor and Philip. Other famous victims are Philip II of Macedon (336 BC), the father of Alexander the Great, and Roman dictator Julius Caesar (44 BC). Emperors of Rome often met their end in this way, as did many of the Muslim Shia Imams hundreds of years later. Three successive Rashidun caliphs (Umar, Uthman Ibn Affan, and Ali ibn Abi Talib) were assassinated in early civil conflicts between Muslims. The practice was also well known in ancient China, as in Jing Ke's failed assassination of Qin king Ying Zheng in 227 BC. Whilst many assassinations were performed by individuals or small groups, there were also specialized units who used a collective group of people to perform more than one assassination. The earliest were the sicarii in 6 AD, who predated the Middle Eastern assassins and Japanese shinobis by centuries. In the Middle Ages, regicide was rare in Western Europe, but it was a recurring theme in the Eastern Roman Empire. Strangling in the bathtub was the most commonly used method. With the Renaissance, tyrannicide—or assassination for personal or political reasons—became more common again in Western Europe. High medieval sources mention the assassination of King Demetrius Zvonimir (1089), dying at the hands of his own people, who objected to a proposition by the pope to go on a campaign to aid the Byzantines against the Seljuk Turks. This account is, however, contentious among historians, it being most commonly asserted that he died of natural causes. The myth of the "Curse of King Zvonimir" is based on the legend of his assassination. On August 2, 1100, King William II of England died in a mysterious hunting accident wherein he was shot by an arrow; this was widely suspected to be the result of an assassination plot. In 1192, Conrad of Montferrat, the de facto King of Jerusalem, was killed by an assassin. The Arab World and East Asia at the time, though generally more enlightened, also suffered from assassinations at this point in history, such as Seljuk Turk leaders Alp Arslan (November 24, 1072) and his son Malik-Shah I (November 19, 1092), as well as Japanese Shogun Oda Nobunaga (June 21, 1582), who was forced to commit seppuku in the Honno-ji Incident. The reigns of King Przemysł II of Poland (1296), William the Silent of the Netherlands (1584), and the French kings Henry III (1589) and Henry IV (1610) were all ended by assassins. Modern history During the 16th and 17th century, international lawyers began to voice condemnation of assassinations of leaders. Balthazar Ayala has been described as "the first prominent jurist to condemn the use of assassination in foreign policy". Alberico Gentili condemned assassinations in a 1598 publication where he appealed to the self-interest of leaders: (i) assassinations had adverse short-term consequences by arousing the ire of the assassinated leader's successor, and (ii) assassinations had the adverse long-term consequences of causing disorder and chaos. Hugo Grotius's works on the law of war strictly forbade assassinations, arguing that killing was only permissible on the battlefield. In the modern world, the killing of important people began to become more than a tool in power struggles between rulers themselves and was also used for political symbolism, such as in the propaganda of the deed. In Stockholm, King Gustav III of Sweden was fatally shot at a masked ball on March 29, 1792. In Russia alone, two emperors, Paul I and his grandson Alexander II, were assassinated within 80 years. In the United Kingdom, only one Prime Minister has been assassinated—Spencer Perceval on May 11, 1812. In Japan, a group of assassins called the Four Hitokiri of the Bakumatsu killed a number of people, including Ii Naosuke who was the head of administration for the Tokugawa shogunate, during the Boshin War. Most of the assassinations in Japan were committed with bladed weaponry, a trait that was carried on into modern history. A video-record exists of the assassination of Inejiro Asanuma, using a sword. In the United States, within 100 years, four presidents—Abraham Lincoln, James A. Garfield, William McKinley and John F. Kennedy—died at the hands of assassins. There have been at least 20 known attempts on U.S. presidents' lives. Huey Long, a senator, was assassinated on September 10, 1935. Robert F. Kennedy, a senator and a presidential candidate, was also assassinated on June 6, 1968, in the United States. On April 3, 1882, outlaw Jesse James was shot dead by an outlaw of his own gang in what was lamented as an assassination. On June 25, 1894, French President Sadi Carnot (statesman) was stabbed by Sante Geronimo Caserio in Lyon, subsequently dying of his wound. Twenty years later, on July 31, 1914, French Socialist leader Jean Jaures was shot dead in Paris. On September 10, 1898, Empress Elisabeth of Austria died a day after being stabbed with a thin file by an Italian anarchist while vacationing in Geneva. Another Italian anarchist was responsible for the July 29, 1900, murder of Umberto I of Italy. In the Lisbon Regicide of February 1, 1908, King Carlos I of Portugal and his heir Luis Filipe, Prince Royal of Portugal were shot dead in the first violent action against a Portuguese monarch directly since 1578. On November 14, 1908, the Guangxu Emperor of the Qing dynasty in China died in the Forbidden City. Subsequent analysis of his remains showed very high levels of arsenic, with some coming to the conclusion that Empress Dowager Cixi, who herself died the following day (November 15, 1908), had murdered the emperor in a conspiracy; she had had him under house arrest by that point for many years due to his attempts to reform the Qing bureaucracy. On September 18, 1911, Russian Prime Minister Pyotr Stolypin died after being fatally shot by a Jewish extremist in Kiev. On December 30, 1916, Grigori Rasputin was murdered by Prince Felix Yusupov as the culmination of a plan by Russian nobles to eliminate the peasant mystic and end his influence over the House of Romanov. In Austria, the assassination of Archduke Franz Ferdinand and his wife Sophie, Duchess of Hohenberg in Sarajevo on June 28, 1914, carried out by Gavrilo Princip, a Serbian national and a member of the Serbian nationalist insurgents (The Black Hand), is blamed for igniting World War I after a succession of minor conflicts, while belligerents on both sides in World War II used operatives specifically trained for assassination. The man sometimes identified as the last Russian Tsar, Grand Duke Michael Alexandrovich of Russia, was imprisoned and assassinated on June 13, 1918; on July 17 of the same year, Tsar Nicholas II of Russia (the last universally recognized Tsar), along with his wife and children, were all killed in Yekaterinburg by Bolsheviks following the October Revolution. Reinhard Heydrich died after an attack by British-trained Czechoslovak soldiers on behalf of the Czechoslovak government in exile in Operation Anthropoid, and knowledge from decoded transmissions allowed the United States to carry out a targeted attack, killing Japanese Admiral Isoroku Yamamoto while he was travelling by plane. The Polish Home Army conducted a regular campaign of assassinations against top Nazi German officials in occupied Poland. Adolf Hitler was almost killed by his own officers, and survived various attempts by other persons and organizations (such as Operation Foxley, though this plan was never put into practice). On June 7, 1927, Soviet Ambassador Pyotr Voykov was assassinated in Poland by a Russian monarchist. On July 17, 1928, Mexican General Alvaro Obregon was assassinated at La Bombilla Cafe in Mexico for being anti-Catholic. During the 1930s and 1940s, Joseph Stalin's NKVD carried out numerous assassinations outside of the Soviet Union, such as the killings of Organization of Ukrainian Nationalists leader Yevhen Konovalets, Ignace Poretsky, Fourth International secretary Rudolf Klement, Leon Trotsky, and the Workers' Party of Marxist Unification (POUM) leadership in Catalonia. On February 21, 1934, Nicaraguan revolutionary Augusto Cesar Sandino was assassinated by members of the National Guard. On October 9, 1934, during a state visit to France, King Alexander I of Yugoslavia died after being shot twice by a Bulgarian Vlado Chernozemski. French Foreign Minister Louis Barthou (who was with the king) was killed by a stray bullet fired by French police during the scuffle following the attack. India's "Father of the Nation", Mahatma Gandhi, was shot to death on January 30, 1948, by Nathuram Godse. The African-American civil rights activist, Martin Luther King Jr., was assassinated on April 4, 1968, at the Lorraine Motel (now the National Civil Rights Museum) in Memphis, Tennessee. Three years prior, another African-American civil rights activist, Malcolm X, was assassinated at the Audubon Ballroom on February 21, 1965. Two years prior, another African-American civil rights activist, Medgar Evers, was assassinated on June 12, 1963. Fred Hampton of the Black Panther Party was assassinated on December 4, 1969. Cold War and beyond Liaquat Ali Khan, the first Prime Minister of Pakistan, was assassinated by Saad Akbar, a lone assassin, in 1951. Conspiracy theorists believe his conflict with certain members of the Pakistani military (the Rawalpindi Conspiracy) or suppression of communists and antagonism towards the Soviet Union, were potential reasons for his assassination. On July 20, 1951, King
rather than in the Red Book format Audio DVDs DVD, 4 GB single layer, 8 GB double layer storage DVD-Audio, a DVD that plays audio Super Audio CD (SACD), a format which competes with DVD-Audio Audio Blu-rays Blu-ray, 25 GB single layer, 50 GB double
to the Red Book standard that uses DTS Coherent Acoustics 5.1 surround sound Compressed audio optical disc, an optical disc storing MP3s and other compressed audio files as data, rather than in the Red Book format Audio DVDs DVD, 4 GB single layer, 8 GB double layer storage DVD-Audio, a DVD that plays audio Super
of at least some of the alcohol induced central nervous system damage. The use of cannabis was associated with later problems with alcohol use. Alcohol use was associated with an increased probability of later use of tobacco and illegal drugs such as cannabis. Availability Alcohol is the most available, widely consumed, and widely misused recreational drug. Beer alone is the world's most widely consumed alcoholic beverage; it is the third-most popular drink overall, after water and tea. It is thought by some to be the oldest fermented beverage. Gender difference Based on combined data in the US from SAMHSA's 2004–2005 National Surveys on Drug Use & Health, the rate of past-year alcohol dependence or misuse among persons aged 12 or older varied by level of alcohol use: 44.7% of past month heavy drinkers, 18.5% binge drinkers, 3.8% past month non-binge drinkers, and 1.3% of those who did not drink alcohol in the past month met the criteria for alcohol dependence or misuse in the past year. Males had higher rates than females for all measures of drinking in the past month: any alcohol use (57.5% vs. 45%), binge drinking (30.8% vs. 15.1%), and heavy alcohol use (10.5% vs. 3.3%), and males were twice as likely as females to have met the criteria for alcohol dependence or misuse in the past year (10.5% vs. 5.1%). Genetic variation There are genetic variations that affect the risk for alcoholism. Some of these variations are more common in individuals with ancestry from certain areas, for example Africa, East Asia, the Middle East and Europe. The variants with strongest effect are in genes that encode the main enzymes of alcohol metabolism, ADH1B and ALDH2. These genetic factors influence the rate at which alcohol and its initial metabolic product, acetaldehyde, are metabolized. They are found at different frequencies in people from different parts of the world. The alcohol dehydrogenase allele ADH1B*2 causes a more rapid metabolism of alcohol to acetaldehyde, and reduces risk for alcoholism; it is most common in individuals from East Asia and the Middle East. The alcohol dehydrogenase allele ADH1B*3 also causes a more rapid metabolism of alcohol. The allele ADH1B*3 is only found in some individuals of African descent and certain Native American tribes. African Americans and Native Americans with this allele have a reduced risk of developing alcoholism. Native Americans, however, have a significantly higher rate of alcoholism than average; risk factors such as cultural environmental effects (e.g. trauma) have been proposed to explain the higher rates. The aldehyde dehydrogenase allele ALDH2*2 greatly reduces the rate at which acetaldehyde, the initial product of alcohol metabolism, is removed by conversion to acetate; it greatly reduces the risk for alcoholism. A genome-wide association study (GWAS) of more than 100,000 human individuals identified variants of the gene KLB, which encodes the transmembrane protein β-Klotho, as highly associated with alcohol consumption. The protein β-Klotho is an essential element in cell surface receptors for hormones involved in modulation of appetites for simple sugars and alcohol. Several large GWAS have found differences in the genetics of alcohol consumption and alcohol dependence, although the two are to some degree related. DNA damage Alcohol-induced DNA damage, when not properly repaired, may have a key role in the neurotoxicity induced by alchohol. Metabolic conversion of ethanol to acetaldehyde can occur in the brain and the neurotoxic effects of ethanol appear to be associated with acetaldehyde induced DNA damages including DNA adducts and crosslinks. In addition to acetaldehyde, alcohol metabolism produces potentially genotoxic reactive oxygen species, which have been demonstrated to cause oxidative DNA damage. Diagnosis Definition Misuse, problem use, abuse, and heavy use of alcohol refer to improper use of alcohol, which may cause physical, social, or moral harm to the drinker. The Dietary Guidelines for Americans defines "moderate use" as no more than two alcoholic beverages a day for men and no more than one alcoholic beverage a day for women. The National Institute on Alcohol Abuse and Alcoholism (NIAAA) defines binge drinking as the amount of alcohol leading to a blood alcohol content (BAC) of 0.08, which, for most adults, would be reached by consuming five drinks for men or four for women over a two-hour period. According to the NIAAA, men may be at risk for alcohol-related problems if their alcohol consumption exceeds 14 standard drinks per week or 4 drinks per day, and women may be at risk if they have more than 7 standard drinks per week or 3 drinks per day. It defines a standard drink as one 12-ounce bottle of beer, one 5-ounce glass of wine, or 1.5 ounces of distilled spirits. Despite this risk, a 2014 report in the National Survey on Drug Use and Health found that only 10% of either "heavy drinkers" or "binge drinkers" defined according to the above criteria also met the criteria for alcohol dependence, while only 1.3% of non-binge drinkers met the criteria. An inference drawn from this study is that evidence-based policy strategies and clinical preventive services may effectively reduce binge drinking without requiring addiction treatment in most cases. Alcoholism The term alcoholism is commonly used amongst laypeople, but the word is poorly defined. Despite the imprecision inherent in the term, there have been attempts to define how the word alcoholism should be interpreted when encountered. In 1992, it was defined by the National Council on Alcoholism and Drug Dependence (NCADD) and ASAM as "a primary, chronic disease characterized by impaired control over drinking, preoccupation with the drug alcohol, use of alcohol despite adverse consequences, and distortions in thinking." MeSH has had an entry for "alcoholism" since 1999, and references the 1992 definition. The WHO calls alcoholism "a term of long-standing use and variable meaning", and use of the term was disfavored by a 1979 WHO expert committee. In professional and research contexts, the term "alcoholism" is not currently favored, but rather alcohol abuse, alcohol dependence, or alcohol use disorder are used. Talbot (1989) observes that alcoholism in the classical disease model follows a progressive course: if a person continues to drink, their condition will worsen. This will lead to harmful consequences in their life, physically, mentally, emotionally and socially. Johnson (1980) explores the emotional progression of the addict's response to alcohol. He looks at this in four phases. The first two are considered "normal" drinking and the last two are viewed as "typical" alcoholic drinking. Johnson's four phases consist of: Learning the mood swing. A person is introduced to alcohol (in some cultures this can happen at a relatively young age), and the person enjoys the happy feeling it produces. At this stage, there is no emotional cost. Seeking the mood swing. A person will drink to regain that feeling of euphoria experienced in phase 1; the drinking will increase as more intoxication is required to achieve the same effect. Again at this stage, there are no significant consequences. At the third stage there are physical and social consequences, i.e., hangovers, family problems, work problems, etc. A person will continue to drink excessively, disregarding the problems. The fourth stage can be detrimental, as Johnson cites it as a risk for premature death. As a person now drinks to feel normal, they block out the feelings of overwhelming guilt, remorse, anxiety, and shame they experience when sober. DSM and ICD In the United States, the Diagnostic and Statistical Manual of Mental Disorders (DSM) is the most common diagnostic guide for substance use disorders, whereas most countries use the International Classification of Diseases (ICD) for diagnostic (and other) purposes. The two manuals use similar but not identical nomenclature to classify alcohol problems. Social barriers Attitudes and social stereotypes can create barriers to the detection and treatment of alcohol use disorder. This is more of a barrier for women than men. Fear of stigmatization may lead women to deny that they are suffering from a medical condition, to hide their drinking, and to drink alone. This pattern, in turn, leads family, physicians, and others to be less likely to suspect that a woman they know has alcohol use disorder. In contrast, reduced fear of stigma may lead men to admit that they are suffering from a medical condition, to display their drinking publicly, and to drink in groups. This pattern, in turn, leads family, physicians, and others to be more likely to suspect that a man they know is someone with an alcohol use disorder. Screening Screening is recommended among those over the age of 18. Several tools may be used to detect a loss of control of alcohol use. These tools are mostly self-reports in questionnaire form. Another common theme is a score or tally that sums up the general severity of alcohol use. The CAGE questionnaire, named for its four questions, is one such example that may be used to screen patients quickly in a doctor's office. The CAGE questionnaire has demonstrated a high effectiveness in detecting alcohol-related problems; however, it has limitations in people with less severe alcohol-related problems, white women and college students. Other tests are sometimes used for the detection of alcohol dependence, such as the Alcohol Dependence Data Questionnaire, which is a more sensitive diagnostic test than the CAGE questionnaire. It helps distinguish a diagnosis of alcohol dependence from one of heavy alcohol use. The Michigan Alcohol Screening Test (MAST) is a screening tool for alcoholism widely used by courts to determine the appropriate sentencing for people convicted of alcohol-related offenses, driving under the influence being the most common. The Alcohol Use Disorders Identification Test (AUDIT), a screening questionnaire developed by the World Health Organization, is unique in that it has been validated in six countries and is used internationally. Like the CAGE questionnaire, it uses a simple set of questions – a high score earning a deeper investigation. The Paddington Alcohol Test (PAT) was designed to screen for alcohol-related problems amongst those attending Accident and Emergency departments. It concords well with the AUDIT questionnaire but is administered in a fifth of the time. Urine and blood tests There are reliable tests for the actual use of alcohol, one common test being that of blood alcohol content (BAC). These tests do not differentiate people with alcohol use disorders from people without; however, long-term heavy drinking does have a few recognizable effects on the body, including: Macrocytosis (enlarged MCV) Elevated GGT Moderate elevation of AST and ALT and an AST: ALT ratio of 2:1 High carbohydrate deficient transferrin (CDT) With regard to alcoholism, BAC is useful to judge alcohol tolerance, which in turn is a sign of alcoholism. Electrolyte and acid-base abnormalities including hypokalemia, hypomagnesemia, hyponatremia, hyperuricemia, metabolic acidosis, and respiratory alkalosis are common in people with alcohol use disorders. However, none of these blood tests for biological markers is as sensitive as screening questionnaires. Prevention The World Health Organization, the European Union and other regional bodies, national governments and parliaments have formed alcohol policies in order to reduce the harm of alcoholism. Increasing the age at which licit drugs that are susceptible to misuse, such as alcohol, can be purchased, and banning or restricting alcohol beverage advertising are common methods to reduce alcohol use among adolescents and young adults in particular. Credible, evidence-based educational campaigns in the mass media about the consequences of alcohol misuse have been recommended. Guidelines for parents to prevent alcohol misuse amongst adolescents, and for helping young people with mental health problems have also been suggested. Management Treatments are varied because there are multiple perspectives of alcoholism. Those who approach alcoholism as a medical condition or disease recommend differing treatments from, for instance, those who approach the condition as one of social choice. Most treatments focus on helping people discontinue their alcohol intake, followed up with life training and/or social support to help them resist a return to alcohol use. Since alcoholism involves multiple factors which encourage a person to continue drinking, they must all be addressed to successfully prevent a relapse. An example of this kind of treatment is detoxification followed by a combination of supportive therapy, attendance at self-help groups, and ongoing development of coping mechanisms. Much of the treatment community for alcoholism supports an abstinence-based zero tolerance approach; however, some prefer a harm-reduction approach. Cessation of alcohol intake Medical treatment for alcohol detoxification usually involves administration of a benzodiazepine, in order to ameliorate alcohol withdrawal syndrome's adverse impact. The addition of phenobarbital improves outcomes if benzodiazepine administration lacks the usually efficacy, and phenobarbital alone might be an effective treatment. Propofol also might enhance treatment for individuals showing limited therapeutic response to a benzodiazepine. Individuals who are only at risk of mild to moderate withdrawal symptoms can be treated as outpatients. Individuals at risk of a severe withdrawal syndrome as well as those who have significant or acute comorbid conditions can be treated as inpatients. Direct treatment can be followed by a treatment program for alcohol dependence or alcohol use disorder to attempt to reduce the risk of relapse. Experiences following alcohol withdrawal, such as depressed mood and anxiety, can take weeks or months to abate while other symptoms persist longer due to persisting neuroadaptations. Psychological Various forms of group therapy or psychotherapy are often utilized to encourage and support abstinence from alcohol, or to reduce alcohol consumption to levels that are not associated with adverse outcomes. Mutual-aid group-counseling is an approach used to facilitate relapse prevention. Alcoholics Anonymous was one of the earliest organizations formed to provide mutual peer support and it is still the largest. Others include LifeRing Secular Recovery, SMART Recovery, Women for Sobriety, and Secular Organizations for Sobriety. ManualizedTwelve Step Facilitation (TSF) interventions (i.e. therapy which encourages active, long-term Alcoholics Anonymous participation) for Alcohol Use Disorder lead to higher abstinence rates, compared to other clinical interventions and to wait-list control groups. Moderate drinking Rationing and moderation programs such as Moderation Management and DrinkWise do not mandate complete abstinence. While most people with alcohol use disorders are unable to limit their drinking in this way, some return to moderate drinking. A 2002 US study by the National Institute on Alcohol Abuse and Alcoholism (NIAAA) showed that 17.7 percent of individuals diagnosed as alcohol dependent more than one year prior returned to low-risk drinking. This group, however, showed fewer initial symptoms of dependency. A follow-up study, using the same subjects that were judged to be in remission in 2001–2002, examined the rates of return to problem drinking in 2004–2005. The study found abstinence from alcohol was the most stable form of remission for recovering alcoholics. There was also a 1973 study showing chronic alcoholics drinking moderately again, but a 1982 follow-up showed that 95% of subjects were not able to moderately drink over the long term. Another study was a long-term (60 year) follow-up of two groups of alcoholic men which concluded that "return to controlled drinking rarely persisted for much more than a decade without relapse or evolution into abstinence." Internet based measures appear to be useful at least in the short term. Medications In the United States there are four approved medications for alcoholism: acamprosate, two methods of using naltrexone and
there may be a generalized skeletal fragility, in addition to a recognized tendency to accidental injury, resulting a propensity to bone fractures. Women develop long-term complications of alcohol dependence more rapidly than do men. Additionally, women have a higher mortality rate from alcoholism than men. Examples of long-term complications include brain, heart, and liver damage and an increased risk of breast cancer. Additionally, heavy drinking over time has been found to have a negative effect on reproductive functioning in women. This results in reproductive dysfunction such as anovulation, decreased ovarian mass, problems or irregularity of the menstrual cycle, and early menopause. Alcoholic ketoacidosis can occur in individuals who chronically misuse alcohol and have a recent history of binge drinking. The amount of alcohol that can be biologically processed and its effects differ between sexes. Equal dosages of alcohol consumed by men and women generally result in women having higher blood alcohol concentrations (BACs), since women generally have a lower weight and higher percentage of body fat and therefore a lower volume of distribution for alcohol than men. Psychiatric Long-term misuse of alcohol can cause a wide range of mental health problems. Severe cognitive problems are common; approximately 10 percent of all dementia cases are related to alcohol consumption, making it the second leading cause of dementia. Excessive alcohol use causes damage to brain function, and psychological health can be increasingly affected over time. Social skills are significantly impaired in people suffering from alcoholism due to the neurotoxic effects of alcohol on the brain, especially the prefrontal cortex area of the brain. The social skills that are impaired by alcohol use disorder include impairments in perceiving facial emotions, prosody, perception problems, and theory of mind deficits; the ability to understand humor is also impaired in people who misuse alcohol. Psychiatric disorders are common in people with alcohol use disorders, with as many as 25 percent suffering severe psychiatric disturbances. The most prevalent psychiatric symptoms are anxiety and depression disorders. Psychiatric symptoms usually initially worsen during alcohol withdrawal, but typically improve or disappear with continued abstinence. Psychosis, confusion, and organic brain syndrome may be caused by alcohol misuse, which can lead to a misdiagnosis such as schizophrenia. Panic disorder can develop or worsen as a direct result of long-term alcohol misuse. The co-occurrence of major depressive disorder and alcoholism is well documented. Among those with comorbid occurrences, a distinction is commonly made between depressive episodes that remit with alcohol abstinence ("substance-induced"), and depressive episodes that are primary and do not remit with abstinence ("independent" episodes). Additional use of other drugs may increase the risk of depression. Psychiatric disorders differ depending on gender. Women who have alcohol-use disorders often have a co-occurring psychiatric diagnosis such as major depression, anxiety, panic disorder, bulimia, post-traumatic stress disorder (PTSD), or borderline personality disorder. Men with alcohol-use disorders more often have a co-occurring diagnosis of narcissistic or antisocial personality disorder, bipolar disorder, schizophrenia, impulse disorders or attention deficit/hyperactivity disorder (ADHD). Women with alcohol use disorder are more likely to experience physical or sexual assault, abuse, and domestic violence than women in the general population, which can lead to higher instances of psychiatric disorders and greater dependence on alcohol. Social effects Serious social problems arise from alcohol use disorder; these dilemmas are caused by the pathological changes in the brain and the intoxicating effects of alcohol. Alcohol misuse is associated with an increased risk of committing criminal offences, including child abuse, domestic violence, rape, burglary and assault. Alcoholism is associated with loss of employment, which can lead to financial problems. Drinking at inappropriate times and behavior caused by reduced judgment can lead to legal consequences, such as criminal charges for drunk driving or public disorder, or civil penalties for tortious behavior. An alcoholic's behavior and mental impairment while drunk can profoundly affect those surrounding him and lead to isolation from family and friends. This isolation can lead to marital conflict and divorce, or contribute to domestic violence. Alcoholism can also lead to child neglect, with subsequent lasting damage to the emotional development of children of people with alcohol use disorders. For this reason, children of people with alcohol use disorders can develop a number of emotional problems. For example, they can become afraid of their parents, because of their unstable mood behaviors. They may develop shame over their inadequacy to liberate their parents from alcoholism and, as a result of this, may develop self-image problems, which can lead to depression. Alcohol withdrawal As with similar substances with a sedative-hypnotic mechanism, such as barbiturates and benzodiazepines, withdrawal from alcohol dependence can be fatal if it is not properly managed. Alcohol's primary effect is the increase in stimulation of the GABAA receptor, promoting central nervous system depression. With repeated heavy consumption of alcohol, these receptors are desensitized and reduced in number, resulting in tolerance and physical dependence. When alcohol consumption is stopped too abruptly, the person's nervous system experiences uncontrolled synapse firing. This can result in symptoms that include anxiety, life-threatening seizures, delirium tremens, hallucinations, shakes and possible heart failure. Other neurotransmitter systems are also involved, especially dopamine, NMDA and glutamate. Severe acute withdrawal symptoms such as delirium tremens and seizures rarely occur after 1-week post cessation of alcohol. The acute withdrawal phase can be defined as lasting between one and three weeks. In the period of 3–6 weeks following cessation, anxiety, depression, fatigue, and sleep disturbance are common. Similar post-acute withdrawal symptoms have also been observed in animal models of alcohol dependence and withdrawal. A kindling effect also occurs in people with alcohol use disorders whereby each subsequent withdrawal syndrome is more severe than the previous withdrawal episode; this is due to neuroadaptations which occur as a result of periods of abstinence followed by re-exposure to alcohol. Individuals who have had multiple withdrawal episodes are more likely to develop seizures and experience more severe anxiety during withdrawal from alcohol than alcohol-dependent individuals without a history of past alcohol withdrawal episodes. The kindling effect leads to persistent functional changes in brain neural circuits as well as to gene expression. Kindling also results in the intensification of psychological symptoms of alcohol withdrawal. There are decision tools and questionnaires that help guide physicians in evaluating alcohol withdrawal. For example, the CIWA-Ar objectifies alcohol withdrawal symptoms in order to guide therapy decisions which allows for an efficient interview while at the same time retaining clinical usefulness, validity, and reliability, ensuring proper care for withdrawal patients, who can be in danger of death. Causes A complex combination of genetic and environmental factors influences the risk of the development of alcoholism. Genes that influence the metabolism of alcohol also influence the risk of alcoholism, as can a family history of alcoholism. There is compelling evidence that alcohol use at an early age may influence the expression of genes which increase the risk of alcohol dependence. These genetic and epigenetic results are regarded as consistent with large longitudinal population studies finding that the younger the age of drinking onset, the greater the prevalence of lifetime alcohol dependence. Severe childhood trauma is also associated with a general increase in the risk of drug dependency. Lack of peer and family support is associated with an increased risk of alcoholism developing. Genetics and adolescence are associated with an increased sensitivity to the neurotoxic effects of chronic alcohol misuse. Cortical degeneration due to the neurotoxic effects increases impulsive behaviour, which may contribute to the development, persistence and severity of alcohol use disorders. There is evidence that with abstinence, there is a reversal of at least some of the alcohol induced central nervous system damage. The use of cannabis was associated with later problems with alcohol use. Alcohol use was associated with an increased probability of later use of tobacco and illegal drugs such as cannabis. Availability Alcohol is the most available, widely consumed, and widely misused recreational drug. Beer alone is the world's most widely consumed alcoholic beverage; it is the third-most popular drink overall, after water and tea. It is thought by some to be the oldest fermented beverage. Gender difference Based on combined data in the US from SAMHSA's 2004–2005 National Surveys on Drug Use & Health, the rate of past-year alcohol dependence or misuse among persons aged 12 or older varied by level of alcohol use: 44.7% of past month heavy drinkers, 18.5% binge drinkers, 3.8% past month non-binge drinkers, and 1.3% of those who did not drink alcohol in the past month met the criteria for alcohol dependence or misuse in the past year. Males had higher rates than females for all measures of drinking in the past month: any alcohol use (57.5% vs. 45%), binge drinking (30.8% vs. 15.1%), and heavy alcohol use (10.5% vs. 3.3%), and males were twice as likely as females to have met the criteria for alcohol dependence or misuse in the past year (10.5% vs. 5.1%). Genetic variation There are genetic variations that affect the risk for alcoholism. Some of these variations are more common in individuals with ancestry from certain areas, for example Africa, East Asia, the Middle East and Europe. The variants with strongest effect are in genes that encode the main enzymes of alcohol metabolism, ADH1B and ALDH2. These genetic factors influence the rate at which alcohol and its initial metabolic product, acetaldehyde, are metabolized. They are found at different frequencies in people from different parts of the world. The alcohol dehydrogenase allele ADH1B*2 causes a more rapid metabolism of alcohol to acetaldehyde, and reduces risk for alcoholism; it is most common in individuals from East Asia and the Middle East. The alcohol dehydrogenase allele ADH1B*3 also causes a more rapid metabolism of alcohol. The allele ADH1B*3 is only found in some individuals of African descent and certain Native American tribes. African Americans and Native Americans with this allele have a reduced risk of developing alcoholism. Native Americans, however, have a significantly higher rate of alcoholism than average; risk factors such as cultural environmental effects (e.g. trauma) have been proposed to explain the higher rates. The aldehyde dehydrogenase allele ALDH2*2 greatly reduces the rate at which acetaldehyde, the initial product of alcohol metabolism, is removed by conversion to acetate; it greatly reduces the risk for alcoholism. A genome-wide association study (GWAS) of more than 100,000 human individuals identified variants of the gene KLB, which encodes the transmembrane protein β-Klotho, as highly associated with alcohol consumption. The protein β-Klotho is an essential element in cell surface receptors for hormones involved in modulation of appetites for simple sugars and alcohol. Several large GWAS have found differences in the genetics of alcohol consumption and alcohol dependence, although the two are to some degree related. DNA damage Alcohol-induced DNA damage, when not properly repaired, may have a key role in the neurotoxicity induced by alchohol. Metabolic conversion of ethanol to acetaldehyde can occur in the brain and the neurotoxic effects of ethanol appear to be associated with acetaldehyde induced DNA damages including DNA adducts and crosslinks. In addition to acetaldehyde, alcohol metabolism produces potentially genotoxic reactive oxygen species, which have been demonstrated to cause oxidative DNA damage. Diagnosis Definition Misuse, problem use, abuse, and heavy use of alcohol refer to improper use of alcohol, which may cause physical, social, or moral harm to the drinker. The Dietary Guidelines for Americans defines "moderate use" as no more than two alcoholic beverages a day for men and no more than one alcoholic beverage a day for women. The National Institute on Alcohol Abuse and Alcoholism (NIAAA) defines binge drinking as the amount of alcohol leading to a blood alcohol content (BAC) of 0.08, which, for most adults, would be reached by consuming five drinks for men or four for women over a two-hour period. According to the NIAAA, men may be at risk for alcohol-related problems if their alcohol consumption exceeds 14 standard drinks per week or 4 drinks per day, and women may be at risk if they have more than 7 standard drinks per week or 3 drinks per day. It defines a standard drink as one 12-ounce bottle of beer, one 5-ounce glass of wine, or 1.5 ounces of distilled spirits. Despite this risk, a 2014 report in the National Survey on Drug Use and Health found that only 10% of either "heavy drinkers" or "binge drinkers" defined according to the above criteria also met the criteria for alcohol dependence, while only 1.3% of non-binge drinkers met the criteria. An inference drawn from this study is that evidence-based policy strategies and clinical preventive services may effectively reduce binge drinking without requiring addiction treatment in most cases. Alcoholism The term alcoholism is commonly used amongst laypeople, but the word is poorly defined. Despite the imprecision inherent in the term, there have been attempts to define how the word alcoholism should be interpreted when encountered. In 1992, it was defined by the National Council on Alcoholism and Drug Dependence (NCADD) and ASAM as "a primary, chronic disease characterized by impaired control over drinking, preoccupation with the drug alcohol, use of alcohol despite adverse consequences, and distortions in thinking." MeSH has had an entry for "alcoholism" since 1999, and references the 1992 definition. The WHO calls alcoholism "a term of long-standing use and variable meaning", and use of the term was disfavored by a 1979 WHO expert committee. In professional and research contexts, the term "alcoholism"
comes from one main substance, water. He deduced or specified from a general idea, "everything is water", to the specific forms of water such as ice, snow, fog, and rivers. Modern scientists can also use the opposite approach of abstraction, or going from particular facts collected into one general idea, such as the motion of the planets (Newton (1642–1727)). When determining that the sun is the center of our solar system (Copernicus (1473–1543)), scientists had to use thousands of measurements to finally conclude that Mars moves in an elliptical orbit about the sun (Kepler (1571–1630)), or to assemble multiple specific facts into the law of falling bodies (Galileo (1564–1642)). Themes Compression An abstraction can be seen as a compression process, mapping multiple different pieces of constituent data to a single piece of abstract data; based on similarities in the constituent data, for example, many different physical cats map to the abstraction "CAT". This conceptual scheme emphasizes the inherent equality of both constituent and abstract data, thus avoiding problems arising from the distinction between "abstract" and "concrete". In this sense the process of abstraction entails the identification of similarities between objects, and the process of associating these objects with an abstraction (which is itself an object). For example, picture 1 below illustrates the concrete relationship "Cat sits on Mat". Chains of abstractions can be construed, moving from neural impulses arising from sensory perception to basic abstractions such as color or shape, to experiential abstractions such as a specific cat, to semantic abstractions such as the "idea" of a CAT, to classes of objects such as "mammals" and even categories such as "object" as opposed to "action". For example, graph 1 below expresses the abstraction "agent sits on location". This conceptual scheme entails no specific hierarchical taxonomy (such as the one mentioned involving cats and mammals), only a progressive exclusion of detail. Instantiation Non-existent things in any particular place and time are often seen as abstract. By contrast, instances, or members, of such an abstract thing might exist in many different places and times. Those abstract things are then said to be multiply instantiated, in the sense of picture 1, picture 2, etc., shown below. It is not sufficient, however, to define abstract ideas as those that can be instantiated and to define abstraction as the movement in the opposite direction to instantiation. Doing so would make the concepts "cat" and "telephone" abstract ideas since despite their varying appearances, a particular cat or a particular telephone is an instance of the concept "cat" or the concept "telephone". Although the concepts "cat" and "telephone" are abstractions, they are not abstract in the sense of the objects in graph 1 below. We might look at other graphs, in a progression from cat to mammal to animal, and see that animal is more abstract than mammal; but on the other hand mammal is a harder idea to express, certainly in relation to marsupial or monotreme. Perhaps confusingly, some philosophies refer to tropes (instances of properties) as abstract particulars—e.g., the particular redness of a particular apple is an abstract particular. This is similar to qualia and sumbebekos. Material process Still retaining the primary meaning of 'abstrere' or 'to draw away from', the abstraction of money, for example, works by drawing away from the particular value of things allowing completely incommensurate objects to be compared (see the section on 'Physicality' below). Karl Marx's writing on the commodity abstraction recognizes a parallel process. The state (polity) as both concept and material practice exemplifies the two sides of this process of abstraction. Conceptually, 'the current concept of the state is an abstraction from the much more concrete early-modern use as the standing or status of the prince, his visible estates'. At the same time, materially, the 'practice of statehood is now constitutively and materially more abstract than at the time when princes ruled as the embodiment of extended power'. Ontological status The way that physical objects, like rocks and trees, have being differs from the way that properties of abstract concepts or relations have being, for example the way the concrete, particular, individuals pictured in picture 1 exist differs from the way the concepts illustrated in graph 1 exist. That difference accounts for the ontological usefulness of the word "abstract". The word applies to properties and relations to mark the fact that, if they exist, they do not exist in space or time, but that instances of them can exist, potentially in many different places and times. Physicality A physical object (a possible referent of a concept or word) is considered concrete (not abstract) if it is a particular individual that occupies a particular place and time. However, in the secondary sense of the term 'abstraction', this physical object can carry materially abstracting processes. For example, record-keeping aids throughout the Fertile Crescent included calculi (clay spheres, cones, etc.) which represented counts of items, probably livestock or grains, sealed in containers. According to , these clay containers contained tokens, the total of which were the count of objects being transferred. The containers thus served as something of a bill of lading or an accounts book. In order to avoid breaking open the containers for the count, marks were placed on the outside of the containers. These physical marks, in other words, acted as material abstractions of a materially abstract process of accounting, using conceptual abstractions (numbers) to communicate its meaning. Abstract things are sometimes defined as those things that do not exist in reality or exist only as sensory experiences, like the color red. That definition, however, suffers from the difficulty of deciding which things are real (i.e. which things exist in reality). For example, it is difficult to agree to whether concepts like God, the number three, and goodness are real, abstract, or both. An approach to resolving such difficulty is to use predicates as a general term for whether
CAT:Elsie depicts an example of an is-a relationship, as does the arrow between the location and the MAT. The arrows between the gerund/present participle SITTING and the nouns agent and location express the diagram's basic relationship; "agent is SITTING on location"; Elsie is an instance of CAT. Although the description sitting-on (graph 1) is more abstract than the graphic image of a cat sitting on a mat (picture 1), the delineation of abstract things from concrete things is somewhat ambiguous; this ambiguity or vagueness is characteristic of abstraction. Thus something as simple as a newspaper might be specified to six levels, as in Douglas Hofstadter's illustration of that ambiguity, with a progression from abstract to concrete in Gödel, Escher, Bach (1979): (1) a publication (2) a newspaper (3) The San Francisco Chronicle (4) the May 18 edition of The San Francisco Chronicle (5) my copy of the May 18 edition of The San Francisco Chronicle (6) my copy of the May 18 edition of The San Francisco Chronicle as it was when I first picked it up (as contrasted with my copy as it was a few days later: in my fireplace, burning) An abstraction can thus encapsulate each of these levels of detail with no loss of generality. But perhaps a detective or philosopher/scientist/engineer might seek to learn about something, at progressively deeper levels of detail, to solve a crime or a puzzle. Thought processes In philosophical terminology, abstraction is the thought process wherein ideas are distanced from objects. But an idea can be symbolized. As used in different disciplines In art Typically, abstraction is used in the arts as a synonym for abstract art in general. Strictly speaking, it refers to art unconcerned with the literal depiction of things from the visible world—it can, however, refer to an object or image which has been distilled from the real world, or indeed, another work of art. Artwork that reshapes the natural world for expressive purposes is called abstract; that which derives from, but does not imitate a recognizable subject is called nonobjective abstraction. In the 20th century the trend toward abstraction coincided with advances in science, technology, and changes in urban life, eventually reflecting an interest in psychoanalytic theory. Later still, abstraction was manifest in more purely formal terms, such as color, freedom from objective context, and a reduction of form to basic geometric designs. In computer science Computer scientists use abstraction to make models that can be used and re-used without having to re-write all the program code for each new application on every different type of computer. They communicate their solutions with the computer by writing source code in some particular computer language which can be translated into machine code for different types of computers to execute. Abstraction allows program designers to separate a framework (categorical concepts related to computing problems) from specific instances which implement details. This means that the program code can be written so that code doesn't have to depend on the specific details of supporting applications, operating system software, or hardware, but on a categorical concept of the solution. A solution to the problem can then be integrated into the system framework with minimal additional work. This allows programmers to take advantage of another programmer's work, while requiring only an abstract understanding of the implementation of another's work, apart from the problem that it solves. In general semantics Abstractions and levels of abstraction play an important role in the theory of general semantics originated by Alfred Korzybski. Anatol Rapoport wrote: "Abstracting is a mechanism by which an infinite variety of experiences can be mapped on short noises (words)." In history Francis Fukuyama defines history as "a deliberate attempt of abstraction in which we separate out important from unimportant events". In linguistics Researchers in linguistics frequently apply abstraction so as to allow analysis of the phenomena of language at the desired level of detail. A commonly used abstraction, the phoneme, abstracts speech sounds in such a way as to neglect details that cannot serve to differentiate meaning. Other analogous kinds of abstractions (sometimes called "emic units") considered by linguists include morphemes, graphemes, and lexemes. Abstraction also arises in the relation between syntax, semantics, and pragmatics. Pragmatics involves considerations that make reference to the user of the language; semantics considers expressions and what they denote (the designata) abstracted from the language user; and syntax considers only the expressions themselves, abstracted from the designate. In mathematics Abstraction in mathematics is the process of extracting the underlying structures, patterns or properties of a mathematical concept or object, removing any dependence on real world objects with which it might originally have been connected, and generalizing it so that it has wider applications or matching among other abstract descriptions of equivalent phenomena. The advantages of abstraction in mathematics are: It reveals deep connections between different areas of mathematics. Known results in one area can suggest conjectures in another related area. Techniques and methods from one area can be applied to prove results in other related area. Patterns from one mathematical object can be generalized to other similar objects in the same class. The main disadvantage of abstraction is that highly abstract concepts are more difficult to learn, and might require a degree of mathematical maturity and experience before they can be assimilated. In music In music, the term abstraction can be used to describe improvisatory approaches to interpretation, and may sometimes indicate abandonment of tonality. Atonal music has no key signature, and is characterized by the exploration of internal numeric relationships. In neurology A recent meta-analysis suggests that the verbal system has greater engagement for abstract concepts when the perceptual system is more engaged for processing of concrete concepts. This is because abstract concepts elicit greater brain activity in the inferior frontal gyrus and middle temporal gyrus compared to concrete concepts which elicit greater activity in the posterior cingulate, precuneus, fusiform gyrus, and parahippocampal gyrus. Other research into the human brain suggests that the left and right hemispheres differ in their handling of abstraction. For example, one meta-analysis reviewing human brain lesions has shown a left hemisphere bias during tool usage. In philosophy Abstraction in philosophy is the process (or, to some, the alleged process) in concept formation of recognizing some set of common features in individuals, and on that basis forming a concept of that feature. The notion of abstraction is important to understanding some philosophical controversies surrounding empiricism and the problem of universals. It has also recently become popular in formal logic under predicate abstraction. Another philosophical tool for discussion of abstraction is thought space. John Locke defined abstraction in An Essay Concerning Human Understanding: 'So words are used to stand as outward marks of our internal ideas, which are taken from particular things; but if every particular idea that we take in had its own special name, there would be no end to names. To prevent this, the mind makes particular ideas received from particular things become general; which it does by considering them as they are in the mind—mental appearances—separate from all other existences, and from the circumstances of real existence, such as time, place, and so on. This procedure is called abstraction. In it, an idea taken from a particular thing becomes a general representative of all of the same kind, and its name becomes a general name that is applicable to any existing thing that fits that abstract idea.' (2.11.9) In psychology Carl Jung's definition of abstraction broadened its scope beyond the thinking process to include exactly four mutually exclusive, different complementary psychological functions: sensation, intuition, feeling, and thinking. Together they form a structural totality of the differentiating abstraction process. Abstraction operates in one of these functions when it excludes the simultaneous influence of the other functions and other irrelevancies, such as emotion. Abstraction requires selective use of this structural split of abilities in the psyche. The opposite of abstraction is concretism. Abstraction is one of Jung's 57 definitions in Chapter XI of Psychological Types. There is an abstract thinking, just as there is abstract feeling, sensation and intuition. Abstract thinking singles out the rational, logical qualities ... Abstract feeling does the same with ... its feeling-values. ... I put abstract feelings on the same level as abstract thoughts. ... Abstract sensation would be aesthetic as opposed to sensuous sensation and abstract intuition would be symbolic as opposed to fantastic intuition. (Jung, [1921] (1971): par. 678). In social theory Social theorists deal with abstraction both as an ideational and as a material process. Alfred Sohn-Rethel (1899-1990) asked: "Can there be abstraction other than by thought?" He used the example of commodity abstraction to show that abstraction occurs in practice as people create systems of abstract exchange that extend beyond the immediate physicality of the object and yet have real and immediate consequences. This work was
abelian groups. Theorems about abelian groups (i.e. modules over the principal ideal domain ) can often be generalized to theorems about modules over an arbitrary principal ideal domain. A typical example is the classification of finitely generated abelian groups which is a specialization of the structure theorem for finitely generated modules over a principal ideal domain. In the case of finitely generated abelian groups, this theorem guarantees that an abelian group splits as a direct sum of a torsion group and a free abelian group. The former may be written as a direct sum of finitely many groups of the form for prime, and the latter is a direct sum of finitely many copies of . If are two group homomorphisms between abelian groups, then their sum , defined by , is again a homomorphism. (This is not true if is a non-abelian group.) The set of all group homomorphisms from to is therefore an abelian group in its own right. Somewhat akin to the dimension of vector spaces, every abelian group has a rank. It is defined as the maximal cardinality of a set of linearly independent (over the integers) elements of the group. Finite abelian groups and torsion groups have rank zero, and every abelian group of rank zero is a torsion group. The integers and the rational numbers have rank one, as well as every nonzero additive subgroup of the rationals. On the other hand, the multiplicative group of the nonzero rationals has an infinite rank, as it is a free abelian group with the set of the prime numbers as a basis (this results from the fundamental theorem of arithmetic). The center of a group is the set of elements that commute with every element of . A group is abelian if and only if it is equal to its center . The center of a group is always a characteristic abelian subgroup of . If the quotient group of a group by its center is cyclic then is abelian. Finite abelian groups Cyclic groups of integers modulo , , were among the first examples of groups. It turns out that an arbitrary finite abelian group is isomorphic to a direct sum of finite cyclic groups of prime power order, and these orders are uniquely determined, forming a complete system of invariants. The automorphism group of a finite abelian group can be described directly in terms of these invariants. The theory had been first developed in the 1879 paper of Georg Frobenius and Ludwig Stickelberger and later was both simplified and generalized to finitely generated modules over a principal ideal domain, forming an important chapter of linear algebra. Any group of prime order is isomorphic to a cyclic group and therefore abelian. Any group whose order is a square of a prime number is also abelian. In fact, for every prime number there are (up to isomorphism) exactly two groups of order , namely and . Classification The fundamental theorem of finite abelian groups states that every finite abelian group can be expressed as the direct sum of cyclic subgroups of prime-power order; it is also known as the basis theorem for finite abelian groups. Moreover, automorphism groups of cyclic groups are examples of abelian groups. This is generalized by the fundamental theorem of finitely generated abelian groups, with finite groups being the special case when G has zero rank; this in turn admits numerous further generalizations. The classification was proven by Leopold Kronecker in 1870, though it was not stated in modern group-theoretic terms until later, and was preceded by a similar classification of quadratic forms by Carl Friedrich Gauss in 1801; see history for details. The cyclic group of order is isomorphic to the direct sum of and if and only if and are coprime. It follows that any finite abelian group is isomorphic to a direct sum of the form in either of the following canonical ways: the numbers are powers of (not necessarily distinct) primes, or divides , which divides , and so on up to . For example, can be expressed as the direct sum of two cyclic subgroups of order 3 and 5: . The same can be said for any abelian group of order 15, leading to the remarkable conclusion that all abelian groups of order 15 are isomorphic. For another example, every abelian group of order 8 is isomorphic to either (the integers 0 to 7 under addition modulo 8), (the odd integers 1 to 15 under multiplication modulo 16), or . See also list of small groups for finite abelian groups of order 30 or less. Automorphisms One can apply the fundamental theorem to count (and sometimes determine) the automorphisms of a given finite abelian group . To do this, one uses the fact that if splits as a direct sum of subgroups of coprime order, then Given this, the fundamental theorem shows that to compute the automorphism group of it suffices to compute the automorphism groups of the Sylow -subgroups separately (that is, all direct sums of cyclic subgroups, each with order a power of ). Fix a prime and suppose the exponents of the cyclic factors of the Sylow -subgroup are arranged in increasing order: for some . One needs to find the automorphisms of One special case is when , so that there is only one cyclic prime-power factor in the Sylow -subgroup . In this case the theory of automorphisms of a finite cyclic group can be used. Another special case is when is arbitrary but for . Here, one is considering to be of the form so elements of this subgroup can be viewed as comprising a vector space of dimension over the finite field of elements . The automorphisms of this subgroup are therefore given by the invertible linear transformations, so where is the appropriate general linear group. This is easily shown to have order In the most general case, where the and are arbitrary, the automorphism group is more difficult to determine. It is known, however, that if one defines and then one has in particular , , and One can check that this yields the orders in the previous examples as special cases (see Hillar, C., & Rhea, D.). Finitely generated abelian groups An abelian group is finitely generated if it contains a finite set of elements (called generators) such that every element of the group is a linear combination with integer coefficients of elements of . Let be a free abelian group with basis There is a unique group homomorphism such that This homomorphism is surjective, and its kernel is finitely generated (since integers form a Noetherian ring). Consider the matrix with integer entries, such that the entries of its th column are the coefficients of the th generator of the kernel. Then, the abelian group is isomorphic to the cokernel of linear map defined by . Conversely every integer matrix defines a finitely generated abelian group. It follows that the study of finitely generated abelian groups is totally equivalent with the study of integer matrices. In particular, changing the generating set of is equivalent with multiplying on the left by a unimodular matrix (that is, an invertible integer matrix whose inverse is also an integer matrix). Changing the generating set of the kernel of is equivalent with multiplying on the right by a unimodular matrix. The Smith normal form of is a matrix where and are unimodular, and is a matrix such that all non-diagonal entries are zero, the non-zero diagonal entries are the first ones, and is a divisor of for . The existence and the shape of the Smith normal proves that the finitely generated abelian group is the direct sum where is the number of zero rows at the bottom of (and also the rank of the group). This is the fundamental theorem of finitely generated abelian groups. The existence of algorithms for Smith normal form shows that the fundamental theorem of finitely generated abelian groups is not only a theorem of abstract existence, but provides a way for computing expression of finitely generated abelian groups as direct sums. Infinite abelian groups The simplest infinite abelian group is the infinite cyclic group . Any finitely generated abelian group is isomorphic to the direct sum of copies of and a finite abelian group, which in turn is decomposable into a direct sum of finitely many cyclic groups of prime power orders. Even though the decomposition is not unique, the number , called the rank of , and the prime powers giving the orders of finite cyclic summands are uniquely determined. By contrast, classification of general infinitely generated abelian groups is far from complete. Divisible groups, i.e. abelian groups in which the equation admits a solution for any natural number and element of , constitute one important class of infinite abelian groups that can be completely characterized. Every divisible group is isomorphic to a direct sum, with summands isomorphic to and Prüfer groups for various prime numbers , and the cardinality of the set of summands of each type is uniquely determined. Moreover, if a divisible group is a subgroup of an abelian group then admits a direct complement: a subgroup of such that . Thus divisible groups are injective modules in the category of abelian groups, and conversely, every injective abelian group is
the Sylow -subgroup . In this case the theory of automorphisms of a finite cyclic group can be used. Another special case is when is arbitrary but for . Here, one is considering to be of the form so elements of this subgroup can be viewed as comprising a vector space of dimension over the finite field of elements . The automorphisms of this subgroup are therefore given by the invertible linear transformations, so where is the appropriate general linear group. This is easily shown to have order In the most general case, where the and are arbitrary, the automorphism group is more difficult to determine. It is known, however, that if one defines and then one has in particular , , and One can check that this yields the orders in the previous examples as special cases (see Hillar, C., & Rhea, D.). Finitely generated abelian groups An abelian group is finitely generated if it contains a finite set of elements (called generators) such that every element of the group is a linear combination with integer coefficients of elements of . Let be a free abelian group with basis There is a unique group homomorphism such that This homomorphism is surjective, and its kernel is finitely generated (since integers form a Noetherian ring). Consider the matrix with integer entries, such that the entries of its th column are the coefficients of the th generator of the kernel. Then, the abelian group is isomorphic to the cokernel of linear map defined by . Conversely every integer matrix defines a finitely generated abelian group. It follows that the study of finitely generated abelian groups is totally equivalent with the study of integer matrices. In particular, changing the generating set of is equivalent with multiplying on the left by a unimodular matrix (that is, an invertible integer matrix whose inverse is also an integer matrix). Changing the generating set of the kernel of is equivalent with multiplying on the right by a unimodular matrix. The Smith normal form of is a matrix where and are unimodular, and is a matrix such that all non-diagonal entries are zero, the non-zero diagonal entries are the first ones, and is a divisor of for . The existence and the shape of the Smith normal proves that the finitely generated abelian group is the direct sum where is the number of zero rows at the bottom of (and also the rank of the group). This is the fundamental theorem of finitely generated abelian groups. The existence of algorithms for Smith normal form shows that the fundamental theorem of finitely generated abelian groups is not only a theorem of abstract existence, but provides a way for computing expression of finitely generated abelian groups as direct sums. Infinite abelian groups The simplest infinite abelian group is the infinite cyclic group . Any finitely generated abelian group is isomorphic to the direct sum of copies of and a finite abelian group, which in turn is decomposable into a direct sum of finitely many cyclic groups of prime power orders. Even though the decomposition is not unique, the number , called the rank of , and the prime powers giving the orders of finite cyclic summands are uniquely determined. By contrast, classification of general infinitely generated abelian groups is far from complete. Divisible groups, i.e. abelian groups in which the equation admits a solution for any natural number and element of , constitute one important class of infinite abelian groups that can be completely characterized. Every divisible group is isomorphic to a direct sum, with summands isomorphic to and Prüfer groups for various prime numbers , and the cardinality of the set of summands of each type is uniquely determined. Moreover, if a divisible group is a subgroup of an abelian group then admits a direct complement: a subgroup of such that . Thus divisible groups are injective modules in the category of abelian groups, and conversely, every injective abelian group is divisible (Baer's criterion). An abelian group without non-zero divisible subgroups is called reduced. Two important special classes of infinite abelian groups with diametrically opposite properties are torsion groups and torsion-free groups, exemplified by the groups (periodic) and (torsion-free). Torsion groups An abelian group is called periodic or torsion, if every element has finite order. A direct sum of finite cyclic groups is periodic. Although the converse statement is not true in general, some special cases are known. The first and second Prüfer theorems state that if is a periodic group, and it either has a bounded exponent, i.e., for some natural number , or is countable and the -heights of the elements of are finite for each , then is isomorphic to a direct sum of finite cyclic groups. The cardinality of the set of direct summands isomorphic to in such a decomposition is an invariant of . These theorems were later subsumed in the Kulikov criterion. In a different direction, Helmut Ulm found an extension of the second Prüfer theorem to countable abelian -groups with elements of infinite height: those groups are completely classified by means of their Ulm invariants. Torsion-free and mixed groups An abelian group is called torsion-free if every non-zero element has infinite order. Several classes of torsion-free abelian groups have been studied extensively: Free abelian groups, i.e. arbitrary direct sums of Cotorsion and algebraically compact torsion-free groups such as the -adic integers Slender groups An abelian group that is neither periodic nor torsion-free is called mixed. If is an abelian group and is its torsion subgroup, then the factor group is torsion-free. However, in general the torsion subgroup is not a direct summand of , so is not isomorphic to . Thus the theory of mixed groups involves more than simply combining the results about periodic and torsion-free groups. The additive group of integers is torsion-free -module. Invariants and classification One of the most basic invariants of an infinite abelian group is its rank: the cardinality of the maximal linearly independent subset of . Abelian groups of rank 0 are precisely the periodic groups, while torsion-free abelian groups of rank 1 are necessarily subgroups of and can be completely described.
the hoped-for result. SDI research was cut back following the end of Reagan's presidency, and in 1995 it was reiterated in a presidential joint statement that "missile defense systems may be deployed... [that] will not pose a realistic threat to the strategic nuclear force of the other side and will not be tested to... [create] that capability." This was reaffirmed in 1997. Successor states to Soviet Union agree to continue treaty in force Although the Soviet Union ceased to exist in December 1991, in the view of the U.S. Department of State, the treaty continued in force. An additional memorandum of understanding was prepared in 1997, establishing Belarus, Kazakhstan, the Russian Federation, and Ukraine as successor states to the Soviet Union, for the purposes of the treaty. United States withdrawal On 13 December 2001, George W. Bush gave Russia notice of the United States' withdrawal from the treaty, in accordance with the clause that required six months' notice before terminating the pact—the first time in recent history that the United States has withdrawn from a major international arms treaty. This led to the eventual creation of the American Missile Defense Agency. Supporters of the withdrawal argued that it was a necessity in order to test and build a limited National Missile Defense to protect the United States from nuclear blackmail by a rogue state. The withdrawal also had many critics. John Rhinelander, a negotiator of the ABM treaty, predicted that the withdrawal would be a "fatal blow" to the Non-Proliferation Treaty and would lead to a "world without effective legal constraints on nuclear proliferation". The construction of a missile defense system was also feared to enable the US to attack with a nuclear first strike. Former U.S. Secretary of Defense William Perry also criticized the U.S. withdrawal as a very bad decision. Putin responded to the withdrawal by ordering a build-up of Russia's nuclear capabilities, designed to counterbalance U.S. capabilities. Russia and the United States signed the Strategic Offensive Reductions Treaty in Moscow on 24 May 2002. This treaty mandates cuts in deployed strategic nuclear warheads, but without actually mandating cuts to total stockpiled warheads, and without any mechanism for enforcement. In interviews with Oliver Stone in 2017, Russian president Vladimir Putin said that in trying to persuade Russia to accept US withdrawal from the treaty, both Bill Clinton and George W. Bush had tried, without evidence, to convince him of an emerging nuclear threat from Iran. In sum, the US withdrawal from the ABM Treaty sets a different path because it undermined one of the main formal foundations of the reproduction mechanism of strategic stability and inaugurates both material and formal reactive sequences. 2018 statement by Putin on new weapons On 1 March 2018, Russian president Vladimir Putin, in an address to the Federal Assembly, announced the development of a series of technologically new missile systems and stressed that those were designed as a response to U.S. withdrawal from the ABM Treaty. His statements were referred to by an anonymous US official under the Trump administration as largely boastful untruths References External links Anti-Ballistic Missile Treaty, official State Department site, includes the text of the treaty and the 1974 Protocol. US Announcement of withdrawal (2001) 1972 in the Soviet Union 1972 in the United States Arms control treaties
Andropov said that "It is time [Washington] stopped thinking up one option after another in search of the best way of unleashing nuclear war in the hope of winning it. To do this is not just irresponsible. It is madness". Regardless of the opposition, Reagan gave every indication that SDI would not be used as a bargaining chip and that the United States would do all in its power to build the system. The Soviets were threatened because the Americans might have been able to make a nuclear first strike possible. In The Nuclear Predicament, Beckman claims that one of the central goals of Soviet diplomacy was to terminate SDI. A surprise attack from the Americans would destroy much of the Soviet ICBM fleet, allowing SDI to defeat a "ragged" Soviet retaliatory response. Furthermore, if the Soviets chose to enter this new arms race, they would further cripple their economy. The Soviets could not afford to ignore Reagan's new endeavor, therefore their policy at the time was to enter negotiations with the Americans. By 1987, however, the USSR withdrew its opposition, concluding the SDI posed no threat and scientifically "would never work". SDI research went ahead, although it did not achieve the hoped-for result. SDI research was cut back following the end of Reagan's presidency, and in 1995 it was reiterated in a presidential joint statement that "missile defense systems may be deployed... [that] will not pose a realistic threat to the strategic nuclear force of the other side and will not be tested to... [create] that capability." This was reaffirmed in 1997. Successor states to Soviet Union agree to continue treaty in force Although the Soviet Union ceased to exist in December 1991, in the view of the U.S. Department of State, the treaty continued in force. An additional memorandum of understanding was prepared in 1997, establishing Belarus, Kazakhstan, the Russian Federation, and Ukraine as successor states to the Soviet Union, for the purposes of the treaty. United States withdrawal On 13 December 2001, George W. Bush gave Russia notice of the United States' withdrawal from the treaty, in accordance with the clause that required six months' notice before terminating the pact—the first time in recent history that the United States has withdrawn from a major international arms treaty. This led to the eventual creation of the American Missile Defense Agency. Supporters of the withdrawal argued that it was a necessity in order to test and build a limited National Missile Defense to protect the United States from nuclear blackmail by a rogue state. The withdrawal also had many critics. John Rhinelander, a negotiator of the ABM treaty, predicted that the withdrawal would be a "fatal blow" to the Non-Proliferation Treaty and would lead to a "world without effective legal constraints on nuclear proliferation". The construction of a missile defense system was also feared to enable the US to attack with a nuclear first strike. Former U.S. Secretary of Defense William Perry also criticized the U.S. withdrawal as a very bad decision. Putin responded to the withdrawal by ordering a build-up of Russia's nuclear capabilities,
bridge and iron structures) factories were the MÁVAG company in Budapest (steam engines and wagons) and the Ganz company in Budapest (steam engines, wagons, the production of electric locomotives and electric trams started from 1894). and the RÁBA Company in Győr. Infrastructure Telecommunication Telegraph The first telegraph connection (Vienna – Brno – Prague) had started operation in 1847. In Hungarian territory the first telegraph stations were opened in Pressburg (Pozsony, today's Bratislava) in December 1847 and in Buda in 1848. The first telegraph connection between Vienna and Pest–Buda (later Budapest) was constructed in 1850, and Vienna–Zagreb in 1850. Austria subsequently joined a telegraph union with German states. In the Kingdom of Hungary, 2,406 telegraph post offices operated in 1884. By 1914 the number of telegraph offices reached 3,000 in post offices and further 2,400 were installed in the railway stations of the Kingdom of Hungary. Telephone The first telephone exchange was opened in Zagreb (8 January 1881), the second was in Budapest (1 May 1881), and the third was opened in Vienna (3 June 1881). Initially telephony was available in the homes of individual subscribers, companies and offices. Public telephone stations appeared in the 1890s, and they quickly became widespread in post offices and railway stations. Austria–Hungary had 568 million telephone calls in 1913; only two Western European countries had more phone calls: the German Empire and the United Kingdom. The Austro-Hungarian Empire was followed by France with 396 million telephone calls and Italy with 230 million phone calls. In 1916, there were 366 million telephone calls in Cisleithania, among them 8.4 million long distant calls. All telephone exchanges of the cities, towns and larger villages in Transleithania were linked until 1893. By 1914, more than 2000 settlements had telephone exchange in Kingdom of Hungary. Electronic Audio Broadcasting The Telefon Hírmondó (Telephone Herald) news and entertainment service was introduced in Budapest in 1893. Two decades before the introduction of radio broadcasting, people could listen to political, economic and sports news, cabaret, music and opera in Budapest daily. It operated over a special type of telephone exchange system. Transport Railways By 1913, the combined length of the railway tracks of the Austrian Empire and Kingdom of Hungary reached . In Western Europe only Germany had more extended railway network (); the Austro-Hungarian Empire was followed by France (), the United Kingdom (), Italy () and Spain (). Railway network of the Austrian Empire Rail transport expanded rapidly in the Austro-Hungarian Empire. Its predecessor state, the Habsburg Empire, had built a substantial core of railways in the west, originating from Vienna, by 1841. Austria's first steam railway from Vienna to Moravia with its terminus in Galicia (Bochnie) was opened in 1839. The first train travelled from Vienna to Lundenburg (Břeclav) on 6 June 1839 and one month later between the imperial capital in Vienna and the capital of Moravia Brünn (Brno) on 7 July. At that point, the government realized the military possibilities of rail and began to invest heavily in construction. Pozsony (Bratislava), Budapest, Prague, Kraków, Graz, Laibach (Ljubljana) and Venedig (Venice) became linked to the main network. By 1854, the empire had almost of track, about 60–70% of it in state hands. The government then began to sell off large portions of track to private investors to recoup some of its investments and because of the financial strains of the 1848 Revolution and of the Crimean War. From 1854 to 1879, private interests conducted almost all rail construction. What would become Cisleithania gained of track, and Hungary built of track. During this time, many new areas joined the railway system and the existing rail networks gained connections and interconnections. This period marked the beginning of widespread rail transportation in Austria–Hungary, and also the integration of transportation systems in the area. Railways allowed the empire to integrate its economy far more than previously possible, when transportation depended on rivers. After 1879, the Austrian and the Hungarian governments slowly began to renationalize their rail networks, largely because of the sluggish pace of development during the worldwide depression of the 1870s. Between 1879 and 1900, more than of railways were built in Cisleithania and Hungary. Most of this constituted "filling in" of the existing network, although some areas, primarily in the far east, gained rail connections for the first time. The railway reduced transportation costs throughout the empire, opening new markets for products from other lands of the Dual Monarchy. In 1914, of a total of of railway tracks in Austria, (82%) were state-owned. Railway network in the Kingdom of Hungary The first Hungarian steam locomotive railway line was opened on 15 July 1846 between Pest and Vác. In 1890 most large Hungarian private railway companies were nationalized as a consequence of the poor management of private companies, except the strong Austrian-owned Kaschau-Oderberg Railway (KsOd) and the Austrian-Hungarian Southern Railway (SB/DV). They also joined the zone tariff system of the MÁV (Hungarian State Railways). By 1910, the total length of the rail networks of Hungarian Kingdom reached , the Hungarian network linked more than 1,490 settlements. Nearly half (52%) of the empire's railways were built in Hungary, thus the railroad density there became higher than that of Cisleithania. This has ranked Hungarian railways the 6th most dense in the world (ahead of Germany and France). Electrified commuter railways: A set of four electric commuter rai lines were built in Budapest, the BHÉV: Ráckeve line (1887), Szentendre line (1888), Gödöllő line (1888), Csepel line (1912) Metropolitan transit systems Tramway lines in the cities Horse-drawn tramways appeared in the first half of the 19th century. Between the 1850s and 1880s many were built : Vienna (1865), Budapest (1866), Brno (1869), Trieste (1876). Steam trams appeared in the late 1860s. The electrification of tramways started in the late 1880s. The first electrified tramway in Austria–Hungary was built in Budapest in 1887. Electric tramway lines in the Austrian Empire: Austria: Gmunden (1894); Linz, Vienna (1897); Graz (1898); Trieste (1900); Ljubljana (1901); Innsbruck (1905); Unterlach, Ybbs an der Donau (1907); Salzburg (1909); Klagenfurt, Sankt Pölten (1911); Piran (1912) Austrian Littoral: Pula (1904). Bohemia: Prague (1891); Teplice (1895); Liberec (1897); Ústí nad Labem, Plzeň, Olomouc (1899); Moravia, Brno, Jablonec nad Nisou (1900); Ostrava (1901); Mariánské Lázně (1902); Budějovice, České Budějovice, Jihlava (1909) Austrian Silesia: Opava (Troppau) (1905), Cieszyn (Cieszyn) (1911) Dalmatia: Dubrovnik (1910) Galicia: Lviv (1894), Bielsko-Biała (1895); Kraków (1901); Tarnów, Cieszyn (1911) Electric tramway lines in the Kingdom of Hungary: Hungary: Budapest (1887); Pressburg/Pozsony/Bratislava (1895); Szabadka/Subotica (1897), Szombathely (1897), Miskolc (1897); Temesvár/Timișoara (1899); Sopron (1900); Szatmárnémeti/Satu Mare (1900); Nyíregyháza (1905); Nagyszeben/Sibiu (1905); Nagyvárad/Oradea (1906); Szeged (1908); Debrecen (1911); Újvidék/Novi Sad (1911); Kassa/Košice (1913); Pécs (1913) Croatia: Fiume (1899); Pula (1904); Opatija – Lovran (1908); Zagreb (1910); Dubrovnik (1910). Underground The Budapest Metro Line 1 (originally the "Franz Joseph Underground Electric Railway Company") is the second oldest underground railway in the world (the first being the London Underground's Metropolitan Line and the third being Glasgow), and the first on the European mainland. It was built from 1894 to 1896 and opened on 2 May 1896. In 2002, it was listed as a UNESCO World Heritage Site. The M1 line became an IEEE Milestone due to the radically new innovations in its era: "Among the railway’s innovative elements were bidirectional tram cars; electric lighting in the subway stations and tram cars; and an overhead wire structure instead of a third-rail system for power." Canals and river regulations In 1900 the engineer C. Wagenführer drew up plans to link the Danube and the Adriatic Sea by a canal from Vienna to Trieste. It was born from the desire of Austria–Hungary to have a direct link to the Adriatic Sea but was never constructed. Regulation of the lower Danube and the Iron Gates In 1831 a plan had already been drafted to make the passage navigable, at the initiative of the Hungarian politician István Széchenyi. Finally Gábor Baross, Hungary's "Iron Minister", succeeded in financing this project. The riverbed rocks and the associated rapids made the gorge valley an infamous passage for shipping. In German, the passage is still known as the Kataraktenstrecke, even though the cataracts are gone. Near the actual "Iron Gates" strait the Prigrada rock was the most important obstacle until 1896: the river widened considerably here and the water level was consequently low. Upstream, the Greben rock near the "Kazan" gorge was notorious. Regulation of the Tisza River The length of the Tisza in Hungary used to be . It flowed through the Great Hungarian Plain, which is one of the largest flat areas in central Europe. Since plains can cause a river to flow very slowly, the Tisza used to follow a path with many curves and turns, which led to many large floods in the area. After several small-scale attempts, István Széchenyi organised the "regulation of the Tisza" (Hungarian: a Tisza szabályozása) which started on 27 August 1846, and substantially ended in 1880. The new length of the river in Hungary was ( total), with of "dead channels" and of new riverbed. The resultant length of the flood-protected river comprises (out of of all Hungarian protected rivers). Shipping and ports The most important seaport was Trieste (today part of Italy), where the Austrian merchant marine was based. Two major shipping companies (Austrian Lloyd and Austro-Americana) and several shipyards were located there. From 1815 to 1866, Venice had been part of the Habsburg empire. The loss of Venice prompted the development of the Austrian merchant marine. By 1913, the commercial marine of Austria, comprised 16,764 vessels with a tonnage of 471,252, and crews number-ing 45,567. Of the total (1913) 394 of 422,368 tons were steamers, and 16,370 of 48,884 tons were sailing vessels The Austrian Lloyd was one of the biggest ocean shipping companies of the time. Prior to the beginning of World War I, the company owned 65 middle-sized and large steamers. The Austro-Americana owned one third of this number, including the biggest Austrian passenger ship, the SS Kaiser Franz Joseph I. In comparison to the Austrian Lloyd, the Austro-American concentrated on destinations in North and South America. The Austro-Hungarian Navy became much more significant than previously, as industrialization provided sufficient revenues to develop it. The ships of the Austro-Hungarian navy were built in Trieste's shipyards. Pola (Pula, today part of Croatia) was also especially significant for the navy. The most important seaport for the Hungarian part of the monarchy was Fiume (Rijeka, today part of Croatia), where the Hungarian shipping companies, such as the Adria, operated. On the Danube, the DDSG had established the Óbuda Shipyard on the Hungarian Hajógyári Island in 1835. The largest Hungarian shipbuilding company was the Ganz-Danubius. The commercial marine of the Kingdom of Hungary in 1913 comprised 545 vessels of 144,433 tons, and crews numbering 3,217. Of the total number of vessels 134,000 of 142,539 tons were steamers, and 411 of 1,894 tons were sailing vessels. The first Danubian steamer company, Donaudampfschiffahrtsgesellschaft (DDSG), was the largest inland shipping company in the world until the collapse of Austria-Hungary. Military The Austro-Hungarian Army was under the command of Archduke Albrecht, Duke of Teschen (1817–1895), an old-fashioned bureaucrat who opposed modernization. The military system of the Austro-Hungarian monarchy was similar in both states, and rested since 1868 upon the principle of the universal and personal obligation of the citizen to bear arms. Its military force was composed of the common army; the special armies, namely the Austrian Landwehr, and the Hungarian Honved, which were separate national institutions, and the Landsturm or levy-en masse. As stated above, the common army stood under the administration of the joint minister of war, while the special armies were under the administration of the respective ministries of national defence. The yearly contingent of recruits for the army was fixed by the military bills voted on by the Austrian and Hungarian parliaments and was generally determined on the basis of the population, according to the last census returns. It amounted in 1905 to 103,100 men, of which Austria furnished 59,211 men, and Hungary 43,889. Besides 10,000 men were annually allotted to the Austrian Landwehr, and 12,500 to the Hungarian Honved. The term of service was two years (three years in the cavalry) with the colours, seven or eight in the reserve and two in the Landwehr; in the case of men not drafted to the active army the same total period of service was spent in various special reserves. The common minister of war was the head for the administration of all military affairs, except those of the Austrian Landwehr and of the Hungarian Honved, which were committed to the ministries for national defence of the two respective states. But the supreme command of the army was nominally vested in the monarch, who had the power to take all measures regarding the whole army. In practice, the emperor's nephew Archduke Albrecht was his chief military advisor and made the policy decisions. The Austro-Hungarian navy was mainly a coast defence force, and also included a flotilla of monitors for the Danube. It was administered by the naval department of the ministry of war. Foreign policy: 1897–1914 Disputed land: Bosnia and Herzegovina Russian Pan-Slavic organizations sent aid to the Balkan rebels and so pressured the tsar's government to declare war on the Ottoman Empire in 1877 in the name of protecting Orthodox Christians. Unable to mediate between the Ottoman Empire and Russia over the control of Serbia, Austria–Hungary declared neutrality when the conflict between the two powers escalated into a war. With help from Romania and Greece, Russia defeated the Ottomans and with the Treaty of San Stefano tried to create a large pro-Russian Bulgaria. This treaty sparked an international uproar that almost resulted in a general European war. Austria–Hungary and Britain feared that a large Bulgaria would become a Russian satellite that would enable the tsar to dominate the Balkans. British prime minister Benjamin Disraeli moved warships into position against Russia to halt the advance of Russian influence in the eastern Mediterranean so close to Britain's route through the Suez Canal. The Congress of Berlin rolled back the Russian victory by partitioning the large Bulgarian state that Russia had carved out of Ottoman territory and denying any part of Bulgaria full independence from the Ottomans. Austria occupied Bosnia and Herzegovina as a way of gaining power in the Balkans. Serbia, Montenegro and Romania became fully independent. Nonetheless, the Balkans remained a site of political unrest with teeming ambition for independence and great power rivalries. At the Congress of Berlin in 1878 Gyula Andrássy (Minister of Foreign Affairs) managed to force Russia to retreat from further demands in the Balkans. As a result, Greater Bulgaria was broken up and Serbian independence was guaranteed. In that year, with Britain's support, Austria–Hungary stationed troops in Bosnia to prevent the Russians from expanding into nearby Serbia. In another measure to keep the Russians out of the Balkans, Austria–Hungary formed an alliance, the Mediterranean Entente, with Britain and Italy in 1887 and concluded mutual defence pacts with Germany in 1879 and Romania in 1883 against a possible Russian attack. Following the Congress of Berlin the European powers attempted to guarantee stability through a complex series of alliances and treaties. Anxious about Balkan instability and Russian aggression, and to counter French interests in Europe, Austria–Hungary forged a defensive alliance with Germany in October 1879 and in May 1882. In October 1882 Italy joined this partnership in the Triple Alliance largely because of Italy's imperial rivalries with France. Tensions between Russia and Austria–Hungary remained high, so Bismarck replaced the League of the Three Emperors with the Reinsurance Treaty with Russia to keep the Habsburgs from recklessly starting a war over Pan-Slavism. The Sandžak-Raška / Novibazar region was under Austro-Hungarian occupation between 1878 and 1909, when it was returned to the Ottoman Empire, before being ultimately divided between kingdoms of Montenegro and Serbia. On the heels of the Great Balkan Crisis, Austro-Hungarian forces occupied Bosnia and Herzegovina in August 1878 and the monarchy eventually annexed Bosnia and Herzegovina in October 1908 as a common holding of Cisleithania and Transleithania under the control of the Imperial & Royal finance ministry rather than attaching it to either territorial government. The annexation in 1908 led some in Vienna to contemplate combining Bosnia and Herzegovina with Croatia to form a third Slavic component of the monarchy. The deaths of Franz Joseph's brother, Maximilian (1867), and his only son, Rudolf, made the Emperor's nephew, Franz Ferdinand, heir to the throne. The Archduke was rumoured to have been an advocate for this trialism as a means to limit the power of the Hungarian aristocracy. A proclamation issued on the occasion of its annexation to the Habsburg Monarchy in October 1908 promised these lands constitutional institutions, which should secure to their inhabitants full civil rights and a share in the management of their own affairs by means of a local representative assembly. In performance of this promise a constitution was promulgated in 1910. This included a Territorial Statute (Landesstatut) with the setting up of a Territorial Diet, regulations for the election and procedure of the Diet, a law of associations, a law of public meetings, and a law dealing with the district councils. According to this statute Bosnia-Herzegovina formed a single administrative territory under the responsible direction and supervision of the Ministry of Finance of the Dual Monarchy in Vienna. The administration of the country, together with the carrying out of the laws, devolved upon the Territorial Government in Sarajevo, which was subordinate and responsible to the Common Ministry of Finance. The existing judicial and administrative authorities of the Territory retained their previous organization and functions. That statute introduced the modern rights and laws in Bosnia – Herzegovina, and it guaranteed generally the civil rights of the inhabitants of the Territory, namely citizenship, personal liberty, protection by the competent judicial authorities, liberty of creed and conscience, preservation of the national individuality and language, freedom of speech, freedom of learning and education, inviolability of the domicile, secrecy of posts and telegraphs, inviolability of property, the right of petition, and finally the right of holding meetings. The Diet (Sabor) of Bosnia-Herzegovina set up consisted of a single Chamber, elected on the principle of the representation of interests. It numbered 92 members. Of these 20 consisted of representatives of all the religious confessions, the president of the Supreme Court, the president of the Chamber of Advocates, the president of the Chamber of Commerce, and the mayor of Sarajevo. In addition to these were 72 deputies, elected by three curiae or electoral groups. The first curia included the large landowners, the highest taxpayers, and people who had reached a certain standard of education without regard to the amount they paid in taxes. To the second curia belonged inhabitants of the towns not qualified to vote in the first; to the third, country dwellers disqualified in the same way. With this curial system was combined the grouping of the mandates and of the electors according to the three dominant creeds (Catholic, Serbian Orthodox, Muslim). To the adherents of other creeds the right was conceded of voting with one or other of the religious electoral bodies within the curia to which they belonged. Bosnian Crisis of 1908-1909 The principal players in the Bosnian Crisis of 1908-09 were the foreign ministers of Austria and Russia, Alois Lexa von Aehrenthal and Alexander Izvolsky. Both were motivated by political ambition; the first would emerge successful, and the latter would be broken by the crisis. Along the way, they would drag Europe to the brink of war in 1909. They would also divide Europe into the two armed camps that would go to war in July 1914. Under the Treaty of Berlin, The Ottomans controlled the Dardanelles straight connecting the Mediterranean and the Black Sea. The Treaty prohibited the passage of any warships from any country into or out of the Black Sea. This treaty bottled up a major portion of the Russian Fleet, making it useless in the Russo-Japanese War of 1904-1905 when it was urgently needed. Izvolsky wanted this changed to allow the passage of Russian ships through the straits. Aehrenthal wanted full control of Bosnia-Herzogovina.Austria-Hungary had administered the provinces since 1878 but the Ottoman Empire remained the nominal legal owner. Aehrenthal concocted a grand diplomatic deal that proposed major benefits for both sides. Austria would gain full ownership of Bosnia with Russian approval. Turkey would get full control of the territory knoiwn as the Sanjak of Novi Pazar, plus cash. Russia would get the right of passage for its warships through the Straits. Serbia would get zero. Before approaching the Russians, Aehrenthal met with Austrian official and won the approval of Emperor Franz Joseph I. On September 15–16 Aehrenthal and Izvolsky held a secret meeting. No record was kept—and afterwards both sides remembered it very differently. Aehrenthal assumed he had full Russian approval for his scheme, but he not give out planned dates. Izvolsky assumed he would be informed before any actual move happened. Aehrenthal vaguely informed all the major countries but gave no details. The world was astonished on October 6, 1908, when a press release in Vienna announced that Bosnia was fully annexed. Inside Austria there was general approval except in Czech areas—that minority strongly felt its demands had been deliberately ignored. Aehrenthal had expected wide European approval and instead he faced a hostile volcanic eruption from every direction. Izvolsky vehemently denounced the treachery demanded an international conference on Bosnia. After decades of low level activity, pan-Slavic forces inside Russia suddenly mobilized in opposition. Mass demonstrations broke out across the continent. Rome took advantage of the situation by reversing its friendship with Vienna. Berlin officials were surprised and appalled. The British were especially angry, denouncing the violation of an international agreement signed by both Austria and Britain. France denounced the scheme. Turkey was surprised by the unexpected development, but it was quieted by the cash payment. By far the angriest reaction came from Serbia, which called for revenge, and began setting up secret guerrilla bands, plotting insurrection in Bosnia. All across Europe the chief blame was placed on Berlin, not Vienna. Europeans feared the powerful German army and took the episode as proof of its expansionist intentions. Berlin now realized it stood alone, with Austria its only friend. It therefore decided it would firmly support Austria despite doubts about the wisdom of annexing Bosnia, Berlin explicitly warned St Petersburg that continued demands for an international conference constituted a hostile action that increase the risk of war with Germany. Russia backed down. Thanks to the German intervention, Austria scored a complete short-term diplomatic success in taking control of Bosnia. in the long run however, Germany and Austria both made many too enemies, as the battle lines of World War I started to harden. Aehrenthal had started with the assumption that the Slavic minorities could never come together, and the Balkan League Would never accomplish any damage to Austria. He turned down an Ottoman proposal for an alliance that would include Austria, Turkey and Romania. However his policies alienated the Bulgarians, who turned instead to Russia and Serbia. Although Austria had no intention to embark on additional expansion to the south, Aehrenthal encouraged speculation to that effect, expecting it would paralyze the Balkan states. Instead, it incited them to feverish activity to create a defensive block to stop Austria. A series of grave miscalculations at the highest level thus significantly strengthened Austria's enemies. 1914: Coming of World War Sarajevo assassination On 28 June 1914, Archduke Franz Ferdinand visited the Bosnian capital, Sarajevo. A group of six assassins (Cvjetko Popović, Gavrilo Princip, Muhamed Mehmedbašić, Nedeljko Čabrinović, Trifko Grabež, Vaso Čubrilović) from the nationalist group Mlada Bosna, supplied by the Black Hand, had gathered on the street where the Archduke's motorcade would pass. Čabrinović threw a grenade at the car, but missed. It injured some people nearby, and Franz Ferdinand's convoy could carry on. The other assassins failed to act as the cars drove past them quickly. About an hour later, when Franz Ferdinand was returning from a visit at the Sarajevo Hospital, the convoy took a wrong turn into a street where Gavrilo Princip by coincidence stood. With a pistol, Princip shot and killed Franz Ferdinand and his wife Sophie. The reaction among the Austrian people was mild, almost indifferent. As historian Z. A. B. Zeman later wrote, "the event almost failed to make any impression whatsoever. On Sunday and Monday [June 28 and 29], the crowds in Vienna listened to music and drank wine, as if nothing had happened." Escalation of violence in Bosnia The assassination excessively intensified the existing traditional religion-based ethnic hostilities in Bosnia. However, in Sarajevo itself, Austrian authorities encouraged violence against the Serb residents, which resulted in the Anti-Serb riots of Sarajevo, in which Catholic Croats and Bosnian Muslims killed two and damaged numerous Serb-owned buildings. Writer Ivo Andrić referred to the violence as the "Sarajevo frenzy of hate." Violent actions against ethnic Serbs were organized not only in Sarajevo but also in many other larger Austro-Hungarian cities in modern-day Croatia and Bosnia and Herzegovina. Austro-Hungarian authorities in Bosnia and Herzegovina imprisoned and extradited approximately 5,500 prominent Serbs, 700 to 2,200 of whom died in prison. 460 Serbs were sentenced to death and a predominantly Muslim special militia known as the Schutzkorps was established and carried out the persecution of Serbs. Decision for war While the empire's military spending had not even doubled since the 1878 Congress of Berlin, Germany's spending had risen fivefold, and the British, Russian, and French expenditures threefold. The empire had lost ethnic Italian areas to Piedmont because of nationalist movements that had swept through Italy, and many Austro-Hungarians perceived as imminent the threat of losing to Serbia the southern territories inhabited by Slavs. Serbia had recently gained considerable territory in the Second Balkan War of 1913, causing much distress in government circles in Vienna and Budapest. Former ambassador and foreign minister Count Alois Aehrenthal had assumed that any future war would be in the Balkan region. Hungarian prime minister and political scientist István Tisza opposed the expansion of the monarchy in the Balkans (see Bosnian crisis in 1908) because "the Dual Monarchy already had too many Slavs", which would further threaten the integrity of the Dual Monarchy. In March 1914, Tisza wrote a memorandum to Emperor Franz Joseph with a strongly apocalyptic, predictive and embittered tone. He used the hitherto unknown word "Weltkrieg" (meaning World War). "It is my firm conviction that Germany's two neighbors [Russia and France] are carefully proceeding with military preparations, but will not start the war so long as they have not attained a grouping of the Balkan states against us that confronts the monarchy with an attack from three sides and pins down the majority of our forces on our eastern and southern front." On the day of the assassination of Archduke Franz Ferdinand, Tisza immediately traveled to Vienna where he met Minister of Foreign Affairs Count Leopold Berchtold and Army Commander Count Franz Conrad von Hötzendorf. They proposed to solve the dispute with arms, attacking Serbia. Tisza proposed to give the government of Serbia time to take a stand as to whether it was involved in the organisation of the murder and proposed a peaceful resolution, arguing that the international situation would settle soon. Returning to Budapest, he wrote to Emperor Franz Joseph saying he would not take any responsibility for the armed conflict because there was no proof that Serbia had plotted the assassination. Tisza opposed a war with Serbia, stating (correctly, as it turned out) that any war with the Serbs was bound to trigger a war with Russia and hence a general European war. He did not trust in the Italian alliance, due to the political aftermath of the Second Italian War of Independence. He thought that even a successful Austro-Hungarian war would be disastrous for the integrity of Kingdom of Hungary, where Hungary would be the next victim of Austrian politics. After a successful war against Serbia, Tisza foresaw a possible Austrian military attack against the Kingdom of Hungary, where the Austrians want to break up the territory of Hungary. Some members of the government, such as Count Franz Conrad von Hötzendorf, had wanted to confront the resurgent Serbian nation for some years in a preventive war, but the Emperor, 84 years old and an enemy of all adventures, disapproved. The foreign ministry of Austro-Hungarian Empire sent ambassador László Szőgyény to Potsdam, where he inquired about the standpoint of the German Emperor on 5 July. Szőgyény described what happened in a secret report to Vienna later that day: But now the leaders of Austria–Hungary, especially General Count Leopold von Berchtold, backed by its ally Germany, decided to confront Serbia militarily before it could incite a revolt; using the assassination as an excuse, they presented a list of ten demands called the July Ultimatum, expecting Serbia would never accept. When Serbia accepted nine of the ten demands but only partially accepted the remaining one, Austria–Hungary declared war. Franz Joseph I finally followed the urgent counsel of his top advisers. Over the course of July and August 1914, these events caused the start of World War I, as Russia mobilized in support of Serbia, setting off a series of counter-mobilizations. In support of his German ally, on Thursday, 6 August 1914, Emperor Franz Joseph signed the declaration of war on Russia. Italy initially remained neutral, although it had an alliance with Austria–Hungary. In 1915, it switched to the side of the Entente powers, hoping to gain territory from its former ally. World War I Wartime foreign policy The Austro-Hungarian Empire played a relatively passive diplomatic role in the war, as it was increasingly dominated and controlled by Germany. The only goal was to punish Serbia and try to stop the ethnic breakup of the Empire, and it completely failed. Instead as the war went on the ethnic unity declined; the Allies encouraged breakaway demands from minorities and the Empire faced disintegration. Starting in late 1916 the new Emperor Karl removed the pro-German officials and opened peace overtures to the Allies, whereby the entire war could be ended by compromise, or perhaps Austria would make a separate peace from Germany. The main effort was vetoed by Italy, which had been promised large slices of Austria for joining the Allies in 1915. Austria was only willing to turn over the Trentino region but nothing more. Karl was seen as a defeatist, which weakened his standing at home and with both the Allies and Germany. As the Imperial economy collapsed into severe hardship and even starvation, its multi-ethnic army lost its morale and was increasingly hard-pressed to hold its line. In the capital cities of Vienna and Budapest, the leftist and liberal movements and opposition parties strengthened and supported the separatism of ethnic minorities. As it became apparent that the Allies would win the war, nationalist movements, which had previously been calling for a greater degree of autonomy for their majority areas, started demanding full independence. The Emperor had lost much of his power to rule, as his realm disintegrated. Homefront The heavily rural Empire did have a small industrial base, but its major contribution was manpower and food. Nevertheless, Austria–Hungary was more urbanized (25%) than its actual opponents in the First World War, like the Russian Empire (13.4%), Serbia (13.2%) or Romania (18.8%). Furthermore, the Austro-Hungarian Empire had also more industrialized economy and higher GDP per capita than the Kingdom of Italy, which was economically the far most developed actual opponent of the Empire. On the home front, food grew scarcer and scarcer, as did heating fuel. Hungary, with its heavy agricultural base, was somewhat better fed. The Army conquered productive agricultural areas in Romania and elsewhere, but refused to allow food shipments to civilians back home. Morale fell every year, and the diverse nationalities gave up on the Empire and looked for ways to establish their own nation states. Inflation soared, from an index of 129 in 1914 to 1589 in 1918, wiping out the cash savings of the middle-class. In terms of war damage to the economy, the war used up about 20 percent of the GDP. The dead soldiers amounted to about four percent of the 1914 labor force, and the wounded ones to another six percent. Compared all the major countries in the war, the death and casualty rate was toward the high-end regarding the present-day territory of Austra. By summer 1918, "Green Cadres" of army deserters formed armed bands in the hills of Croatia-Slavonia and civil authority disintegrated. By late October violence and massive looting erupted and there were efforts to form peasant republics. However, the Croatian political leadership was focused on creating a new state (Yugoslavia) and worked with the advancing Serbian army to impose control and end the uprisings. Military events The Austro-Hungarian Empire conscripted 7.8 million soldiers during the WW1. General von Hötzendorf was the Chief of the Austro-Hungarian General Staff. Franz Joseph I, who was much too old to command the army, appointed Archduke Friedrich von Österreich-Teschen as Supreme Army Commander (Armeeoberkommandant), but asked him to give Von Hötzendorf freedom to take any decisions. Von Hötzendorf remained in effective command of the military forces until Emperor Karl I took the supreme command himself in late 1916 and dismissed Conrad von Hötzendorf in 1917. Meanwhile, economic conditions on the homefront deteriorated rapidly. The Empire depended on agriculture, and agriculture depended on the heavy labor of millions of men who were now in the Army. Food production fell, the transportation system became overcrowded, and industrial production could not successfully handle the overwhelming need for munitions. Germany provided a great deal of help, but it was not enough. Furthermore, the political instability of the multiple ethnic groups of Empire now ripped apart any hope for national consensus in support of the war. Increasingly there was a demand for breaking up the Empire and setting up autonomous national states based on historic language-based cultures. The new Emperor sought peace terms from the Allies, but his initiatives were vetoed by Italy. Serbian front 1914–1916 At the start of the war, the army was divided into two: the smaller part attacked Serbia while the larger part fought against the formidable Imperial Russian Army. The invasion of Serbia in 1914 was a disaster: by the end of the year, the Austro-Hungarian Army had taken no territory, but had lost 227,000 out of a total force of 450,000 men. However, in the autumn of 1915, the Serbian Army was defeated by the Central Powers, which led to the occupation of Serbia. Near the end of 1915, in a massive rescue operation involving more than 1,000 trips made by Italian, French and British steamers, 260,000 Serb surviving soldiers were transported to Brindisi and Corfu, where they waited for the chance of the victory of Allied Powers to reclaim their country. Corfu hosted the Serbian government in exile after the collapse of Serbia and served as a supply base to the Greek front. In April 1916 a large number of Serbian troops were transported in British and French naval vessels from Corfu to mainland Greece. The contingent numbering over 120,000 relieved a much smaller army at the Macedonian front and fought alongside British and French troops. Russian front 1914–1917 On the Eastern front, the war started out equally poorly. The Austro-Hungarian Army was defeated at the Battle of Lemberg and the great fortress city of Przemyśl was besieged and fell in March 1915. The Gorlice–Tarnów Offensive started as a minor German offensive to relieve the pressure of the Russian numerical superiority on the Austro-Hungarians, but the cooperation of the Central Powers resulted in huge Russian losses and the total collapse of the Russian lines and their long retreat into Russia. The Russian Third Army perished. In summer 1915, the Austro-Hungarian Army, under a unified command with the Germans, participated in the successful Gorlice–Tarnów Offensive. From June 1916, the Russians focused their attacks on the Austro-Hungarian army in the Brusilov Offensive, recognizing the numerical inferiority of the Austro-Hungarian army. By the end of September 1916, Austria–Hungary mobilized and concentrated new divisions, and the successful Russian advance was halted and slowly repelled; but the Austrian armies took heavy losses (about 1 million men) and never recovered. The Battle of Zborov (1917) was the first significant action of the Czechoslovak Legions, who fought for the independence of Czechoslovakia against the Austro-Hungarian army. However the huge losses in men and material inflicted on the Russians during the offensive contributed greatly to the revolutions of 1917, and it caused an economic crash in the Russian Empire. Italian front 1915–1918 In May 1915, Italy attacked Austria–Hungary. Italy was the only military opponent of Austria–Hungary which had a similar degree of industrialization and economic level; moreover, her army was numerous (≈1,000,000 men were immediately fielded), but suffered from poor leadership, training and organization. Chief of Staff Luigi Cadorna marched his army towards the Isonzo river, hoping to seize Ljubljana, and to eventually threaten Vienna. However, the Royal Italian Army were halted on the river, where four battles took place over five months (23 June – 2 December 1915). The fight was extremely bloody and exhausting for both the contenders. On 15 May 1916, the Austrian Chief of Staff Conrad von Hötzendorf launched the Strafexpedition ("punitive expedition"): the Austrians broke through the opposing front and occupied the Asiago plateau. The Italians managed to resist and in a counteroffensive seized Gorizia on 9 August. Nonetheless, they had to stop on the Carso, a few kilometres away from the border. At this point, several months of indecisive trench warfare ensued (analogous to the Western front). As the Russian Empire collapsed as a result of the Bolshevik Revolution and Russians ended their involvement in the war, Germans and Austrians were able to move on the Western and Southern fronts much manpower from the erstwhile Eastern fighting. On 24 October 1917, Austrians (now enjoying decisive German support) attacked at Caporetto using new infiltration tactics; although they advanced more than in the direction of Venice and gained considerable supplies, they were halted and could not cross the Piave river. Italy, although suffering massive casualties, recovered from the blow, and a coalition government under Vittorio Emanuele Orlando was formed. Italy also enjoyed support by the Entente powers: by 1918, large amounts of war materials and a few auxiliary American, British, and French divisions arrived in the Italian battle zone. Cadorna was replaced by General Armando Diaz; under his command, the Italians retook the initiative and won the decisive Battle of the Piave river (15–23 June 1918), in which some 60,000 Austrian and 43,000 Italian soldiers were killed. The multiethnic Austro-Hungarian Empire started to disintegrate, leaving its army alone on the battlefields. The final battle was at Vittorio Veneto; after 4 days of stiff resistance, Italian troops crossed the Piave River, and after losing 90,000 men the defeated Austrian troops retreated in disarray pursued by the Italians. The Italians captured 448,000 Austrian-Hungarian soldiers (about one-third of the imperial-royal army), 24 of whom were generals, 5,600 cannons and mortars, and 4,000 machine guns. The military breakdown also marked the start of the rebellion for the numerous ethnicities who made up the multiethnic Empire, as they refused to keep on fighting for a cause that now appeared senseless. These events marked the end of Austria–Hungary, which collapsed on 31 October 1918. The armistice was signed at Villa Giusti on 3 November. Romanian front 1916–1917 On 27 August 1916, Romania declared war against Austria–Hungary. The Romanian Army crossed the borders of Eastern Hungary (Transylvania), and despite initial successes, by November 1916, the Central Powers formed by the Austro-Hungarian, German, Bulgarian, and Ottoman armies, had defeated the Romanian and Russian armies of the Entente Powers, and occupied the southern part of Romania (including Oltenia, Muntenia and Dobruja). Within 3 months of the war, the Central Powers came near Bucharest, the Romanian capital city. On 6 December, the Central Powers captured Bucharest, and part of the population moved to the unoccupied Romanian territory, in Moldavia, together with the Romanian government, royal court and public authorities, which relocated to Iași. In 1917, after several defensive victories (managing to stop the German-Austro-Hungarian advance), with Russia's withdrawal from the war following the October Revolution, Romania was forced to drop out of the war. Whereas the German army realized it needed close cooperation from the homefront, Habsburg officers saw themselves as entirely separate from the civilian world, and superior to it. When they occupied productive areas, such as southern Romania, they seized food stocks and other supplies for their own purposes and blocked any shipments intended for civilians back in the Austro-Hungarian Empire. The result was that the officers lived well, as the civilians began to starve. Vienna even transferred training units to Serbia and Poland for the sole purpose of feeding them. In all, the Army obtained about 15 percent of its cereal needs from occupied territories. Role of Hungary Although the Kingdom of Hungary composed only 42% of the population of Austria–Hungary, the thin majority – more than 3.8 million soldiers – of the Austro-Hungarian armed forces were conscripted from the Kingdom of Hungary during the First World War. Roughly 600,000 soldiers were killed in action, and 700,000 soldiers were wounded in the war. Austria–Hungary held on for years, as the Hungarian half provided sufficient supplies for the military to continue to wage war. This was shown in a transition of power after which the Hungarian prime minister, Count István Tisza, and foreign minister, Count István Burián, had decisive influence over the internal and external affairs of the monarchy. By late 1916, food supply from Hungary became intermittent and the government sought an armistice with the Entente powers. However, this failed as Britain and France no longer had any regard for the integrity of the monarchy because of Austro-Hungarian support for Germany. Analysis of defeat The setbacks that the Austrian army suffered in 1914 and 1915 can be attributed to a large extent by the incompetence of the Austrian high command. After attacking Serbia, its forces soon had to be withdrawn to protect its eastern frontier against Russia's invasion, while German units were engaged in fighting on the Western Front. This resulted in a greater than expected loss of men in the invasion of Serbia. Furthermore, it became evident that the Austrian high command had had no plans for possible continental war and that the army and navy were also ill-equipped to handle such a conflict. From 1916, the Austro-Hungarian war effort became more and more subordinated to the direction of German planners. The Austrians viewed the German army favorably, on the other hand by 1916 the general belief in Germany was that Germany, in its alliance with Austria–Hungary, was "shackled to a corpse". The operational capability of the Austro-Hungarian army was seriously affected by supply shortages, low morale and a high casualty rate, and by the army's composition of multiple ethnicities with different languages and customs. The last two successes for the Austrians, the Romanian Offensive and the Caporetto Offensive, were German-assisted operations. As the Dual Monarchy became more politically unstable, it became more and more dependent on German assistance. The majority of its people, other than Hungarians and German Austrians, became increasingly restless. In 1917, the Eastern front of the Entente Powers completely collapsed. The Austro-Hungarian Empire then withdrew from all defeated countries. By 1918, the economic situation had deteriorated. Leftist and pacifist political movements organized strikes in factories, and uprisings in the army had become commonplace. During the Italian battles, the Czechoslovaks and Southern Slavs declared their independence. On 31 October Hungary ended the personal union with Austria, officially dissolving the Monarchy. At the last Italian offensive, the Austro-Hungarian Army took to the field without any food and munition supply and fought without any political supports for a de facto non-existent empire. On the end of the decisive joint Italian, British and French offensive at Vittorio Veneto, the disintegrated Austria–Hungary signed the Armistice of Villa Giusti on 3 November 1918. The government had failed badly on the homefront. Historian Alexander Watson reports: Dissolution The Austro-Hungarian Monarchy collapsed with dramatic speed in the autumn of 1918. In the capital cities of Vienna and Budapest, the leftist and liberal movements and politicians (the opposition parties) strengthened and supported the separatism of ethnic minorities. These leftist or left-liberal pro-Entente maverick parties opposed the monarchy as a form of government and considered themselves internationalist rather than patriotic. Eventually, the German defeat and the minor revolutions in Vienna and Budapest gave political power to the left/liberal political parties. As it became apparent that the Allied powers would win World War I, nationalist movements, which had previously been calling for a greater degree of autonomy for various areas, started pressing for full independence. The Emperor had lost much of his power to rule, as his realm disintegrated. Alexander Watson argues that, "The Habsburg regime's doom was sealed when Wilson's response to the note, sent two and a half weeks earlier, arrived on 20 October." Wilson rejected the continuation of the dual monarchy as a negotiable possibility. As one of his Fourteen Points, President Woodrow Wilson demanded that the nationalities of Austria–Hungary have the "freest opportunity to autonomous development". In response, Emperor Karl I agreed to reconvene the Imperial Parliament in 1917 and allow the creation of a confederation with each national group exercising self-governance. However, the leaders of these national groups rejected the idea; they deeply distrusted Vienna and were now determined to get independence. On 14 October 1918, Foreign Minister Baron István Burián von Rajecz asked for an armistice based on the Fourteen Points. In an apparent attempt to demonstrate good faith, Emperor Karl issued a proclamation ("Imperial Manifesto of 16 October 1918") two days later which would have significantly altered the structure of the Austrian half of the monarchy. The Polish majority regions of Galicia and Lodomeria were to be granted the option of seceding from the empire, and it was understood that they would join their ethnic brethren in Russia and Germany in resurrecting a Polish state. The rest of Cisleithania was transformed into a federal union composed of four parts—German, Czech, South Slav and Ukrainian. Each of these was to be governed by a national council that would negotiate the future of the empire with Vienna. Trieste was to receive a special status. No such proclamation could be issued in Hungary, where Hungarian aristocrats still believed they could subdue other nationalities and maintain the "Holy Kingdom of St. Stephen". It was a dead letter. Four days later, on 18 October, United States Secretary of State Robert Lansing replied that the Allies were now committed to the causes of the Czechs, Slovaks and South Slavs. Therefore, Lansing said, autonomy for the nationalities – the tenth of the Fourteen Points – was no longer enough and Washington could not deal on the basis of the Fourteen Points anymore. In fact, a Czechoslovak provisional government had joined the Allies on 14 October. The South Slavs in both halves of the monarchy had already declared in favor of uniting with Serbia in a large South Slav state by way of the 1917 Corfu Declaration signed by members of the Yugoslav Committee. Indeed, the Croatians had begun disregarding orders from Budapest earlier in October. The Lansing note was, in effect, the death certificate of Austria–Hungary. The national councils had already begun acting more or less as provisional governments of independent countries. With defeat in the war imminent after the Italian offensive in the Battle of Vittorio Veneto on 24 October, Czech politicians peacefully took over command in Prague on 28 October (later declared the birthday of Czechoslovakia) and followed up in other major cities in the next few days. On 30 October, the Slovaks followed in Martin. On 29 October, the Slavs in both portions of what remained of Austria–Hungary proclaimed the State of Slovenes, Croats and Serbs. They also declared that their ultimate intention was to unite with Serbia and Montenegro in a large South Slav state. On the same day, the Czechs and Slovaks formally proclaimed the establishment of Czechoslovakia as an independent state. In Hungary, the most prominent opponent of continued union with Austria, Count Mihály Károlyi, seized power in the Aster Revolution on 31 October. Charles was all but forced to appoint Károlyi as his Hungarian prime minister. One of Károlyi's first acts was to cancel the compromise agreement, officially dissolving the Austro-Hungarian state. By the end of October, there was nothing left of the Habsburg realm but its majority-German Danubian and Alpine provinces, and Karl's authority was being challenged even there by the German-Austrian state council. Karl's last Austrian prime minister, Heinrich Lammasch, concluded that Karl was in an impossible situation, and persuaded Karl that the best course was to relinquish, at least temporarily, his right to exercise sovereign authority. Consequences On 11 November, Karl issued a carefully worded proclamation in which he recognized the Austrian people's right to determine the form of the state and relinquished his right to take part in Austrian state affairs. He also dismissed Lammasch and his government from office and released the officials in the Austrian half of the empire from their oath of loyalty to him. Two days later, he issued a similar proclamation for Hungary. However, he did not abdicate, remaining available in the event the people of either state should recall him. For all intents and purposes, this was the end of the Habsburg rule. Since my ascent to the throne, I have been constantly trying to lead my people out of the horrors of war, which I am not responsible for. I have not hesitated to restore constitutional life and have opened the way for peoples to develop their own state independently. Still filled with unchangeable love for all My peoples, I do not want to oppose the free development of My Person as an obstacle. I recognize in advance the decision that German Austria will make regarding its future form of government. The people took over the government through their representatives. I waive any share in state affairs. At the same time, I am releasing My Austrian Government from office. May the people of German Austria create and consolidate the reorganization in harmony and forgiveness. The happiness of my peoples has been the goal of my most fervent wishes from the beginning. Only inner peace can heal the wounds of this war. Seit meiner thronbesteigung war ich unablässig bemüht, Meine Volker aus den Schrecknissen des Krieges herauszuführen, an dessen Ausbruch ich keinerlei Schuld trage. Ich habe nicht gezögert, das verfassungsmaßige Leben wieder herzustellen und haben den Völkern den Weg zu ihrer selbständingen staatlichen Entwicklung eröffnet. Nach wie vor von unwandelbarer Liebe für alle Meine Völker erfüllt, will ich ihrer freien Entfaltung Meine Person nicht als Hindernis entgegenstellen. Im voraus erkenne ich die Entscheidung an, die Deutschösterreich über seine künftige Staatsform trifft. Das Volk hat durch seine Vertreter die Regierung übernommen. Ich verzichte auf jeden Anteil an den Staatsgeschäften. Gleichzeitig enthebe ich Meine österreichische Regierung ihres Amtes. Möge das Volk von Deutschösterreich in Eintracht und Versöhnlichkeit die Neuordnung schaffen und befestigen. Das Glück Meiner Völker war von Anbeginn das Ziel Meiner heißesten Wünsche. Nur der innere Friede kann die Wunden dieses Krieges heilen. Karl's refusal to abdicate was ultimately irrelevant. On the day after he announced his withdrawal from Austria's politics, the German-Austrian National Council proclaimed the Republic of German Austria. Károlyi followed suit on 16 November, proclaiming the Hungarian Democratic Republic. The Treaty of Saint-Germain-en-Laye (between the victors of World War I and Austria) and the Treaty of Trianon (between the victors and Hungary) regulated the new borders of Austria and Hungary, leaving both as small landlocked states. The Allies assumed without question that the minority nationalities wanted to leave Austria and Hungary, and also allowed them to annex significant blocks of German- and Hungarian-speaking territory. As a result, the Republic of Austria lost roughly 60% of the old Austrian Empire's territory. It also had to drop its plans for union with Germany, as it was not allowed to unite with Germany without League approval. The restored Kingdom of Hungary, which had replaced the republican government in 1920, lost roughly 72% of the pre-war territory of the Kingdom of Hungary. The decisions of the nations of the former Austria–Hungary and of the victors of the Great War, contained in the heavily one-sided treaties, had devastating political and economic effects. The previously rapid economic growth of the Dual Monarchy ground to a halt because the new borders became major economic barriers. All the formerly well-established industries, as well as the infrastructure supporting them, were designed to satisfy the needs of an extensive realm. As a result, the emerging countries were forced to make considerable sacrifices to transform their economies. The treaties created major political unease. As a result of these economic difficulties, extremist movements gained strength; and there was no regional superpower in central Europe. The new Austrian state was, at least on paper, on shakier ground than Hungary. Unlike its former Hungarian partner, Austria had never been a nation in any real sense. While the Austrian state had existed in one form or another for 700 years, it was united only by loyalty to the Habsburgs. With the loss of 60% of the Austrian Empire's prewar territory, Vienna was now an imperial capital without an empire to support it. However, after a brief period of upheaval and the Allies' foreclosure of union with Germany, Austria established itself as a federal republic. Despite the temporary Anschluss with Nazi Germany, it still survives today. Adolf Hitler cited that all "Germans" – such as him and the others from Austria, etc. – should be united with Germany. By comparison, Hungary had been a nation and a state for over 900 years. Hungary, however, was severely disrupted by the loss of 72% of its territory, 64% of its population and most of its natural resources. The Hungarian Democratic Republic was short-lived and was temporarily replaced by the communist Hungarian Soviet Republic. Romanian troops ousted Béla Kun and his communist government during the Hungarian–Romanian War of 1919. In the summer of 1919, a Habsburg, Archduke Joseph August, became regent, but was forced to stand down after only two weeks when it became apparent the Allies would not recognise him. Finally, in March 1920, royal powers were entrusted to a regent, Miklós Horthy, who had been the last commanding admiral of the Austro-Hungarian Navy and had helped organize the counter-revolutionary forces. It was this government that signed the Treaty of Trianon under protest on 4 June 1920
3,000 in post offices and further 2,400 were installed in the railway stations of the Kingdom of Hungary. Telephone The first telephone exchange was opened in Zagreb (8 January 1881), the second was in Budapest (1 May 1881), and the third was opened in Vienna (3 June 1881). Initially telephony was available in the homes of individual subscribers, companies and offices. Public telephone stations appeared in the 1890s, and they quickly became widespread in post offices and railway stations. Austria–Hungary had 568 million telephone calls in 1913; only two Western European countries had more phone calls: the German Empire and the United Kingdom. The Austro-Hungarian Empire was followed by France with 396 million telephone calls and Italy with 230 million phone calls. In 1916, there were 366 million telephone calls in Cisleithania, among them 8.4 million long distant calls. All telephone exchanges of the cities, towns and larger villages in Transleithania were linked until 1893. By 1914, more than 2000 settlements had telephone exchange in Kingdom of Hungary. Electronic Audio Broadcasting The Telefon Hírmondó (Telephone Herald) news and entertainment service was introduced in Budapest in 1893. Two decades before the introduction of radio broadcasting, people could listen to political, economic and sports news, cabaret, music and opera in Budapest daily. It operated over a special type of telephone exchange system. Transport Railways By 1913, the combined length of the railway tracks of the Austrian Empire and Kingdom of Hungary reached . In Western Europe only Germany had more extended railway network (); the Austro-Hungarian Empire was followed by France (), the United Kingdom (), Italy () and Spain (). Railway network of the Austrian Empire Rail transport expanded rapidly in the Austro-Hungarian Empire. Its predecessor state, the Habsburg Empire, had built a substantial core of railways in the west, originating from Vienna, by 1841. Austria's first steam railway from Vienna to Moravia with its terminus in Galicia (Bochnie) was opened in 1839. The first train travelled from Vienna to Lundenburg (Břeclav) on 6 June 1839 and one month later between the imperial capital in Vienna and the capital of Moravia Brünn (Brno) on 7 July. At that point, the government realized the military possibilities of rail and began to invest heavily in construction. Pozsony (Bratislava), Budapest, Prague, Kraków, Graz, Laibach (Ljubljana) and Venedig (Venice) became linked to the main network. By 1854, the empire had almost of track, about 60–70% of it in state hands. The government then began to sell off large portions of track to private investors to recoup some of its investments and because of the financial strains of the 1848 Revolution and of the Crimean War. From 1854 to 1879, private interests conducted almost all rail construction. What would become Cisleithania gained of track, and Hungary built of track. During this time, many new areas joined the railway system and the existing rail networks gained connections and interconnections. This period marked the beginning of widespread rail transportation in Austria–Hungary, and also the integration of transportation systems in the area. Railways allowed the empire to integrate its economy far more than previously possible, when transportation depended on rivers. After 1879, the Austrian and the Hungarian governments slowly began to renationalize their rail networks, largely because of the sluggish pace of development during the worldwide depression of the 1870s. Between 1879 and 1900, more than of railways were built in Cisleithania and Hungary. Most of this constituted "filling in" of the existing network, although some areas, primarily in the far east, gained rail connections for the first time. The railway reduced transportation costs throughout the empire, opening new markets for products from other lands of the Dual Monarchy. In 1914, of a total of of railway tracks in Austria, (82%) were state-owned. Railway network in the Kingdom of Hungary The first Hungarian steam locomotive railway line was opened on 15 July 1846 between Pest and Vác. In 1890 most large Hungarian private railway companies were nationalized as a consequence of the poor management of private companies, except the strong Austrian-owned Kaschau-Oderberg Railway (KsOd) and the Austrian-Hungarian Southern Railway (SB/DV). They also joined the zone tariff system of the MÁV (Hungarian State Railways). By 1910, the total length of the rail networks of Hungarian Kingdom reached , the Hungarian network linked more than 1,490 settlements. Nearly half (52%) of the empire's railways were built in Hungary, thus the railroad density there became higher than that of Cisleithania. This has ranked Hungarian railways the 6th most dense in the world (ahead of Germany and France). Electrified commuter railways: A set of four electric commuter rai lines were built in Budapest, the BHÉV: Ráckeve line (1887), Szentendre line (1888), Gödöllő line (1888), Csepel line (1912) Metropolitan transit systems Tramway lines in the cities Horse-drawn tramways appeared in the first half of the 19th century. Between the 1850s and 1880s many were built : Vienna (1865), Budapest (1866), Brno (1869), Trieste (1876). Steam trams appeared in the late 1860s. The electrification of tramways started in the late 1880s. The first electrified tramway in Austria–Hungary was built in Budapest in 1887. Electric tramway lines in the Austrian Empire: Austria: Gmunden (1894); Linz, Vienna (1897); Graz (1898); Trieste (1900); Ljubljana (1901); Innsbruck (1905); Unterlach, Ybbs an der Donau (1907); Salzburg (1909); Klagenfurt, Sankt Pölten (1911); Piran (1912) Austrian Littoral: Pula (1904). Bohemia: Prague (1891); Teplice (1895); Liberec (1897); Ústí nad Labem, Plzeň, Olomouc (1899); Moravia, Brno, Jablonec nad Nisou (1900); Ostrava (1901); Mariánské Lázně (1902); Budějovice, České Budějovice, Jihlava (1909) Austrian Silesia: Opava (Troppau) (1905), Cieszyn (Cieszyn) (1911) Dalmatia: Dubrovnik (1910) Galicia: Lviv (1894), Bielsko-Biała (1895); Kraków (1901); Tarnów, Cieszyn (1911) Electric tramway lines in the Kingdom of Hungary: Hungary: Budapest (1887); Pressburg/Pozsony/Bratislava (1895); Szabadka/Subotica (1897), Szombathely (1897), Miskolc (1897); Temesvár/Timișoara (1899); Sopron (1900); Szatmárnémeti/Satu Mare (1900); Nyíregyháza (1905); Nagyszeben/Sibiu (1905); Nagyvárad/Oradea (1906); Szeged (1908); Debrecen (1911); Újvidék/Novi Sad (1911); Kassa/Košice (1913); Pécs (1913) Croatia: Fiume (1899); Pula (1904); Opatija – Lovran (1908); Zagreb (1910); Dubrovnik (1910). Underground The Budapest Metro Line 1 (originally the "Franz Joseph Underground Electric Railway Company") is the second oldest underground railway in the world (the first being the London Underground's Metropolitan Line and the third being Glasgow), and the first on the European mainland. It was built from 1894 to 1896 and opened on 2 May 1896. In 2002, it was listed as a UNESCO World Heritage Site. The M1 line became an IEEE Milestone due to the radically new innovations in its era: "Among the railway’s innovative elements were bidirectional tram cars; electric lighting in the subway stations and tram cars; and an overhead wire structure instead of a third-rail system for power." Canals and river regulations In 1900 the engineer C. Wagenführer drew up plans to link the Danube and the Adriatic Sea by a canal from Vienna to Trieste. It was born from the desire of Austria–Hungary to have a direct link to the Adriatic Sea but was never constructed. Regulation of the lower Danube and the Iron Gates In 1831 a plan had already been drafted to make the passage navigable, at the initiative of the Hungarian politician István Széchenyi. Finally Gábor Baross, Hungary's "Iron Minister", succeeded in financing this project. The riverbed rocks and the associated rapids made the gorge valley an infamous passage for shipping. In German, the passage is still known as the Kataraktenstrecke, even though the cataracts are gone. Near the actual "Iron Gates" strait the Prigrada rock was the most important obstacle until 1896: the river widened considerably here and the water level was consequently low. Upstream, the Greben rock near the "Kazan" gorge was notorious. Regulation of the Tisza River The length of the Tisza in Hungary used to be . It flowed through the Great Hungarian Plain, which is one of the largest flat areas in central Europe. Since plains can cause a river to flow very slowly, the Tisza used to follow a path with many curves and turns, which led to many large floods in the area. After several small-scale attempts, István Széchenyi organised the "regulation of the Tisza" (Hungarian: a Tisza szabályozása) which started on 27 August 1846, and substantially ended in 1880. The new length of the river in Hungary was ( total), with of "dead channels" and of new riverbed. The resultant length of the flood-protected river comprises (out of of all Hungarian protected rivers). Shipping and ports The most important seaport was Trieste (today part of Italy), where the Austrian merchant marine was based. Two major shipping companies (Austrian Lloyd and Austro-Americana) and several shipyards were located there. From 1815 to 1866, Venice had been part of the Habsburg empire. The loss of Venice prompted the development of the Austrian merchant marine. By 1913, the commercial marine of Austria, comprised 16,764 vessels with a tonnage of 471,252, and crews number-ing 45,567. Of the total (1913) 394 of 422,368 tons were steamers, and 16,370 of 48,884 tons were sailing vessels The Austrian Lloyd was one of the biggest ocean shipping companies of the time. Prior to the beginning of World War I, the company owned 65 middle-sized and large steamers. The Austro-Americana owned one third of this number, including the biggest Austrian passenger ship, the SS Kaiser Franz Joseph I. In comparison to the Austrian Lloyd, the Austro-American concentrated on destinations in North and South America. The Austro-Hungarian Navy became much more significant than previously, as industrialization provided sufficient revenues to develop it. The ships of the Austro-Hungarian navy were built in Trieste's shipyards. Pola (Pula, today part of Croatia) was also especially significant for the navy. The most important seaport for the Hungarian part of the monarchy was Fiume (Rijeka, today part of Croatia), where the Hungarian shipping companies, such as the Adria, operated. On the Danube, the DDSG had established the Óbuda Shipyard on the Hungarian Hajógyári Island in 1835. The largest Hungarian shipbuilding company was the Ganz-Danubius. The commercial marine of the Kingdom of Hungary in 1913 comprised 545 vessels of 144,433 tons, and crews numbering 3,217. Of the total number of vessels 134,000 of 142,539 tons were steamers, and 411 of 1,894 tons were sailing vessels. The first Danubian steamer company, Donaudampfschiffahrtsgesellschaft (DDSG), was the largest inland shipping company in the world until the collapse of Austria-Hungary. Military The Austro-Hungarian Army was under the command of Archduke Albrecht, Duke of Teschen (1817–1895), an old-fashioned bureaucrat who opposed modernization. The military system of the Austro-Hungarian monarchy was similar in both states, and rested since 1868 upon the principle of the universal and personal obligation of the citizen to bear arms. Its military force was composed of the common army; the special armies, namely the Austrian Landwehr, and the Hungarian Honved, which were separate national institutions, and the Landsturm or levy-en masse. As stated above, the common army stood under the administration of the joint minister of war, while the special armies were under the administration of the respective ministries of national defence. The yearly contingent of recruits for the army was fixed by the military bills voted on by the Austrian and Hungarian parliaments and was generally determined on the basis of the population, according to the last census returns. It amounted in 1905 to 103,100 men, of which Austria furnished 59,211 men, and Hungary 43,889. Besides 10,000 men were annually allotted to the Austrian Landwehr, and 12,500 to the Hungarian Honved. The term of service was two years (three years in the cavalry) with the colours, seven or eight in the reserve and two in the Landwehr; in the case of men not drafted to the active army the same total period of service was spent in various special reserves. The common minister of war was the head for the administration of all military affairs, except those of the Austrian Landwehr and of the Hungarian Honved, which were committed to the ministries for national defence of the two respective states. But the supreme command of the army was nominally vested in the monarch, who had the power to take all measures regarding the whole army. In practice, the emperor's nephew Archduke Albrecht was his chief military advisor and made the policy decisions. The Austro-Hungarian navy was mainly a coast defence force, and also included a flotilla of monitors for the Danube. It was administered by the naval department of the ministry of war. Foreign policy: 1897–1914 Disputed land: Bosnia and Herzegovina Russian Pan-Slavic organizations sent aid to the Balkan rebels and so pressured the tsar's government to declare war on the Ottoman Empire in 1877 in the name of protecting Orthodox Christians. Unable to mediate between the Ottoman Empire and Russia over the control of Serbia, Austria–Hungary declared neutrality when the conflict between the two powers escalated into a war. With help from Romania and Greece, Russia defeated the Ottomans and with the Treaty of San Stefano tried to create a large pro-Russian Bulgaria. This treaty sparked an international uproar that almost resulted in a general European war. Austria–Hungary and Britain feared that a large Bulgaria would become a Russian satellite that would enable the tsar to dominate the Balkans. British prime minister Benjamin Disraeli moved warships into position against Russia to halt the advance of Russian influence in the eastern Mediterranean so close to Britain's route through the Suez Canal. The Congress of Berlin rolled back the Russian victory by partitioning the large Bulgarian state that Russia had carved out of Ottoman territory and denying any part of Bulgaria full independence from the Ottomans. Austria occupied Bosnia and Herzegovina as a way of gaining power in the Balkans. Serbia, Montenegro and Romania became fully independent. Nonetheless, the Balkans remained a site of political unrest with teeming ambition for independence and great power rivalries. At the Congress of Berlin in 1878 Gyula Andrássy (Minister of Foreign Affairs) managed to force Russia to retreat from further demands in the Balkans. As a result, Greater Bulgaria was broken up and Serbian independence was guaranteed. In that year, with Britain's support, Austria–Hungary stationed troops in Bosnia to prevent the Russians from expanding into nearby Serbia. In another measure to keep the Russians out of the Balkans, Austria–Hungary formed an alliance, the Mediterranean Entente, with Britain and Italy in 1887 and concluded mutual defence pacts with Germany in 1879 and Romania in 1883 against a possible Russian attack. Following the Congress of Berlin the European powers attempted to guarantee stability through a complex series of alliances and treaties. Anxious about Balkan instability and Russian aggression, and to counter French interests in Europe, Austria–Hungary forged a defensive alliance with Germany in October 1879 and in May 1882. In October 1882 Italy joined this partnership in the Triple Alliance largely because of Italy's imperial rivalries with France. Tensions between Russia and Austria–Hungary remained high, so Bismarck replaced the League of the Three Emperors with the Reinsurance Treaty with Russia to keep the Habsburgs from recklessly starting a war over Pan-Slavism. The Sandžak-Raška / Novibazar region was under Austro-Hungarian occupation between 1878 and 1909, when it was returned to the Ottoman Empire, before being ultimately divided between kingdoms of Montenegro and Serbia. On the heels of the Great Balkan Crisis, Austro-Hungarian forces occupied Bosnia and Herzegovina in August 1878 and the monarchy eventually annexed Bosnia and Herzegovina in October 1908 as a common holding of Cisleithania and Transleithania under the control of the Imperial & Royal finance ministry rather than attaching it to either territorial government. The annexation in 1908 led some in Vienna to contemplate combining Bosnia and Herzegovina with Croatia to form a third Slavic component of the monarchy. The deaths of Franz Joseph's brother, Maximilian (1867), and his only son, Rudolf, made the Emperor's nephew, Franz Ferdinand, heir to the throne. The Archduke was rumoured to have been an advocate for this trialism as a means to limit the power of the Hungarian aristocracy. A proclamation issued on the occasion of its annexation to the Habsburg Monarchy in October 1908 promised these lands constitutional institutions, which should secure to their inhabitants full civil rights and a share in the management of their own affairs by means of a local representative assembly. In performance of this promise a constitution was promulgated in 1910. This included a Territorial Statute (Landesstatut) with the setting up of a Territorial Diet, regulations for the election and procedure of the Diet, a law of associations, a law of public meetings, and a law dealing with the district councils. According to this statute Bosnia-Herzegovina formed a single administrative territory under the responsible direction and supervision of the Ministry of Finance of the Dual Monarchy in Vienna. The administration of the country, together with the carrying out of the laws, devolved upon the Territorial Government in Sarajevo, which was subordinate and responsible to the Common Ministry of Finance. The existing judicial and administrative authorities of the Territory retained their previous organization and functions. That statute introduced the modern rights and laws in Bosnia – Herzegovina, and it guaranteed generally the civil rights of the inhabitants of the Territory, namely citizenship, personal liberty, protection by the competent judicial authorities, liberty of creed and conscience, preservation of the national individuality and language, freedom of speech, freedom of learning and education, inviolability of the domicile, secrecy of posts and telegraphs, inviolability of property, the right of petition, and finally the right of holding meetings. The Diet (Sabor) of Bosnia-Herzegovina set up consisted of a single Chamber, elected on the principle of the representation of interests. It numbered 92 members. Of these 20 consisted of representatives of all the religious confessions, the president of the Supreme Court, the president of the Chamber of Advocates, the president of the Chamber of Commerce, and the mayor of Sarajevo. In addition to these were 72 deputies, elected by three curiae or electoral groups. The first curia included the large landowners, the highest taxpayers, and people who had reached a certain standard of education without regard to the amount they paid in taxes. To the second curia belonged inhabitants of the towns not qualified to vote in the first; to the third, country dwellers disqualified in the same way. With this curial system was combined the grouping of the mandates and of the electors according to the three dominant creeds (Catholic, Serbian Orthodox, Muslim). To the adherents of other creeds the right was conceded of voting with one or other of the religious electoral bodies within the curia to which they belonged. Bosnian Crisis of 1908-1909 The principal players in the Bosnian Crisis of 1908-09 were the foreign ministers of Austria and Russia, Alois Lexa von Aehrenthal and Alexander Izvolsky. Both were motivated by political ambition; the first would emerge successful, and the latter would be broken by the crisis. Along the way, they would drag Europe to the brink of war in 1909. They would also divide Europe into the two armed camps that would go to war in July 1914. Under the Treaty of Berlin, The Ottomans controlled the Dardanelles straight connecting the Mediterranean and the Black Sea. The Treaty prohibited the passage of any warships from any country into or out of the Black Sea. This treaty bottled up a major portion of the Russian Fleet, making it useless in the Russo-Japanese War of 1904-1905 when it was urgently needed. Izvolsky wanted this changed to allow the passage of Russian ships through the straits. Aehrenthal wanted full control of Bosnia-Herzogovina.Austria-Hungary had administered the provinces since 1878 but the Ottoman Empire remained the nominal legal owner. Aehrenthal concocted a grand diplomatic deal that proposed major benefits for both sides. Austria would gain full ownership of Bosnia with Russian approval. Turkey would get full control of the territory knoiwn as the Sanjak of Novi Pazar, plus cash. Russia would get the right of passage for its warships through the Straits. Serbia would get zero. Before approaching the Russians, Aehrenthal met with Austrian official and won the approval of Emperor Franz Joseph I. On September 15–16 Aehrenthal and Izvolsky held a secret meeting. No record was kept—and afterwards both sides remembered it very differently. Aehrenthal assumed he had full Russian approval for his scheme, but he not give out planned dates. Izvolsky assumed he would be informed before any actual move happened. Aehrenthal vaguely informed all the major countries but gave no details. The world was astonished on October 6, 1908, when a press release in Vienna announced that Bosnia was fully annexed. Inside Austria there was general approval except in Czech areas—that minority strongly felt its demands had been deliberately ignored. Aehrenthal had expected wide European approval and instead he faced a hostile volcanic eruption from every direction. Izvolsky vehemently denounced the treachery demanded an international conference on Bosnia. After decades of low level activity, pan-Slavic forces inside Russia suddenly mobilized in opposition. Mass demonstrations broke out across the continent. Rome took advantage of the situation by reversing its friendship with Vienna. Berlin officials were surprised and appalled. The British were especially angry, denouncing the violation of an international agreement signed by both Austria and Britain. France denounced the scheme. Turkey was surprised by the unexpected development, but it was quieted by the cash payment. By far the angriest reaction came from Serbia, which called for revenge, and began setting up secret guerrilla bands, plotting insurrection in Bosnia. All across Europe the chief blame was placed on Berlin, not Vienna. Europeans feared the powerful German army and took the episode as proof of its expansionist intentions. Berlin now realized it stood alone, with Austria its only friend. It therefore decided it would firmly support Austria despite doubts about the wisdom of annexing Bosnia, Berlin explicitly warned St Petersburg that continued demands for an international conference constituted a hostile action that increase the risk of war with Germany. Russia backed down. Thanks to the German intervention, Austria scored a complete short-term diplomatic success in taking control of Bosnia. in the long run however, Germany and Austria both made many too enemies, as the battle lines of World War I started to harden. Aehrenthal had started with the assumption that the Slavic minorities could never come together, and the Balkan League Would never accomplish any damage to Austria. He turned down an Ottoman proposal for an alliance that would include Austria, Turkey and Romania. However his policies alienated the Bulgarians, who turned instead to Russia and Serbia. Although Austria had no intention to embark on additional expansion to the south, Aehrenthal encouraged speculation to that effect, expecting it would paralyze the Balkan states. Instead, it incited them to feverish activity to create a defensive block to stop Austria. A series of grave miscalculations at the highest level thus significantly strengthened Austria's enemies. 1914: Coming of World War Sarajevo assassination On 28 June 1914, Archduke Franz Ferdinand visited the Bosnian capital, Sarajevo. A group of six assassins (Cvjetko Popović, Gavrilo Princip, Muhamed Mehmedbašić, Nedeljko Čabrinović, Trifko Grabež, Vaso Čubrilović) from the nationalist group Mlada Bosna, supplied by the Black Hand, had gathered on the street where the Archduke's motorcade would pass. Čabrinović threw a grenade at the car, but missed. It injured some people nearby, and Franz Ferdinand's convoy could carry on. The other assassins failed to act as the cars drove past them quickly. About an hour later, when Franz Ferdinand was returning from a visit at the Sarajevo Hospital, the convoy took a wrong turn into a street where Gavrilo Princip by coincidence stood. With a pistol, Princip shot and killed Franz Ferdinand and his wife Sophie. The reaction among the Austrian people was mild, almost indifferent. As historian Z. A. B. Zeman later wrote, "the event almost failed to make any impression whatsoever. On Sunday and Monday [June 28 and 29], the crowds in Vienna listened to music and drank wine, as if nothing had happened." Escalation of violence in Bosnia The assassination excessively intensified the existing traditional religion-based ethnic hostilities in Bosnia. However, in Sarajevo itself, Austrian authorities encouraged violence against the Serb residents, which resulted in the Anti-Serb riots of Sarajevo, in which Catholic Croats and Bosnian Muslims killed two and damaged numerous Serb-owned buildings. Writer Ivo Andrić referred to the violence as the "Sarajevo frenzy of hate." Violent actions against ethnic Serbs were organized not only in Sarajevo but also in many other larger Austro-Hungarian cities in modern-day Croatia and Bosnia and Herzegovina. Austro-Hungarian authorities in Bosnia and Herzegovina imprisoned and extradited approximately 5,500 prominent Serbs, 700 to 2,200 of whom died in prison. 460 Serbs were sentenced to death and a predominantly Muslim special militia known as the Schutzkorps was established and carried out the persecution of Serbs. Decision for war While the empire's military spending had not even doubled since the 1878 Congress of Berlin, Germany's spending had risen fivefold, and the British, Russian, and French expenditures threefold. The empire had lost ethnic Italian areas to Piedmont because of nationalist movements that had swept through Italy, and many Austro-Hungarians perceived as imminent the threat of losing to Serbia the southern territories inhabited by Slavs. Serbia had recently gained considerable territory in the Second Balkan War of 1913, causing much distress in government circles in Vienna and Budapest. Former ambassador and foreign minister Count Alois Aehrenthal had assumed that any future war would be in the Balkan region. Hungarian prime minister and political scientist István Tisza opposed the expansion of the monarchy in the Balkans (see Bosnian crisis in 1908) because "the Dual Monarchy already had too many Slavs", which would further threaten the integrity of the Dual Monarchy. In March 1914, Tisza wrote a memorandum to Emperor Franz Joseph with a strongly apocalyptic, predictive and embittered tone. He used the hitherto unknown word "Weltkrieg" (meaning World War). "It is my firm conviction that Germany's two neighbors [Russia and France] are carefully proceeding with military preparations, but will not start the war so long as they have not attained a grouping of the Balkan states against us that confronts the monarchy with an attack from three sides and pins down the majority of our forces on our eastern and southern front." On the day of the assassination of Archduke Franz Ferdinand, Tisza immediately traveled to Vienna where he met Minister of Foreign Affairs Count Leopold Berchtold and Army Commander Count Franz Conrad von Hötzendorf. They proposed to solve the dispute with arms, attacking Serbia. Tisza proposed to give the government of Serbia time to take a stand as to whether it was involved in the organisation of the murder and proposed a peaceful resolution, arguing that the international situation would settle soon. Returning to Budapest, he wrote to Emperor Franz Joseph saying he would not take any responsibility for the armed conflict because there was no proof that Serbia had plotted the assassination. Tisza opposed a war with Serbia, stating (correctly, as it turned out) that any war with the Serbs was bound to trigger a war with Russia and hence a general European war. He did not trust in the Italian alliance, due to the political aftermath of the Second Italian War of Independence. He thought that even a successful Austro-Hungarian war would be disastrous for the integrity of Kingdom of Hungary, where Hungary would be the next victim of Austrian politics. After a successful war against Serbia, Tisza foresaw a possible Austrian military attack against the Kingdom of Hungary, where the Austrians want to break up the territory of Hungary. Some members of the government, such as Count Franz Conrad von Hötzendorf, had wanted to confront the resurgent Serbian nation for some years in a preventive war, but the Emperor, 84 years old and an enemy of all adventures, disapproved. The foreign ministry of Austro-Hungarian Empire sent ambassador László Szőgyény to Potsdam, where he inquired about the standpoint of the German Emperor on 5 July. Szőgyény described what happened in a secret report to Vienna later that day: But now the leaders of Austria–Hungary, especially General Count Leopold von Berchtold, backed by its ally Germany, decided to confront Serbia militarily before it could incite a revolt; using the assassination as an excuse, they presented a list of ten demands called the July Ultimatum, expecting Serbia would never accept. When Serbia accepted nine of the ten demands but only partially accepted the remaining one, Austria–Hungary declared war. Franz Joseph I finally followed the urgent counsel of his top advisers. Over the course of July and August 1914, these events caused the start of World War I, as Russia mobilized in support of Serbia, setting off a series of counter-mobilizations. In support of his German ally, on Thursday, 6 August 1914, Emperor Franz Joseph signed the declaration of war on Russia. Italy initially remained neutral, although it had an alliance with Austria–Hungary. In 1915, it switched to the side of the Entente powers, hoping to gain territory from its former ally. World War I Wartime foreign policy The Austro-Hungarian Empire played a relatively passive diplomatic role in the war, as it was increasingly dominated and controlled by Germany. The only goal was to punish Serbia and try to stop the ethnic breakup of the Empire, and it completely failed. Instead as the war went on the ethnic unity declined; the Allies encouraged breakaway demands from minorities and the Empire faced disintegration. Starting in late 1916 the new Emperor Karl removed the pro-German officials and opened peace overtures to the Allies, whereby the entire war could be ended by compromise, or perhaps Austria would make a separate peace from Germany. The main effort was vetoed by Italy, which had been promised large slices of Austria for joining the Allies in 1915. Austria was only willing to turn over the Trentino region but nothing more. Karl was seen as a defeatist, which weakened his standing at home and with both the Allies and Germany. As the Imperial economy collapsed into severe hardship and even starvation, its multi-ethnic army lost its morale and was increasingly hard-pressed to hold its line. In the capital cities of Vienna and Budapest, the leftist and liberal movements and opposition parties strengthened and supported the separatism of ethnic minorities. As it became apparent that the Allies would win the war, nationalist movements, which had previously been calling for a greater degree of autonomy for their majority areas, started demanding full independence. The Emperor had lost much of his power to rule, as his realm disintegrated. Homefront The heavily rural Empire did have a small industrial base, but its major contribution was manpower and food. Nevertheless, Austria–Hungary was more urbanized (25%) than its actual opponents in the First World War, like the Russian Empire (13.4%), Serbia (13.2%) or Romania (18.8%). Furthermore, the Austro-Hungarian Empire had also more industrialized economy and higher GDP per capita than the Kingdom of Italy, which was economically the far most developed actual opponent of the Empire. On the home front, food grew scarcer and scarcer, as did heating fuel. Hungary, with its heavy agricultural base, was somewhat better fed. The Army conquered productive agricultural areas in Romania and elsewhere, but refused to allow food shipments to civilians back home. Morale fell every year, and the diverse nationalities gave up on the Empire and looked for ways to establish their own nation states. Inflation soared, from an index of 129 in 1914 to 1589 in 1918, wiping out the cash savings of the middle-class. In terms of war damage to the economy, the war used up about 20 percent of the GDP. The dead soldiers amounted to about four percent of the 1914 labor force, and the wounded ones to another six percent. Compared all the major countries in the war, the death and casualty rate was toward the high-end regarding the present-day territory of Austra. By summer 1918, "Green Cadres" of army deserters formed armed bands in the hills of Croatia-Slavonia and civil authority disintegrated. By late October violence and massive looting erupted and there were efforts to form peasant republics. However, the Croatian political leadership was focused on creating a new state (Yugoslavia) and worked with the advancing Serbian army to impose control and end the uprisings. Military events The Austro-Hungarian Empire conscripted 7.8 million soldiers during the WW1. General von Hötzendorf was the Chief of the Austro-Hungarian General Staff. Franz Joseph I, who was much too old to command the army, appointed Archduke Friedrich von Österreich-Teschen as Supreme Army Commander (Armeeoberkommandant), but asked him to give Von Hötzendorf freedom to take any decisions. Von Hötzendorf remained in effective command of the military forces until Emperor Karl I took the supreme command himself in late 1916 and dismissed Conrad von Hötzendorf in 1917. Meanwhile, economic conditions on the homefront deteriorated rapidly. The Empire depended on agriculture, and agriculture depended on the heavy labor of millions of men who were now in the Army. Food production fell, the transportation system became overcrowded, and industrial production could not successfully handle the overwhelming need for munitions. Germany provided a great deal of help, but it was not enough. Furthermore, the political instability of the multiple ethnic groups of Empire now ripped apart any hope for national consensus in support of the war. Increasingly there was a demand for breaking up the Empire and setting up autonomous national states based on historic language-based cultures. The new Emperor sought peace terms from the Allies, but his initiatives were vetoed by Italy. Serbian front 1914–1916 At the start of the war, the army was divided into two: the smaller part attacked Serbia while the larger part fought against the formidable Imperial Russian Army. The invasion of Serbia in 1914 was a disaster: by the end of the year, the Austro-Hungarian Army had taken no territory, but had lost 227,000 out of a total force of 450,000 men. However, in the autumn of 1915, the Serbian Army was defeated by the Central Powers, which led to the occupation of Serbia. Near the end of 1915, in a massive rescue operation involving more than 1,000 trips made by Italian, French and British steamers, 260,000 Serb surviving soldiers were transported to Brindisi and Corfu, where they waited for the chance of the victory of Allied Powers to reclaim their country. Corfu hosted the Serbian government in exile after the collapse of Serbia and served as a supply base to the Greek front. In April 1916 a large number of Serbian troops were transported in British and French naval vessels from Corfu to mainland Greece. The contingent numbering over 120,000 relieved a much smaller army at the Macedonian front and fought alongside British and French troops. Russian front 1914–1917 On the Eastern front, the war started out equally poorly. The Austro-Hungarian Army was defeated at the Battle of Lemberg and the great fortress city of Przemyśl was besieged and fell in March 1915. The Gorlice–Tarnów Offensive started as a minor German offensive to relieve the pressure of the Russian numerical superiority on the Austro-Hungarians, but the cooperation of the Central Powers resulted in huge Russian losses and the total collapse of the Russian lines and their long retreat into Russia. The Russian Third Army perished. In summer 1915, the Austro-Hungarian Army, under a unified command with the Germans, participated in the successful Gorlice–Tarnów Offensive. From June 1916, the Russians focused their attacks on the Austro-Hungarian army in the Brusilov Offensive, recognizing the numerical inferiority of the Austro-Hungarian army. By the end of September 1916, Austria–Hungary mobilized and concentrated new divisions, and the successful Russian advance was halted and slowly repelled; but the Austrian armies took heavy losses (about 1 million men) and never recovered. The Battle of Zborov (1917) was the first significant action of the Czechoslovak Legions, who fought for the independence of Czechoslovakia against the Austro-Hungarian army. However the huge losses in men and material inflicted on the Russians during the offensive contributed greatly to the revolutions of 1917, and it caused an economic crash in the Russian Empire. Italian front 1915–1918 In May 1915, Italy attacked Austria–Hungary. Italy was the only military opponent of Austria–Hungary which had a similar degree of industrialization and economic level; moreover, her army was numerous (≈1,000,000 men were immediately fielded), but suffered from poor leadership, training and organization. Chief of Staff Luigi Cadorna marched his army towards the Isonzo river, hoping to seize Ljubljana, and to eventually threaten Vienna. However, the Royal Italian Army were halted on the river, where four battles took place over five months (23 June – 2 December 1915). The fight was extremely bloody and exhausting for both the contenders. On 15 May 1916, the Austrian Chief of Staff Conrad von Hötzendorf launched the Strafexpedition ("punitive expedition"): the Austrians broke through the opposing front and occupied the Asiago plateau. The Italians managed to resist and in a counteroffensive seized Gorizia on 9 August. Nonetheless, they had to stop on the Carso, a few kilometres away from the border. At this point, several months of indecisive trench warfare ensued (analogous to the Western front). As the Russian Empire collapsed as a result of the Bolshevik Revolution and Russians ended their involvement in the war, Germans and Austrians were able to move on the Western and Southern fronts much manpower from the erstwhile Eastern fighting. On 24 October 1917, Austrians (now enjoying decisive German support) attacked at Caporetto using new infiltration tactics; although they advanced more than in the direction of Venice and gained considerable supplies, they were halted and could not cross the Piave river. Italy, although suffering massive casualties, recovered from the blow, and a coalition government under Vittorio Emanuele Orlando was formed. Italy also enjoyed support by the Entente powers: by 1918, large amounts of war materials and a few auxiliary American, British, and French divisions arrived in the Italian battle zone. Cadorna was replaced by General Armando Diaz; under his command, the Italians retook the initiative and won the decisive Battle of the Piave river (15–23 June 1918), in which some 60,000 Austrian and 43,000 Italian soldiers were killed. The multiethnic Austro-Hungarian Empire started to disintegrate, leaving its army alone on the battlefields. The final battle was at Vittorio Veneto; after 4 days of stiff resistance, Italian troops crossed the Piave River, and after losing 90,000 men the defeated Austrian troops retreated in disarray pursued by the Italians. The Italians captured 448,000 Austrian-Hungarian soldiers (about one-third of the imperial-royal army), 24 of whom were generals, 5,600 cannons and mortars, and 4,000 machine guns. The military breakdown also marked the start of the rebellion for the numerous ethnicities who made up the multiethnic Empire, as they refused to keep on fighting for a cause that now appeared senseless. These events marked the end of Austria–Hungary, which collapsed on 31 October 1918. The armistice was signed at Villa Giusti on 3 November. Romanian front 1916–1917 On 27 August 1916, Romania declared war against Austria–Hungary. The Romanian Army crossed the borders of Eastern Hungary (Transylvania), and despite initial successes, by November 1916, the Central Powers formed by the Austro-Hungarian, German, Bulgarian, and Ottoman armies, had defeated the Romanian and Russian armies of the Entente Powers, and occupied the southern part of Romania (including Oltenia, Muntenia and Dobruja). Within 3 months of the war, the Central Powers came near Bucharest, the Romanian capital city. On 6 December, the Central Powers captured Bucharest, and part of the population moved to the unoccupied Romanian territory, in Moldavia, together with the Romanian government, royal court and public authorities, which relocated to Iași. In 1917, after several defensive victories (managing to stop the German-Austro-Hungarian advance), with Russia's withdrawal from the war following the October Revolution, Romania was forced to drop out of the war. Whereas the German army realized it needed close cooperation from the homefront, Habsburg officers saw themselves as entirely separate from the civilian world, and superior to it. When they occupied productive areas, such as southern Romania, they seized food stocks and other supplies for their own purposes and blocked any shipments intended for civilians back in the Austro-Hungarian Empire. The result was that the officers lived well, as the civilians began to starve. Vienna even transferred training units to Serbia and Poland for the sole purpose of feeding them. In all, the Army obtained about 15 percent of its cereal needs from occupied territories. Role of Hungary Although the Kingdom of Hungary composed only 42% of the population of Austria–Hungary, the thin majority – more than 3.8 million soldiers – of the Austro-Hungarian armed forces were conscripted from the Kingdom of Hungary during the First World War. Roughly 600,000 soldiers were killed in action, and 700,000 soldiers were wounded in the war. Austria–Hungary held on for years, as the Hungarian half provided sufficient supplies for the military to continue to wage war. This was shown in a transition of power after which the Hungarian prime minister, Count István Tisza, and foreign minister, Count István Burián, had decisive influence over the internal and external affairs of the monarchy. By late 1916, food supply from Hungary became intermittent and the government sought an armistice with the Entente powers. However, this failed as Britain and France no longer had any regard for the integrity of the monarchy because of Austro-Hungarian support for Germany. Analysis of defeat The setbacks that the Austrian army suffered in 1914 and 1915 can be attributed to a large extent by the incompetence of the Austrian high command. After attacking Serbia, its forces soon had to be withdrawn to protect its eastern frontier against Russia's invasion, while German units were engaged in fighting on the Western Front. This resulted in a greater than expected loss of men in the invasion of Serbia. Furthermore, it became evident that the Austrian high command had had no plans for possible continental war and that the army and navy were also ill-equipped to handle such a conflict. From 1916, the Austro-Hungarian war effort became more and more subordinated to the direction of German planners. The Austrians viewed the German army favorably, on the other hand by 1916 the general belief in Germany was that Germany, in its alliance with Austria–Hungary, was "shackled to a corpse". The operational capability of the Austro-Hungarian army was seriously affected by supply shortages, low morale and a high casualty rate, and by the army's composition of multiple ethnicities with different languages and customs. The last two successes for the Austrians, the Romanian Offensive and the Caporetto Offensive, were German-assisted operations. As the Dual Monarchy became more politically unstable, it became more and more dependent on German assistance. The majority of its people, other than Hungarians and German Austrians, became increasingly restless. In 1917, the Eastern front of the Entente Powers completely collapsed. The Austro-Hungarian Empire then withdrew from all defeated countries. By 1918, the economic situation had deteriorated. Leftist and pacifist political movements organized strikes in factories, and uprisings in the army had become commonplace. During the Italian battles, the Czechoslovaks and Southern Slavs declared their independence. On 31 October Hungary ended the personal union with Austria, officially dissolving the Monarchy. At the last Italian offensive, the Austro-Hungarian Army took to the field without any food and munition supply and fought without any political supports for a de facto non-existent empire. On the end of the decisive joint Italian, British and French offensive at Vittorio Veneto, the disintegrated Austria–Hungary signed the Armistice of Villa Giusti on 3 November 1918. The government had failed badly on the homefront. Historian Alexander Watson reports: Dissolution The Austro-Hungarian Monarchy collapsed with dramatic speed in the autumn of 1918. In the capital cities of Vienna and Budapest, the leftist and liberal movements and politicians (the opposition parties) strengthened and supported the separatism of ethnic minorities. These leftist or left-liberal pro-Entente maverick parties opposed the monarchy as a form of government and considered themselves internationalist rather than patriotic. Eventually, the German defeat and the minor revolutions in Vienna and Budapest gave political power to the left/liberal political parties. As it became apparent that the Allied powers would win World War I, nationalist movements, which had previously been calling for a greater degree of autonomy for various areas, started pressing for full independence. The Emperor had lost much of his power to rule, as his realm disintegrated. Alexander Watson argues that, "The Habsburg regime's doom was sealed when Wilson's response to the note, sent two and a half weeks earlier, arrived on 20 October." Wilson rejected the continuation of the dual monarchy as a negotiable possibility. As one of his Fourteen Points, President Woodrow Wilson demanded that the nationalities of Austria–Hungary have the "freest opportunity to autonomous development". In response, Emperor Karl I agreed to reconvene the Imperial Parliament in 1917 and allow the creation of a confederation with each national group exercising self-governance. However, the leaders of these national groups rejected the idea;
containing the word written in the form of a triangle. The power of the amulet, he claimed, makes lethal diseases go away. Other Roman emperors, including Geta and Severus Alexander, were followers of the medical teachings of Serenus Sammonicus and may have used the incantation as well. It was used as a magical formula by the Gnostics of the sect of Basilides in invoking the aid of beneficent spirits against disease and misfortune. It is found on Abraxas stones, which were worn as amulets. Subsequently, its use spread beyond the Gnostics. The Puritan minister Increase Mather dismissed the word as bereft of power. Daniel Defoe also wrote dismissively about Londoners who posted the word on their doorways to ward off sickness during the Great Plague of London. The religion of Thelema spells the word 'Abrahadabra', and considers it the magical formula of the current Aeon. The religion's founder, Aleister Crowley, explains in his essay Gematria that he discovered the word (and his spelling) by qabalistic methods. The word 'Abrahadabra' also appears repeatedly in the 1904 invocation of Horus that led to the founding of
Alexander, were followers of the medical teachings of Serenus Sammonicus and may have used the incantation as well. It was used as a magical formula by the Gnostics of the sect of Basilides in invoking the aid of beneficent spirits against disease and misfortune. It is found on Abraxas stones, which were worn as amulets. Subsequently, its use spread beyond the Gnostics. The Puritan minister Increase Mather dismissed the word as bereft of power. Daniel Defoe also wrote dismissively about Londoners who posted the word on their doorways to ward off sickness during the Great Plague of London. The religion of Thelema spells the word 'Abrahadabra', and considers it the magical formula of the current Aeon. The religion's founder, Aleister Crowley, explains in his essay Gematria that he discovered the word (and his spelling) by qabalistic methods. The word 'Abrahadabra' also appears repeatedly in the 1904 invocation of Horus that led to the founding of Thelema. (The Equinox I, no. 7. 1912) Abracadabra is now more commonly used as a magic word in the performance of stage magic. The word is one of a limited set of words that can be typed in its entirety using the
the kirk, which he held responsible for the Anglo-Scottish War. The 1652 Tender of Union was followed on 12 April 1654 by An Ordinance by the Protector for the Union of England and Scotland, creating the Commonwealth of England, Scotland and Ireland. It was ratified by the Second Protectorate Parliament on 26 June 1657, creating a single Parliament in Westminster, with 30 representatives each from Scotland and Ireland added to the existing English members. 1660–1707 While integration into the Commonwealth established free trade between Scotland and England, the economic benefits were diminished by the costs of military occupation. Both Scotland and England associated union with heavy taxes and military rule; it had little popular support in either country, and was dissolved after the Restoration of Charles II in 1660. The Scottish economy was badly damaged by the English Navigation Acts of 1660 and 1663 and England's wars with the Dutch Republic, Scotland's major export market. An Anglo-Scots Trade Commission was set up in January 1668 but the English had no interest in making concessions, as the Scots had little to offer in return. In 1669, Charles II revived talks on political union; his motives were to weaken Scotland's commercial and political links with the Dutch, still seen as an enemy and complete the work of his grandfather James I. Continued opposition meant these negotiations were abandoned by the end of 1669. Following the Glorious Revolution of 1688, a Scottish Convention met in Edinburgh in April 1689 to agree a new constitutional settlement; during which the Scottish Bishops backed a proposed union in an attempt to preserve Episcopalian control of the kirk. William and Mary were supportive of the idea but it was opposed both by the Presbyterian majority in Scotland and the English Parliament. Episcopacy in Scotland was abolished in 1690, alienating a significant part of the political class; it was this element that later formed the bedrock of opposition to Union. The 1690s were a time of economic hardship in Europe as a whole and Scotland in particular, a period now known as the Seven ill years which led to strained relations with England. In 1698, the Company of Scotland Trading to Africa and the Indies received a charter to raise capital through public subscription. The Company invested in the Darién scheme, an ambitious plan funded almost entirely by Scottish investors to build a colony on the Isthmus of Panama for trade with East Asia. The scheme was a disaster; the losses of over £150,000 severely impacted the Scottish commercial system. Political motivations The Acts of Union may be seen within a wider European context of increasing state centralisation during the late 17th and early 18th centuries, including the monarchies of France, Sweden, Denmark and Spain. While there were exceptions, such as the Dutch Republic or the Republic of Venice, the trend was clear. The dangers of the monarch using one Parliament against the other first became apparent in 1647 and 1651. It resurfaced during the 1679 to 1681 Exclusion Crisis, caused by English resistance to the Catholic James II (of England, VII of Scotland) succeeding his brother Charles. James was sent to Edinburgh in 1681 as Lord High Commissioner; in August, the Scottish Parliament passed the Succession Act, confirming the divine right of kings, the rights of the natural heir "regardless of religion", the duty of all to swear allegiance to that king, and the independence of the Scottish Crown. It then went beyond ensuring James's succession to the Scottish throne by explicitly stating the aim was to make his exclusion from the English throne impossible without "the fatall and dreadfull consequences of a civil war". The issue reappeared during the 1688 Glorious Revolution. The English Parliament generally supported replacing James with his Protestant daughter Mary, but resisted making her Dutch husband William of Orange joint ruler. They gave way only when he threatened to return to the Netherlands, and Mary refused to rule without him. In Scotland, conflict over control of the kirk between Presbyterians and Episcopalians and William's position as a fellow Calvinist put him in a much stronger position. He originally insisted on retaining Episcopacy, and the Committee of the Articles, an unelected body that controlled what legislation Parliament could debate. Both would have given the Crown far greater control than in England but he withdrew his demands due to the 1689–1692 Jacobite Rising. English perspective The English succession was provided for by the English Act of Settlement 1701, which ensured that the monarch of England would be a Protestant member of the House of Hanover. Until the Union of Parliaments, the Scottish throne might be inherited by a different successor after Queen Anne, who had said in her first speech to the English parliament that a Union was "very necessary". The Scottish Act of Security 1704, however, was passed after the English parliament, without consultation with Scotland, had designated Electoress Sophia of Hanover (granddaughter of James I and VI) as Anne's successor, if Anne died childless. The Act of Security granted the Parliament of Scotland, the three Estates, the right to choose a successor and explicitly required a choice different from the English monarch unless the English were to grant free trade and navigation. Next the Alien Act 1705 was passed in the English parliament designating Scots in England as "foreign nationals" and blocking about half of all Scottish trade by boycotting exports to England or its colonies, unless Scotland came back to negotiate a Union. To encourage a Union, "honours, appointments, pensions and even arrears of pay and other expenses were distributed to clinch support from Scottish peers and MPs". Scottish perspective The Scottish economy was severely impacted by privateers during the 1688–1697 Nine Years' War and the 1701 War of the Spanish Succession, with the Royal Navy focusing on protecting English ships. This compounded the economic pressure caused by the Darien scheme, and the seven ill years of the 1690s, when 5–15% of the population died of starvation. The Scottish Parliament was promised financial assistance, protection for its maritime trade, and an end to economic restrictions on trade with England. The votes of the Court party, influenced by Queen Anne's favourite, the Duke of Queensberry, combined with the majority of the Squadrone Volante, were sufficient to ensure passage of the treaty. Article 15 granted £398,085 and ten shillings sterling to Scotland, a sum known as The Equivalent, to offset future liability towards the English national debt, which at the time was £18 million, but as Scotland had no national debt, most of the sum was used to compensate the investors in the Darien scheme, with 58.6% of the fund allocated to its shareholders and creditors. The role played by bribery has long been debated; £20,000 was distributed by the Earl of Glasgow, of which 60% went to James Douglas, 2nd Duke of Queensberry, the Queen's Commissioner in Parliament. Another negotiator, Argyll was given an English peerage. Robert Burns is commonly quoted in support of the argument of corruption: "We're bought and sold for English Gold, Such a Parcel of Rogues in a Nation." As historian Christopher Whatley points out, this was actually a 17th-century Scots folk song; but he agrees money was paid, though suggests the economic benefits were supported by most Scots MPs, with the promises made for benefits to peers and MPs, even if it was reluctantly. Professor Sir Tom Devine agreed that promises of "favours, sinecures, pensions, offices and straightforward cash bribes became indispensable to secure government majorities". As for representation going forwards, Scotland was, in the new united parliament, only to get 45 MPs, one more than Cornwall, and only 16 (unelected) peers in the House of Lords. Sir George Lockhart of Carnwath, the only Scottish negotiator to oppose Union, noted "the whole nation appears against (it)". Another negotiator, Sir John Clerk of Penicuik, who was an ardent Unionist, observed it was "contrary to the inclinations of at least three-fourths of the Kingdom". As the seat of the Scottish Parliament, demonstrators in Edinburgh feared the impact of its loss on the local economy. Elsewhere, there was widespread concern about the independence of the kirk, and possible tax rises. As the Treaty passed through the Scottish Parliament, opposition was voiced by petitions from shires, burghs, presbyteries and parishes. The Convention of Royal Burghs claimed Not one petition in favour of Union was received by Parliament. On the day the treaty was signed, the carillonneur in St Giles Cathedral, Edinburgh, rang the bells in the tune "Why should I be so sad on my wedding day?" Threats of widespread civil unrest resulted in Parliament imposing martial law. Irish perspective Ireland, though a kingdom under the same crown, was not included in the union. It remained a separate kingdom, unrepresented in Parliament, and was legally subordinate to Great Britain until 1784. In July 1707 each House of the Parliament of Ireland passed a congratulatory address to Queen Anne, praying that "May God put it in your royal heart to add greater strength and lustre to your crown, by a still more comprehensive Union". The British government did not respond to the invitation and an equal union between Great Britain and Ireland was out of consideration until the 1790s. The union with Ireland finally came about on 1 January 1801. Treaty and passage of the 1707 Acts Deeper political integration had been a key policy of Queen Anne from the time she acceded to the throne in 1702. Under the aegis of the Queen and her ministers in both kingdoms, the parliaments of England and Scotland agreed to participate in fresh negotiations for a union treaty in 1705. Both countries appointed 31 commissioners to conduct the negotiations. Most of the Scottish commissioners favoured union, and about half were government ministers and other officials. At the head of the list was Queensberry, and the Lord Chancellor of Scotland, the Earl of Seafield. The English commissioners included the Lord High Treasurer, the Earl of Godolphin, the Lord Keeper, Baron Cowper, and a large number of Whigs who supported union. Tories were not in favour of union and only one was represented among the commissioners. Negotiations between the English and Scottish commissioners took place between 16 April and 22 July 1706 at the Cockpit in London. Each side had its own particular concerns. Within a few days, and with only one face to face meeting of all 62 commissioners, England had gained a guarantee that the Hanoverian dynasty would succeed Queen Anne to the Scottish crown, and Scotland
the kirk, and established a Covenanter government in Scotland. The Scots remained neutral when the First English Civil War began in 1642, before becoming concerned at the impact on Scotland of a Royalist victory. Presbyterian leaders like Argyll viewed union as a way to ensure free trade between England and Scotland, and preserve a Presbyterian kirk. Under the 1643 Solemn League and Covenant, the Covenanters agreed to provide military support for the English Parliament, in return for religious union. Although the treaty referred repeatedly to 'union' between England, Scotland, and Ireland, political union had little support outside the Kirk Party. Even religious union was opposed by the Episcopalian majority in the Church of England, and Independents like Oliver Cromwell, who dominated the New Model Army. The Scots and English Presbyterians were political conservatives, who increasingly viewed the Independents, and associated radical groups like the Levellers, as a bigger threat than the Royalists. Both Royalists and Presbyterians agreed monarchy was divinely ordered, but disagreed on the nature and extent of Royal authority over the church. When Charles I surrendered in 1646, they allied with their former enemies to restore him to the English throne. After defeat in the 1647–1648 Second English Civil War, Scotland was occupied by English troops which were withdrawn once the so-called Engagers whom Cromwell held responsible for the war had been replaced by the Kirk Party. In December 1648, Pride's Purge confirmed Cromwell's political control in England by removing Presbyterian MPs from Parliament, and executing Charles in January 1649. Seeing this as sacrilege, the Kirk Party proclaimed Charles II King of Scotland and Great Britain, and agreed to restore him to the English throne. Defeat in the 1649–1651 Third English Civil War or Anglo-Scottish War resulted in Scotland's incorporation into the Commonwealth of England, Scotland and Ireland, largely driven by Cromwell's determination to break the power of the kirk, which he held responsible for the Anglo-Scottish War. The 1652 Tender of Union was followed on 12 April 1654 by An Ordinance by the Protector for the Union of England and Scotland, creating the Commonwealth of England, Scotland and Ireland. It was ratified by the Second Protectorate Parliament on 26 June 1657, creating a single Parliament in Westminster, with 30 representatives each from Scotland and Ireland added to the existing English members. 1660–1707 While integration into the Commonwealth established free trade between Scotland and England, the economic benefits were diminished by the costs of military occupation. Both Scotland and England associated union with heavy taxes and military rule; it had little popular support in either country, and was dissolved after the Restoration of Charles II in 1660. The Scottish economy was badly damaged by the English Navigation Acts of 1660 and 1663 and England's wars with the Dutch Republic, Scotland's major export market. An Anglo-Scots Trade Commission was set up in January 1668 but the English had no interest in making concessions, as the Scots had little to offer in return. In 1669, Charles II revived talks on political union; his motives were to weaken Scotland's commercial and political links with the Dutch, still seen as an enemy and complete the work of his grandfather James I. Continued opposition meant these negotiations were abandoned by the end of 1669. Following the Glorious Revolution of 1688, a Scottish Convention met in Edinburgh in April 1689 to agree a new constitutional settlement; during which the Scottish Bishops backed a proposed union in an attempt to preserve Episcopalian control of the kirk. William and Mary were supportive of the idea but it was opposed both by the Presbyterian majority in Scotland and the English Parliament. Episcopacy in Scotland was abolished in 1690, alienating a significant part of the political class; it was this element that later formed the bedrock of opposition to Union. The 1690s were a time of economic hardship in Europe as a whole and Scotland in particular, a period now known as the Seven ill years which led to strained relations with England. In 1698, the Company of Scotland Trading to Africa and the Indies received a charter to raise capital through public subscription. The Company invested in the Darién scheme, an ambitious plan funded almost entirely by Scottish investors to build a colony on the Isthmus of Panama for trade with East Asia. The scheme was a disaster; the losses of over £150,000 severely impacted the Scottish commercial system. Political motivations The Acts of Union may be seen within a wider European context of increasing state centralisation during the late 17th and early 18th centuries, including the monarchies of France, Sweden, Denmark and Spain. While there were exceptions, such as the Dutch Republic or the Republic of Venice, the trend was clear. The dangers of the monarch using one Parliament against the other first became apparent in 1647 and 1651. It resurfaced during the 1679 to 1681 Exclusion Crisis, caused by English resistance to the Catholic James II (of England, VII of Scotland) succeeding his brother Charles. James was sent to Edinburgh in 1681 as Lord High Commissioner; in August, the Scottish Parliament passed the Succession Act, confirming the divine right of kings, the rights of the natural heir "regardless of religion", the duty of all to swear allegiance to that king, and the independence of the Scottish Crown. It then went beyond ensuring James's succession to the Scottish throne by explicitly stating the aim was to make his exclusion from the English throne impossible without "the fatall and dreadfull consequences of a civil war". The issue reappeared during the 1688 Glorious Revolution. The English Parliament generally supported replacing James with his Protestant daughter Mary, but resisted making her Dutch husband William of Orange joint ruler. They gave way only when he threatened to return to the Netherlands, and Mary refused to rule without him. In Scotland, conflict over control of the kirk between Presbyterians and Episcopalians and William's position as a fellow Calvinist put him in a much stronger position. He originally insisted on retaining Episcopacy, and the Committee of the Articles, an unelected body that controlled what legislation Parliament could debate. Both would have given the Crown far greater control than in England but he withdrew his demands due to the 1689–1692 Jacobite Rising. English perspective The English succession was provided for by the English Act of Settlement 1701, which ensured that the monarch of England would be a Protestant member of the House of Hanover. Until the Union of Parliaments, the Scottish throne might be inherited by a different successor after Queen Anne, who had said in her first speech to the English parliament that a Union was "very necessary". The Scottish Act of Security 1704, however, was passed after the English parliament, without consultation with Scotland, had designated Electoress Sophia of Hanover (granddaughter of James I and VI) as Anne's successor, if Anne died childless. The Act of Security granted the Parliament of Scotland, the three Estates, the right to choose a successor and explicitly required a choice different from the English monarch unless the English were to grant free trade and navigation. Next the Alien Act 1705 was passed in the English parliament designating Scots in England as "foreign nationals" and blocking about half of all Scottish trade by boycotting exports to England or its colonies, unless Scotland came back to negotiate a Union. To encourage a Union, "honours, appointments, pensions and even arrears of pay and other expenses were distributed to clinch support from Scottish peers and MPs". Scottish perspective The Scottish economy was severely impacted by privateers during the 1688–1697 Nine Years' War and the 1701 War of the Spanish Succession, with the Royal Navy focusing on protecting English ships. This compounded the economic pressure caused by the Darien scheme, and the seven ill years of the 1690s, when 5–15% of the population died of starvation. The Scottish Parliament was promised financial assistance, protection for its maritime trade, and an end to economic restrictions on trade with England. The votes of the Court party, influenced by Queen Anne's favourite, the Duke of Queensberry, combined with the majority of the Squadrone Volante, were sufficient to ensure passage of the treaty. Article 15 granted £398,085 and ten shillings sterling to Scotland, a sum known as The Equivalent, to offset future liability towards the English national debt, which at the time was £18 million, but as Scotland had no national debt, most of the sum was used to compensate the investors in the Darien scheme, with 58.6% of the fund allocated to its shareholders and creditors. The role played by bribery has long been debated; £20,000 was distributed by the Earl of Glasgow, of which 60% went to James Douglas, 2nd Duke of Queensberry, the Queen's Commissioner in Parliament. Another negotiator, Argyll was given an English peerage. Robert Burns is commonly quoted in support of the argument of corruption: "We're bought and sold for English Gold, Such a Parcel of Rogues in a Nation." As historian Christopher Whatley points out, this was actually a 17th-century Scots folk song; but he agrees money was paid, though suggests the economic benefits were supported by
the naval service. Operational control of the Royal Navy remained the responsibility of the Lord High Admiral, who was one of the nine Great Officers of State. This management approach would continue in force in the Royal Navy until 1832. King Charles I put the office of Lord High Admiral into commission in 1628, and control of the Royal Navy passed to a committee in the form of the Board of Admiralty. The office of Lord High Admiral passed a number of times in and out of commission until 1709, after which the office was almost permanently in commission (the last Lord High Admiral being the future King William IV in the early 19th century). In this organization a dual system operated the Lord High Admiral (from 1546) then Commissioners of the Admiralty (from 1628) exercised the function of general control (military administration) of the Navy and they were usually responsible for the conduct of any war, while the actual supply lines, support and services were managed by four principal officers, namely, the Treasurer, Comptroller, Surveyor and Clerk of the Acts, responsible individually for finance, supervision of accounts, Shipbuilding and maintenance of ships, and record of business. These principal officers came to be known as the Navy Board responsible for 'civil administration' of the navy, from 1546 to 1832. This structure of administering the navy lasted for 285 years, however, the supply system was often inefficient and corrupt its deficiencies were due as much to its limitations of the times they operated in. The various functions within the Admiralty were not coordinated effectively and lacked inter-dependency with each other, with the result that in 1832, Sir James Graham abolished the Navy Board and merged its functions within those of the Board of Admiralty. At the time this had distinct advantages; however, it failed to retain the principle of distinctions between the Admiralty and supply, and a lot of bureaucracy followed with the merger. In 1860 saw big growth in the development of technical crafts, the expansion of more admiralty branches that really began with age of steam that would have an enormous influence on the navy and naval thought. Between 1860 and 1908, there was no real study of strategy and of staff work conducted within the naval service; it was practically ignored. All the Navy's talent flowed to the great technical universities. This school of thought for the next 50 years was exclusively technically based. The first serious attempt to introduce a sole management body to administer the naval service manifested itself in the creation of the Admiralty Navy War Council in 1909. It was believed by officials within the Admiralty at this time that the running of war was quite a simple matter for any flag officer who required no formal training. However, this mentality would be severely questioned with the advent of the Agadir crisis, when the Admiralty's war plans were heavily criticized. Following this, a new advisory body called the Admiralty War Staff was then instituted in 1912, headed by the Chief of the War Staff who was responsible for administering three new sub-divisions responsible for operations, intelligence and mobilisation. The new War Staff had hardly found its feet and it continually struggled with the opposition to its existence by senior officers they were categorically opposed to a staff. The deficiencies of the system within this department of state could be seen in the conduct of the Dardanelles campaign. There were no mechanisms in place to answer the big strategic questions. A Trade Division was created in 1914. Sir John Jellicoe came to the Admiralty in 1916. He re-organized the war staff as following: Chief of War Staff, Operations, Intelligence, Signal Section, Mobilisation, Trade. It was not until 1917 that the admiralty department was again properly reorganized and began to function as a professional military staff. In May 1917, the term "Admiralty War Staff" was renamed and that department and its functional role were superseded by a new "Admiralty Naval Staff"; in addition, the newly created office of Chief of the Naval Staff was merged in the office of the First Sea Lord. Also appointed was a new post, that of Deputy Chief of the Naval Staff, and an Assistant Chief of the Naval Staff; all were given seats on the Board of Admiralty. This for the first time gave the naval staff direct representation on the board; the presence of three senior naval senior members on the board ensured the necessary authority to carry through any operation of war. The Deputy Chief of Naval Staff would direct all operations and movements of the fleet, while the Assistant Chief of Naval Staff would be responsible for mercantile movements and anti-submarine operations. The office of Controller would be re-established to deal with all questions relating to supply; on 6 September 1917, a Deputy First Sea Lord, was added to the Board who would administer operations abroad and deal with questions of foreign policy. In October 1917, the development of the staff was carried one step further by the creation of two sub-committees of the Board—the Operations Committee and the Maintenance Committee. The First Lord of the Admiralty was chairman of both committees, and the Operations Committee consisted of the First Sea Lord and Chief of Naval Staff, the Deputy First Sea Lord, Assistant Chief of Naval Staff, and Fifth Sea Lord. The Maintenance Committee consisted of the Deputy First Sea Lord (representing the operations committee), Second Sea Lord (personnel), Third Sea Lord (materiel), Fourth Sea Lord (transport and stores), Civil Lord, Controller and Financial Secretary. Full operational control of the Royal Navy was finally handed over to the Chief of Naval Staff (CNS) by an order in Council, effective October 1917, under which he became responsible for the issuing of orders affecting all war operations directly to the fleet. It also empowered the CNS to issue orders in their own name, as opposed to them previously being issued by the Permanent Secretary of the Admiralty in the name of the Board. In 1964, the Admiralty—along with the War Office and the Air Ministry—were abolished as separate departments of state, and placed under one single new Ministry of Defence. Within the expanded Ministry of Defence are the new Admiralty Board which has a separate Navy Board responsible for the day-to-day running of the Royal Navy, the Army Board and the Air Force Board, each headed by the Secretary of State for Defence. This structure remained in place until the department was abolished in 1964; the operational control and this system still remains in place with the Royal Navy today. For the organisational structure of the admiralty department and how it developed through the centuries see the following articles below. Organizational structure In the 20th century the structure of the Admiralty Headquarters was predominantly organized into four parts: The Board of Admiralty, which directs and controls the whole machine chaired by a civilian government minister the First Lord of the Admiralty. His chief military adviser was the First Sea Lord and Chief of Naval Staff as the Senior Naval Lord to the board. The Admiralty Naval Staff, advised and assisted the Board in chief strategic and operational planning, in the distributing of fleets and the allocating of assets to major naval commands and stations and in formulating official policy on tactical doctrine and requirements in regard to men and material. In order to deliver this the Naval Staff was organised into specialist Divisions and Sections. When the Admiralty unified with the Ministry of Defence in 1964 they were re designated as Directorates of the Naval Staff. The Admiralty Departments, which provides the men, ships, aircraft and supplies to carry out the approved policy. The departments are superintended by the various offices of the Sea Lords. The Department of the Permanent Secretary which was the general co-ordinating agency, regulating naval finance, providing advice on policy, conducing all correspondence on behalf of the Board and maintaining admiralty records. Its primary component to deliver this is the Admiralty Secretariat, sections of the Secretariat (other than those which provide Common
the form of the Board of Admiralty. The office of Lord High Admiral passed a number of times in and out of commission until 1709, after which the office was almost permanently in commission (the last Lord High Admiral being the future King William IV in the early 19th century). In this organization a dual system operated the Lord High Admiral (from 1546) then Commissioners of the Admiralty (from 1628) exercised the function of general control (military administration) of the Navy and they were usually responsible for the conduct of any war, while the actual supply lines, support and services were managed by four principal officers, namely, the Treasurer, Comptroller, Surveyor and Clerk of the Acts, responsible individually for finance, supervision of accounts, Shipbuilding and maintenance of ships, and record of business. These principal officers came to be known as the Navy Board responsible for 'civil administration' of the navy, from 1546 to 1832. This structure of administering the navy lasted for 285 years, however, the supply system was often inefficient and corrupt its deficiencies were due as much to its limitations of the times they operated in. The various functions within the Admiralty were not coordinated effectively and lacked inter-dependency with each other, with the result that in 1832, Sir James Graham abolished the Navy Board and merged its functions within those of the Board of Admiralty. At the time this had distinct advantages; however, it failed to retain the principle of distinctions between the Admiralty and supply, and a lot of bureaucracy followed with the merger. In 1860 saw big growth in the development of technical crafts, the expansion of more admiralty branches that really began with age of steam that would have an enormous influence on the navy and naval thought. Between 1860 and 1908, there was no real study of strategy and of staff work conducted within the naval service; it was practically ignored. All the Navy's talent flowed to the great technical universities. This school of thought for the next 50 years was exclusively technically based. The first serious attempt to introduce a sole management body to administer the naval service manifested itself in the creation of the Admiralty Navy War Council in 1909. It was believed by officials within the Admiralty at this time that the running of war was quite a simple matter for any flag officer who required no formal training. However, this mentality would be severely questioned with the advent of the Agadir crisis, when the Admiralty's war plans were heavily criticized. Following this, a new advisory body called the Admiralty War Staff was then instituted in 1912, headed by the Chief of the War Staff who was responsible for administering three new sub-divisions responsible for operations, intelligence and mobilisation. The new War Staff had hardly found its feet and it continually struggled with the opposition to its existence by senior officers they were categorically opposed to a staff. The deficiencies of the system within this department of state could be seen in the conduct of the Dardanelles campaign. There were no mechanisms in place to answer the big strategic questions. A Trade Division was created in 1914. Sir John Jellicoe came to the Admiralty in 1916. He re-organized the war staff as following: Chief of War Staff, Operations, Intelligence, Signal Section, Mobilisation, Trade. It was not until 1917 that the admiralty department was again properly reorganized and began to function as a professional military staff. In May 1917, the term "Admiralty War Staff" was renamed and that department and its functional role were superseded by a new "Admiralty Naval Staff"; in addition, the newly created office of Chief of the Naval Staff was merged in the office of the First Sea Lord. Also appointed was a new post, that of Deputy Chief of the Naval Staff, and an Assistant Chief of the Naval Staff; all were given seats on the Board of Admiralty. This for the first time gave the naval staff direct representation on the board; the presence of three senior naval senior members on the board ensured the necessary authority to carry through any operation of war. The Deputy Chief of Naval Staff would direct all operations and movements of the fleet, while the Assistant Chief of Naval Staff would be responsible for mercantile movements and anti-submarine operations. The office of Controller would be re-established to deal with all questions relating to supply; on 6 September 1917, a Deputy First Sea Lord, was added to the Board who would administer operations abroad and deal with questions of foreign policy. In October 1917, the development of the staff was carried one step further by the creation of two sub-committees of the Board—the Operations Committee and the Maintenance Committee. The First Lord of the Admiralty was chairman of both committees, and the Operations Committee consisted of the First Sea Lord and Chief of Naval Staff, the Deputy First Sea Lord, Assistant Chief of Naval Staff, and Fifth Sea Lord. The Maintenance Committee consisted of the Deputy First Sea Lord (representing the operations committee), Second Sea Lord (personnel), Third Sea Lord (materiel), Fourth Sea Lord (transport and stores), Civil Lord, Controller and Financial Secretary. Full operational control of the Royal Navy was finally handed over to the Chief of Naval Staff (CNS) by an order in Council, effective October 1917, under which he became responsible for the issuing of orders affecting all war operations directly to the fleet. It also empowered the CNS to issue orders in their own name, as opposed to them previously being issued by the Permanent Secretary of the Admiralty in the name of the Board. In 1964, the Admiralty—along with the War Office and the Air Ministry—were abolished as separate departments of state, and placed under one single new Ministry of Defence. Within the expanded Ministry of Defence are the new Admiralty Board which has a separate Navy Board responsible for the day-to-day running of the Royal Navy, the Army Board and the Air Force Board, each headed by the Secretary of State for Defence. This
from water or land, typically a floatplane or flying boat equipped with retractable wheeled landing gear Loening OL or Loening Amphibian, an
(comics), a superhero "Amphibian" (song), by Björk Amphibious aircraft, an aircraft that can operate from water or land, typically a floatplane or flying boat equipped with retractable wheeled landing gear Loening OL or Loening Amphibian, an amphibious biplane built for the United States
the function of the knee. Types of amputations include: partial foot amputation amputation of the lower limb distal to the ankle joint ankle disarticulation amputation of the lower limb at the ankle joint trans-tibial amputation amputation of the lower limb between the knee joint and the ankle joint, commonly referred to as a below-knee amputation knee disarticulation amputation of the lower limb at the knee joint trans-femoral amputation amputation of the lower limb between the hip joint and the knee joint, commonly referred to an above-knee amputation hip disarticulation amputation of the lower limb at the hip joint trans-pelvic disarticulation amputation of the whole lower limb together with all or part of the pelvis, also known as a hemipelvectomy or hindquarter amputation Arm Types of upper extremity amputations include: partial hand amputation wrist disarticulation trans-radial amputation, commonly referred to as below-elbow or forearm amputation elbow disarticulation trans-humeral amputation, commonly referred to as above-elbow amputation shoulder disarticulation forequarter amputation A variant of the trans-radial amputation is the Krukenberg procedure in which the radius and ulna are used to create a stump capable of a pincer action. Other Facial amputations include but are not limited to: amputation of the ears amputation of the nose (rhinotomy) amputation of the tongue (glossectomy). amputation of the eyes (enucleation). amputation of the teeth (dental avulsion). Removal of teeth, mainly incisors, is or was practiced by some cultures for ritual purposes (for instance in the Iberomaurusian culture of Neolithic North Africa). Breasts: amputation of the breasts (mastectomy). Genitals: amputation of the testicles (castration). amputation of the penis (penectomy). amputation of the foreskin (circumcision). amputation of the clitoris (clitoridectomy). Hemicorporectomy, or amputation at the waist, and decapitation, or amputation at the neck, are the most radical amputations. Genital modification and mutilation may involve amputating tissue, although not necessarily as a result of injury or disease. Nails are typically trimmed with nail clippers, but this is not typically considered amputation. Self-amputation In some rare cases when a person has become trapped in a deserted place, with no means of communication or hope of rescue, the victim has amputated his or her own limb. The most notable case of this is Aron Ralston, a hiker who amputated his own right forearm after it was pinned by a boulder in a hiking accident and he was unable to free himself for over five days. Body integrity identity disorder is a psychological condition in which an individual feels compelled to remove one or more of their body parts, usually a limb. In some cases, that individual may take drastic measures to remove the offending appendages, either by causing irreparable damage to the limb so that medical intervention cannot save the limb, or by causing the limb to be severed. Causes Circulatory disorders Diabetic vasculopathy Sepsis with peripheral necrosis Peripheral artery disease which can lead to gangrene A severe deep vein thrombosis (phlegmasia cerulea dolens) can cause compartment syndrome and gangrene Neoplasm Cancerous bone or soft tissue tumors (e.g. osteosarcoma, chondrosarcoma, fibrosarcoma, epithelioid sarcoma, Ewing's sarcoma, synovial sarcoma, sacrococcygeal teratoma, liposarcoma), melanoma Trauma Severe limb injuries in which the limb cannot be saved or efforts to save the limb fail. Traumatic amputation (an unexpected amputation that occurs at the scene of an accident, where the limb is partially or entirely severed as a direct result of the accident, for example, a finger that is severed from the blade of a table saw) Amputation in utero (Amniotic band) Congenital anomalies Deformities of digits and/or limbs (e.g., proximal femoral focal deficiency, Fibular hemimelia) Extra digits and/or limbs (e.g., polydactyly) Infection Bone infection (osteomyelitis) and/or diabetic foot infections Gangrene Trench foot Necrosis Meningococcal meningitis Streptococcus Vibrio vulnificus Necrotizing fasciitis Gas gangrene Legionella Influenza A Virus Animal bites Sepsis Bubonic plague Frostbite Frostbite, also known as frostnip, happens when the individual's skin is exposed to cold weather for too long. The fluid in the pale skin solidifies, creating ice crystals, leading to swelling and severe pain. Other symptoms can include numbness, confusion, dizziness, fatigue, nausea, stiffness in the muscles or joints as well as difficulty walking. If the frostbite doesn't get treated soon, this process results in hypothermia, death or poisoning of the bloodstream. This can affect the hands, feet, toes, fingers, eyes, and face. Once the frostbite shuts the eyelids, this is known as snow blindness. The only way to stop it from spreading is through skin grafts or amputation. Athletic performance Sometimes professional athletes may choose to have a non-essential digit amputated to relieve chronic pain and impaired performance. Australian Rules footballer Daniel Chick elected to have his left ring finger amputated as chronic pain and injury was limiting his performance. Rugby union player Jone Tawake also had a finger removed. National Football League safety Ronnie Lott had the tip of his little finger removed after it was damaged in the 1985 NFL season. Criminal penalty According to Quran 5:38, the punishment for stealing is the amputation of the hand. Under Sharia law, after repeated offense, the foot may also be cut off. This is still in practice today in countries like Brunei, the United Arab Emirates, Iran, Saudi Arabia, Yemen, and 11 states of Northern Nigeria. The United States considers amputation to be more severe than other punishments but less than death penalty, expressed in the double jeopardy clause: "nor shall any person be subject for the same offence to be twice put in jeopardy of life or limb...". Thomas Jefferson proposed a bill penalizing various crimes with amputation, such as "if a man, by castration, if a woman, by cutting thro' the cartilage of her nose a hole of one half inch diameter at the least" and "cutting out or disabling the tongue, slitting or cutting off a nose, lip or ear, branding, or otherwise, shall be maimed or disfigured in like sort: or if that cannot be for want of the same part, then as nearly as may be in some other part of at least equal value and estimation in the opinion of a jury". That bill is not a current law, so it either did not gain enough approval to become law, or it has since been repealed. As of 2021, this form of punishment is controversial, as most modern cultures consider it to be morally abhorrent, as it has the effect of permanently disabling a person and constitutes torture. It is thus seen as a grossly disproportional for crimes less than those such as murder. Surgery Method The first step is ligating the supplying artery and vein, to prevent hemorrhage (bleeding). The muscles are transected, and finally, the bone is sawed through with an oscillating saw. Sharp and rough edges of bones are filed, skin and muscle flaps are then transposed over the stump, occasionally with the insertion of elements to attach a prosthesis. Distal stabilisation of muscles is recommended. This allows effective muscle contraction which reduces atrophy, allows functional use of the stump and maintains soft tissue coverage of the remnant bone. The preferred stabilisation technique is myodesis where the muscle is attached to the bone or its periosteum. In joint disarticulation amputations tenodesis may be used where the muscle tendon is attached to the bone. Muscles should be attached under similar tension to normal physiological conditions. An experimental technique known as the "Ewing amputation" aims to improve post-amputation proprioception. In 1920, Dr. Janos Ertl, Sr. of
Peripheral artery disease which can lead to gangrene A severe deep vein thrombosis (phlegmasia cerulea dolens) can cause compartment syndrome and gangrene Neoplasm Cancerous bone or soft tissue tumors (e.g. osteosarcoma, chondrosarcoma, fibrosarcoma, epithelioid sarcoma, Ewing's sarcoma, synovial sarcoma, sacrococcygeal teratoma, liposarcoma), melanoma Trauma Severe limb injuries in which the limb cannot be saved or efforts to save the limb fail. Traumatic amputation (an unexpected amputation that occurs at the scene of an accident, where the limb is partially or entirely severed as a direct result of the accident, for example, a finger that is severed from the blade of a table saw) Amputation in utero (Amniotic band) Congenital anomalies Deformities of digits and/or limbs (e.g., proximal femoral focal deficiency, Fibular hemimelia) Extra digits and/or limbs (e.g., polydactyly) Infection Bone infection (osteomyelitis) and/or diabetic foot infections Gangrene Trench foot Necrosis Meningococcal meningitis Streptococcus Vibrio vulnificus Necrotizing fasciitis Gas gangrene Legionella Influenza A Virus Animal bites Sepsis Bubonic plague Frostbite Frostbite, also known as frostnip, happens when the individual's skin is exposed to cold weather for too long. The fluid in the pale skin solidifies, creating ice crystals, leading to swelling and severe pain. Other symptoms can include numbness, confusion, dizziness, fatigue, nausea, stiffness in the muscles or joints as well as difficulty walking. If the frostbite doesn't get treated soon, this process results in hypothermia, death or poisoning of the bloodstream. This can affect the hands, feet, toes, fingers, eyes, and face. Once the frostbite shuts the eyelids, this is known as snow blindness. The only way to stop it from spreading is through skin grafts or amputation. Athletic performance Sometimes professional athletes may choose to have a non-essential digit amputated to relieve chronic pain and impaired performance. Australian Rules footballer Daniel Chick elected to have his left ring finger amputated as chronic pain and injury was limiting his performance. Rugby union player Jone Tawake also had a finger removed. National Football League safety Ronnie Lott had the tip of his little finger removed after it was damaged in the 1985 NFL season. Criminal penalty According to Quran 5:38, the punishment for stealing is the amputation of the hand. Under Sharia law, after repeated offense, the foot may also be cut off. This is still in practice today in countries like Brunei, the United Arab Emirates, Iran, Saudi Arabia, Yemen, and 11 states of Northern Nigeria. The United States considers amputation to be more severe than other punishments but less than death penalty, expressed in the double jeopardy clause: "nor shall any person be subject for the same offence to be twice put in jeopardy of life or limb...". Thomas Jefferson proposed a bill penalizing various crimes with amputation, such as "if a man, by castration, if a woman, by cutting thro' the cartilage of her nose a hole of one half inch diameter at the least" and "cutting out or disabling the tongue, slitting or cutting off a nose, lip or ear, branding, or otherwise, shall be maimed or disfigured in like sort: or if that cannot be for want of the same part, then as nearly as may be in some other part of at least equal value and estimation in the opinion of a jury". That bill is not a current law, so it either did not gain enough approval to become law, or it has since been repealed. As of 2021, this form of punishment is controversial, as most modern cultures consider it to be morally abhorrent, as it has the effect of permanently disabling a person and constitutes torture. It is thus seen as a grossly disproportional for crimes less than those such as murder. Surgery Method The first step is ligating the supplying artery and vein, to prevent hemorrhage (bleeding). The muscles are transected, and finally, the bone is sawed through with an oscillating saw. Sharp and rough edges of bones are filed, skin and muscle flaps are then transposed over the stump, occasionally with the insertion of elements to attach a prosthesis. Distal stabilisation of muscles is recommended. This allows effective muscle contraction which reduces atrophy, allows functional use of the stump and maintains soft tissue coverage of the remnant bone. The preferred stabilisation technique is myodesis where the muscle is attached to the bone or its periosteum. In joint disarticulation amputations tenodesis may be used where the muscle tendon is attached to the bone. Muscles should be attached under similar tension to normal physiological conditions. An experimental technique known as the "Ewing amputation" aims to improve post-amputation proprioception. In 1920, Dr. Janos Ertl, Sr. of Hungary, developed the Ertl procedure in order to return a high number of amputees to the work force. The Ertl technique, an osteomyoplastic procedure for transtibial amputation, can be used to create a highly functional residual limb. Creation of a tibiofibular bone bridge provides a stable, broad tibiofibular articulation that may be capable of some distal weight bearing. Several different modified techniques and fibular bridge fixation methods have been used; however, no current evidence exists regarding comparison of the different techniques. Post-operative management A 2019 Cochrane systematic review aimed to determine whether rigid dressings were more effective than soft dressings in helping wounds heal following transtibial (below the knee) amputations. Due to the limited and very low certainty evidence available, the authors concluded that it was uncertain what the benefits and harms were for each dressing type. They recommended that clinicians consider the pros and cons of each dressing type on a case-by-case basis e.g. rigid dressings may potentially benefit patients who have a high risk of falls and soft dressings may potentially benefit patients who have poor skin integrity. A 2017 review found that the use of rigid removable dressings (RRD's) in trans-tibial amputations, rather than soft bandaging, improved healing time, reduced edema, prevented knee flexion contractures and reduced complications, including further amputation, from external trauma such as falls onto the stump. Post-operative management, in addition to wound healing, should consider maintenance of limb strength, joint range, edema management, preservation of the intact limb (if applicable) and stump desensitization. Trauma Traumatic amputation is the partial or total avulsion of a part of a body during a serious accident, like traffic, labor, or combat. Traumatic amputation of a human limb, either partial or total, creates the immediate danger of death from blood loss. Orthopedic surgeons often assess the severity of different injuries using the Mangled Extremity Severity Score. Given different clinical and situational factors, they can predict the likelihood of amputation. This is especially useful for emergency physicians to quickly evaluate patients and decide on consultations. Causes Traumatic amputation is uncommon in humans (1 per 20,804 population per year). Loss of limb usually happens immediately during the accident, but sometimes a few days later after medical complications. Statistically, the most common causes of traumatic amputations are: Traffic collisions (cars, motorcycles, bicycles, trains, etc.) Labor accidents (equipment, instruments, cylinders, chainsaws, press machines, meat machines, wood machines, etc.) Agricultural accidents, with machines and mower equipment Electric shock hazards Firearms, bladed weapons, explosives Violent rupture of ship rope or industry wire rope Ring traction (ring amputation, de-gloving injuries) Building doors and car doors Animal attacks Gas cylinder explosions
cupwheel speed. Three-cup anemometers are currently used as the industry standard for wind resource assessment studies & practice. Vane anemometers One of the other forms of mechanical velocity anemometer is the vane anemometer. It may be described as a windmill or a propeller anemometer. Unlike the Robinson anemometer, whose axis of rotation is vertical, the vane anemometer must have its axis parallel to the direction of the wind and is therefore horizontal. Furthermore, since the wind varies in direction and the axis has to follow its changes, a wind vane or some other contrivance to fulfill the same purpose must be employed. A vane anemometer thus combines a propeller and a tail on the same axis to obtain accurate and precise wind speed and direction measurements from the same instrument. The speed of the fan is measured by a rev counter and converted to a windspeed by an electronic chip. Hence, volumetric flow rate may be calculated if the cross-sectional area is known. In cases where the direction of the air motion is always the same, as in ventilating shafts of mines and buildings, wind vanes known as air meters are employed, and give satisfactory results. Hot-wire anemometers Hot wire anemometers use a fine wire (on the order of several micrometres) electrically heated to some temperature above the ambient. Air flowing past the wire cools the wire. As the electrical resistance of most metals is dependent upon the temperature of the metal (tungsten is a popular choice for hot-wires), a relationship can be obtained between the resistance of the wire and the speed of the air. In most cases, they cannot be used to measure the direction of the airflow, unless coupled with a wind vane. Several ways of implementing this exist, and hot-wire devices can be further classified as CCA (constant current anemometer), CVA (constant voltage anemometer) and CTA (constant-temperature anemometer). The voltage output from these anemometers is thus the result of some sort of circuit within the device trying to maintain the specific variable (current, voltage or temperature) constant, following Ohm's law. Additionally, PWM (pulse-width modulation) anemometers are also used, wherein the velocity is inferred by the time length of a repeating pulse of current that brings the wire up to a specified resistance and then stops until a threshold "floor" is reached, at which time the pulse is sent again. Hot-wire anemometers, while extremely delicate, have extremely high frequency-response and fine spatial resolution compared to other measurement methods, and as such are almost universally employed for the detailed study of turbulent flows, or any flow in which rapid velocity fluctuations are of interest. An industrial version of the fine-wire anemometer is the thermal flow meter, which follows the same concept, but uses two pins or strings to monitor the variation in temperature. The strings contain fine wires, but encasing the wires makes them much more durable and capable of accurately measuring air, gas, and emissions flow in pipes, ducts, and stacks. Industrial applications often contain dirt that will damage the classic hot-wire anemometer. Laser Doppler anemometers In laser Doppler velocimetry, laser Doppler anemometers use a beam of light from a laser that is divided into two beams, with one propagated out of the anemometer. Particulates (or deliberately introduced seed material) flowing along with air molecules near where the beam exits reflect, or backscatter, the light back into a detector, where it is measured relative to the original laser beam. When the particles are in great motion, they produce a Doppler shift for measuring wind speed in the laser light, which is used to calculate the speed of the particles, and therefore the air around the anemometer. Ultrasonic anemometers Ultrasonic anemometers, first developed in the 1950s, use ultrasonic sound waves to measure wind velocity. They measure wind speed based on the time of flight of sonic pulses between pairs of transducers. Measurements from pairs of transducers can be combined to yield a measurement of velocity in 1-, 2-, or 3-dimensional flow. The spatial resolution is given by the path length between transducers, which is typically 10 to 20 cm. Ultrasonic anemometers can take measurements with very fine temporal resolution, 20 Hz or better, which makes them well suited for turbulence measurements. The lack of moving parts makes them appropriate for long-term use in exposed automated weather stations and weather buoys where the accuracy and reliability of traditional cup-and-vane anemometers are adversely affected by salty air or dust. Their main disadvantage is the distortion of the air flow by the structure supporting the transducers, which requires a correction based upon wind tunnel measurements to minimize the effect. An international standard for this process, ISO 16622 Meteorology—Ultrasonic anemometers/thermometers—Acceptance test methods for mean wind measurements is in general circulation. Another disadvantage is lower accuracy due to precipitation, where rain drops may vary the speed of sound. Since the speed of sound varies with temperature, and is virtually stable with pressure change, ultrasonic anemometers are also used as thermometers. Two-dimensional (wind speed and wind direction) sonic anemometers are used in applications such as weather stations, ship navigation, aviation, weather buoys and wind turbines. Monitoring wind turbines usually requires a refresh rate of wind speed measurements of 3 Hz, easily achieved by sonic anemometers. Three-dimensional sonic anemometers are widely used to measure gas emissions and ecosystem fluxes using the eddy covariance method when used with fast-response infrared gas analyzers or laser-based analyzers. Two-dimensional wind sensors are of two types: Two ultrasounds paths: These sensors have four arms. The disadvantage of this type of sensor is that when the wind comes in the direction of an ultrasound path, the arms disturb the airflow, reducing the accuracy of the resulting measurement. Three ultrasounds paths: These sensors have three arms. They give one path redundancy of the measurement which improves the sensor accuracy and reduces aerodynamic turbulence. Acoustic resonance anemometers Acoustic resonance anemometers are a more recent variant of sonic anemometer. The technology was invented by Savvas Kapartis and patented in 1999. Whereas conventional sonic anemometers rely on time of flight measurement, acoustic resonance sensors use resonating acoustic (ultrasonic) waves within a small purpose-built cavity in order to perform their measurement. Built into the cavity is an array of ultrasonic transducers, which are used to create the separate standing-wave patterns at ultrasonic frequencies. As wind passes through the cavity, a change in the wave's property occurs (phase shift). By measuring the amount of phase shift in the received signals by each transducer, and then by mathematically processing the data, the sensor is able to provide an accurate horizontal measurement of wind speed and direction. Because acoustic resonance technology enables measurement within a small cavity, the sensors tend to be typically smaller in size than other ultrasonic sensors. The small size of acoustic resonance anemometers makes them physically strong and easy to heat, and therefore resistant to icing. This combination of features means that they achieve high levels of data availability and are well suited to wind turbine control and to other uses that require small robust sensors such as battlefield meteorology. One issue with this sensor type is measurement accuracy when compared to a calibrated mechanical sensor. For many end uses, this weakness is compensated for by the sensor's longevity and the fact that it does not require recalibration once installed. Ping-pong ball anemometers A common anemometer for basic use is constructed from a ping-pong ball attached to a string. When the wind blows horizontally, it presses on and moves the ball; because ping-pong balls are very lightweight, they move easily in light winds. Measuring the angle between the string-ball apparatus and the vertical gives an estimate of the wind speed. This type of anemometer is mostly used for middle-school level instruction, which most students make on their own, but a similar device was also flown on the Phoenix Mars Lander. Pressure anemometers The first designs of anemometers that measure the pressure were divided into plate and tube classes. Plate anemometers These are the first modern anemometers. They consist of a flat plate suspended from the top so that the wind deflects the plate. In 1450, the Italian art architect Leon Battista Alberti invented the first mechanical anemometer; in 1664 it was re-invented by Robert Hooke (who is often mistakenly considered the inventor of the first anemometer). Later versions of this form
the shaft at a rate that was roughly proportional to the wind speed. Therefore, counting the turns of the shaft over a set time interval produced a value proportional to the average wind speed for a wide range of speeds. It is also called a rotational anemometer. On an anemometer with four cups, it is easy to see that since the cups are arranged symmetrically on the end of the arms, the wind always has the hollow of one cup presented to it and is blowing on the back of the cup on the opposite end of the cross. Since a hollow hemisphere has a drag coefficient of .38 on the spherical side and 1.42 on the hollow side, more force is generated on the cup that is presenting its hollow side to the wind. Because of this asymmetrical force, torque is generated on the axis of the anemometer, causing it to spin. Theoretically, the speed of rotation of the anemometer should be proportional to the wind speed because the force produced on an object is proportional to the speed of the fluid flowing past it. However, in practice other factors influence the rotational speed, including turbulence produced by the apparatus, increasing drag in opposition to the torque that is produced by the cups and support arms, and friction of the mount point. When Robinson first designed his anemometer, he asserted that the cups moved one-third of the speed of the wind, unaffected by the cup size or arm length. This was apparently confirmed by some early independent experiments, but it was incorrect. Instead, the ratio of the speed of the wind and that of the cups, the anemometer factor, depends on the dimensions of the cups and arms, and may have a value between two and a little over three. Every previous experiment involving an anemometer had to be repeated after the error was discovered. The three-cup anemometer developed by the Canadian John Patterson in 1926 and subsequent cup improvements by Brevoort & Joiner of the United States in 1935 led to a cupwheel design with a nearly linear response and had an error of less than 3% up to . Patterson found that each cup produced maximum torque when it was at 45° to the wind flow. The three-cup anemometer also had a more constant torque and responded more quickly to gusts than the four-cup anemometer. The three-cup anemometer was further modified by the Australian Dr. Derek Weston in 1991 to measure both wind direction and wind speed. Weston added a tag to one cup, which causes the cupwheel speed to increase and decrease as the tag moves alternately with and against the wind. Wind direction is calculated from these cyclical changes in cupwheel speed, while wind speed is determined from the average cupwheel speed. Three-cup anemometers are currently used as the industry standard for wind resource assessment studies & practice. Vane anemometers One of the other forms of mechanical velocity anemometer is the vane anemometer. It may be described as a windmill or a propeller anemometer. Unlike the Robinson anemometer, whose axis of rotation is vertical, the vane anemometer must have its axis parallel to the direction of the wind and is therefore horizontal. Furthermore, since the wind varies in direction and the axis has to follow its changes, a wind vane or some other contrivance to fulfill the same purpose must be employed. A vane anemometer thus combines a propeller and a tail on the same axis to obtain accurate and precise wind speed and direction measurements from the same instrument. The speed of the fan is measured by a rev counter and converted to a windspeed by an electronic chip. Hence, volumetric flow rate may be calculated if the cross-sectional area is known. In cases where the direction of the air motion is always the same, as in ventilating shafts of mines and buildings, wind vanes known as air meters are employed, and give satisfactory results. Hot-wire anemometers Hot wire anemometers use a fine wire (on the order of several micrometres) electrically heated to some temperature above the ambient. Air flowing past the wire cools the wire. As the electrical resistance of most metals is dependent upon the temperature of the metal (tungsten is a popular choice for hot-wires), a relationship can be obtained between the resistance of the wire and the speed of the air. In most cases, they cannot be used to measure the direction of the airflow, unless coupled with a wind vane. Several ways of implementing this exist, and hot-wire devices can be further classified as CCA (constant current anemometer), CVA (constant voltage anemometer) and CTA (constant-temperature anemometer). The voltage output from these anemometers is thus the result of some sort of circuit within the device trying to maintain the specific variable (current, voltage or temperature) constant, following Ohm's law. Additionally, PWM (pulse-width modulation) anemometers are also used, wherein the velocity is inferred by the time length of a repeating pulse of current that brings the wire up to a specified resistance and then stops until a threshold "floor" is reached, at which time the pulse is sent again. Hot-wire anemometers, while extremely delicate, have extremely high frequency-response and fine spatial resolution compared to other measurement methods, and as such are almost universally employed for the detailed study of turbulent flows, or any flow in which rapid velocity fluctuations are of interest. An industrial version of the fine-wire anemometer is the thermal flow meter, which follows the same concept, but uses two pins or strings to monitor the variation in temperature. The strings contain fine wires, but encasing the wires makes them much more durable and capable of accurately measuring air, gas, and emissions flow in pipes, ducts, and stacks. Industrial applications often contain dirt that will damage
process of the ankle bone, interdental plates, an obturator process of the ischium, and long chevrons in the tail. In particular, Ostrom found that Archaeopteryx was remarkably similar to the theropod family Dromaeosauridae. Archaeopteryx had three separate digits on each fore-leg each ending with a "claw". Few birds have such features. Some birds such as ducks, swans and Jacanas (Jacana sp.) and the hoatzin (Opisthocomus hoazin) have them concealed beneath the feathers. Plumage Specimens of Archaeopteryx were most notable for their well-developed flight feathers. They were markedly asymmetrical and showed the structure of flight feathers in modern birds, with vanes given stability by a barb-barbule-barbicel arrangement. The tail feathers were less asymmetrical, again in line with the situation in modern birds and also had firm vanes. The thumb did not yet bear a separately movable tuft of stiff feathers. The body plumage of Archaeopteryx is less well documented and has only been properly researched in the well-preserved Berlin specimen. Thus, as more than one species seems to be involved, the research into the Berlin specimen's feathers does not necessarily hold true for the rest of the species of Archaeopteryx. In the Berlin specimen, there are "trousers" of well-developed feathers on the legs; some of these feathers seem to have a basic contour feather structure, but are somewhat decomposed (they lack barbicels as in ratites). In part they are firm and thus capable of supporting flight. A patch of pennaceous feathers is found running along its back, which was quite similar to the contour feathers of the body plumage of modern birds in being symmetrical and firm, although not as stiff as the flight-related feathers. Apart from that, the feather traces in the Berlin specimen are limited to a sort of "proto-down" not dissimilar to that found in the dinosaur Sinosauropteryx: decomposed and fluffy, and possibly even appearing more like fur than feathers in life (although not in their microscopic structure). These occur on the remainder of the body—although some feathers did not fossilize and others were obliterated during preparation, leaving bare patches on specimens—and the lower neck. There is no indication of feathering on the upper neck and head. While these conceivably may have been nude, this may still be an artefact of preservation. It appears that most Archaeopteryx specimens became embedded in anoxic sediment after drifting some time on their backs in the sea—the head, neck and the tail are generally bent downward, which suggests that the specimens had just started to rot when they were embedded, with tendons and muscle relaxing so that the characteristic shape (death pose) of the fossil specimens was achieved. This would mean that the skin already was softened and loose, which is bolstered by the fact that in some specimens the flight feathers were starting to detach at the point of embedding in the sediment. So it is hypothesized that the pertinent specimens moved along the sea bed in shallow water for some time before burial, the head and upper neck feathers sloughing off, while the more firmly attached tail feathers remained. Colouration In 2011, graduate student Ryan Carney and colleagues performed the first colour study on an Archaeopteryx specimen. Using scanning electron microscopy technology and energy-dispersive X-ray analysis, the team was able to detect the structure of melanosomes in the isolated feather specimen described in 1861. The resultant measurements were then compared to those of 87 modern bird species, and the original colour was calculated with a 95% likelihood to be black. The feather was determined to be black throughout, with heavier pigmentation in the distal tip. The feather studied was most probably a dorsal covert, which would have partly covered the primary feathers on the wings. The study does not mean that Archaeopteryx was entirely black, but suggests that it had some black colouration which included the coverts. Carney pointed out that this is consistent with what we know of modern flight characteristics, in that black melanosomes have structural properties that strengthen feathers for flight. In a 2013 study published in the Journal of Analytical Atomic Spectrometry, new analyses of Archaeopteryxs feathers revealed that the animal may have had complex light- and dark-coloured plumage, with heavier pigmentation in the distal tips and outer vanes. This analysis of color distribution was based primarily on the distribution of sulphate within the fossil. An author on the previous Archaeopteryx color study argued against the interpretation of such biomarkers as an indicator of eumelanin in the full Archaeopteryx specimen. Carney and other colleagues also argued against the 2013 study's interpretation of the sulphate and trace metals, and in a 2020 study published in Scientific Reports demonstrated that the isolated covert feather was entirely matte black (as opposed to black and white, or iridescent) and that the remaining "plumage patterns of Archaeopteryx remain unknown". Classification Today, fossils of the genus Archaeopteryx are usually assigned to one or two species, A. lithographica and A. siemensii, but their taxonomic history is complicated. Ten names have been published for the handful of specimens. As interpreted today, the name A. lithographica only referred to the single feather described by Meyer. In 1954 Gavin de Beer concluded that the London specimen was the holotype. In 1960, Swinton accordingly proposed that the name Archaeopteryx lithographica be placed on the official genera list making the alternative names Griphosaurus and Griphornis invalid. The ICZN, implicitly accepting de Beer's standpoint, did indeed suppress the plethora of alternative names initially proposed for the first skeleton specimens, which mainly resulted from the acrimonious dispute between Meyer and his opponent Johann Andreas Wagner (whose Griphosaurus problematicus – 'problematic riddle-lizard' – was a vitriolic sneer at Meyer's Archaeopteryx). In addition, in 1977, the Commission ruled that the first species name of the Haarlem specimen, crassipes, described by Meyer as a pterosaur before its true nature was realized, was not to be given preference over lithographica in instances where scientists considered them to represent the same species. It has been noted that the feather, the first specimen of Archaeopteryx described, does not correspond well with the flight-related feathers of Archaeopteryx. It certainly is a flight feather of a contemporary species, but its size and proportions indicate that it may belong to another, smaller species of feathered theropod, of which only this feather is known so far. As the feather had been designated the type specimen, the name Archaeopteryx should then no longer be applied to the skeletons, thus creating significant nomenclatorial confusion. In 2007, two sets of scientists therefore petitioned the ICZN requesting that the London specimen explicitly be made the type by designating it as the new holotype specimen, or neotype. This suggestion was upheld by the ICZN after four years of debate, and the London specimen was designated the neotype on 3 October 2011. Below is a cladogram published in 2013 by Godefroit et al. Species It has been argued that all the specimens belong to the same species, A. lithographica. Differences do exist among the specimens, and while some researchers regard these as due to the different ages of the specimens, some may be related to actual species diversity. In particular, the Munich, Eichstätt, Solnhofen, and Thermopolis specimens differ from the London, Berlin, and Haarlem specimens in being smaller or much larger, having different finger proportions, having more slender snouts lined with forward-pointing teeth, and possible presence of a sternum. Due to these differences, most individual specimens have been given their own species name at one point or another. The Berlin specimen has been designated as Archaeornis siemensii, the Eichstätt specimen as Jurapteryx recurva, the Munich specimen as Archaeopteryx bavarica, and the Solnhofen specimen as Wellnhoferia grandis. In 2007, a review of all well-preserved specimens including the then-newly discovered Thermopolis specimen concluded that two distinct species of Archaeopteryx could be supported: A. lithographica (consisting of at least the London and Solnhofen specimens), and A. siemensii (consisting of at least the Berlin, Munich, and Thermopolis specimens). The two species are distinguished primarily by large flexor tubercles on the foot claws in A. lithographica (the claws of A. siemensii specimens being relatively simple and straight). A. lithographica also had a constricted portion of the crown in some teeth and a stouter metatarsus. A supposed additional species, Wellnhoferia grandis (based on the Solnhofen specimen), seems to be indistinguishable from A. lithographica except in its larger size. Synonyms If two names are given, the first denotes the original describer of the "species", the second the author on whom the given name combination is based. As always in zoological nomenclature, putting an author's name in parentheses denotes that the taxon was originally described in a different genus. Archaeopteryx lithographica Meyer, 1861 [conserved name] Archaeopterix lithographica Anon., 1861 [lapsus] Griphosaurus problematicus Wagner, 1862 [rejected name 1961 per ICZN Opinion 607] Griphornis longicaudatus Owen vide Woodward, 1862 [rejected name 1961 per ICZN Opinion 607] Archaeopteryx macrura Owen, 1862 [rejected name 1961 per ICZN Opinion 607] Archaeopteryx oweni Petronievics, 1917 [rejected name 1961 per ICZN Opinion 607] Archaeopteryx recurva Howgate, 1984 Jurapteryx recurva (Howgate, 1984) Howgate, 1985 Wellnhoferia grandis Elżanowski, 2001 Archaeopteryx siemensii Dames, 1897Archaeornis siemensii (Dames, 1897) Petronievics, 1917 Archaeopteryx bavarica Wellnhofer, 1993"Archaeopteryx" vicensensis (Anon. fide Lambrecht, 1933) is a nomen nudum for what appears to be an undescribed pterosaur. Phylogenetic position Modern paleontology has often classified Archaeopteryx as the most primitive bird. It is not thought to be a true ancestor of modern birds, but rather, a close relative of that ancestor. Nonetheless, Archaeopteryx was often used as a model of the true ancestral bird. Several authors have done so. Lowe (1935) and Thulborn (1984) questioned whether Archaeopteryx truly was the first bird. They suggested that Archaeopteryx was a dinosaur that was no more closely related to birds than were other dinosaur groups. Kurzanov (1987) suggested that Avimimus was more likely to be the ancestor of all birds than Archaeopteryx. Barsbold (1983) and Zweers and Van den Berge (1997) noted that many maniraptoran lineages are extremely birdlike, and they suggested that different groups of birds may have descended from different dinosaur ancestors. The discovery of the closely related Xiaotingia in 2011 led to new phylogenetic analyses that suggested that Archaeopteryx is a deinonychosaur rather than an avialan, and therefore, not a "bird" under most common uses of that term. A more thorough analysis was published soon after to test this hypothesis, and failed to arrive at the same result; it found Archaeopteryx in its traditional position at the base of Avialae, while Xiaotingia was recovered as a basal dromaeosaurid or troodontid. The authors of the follow-up study noted that uncertainties still exist, and that it may not be possible to state confidently whether or not Archaeopteryx is a member of Avialae or not, barring new and better specimens of relevant species. Phylogenetic studies conducted by Senter, et al. (2012) and Turner, Makovicky, and Norell (2012) also Archaeopteryx to be more closely related to living birds than to dromaeosaurids and troodontids. On the other hand, Godefroit, et al. (2013) recovered Archaeopteryx as more closely related to dromaeosaurids and troodontids in the analysis included in their description of Eosinopteryx brevipenna. The authors used a modified version of the matrix from the study describing Xiaotingia, adding Jinfengopteryx elegans and Eosinopteryx brevipenna to it, as well as adding four additional characters related to the development of the plumage. Unlike the analysis from the description of Xiaotingia, the analysis conducted by Godefroit, et al. did not find Archaeopteryx to be related particularly closely to Anchiornis and Xiaotingia, which were recovered as basal troodontids instead. Agnolín and Novas (2013) found Archaeopteryx and (possibly synonymous) Wellnhoferia to be form a clade sister to the lineage including Jeholornis and Pygostylia, with Microraptoria, Unenlagiinae, and the clade containing Anchiornis and Xiaotingia being successively closer outgroups to the Avialae (defined by the authors as the clade stemming from the last common ancestor of Archaeopteryx and Aves). Another phylogenetic study by Godefroit, et al., using a more inclusive matrix than the one from the analysis in the description of Eosinopteryx brevipenna, also found Archaeopteryx to be a member of Avialae (defined by the authors as the most inclusive clade containing Passer domesticus, but not Dromaeosaurus albertensis or Troodon formosus). Archaeopteryx was found to form a grade at the base of Avialae with Xiaotingia, Anchiornis, and Aurornis. Compared to Archaeopteryx, Xiaotingia was found to be more closely related to extant birds, while both Anchiornis and Aurornis were found to be more distantly so. Hu et al. (2018), Wang et al. (2018) and Hartman et al. (2019) found Archaeopteryx to have been a deinonychosaur instead of an avialan. More specifically, it and closely related taxa were considered basal deinonychosaurs, with dromaeosaurids and troodontids forming together a parallel lineage within the group. Because Hartman et al. found Archaeopteryx isolated in a group of flightless deinonychosaurs (otherwise considered "anchiornithids"), they considered it highly probable that this animal evolved flight independently from bird ancestors (and from Microraptor and Yi). The following cladogram illustrates their hypothesis regarding the position of Archaeopteryx: The authors, however, found that the Archaeopteryx being an avialan was only slightly less likely than this hypothesis, and as likely as Archaeopterygidae and Troodontidae being sister clades. Palaeobiology Flight As in the wings of modern birds, the flight feathers of Archaeopteryx were somewhat asymmetrical and the tail feathers were rather broad. This implies that the wings and tail were used for lift generation, but it is unclear whether Archaeopteryx was capable of flapping flight or simply a glider. The lack of a bony breastbone suggests that Archaeopteryx was not a very strong flier, but flight muscles might have attached to the thick, boomerang-shaped wishbone, the platelike coracoids, or perhaps, to a cartilaginous sternum. The sideways orientation of the glenoid (shoulder) joint between scapula, coracoid, and humerus—instead of the dorsally angled arrangement found in modern birds—may indicate that Archaeopteryx was unable to lift its wings above its back, a requirement for the upstroke found in modern flapping flight. According to
but a cartilaginous sternum may have been present. Only the front of its face is missing. It has been used as the basis for a distinct species, A. bavarica, but more recent studies suggest it belongs to A. siemensii. An eighth, fragmentary specimen was discovered in 1990 in the younger Mörnsheim Formation at Daiting, Suevia. Therefore, it is known as the Daiting Specimen, and had been known since 1996 only from a cast, briefly shown at the Naturkundemuseum in Bamberg. The original was purchased by palaeontologist Raimund Albertsdörfer in 2009. It was on display for the first time with six other original fossils of Archaeopteryx at the Munich Mineral Show in October 2009. The Daiting Specimen was subsequently named Archaeopteryx albersdoerferi by Kundrat et al. (2018). Another fragmentary fossil was found in 2000. It is in private possession and, since 2004, on loan to the Bürgermeister-Müller Museum in Solnhofen, so it is called the Bürgermeister-Müller Specimen; the institute itself officially refers to it as the "Exemplar of the families Ottman & Steil, Solnhofen". As the fragment represents the remains of a single wing of Archaeopteryx, the popular name of this fossil is "chicken wing". Long in a private collection in Switzerland, the Thermopolis Specimen (WDC CSG 100) was discovered in Bavaria and described in 2005 by Mayr, Pohl, and Peters. Donated to the Wyoming Dinosaur Center in Thermopolis, Wyoming, it has the best-preserved head and feet; most of the neck and the lower jaw have not been preserved. The "Thermopolis" specimen was described on 2 December 2005 Science journal article as "A well-preserved Archaeopteryx specimen with theropod features"; it shows that Archaeopteryx lacked a reversed toe—a universal feature of birds—limiting its ability to perch on branches and implying a terrestrial or trunk-climbing lifestyle. This has been interpreted as evidence of theropod ancestry. In 1988, Gregory S. Paul claimed to have found evidence of a hyperextensible second toe, but this was not verified and accepted by other scientists until the Thermopolis specimen was described. "Until now, the feature was thought to belong only to the species' close relatives, the deinonychosaurs." The Thermopolis Specimen was assigned to Archaeopteryx siemensii in 2007. The specimen is considered to represent the most complete and best-preserved Archaeopteryx remains yet. The discovery of an eleventh specimen was announced in 2011, and it was described in 2014. It is one of the more complete specimens, but is missing much of the skull and one forelimb. It is privately owned and has yet to be given a name. Palaeontologists of the Ludwig Maximilian University of Munich studied the specimen, which revealed previously unknown features of the plumage, such as feathers on both the upper and lower legs and metatarsus, and the only preserved tail tip. A twelfth specimen had been discovered by an amateur collector in 2010 at the Schamhaupten quarry, but the finding was only announced in February 2014. It was scientifically described in 2018. It represents a complete and mostly articulated skeleton with skull. It is the only specimen lacking preserved feathers. It is from the Painten Formation and somewhat older than the other specimens. Authenticity Beginning in 1985, an amateur group including astronomer Fred Hoyle and physicist Lee Spetner published a series of papers claiming that the feathers on the Berlin and London specimens of Archaeopteryx were forged. Their claims were repudiated by Alan J. Charig and others at the Natural History Museum in London. Most of their supposed evidence for a forgery was based on unfamiliarity with the processes of lithification; for example, they proposed that, based on the difference in texture associated with the feathers, feather impressions were applied to a thin layer of cement, without realizing that feathers themselves would have caused a textural difference. They also misinterpreted the fossils, claiming that the tail was forged as one large feather, when visibly this is not the case. In addition, they claimed that the other specimens of Archaeopteryx known at the time did not have feathers, which is incorrect; the Maxberg and Eichstätt specimens have obvious feathers. They also expressed disbelief that slabs would split so smoothly, or that one half of a slab containing fossils would have good preservation, but not the counterslab. These are common properties of Solnhofen fossils, because the dead animals would fall onto hardened surfaces, which would form a natural plane for the future slabs to split along and would leave the bulk of the fossil on one side and little on the other. Finally, the motives they suggested for a forgery are not strong, and are contradictory; one is that Richard Owen wanted to forge evidence in support of Charles Darwin's theory of evolution, which is unlikely given Owen's views toward Darwin and his theory. The other is that Owen wanted to set a trap for Darwin, hoping the latter would support the fossils so Owen could discredit him with the forgery; this is unlikely because Owen wrote a detailed paper on the London specimen, so such an action would certainly backfire. Charig et al. pointed to the presence of hairline cracks in the slabs running through both rock and fossil impressions, and mineral growth over the slabs that had occurred before discovery and preparation, as evidence that the feathers were original. Spetner et al. then attempted to show that the cracks would have propagated naturally through their postulated cement layer, but neglected to account for the fact that the cracks were old and had been filled with calcite, and thus were not able to propagate. They also attempted to show the presence of cement on the London specimen through X-ray spectroscopy, and did find something that was not rock; it was not cement either, and is most probably a fragment of silicone rubber left behind when moulds were made of the specimen. Their suggestions have not been taken seriously by palaeontologists, as their evidence was largely based on misunderstandings of geology, and they never discussed the other feather-bearing specimens, which have increased in number since then. Charig et al. reported a discolouration: a dark band between two layers of limestone – they say it is the product of sedimentation. It is natural for limestone to take on the colour of its surroundings and most limestones are coloured (if not colour banded) to some degree, so the darkness was attributed to such impurities. They also mention that a complete absence of air bubbles in the rock slabs is further proof that the specimen is authentic. Description Most of the specimens of Archaeopteryx that have been discovered come from the Solnhofen limestone in Bavaria, southern Germany, which is a , a rare and remarkable geological formation known for its superbly detailed fossils laid down during the early Tithonian stage of the Jurassic period, approximately 150.8–148.5million years ago. Archaeopteryx was roughly the size of a raven, with broad wings that were rounded at the ends and a long tail compared to its body length. It could reach up to in body length, with an estimated mass of . Archaeopteryx feathers, although less documented than its other features, were very similar in structure to modern-day bird feathers. Despite the presence of numerous avian features, Archaeopteryx had many non-avian theropod dinosaur characteristics. Unlike modern birds, Archaeopteryx had small teeth, as well as a long bony tail, features which Archaeopteryx shared with other dinosaurs of the time. Because it displays features common to both birds and non-avian dinosaurs, Archaeopteryx has often been considered a link between them. In the 1970s, John Ostrom, following Thomas Henry Huxley's lead in 1868, argued that birds evolved within theropod dinosaurs and Archaeopteryx was a critical piece of evidence for this argument; it had several avian features, such as a wishbone, flight feathers, wings, and a partially reversed first toe along with dinosaur and theropod features. For instance, it has a long ascending process of the ankle bone, interdental plates, an obturator process of the ischium, and long chevrons in the tail. In particular, Ostrom found that Archaeopteryx was remarkably similar to the theropod family Dromaeosauridae. Archaeopteryx had three separate digits on each fore-leg each ending with a "claw". Few birds have such features. Some birds such as ducks, swans and Jacanas (Jacana sp.) and the hoatzin (Opisthocomus hoazin) have them concealed beneath the feathers. Plumage Specimens of Archaeopteryx were most notable for their well-developed flight feathers. They were markedly asymmetrical and showed the structure of flight feathers in modern birds, with vanes given stability by a barb-barbule-barbicel arrangement. The tail feathers were less asymmetrical, again in line with the situation in modern birds and also had firm vanes. The thumb did not yet bear a separately movable tuft of stiff feathers. The body plumage of Archaeopteryx is less well documented and has only been properly researched in the well-preserved Berlin specimen. Thus, as more than one species seems to be involved, the research into the Berlin specimen's feathers does not necessarily hold true for the rest of the species of Archaeopteryx. In the Berlin specimen, there are "trousers" of well-developed feathers on the legs; some of these feathers seem to have a basic contour feather structure, but are somewhat decomposed (they lack barbicels as in ratites). In part they are firm and thus capable of supporting flight. A patch of pennaceous feathers is found running along its back, which was quite similar to the contour feathers of the body plumage of modern birds in being symmetrical and firm, although not as stiff as the flight-related feathers. Apart from that, the feather traces in the Berlin specimen are limited to a sort of "proto-down" not dissimilar to that found in the dinosaur Sinosauropteryx: decomposed and fluffy, and possibly even appearing more like fur than feathers in life (although not in their microscopic structure). These occur on the remainder of the body—although some feathers did not fossilize and others were obliterated during preparation, leaving bare patches on specimens—and the lower neck. There is no indication of feathering on the upper neck and head. While these conceivably may have been nude, this may still be an artefact of preservation. It appears that most Archaeopteryx specimens became embedded in anoxic sediment after drifting some time on their backs in the sea—the head, neck and the tail are generally bent downward, which suggests that the specimens had just started to rot when they were embedded, with tendons and muscle relaxing so that the characteristic shape (death pose) of the fossil specimens was achieved. This would mean that the skin already was softened and loose, which is bolstered by the fact that in some specimens the flight feathers were starting to detach at the point of embedding in the sediment. So it is hypothesized that the pertinent specimens moved along the sea bed in shallow water for some time before burial, the head and upper neck feathers sloughing off, while the more firmly attached tail feathers remained. Colouration In 2011, graduate student Ryan Carney and colleagues performed the first colour study on an Archaeopteryx specimen. Using scanning electron microscopy technology and energy-dispersive X-ray analysis, the team was able to detect the structure of melanosomes in the isolated feather specimen described in 1861. The resultant measurements were then compared to those of 87 modern bird species, and the original colour was calculated with a 95% likelihood to be black. The feather was determined to be black throughout, with heavier pigmentation in the distal tip. The feather studied was most probably a dorsal covert, which would have partly covered the primary feathers on the wings. The study does not mean that Archaeopteryx was entirely black, but suggests that it had some black colouration which included the coverts. Carney pointed out that this is consistent with what we know of modern flight characteristics, in that
partly successful experiment" and added, "Mr. Laurents has exchanged insolence for innocence and, as with most such bargains, there are dividends and losses." The national tour (2011-2012) was directed by David Saint, who was Laurents' assistant director on the Broadway production. The Spanish lyrics and dialog were reduced from about 18% of the total to about 10%. Film career Laurents' first Hollywood experience proved to be a frustrating disappointment. Director Anatole Litvak, unhappy with the script submitted by Frank Partos and Millen Brand for The Snake Pit (1948), hired Laurents to rewrite it. Partos and Brand later insisted the bulk of the shooting script was theirs, and produced carbon copies of many of the pages Laurents actually had written to bolster their claim. Having destroyed the original script and all his notes and rewritten pages after completing the project, Laurents had no way to prove most of the work was his, and the Writers Guild of America denied him screen credit. Brand later confessed he and Partos had copied scenes written by Laurents and apologized for his role in the deception. Four decades later, Laurents learned he was ineligible for WGA health benefits because he had failed to accumulate enough credits to qualify. He was short by one, the one he failed to get for The Snake Pit. Upon hearing 20th Century Fox executives were pleased with Laurents' work on The Snake Pit, Alfred Hitchcock hired him for his next project, the film Rope starring James Stewart. Hitchcock wanted Laurents to Americanize the British play Rope (1929) by Patrick Hamilton for the screen. With his then-lover Farley Granger set to star, Laurents was happy to accept the assignment. His dilemma was how to make the audience aware of the fact the three main characters were homosexual without blatantly saying so. The Hays Office kept close tabs on his work, and the final script was so discreet that Laurents was unsure whether co-star James Stewart ever realized that his character was gay. In later years, Hitchcock asked him to script both Torn Curtain (1966) and Topaz (1969), However, Laurents, in both cases unenthused by the material, declined the offers. Laurents also scripted Anastasia (1956) and Bonjour Tristesse (1958). The Way We Were (1973), in which he incorporated many of his own experiences, particularly those with the HUAC, reunited him with Barbra Streisand, and The Turning Point (1977), inspired in part by his love for Nora Kaye, was directed by her husband Herbert Ross. The Fox animated feature film Anastasia (1997) was based in part from his screenplay of the live-action 1956 film of the same title. Blacklist Because of a casual remark made by Russel Crouse, Laurents was called to Washington, D.C., to account for his political views. He explained himself to the House Un-American Activities Committee, and his appearance had no obvious impact on his career, which at the time was primarily in the theatre. When the McCarran Internal Security Act, which prohibited individuals suspected of engaging in subversive activities from obtaining a passport, was passed in 1950, Laurents and Granger immediately applied for and received passports and departed for Paris with Harold Clurman and his wife Stella Adler. Laurents and Granger remained abroad, traveling throughout Europe and northern Africa, for about 18 months. Years earlier, Laurents and Jerome Robbins had developed Look Ma, I'm Dancin'! (1948), a stage musical about the world of ballet that ran for 188 performances on Broadway, and starred Nancy Walker and Harold Lang. (Although the musical was ultimately produced with a book by Jerome Lawrence and Robert E. Lee, as Laurents left the project.) Robbins approached Paramount Pictures about directing a screen version, and the studio agreed as long as Laurents was not part of the package. It was not until then that Laurents learned he officially had been blacklisted, primarily because a review of Home of the Brave had been published in the Daily Worker. He decided to return to Paris, but the State Department refused to renew his passport. Laurents spent three months trying to clear his name, and after submitting a lengthy letter explaining his political beliefs in detail, it was determined they were so idiosyncratic he could not have been a member of any subversive groups. Within a week his passport was renewed, and the following day he sailed for Europe on the Ile de France. While on board, he received a cable from Metro-Goldwyn-Mayer offering him a screenwriting assignment. The blacklist had ended. Memoirs Laurents wrote Original Story By Arthur Laurents: A Memoir of Broadway and Hollywood, published in 2000. In it, he discusses his lengthy career and his many gay affairs and long-term relationships, including those with Farley Granger and Tom Hatcher (August 24, 1929 - October 26, 2006). Hatcher was an aspiring actor whom Gore Vidal suggested Laurents seek out at the Beverly Hills men's clothing store Hatcher was managing at the time. The couple remained together for 52 years until Hatcher's death on October 26, 2006. Laurents wrote Mainly on Directing: Gypsy, West Side Story and Other Musicals, published in 2009, in which he discussed musicals he directed and the work of other directors he admired. His last memoir titled The Rest of the Story was published posthumously in September 2012. Death Laurents died at the age of 93 at his home in Manhattan on May 5, 2011 of pneumonia complications, as reported by The New York Times. Following a long tradition, Broadway theatre lights were dimmed at 8 p.m. on May 6, 2011, for one minute in his memory. His ashes were buried alongside those of Tom Hatcher in a memorial bench in Quogue, Long Island, New York. Work Writing Musicals West Side Story – 1957 – Tony Nomination for Best Musical Gypsy – 1959 – Tony Nomination for Best Musical Anyone Can Whistle – 1964 Do I Hear a Waltz? – 1965 Hallelujah, Baby! – 1967 – Tony Award for Best Musical The Madwoman of Central Park West – 1979 Nick & Nora – 1991 Novels The Way We Were – 1972; Harper & Row (New York City) The Turning Point – 1977; New American Library (New York City); Plays Home of the
New York City. His first stage play, Home of the Brave, was produced in 1945. The sale of the play to a film studio gave Laurents the entrée he needed to become a Hollywood screenwriter though he continued, with mixed success, to write plays. The most important of his early screenplays is his adaptation of Rope for Alfred Hitchcock. Soon after being discharged from the Army, Laurents met ballerina Nora Kaye, and the two became involved in an on-again, off-again romantic relationship. While Kaye was on tour with Fancy Free, Laurents continued to write for the radio but was becoming discontented with the medium. At the urging of Martin Gabel, he spent nine consecutive nights writing a play In 1962, Laurents directed I Can Get It for You Wholesale, which helped to turn then-unknown Barbra Streisand into a star. His next project was the stage musical Anyone Can Whistle, which he directed and for which he wrote the book, but it proved to be an infamous flop. He later had success with the musicals Hallelujah, Baby! (written for Lena Horne but ultimately starring Leslie Uggams) and La Cage Aux Folles (1983), which he directed, however Nick & Nora was not successful. In 2008, Laurents directed a Broadway revival of Gypsy starring Patti LuPone, and in 2009, he tackled a bilingual revival of West Side Story, with Spanish translations of some dialogue and lyrics by Lin-Manuel Miranda. While preparing West Side Story, he noted, "The musical theatre and cultural conventions of 1957 made it next to impossible for the characters to have authenticity." Following the production's March 19 opening at the Palace Theatre, Ben Brantley of The New York Times called the translations "an only partly successful experiment" and added, "Mr. Laurents has exchanged insolence for innocence and, as with most such bargains, there are dividends and losses." The national tour (2011-2012) was directed by David Saint, who was Laurents' assistant director on the Broadway production. The Spanish lyrics and dialog were reduced from about 18% of the total to about 10%. Film career Laurents' first Hollywood experience proved to be a frustrating disappointment. Director Anatole Litvak, unhappy with the script submitted by Frank Partos and Millen Brand for The Snake Pit (1948), hired Laurents to rewrite it. Partos and Brand later insisted the bulk of the shooting script was theirs, and produced carbon copies of many of the pages Laurents actually had written to bolster their claim. Having destroyed the original script and all his notes and rewritten pages after completing the project, Laurents had no way to prove most of the work was his, and the Writers Guild of America denied him screen credit. Brand later confessed he and Partos had copied scenes written by Laurents and apologized for his role in the deception. Four decades later, Laurents learned he was ineligible for WGA health benefits because he had failed to accumulate enough credits to qualify. He was short by one, the one he failed to get for The Snake Pit. Upon hearing 20th Century Fox executives were pleased with Laurents' work on The Snake Pit, Alfred Hitchcock hired him for his next project, the film Rope starring James Stewart. Hitchcock wanted Laurents to Americanize the British play Rope (1929) by Patrick Hamilton for the screen. With his then-lover Farley Granger set to star, Laurents was happy to accept the assignment. His dilemma was how to make the audience aware of the fact the three main characters were homosexual without blatantly saying so. The Hays Office kept close tabs on his work, and the final script was so discreet that Laurents was unsure whether co-star James Stewart ever realized that his character was gay. In later years, Hitchcock asked him to script both Torn Curtain (1966) and Topaz (1969), However, Laurents, in both cases unenthused by the material, declined the offers. Laurents also scripted Anastasia (1956) and Bonjour Tristesse (1958). The Way We Were (1973), in which he incorporated many of his own experiences, particularly those with the HUAC, reunited him with Barbra Streisand, and The Turning Point (1977), inspired in part by his love for Nora Kaye, was directed by her husband Herbert Ross. The Fox animated feature film Anastasia (1997) was based in part from his screenplay of the live-action 1956 film of the same title. Blacklist Because of a casual remark made by Russel Crouse, Laurents was called to Washington, D.C., to account for his political views. He explained himself to the House Un-American Activities Committee, and his appearance had no obvious impact on his career, which at the time was primarily in the theatre. When the McCarran Internal Security Act, which prohibited individuals suspected of engaging in subversive activities from obtaining a passport, was passed in 1950, Laurents and Granger immediately applied for and received passports and departed for Paris with Harold Clurman and his wife Stella Adler. Laurents and Granger remained abroad, traveling throughout Europe and northern Africa, for about 18 months. Years earlier, Laurents and Jerome Robbins had developed Look Ma, I'm Dancin'! (1948), a stage musical about the world of ballet that ran for 188 performances on Broadway, and starred Nancy Walker and Harold Lang. (Although the musical was ultimately produced with a book by Jerome Lawrence and Robert E. Lee, as Laurents left the project.) Robbins approached Paramount Pictures about directing a screen version, and the studio agreed as long as Laurents was not part of the package. It was not until then that Laurents learned he officially had been blacklisted, primarily because a review of Home of the Brave had been published in the Daily
Greenberg of Forbes, Lamo was a volunteer "adversary characterization" analyst for Project Vigilant, a Florida-based semi-secret government contractor, which encouraged him to inform the government about the alleged WikiLeaks source. The head of Project Vigilant, Chet Uber, claimed, "I'm the one who called the U.S. government ... All the people who say that Adrian is a narc, he did a patriotic thing. He sees all kinds of hacks, and he was seriously worried about people dying." Lamo was criticized by fellow hackers, such as those at the Hackers on Planet Earth conference in 2010, who labeled him a "snitch". Another commented to Lamo, following his speech during a panel discussion, saying: "From my perspective, I see what you have done as treason." In April 2011, WikiLeaks founder Julian Assange called Lamo "a very disreputable character", and said it was not right to call him a financial contributor to WikiLeaks, since Lamo's monetary support amounted to only US$20 on one occasion. Assange said it was "mischievous to suggest the individual has anything to do with WikiLeaks." Lamo characterized his decision to work with the government as morally ambiguous, but objectively necessary, writing in The Guardian: "There were no right choices that day, only less wrong ones. It was cold, it was needful, and it was no one's to make except mine," adding to The Guardians Ed Pilkington: "There were hundreds of thousands of documents—let's drop the number to 250,000 to be conservative—and doing nothing meant gambling that each and every one would do no harm if no warning was given." The Taliban insurgency later announced its intention to execute Afghan nationals named in the leaks as having cooperated with the U.S.-led coalition in Afghanistan. By that time, the United States had received months of advance warning that their names were among the leaks. Manning was arrested and incarcerated in the U.S. military justice system and later sentenced to 35 years in confinement, which President Barack Obama at the end of his presidential term, commuted the sentence to a total of seven years, including time served. Lamo responded to the commutation with a post on Medium and an interview with U.S. News & World Report. Greenwald, Lamo, and Wired magazine Lamo's role in the Manning case drew criticism from Glenn Greenwald, who suggested that Lamo lied to Manning by turning Manning in, and then lied after the fact to cover up the circumstances of Manning's confessions. This drew a response from Wired: "At his most reasonable, Greenwald impugns our motives, attacks the character of our staff and carefully selects his facts and sources to misrepresent the truth and generate outrage in his readership." In an article about the Manning case, Greenwald mentioned Wired reporter Kevin Poulsen's 1994 felony conviction for computer hacking, suggesting that "over the years, Poulsen has served more or less as Lamo's personal media voice." Greenwald was skeptical of an earlier story by Poulsen about Lamo's institutionalization on psychiatric grounds, writing: "Lamo claimed he was diagnosed with Asperger's syndrome, a somewhat fashionable autism diagnosis which many stars in the computer world have also claimed." In an article entitled "The Worsening Journalistic Disgrace at Wired", Greenwald wrote that Wired was "actively conceal[ing] from the public, for months on end, the key evidence [the full Lamo–Manning chat logs] in a political story that has generated headlines around the world." On July 13, 2011, Wired published the Lamo–Manning chat logs in full, stating: "The most significant of the unpublished details have now been publicly established with sufficient authority that we no longer believe any purpose is served by withholding the logs." Greenwald wrote of the newly released logs that in his opinion they validated his claim that Wired had concealed important evidence. Criticism of Anonymous Lamo had been critical of media coverage of the hacker collective Anonymous, saying that media outlets have over-hyped and mythologized the group. He also said that Anonymous is not the "invulnerable" group it is claimed to be, and he could see "no rational point in what they're doing." Film and television On August 22, 2002, Lamo was removed from a segment of NBC Nightly News when, after being asked to demonstrate his skills for the camera, he gained access to NBC's internal network. NBC was concerned that they broke the law by taping Lamo while he (possibly) broke the law. Lamo was a guest on The Screen Savers five times beginning in 2002. Hackers Wanted, a documentary film focusing on Lamo's life as a hacker, was produced by Trigger Street Productions, and narrated by Kevin Spacey. Focusing on the 2003 hacking scene, the film features interviews with Kevin Rose and Steve Wozniak. The film has not been conventionally released. In May 2009, a video purporting to be a trailer for Hackers Wanted was allegedly leaked to or by the Internet film site Eye Crave Network. In May 2010, an earlier cut of the film was leaked via BitTorrent. According to an insider, what was leaked on the Internet was a very different film from the newer version, which includes additional footage. On June 12, 2010, a director's cut version of the film was also leaked onto torrent sites. Lamo also appeared on Good Morning America, Fox News, Democracy Now!, Frontline, and repeatedly on KCRA-TV News as an expert on netcentric crime and incidents. He was interviewed for the documentaries We Steal Secrets: The Story of WikiLeaks and True Stories: WikiLeaks – Secrets and Lies. Lamo reconnected with Leo Laporte in
the Manning case drew criticism from Glenn Greenwald, who suggested that Lamo lied to Manning by turning Manning in, and then lied after the fact to cover up the circumstances of Manning's confessions. This drew a response from Wired: "At his most reasonable, Greenwald impugns our motives, attacks the character of our staff and carefully selects his facts and sources to misrepresent the truth and generate outrage in his readership." In an article about the Manning case, Greenwald mentioned Wired reporter Kevin Poulsen's 1994 felony conviction for computer hacking, suggesting that "over the years, Poulsen has served more or less as Lamo's personal media voice." Greenwald was skeptical of an earlier story by Poulsen about Lamo's institutionalization on psychiatric grounds, writing: "Lamo claimed he was diagnosed with Asperger's syndrome, a somewhat fashionable autism diagnosis which many stars in the computer world have also claimed." In an article entitled "The Worsening Journalistic Disgrace at Wired", Greenwald wrote that Wired was "actively conceal[ing] from the public, for months on end, the key evidence [the full Lamo–Manning chat logs] in a political story that has generated headlines around the world." On July 13, 2011, Wired published the Lamo–Manning chat logs in full, stating: "The most significant of the unpublished details have now been publicly established with sufficient authority that we no longer believe any purpose is served by withholding the logs." Greenwald wrote of the newly released logs that in his opinion they validated his claim that Wired had concealed important evidence. Criticism of Anonymous Lamo had been critical of media coverage of the hacker collective Anonymous, saying that media outlets have over-hyped and mythologized the group. He also said that Anonymous is not the "invulnerable" group it is claimed to be, and he could see "no rational point in what they're doing." Film and television On August 22, 2002, Lamo was removed from a segment of NBC Nightly News when, after being asked to demonstrate his skills for the camera, he gained access to NBC's internal network. NBC was concerned that they broke the law by taping Lamo while he (possibly) broke the law. Lamo was a guest on The Screen Savers five times beginning in 2002. Hackers Wanted, a documentary film focusing on Lamo's life as a hacker, was produced by Trigger Street Productions, and narrated by Kevin Spacey. Focusing on the 2003 hacking scene, the film features interviews with Kevin Rose and Steve Wozniak. The film has not been conventionally released. In May 2009, a video purporting to be a trailer for Hackers Wanted was allegedly leaked to or by the Internet film site Eye Crave Network. In May 2010, an earlier cut of the film was leaked via BitTorrent. According to an insider, what was leaked on the Internet was a very different film from the newer version, which includes additional footage. On June 12, 2010, a director's cut version of the film was also leaked onto torrent sites. Lamo also appeared on Good Morning America, Fox News, Democracy Now!, Frontline, and repeatedly on KCRA-TV News as an expert on netcentric crime and incidents. He was interviewed for the documentaries We Steal Secrets: The Story of WikiLeaks and True Stories: WikiLeaks – Secrets and Lies. Lamo reconnected with Leo Laporte in 2015 as a result of a Quora article on the "dark web" for an episode of The New Screen Savers. Lamo wrote the book Ask Adrian, a collection of his best Q&A drawn from over 500 pages of Quora answers, which have so far received nearly 30,000,000 views. Personal life and death Lamo was known as the "Homeless Hacker" for his reportedly transient lifestyle, claiming that he spent much of his travels couch-surfing, squatting in abandoned buildings, and traveling to Internet cafés, libraries, and universities to investigate networks, sometimes exploiting security holes. He usually preferred sleeping on couches, and when he did sleep on beds, he didn't sleep under covers. He would also often wander through homes and offices in the middle of the night, by the light of a flashlight. Lamo was bisexual and volunteered for
or is removed from office by impeachment. Each Supreme Court justice has a single vote in deciding the cases argued before it; the chief justice's vote counts no more than that of any other justice. However, the chief justice—when in the majority—decides who writes the court's opinion. Otherwise, the senior justice in the majority assigns the writing of a decision. Furthermore, the chief justice leads the discussion of the case among the justices. The chief justice has certain administrative responsibilities that the other justices do not and is paid slightly more ($286,700 per year as of 2022, as opposed to $274,200 per year for each associate justice). Associate justices have seniority in order of the date their respective commissions bear, although the chief justice is always considered to be the most senior of all the justices. If two justices are commissioned on the same day, the elder is designated the senior justice of the two. Currently, the senior associate justice is Clarence Thomas. By tradition, when the justices are in conference deliberating the outcome of cases before the Supreme Court, the justices state their views in order of seniority. The senior associate justice is also tasked with carrying out the chief justice's duties when he is unable to, or if that office is vacant. Historically, associate justices were styled "Mr. Justice" in court opinions and other writings. The title was shortened to "Justice" in 1980, a year before Sandra Day O'Connor became the first female justice. Current associate justices There are currently eight associate justices on the Supreme Court. The justices, ordered by seniority, are: Retired associate justices An associate justice who leaves the Supreme Court after attaining the age and meeting the service requirements prescribed by federal statute () may retire rather
majority—decides who writes the court's opinion. Otherwise, the senior justice in the majority assigns the writing of a decision. Furthermore, the chief justice leads the discussion of the case among the justices. The chief justice has certain administrative responsibilities that the other justices do not and is paid slightly more ($286,700 per year as of 2022, as opposed to $274,200 per year for each associate justice). Associate justices have seniority in order of the date their respective commissions bear, although the chief justice is always considered to be the most senior of all the justices. If two justices are commissioned on the same day, the elder is designated the senior justice of the two. Currently, the senior associate justice is Clarence Thomas. By tradition, when the justices are in conference deliberating the outcome of cases before the Supreme Court, the justices state their views in order of seniority. The senior associate justice is also tasked with carrying out the chief justice's duties when he is unable to, or if that office is vacant. Historically, associate justices were styled "Mr. Justice" in court opinions and other writings. The title was shortened to "Justice" in 1980, a year before Sandra Day O'Connor became the first female justice. Current associate justices There are currently eight associate justices on the Supreme Court. The justices, ordered by seniority, are: Retired associate justices An associate justice who leaves the Supreme Court after attaining the age and meeting the service requirements prescribed by federal statute () may retire rather than resign. After retirement, they keep their title, and by custom may also keep a set of chambers in the Supreme Court building, and employ law clerks. The names of retired associate justices continue to appear alongside those of the active justices in the bound volumes of Supreme Court decisions. Federal statute () provides that retired Supreme Court justices may serve—if designated and assigned by the chief justice—on panels
He usually spent months on each song and was constantly rewriting them. Lerner was said to have insecurity about his talent. He would sometimes write songs with someone in mind, for instance, "I've Grown Accustomed To Her Face" from My Fair Lady was written with Rex Harrison in mind to complement his very limited vocal range. Lerner said of writing: In a 1979 interview on NPR's All Things Considered, Lerner went into some depth about his lyrics for My Fair Lady. Professor Henry Higgins sings, "Look at her, a prisoner of the gutters / Condemned by every syllable she utters / By right she should be taken out and hung / For the cold-blooded murder of the English tongue." Lerner said he knew the lyric used incorrect grammar for the sake of a rhyme. He was later approached about it by another lyricist: Dramatists Guild Alan Jay Lerner was an advocate for writers' rights in theatre. He was a member of the Dramatists Guild of America. In 1960, he was elected as the twelfth president of the non-profit organization. He continued to serve as the Guild's president until 1964. Personal life For nearly twenty years, Lerner was addicted to amphetamines; during the 1960s he was a patient of Max Jacobson, known as "Dr. Feelgood", who administered injections of "vitamins with enzymes" that were in fact laced with amphetamines. Lerner's addiction is believed to have been the result of Jacobson's practice. Marriages and children Lerner married eight times: Ruth Boyd (1940–1947), singer Marion Bell (1947–1949), actress Nancy Olson (1950–1957), lawyer Micheline Muselli Pozzo di Borgo (1957–1965), editor Karen Gundersen (1966–1974), Sandra Payne (1974–1976), Nina Bushkin (1977–1981) and Liz Robertson (1981–1986 [his death]). Four of his eight wives — Olson, Payne, Bushkin, and Robertson — were actresses. His seventh wife, Nina Bushkin, whom he married on May 30, 1977, was the director of development at Mannes College of Music and the daughter of composer and musician Joey Bushkin. After their divorce in 1981, Lerner was ordered to pay her a settlement of $50,000. Lerner wrote in his autobiography (as quoted by The New York Times): "All I can say is that if I had no flair for marriage, I also had no flair for bachelorhood." One of his ex-wives reportedly said, "Marriage is Alan's way of saying goodbye." Lerner had four children — three daughters, Susan (by Boyd), Liza and Jennifer (by Olson), and one son, screenwriter and journalist Michael Alan Lerner (by di Borgo). Lerner's multiple divorces cost him much of his wealth, but he was primarily responsible for his own financial ups and downs and was apparently less than truthful about his financial fecklessness. One persistent fiction, widely publicized, was that his divorce settlement from Micheline Muselli Pozzo di Borgo (his fourth wife) cost him an estimated $1 million in 1965. This was a gross distortion of the truth. Lerner's pattern of financial mismanagement continued until his death from cancer in 1986, when he reportedly owed the U.S. Internal Revenue Service over US$1,000,000 in back taxes and was unable to pay for his final medical expenses. Death On June 14, 1986, Lerner died of lung cancer in Manhattan at the age of 67. At the time of his death he was married to actress Liz Robertson, who was 36 years his junior. He lived in Center Island, New York. He has a memorial plaque in St Paul's Church, the Actors' Church in Covent Garden in London. Awards and honors American Theater Hall of Fame 1979 Kennedy Center Honors 1985 Academy Award Best Original Screenplay, 1951 An American in Paris Best Adapted Screenplay, 1958 Gigi Best Original Song, 1958 Gigi Golden Globes Best Original Song, 1968 Camelot Best Original Score, 1975 The Little Prince Tony Award Best Book of a Musical, 1957 My Fair Lady Best Original Score, 1957 My Fair Lady and 1974 Gigi New York Drama Critics Circle Best Musical, 1947 Brigadoon Best Musical, 1956 My Fair Lady Johnny Mercer Award Lyric Writing, 1985, Lifetime Works Stage Life of the Party (1942), with Frederick Loewe What's Up? (1943), with Frederick Loewe The Day Before Spring (1945), with Frederick Loewe Brigadoon (1947), with Frederick Loewe Love Life (1948), with Kurt Weill Paint Your Wagon (1951), Frederick Loewe My Fair Lady (1956), with Frederick Loewe Camelot (1960), with Frederick Loewe On a Clear Day You Can See Forever (1965), with Burton Lane Coco (1969), with André Previn Lolita, My Love (1971), with John Barry Gigi (1973), based on the 1958 film of the same name, with Frederick Loewe 1600 Pennsylvania Avenue (1976), with Leonard Bernstein Carmelina (1979), with Burton Lane and Joseph Stein Dance a Little Closer (1983), with Charles Strouse My Man Godfrey (1984), unfinished, with Gerard Kenny Films Source: TCM Royal Wedding, 1951 (screenwriter/lyricist) An American in Paris (1951) (writer) Brigadoon, 1954 (film) (screenwriter/lyricist) Gigi, 1958 (screenwriter/lyricist) The Adventures of Huckleberry Finn, 1960 (lyricist) My Fair Lady, 1964 (screenwriter/lyricist) Camelot, 1967 (screenwriter/lyricist) Paint Your Wagon, 1969 (producer/screenwriter/lyricist) On a Clear Day You Can See Forever, 1970 (screenwriter/lyricist) The Little Prince, 1974 (screenwriter/lyricist) Tribute, 1980 ("It's All for the Best," lyricist) Secret Places, 1984 (title song lyricist) See also Lerner and Loewe Notes References Green, Stanley. The world of musical comedy (Edition 4, 1984), Da Capo Press, Further reading Lerner, Alan Jay (1985). The Street Where I Live. Da Capo Press. Shapiro, Doris (1989). We Danced All Night: My Life Behind the Scenes With Alan Jay Lerner. Barricade Books. Jablonski, Edward (1996). Alan Jay Lerner: A Biography. Henry Holt & Co. Citron, David (1995). The Wordsmiths: Oscar Hammerstein 2nd and Alan Jay Lerner. Oxford University Press. Green, Benny, Editor (1987). A Hymn to Him : The Lyrics of Alan Jay Lerner. Hal Leonard Corporation. Garebian, Keith (1998). The Making of My Fair Lady.
same year Lerner also wrote the Oscar-winning original screenplay for An American in Paris, produced by Arthur Freed and directed by Vincente Minnelli. This was the same team who would later join with Lerner and Loewe to create Gigi. In 1956, Lerner and Loewe unveiled My Fair Lady. By this time, too, Lerner and Burton Lane were already working on a musical about Li'l Abner. Gabriel Pascal owned the rights to Pygmalion, which had been unsuccessful with other composers who tried to adapt it into a musical. Arthur Schwartz and Howard Dietz first tried, and then Richard Rodgers and Oscar Hammerstein II attempted, but gave up and Hammerstein told Lerner, "Pygmalion had no subplot". Lerner and Loewe's adaptation of George Bernard Shaw's Pygmalion retained his social commentary and added appropriate songs for the characters of Henry Higgins and Eliza Doolittle, played originally by Rex Harrison and Julie Andrews. It set box-office records in New York and London. When brought to the screen in 1964, the movie version won eight Oscars, including Best Picture and Best Actor for Rex Harrison. Lerner and Loewe's run of success continued with their next project, a film adaptation of stories from Colette, the Academy Award-winning film musical Gigi, starring Leslie Caron, Louis Jourdan and Maurice Chevalier. The film won all of its nine Oscar nominations, a record at that time, and a special Oscar for co-star Maurice Chevalier. The Lerner-Loewe partnership cracked under the stress of producing the Arthurian Camelot in 1960, with Loewe resisting Lerner's desire to direct as well as write when original director Moss Hart suffered a heart attack in the last few months of rehearsals and died shortly after the show's premiere. Lerner was hospitalized with bleeding ulcers while Loewe continued to have heart troubles. Camelot was a hit nonetheless, and immediately following the assassination of John F. Kennedy, his widow told reporter Theodore H. White that JFK's administration reminded her of the "one brief shining moment" of Lerner and Loewe's Camelot. As of the early 21st century, Camelot was still invoked to describe the idealism, romance, and tragedy of the Kennedy years. Loewe retired to Palm Springs, California, while Lerner went through a series of musicals—some successful, some not—with such composers as André Previn (Coco), John Barry (Lolita, My Love), Leonard Bernstein (1600 Pennsylvania Avenue), Burton Lane (Carmelina) and Charles Strouse (Dance a Little Closer, based on the film, Idiot's Delight, nicknamed Close A Little Faster by Broadway humorists because it closed on opening night). Most biographers blame Lerner's professional decline on the lack of a strong director with whom Lerner could collaborate, as Neil Simon did with Mike Nichols or Stephen Sondheim with Harold Prince. (Moss Hart, who had directed My Fair Lady, died shortly after Camelot opened). In 1965 Lerner collaborated again with Burton Lane on the musical On a Clear Day You Can See Forever, which was adapted for film in 1970. At this time, Lerner was hired by film producer Arthur P. Jacobs to write a treatment for an upcoming film project, Doctor Dolittle, but Lerner abrogated his contract after several non-productive months of non-communicative procrastination and was replaced with Leslie Bricusse. Lerner was inducted into the Songwriters Hall of Fame in 1971. In 1973, Lerner coaxed Loewe out of retirement to augment the Gigi score for a musical stage adaptation. The following year they collaborated on a musical film version of The Little Prince, based on the classic children's tale by Antoine de Saint-Exupéry. This film was a critical and box office failure, but it has gained a modern following. Lerner's autobiography, The Street Where I Live (1978), was an account of three of his and Loewe's successful collaborations, My Fair Lady, Gigi, and Camelot, along with personal information. In the last year of his life, he published The Musical Theatre: A Celebration, a well-reviewed history of the theatre, with personal anecdotes and humor. The Los Angeles Times reviewer wrote: "There are several reasons why this book makes a fine introduction to musical theater. One is that Lerner knows exactly what was new, and when and why....In "The Musical Theatre," one is privy to the judgment of a man... who expresses his opinions in a forthright, warm and personal manner." A book of Lerner's lyrics entitled A Hymn To Him, edited by a British writer Benny Green, was published in 1987. At the time of Lerner's death, he had been working with Gerard Kenny and Kristi Kane in London on a musical version of the film My Man Godfrey. He had also received an urgent call from Andrew Lloyd Webber, asking him to write the lyrics to The Phantom of the Opera. He wrote "Masquerade", but he then informed Webber that he wanted to leave the project because he was losing his memory (he was suffering from metastatic lung cancer) and Charles Hart replaced him. He had turned down an invitation to write the English-language lyrics for the musical version of Les Misérables. After Lerner's death, Paul Blake made a musical revue based on Lerner's lyrics and life entitled Almost Like Being In Love, which featured music by Loewe, Lane, Previn, Strouse, and Weill. The show ran for 10 days at the Herbst Theatre in San Francisco. Songwriting Lerner often struggled with writing his lyrics. He was uncharacteristically able to complete "I Could Have Danced All Night" from My Fair Lady in one 24-hour period. He usually spent months on each song and was constantly rewriting them. Lerner was said to have insecurity about his talent. He would sometimes write songs with someone in mind, for instance, "I've Grown Accustomed To Her Face" from My Fair Lady was written with Rex Harrison in mind to complement his very limited vocal range. Lerner said of writing: In a 1979 interview on NPR's All Things Considered, Lerner went into some depth about his lyrics for My Fair Lady. Professor Henry Higgins sings, "Look at her,
with hillbillies. A bighearted Vermin told his slaving assistant: "I'm proud of having created these characters!! They'll make millions for me!! And if they do — I'll get you a new light bulb!!" Traveling in the same social circles, the two men engaged in a 20-year mutual vendetta, as described by the New York Daily News in 1998: "They crossed paths often, in the midtown watering holes and at National Cartoonists Society banquets, and the city's gossip columns were full of their snarling public donnybrooks." In 1950, Capp wrote a nasty article for The Atlantic, entitled "I Remember Monster". The article recounted Capp's days working for an unnamed "benefactor" with a miserly, swinish personality, who Capp claimed was a never-ending source of inspiration when it came time to create a new unregenerate villain for his comic strip. The thinly-veiled boss was understood to be Ham Fisher. Fisher retaliated, doctoring photostats of Li'l Abner and falsely accusing Capp of sneaking obscenities into his comic strip. Fisher submitted examples of Li'l Abner to Capp's syndicate and to the New York courts, in which Fisher had identified pornographic images that were hidden in the background art. However, the X-rated material had been drawn there by Fisher. Capp was able to refute the accusation by simply showing the original artwork. In 1954, when Capp was applying for a Boston television license, the Federal Communications Commission (FCC) received an anonymous packet of pornographic Li'l Abner drawings. The National Cartoonists Society (NCS) convened an ethics hearing, and Fisher was expelled for the forgery from the same organization that he had helped found; Fisher's scheme had backfired in spectacular fashion. Around the same time, his mansion in Wisconsin was destroyed by a storm. On December 27, 1955, Fisher committed suicide in his studio. The feud and Fisher's suicide were used as the basis for a lurid, highly fictionalized murder mystery, Strip for Murder by Max Allan Collins. Another "feud" seemed to be looming when, in one run of Sunday strips in 1957, Capp lampooned the comic strip Mary Worth as "Mary Worm". The title character was depicted as a nosy, interfering busybody. Allen Saunders, the creator of the Mary Worth strip, returned Capp's fire with the introduction of the character "Hal Rapp", a foul-tempered, ill-mannered, and (ironically) inebriated cartoonist, (Capp was a teetotaler). Later, the "feud" was revealed to be a collaborative hoax that Capp and his longtime pal Saunders had cooked up together. The Capp-Saunders "feud" fooled both editors and readers, generated plenty of free publicity for both strips—and Capp and Saunders had a good laugh when all was revealed. Personality Capp is often associated with two other giants of the medium: Milton Caniff (Terry and the Pirates, Steve Canyon) and Walt Kelly (Pogo). The three cartoonists were close personal friends and professional associates throughout their adult lives, and occasionally, referenced each other in their strips. According to one anecdote (from Al Capp Remembered, 1994), Capp and his brother Elliot ducked out of a dull party at Capp's home—leaving Walt Kelly alone to fend for himself entertaining a group of Argentine envoys who didn't speak English. Kelly retaliated by giving away Capp's baby grand piano. According to Capp, who loved to relate the story, Kelly's two perfectly logical reasons for doing so were: a. to cement diplomatic relations between Argentina and the United States, and b. "Because you can't play the piano, anyway!" (Beetle Bailey creator Mort Walker confirmed the story, relating a slightly expanded version in his autobiography, Mort Walker's Private Scrapbook, 2001.) Milton Caniff offered another anecdote (from Phi Beta Pogo, 1989) involving Capp and Walt Kelly, "two boys from Bridgeport, Connecticut, nose to nose," onstage at a meeting of the Newspaper Comics Council in the sixties. "Walt would say to Al, 'Of course, Al, this is really how you should draw Daisy Mae, I'm only showing you this for your own good.' Then Walt would do a sketch. Capp, of course, got ticked off by this, as you can imagine! So he retaliated by doing his version of Pogo. Unfortunately, the drawings are long gone; no recording was made. What a shame! Nobody anticipated there'd be this dueling back and forth between the two of them ..." Although he was often considered a difficult person, some acquaintances of Capp have stressed that the cartoonist also had a sensitive side. In 1973, upon learning that 12-year-old Ted Kennedy Jr., the son of his political rival Ted Kennedy Sr., had his right leg amputated, Capp wrote the boy an encouraging letter that gave candid advice about dealing with the loss of a limb, which Capp himself had experienced as a boy. One of Capp's grandchildren recalls that at one point, tears were streaming down the cartoonist's cheeks while he was watching a documentary about the Jonestown massacre. Also, it is reported that Capp gave money anonymously to charities and "people in need" at various points in his life. Sexual misconduct claims In her autobiography, American actress Goldie Hawn stated that Capp sexually propositioned her on a casting couch and exposed himself to her when she was 19 years old. When she refused his advances, Capp became angry and told her that she was "never gonna make anything in your life" and that she should "go and marry a Jewish dentist. You'll never get anywhere in this business." Two biographies, one about Goldie Hawn and the other about Grace Kelly, describe Capp as trying to force Kelly into having sex with him, and he later tried to do the same with Hawn. In 1971, investigative journalist Jack Anderson wrote that Capp had exposed his genitals to four female students at the University of Alabama. In 1972, after an incident at the University of Wisconsin–Eau Claire, Capp was arrested. He pleaded guilty to a charge of attempted adultery, while charges of indecent exposure and sodomy were dropped. He was fined US$500 (). In 2019, Jean Kilbourne was inspired by the MeToo movement to publish in Hogan’s Alley her own experience of being groped and sexually solicited by Al Capp while doing freelance writing and research work for him in contemplation of a permanent job in 1967. Production methods Like many cartoonists, Capp made extensive use of assistants (notably Andy Amato, Harvey Curtis, Walter Johnson, and Frank Frazetta). During the extended peak of the strip, the workload grew to include advertising, merchandising, promotional work, public service comics, and other specialty work—in addition to the regular six dailies and one Sunday strip per week. From the early 1940s to the late 1950s, there were scores of Sunday strip-style magazine ads for Cream of Wheat using the Abner characters, and in the 1950s, Fearless Fosdick became a spokesman for Wildroot Cream-Oil hair tonic in a series of daily strip-style print ads. The characters also sold chainsaws, underwear, ties, detergent, candy, soft drinks—including a licensed version of Capp's moonshine creation, Kickapoo Joy Juice—and General Electric and Procter & Gamble products, all requiring special artwork. No matter how much help he had, Capp insisted on his drawing and inking the characters' faces and hands—especially of Abner and Daisy Mae—and his distinctive touch is often discernible. "He had the touch," Frazetta said of Capp in 2008. "He knew how to take an otherwise ordinary drawing and really make it pop. I'll never knock his talent." As is usual with collaborative efforts in comic strips, his name was the only one credited— although, sensitive to his own experience working on Joe Palooka, Capp frequently drew attention to his assistants in interviews and publicity pieces. A 1950 cover story in Time even included photographs of two of his employees, whose roles in the production were detailed by Capp. Ironically, this highly irregular policy (along with the subsequent fame of Frank Frazetta) has led to the misconception that his strip was "ghosted" by other hands. The production of Li'l Abner has been well documented, however. In point of fact, Capp maintained creative control over every stage of production for virtually the entire run of the strip. Capp originated the stories, wrote the dialogue, designed the major characters, rough penciled the preliminary staging and action of each panel, oversaw the finished pencils, and drew and inked the hands and faces of the characters. Frazetta authority David Winiewicz described the everyday working mode of operation in Li'l Abner Dailies: 1954 Volume 20 (Kitchen Sink, 1994): There was also a separate line of comic book titles published by the Caplin family-owned Toby Press, including Shmoo Comics featuring Washable Jones. Cartoonist Mell Lazarus, creator of Miss Peach and Momma, wrote a comic novel in 1963 entitled The Boss Is Crazy, Too which was partly inspired by his apprenticeship days working with Capp and his brother Elliot at Toby. In a seminar at the Charles Schulz Museum on November 8, 2008, Lazarus called his experience at Toby "the five funniest years of my life". Lazarus went on to cite Capp as one of the "four essentials" in the field of newspaper cartoonists, along with Walt Kelly, Charles Schulz, and Milton Caniff. Capp detailed his approach to writing and drawing the stories in an instructional course book for the Famous Artists School, beginning in 1956. In 1959, Capp recorded and released an album for Folkways Records (now owned by the Smithsonian) on which he identified and described "The Mechanics of the Comic Strip". Frazetta, later famous as a fantasy artist, assisted on the strip from 1954 to December 1961. Fascinated by Frazetta's abilities, Capp initially gave him a free hand in an extended daily sequence (about a biker named "Frankie," a caricature of Frazetta) to experiment with the basic look of the strip by adding a bit more realism and detail (particularly to the inking). After editors complained about the stylistic changes, the strip's previous look was restored. During most of his tenure with Capp, Frazetta's primary responsibility—along with various specialty art, such as a series of Li'l Abner greeting cards—was tight-penciling the Sunday pages from studio roughs. This work was collected by Dark Horse Comics in a four-volume hardcover series entitled Al Capp's Li'l Abner: The Frazetta Years. In 1961, Capp, complaining of declining revenue, wanted to have Frazetta continue with a 50% pay cut. "[Capp] said he would cut the salary in half. Goodbye. That was that. I said goodbye," (from Frazetta: Painting with Fire). However, Frazetta returned briefly a few years later to draw a public service comic book called Li'l Abner and the Creatures from Drop-Outer Space, distributed by the Job Corps in 1965. Public service works Capp provided specialty artwork for civic groups, government agencies, and charitable or nonprofit organizations, spanning several decades. The following titles are all single-issue, educational comic books and pamphlets produced for various public services: Al Capp by Li'l Abner— Public service giveaway issued by the Red Cross (1946) Yo' Bets Yo' Life!— Public service giveaway issued by the U.S. Army (circa 1950) Li'l Abner Joins the Navy— Public service giveaway issued by the Dept. of the Navy (1950) Fearless Fosdick and the Case of the Red Feather— Public service giveaway issued by Red Feather Services, a forerunner of United Way (1951) The Youth You Supervise— Public service giveaway issued by the U.S. Department of Labor (1956) Mammy Yokum and the Great Dogpatch Mystery!— Public service giveaway issued by the Anti-Defamation League of B'nai B'rith (1956) Operation: Survival!— Public service giveaway issued by the Dept. of Civil Defense (1957) Natural Disasters!— Public service giveaway issued by the Department of Civil Defense (1957) Martin Luther King and the Montgomery Story— Public service giveaway issued by The Fellowship of Reconciliation (1958) Li'l Abner and the Creatures from Drop-Outer Space— Public service giveaway issued by the Job Corps (1965) In addition, Dogpatch characters were used in national campaigns for the U.S. Treasury, the Cancer Foundation, the March of Dimes, the National Heart Fund, the Sister Kenny Foundation, the Boy Scouts of America, Community Chest, the National Reading Council, Minnesota Tuberculosis and Health Association, Christmas Seals, the National Amputation Foundation, and Disabled American Veterans, among others. Public figure In the Golden Age of the American comic strip, successful cartoonists received a great deal of attention; their professional and private lives were reported in the press, and their celebrity was often nearly sufficient to rival their creations. As Li'l Abner reached its peak years, and following the success of the Shmoos and other high moments in his work, Al Capp achieved a public profile that is still unparalleled in his profession, and arguably exceeded the fame of his strip. "Capp was the best known, most influential and most controversial cartoonist of his era," writes publisher (and leading Shmoo collector) Denis Kitchen. "His personal celebrity transcended comics, reaching the public and influencing the culture in a variety of media. For many years he simultaneously produced the daily strip, a weekly syndicated newspaper column, and a 500-station radio program..." He ran the Boston Summer Theatre with The Phantom cartoonist Lee Falk, bringing in Hollywood actors such as Mae West, Melvyn Douglas, and Claude Rains to star in their live productions. He even briefly considered running for a Massachusetts Senate seat. Vice President Spiro Agnew urged Capp to run in the Democratic Party Massachusetts primary in 1970 against Ted Kennedy, but Capp ultimately declined. (He did, however, donate his services as a speaker at a $100-a-plate fundraiser for Republican Congressman Jack Kemp.) Besides his use of the comic strip to voice his opinions and display his humor, Capp was a popular guest speaker at universities, and on radio and television. He remains the only cartoonist to be embraced by television; no other comic artist to date has come close to Capp's televised exposure. Capp appeared as a regular on The Author Meets the Critics (1948–'54) and made regular, weekly appearances on Today in 1953. He was also a periodic panelist on ABC and NBC's Who Said That? (1948–'55), and co-hosted DuMont's What's the Story? (1953). Between 1952 and 1972, he hosted at least five television shows–three different talk shows called The Al Capp Show (1952 and 1968) and Al Capp (1971–'72), Al Capp's America (a live "chalk talk," with Capp providing a barbed commentary while sketching cartoons, 1954), and a CBS game show called Anyone Can Win (1953). He also hosted similar vehicles on the radio—and was a familiar celebrity guest on various other broadcast programs, including NBC Radio's long-running Monitor with its famous Monitor Beacon audio signature, as a commentator dubbed "An expert of nothing with opinions on everything." His frequent appearances on NBC's The Tonight Show spanned three emcees (Steve Allen, Jack Paar, and Johnny Carson), from the 1950s to the 1970s. One memorable story, as recounted to Johnny Carson, was about his meeting with then-President Dwight D. Eisenhower. As Capp was ushered into the Oval Office, his prosthetic leg suddenly collapsed into a pile of disengaged parts and hinges on the floor. The President immediately turned to an aide and said, "Call Walter Reed (Hospital), or maybe Bethesda," to which Capp replied, "Hell no, just call a good local mechanic!" (Capp also spoofed Carson in his strip, in a 1970 episode called "The Tommy Wholesome Show".) Capp portrayed himself in a cameo role in the Bob Hope film That Certain Feeling, for which he also provided promotional art. He was interviewed live on Person to Person on November 27, 1959, by host Charles Collingwood. He also appeared as himself on The Ed Sullivan Show, Sid Caesar's Your Show of Shows, The Red Skelton Show, The Merv Griffin Show, The Mike Douglas Show, and guested on Ralph Edwards' This Is Your Life on February 12, 1961, with honoree Peter Palmer. Capp also freelanced very successfully as a magazine writer and newspaper columnist, in a wide variety of publications including Life, Show, Pageant, The Atlantic, Esquire, Coronet, and The Saturday Evening Post. Capp was impersonated by comedians Rich Little and David Frye. Although Capp's endorsement activities never rivaled Li'l Abner's or Fearless Fosdick's, he was a celebrity spokesman in print ads for Sheaffer Snorkel fountain pens (along with colleagues and close friends Milton Caniff and Walt Kelly), and—with an irony that became apparent later—a brand of cigarettes (Chesterfield). Capp resumed visiting war amputees during the Korean War and Vietnam War. He toured Vietnam with the USO, entertaining troops along with Art Buchwald and George Plimpton. He served as chairman of the Cartoonists' Committee in President Dwight D. Eisenhower's People-to-People program in 1954 (although Capp had supported Adlai Stevenson for president in 1952 and 1956), which was organized to promote Savings bonds for the U.S. Treasury. Capp had earlier provided the Shmoo for a special Children's Savings Bond in 1949, accompanying President Harry S. Truman at the bond's unveiling ceremony. During the Soviet Union's blockade of West Berlin in 1948, the commanders of the Berlin airlift had cabled Capp, requesting inflatable shmoos as part of "Operation: Little Vittles". Candy-filled shmoos were air-dropped to hungry West Berliners by America's 17th Military Airport Squadron during the humanitarian effort. "When the candy-chocked shmoos were dropped, a near-riot resulted," (reported in Newsweek—October 11, 1948). In addition to his public service work for charitable organizations for the handicapped, Capp also served on the National Reading Council, which was organized to combat illiteracy. He published a column ("Wrong Turn Onto Sesame Street") challenging federally funded public television endowments in favor of educational comics—which, according to Capp, "didn't cost a dime in taxes and never had. I pointed out that a kid could enjoy Sesame Street without learning how to read, but he couldn't enjoy comic strips unless he could read; and that a smaller investment in getting kids to read by supplying them with educational matter in such reading form might make better sense." Capp's academic interests included being one of nineteen original "Trustees and Advisors" for "Endicott, Junior College for Young Woman", located in Pride's Crossing (Beverly), Massachusetts, which was founded in 1939. Al Capp is listed in the 1942 Mingotide Yearbook, representing the first graduating class from Endicott Junior College. The yearbook entry includes his credential as a "Cartoonist for United Feature Syndicate" and a resident of New York City. "Comics," wrote Capp in 1970, "can be a combination of the highest quality of art and text, and many of them are." Capp produced many giveaway educational comic books and public services pamphlets, spanning several decades, for the Red Cross, the Department of Civil Defense, the Department of the Navy, the U.S. Army, the Anti-Defamation League, the Department of Labor, Community Chest (a forerunner of United Way), and the Job Corps. Capp's studio provided special artwork for various civic groups and nonprofit organizations as well. Dogpatch characters were used in national campaigns for the Cancer Foundation, the March of Dimes, the National Heart Fund, the Boy Scouts of America, Minnesota Tuberculosis and Health Association, the National Amputation Foundation, and Disabled American Veterans, among others. They were also used to help sell Christmas Seals. In the early 1960s, Capp regularly wrote a column entitled Al Capp's Column for the newspaper The Schenectady Gazette (currently The Daily Gazette). He was the Playboy interview subject in December 1965, in a conversation conducted by Alvin Toffler. In August 1967, Capp was the narrator and host of an ABC network special called Do Blondes Have More Fun? In 1970, he was the subject of a provocative NBC documentary called This Is Al Capp. The 1960s and 1970s Capp and his family lived in Cambridge, Massachusetts, near Harvard during the entire Vietnam War protest era. The turmoil that Americans were watching on their television sets was happening live—right in his own neighborhood. Campus radicals and "hippies" inevitably became one of Capp's favorite targets in the sixties. Alongside his long-established caricatures of right-wing, big business types such as General Bullmoose and J. Roaringham Fatback, Capp began spoofing counterculture icons such as Joan Baez
ducked out of a dull party at Capp's home—leaving Walt Kelly alone to fend for himself entertaining a group of Argentine envoys who didn't speak English. Kelly retaliated by giving away Capp's baby grand piano. According to Capp, who loved to relate the story, Kelly's two perfectly logical reasons for doing so were: a. to cement diplomatic relations between Argentina and the United States, and b. "Because you can't play the piano, anyway!" (Beetle Bailey creator Mort Walker confirmed the story, relating a slightly expanded version in his autobiography, Mort Walker's Private Scrapbook, 2001.) Milton Caniff offered another anecdote (from Phi Beta Pogo, 1989) involving Capp and Walt Kelly, "two boys from Bridgeport, Connecticut, nose to nose," onstage at a meeting of the Newspaper Comics Council in the sixties. "Walt would say to Al, 'Of course, Al, this is really how you should draw Daisy Mae, I'm only showing you this for your own good.' Then Walt would do a sketch. Capp, of course, got ticked off by this, as you can imagine! So he retaliated by doing his version of Pogo. Unfortunately, the drawings are long gone; no recording was made. What a shame! Nobody anticipated there'd be this dueling back and forth between the two of them ..." Although he was often considered a difficult person, some acquaintances of Capp have stressed that the cartoonist also had a sensitive side. In 1973, upon learning that 12-year-old Ted Kennedy Jr., the son of his political rival Ted Kennedy Sr., had his right leg amputated, Capp wrote the boy an encouraging letter that gave candid advice about dealing with the loss of a limb, which Capp himself had experienced as a boy. One of Capp's grandchildren recalls that at one point, tears were streaming down the cartoonist's cheeks while he was watching a documentary about the Jonestown massacre. Also, it is reported that Capp gave money anonymously to charities and "people in need" at various points in his life. Sexual misconduct claims In her autobiography, American actress Goldie Hawn stated that Capp sexually propositioned her on a casting couch and exposed himself to her when she was 19 years old. When she refused his advances, Capp became angry and told her that she was "never gonna make anything in your life" and that she should "go and marry a Jewish dentist. You'll never get anywhere in this business." Two biographies, one about Goldie Hawn and the other about Grace Kelly, describe Capp as trying to force Kelly into having sex with him, and he later tried to do the same with Hawn. In 1971, investigative journalist Jack Anderson wrote that Capp had exposed his genitals to four female students at the University of Alabama. In 1972, after an incident at the University of Wisconsin–Eau Claire, Capp was arrested. He pleaded guilty to a charge of attempted adultery, while charges of indecent exposure and sodomy were dropped. He was fined US$500 (). In 2019, Jean Kilbourne was inspired by the MeToo movement to publish in Hogan’s Alley her own experience of being groped and sexually solicited by Al Capp while doing freelance writing and research work for him in contemplation of a permanent job in 1967. Production methods Like many cartoonists, Capp made extensive use of assistants (notably Andy Amato, Harvey Curtis, Walter Johnson, and Frank Frazetta). During the extended peak of the strip, the workload grew to include advertising, merchandising, promotional work, public service comics, and other specialty work—in addition to the regular six dailies and one Sunday strip per week. From the early 1940s to the late 1950s, there were scores of Sunday strip-style magazine ads for Cream of Wheat using the Abner characters, and in the 1950s, Fearless Fosdick became a spokesman for Wildroot Cream-Oil hair tonic in a series of daily strip-style print ads. The characters also sold chainsaws, underwear, ties, detergent, candy, soft drinks—including a licensed version of Capp's moonshine creation, Kickapoo Joy Juice—and General Electric and Procter & Gamble products, all requiring special artwork. No matter how much help he had, Capp insisted on his drawing and inking the characters' faces and hands—especially of Abner and Daisy Mae—and his distinctive touch is often discernible. "He had the touch," Frazetta said of Capp in 2008. "He knew how to take an otherwise ordinary drawing and really make it pop. I'll never knock his talent." As is usual with collaborative efforts in comic strips, his name was the only one credited— although, sensitive to his own experience working on Joe Palooka, Capp frequently drew attention to his assistants in interviews and publicity pieces. A 1950 cover story in Time even included photographs of two of his employees, whose roles in the production were detailed by Capp. Ironically, this highly irregular policy (along with the subsequent fame of Frank Frazetta) has led to the misconception that his strip was "ghosted" by other hands. The production of Li'l Abner has been well documented, however. In point of fact, Capp maintained creative control over every stage of production for virtually the entire run of the strip. Capp originated the stories, wrote the dialogue, designed the major characters, rough penciled the preliminary staging and action of each panel, oversaw the finished pencils, and drew and inked the hands and faces of the characters. Frazetta authority David Winiewicz described the everyday working mode of operation in Li'l Abner Dailies: 1954 Volume 20 (Kitchen Sink, 1994): There was also a separate line of comic book titles published by the Caplin family-owned Toby Press, including Shmoo Comics featuring Washable Jones. Cartoonist Mell Lazarus, creator of Miss Peach and Momma, wrote a comic novel in 1963 entitled The Boss Is Crazy, Too which was partly inspired by his apprenticeship days working with Capp and his brother Elliot at Toby. In a seminar at the Charles Schulz Museum on November 8, 2008, Lazarus called his experience at Toby "the five funniest years of my life". Lazarus went on to cite Capp as one of the "four essentials" in the field of newspaper cartoonists, along with Walt Kelly, Charles Schulz, and Milton Caniff. Capp detailed his approach to writing and drawing the stories in an instructional course book for the Famous Artists School, beginning in 1956. In 1959, Capp recorded and released an album for Folkways Records (now owned by the Smithsonian) on which he identified and described "The Mechanics of the Comic Strip". Frazetta, later famous as a fantasy artist, assisted on the strip from 1954 to December 1961. Fascinated by Frazetta's abilities, Capp initially gave him a free hand in an extended daily sequence (about a biker named "Frankie," a caricature of Frazetta) to experiment with the basic look of the strip by adding a bit more realism and detail (particularly to the inking). After editors complained about the stylistic changes, the strip's previous look was restored. During most of his tenure with Capp, Frazetta's primary responsibility—along with various specialty art, such as a series of Li'l Abner greeting cards—was tight-penciling the Sunday pages from studio roughs. This work was collected by Dark Horse Comics in a four-volume hardcover series entitled Al Capp's Li'l Abner: The Frazetta Years. In 1961, Capp, complaining of declining revenue, wanted to have Frazetta continue with a 50% pay cut. "[Capp] said he would cut the salary in half. Goodbye. That was that. I said goodbye," (from Frazetta: Painting with Fire). However, Frazetta returned briefly a few years later to draw a public service comic book called Li'l Abner and the Creatures from Drop-Outer Space, distributed by the Job Corps in 1965. Public service works Capp provided specialty artwork for civic groups, government agencies, and charitable or nonprofit organizations, spanning several decades. The following titles are all single-issue, educational comic books and pamphlets produced for various public services: Al Capp by Li'l Abner— Public service giveaway issued by the Red Cross (1946) Yo' Bets Yo' Life!— Public service giveaway issued by the U.S. Army (circa 1950) Li'l Abner Joins the Navy— Public service giveaway issued by the Dept. of the Navy (1950) Fearless Fosdick and the Case of the Red Feather— Public service giveaway issued by Red Feather Services, a forerunner of United Way (1951) The Youth You Supervise— Public service giveaway issued by the U.S. Department of Labor (1956) Mammy Yokum and the Great Dogpatch Mystery!— Public service giveaway issued by the Anti-Defamation League of B'nai B'rith (1956) Operation: Survival!— Public service giveaway issued by the Dept. of Civil Defense (1957) Natural Disasters!— Public service giveaway issued by the Department of Civil Defense (1957) Martin Luther King and the Montgomery Story— Public service giveaway issued by The Fellowship of Reconciliation (1958) Li'l Abner and the Creatures from Drop-Outer Space— Public service giveaway issued by the Job Corps (1965) In addition, Dogpatch characters were used in national campaigns for the U.S. Treasury, the Cancer Foundation, the March of Dimes, the National Heart Fund, the Sister Kenny Foundation, the Boy Scouts of America, Community Chest, the National Reading Council, Minnesota Tuberculosis and Health Association, Christmas Seals, the National Amputation Foundation, and Disabled American Veterans, among others. Public figure In the Golden Age of the American comic strip, successful cartoonists received a great deal of attention; their professional and private lives were reported in the press, and their celebrity was often nearly sufficient to rival their creations. As Li'l Abner reached its peak years, and following the success of the Shmoos and other high moments in his work, Al Capp achieved a public profile that is still unparalleled in his profession, and arguably exceeded the fame of his strip. "Capp was the best known, most influential and most controversial cartoonist of his era," writes publisher (and leading Shmoo collector) Denis Kitchen. "His personal celebrity transcended comics, reaching the public and influencing the culture in a variety of media. For many years he simultaneously produced the daily strip, a weekly syndicated newspaper column, and a 500-station radio program..." He ran the Boston Summer Theatre with The Phantom cartoonist Lee Falk, bringing in Hollywood actors such as Mae West, Melvyn Douglas, and Claude Rains to star in their live productions. He even briefly considered running for a Massachusetts Senate seat. Vice President Spiro Agnew urged Capp to run in the Democratic Party Massachusetts primary in 1970 against Ted Kennedy, but Capp ultimately declined. (He did, however, donate his services as a speaker at a $100-a-plate fundraiser for Republican Congressman Jack Kemp.) Besides his use of the comic strip to voice his opinions and display his humor, Capp was a popular guest speaker at universities, and on radio and television. He remains the only cartoonist to be embraced by television; no other comic artist to date has come close to Capp's televised exposure. Capp appeared as a regular on The Author Meets the Critics (1948–'54) and made regular, weekly appearances on Today in 1953. He was also a periodic panelist on ABC and NBC's Who Said That? (1948–'55), and co-hosted DuMont's What's the Story? (1953). Between 1952 and 1972, he hosted at least five television shows–three different talk shows called The Al Capp Show (1952 and 1968) and Al Capp (1971–'72), Al Capp's America (a live "chalk talk," with Capp providing a barbed commentary while sketching cartoons, 1954), and a CBS game show called Anyone Can Win (1953). He also hosted similar vehicles on the radio—and was a familiar celebrity guest on various other broadcast programs, including NBC Radio's long-running Monitor with its famous Monitor Beacon audio signature, as a commentator dubbed "An expert of nothing with opinions on everything." His frequent appearances on NBC's The Tonight Show spanned three emcees (Steve Allen, Jack Paar, and Johnny Carson), from the 1950s to the 1970s. One memorable story, as recounted to Johnny Carson, was about his meeting with then-President Dwight D. Eisenhower. As Capp was ushered into the Oval Office, his prosthetic leg suddenly collapsed into a pile of disengaged parts and hinges on the floor. The President immediately turned to an aide and said, "Call Walter Reed (Hospital), or maybe Bethesda," to which Capp replied, "Hell no, just call a good local mechanic!" (Capp also spoofed Carson in his strip, in a 1970 episode called "The Tommy Wholesome Show".) Capp portrayed himself in a cameo role in the Bob Hope film That Certain Feeling, for which he also provided promotional art. He was interviewed live on Person to Person on November 27, 1959, by host Charles Collingwood. He also appeared as himself on The Ed Sullivan Show, Sid Caesar's Your Show of Shows, The Red Skelton Show, The Merv Griffin Show, The Mike Douglas Show, and guested on Ralph Edwards' This Is Your Life on February 12, 1961, with honoree Peter Palmer. Capp also freelanced very successfully as a magazine writer and newspaper columnist, in a wide variety of publications including Life, Show, Pageant, The Atlantic, Esquire, Coronet, and The Saturday Evening Post. Capp was impersonated by comedians Rich Little and David Frye. Although Capp's endorsement activities never rivaled Li'l Abner's or Fearless Fosdick's, he was a celebrity spokesman in print ads for Sheaffer Snorkel fountain pens (along with colleagues and close friends Milton Caniff and Walt Kelly), and—with an irony that became apparent later—a brand of cigarettes (Chesterfield). Capp resumed visiting war amputees during the Korean War and Vietnam War. He toured Vietnam with the USO, entertaining troops along with Art Buchwald and George Plimpton. He served as chairman of the Cartoonists' Committee in President Dwight D. Eisenhower's People-to-People program in 1954 (although Capp had supported Adlai Stevenson for president in 1952 and 1956), which was organized to promote Savings bonds for the U.S. Treasury. Capp had earlier provided the Shmoo for a special Children's Savings Bond in 1949, accompanying President Harry S. Truman at the bond's unveiling ceremony. During the Soviet Union's blockade of West Berlin in 1948, the commanders of the Berlin airlift had cabled Capp, requesting inflatable shmoos as part of "Operation: Little Vittles". Candy-filled shmoos were air-dropped to hungry West Berliners by America's 17th Military Airport Squadron during the humanitarian effort. "When the candy-chocked shmoos were dropped, a near-riot resulted," (reported in Newsweek—October 11, 1948). In addition to his public service work for charitable organizations for the handicapped, Capp also served on the National Reading Council, which was organized to combat illiteracy. He published a column ("Wrong Turn Onto Sesame Street") challenging federally funded public television endowments in favor of educational comics—which, according to Capp, "didn't cost a dime in taxes and never had. I pointed out that a kid could enjoy Sesame Street without learning how to read, but he couldn't enjoy comic strips unless he could read; and that a smaller investment in getting kids to read by supplying them with educational matter in such reading form might make better sense." Capp's academic interests included being one of nineteen original "Trustees and Advisors" for "Endicott, Junior College for Young Woman", located in Pride's Crossing (Beverly), Massachusetts, which was founded in 1939. Al Capp is listed in the 1942 Mingotide Yearbook, representing the first graduating class from Endicott Junior College. The yearbook entry includes his credential as a "Cartoonist for United Feature Syndicate" and a resident of New York City. "Comics," wrote Capp in 1970, "can be a combination of the highest quality of art and text, and many of them are." Capp produced many giveaway educational comic books and public services pamphlets, spanning several decades, for the Red Cross, the Department of Civil Defense, the Department of the Navy, the U.S. Army, the Anti-Defamation League, the Department of Labor, Community Chest (a forerunner of United Way), and the Job Corps. Capp's studio provided special artwork for various civic groups and nonprofit organizations as well. Dogpatch characters were used in national campaigns for the Cancer Foundation, the March of Dimes, the National Heart Fund, the Boy Scouts of America, Minnesota Tuberculosis and Health Association, the National Amputation Foundation, and Disabled American Veterans, among others. They were also used to help sell Christmas Seals. In the early 1960s, Capp regularly
Hanks. Druyan and Soter also co-wrote The Search for Life: Are We Alone, narrated by Harrison Ford, which also debuted at the Hayden's Rose Center. In 2000, Druyan co-founded Cosmos Studios, Inc, with Joseph Firmage. As CEO of Cosmos Studios, Druyan produces science-based entertainment for all media. In addition to Cosmos: A SpaceTime Odyssey, Cosmos Studios has produced Cosmic Africa, Lost Dinosaurs of Egypt, and the Emmy-nominated documentary Cosmic Journey: The Voyager Interstellar Mission and Message. In 2009, she distributed a series of podcasts called At Home in the Cosmos with Annie Druyan, in which she described her works, the life of her husband, Carl Sagan, and their marriage. Druyan was one of the three writers of the TV series Cosmos: A Personal Voyage, along with Carl Sagan and Steven Soter. Druyan is credited, with Carl Sagan, as the co-creator and co-producer of the 1997 feature film Contact. In 2011, it was announced that Druyan would executive produce, co-write, and be one of the episodic directors for a sequel to Cosmos: A Personal Voyage, to be called Cosmos: A Spacetime Odyssey, which began airing in March 2014. Episodes premiered on Fox and also aired on National Geographic Channel on the following night. At the time of its release, Fox gave the series the largest global rollout of a television series ever, debuting it in 180 countries. The premiere episode was shown across nine of Fox's cable properties in addition to the broadcast network in a "roadblock" style premiere. The series went on to become the most-watched series ever for National Geographic Channel International, with at least some part of the 13-episode series watched by 135 million people, including 45 million in the U.S. In March 2020, a third season of Cosmos, named Cosmos: Possible Worlds, for which Druyan was executive producer, writer, and director, premiered on National Geographic. Druyan also said: "I very much have season four in mind, and I know what it's going to be. And I even know some of the stories that I want to tell in it." Writing Druyan's first novel, A Famous Broken Heart, was published in 1977. Druyan co-wrote six New York Times best-sellers with Carl Sagan, including: Comet, Shadows of Forgotten Ancestors, and The Demon-Haunted World. She is co-author, along with Carl Sagan, F. D. Drake, Timothy Ferris, Jon Lomberg and Linda Salzman Sagan, of Murmurs Of Earth: The Voyager Interstellar Record. She also wrote the updated introduction to Sagan's book The Cosmic Connection and the epilogue of Billions and Billions. She wrote the introduction to, and edited The Varieties of Scientific Experience, published from Sagan's 1985 Gifford lectures. In February 2020, Druyan published Cosmos: Possible Worlds, a companion volume to the television series of the same name, which premiered in March 2020. Work in science Druyan is a fellow of the Committee for the Scientific Investigation of Claims for the Paranormal (CSICOP). Druyan served as program director of the first solar-sail deep-space mission, Cosmos 1, launched on a Russian ICBM in 2005. Druyan is involved in multiple Breakthrough Initiatives. With Frank Drake, Druyan is the co-chair of Breakthrough Message and also a member of Breakthrough Starshot. She is a member of the advisory board of The Carl Sagan Institute. Activism Druyan has for many years been a vocal advocate for nuclear disarmament. She was arrested three times at the Mercury, Nevada nuclear test site during Mikhail Gorbachev's unilateral moratorium on underground nuclear testing, with which President Ronald Reagan did not cooperate. This included an arrest in June
interest in science. Career In the late 1970s, Druyan became the Creative Director of NASA's Voyager Interstellar Message Project. As creative director, Druyan worked with a team to design a complex message, including music and images, for possible alien civilizations. These golden phonograph records affixed to the Voyager 1 and Voyager 2 spacecraft are now beyond the outermost planets of the solar system, and Voyager 1 has entered interstellar space. Both records have a projected shelf life of one billion years. Druyan's role on the project was discussed on the July 8, 2018, 60 Minutes segment "The Little Spacecraft That Could". In the segment, Druyan explained her insistence that Chuck Berry's "Johnny B. Goode" be included on the Golden Record, saying: "...Johnny B. Goode, rock and roll, was the music of motion, of moving, getting to someplace you've never been before, and the odds are against you, but you want to go. That was Voyager." The segment also discussed Sagan's suggestion, in 1990, that Voyager 1 turn its cameras back towards Earth to take a series of photographs showing the planets of our solar system. The shots, showing Earth from a distance of 3.7 billion miles as a small point of bluish light, became the basis for Sagan's famous "Pale Blue Dot" passage, first published in Pale Blue Dot: A Vision of the Human Future in Space (1994). During that time, Druyan also co-wrote (with Carl Sagan and Steven Soter) the 1980 PBS documentary series Cosmos, hosted by Carl Sagan. The thirteen-part series covered a wide range of scientific subjects, including the origin of life and a perspective of our place in the universe. It was highly acclaimed, and became the most widely watched series in the history of American public television at that time. The series won two Emmys and a Peabody Award, and has since been broadcast in more than 60 countries and seen by over 500 million people. A book was also published to accompany the series. , it is still the most widely watched PBS series in the world. Druyan wrote and produced the 1987 PBS NOVA episode "Confessions of a Weaponeer" on the life of President Eisenhower's Science Advisor George Kistiakowsky. In 2000, Druyan, together with Steve Soter, co-wrote Passport to the Universe, the inaugural planetarium show for the Rose Center for Earth and Space at the American Natural History Museum's Hayden Planetarium. The attraction is narrated by Tom Hanks. Druyan and Soter also co-wrote The Search for Life: Are We Alone, narrated by Harrison Ford, which also debuted at the Hayden's Rose Center. In 2000, Druyan co-founded Cosmos Studios, Inc, with Joseph Firmage. As CEO of Cosmos Studios, Druyan produces science-based entertainment for all media. In addition to Cosmos: A SpaceTime Odyssey, Cosmos Studios has produced Cosmic Africa, Lost Dinosaurs of Egypt, and the Emmy-nominated documentary Cosmic Journey: The Voyager Interstellar Mission and Message. In 2009, she distributed a series of podcasts called At Home in the Cosmos with Annie Druyan, in which she described her works, the life of her husband, Carl Sagan, and their marriage. Druyan was one of the three writers of the TV series Cosmos: A Personal Voyage, along with Carl Sagan and Steven Soter. Druyan is credited, with Carl Sagan, as the co-creator and co-producer of the 1997 feature film Contact. In 2011, it was announced that Druyan would executive produce, co-write, and be one of the episodic directors for a sequel to Cosmos: A Personal Voyage, to be called Cosmos: A Spacetime Odyssey, which began airing in March 2014. Episodes premiered on Fox and also aired on National Geographic Channel on the following night. At the time of its release, Fox gave the series the largest global rollout of a television series ever, debuting it in 180 countries. The premiere episode was shown across nine of Fox's cable properties in addition to the broadcast network in a "roadblock" style premiere. The series went on to become the most-watched series ever for National Geographic Channel International, with at least some part of the 13-episode series watched by 135 million people, including 45 million in the U.S. In March 2020, a third season of Cosmos, named Cosmos: Possible Worlds, for which Druyan was executive producer, writer, and director, premiered on National Geographic. Druyan also said: "I very much have season four in mind, and I know what it's going to be. And I even know some of the stories that I want to tell in it." Writing Druyan's first novel, A Famous Broken Heart, was published in 1977. Druyan co-wrote six New York Times best-sellers with Carl Sagan, including: Comet, Shadows of Forgotten Ancestors, and The Demon-Haunted World. She is co-author, along with Carl Sagan, F. D. Drake, Timothy Ferris, Jon Lomberg and Linda Salzman Sagan, of Murmurs Of Earth: The Voyager Interstellar Record. She also wrote the updated introduction to Sagan's book The Cosmic Connection and the epilogue of Billions and Billions. She wrote the introduction to, and edited The Varieties of Scientific Experience, published from Sagan's 1985 Gifford lectures. In February 2020, Druyan published Cosmos: Possible Worlds, a companion volume to the television series of the same name, which premiered in March 2020. Work in science Druyan
sodium. A silver-bearing synthetic variety also exists (Ag-analcite). Analcime is usually classified as a zeolite mineral, but structurally and chemically it is more similar to the feldspathoids. Analcime occurs as a primary mineral in analcime basalt and other alkaline igneous rocks. It also occurs as cavity and vesicle fillings associated with prehnite, calcite, and zeolites. Locations Well known locations for sourcing analcime include Croft Quarry in Leicestershire, UK; the Cyclopean Islands east off Sicily and near Trentino in northern Italy; Victoria in Australia; Kerguelen Island in the Indian Ocean; in the Lake Superior copper district of Michigan, Bergen Hill, New Jersey, Golden, Colorado, and at Searles Lake, California
gray, or colorless tectosilicate mineral. Analcime consists of hydrated sodium aluminium silicate in cubic crystalline form. Its chemical formula is NaAlSi2O6·H2O. Minor amounts of potassium and calcium substitute for sodium. A silver-bearing synthetic variety also exists (Ag-analcite). Analcime is usually classified as a zeolite mineral, but structurally and chemically it is more similar to the feldspathoids. Analcime occurs as a primary mineral in analcime basalt and other alkaline igneous
completing it on June 6, 1984. This primitive version did not have levels nor a scoring system, but Pajitnov knew he had a potentially great game, since he couldn't stop playing it at work. The game attracted the interest of coworkers like fellow programmer Dmitri Pevlovsky, who helped Pajitnov connect with Vadim Gerasimov, a 16-year-old intern at the Soviet Academy. Pajitnov wanted to make a color version of Tetris for the IBM Personal Computer, and enlisted the intern to help. Gerasimov created the PC version in less than three weeks, and with contributions from Pevlovsky, spent an additional month adding new features like scorekeeping and sound effects. The game, first available in the Soviet Union, appeared in the West in 1986. Pajitnov also created a sequel to Tetris, entitled Welltris, which has the same principle, but in a three-dimensional environment where the player sees the playing area from above. Tetris was licensed and managed by Soviet company ELORG, which had a monopoly on the import and export of computer hardware and software in the Soviet Union, and advertised with the slogan "From Russia with Love" (on NES: "From Russia with Fun!"). Because he was employed by the Soviet government, Pajitnov did not receive royalties. Pajitnov, together with Vladimir Pokhilko, moved to the United States in 1991 and later, in 1996, founded The Tetris Company with Henk Rogers, which finally allowed him to collect royalties from his game. He helped design the puzzles in the Super NES versions of Yoshi's Cookie and designed the game Pandora's Box, which incorporates more traditional jigsaw-style puzzles. Pajitnov and Pokhilko founded the 3D software technology company AnimaTek, which developed the game / screensaver El-Fish. He was employed by Microsoft from October 1996 until 2005. While there, he worked on the Microsoft
when he was 11 years old, Pajitnov's parents divorced. For several years, he lived with his mother in a one-bedroom apartment owned by the state. The two were eventually able to move into a private apartment at 49 Gersten Street, when Pajitnov was 17. He later went on to study applied mathematics at the Moscow Aviation Institute. Career In 1977, Pajitnov worked as a summer intern at the Soviet Academy of Sciences. Once he graduated in 1979, he accepted a job there working on speech recognition at the Academy's Dorodnitsyn Computing Centre. When the Computing Centre received new equipment, its researchers would write a small program for it in order to test its computing capabilities. According to Pajitnov, this "became [his] excuse for making games". Computer games were fascinating to him because they offered a way to bridge the gap between logic and emotion, and Pajitnov held interests in both mathematics and puzzles, as well as the psychology of computing. Searching for inspiration, Pajitnov recalled his childhood memories of playing pentominoes, a game where you create pictures using its shapes. Remembering the difficulty he had in putting the pieces back into their box, Pajitnov felt inspired to create a game based on that concept. Using an Electronika 60 in the Computing Centre, he began working on what would become the first version of Tetris. Building the first prototype in two weeks, Pajitnov spent longer playtesting and adding to the game, finally completing it on June 6, 1984. This primitive version did not have levels nor a scoring system, but Pajitnov knew he had a potentially great game, since he couldn't stop playing it at work. The game attracted the interest of coworkers like fellow programmer Dmitri Pevlovsky, who helped Pajitnov connect with Vadim Gerasimov, a 16-year-old intern at the Soviet Academy. Pajitnov wanted to make a color version of Tetris for the IBM Personal Computer, and enlisted the intern to help. Gerasimov created the PC version in less than three weeks, and with contributions from Pevlovsky, spent an additional month adding new features like scorekeeping and sound effects. The game, first available in the Soviet Union, appeared in the West in 1986. Pajitnov also created a sequel to Tetris, entitled Welltris, which has the same principle, but in a three-dimensional environment where the player sees the playing area from above. Tetris was licensed and managed by Soviet company ELORG, which had a monopoly on the import and export of computer hardware and software in the Soviet Union, and advertised with the slogan "From Russia with Love" (on NES: "From Russia with Fun!"). Because he was employed by the Soviet government, Pajitnov did not receive royalties. Pajitnov, together with Vladimir
such individuals as Bursalı Mehmet Tahir Bey and Hasan Bedreddin. The latter, who was involved in the overthrow of Sultan Abdülaziz, is commonly known as Bedri Paşa or Bedri Pasha and is referred to in Persian Baháʼí sources as Bedri Bey (Badri Beg). He was a Baháʼí who translated ‛Abdu'l-Baha's works into French. ʻAbdu'l-Bahá also met Muhammad Abduh, one of the key figures of Islamic Modernism and the Salafi movement, in Beirut, at a time when the two men were both opposed to the Ottoman ulama and shared similar goals of religious reform. Rashid Rida asserts that during his visits to Beirut, ʻAbdu'l-Bahá would attend Abduh's study sessions. Regarding the meetings of ʻAbdu'l-Bahá and Muhammad ʻAbduh, Shoghi Effendi asserts that "His several interviews with the well-known Shaykh Muhammad ʻAbdu served to enhance immensely the growing prestige of the community and spread abroad the fame of its most distinguished member." Due to ʻAbdu'l-Bahá's political activities and alleged accusation against him by Muhammad ʻAli, a Commission of Inquiry interviewed ʻAbdu'l-Bahá in 1905, with the result that he was almost exiled to Fezzan. In response, ʻAbdu'l-Bahá wrote the sultan a letter protesting that his followers refrain from involvement in partisan politics and that his tariqa had guided many Americans to Islam. The next few years in ʻAkka were relatively free of pressures and pilgrims were able to come and visit ʻAbdu'l-Bahá. By 1909 the mausoleum of the Shrine of the Báb was completed. Journeys to the West The 1908 Young Turks revolution freed all political prisoners in the Ottoman Empire, and ʻAbdu'l-Bahá was freed from imprisonment. His first action after his freedom was to visit the Shrine of Baháʼu'lláh in Bahji. While ʻAbdu'l-Bahá continued to live in ʻAkka immediately following the revolution, he soon moved to live in Haifa near the Shrine of the Báb. In 1910, with the freedom to leave the country, he embarked on a three-year journey to Egypt, Europe, and North America, spreading the Baháʼí message. From August to December 1911, ʻAbdu'l-Bahá visited cities in Europe, including London, Bristol, and Paris. The purpose of these trips was to support the Baháʼí communities in the west and to further spread his father's teachings. In the following year, he undertook a much more extensive journey to the United States and Canada to once again spread his father's teachings. He arrived in New York City on 11 April 1912, after declining an offer of passage on the RMS Titanic, telling the Baháʼí believers, instead, to "Donate this to charity." He instead travelled on a slower craft, the RMS Cedric, and cited preference of a longer sea journey as the reason. After hearing of the Titanic's sinking on 16 April he was quoted as saying "I was asked to sail upon the Titanic, but my heart did not prompt me to do so." While he spent most of his time in New York, he visited Chicago, Cleveland, Pittsburgh, Washington, D.C., Boston and Philadelphia. In August of the same year he started a more extensive journey to places including New Hampshire, the Green Acre school in Maine, and Montreal (his only visit to Canada). He then travelled west to Minneapolis, San Francisco, Stanford, and Los Angeles before starting to return east at the end of October. On 5 December 1912 he set sail back to Europe. During his visit to North America he visited many missions, churches, and groups, as well as having scores of meetings in Baháʼís' homes, and offering innumerable personal meetings with hundreds of people. During his talks he proclaimed Baháʼí principles such as the unity of God, unity of the religions, oneness of humanity, equality of women and men, world peace and economic justice. He also insisted that all his meetings be open to all races. His visit and talks were the subject of hundreds of newspaper articles. In Boston newspaper reporters asked ʻAbdu'l-Bahá why he had come to America, and he stated that he had come to participate in conferences on peace and that just giving warning messages is not enough. ʻAbdu'l-Bahá's visit to Montreal provided notable newspaper coverage; on the night of his arrival the editor of the Montreal Daily Star met with him and that newspaper along with The Montreal Gazette, Montreal Standard, Le Devoir and La Presse among others reported on ʻAbdu'l-Bahá's activities. The headlines in those papers included "Persian Teacher to Preach Peace", "Racialism Wrong, Says Eastern Sage, Strife and War Caused by Religious and National Prejudices", and "Apostle of Peace Meets Socialists, Abdul Baha's Novel Scheme for Distribution of Surplus Wealth." The Montreal Standard, which was distributed across Canada, took so much interest that it republished the articles a week later; the Gazette published six articles and Montreal's largest French language newspaper published two articles about him. His 1912 visit to Montreal also inspired humourist Stephen Leacock to parody him in his bestselling 1914 book Arcadian Adventures with the Idle Rich. In Chicago one newspaper headline included "His Holiness Visits Us, Not Pius X but A. Baha," and ʻAbdu'l-Bahá's visit to California was reported in the Palo Altan. Back in Europe, he visited London, Edinburgh, Paris (where he stayed for two months), Stuttgart, Budapest, and Vienna. Finally, on 12 June 1913, he returned to Egypt, where he stayed for six months before returning to Haifa. On 23 February 1914, at the eve of World War I, ʻAbdu'l-Bahá hosted Baron Edmond James de Rothschild, a member of the Rothschild banking family who was a leading advocate and financier of the Zionist movement, during one of his early trips to Palestine. Final years (1914–1921) During World War I (1914–1918) ʻAbdu'l-Bahá stayed in Palestine and was unable to travel. He carried on a limited correspondence, which included the Tablets of the Divine Plan, a collection of 14 letters addressed to the Baháʼís of North America, later described as one of three "charters" of the Baháʼí Faith. The letters assign a leadership role for the North American Baháʼís in spreading the religion around the planet. Haifa was under real threat of Allied bombardment, enough that ʻAbdu'l-Bahá and other Baháʼís temporarily retreated to the hills east of ʻAkka. ʻAbdu'l-Bahá was also under threats from Cemal Paşa, the Ottoman military chief who at one point expressed his desire to crucify him and destroy Baháʼí properties in Palestine. The surprisingly swift Megiddo offensive of the British General Allenby swept away the Turkish forces in Palestine before harm was done to the Baháʼís, and the war was over less than two months later. Post-war period The conclusion of World War I led to the openly hostile Ottoman authorities being replaced by the more friendly British Mandate, allowing for a renewal of correspondence, pilgrims, and development of the Baháʼí World Centre properties. It was during this revival of activity that the Baháʼí Faith saw an expansion and consolidation in places like Egypt, the Caucasus, Iran, Turkmenistan, North America and South Asia under the leadership of ʻAbdu'l-Bahá. The end of the war brought about several political developments that ʻAbdu'l-Bahá commented on. The League of Nations formed in January 1920, representing the first instance of collective security through a worldwide organization. ʻAbdu'l-Bahá had written in 1875 for the need to establish a "Union of the nations of the world", and he praised the attempt through the League of Nations as an important step towards the goal. He also said that it was "incapable of establishing Universal Peace" because it did not represent all nations and had only trivial power over its member states. Around the same time, the British Mandate supported the ongoing immigration of Jews to Palestine. ʻAbdu'l-Bahá mentioned the immigration as a fulfillment of prophecy, and encouraged the Zionists to develop the land and "elevate the country for all its inhabitants... They must not work to separate the Jews from the other Palestinians." The war also left the region in famine. In 1901, ʻAbdu'l-Bahá had purchased about 1704 acres of scrubland near the Jordan river and by 1907 many Baháʼís from Iran had begun sharecropping on the land. ʻAbdu'l-Bahá received between 20 and 33% of their harvest (or cash equivalent), which was shipped to Haifa. With the war still raging in 1917, ʻAbdu'l-Bahá received a large amount of wheat from the crops, and also bought other available wheat and shipped it all back to Haifa. The wheat arrived just after the British captured Palestine, and as such was allowed to be widely
were educated to prepare themselves for life in the royal court. Despite a brief spell at a traditional preparatory school at the age of seven for one year, ʻAbdu'l-Bahá received no formal education. As he grew he was educated by his mother, and uncle. Most of his education however, came from his father. Years later in 1890 Edward Granville Browne described how ʻAbdu'l-Bahá was "one more eloquent of speech, more ready of argument, more apt of illustration, more intimately acquainted with the sacred books of the Jews, the Christians, and the Muhammadans...scarcely be found even amongst the eloquent." According to contemporary accounts, ʻAbdu'l-Bahá was an eloquent and charming child. He inherited his mother’s propensity towards height, attaining a height taller than 19th century Persian standards. He also inherited much of his mother’s physical attributes, including her blue eyes and pale skin. As a young man, he grew to become athletic and enjoyed archery, horseback riding and swimming. When ʻAbdu'l-Bahá was seven, he contracted tuberculosis and was expected to die. Though the malady faded away, he would be plagued with bouts of illness for the rest of his life. One event that affected ʻAbdu'l-Bahá greatly during his childhood was the imprisonment of his father when ʻAbdu'l-Bahá was eight years old; the imprisonment led to his family being reduced to poverty and being attacked in the streets by other children. ʻAbdu'l-Bahá accompanied his mother to visit Baháʼu'lláh who was then imprisoned in the infamous subterranean dungeon the Síyáh-Chál. He described how "I saw a dark, steep place. We entered a small, narrow doorway, and went down two steps, but beyond those one could see nothing. In the middle of the stairway, all of a sudden we heard His [Baháʼu'lláh's]…voice: 'Do not bring him in here', and so they took me back". Baghdad Baháʼu'lláh was eventually released from prison, but ordered into exile, and ʻAbdu'l-Bahá, then 8 years old, joined his father on the journey to Baghdad in the winter (January to April) of 1853. During the journey ʻAbdu'l-Bahá suffered from frost-bite. After a year of difficulties Baháʼu'lláh absented himself rather than continue to face the conflict with Mirza Yahya and secretly secluded himself in the mountains of Sulaymaniyah in April 1854 a month before ʻAbdu'l-Bahá's tenth birthday. Mutual sorrow resulted in him, his mother and sister becoming constant companions. ʻAbdu'l-Bahá was particularly close to both, and his mother took active participation in his education and upbringing. During the two-year absence of his father ʻAbdu'l-Bahá took up the duty of managing the affairs of the family, before his age of maturity (14 in middle-eastern society) and was known to be occupied with reading and, at a time of hand-copied scriptures being the primary means of publishing, was also engaged in copying the writings of the Báb. ʻAbdu'l-Bahá also took an interest in the art of horse riding and, as he grew, became a renowned rider. In 1856, news of an ascetic carrying on discourses with local Súfí leaders that seemed to possibly be Baháʼu'lláh reached the family and friends. Immediately, family members and friends went to search for the elusive dervish – and in March brought Baháʼu'lláh back to Baghdad. On seeing his father, ʻAbdu'l-Bahá fell to his knees and wept loudly "Why did you leave us?", and this followed with his mother and sister doing the same. ʻAbdu'l-Bahá soon became his father's secretary and shield. During the sojourn in the city ʻAbdu'l-Bahá grew from a boy into a young man. He was noted as a "remarkably fine looking youth", and remembered for his charity. Having passed the age of maturity ʻAbdu'l-Bahá was regularly seen in the mosques of Baghdad discussing religious topics and the scripture as a young man. Whilst in Baghdad, ʻAbdu'l-Bahá composed a commentary at the request of his father on the Muslim tradition of "I was a Hidden Treasure" for a Súfí leader named ʻAlí Shawkat Páshá. ʻAbdu'l-Bahá was fifteen or sixteen at the time and ʻAlí Shawkat Páshá regarded the more than 11,000-word essay as a remarkable feat for somebody of his age. In 1863, in what became known as the Garden of Ridván, his father Baháʼu'lláh announced to a few that he was the manifestation of God and He whom God shall make manifest whose coming had been foretold by the Báb. On day eight of the twelve days, it is believed ʻAbdu'l-Bahá was the first person Baháʼu'lláh revealed his claim to. Istanbul/Adrianople In 1863, Baháʼu'lláh was summoned to Istanbul, and thus his family, including ʻAbdu'l-Bahá, then eighteen, accompanied him on his 110-day journey. The journey to Constantinople was another wearisome journey, and ʻAbdu'l-Bahá helped feed the exiles. It was here that his position became more prominent amongst the Baháʼís. This was further solidified by Baháʼu'lláh's tablet of the Branch in which he constantly exalts his son's virtues and station. The family were soon exiled to Adrianople and ʻAbdu'l-Bahá went with the family. ʻAbdu'l-Bahá again suffered from frostbite. In Adrianople ʻAbdu'l-Bahá was regarded as the sole comforter of his family – in particular to his mother. At this point ʻAbdu'l-Bahá was known by the Baháʼís as "the Master", and by non-Baháʼís as ʻAbbás Effendi ("Effendi" signifies "Sir"). It was in Adrianople that Baháʼu'lláh referred to his son as "the Mystery of God". The title of "Mystery of God" symbolises, according to Baháʼís, that ʻAbdu'l-Bahá is not a manifestation of God but how a "person of ʻAbdu'l-Bahá the incompatible characteristics of a human nature and superhuman knowledge and perfection have been blended and are completely harmonized". ʻAbdu'l-Bahá was at this point noted for having black hair which flowed to his shoulders, large blue eyes, rose-through-alabaster coloured skin and a fine nose. Baháʼu'lláh gave his son many other titles such as G͟husn-i-Aʻzam (meaning "Mightiest Branch" or "Mightier Branch"), the "Branch of Holiness", "the Center of the Covenant" and the apple of his eye. ʻAbdu'l-Bahá ("the Master") was devastated when hearing the news that he and his family were to be exiled separately from Baháʼu'lláh. It was, according to Baháʼís, through his intercession that the idea was reverted and the family were allowed to be exiled together. ʻAkká At the age of 24, ʻAbdu'l-Bahá was clearly chief-steward to his father and an outstanding member of the Baháʼí community. Baháʼu'lláh and his family were – in 1868 – exiled to the penal colony of Acre, Palestine where it was expected that the family would perish. Arrival in ʻAkká was distressing for the family and exiles. They were greeted in a hostile manner by the surrounding population and his sister and father fell dangerously ill. When told that the women were to sit on the shoulders of the men to reach the shore, ʻAbdu'l-Bahá took a chair and carried the women to the bay of ʻAkká. ʻAbdu'l-Bahá was able to procure some anesthetic and nursed the sick. The Baháʼís were imprisoned under horrendous conditions in a cluster of cells covered in excrement and dirt. ʻAbdu'l-Bahá himself fell dangerously ill with dysentery, however a sympathetic soldier permitted a physician to help cure him. The population shunned them, the soldiers treated them the same, and the behaviour of Siyyid Muhammad-i-Isfahani (an Azali) did not help matters. Morale was further destroyed with the accidental death of ʻAbdu'l-Bahá's youngest brother Mírzá Mihdí at the age of 22. The grieving ʻAbdu'l-Bahá kept a night-long vigil beside his brother's body. Later in ʻAkká Over time, he gradually took over responsibility for the relationships between the small Baháʼí exile community and the outside world. It was through his interaction with the people of ʻAkká (Acre) that, according to the Baháʼís, they recognized the innocence of the Baháʼís, and thus the conditions of imprisonment were eased. Four months after the death of Mihdí the family moved from the prison to the House of ʻAbbúd. The people of ʻAkká started to respect the Baháʼís and in particular, ʻAbdu'l-Bahá. ʻAbdu'l-Bahá was able to arrange for houses to be rented for the family, the family later moved to the Mansion of Bahjí around 1879 when an epidemic caused the inhabitants to flee. ʻAbdu'l-Bahá soon became very popular in the penal colony and Myron Henry Phelps a wealthy New York lawyer described how "a crowd of human beings...Syrians, Arabs, Ethiopians, and many others", all waited to talk and receive ʻAbdu'l-Bahá. He undertook a history of the Bábí religion through publication of A Traveller's Narrative (Makála-i-Shakhsí Sayyáh) in 1886, later translated and published in translation in 1891 through Cambridge University by the agency of Edward Granville Browne who described ʻAbdu'l-Bahá as: Marriage and family life When ʻAbdu'l-Bahá was a young man, speculation was rife amongst the Baháʼís to whom he would marry. Several young girls were seen as marriage prospects but ʻAbdu'l-Bahá seemed disinclined to marriage. On 8 March 1873, at the urging of his father, the twenty-eight-year-old ʻAbdu'l-Bahá married Fátimih Nahrí of Isfahán (1847–1938) a twenty-five-year-old from an upper-class family of the city. Her father was Mírzá Muḥammad ʻAlí Nahrí of Isfahan an eminent Baháʼí with prominent connections. Fátimih was brought from Persia to ʻAkká after both Baháʼu'lláh and his wife Navváb expressed an interest in her to marry ʻAbdu'l-Bahá. After a wearisome journey from Isfahán to Akka she finally arrived accompanied by her brother in 1872. The young couple were betrothed for about five months before the marriage itself commenced. In the meantime, Fátimih lived in the home of ʻAbdu'l-Bahá's uncle Mírzá Músá. According to her later memoirs, Fátimih fell in love with ʻAbdu'l-Bahá on seeing him. ʻAbdu'l-Bahá himself had showed little inkling to marriage until meeting Fátimih; who was entitled Munírih by Baháʼu'lláh. Munírih is a title meaning "Luminous". The marriage resulted in nine children. The first born was a son Mihdí Effendi who died aged about 3. He was followed by Ḍíyáʼíyyih K͟hánum, Fuʼádíyyih K͟hánum (d. few years old), Rúhangíz Khánum (d. 1893), Túbá Khánum, Husayn Effendi (d.1887 aged 5), Túbá K͟hánum, Rúhá K͟hánum (mother of Munib Shahid), and Munnavar K͟hánum. The death of his children caused ʻAbdu'l-Bahá immense grief – in particular the death of his son Husayn Effendi came at a difficult time following the death of his mother and uncle. The surviving children (all daughters) were; Ḍíyáʼíyyih K͟hánum (mother of Shoghi Effendi) (d. 1951) Túbá K͟hánum (1880–1959) Rúḥá K͟hánum and Munavvar K͟hánum (d. 1971). Baháʼu'lláh wished that the Baháʼís follow the example of ʻAbdu'l-Bahá and gradually move away from polygamy. The marriage of ʻAbdu'l-Bahá to one woman and his choice to remain monogamous,
and was ordained deacon. He plied Origen with questions, and urged him to write his Commentaries (treating him as "" in Commentary on John V,1) on the books of the Bible, and, as a wealthy nobleman and courtier, he provided his teacher with books for his studies and secretaries to lighten the labor of composition. He suffered during the persecution under the Roman emperor Maximinus Thrax in 235. He was later released and died a confessor. The last mention of Ambrose in the historical record is in Origen's Contra Celsum, which the latter
"" in Commentary on John V,1) on the books of the Bible, and, as a wealthy nobleman and courtier, he provided his teacher with books for his studies and secretaries to lighten the labor of composition. He suffered during the persecution under the Roman emperor Maximinus Thrax in 235. He was later released and died a confessor. The last mention of Ambrose in the historical record is in Origen's Contra Celsum, which the latter wrote at the solicitation of Ambrose. Origen often speaks of Ambrose affectionately as a man of education with excellent literary and scholarly tastes. All of Origen's works written after 218 are dedicated
energy needs are easier to satisfy off-grid. But they may substitute energy production or other techniques to avoid diminishing returns in extreme conservation. An autonomous structure is not always environmentally friendly. The goal of independence from support systems is associated with, but not identical to, other goals of environmentally responsible green building. However, autonomous buildings also usually include some degree of sustainability through the use of renewable energy and other renewable resources, producing no more greenhouse gases than they consume, and other measures. Disadvantages First and fundamentally, independence is a matter of degree. For example, eliminating dependence on the electrical grid is relatively easy. In contrast, running an efficient, reliable food source can be a chore. Living within an autonomous shelter may also require sacrifices in lifestyle or social opportunities. Even the most comfortable and technologically advanced autonomous homes could require alterations of residents' behavior. Some may not welcome the extra chores. The Vails described some clients' experiences as inconvenient, irritating, isolating, or even as an unwanted full-time job. A well-designed building can reduce this issue, but usually at the expense of reduced autonomy. An autonomous house must be custom-built (or extensively retrofitted) to suit the climate and location. Passive solar techniques, alternative toilet and sewage systems, thermal massing designs, basement battery systems, efficient windowing, and the array of other design tactics require some degree of non-standard construction, added expense, ongoing experimentation and maintenance, and also have an effect on the psychology of the space. Systems This section includes some minimal descriptions of methods, to give some feel for such a building's practicality, provide indexes to further information, and give a sense of modern trends. Water There are many methods of collecting and conserving water. Use reduction is cost-effective. Greywater systems reuse drained wash water to flush toilets or to water lawns and gardens. Greywater systems can halve the water use of most residential buildings; however, they require the purchase of a sump, greywater pressurization pump, and secondary plumbing. Some builders are installing waterless urinals and even composting toilets that eliminate water usage in sewage disposal. The classic solution with minimal life-style changes is using a well. Once drilled, a well-foot requires substantial power. However, advanced well-foots can reduce power usage by twofold or more from older models. Well water can be contaminated in some areas. The Sono arsenic filter eliminates unhealthy arsenic in well water. However drilling a well is an uncertain activity, with aquifers depleted in some areas. It can also be expensive. In regions with sufficient rainfall, it is often more economical to design a building to use rainwater harvesting, with supplementary water deliveries in a drought. Rain water makes excellent soft washwater, but needs antibacterial treatment. If used for drinking, mineral supplements or mineralization is necessary. Most desert and temperate climates get at least of rain per year. This means that a typical one-story house with a greywater system can supply its year-round water needs from its roof alone. In the driest areas, it might require a cistern of . Many areas average of rain per week, and these can use a cistern as small as . In many areas, it is difficult to keep a roof clean enough for drinking. To reduce dirt and bad tastes, systems use a metal collecting-roof and a "roof cleaner" tank that diverts the first 40 liters. Cistern water is usually chlorinated, though reverse osmosis systems provide even better quality drinking water. In the classic Roman house ("Domus"), household water was provided from a cistern (the "impluvium"), which was a decorative feature of the atrium, the house's main public space. It was fed by downspout tiles from the inward-facing roof-opening (the "compluvium"). Often water lilies were grown in it to purify the water. Wealthy households often supplemented the rain with a small fountain fed from a city's cistern. The impluvium always had an overflow drain so it could not flood the house. Modern cisterns are usually large plastic tanks. Gravity tanks on short towers are reliable, so pump repairs are less urgent. The least expensive bulk cistern is a fenced pond or pool at ground level. Reducing autonomy reduces the size and expense of cisterns. Many autonomous homes can reduce water use below per person per day, so that in a drought a month of water can be delivered inexpensively via truck. Self-delivery is often possible by installing fabric water tanks that fit the bed of a pick-up truck. It can be convenient to use the cistern as a heat sink or trap for a heat pump or air conditioning system; however this can make cold drinking water warm, and in drier years may decrease the efficiency of the HVAC system. Solar stills can efficiently produce drinking water from ditch water or cistern water, especially high-efficiency multiple effect humidification designs, which separate the evaporator(s) and condenser(s). New technologies, like reverse osmosis can create unlimited amounts of pure water from polluted water, ocean water, and even from humid air. Watermakers are available for yachts that convert seawater and electricity into potable water and brine. Atmospheric water generators extract moisture from dry desert air and filter it to pure water. Sewage Resource Composting toilets use bacteria to decompose human feces into useful, odourless, sanitary compost. The process is sanitary because soil bacteria eat the human pathogens as well as most of the mass of the waste. Nevertheless, most health authorities forbid direct use of "humanure" for growing food. The risk is microbial and viral contamination. In a dry composting toilet, the waste is evaporated or digested to gas (mostly carbon dioxide) and vented, so a toilet produces only a few pounds of compost every six months. To control the odor, modern toilets use a small fan to keep the toilet under negative pressure, and exhaust the gasses to a vent pipe. Some home sewage treatment systems use biological treatment, usually beds of plants and aquaria, that absorb nutrients and bacteria and convert greywater and sewage to clear water. This odor- and color-free reclaimed water can be used to flush toilets and water outside plants. When tested, it approaches standards for potable water. In climates that freeze, the plants and aquaria need to be kept in a small greenhouse space. Good systems need about as much care as a large aquarium. Electric incinerating toilets turn excrement into a small amount of ash. They are cool to the touch, have no water and no pipes, and require an air vent in a wall. They are used in remote areas where use of septic tanks is limited, usually to reduce nutrient loads in lakes. NASA's bioreactor is an extremely advanced biological sewage system. It can turn sewage into air and water through microbial action. NASA plans to use it in the crewed Mars mission. Another method is NASA's urine-to-water distillation system. A big disadvantage of complex biological sewage treatment systems is that if the house is empty, the sewage system biota may starve to death. Waste Sewage handling is essential for public health. Many diseases are transmitted by poorly functioning sewage systems. The standard system is a tiled leach field combined with a septic tank. The basic idea is to provide a small system with primary sewage treatment. Sludge settles to the bottom of the septic tank, is partially reduced by anaerobic digestion, and fluid is dispersed in the leach field. The leach field is usually under a yard growing grass. Septic tanks can operate entirely by gravity, and if well managed, are reasonably safe. Septic tanks have to be pumped periodically by a vacuum truck to eliminate non reducing solids. Failure to pump a septic tank can cause overflow that damages the leach field, and contaminates ground water. Septic tanks may also require some lifestyle changes, such as not using garbage disposals, minimizing fluids flushed into the tank, and minimizing nondigestible solids flushed into the tank. For example, septic safe toilet paper is recommended. However, septic tanks remain popular because they permit standard plumbing fixtures, and require few or no lifestyle sacrifices. Composting or packaging toilets make it economical and sanitary to throw away sewage as part of the normal garbage collection service. They also reduce water use by half, and eliminate the difficulty and expense of septic tanks. However, they require the local landfill to use sanitary practices. Incinerator systems are quite practical. The ashes are biologically safe, and less than 1/10 the volume of the original waste, but like all incinerator waste, are usually classified as hazardous waste. Traditional methods of sewage handling include pit toilets, latrines, and outhouses. These can be safe, inexpensive and practical. They are still used in many regions. Storm drains Drainage systems are a crucial compromise between human habitability and a secure, sustainable watershed. Paved areas and lawns or turf do not allow much precipitation to filter through the ground to recharge aquifers. They can cause flooding and damage in neighbourhoods, as the water flows over the surface towards a low point. Typically, elaborate, capital-intensive storm sewer networks are engineered to deal with stormwater. In some cities, such as the Victorian era London sewers or much of the old City of Toronto, the storm water system is combined with the sanitary sewer system. In the event of heavy precipitation, the load on the sewage treatment plant at the end of the pipe becomes too great to handle and raw sewage is dumped into holding tanks, and sometimes into surface water. Autonomous buildings can address precipitation in a number of ways: If a water-absorbing swale for each yard is combined with permeable concrete streets, storm drains can be omitted from the neighbourhood. This can save more than $800 per house (1970s) by eliminating storm drains. One way to use the savings is to purchase larger lots, which permits more amenities at the same cost. Permeable concrete is an established product in warm climates, and in development for freezing climates. In freezing climates, the elimination of storm drains can often still pay for enough land to construct swales (shallow water collecting ditches) or water impeding berms instead. This plan provides more land for homeowners and can offer more interesting topography for landscaping. A green roof captures precipitation and uses the water to grow plants. It can be built into a new building or used to replace an existing roof. Electricity Since electricity is an expensive utility, the first step towards autonomy is to design a house and lifestyle to reduce demand. LED lights, laptop computers and gas-powered refrigerators save electricity, although gas-powered refrigerators are not very efficient. There are also superefficient electric refrigerators, such as
of the normal garbage collection service. They also reduce water use by half, and eliminate the difficulty and expense of septic tanks. However, they require the local landfill to use sanitary practices. Incinerator systems are quite practical. The ashes are biologically safe, and less than 1/10 the volume of the original waste, but like all incinerator waste, are usually classified as hazardous waste. Traditional methods of sewage handling include pit toilets, latrines, and outhouses. These can be safe, inexpensive and practical. They are still used in many regions. Storm drains Drainage systems are a crucial compromise between human habitability and a secure, sustainable watershed. Paved areas and lawns or turf do not allow much precipitation to filter through the ground to recharge aquifers. They can cause flooding and damage in neighbourhoods, as the water flows over the surface towards a low point. Typically, elaborate, capital-intensive storm sewer networks are engineered to deal with stormwater. In some cities, such as the Victorian era London sewers or much of the old City of Toronto, the storm water system is combined with the sanitary sewer system. In the event of heavy precipitation, the load on the sewage treatment plant at the end of the pipe becomes too great to handle and raw sewage is dumped into holding tanks, and sometimes into surface water. Autonomous buildings can address precipitation in a number of ways: If a water-absorbing swale for each yard is combined with permeable concrete streets, storm drains can be omitted from the neighbourhood. This can save more than $800 per house (1970s) by eliminating storm drains. One way to use the savings is to purchase larger lots, which permits more amenities at the same cost. Permeable concrete is an established product in warm climates, and in development for freezing climates. In freezing climates, the elimination of storm drains can often still pay for enough land to construct swales (shallow water collecting ditches) or water impeding berms instead. This plan provides more land for homeowners and can offer more interesting topography for landscaping. A green roof captures precipitation and uses the water to grow plants. It can be built into a new building or used to replace an existing roof. Electricity Since electricity is an expensive utility, the first step towards autonomy is to design a house and lifestyle to reduce demand. LED lights, laptop computers and gas-powered refrigerators save electricity, although gas-powered refrigerators are not very efficient. There are also superefficient electric refrigerators, such as those produced by the Sun Frost company, some of which use only about half as much electricity as a mass-market energy star-rated refrigerator. Using a solar roof, solar cells can provide electric power. Solar roofs can be more cost-effective than retrofitted solar power, because buildings need roofs anyway. Modern solar cells last about 40 years, which makes them a reasonable investment in some areas. At a sufficient angle, solar cells are cleaned by run-off rain water and therefore have almost no life-style impact. However, many areas have long winter nights or dark cloudy days. In these climates, a solar installation might not pay for itself or large battery storage systems are necessary to achieve electric self-sufficiency. In stormy or windy climates, wind generators can replace or significantly supplement solar power. The average autonomous house needs only one small wind turbine, 5 metres or less in diameter. On a 30-metre (100-foot) tower, this turbine can provide enough power to supplement solar power on cloudy days. Commercially available wind turbines use sealed, one-moving-part AC generators and passive, self-feathering blades for years of operation without service. The main advantage of wind power is that larger wind turbines have a lower per-watt cost than solar cells, provided there is wind. However, location is critical. Just as some locations lack sun for solar cells, many areas lack enough wind to make a turbine pay for itself. In the Great Plains of the United States, a 10-metre (33-foot) turbine can supply enough energy to heat and cool a well-built all-electric house. Economic use in other areas requires research, and possibly a site-survey. Some sites have access to a stream with a change in elevation. These sites can use small hydropower systems to generate electricity. If the difference in elevation is above 30 metres (100 feet), and the stream runs in all seasons, this can provide continuous power with a small, inexpensive installation. Lower changes of elevation require larger installations or dams, and can be less efficient. Clogging at the turbine intake can be a practical problem. The usual solution is a small pool and waterfall (a penstock) to carry away floating debris. Another solution is to utilize a turbine that resists debris, such as a Gorlov helical turbine or Ossberger turbine. During times of low demand, excess power can be stored in batteries for future use. However, batteries need to be replaced every few years. In many areas, battery expenses can be eliminated by attaching the building to the electric power grid and operating the power system with net metering. Utility permission is required, but such cooperative generation is legally mandated in some areas (for example, California). A grid-based building is less autonomous, but more economical and sustainable with fewer lifestyle sacrifices. In rural areas the grid's cost and impacts can be reduced by using single-wire earth return systems (for example, the MALT-system). In areas that lack access to the grid, battery size can be reduced with a generator to recharge the batteries during energy droughts such as extended fogs. Auxiliary generators are usually run from propane, natural gas, or sometimes diesel. An hour of charging usually provides a day of operation. Modern residential chargers permit the user to set the charging times, so the generator is quiet at night. Some generators automatically test themselves once per week. Recent advances in passively stable magnetic bearings may someday permit inexpensive storage of power in a flywheel in a vacuum. Research groups like Canada's Ballard Power Systems are also working to develop a "regenerative fuel cell", a device that can generate hydrogen and oxygen when power is available, and combine these efficiently when power is needed. Earth batteries tap electric currents in the earth called telluric current. They can be installed anywhere in the ground. They provide only low voltages and current. They were used to power telegraphs in the 19th century. As appliance efficiencies increase, they may become practical. Microbial fuel cells and thermoelectric generators allow electricity to be generated from biomass. The plant can be dried, chopped and converted or burned as a whole, or it can be left alive so that waste saps from the plant can be converted by bacteria. Heating Most autonomous buildings are designed to use insulation, thermal mass and passive solar heating and cooling. Examples of these are trombe walls and other technologies as skylights. Passive solar heating can heat most buildings in even the mild and chilly climates. In colder climates, extra construction costs can be as little as 15% more than new, conventional buildings. In warm climates, those having less than two weeks of frosty nights per year, there is no cost impact. The basic requirement for passive solar heating is that the solar collectors must face the prevailing sunlight (south in the Northern Hemisphere, north in the Southern Hemisphere), and the building must incorporate thermal mass to keep it warm in the night. A recent, somewhat experimental solar heating system "Annualized geo solar heating" is practical even in regions that get little or no sunlight in winter. It uses the ground beneath a building for thermal mass. Precipitation can carry away the heat, so the ground is shielded with skirts of plastic insulation. The thermal mass of this system is sufficiently inexpensive and large that it can store enough summer heat to warm a building for the whole winter, and enough winter cold to cool the building in summer. In annualized geo solar systems, the solar collector is often separate from (and hotter or colder than) the living space. The building may actually be constructed from insulation, for example, straw-bale construction. Some buildings have been aerodynamically designed so that convection via ducts and interior spaces eliminates any need for electric fans. A more modest "daily solar" design is very practical. For example, for about a 15% premium in building costs, the Passivhaus building codes in Europe use high performance insulating windows, R-30 insulation, HRV ventilation, and a small thermal mass. With modest changes in the building's position, modern krypton- or argon-insulated windows permit normal-looking windows to provide passive solar heat without compromising insulation or structural strength. If a small heater is available for the coldest nights, a slab or basement cistern can inexpensively provide the required thermal mass. Passivhaus building codes, in particular, bring unusually good interior air quality, because the buildings change the air several times per hour, passing it through a heat exchanger to keep heat inside. In all systems, a small supplementary heater increases personal security and reduces lifestyle impacts for a small reduction of autonomy. The two most popular heaters for ultra-high-efficiency houses are a small heat pump, which also provides air conditioning, or a central hydronic (radiator) air heater with water recirculating from the water heater. Passivhaus designs usually integrate the heater with the ventilation system. Earth sheltering and windbreaks can also reduce the absolute amount of heat needed by a building. Several feet below the earth, temperature ranges from in North Dakota to , in Southern Florida. Wind breaks reduce the amount of heat carried away from a building. Rounded, aerodynamic buildings also lose less heat. An increasing number of commercial buildings use a combined cycle with cogeneration to provide heating, often water heating, from the output of a natural gas reciprocating engine, gas turbine or stirling electric generator. Houses designed to cope with interruptions in civil services generally incorporate a wood stove, or heat and power from diesel fuel or bottled gas, regardless of their other heating mechanisms. Electric heaters and electric stoves may provide pollution-free heat (depending on the power source), but use large amounts of electricity. If enough electricity is provided by solar panels, wind turbines, or other means, then electric heaters and stoves become a practical autonomous design. Water heating Hot water heat recycling units recover heat from water drain lines. They increase a building's autonomy by decreasing the heat or fuel used to heat water. They are attractive because they have no lifestyle changes. Current practical, comfortable domestic water-heating systems combine a solar preheating system with a thermostatic gas-powered flow-through heater, so that the temperature of the water is consistent, and the amount is unlimited. This reduces life-style impacts at some cost in autonomy. Solar water heaters can save large amounts of fuel. Also, small changes in lifestyle, such as doing laundry, dishes and bathing on sunny days, can greatly increase their efficiency. Pure solar heaters are especially useful for laundries, swimming pools and external baths, because these can be scheduled for use on sunny days. The basic trick in a solar water heating system is to use a well-insulated holding tank. Some systems are vacuum- insulated, acting something like large thermos bottles. The tank is filled with hot water on sunny days, and made available at all times. Unlike a conventional tank water heater, the tank is filled only when there is sunlight. Good storage makes a smaller, higher-technology collector feasible. Such collectors can use relatively exotic technologies, such as vacuum insulation, and reflective concentration of sunlight. Cogeneration systems produce hot water from waste heat. They usually get the heat from the exhaust of a generator or fuel cell. Heat recycling, cogeneration and solar pre-heating can save 50–75% of the gas otherwise used. Also, some combinations provide redundant reliability by
of either the cow goddess Hesat or the cat-headed Bastet. Another tradition depicted him as the son of Ra and Nephthys. The Greek Plutarch (c. 40–120 AD) stated that Anubis was the illegitimate son of Nephthys and Osiris, but that he was adopted by Osiris's wife Isis: George Hart sees this story as an "attempt to incorporate the independent deity Anubis into the Osirian pantheon." An Egyptian papyrus from the Roman period (30–380 AD) simply called Anubis the "son of Isis." In Nubia, Anubis was seen as the husband of his mother Nephthys. In the Ptolemaic period (350–30 BC), when Egypt became a Hellenistic kingdom ruled by Greek pharaohs, Anubis was merged with the Greek god Hermes, becoming Hermanubis. The two gods were considered similar because they both guided souls to the afterlife. The center of this cult was in uten-ha/Sa-ka/ Cynopolis, a place whose Greek name means "city of dogs." In Book XI of The Golden Ass by Apuleius, there is evidence that the worship of this god was continued in Rome through at least the 2nd century. Indeed, Hermanubis also appears in the alchemical and hermetical literature of the Middle Ages and the Renaissance. Although the Greeks and Romans typically scorned Egyptian animal-headed gods as bizarre and primitive (Anubis was mockingly called "Barker" by the Greeks), Anubis was sometimes associated with Sirius in the heavens and Cerberus and Hades in the underworld. In his dialogues, Plato often has Socrates utter oaths "by the dog" (Greek: kai me ton kuna), "by the dog of Egypt", and "by the dog, the god of the Egyptians", both for emphasis and to appeal to Anubis as an arbiter of truth in the underworld. Roles Embalmer As jmy-wt (Imiut or the Imiut fetish) "He who is in the place of embalming", Anubis was associated with mummification. He was also called ḫnty zḥ-nṯr "He who presides over the god's booth", in which "booth" could refer either to the place where embalming was carried out or the pharaoh's burial chamber. In the Osiris myth, Anubis helped Isis to embalm Osiris. Indeed, when the Osiris myth emerged, it was said that after Osiris had been killed by Set, Osiris's organs were given to Anubis as a gift. With this connection, Anubis became the patron god of embalmers; during the rites of mummification, illustrations from the Book of the Dead often show a wolf-mask-wearing priest supporting the upright mummy. Protector of tombs Anubis was a protector of graves and cemeteries. Several epithets attached to his name in Egyptian texts and inscriptions referred to that role. Khenty-Amentiu, which means "foremost of the westerners" and was also the name of a different canine funerary god, alluded to his protecting function because the dead were usually buried on the west bank of the Nile. He took other names in connection with his funerary role, such as tpy-ḏw.f (Tepy-djuef) "He who is upon his mountain" (i.e. keeping guard over tombs from above) and nb-t3-ḏsr (Neb-ta-djeser) "Lord of the sacred land", which designates him as a god of the desert necropolis. The Jumilhac papyrus recounts another tale where Anubis protected the body of Osiris from Set. Set attempted to attack the body of Osiris by transforming himself into a leopard. Anubis stopped and subdued Set, however, and he branded Set's skin with a hot iron rod. Anubis then flayed Set and wore his skin as a warning against evil-doers who would desecrate the tombs of the dead. Priests who attended to the dead wore leopard skin in order to commemorate Anubis' victory over Set. The legend of Anubis branding the hide of Set in leopard form was used to explain how the leopard got its spots. Most ancient tombs had prayers to Anubis carved on them. Guide of souls By the late pharaonic era (664–332 BC), Anubis was often depicted as guiding individuals across the threshold from the world of the living to the afterlife. Though a similar role was sometimes performed by the cow-headed Hathor, Anubis was more commonly chosen to fulfill that function. Greek writers from the Roman period of Egyptian history designated that role as that of "psychopomp", a Greek term meaning "guide of souls" that they used to refer to their own god Hermes, who also played that role in Greek religion. Funerary art from that period represents Anubis guiding either men or women dressed in Greek clothes into the presence of Osiris, who by then had long replaced Anubis as ruler of the underworld. Weigher of hearts One of the roles of Anubis was as the "Guardian of the Scales." The critical scene depicting the weighing of the heart, in the Book of the Dead, shows Anubis performing a measurement that determined whether the person was worthy of entering the realm of the dead (the underworld, known as Duat). By weighing the heart of a deceased person against Ma'at (or "truth"), who was often represented as an ostrich feather, Anubis dictated the fate of souls. Souls heavier than a feather would be devoured by Ammit, and souls lighter than a feather would ascend to a heavenly existence. Portrayal in art Anubis was one of the most frequently
embalmers; during the rites of mummification, illustrations from the Book of the Dead often show a wolf-mask-wearing priest supporting the upright mummy. Protector of tombs Anubis was a protector of graves and cemeteries. Several epithets attached to his name in Egyptian texts and inscriptions referred to that role. Khenty-Amentiu, which means "foremost of the westerners" and was also the name of a different canine funerary god, alluded to his protecting function because the dead were usually buried on the west bank of the Nile. He took other names in connection with his funerary role, such as tpy-ḏw.f (Tepy-djuef) "He who is upon his mountain" (i.e. keeping guard over tombs from above) and nb-t3-ḏsr (Neb-ta-djeser) "Lord of the sacred land", which designates him as a god of the desert necropolis. The Jumilhac papyrus recounts another tale where Anubis protected the body of Osiris from Set. Set attempted to attack the body of Osiris by transforming himself into a leopard. Anubis stopped and subdued Set, however, and he branded Set's skin with a hot iron rod. Anubis then flayed Set and wore his skin as a warning against evil-doers who would desecrate the tombs of the dead. Priests who attended to the dead wore leopard skin in order to commemorate Anubis' victory over Set. The legend of Anubis branding the hide of Set in leopard form was used to explain how the leopard got its spots. Most ancient tombs had prayers to Anubis carved on them. Guide of souls By the late pharaonic era (664–332 BC), Anubis was often depicted as guiding individuals across the threshold from the world of the living to the afterlife. Though a similar role was sometimes performed by the cow-headed Hathor, Anubis was more commonly chosen to fulfill that function. Greek writers from the Roman period of Egyptian history designated that role as that of "psychopomp", a Greek term meaning "guide of souls" that they used to refer to their own god Hermes, who also played that role in Greek religion. Funerary art from that period represents Anubis guiding either men or women dressed in Greek clothes into the presence of Osiris, who by then had long replaced Anubis as ruler of the underworld. Weigher of hearts One of the roles of Anubis was as the "Guardian of the Scales." The critical scene depicting the weighing of the heart, in the Book of the Dead, shows Anubis performing a measurement that determined whether the person was worthy of entering the realm of the dead (the underworld, known as Duat). By weighing the heart of a deceased person against Ma'at (or "truth"), who was often represented as an ostrich feather, Anubis dictated the fate of souls. Souls heavier than a feather would be devoured by Ammit, and souls lighter than a feather would ascend to a heavenly existence. Portrayal in art Anubis was one of the most frequently represented deities in ancient Egyptian art. He is depicted in royal tombs as early as the First Dynasty. The god is typically treating a king's corpse, providing sovereign to mummification rituals and funerals, or standing with fellow gods at the Weighing of the Heart of the Soul in the Hall of Two Truths. One of his most popular representations is of him, with the body of a man and the head of a jackal with pointed ears, standing or kneeling, holding a gold scale while a heart of the soul is being weighed against Ma'at's white truth feather. In the early dynastic period, he was depicted in animal form, as a black canine. Anubis's distinctive black color did not represent the animal, rather it had several symbolic meanings. It represented "the discolouration of the corpse after its treatment with natron and the smearing of the wrappings with a resinous substance during mummification." Being the color of the fertile silt of the River Nile, to Egyptians, black also symbolized fertility and the possibility of rebirth in the afterlife. In the Middle Kingdom, Anubis was often portrayed as a man with the head of a jackal. An extremely rare depiction of him in fully human form was found in the tomb of Ramesses II in Abydos. Anubis is often depicted wearing a ribbon and holding a nḫ3ḫ3 "flail" in the crook of his arm. Another of Anubis's attributes was the jmy-wt or imiut fetish, named for his role in embalming. In funerary contexts, Anubis is shown either attending to a deceased person's mummy or sitting atop a tomb protecting it. New Kingdom tomb-seals also depict Anubis sitting atop the nine bows that symbolize his domination over the enemies of Egypt. Gallery Worship Although he does not appear in many myths, he was extremely popular with Egyptians and those of other cultures. The Greeks linked him to their god Hermes, the god who guided the dead to the afterlife. The pairing was later known as Hermanubis. Anubis was heavily worshipped because, despite modern beliefs, he gave the people hope. People marveled in the guarantee that their body would be respected at death, their soul would be protected and justly judged. Anubis had male priests who sported wood masks with the god's likeness when performing rituals. His cult center was at Cynopolis in Upper Egypt but memorials were built everywhere and he was universally revered in every part of the nation. In popular culture In popular and media culture, Anubis is often falsely portrayed as the sinister god of the dead. He gained popularity during the 20th and 21st centuries through books, video games, and movies where artists would give him evil powers and a dangerous army. Despite his nefarious reputation, his image is still the most recognizable of the Egyptian gods and replicas of his statues and paintings remain popular. See also Anubias Egyptian mythology in popular culture Animal mummy#Miscellaneous animals Abatur-Mandaean uthra who weighs the souls of the dead to determine their fate. References Bibliography |isbn=978-0-674-01517-3|postscript=.}} |postscript=. (paperback).}}
Mary (née Schachtmayer) and Arthur Alfred Jensen, who operated and owned a lumber and building materials company. His paternal grandparents were Danish immigrants and his mother was of half Polish Jewish and half German descent. As a child, Jensen was interested in herpetology and classical music, playing clarinet in the San Diego Symphony orchestra. Jensen received a B.A. in psychology from the University of California, Berkeley in 1945 and went on to obtain his M.A. in psychology in 1952 from San Diego State College. He earned his Ph.D. in clinical psychology from Columbia University in 1956 under the supervision of Percival Symonds on the thematic apperception test. From 1956 through 1958, he did postdoctoral research at the University of London, Institute of Psychiatry with Hans Eysenck. Upon returning to the United States, he became a researcher and professor at the University of California, Berkeley, where he focused on individual differences in learning, especially the influences of culture, development, and genetics on intelligence and learning. He received tenure at Berkeley in 1962 and was given his first sabbatical in 1964. He concentrated much of his work on the learning difficulties of culturally disadvantaged students. Jensen had a lifelong interest in classical music and was, early in his life, attracted by the idea of becoming a conductor himself. At 14, he conducted a band that won a nationwide contest held in San Francisco. Later, he conducted orchestras and attended a seminar given by Nikolai Sokoloff. Soon after graduating from Berkeley, he moved to New York, mainly to be near the conductor Arturo Toscanini. He was also deeply interested in the life and example of Gandhi, producing an unpublished book-length manuscript on his life. During Jensen's period in San Diego he spent time working as a social worker with the San Diego Department of Public Welfare. IQ and academic achievement Jensen's interest in learning differences directed him to the extensive testing of school children. The results led him to distinguish between two separate types of learning ability. Level I, or associative learning, may be defined as retention of input and rote memorization of simple facts and skills. Level II, or conceptual learning, is roughly equivalent to the ability to manipulate and transform inputs, that is, the ability to solve problems. Later, Jensen was an important advocate in the mainstream acceptance of the general factor of intelligence, a concept which was essentially synonymous with his Level II conceptual learning. The general factor, or g, is an abstraction that stems from the observation that scores on all forms of cognitive tests correlate positively with one another. Jensen claimed, on the basis of his research, that general cognitive ability is essentially an inherited trait, determined predominantly by genetic factors rather than by environmental conditions. He also contended that while associative learning, or memorizing ability, is equally distributed among the races, conceptual learning, or synthesizing ability, occurs with significantly greater frequency in whites than in non-whites. Jensen's most controversial work, published in February 1969 in the Harvard Educational Review, was titled "How Much Can We Boost IQ and Scholastic Achievement?" It concluded, among other things, that Head Start programs designed to boost African-American IQ scores had failed, and that this was likely never to be remedied, largely because, in Jensen's estimation, 80% of the variance in IQ in the population studied was the result of genetic factors and the remainder was due to environmental influences. The work became one of the most cited papers in the history of psychological testing and intelligence research, although a large number of citations consisted of rebuttals of Jensen's work, or references to it as an example of a controversial paper. After the paper was released, large protests were held, demanding that Jensen be fired. Jensen's car tires were slashed, the university police provided him with plain-clothes bodyguards, and he and his family received threats that were considered so realistic by the police that they temporarily left their house. Jensen was spat on and was prevented from delivering lectures by disruptive protests. The editorial board of the Harvard Educational Review for a time refused to let him have reprints of his article, and said that they had not solicited the section on racial differences; Jensen later provided correspondence in which the board had requested he do so. In a later article, Jensen argued that his claims had been misunderstood: Jensen was among the most frequent contributors to the German journal Neue Anthropologie, a publication founded by the neo-Nazi Jürgen Rieger, and served alongside Rieger on this journal's editorial board. In 1994 he was one of 52 signatories on "Mainstream Science on Intelligence, " an editorial written by Linda Gottfredson and published in The Wall Street Journal, which declared the consensus of the signing scholars on the meaning and significance of IQ following the publication of the book The Bell Curve. Jensen received $1.1 million from the Pioneer Fund, Vanderbilt Television News Archive : ABC Evening News for Tuesday, Nov 22, 1994. Headline: American Agenda (Intelligence) an organization frequently described as racist and white supremacist in nature. The fund contributed a total of $3.5 million to researchers cited in The Bell Curve's most controversial chapter "that suggests some races are naturally smarter than others" with Jensen's works being cited
Times that Jensen was without racial bias and had not initially foreseen that his research would be used to argue for racial supremacy and that his career was "emblematic of the extent to which American scholarship is inhibited by political orthodoxy", though he noted that Jensen shifted towards genetic explanations later in life. Books Bias in Mental Testing Bias in Mental Testing (1980) is a book examining the question of test bias in commonly used standardized tests. The book runs almost 800 pages and has been called "exhaustive" by three researchers who reviewed the field 19 years after the book's publication. It reviewed in detail the available evidence about test bias across major US racial/ethnic groups. Jensen concluded that "the currently most widely used standardized tests of mental ability -- IQ, scholastic aptitude, and achievement tests -- are, by and large, not biased against any of the native-born English-speaking minority groups on which the amount of research evidence is sufficient for an objective determination of bias, if the tests were in fact biased. For most nonverbal standardized tests, this generalization is not limited to English-speaking minorities." (p. ix). Jensen also published a summary of the book the same year which was a target article in the journal Behavioral and Brain Sciences to which 27 commentaries were printed along with the author's reply. Straight Talk about Mental Tests Straight Talk about Mental Tests (1981) is a book written about psychometrics for the general public. John B. Carroll reviewed it favorably in 1982, saying it was a useful summary of the issues, as did Paul Cline writing for the British Journal of Psychiatry. In 2016, Richard J. Haier called it "a clear examination of all issues surrounding mental testing". The g FactorThe g Factor: The Science of Mental Ability (1998) is a book on the general intelligence factor (g). The book deals with the intellectual history of g and various models of how to conceptualize intelligence, and with the biological correlates of g, its heritability, and its practical predictive power. Clocking the MindClocking the Mind: Mental Chronometry and Individual Differences (2006) deals with mental chronometry (MC), and covers the speed with which the brain processes information and different ways this is measured. Jensen argues mental chronometry represents a true natural science of mental ability, which is in contrast to IQ, which merely represents an interval (ranking) scale and thus possesses no true ratio scale properties. Joseph Glicksohn wrote in a 2007 review for Canadian Journal of Experimental Psychology that "The book should be perused with care in order to ensure the further profitable use of [reaction time] in both experimental and differential lines of research." Douglas Detterman reviewed it in 2008 for Intelligence, writing that "the book would make a good introduction to the field of the measurement of individual differences in cognitive tasks for beginning graduate students." Eric-Jan Wagenmakers and Han van der Mass, also writing for Intelligence in 2018, faulted the book for omitting the work by mathematical psychologists, advocating standardization of chronometric methods (which the authors consider problematic because it can hide method variance), and because it does not discuss topics such as the mutualism model of the g-factor and the Flynn effect. They describe the book's breadth as useful, despite its simplistic approach. Jensen was on the editorial board of Intelligence when these reviews were published. Awards In 2003, Jensen was awarded the Kistler Prize for original contributions to the understanding of the connection between the human genome and human society. In 2006, the International Society for Intelligence Research awarded Jensen its Lifetime Achievement Award. See also Heritability of IQ Race and intelligence History of the race and intelligence controversy Jensen box References Further reading Interviews "Profiles in Research. Arthur Jensen. Interview by Daniel H. Robinson and Howard Wainer." Journal of Educational and Behavioral Statistics Fall 2006, Vol. 31, No. 3, pp. 327–352 Intelligence, Race, and Genetics: Conversations with Arthur R. Jensen. (2002) Frank Miele (of Skeptic Magazine). Westview Press. Selected articles, books, and book chapters Jensen. A. R. (1973). Educational differences. London. Methuen. google books link Jensen, A. R. (1993). Spearman's g: Links between psychometrics and biology. In F. M. Crinella, & J. Yu (Eds.), Brain mechanisms: Papers in memory of Robert Thompson (pp. 103–129). New York: Annals of the New York Academy of Sciences. Jensen, A. R. (1996). Giftedness and genius: Crucial differences. In C. P. Benbow, & D. J. Lubinski (Eds), Intellectual talent: Psychometric and social issues (pp. 393–411). Baltimore: Johns Hopkins University. Jensen, A. R. (1998) The g factor and the design of education. In R. J. Sternberg & W. M. Williams (Eds.), Intelligence, instruction, and assessment: Theory into practice. (pp. 111–131). Mahwah, NJ: Lawrence Erlbaum. Jensen, A. R. (2002). Psychometric g: Definition and substantiation. In R. J. Sternberg, & E. L. Grigorenko (Eds.). The general factor of intelligence: How general is it? (pp. 39–53). Mahwah, NJ, US: Lawrence Erlbaum. Rushton, J. P., & Jensen, A. R.. (2005). Thirty years of research on Black-White differences in cognitive ability. Psychology, Public Policy, & the Law, 11, 235–294. (pdf) Rushton, J. P., & Jensen, A. R. (2003). African-White IQ differences from Zimbabwe on the Wechsler Intelligence Scale for Children-Revised are mainly on the g factor. Personality and Individual Differences, 34, 177–183. (pdf) Rushton, J. P., & Jensen, A. R. (2005). Wanted: More race-realism, less moralistic fallacy. Psychology, Public Policy, and Law, 11,'' 328–336. (pdf) External links Arthur Robert Jensen memorial site Jensen's Response to Gould's Criticisms Jensen biography at Southern Poverty Law Center 1923 births 2012 deaths 20th-century psychologists 21st-century psychologists American male non-fiction writers American people of Danish descent American people of German descent American people of Polish-Jewish descent American psychologists Pseudoscience American psychology writers American social workers Columbia University alumni Differential psychologists Educational psychologists Intelligence researchers Psychology educators Race and intelligence controversy San Diego State University alumni Scientific racism University of California, Berkeley alumni University of California, Berkeley Graduate
revival were staged at the Strand Theatre and the Piccadilly Theatre respectively, and starred Frankie Howerd as Pseudolus and Leon Greene as Miles Gloriosus in both. In the 1963 production, Kenneth Connor appeared as Hysterium, 'Monsewer' Eddie Gray as Senex and Jon Pertwee as Marcus Lycus. In the 1986 revival, Patrick Cargill was Senex with Ronnie Stevens as Hysterium and Derek Royle as Erronius. In 2004 there was a limited-run revival at the Royal National Theatre, starring Desmond Barrit as Pseudolus, Philip Quast as Miles Gloriosus, Hamish McColl as Hysterium and Isla Blair as Domina (who had previously played Philia in the 1963 production). This production was nominated for the 2005 Olivier Award, Outstanding Musical Production. Motion picture adaptation Both Mostel and Gilford re-created their Broadway roles for the 1966 musical film directed by Richard Lester. Leon Greene reprised his West End role (Miles Gloriosus), while Phil Silvers portrayed Lycus, Michael Crawford portrayed Hero, and Michael Hordern played Senex. Buster Keaton made his final film appearance in the role of Erronius. Broadway revivals A revival opened on Broadway at the Lunt-Fontanne Theatre on April 4, 1972 and closed on August 12, 1972 after 156 performances. Directed by co-author Burt Shevelove the cast starred Phil Silvers as Pseudolus (later replaced by Tom Poston), Lew Parker as Senex, Carl Ballantine as Lycus and Reginald Owen as Erronius. Larry Blyden, who played Hysterium, the role created by Jack Gilford, also co-produced. "Pretty Little Picture" and "That'll Show Him" were dropped from the show, and were replaced with "Echo Song" (sung by Hero and Philia), and "Farewell" (added for Nancy Walker as Domina, as she and Senex depart for the country). "Echo Song" and "Farewell" had been added to a production staged in Los Angeles the previous year and were composed by Sondheim. They had to close soon after Phil Silvers suffered a stroke. The show won two Tony Awards, Best Leading Actor in a Musical for Silvers, and Best Featured Actor in a Musical for Blyden. The musical was revived again with great success in 1996, opening at the St. James Theatre on April 18, 1996 and closing on January 4, 1998 after 715 performances. The cast starred Nathan Lane as Pseudolus (replaced by Whoopi Goldberg and later by David Alan Grier), Mark Linn-Baker as Hysterium, Ernie Sabella as Lycus, Jim Stanek as Hero, Lewis J. Stadlen as Senex, and Cris Groenendaal as Miles Gloriosus. The production was directed by Jerry Zaks, with choreography by Rob Marshall. Lane won the 1996 Tony Award for Best Leading Actor and the Drama Desk Award, Outstanding Actor in a Musical; the production was nominated for the 1996 Tony Award and Drama Desk Award, Revival of a Musical. Every actor who has opened in the role of Pseudolus on Broadway (Zero Mostel, Phil Silvers, and Nathan Lane) has won a Best Leading Actor Tony Award for his performance. In addition, Jason Alexander, who performed as Pseudolus in one scene in Jerome Robbins' Broadway, also won a Tony for Best Actor in a Musical. Other productions The original Australian production with American actor Jack Collins as Pseudolus opened at the Theatre Royal in Sydney in July 1964, and toured other Australian cities through 1965. In 1998, Jon English starred as Pseudolus in Essgee Entertainment's production that opened New Year's Day at the State Theatre, Melbourne and toured Australia and New Zealand, closing September 1999. The Stephen Sondheim Center for the Performing Arts produced a limited-run revival of the musical from January 11 to 27, 2008. The production was directed by Randal K. West, with Justin Hill as musical director and Adam Cates as choreographer. The cast featured Richard Kind as Pseudolus, Joel Blum as Senex, Stephen DeRosa as Marcus Lycus, Sean McCall as Hysterium, and Steve Wilson as Miles Gloriosus. It also featured Diana Upton-Hill, Ryan Gaffney, Stephen Mark Crisp, Jack Kloppenborg, and Margret Clair. The Chung Ying Theatre Company in Hong Kong staged a Cantonese version of the musical at Kwai Tsing Theatre, to celebrate the company's 30th anniversary. It was directed by Chung King Fai and Ko Tin Lung and ran from 14 to 21 March 2009. The Stratford Shakespeare Festival in Stratford, Ontario, Canada production ran from June 11 to November 7, 2009, with Des McAnuff directing and Wayne Cilento as choreographer. Bruce Dow originally performed the role of Pseudolus, but was forced to withdraw from the entire 2009 season due to an injury, and the role was then performed by Seán Cullen as of September 5, 2009. Stephen Ouimette played Hysterium. Mirvish Productions presented the earlier Stratford production at the Canon Theatre, Toronto, in December 2010 through January 2011. Bruce Dow and Sean Cullen were alternates in the lead role. In October 2012 the play opened at Her Majesty's Theatre, Melbourne, Australia, with Geoffrey Rush as Pseudolus, Magda Szubanski as Domina and Shane Bourne as Senex. A Funny Thing Happened on the Way to the Forum was produced at the Two River Theater in Red Bank, New Jersey from November 14, 2015 to December 13, 2015 with an all-male cast (Paul Castree, Eddie Cooper, Kevin Isola, David Josefsberg, Max Kumangai, Graham Rowat, Manny Stark, Bobby Conte Thornton, David Turner, Michael Urie, Tom Deckman, and Christopher Fitzgerald). Plot In ancient Rome, some neighbors live in three adjacent houses. In the center is the house of Senex, who lives there with wife Domina, son Hero, and several slaves, including head slave Hysterium and the musical's main character Pseudolus. A slave belonging to Hero, Pseudolus wishes to buy, win, or steal his freedom. One of the neighboring houses is owned by Marcus Lycus, who is a buyer and seller of beautiful women; the other belongs to the ancient Erronius, who is abroad searching for his long-lost children (stolen in infancy by pirates). One day, Senex and Domina go on a trip and leave Pseudolus in charge of Hero. Hero confides in Pseudolus that he is in love with the lovely Philia, one of the courtesans in the House of Lycus (albeit still a virgin). Pseudolus promises to help him win Philia's love in exchange for his own freedom. Unfortunately (as the two find out when they pay a visit on Lycus), Philia has been sold to the renowned warrior Miles Gloriosus, who is expected to claim her very soon. Pseudolus, an excellent liar, uses Philia's cheery disposition to convince Lycus that she has picked up a plague from Crete, which causes its victims to smile endlessly in its terminal stages. By offering to isolate her in Senex's house, he is able to give Philia and Hero some time alone together, and the two fall in love. But Philia insists that, even though she is in love with Hero, she must honor her contract with the Captain, for "that is the way of a courtesan." To appease her, he tells her to wait ("that's what virgins do best, isn't it?") inside, and that he will have the captain knock three times when he arrives. Pseudolus comes up with a plan to slip Philia a sleeping potion that will render her unconscious. He will then tell Lycus that she has died of the Cretan plague, and will offer to remove the body. Hero will come along, and they will stow away on a ship headed for Greece. Satisfied with his plan, Pseudolus steals Hysterium's book of potions and has Hero read him the recipe for the sleeping potion; the only ingredient he lacks is "mare's sweat", and Pseudolus goes off in search of some. Unexpectedly, Senex returns home early from his trip, and knocks three times on his own door. Philia comes out of the house, and, thinking that Senex is the Captain, offers herself up to him. Surprised but game, Senex instructs Philia to wait in the house for him, and she does. Hysterium arrives to this confusion, and tells Senex that Philia is the new maid that he has hired. Pseudolus returns, having procured the necessary mare's sweat; seeing that Senex has returned unexpectedly and grasping the need to keep him out of the way, Pseudolus discreetly sprinkles some of the horse-sweat onto him, then suggests that the road trip has left Senex in dire need of a bath. Taking the bait, Senex instructs Hysterium to draw him a bath in the long-abandoned house of Erronius. But while this is happening, Erronius returns home, finally having given up the search for his long-lost children. Hysterium, desperate to keep him out of the house where his master is bathing, tells the old man that his house has become haunted – a story seemingly confirmed by the sound of Senex singing in his bath. Erronius immediately determines to have a soothsayer come and banish the spirit from his house, and Pseudolus obligingly poses as one, telling Erronius that, in order to banish the spirit, he must travel seven times around the seven hills of Rome (thus keeping the old man occupied and out of the way for quite a while). When Miles Gloriosus arrives to claim his courtesan-bride, Pseudolus hides Philia on the roof of Senex's house; told that she has "escaped", Lycus is terrified to face the Captain's wrath. Pseudolus offers to impersonate Lycus and talk his way out of
Best Actor (Mostel), Best Supporting Actor (Burns), Best Book, and Best Director. The score, Sondheim's first Broadway production for which he wrote both music and lyrics, did not earn a nomination. London The show was presented twice in London's West End. The 1963 production and its 1986 revival were staged at the Strand Theatre and the Piccadilly Theatre respectively, and starred Frankie Howerd as Pseudolus and Leon Greene as Miles Gloriosus in both. In the 1963 production, Kenneth Connor appeared as Hysterium, 'Monsewer' Eddie Gray as Senex and Jon Pertwee as Marcus Lycus. In the 1986 revival, Patrick Cargill was Senex with Ronnie Stevens as Hysterium and Derek Royle as Erronius. In 2004 there was a limited-run revival at the Royal National Theatre, starring Desmond Barrit as Pseudolus, Philip Quast as Miles Gloriosus, Hamish McColl as Hysterium and Isla Blair as Domina (who had previously played Philia in the 1963 production). This production was nominated for the 2005 Olivier Award, Outstanding Musical Production. Motion picture adaptation Both Mostel and Gilford re-created their Broadway roles for the 1966 musical film directed by Richard Lester. Leon Greene reprised his West End role (Miles Gloriosus), while Phil Silvers portrayed Lycus, Michael Crawford portrayed Hero, and Michael Hordern played Senex. Buster Keaton made his final film appearance in the role of Erronius. Broadway revivals A revival opened on Broadway at the Lunt-Fontanne Theatre on April 4, 1972 and closed on August 12, 1972 after 156 performances. Directed by co-author Burt Shevelove the cast starred Phil Silvers as Pseudolus (later replaced by Tom Poston), Lew Parker as Senex, Carl Ballantine as Lycus and Reginald Owen as Erronius. Larry Blyden, who played Hysterium, the role created by Jack Gilford, also co-produced. "Pretty Little Picture" and "That'll Show Him" were dropped from the show, and were replaced with "Echo Song" (sung by Hero and Philia), and "Farewell" (added for Nancy Walker as Domina, as she and Senex depart for the country). "Echo Song" and "Farewell" had been added to a production staged in Los Angeles the previous year and were composed by Sondheim. They had to close soon after Phil Silvers suffered a stroke. The show won two Tony Awards, Best Leading Actor in a Musical for Silvers, and Best Featured Actor in a Musical for Blyden. The musical was revived again with great success in 1996, opening at the St. James Theatre on April 18, 1996 and closing on January 4, 1998 after 715 performances. The cast starred Nathan Lane as Pseudolus (replaced by Whoopi Goldberg and later by David Alan Grier), Mark Linn-Baker as Hysterium, Ernie Sabella as Lycus, Jim Stanek as Hero, Lewis J. Stadlen as Senex, and Cris Groenendaal as Miles Gloriosus. The production was directed by Jerry Zaks, with choreography by Rob Marshall. Lane won the 1996 Tony Award for Best Leading Actor and the Drama Desk Award, Outstanding Actor in a Musical; the production was nominated for the 1996 Tony Award and Drama Desk Award, Revival of a Musical. Every actor who has opened in the role of Pseudolus on Broadway (Zero Mostel, Phil Silvers, and Nathan Lane) has won a Best Leading Actor Tony Award for his performance. In addition, Jason Alexander, who performed as Pseudolus in one scene in Jerome Robbins' Broadway, also won a Tony for Best Actor in a Musical. Other productions The original Australian production with American actor Jack Collins as Pseudolus opened at the Theatre Royal in Sydney in July 1964, and toured other Australian cities through 1965. In 1998, Jon English starred as Pseudolus in Essgee Entertainment's production that opened New Year's Day at the State Theatre, Melbourne and toured Australia and New Zealand, closing September 1999. The Stephen Sondheim Center for the Performing Arts produced a limited-run revival of the musical from January 11 to 27, 2008. The production was directed by Randal K. West, with Justin Hill as musical director and Adam Cates as choreographer. The cast featured Richard Kind as Pseudolus, Joel Blum as Senex, Stephen DeRosa as Marcus Lycus, Sean McCall as Hysterium, and Steve Wilson as Miles Gloriosus. It also featured Diana Upton-Hill, Ryan Gaffney, Stephen Mark Crisp, Jack Kloppenborg, and Margret Clair. The Chung Ying Theatre Company in Hong Kong staged a Cantonese version of the musical at Kwai Tsing Theatre, to celebrate the company's 30th anniversary. It was directed by Chung King Fai and Ko Tin Lung and ran from 14 to 21 March 2009. The Stratford Shakespeare Festival in Stratford, Ontario, Canada production ran from June 11 to November 7, 2009, with Des McAnuff directing and Wayne Cilento as choreographer. Bruce Dow originally performed the role of Pseudolus, but was forced to withdraw from the entire 2009 season due to an injury, and the role was then performed by Seán Cullen as of September 5, 2009. Stephen Ouimette played Hysterium. Mirvish Productions presented the earlier Stratford production at the Canon Theatre, Toronto, in December 2010 through January 2011. Bruce Dow and Sean Cullen were alternates in the lead role. In October 2012 the play opened at Her Majesty's Theatre, Melbourne, Australia, with Geoffrey Rush as Pseudolus, Magda Szubanski as Domina and Shane Bourne as Senex. A Funny Thing Happened on the Way to the Forum was produced at the Two River Theater in Red Bank, New Jersey from November 14, 2015 to December 13, 2015 with an all-male cast (Paul Castree, Eddie Cooper, Kevin Isola, David Josefsberg, Max Kumangai, Graham Rowat, Manny Stark, Bobby Conte Thornton, David Turner, Michael Urie, Tom Deckman, and Christopher Fitzgerald). Plot In ancient Rome, some neighbors live in three adjacent houses. In the center is the house of Senex, who lives there with wife Domina, son Hero, and several slaves, including head slave Hysterium and the musical's main character Pseudolus. A slave belonging to Hero, Pseudolus wishes to buy, win, or steal his freedom. One of the neighboring houses is owned by Marcus Lycus, who is a buyer and seller of beautiful women; the other belongs to the ancient Erronius, who is abroad searching for his long-lost children (stolen in infancy by pirates). One day, Senex and Domina go on a trip and leave Pseudolus in charge of Hero. Hero confides in Pseudolus that he is in love with the lovely Philia, one of the courtesans in the House of Lycus (albeit still a virgin). Pseudolus promises to help him win Philia's love in exchange for his own freedom. Unfortunately (as the two find out when they pay a visit on Lycus), Philia has been sold to the renowned warrior Miles Gloriosus, who is expected to claim her very soon. Pseudolus, an excellent liar, uses Philia's cheery disposition to convince Lycus that she has picked up a plague from Crete, which causes its victims to smile endlessly in its terminal stages. By offering to isolate her in Senex's house, he is able to give Philia and Hero some time alone together, and the two fall in love. But Philia insists that, even though she is
began when they reached physical maturity, after menstruation, at about age 20. Historically, men received their first tattoo after killing their first animal, an important rite of passage. Sometimes tattoos signaled social class. For example, the daughter of a wealthy, famous ancestor or father would work hard at her tattoos to show the accomplishments of that ancestor or father. They would sew, or prick, different designs on the chin, the side of the face, or under the nose. Aleut clothing The Aleut people developed in one of the harshest climates in the world, and learned to create and protect warmth. Both men and women wore parkas that extended below the knees. The women wore the skin of seal or sea-otter, and the men wore bird skin parkas, the feathers turned in or out depending on the weather. When the men were hunting on the water, they wore waterproof parkas made from seal or sea-lion guts, or the entrails of bear, walrus, or whales. Parkas had a hood that could be cinched, as could the wrist openings, so water could not get in. Men wore breeches made from the esophageal skin of seals. Children wore parkas made of downy eagle skin with tanned bird skin caps. They called these parkas , meaning 'rain gear' in the English language. Sea-lions, harbor seals, and the sea otters are the most abundant marine mammals. The men brought home the skins and prepared them by soaking them in urine and stretching them. The women undertook the sewing. Preparation of the gut for clothing involved several steps. The prepared intestines were turned inside out. A bone knife was used to remove the muscle tissue and fat from the walls of the intestine. The gut was cut and stretched, and fastened to stakes to dry. It was then cut and sewn to make waterproof parkas, bags, and other receptacles. On some hunting trips, the men would take several women with them. They would catch birds and prepare the carcasses and feathers for future use. They caught puffins (Lunda cirrhata, Fratercula corniculata), guillemots, and murres. It took 40 skins of tufted puffin and 60 skins of horned puffin to make one parka. A woman would need a year for all the labor to make one parka. Each lasted two years with proper care. All parkas were decorated with bird feathers, beard bristles of seal and sea-lion, beaks of sea parrots, bird claws, sea otter fur, dyed leather, and caribou hair sewn in the seams. Women made needles from the wing bones of seabirds. They made thread from the sinews of different animals and fish guts. A thin strip of seal intestine could also be used, twisted to form a thread. The women grew their thumbnail extra long and sharpened it. They could split threads to make them as fine as a hair. They used vermilion paint, hematite, the ink bag of the octopus, and the root of a kind of grass or vine to color the threads. Gender Russian travelers making early contact with the Aleut mention traditional tales of two-spirits or third and fourth gender people, known as (male-bodied, 'man transformed into a woman') and (female-bodied, 'woman transformed into a man'), but it is unclear whether these tales are about historical individuals or spirits. Hunting technologies Boats The interior regions of the rough, mountainous Aleutian Islands provided little in terms of natural resources for the Aleutian people. They collected stones for weapons, tools, stoves or lamps. They collected and dried grasses for their woven baskets. For everything else, the Aleuts had learned to use the fish and mammals they caught and processed to satisfy their needs. To hunt sea mammals and to travel between islands, the Aleuts became experts of sailing and navigation. While hunting, they used small watercraft called baidarkas. For regular travel, they used their large s. The was a large, open, walrus-skin-covered boat. Aleut families used it when traveling among the islands. It was also used to transport goods for trade, and warriors took them to battle. The (small skin boat) was a small boat covered in sea lion skin. It was developed and used for hunting because of its sturdiness and maneuverability. The Aleut resembles that of a Yup'ik kayak, but it is hydrodynamically sleeker and faster. They made the for one or two persons only. The deck was made with a sturdy chamber, the sides of the craft were nearly vertical and the bottom was rounded. Most one-man s were about long and wide, whereas a two-man was on average about long and wide. It was from the that Aleut men would stand on the water to hunt from the sea. Weapons The Aleuts hunted small sea mammals with barbed darts and harpoons slung from throwing boards. These boards gave precision as well as some extra distance to these weapons. Harpoons were also called throwing-arrows when the pointed head fit loosely into the socket of the foreshaft and the head was able to detach from the harpoon when it penetrated an animal, and remain in the wound. There were three main kinds of harpoon that the Aleuts used: a simple harpoon, with a head that kept its original position in the animal after striking, a compound (toggle-head) harpoon in which the head took a horizontal position in the animal after penetration, and the throwing-lance used to kill large animals. The simple Aleut harpoon consisted of four main parts: the wooden shaft, the bone foreshaft, and the bonehead (tip) with barbs pointed backward. The barbed head was loosely fitted into the socket of the foreshaft so that when the animal was stabbed, it pulled the head away from the rest of the harpoon. The sharp barbs penetrated with ease, but could not be pulled out. The bone tip is fastened to a length of braided twine meanwhile; the hunter held the other end of the twine in his hand. The compound harpoon was the most prevalent weapon of the Aleut people. Also known as the toggle-head spear, it was about the same size as the simple harpoon and used to hunt the same animals, however, this harpoon provided a more efficient and lethal weapon. This harpoon separated into four parts. The longest part was the shaft with the thicker stalk closer to the tip of the harpoon. The shaft was fitted into the socket of the fore shaft and a bone ring was then placed over the joint to hold the two pieces together, as well as, protecting the wooden shaft from splitting. Connected to the fore shaft of the harpoon is the toggle head spear tip. This tip was made of two sub shafts that break apart on impact with an animal. The upper sub shaft held the razor stone head and attached to the lower sub shaft with a small braided twine loop. Once the tip penetrates the animal the upper sub head broke off from the rest of the shaft, however, since it was still connected with the braided loop it rotated the head into a horizontal position inside the animal's body so that it could not get away from the hunter. The throwing lance may be distinguished from a harpoon because all its pieces are fixed and immovable. A lance was a weapon of war and it was also used to kill large marine animals after it has already been harpooned. The throwing lance usually consisted of three parts: a wooden shaft, a bone ring or belt, and the compound head that was made with a barbed bonehead and a stone tip. The length of the compound head was equivalent to the distance between the planes of a man's chest to his back. The lance would penetrate the chest and pass through the chest cavity and exit from the back. The bone ring was designed to break after impact so that the shaft could be used again for another kill. Burial practices They buried their dead ancestors near the village. Archeologists have found many different types of burials, dating from a variety of periods, in the Aleutian Islands. The Aleut developed a style of burials that were accommodated to local conditions, and honored the dead. They have had four main types of burials: , cave, above-ground sarcophagi, and burials connected to communal houses. burials are the most widely known type of mortuary practice found in the Aleutian Islands. The people created burial mounds, that tend to be located on the edge of a bluff. They placed stone and earth over the mound to protect and mark it. Such mounds were first excavated by archeologists in 1972 on Southwestern Unmak Island, and dated to the early contact period. Researchers have found a prevalence of these burials, and concluded it is a regional mortuary practice. It may be considered a pan-Aleutian mortuary practice. Cave burials have been found throughout the eastern Aleutian Islands. The human remains are buried in shallow graves at the rear of the cave. These caves tend to be next to middens and near villages. Some grave goods have been found in the caves associated with such burials. For example, a deconstructed boat was found in a burial cave on Kanaga Island. There were no other major finds of grave goods in the vicinity. Throughout the Aleutian Islands, gravesites have been found that are above-ground sarcophagi. These sarcophagi are left exposed, with no attempt to bury the dead in the ground. These burials tend to be isolated and limited to the remains of adult males, which may indicate a specific ritual practice. In the Near Islands, isolated graves have also been found with the remains, and not just the sarcophagus, left exposed on the surface. This way of erecting sarcophagi above ground is not as common as and cave burials, but it is still widespread. Another type of practice has been to bury remains in areas next to the communal houses of the settlement. Human remains are abundant in such sites. They indicate a pattern of burying the dead within the main activity areas of the settlement. These burials consist of small pits adjacent to the houses and scattered around them. In these instances, mass graves are common for women and children. This type of mortuary practice has been mainly found in the Near Islands. In addition to these four main types, other kinds of burials have been found in the Aleutian Islands. These more isolated examples in include mummification, private burial houses, abandoned houses, etc. To date, such examples are not considered to be part of a larger, unifying cultural practice. The findings discussed represent only the sites that have been excavated. The variety of mortuary practices mostly did not include the ritual of including extensive grave goods, as has been found in other cultures. The remains so far have been mainly found with other human and faunal remains. The addition of objects to "accompany" the dead is rare. Archaeologists have been trying to dissect the absence of grave goods, but their findings have been ambiguous and do not really help the academic community to understand these practices more. Not much information is known about the ritual parts of burying the dead. Archeologists and anthropologists have not found much evidence related to burial rituals. This lack of ritual evidence could hint at either no ritualized ceremony, or one that has not yet been revealed in the archaeological record. As a result, archaeologists cannot decipher the context to understand exactly why a certain type of burial was used in particular cases. Notable Aleuts John Hoover (1919–2011), sculptor Carl E. Moses (1929–2014) businessman, state representative, who served from 1965 to 1973 as both a Republican and Democrat, Jacob Netsvetov (1802–1864), Russian Orthodox saint and priest Sergie Sovoroff (1901–1989), educator, (model sea kayak) builder Eve Tuck, academic, indigenous studies Peter the Aleut (1800 - 1815), Russian Orthodox saint and martyr In popular culture In Snow Crash, a science fiction novel by American writer Neal Stephenson, a central character named Raven is portrayed as an Aleut with incredible toughness and hunting skill. The story is about revenge due in part to perceived mistreatment of the Aleut. Alaska by James A. Michener. See also Adamagan Aleutian Islands Aleutian tradition Alutiiq Indigenous Amerindian genetics Maritime Fur Trade Sadlermiut Shamanism among Alaska Natives Unangan Aleut List of Native American peoples in the United States References Further reading Lee, Molly, Angela J. Linn, and Chase Hensel. Not Just a Pretty Face: Dolls and Human Figurines in Alaska Native Cultures. Fairbanks, AK: University of Alaska, 2006. Print. Black, Lydia T. Aleut Art: Unangam Aguqaadangin. Anchorage, Alaska: Aleutian/Pribilof Islands Association, 2005. Jochelson, Waldemar. History, Ethnology, and Anthropology of the Aleut. Washington: Carnegie institution of Washington, 1933. Jochelson, Waldemar, Bergsland, Knut (Editor) & Dirks, Moses (Editor). Unangam Ungiikangin Kayux Tunusangin = Unangam Uniikangis ama Tunuzangis = Aleut Tales and Narratives. Fairbanks, Alaska: Alaska Native Language Center, University of Alaska, Fairbanks, 1990.. Kohlhoff, Dean. When the Wind Was a River Aleut Evacuation in World War II. Seattle: University of Washington Press in association with Aleutian/Pribilof Islands Association, Anchorage, 1995. Madden, Ryan Howard. "An enforced odyssey: The relocation and internment of Aleuts during World War II" (PhD thesis U of New Hampshire, Durham, 1993) online Murray, Martha G., and Peter L. Corey. Aleut Weavers. Juneau, AK: Alaska State Museums, Division of Libraries, Archives and Museums, 1997. Reedy-Maschner, Katherine. "Aleut Identities : Tradition and Modernity
the Aleutian Islands, the Shumagin Islands, and the far western part of the Alaska Peninsula, with an estimated population of around 25,000 prior to European contact. In the 1820s, the Russian-American Company administered a large portion of the North Pacific during a Russian-led expansion of the fur trade. They resettled many Aleut families to the Commander Islands (within the Aleutsky District of the Kamchatka Krai in Russia) and to the Pribilof Islands (in Alaska). These continue to have majority-Aleut communities. According to the 2000 Census, 11,941 people identified as being Aleut, while 17,000 identified as having partial Aleut ancestry. Prior to sustained European contact, approximately 25,000 Aleut lived in the archipelago. The Encyclopædia Britannica Online says more than 15,000 people have Aleut ancestry in the early 21st century. The Aleut suffered high fatalities in the 19th and early 20th centuries from Eurasian infectious diseases to which they had no immunity. In addition, the population suffered as their customary lifestyles were disrupted. Russian traders and later Europeans married Aleut women and had families with them. History After Russian contact After the arrival of Russian Orthodox missionaries in the late 18th century, many Aleuts became Christian. Of the numerous Russian Orthodox congregations in Alaska, most are majority Alaska Native in ethnicity. One of the earliest Christian martyrs in North America was Saint Peter the Aleut. Recorded uprising against the Russians In the 18th century, Russia promyshlenniki traders established settlements on the islands. There was high demand for the furs that the Aleut provided from hunting. In May 1784, local Aleuts revolted on Amchitka against the Russian traders. (The Russians had a small trading post there.) According to the Aleuts, in an account recorded by Japanese castaways and published in 2004, otters were decreasing year by year. The Russians paid the Aleuts less and less in goods in return for the furs they made. The Japanese learned that the Aleuts felt the situation was at crisis. The leading Aleuts negotiated with the Russians, saying they had failed to deliver enough supplies in return for furs. Nezimov, leader of the Russians, ordered two of his men, Stephanov ( ) and Kazhimov ( ) to kill his mistress Oniishin ( ), who was the Aleut chief's daughter, because he doubted that Oniishin had tried to dissuade her father and other leaders from pushing for more goods. After the four leaders had been killed, the Aleuts began to move from Amchitka to neighboring islands. Nezimov, leader of the Russian group, was jailed after the whole incident was reported to Russian officials. (According to , written by Katsuragawa Hoshū after interviewing Daikokuya Kōdayū.) Aleut genocide against Nicoleño Tribe in California According to Russian American Company (RAC) records translated and published in the Journal of California and Great Basin Anthropology, a 200-ton otter hunting ship named Il’mena with a mixed-nationality crew, including a majority Aleut contingent, was involved in conflict resulting in a massacre of the indigenous natives of San Nicolas Island. In 1811, to obtain more of the commercially valuable otter pelts, a party of Aleut hunters traveled to the coastal island of San Nicolas, near the Alta California-Baja California border. The locally resident Nicoleño nation sought a payment from the Aleut hunters for the large number of otters being killed in the area. Disagreement arose, turning violent; in the ensuing battle, the Aleut killed nearly all the Nicoleño men. Together with high fatalities from European diseases, the Nicoleños suffered so much from the loss of their men that by 1853, only one Nicoleñan remained alive. (See Juana Maria, The Lone Woman of San Nicolas, also known as Karana.) Internment during World War II In June 1942, during World War II, Japanese forces occupied Kiska and Attu Islands in the western Aleutians. They later transported captive Attu Islanders to Hokkaidō, where they were held as prisoners of war in harsh conditions. Fearing a Japanese attack on other Aleutian Islands and mainland Alaska, the U.S. government evacuated hundreds more Aleuts from the western chain and the Pribilofs, placing them in internment camps in southeast Alaska, where many died of measles, influenza and other infectious diseases which spread quickly in the overcrowded dormitories. In total, about 75 died in American internment and 19 as a result of Japanese occupation. The Aleut Restitution Act of 1988 was an attempt by Congress to compensate the survivors. On June 17, 2017, the U.S. Government formally apologized for the internment of the Unangan people and their treatment in the camps. The World War II campaign by the United States to retake Attu and Kiska was a significant component of the operations in the American and Pacific theaters. Population decline Before major influence from outside, there were approximately 25,000 Aleuts on the archipelago. Foreign diseases, harsh treatment and disruption of aboriginal society soon reduced the population to less than one-tenth this number. The 1910 Census count showed 1,491 Aleuts. In the 2000 Census, 11,941 people identified as being Aleut; nearly 17,000 said Aleuts were among their ancestors. Culture Housing The Aleut constructed partially underground houses called barabara. According to Lillie McGarvey, a 20th century Aleut leader, s keep "occupants dry from the frequent rains, warm at all times, and snugly sheltered from the high winds common to the area". Aleuts traditionally built houses by digging an oblong square pit in the ground, usually or smaller. The pit was then covered by a roof framed with driftwood, thatched with grass, then covered with earth for insulation. Inside trenches were dug along the sides, with mats placed on top to keep them clean. The bedrooms were at the back of the lodge, opposite the entrance. Several families would stay in one house, with their own designated areas. Rather than fireplaces or bonfires in the middle, lanterns were hung in the house. Subsistence The Aleut survived by hunting and gathering. They fished for salmon, crabs, shellfish, and cod, as well as hunting sea mammals such as seal, walrus, and whales. They processed fish and sea mammals in a variety of ways: dried, smoked, or roasted. Caribou, muskoxen, deer, moose, whale, and other types of game were eaten roasted or preserved for later use. They dried berries. They were also processed as , a mixture of berries, fat, and fish. The boiled skin and blubber of a whale is a delicacy, as is that of walrus. Today, many Aleut continue to eat customary and locally sourced foods but also buy processed foods from Outside, which is expensive in Alaska. Ethnobotany A full list of their ethnobotany has been compiled, with 65 documented plant uses. Visual arts Customary arts of the Aleut include weapon-making, building of baidarkas (special hunting boats), weaving, figurines, clothing, carving, and mask making. Men as well as women often carved ivory and wood. 19th century craftsmen were famed for their ornate wooden hunting hats, which feature elaborate and colorful designs and may be trimmed with sea lion whiskers, feathers, and walrus ivory. Andrew Gronholdt of the Shumagin Islands has played a vital role in reviving the ancient art of building the chagudax or bentwood hunting visors. Aleut women sewed finely stitched, waterproof parkas from seal gut and wove fine baskets from sea-lyme grass (Elymus mollis). Some Aleut women continue to weave ryegrass baskets. Aleut arts are practiced and taught throughout the state of Alaska. As many Aleut have moved out of the islands to other parts of the state, they have taken with them the knowledge of their arts. They have also adopted new materials and methods for their art, including serigraphy, video art, and installation art. Aleut carving, distinct in each region, has attracted traders for centuries, including early Europeans and other Alaska Natives. Historically, carving was a male art and leadership attribute whereas today it is done by both genders. Most commonly the carvings of walrus ivory and driftwood originated as part of making hunting weapons. Sculptural carvings depict local animals, such as seals and whales. Aleut sculptors also have carved human figures. The Aleut also carve walrus ivory for other uses, such as jewelry and sewing needles. Jewelry is made with designs specific to the region of each people. Each clan would have a specific style to signify their origin. Jewelry ornaments were made for piercing lips (labrum), nose, and ears, as well as for necklaces. Each woman had her own sewing needles, which she made, and that often had detailed end of animal heads. The main Aleut method of basketry was false embroidery (overlay). Strands of grasses or reeds were overlaid upon the basic weaving surface, to obtain a plastic effect. Basketry was an art reserved for women. Early Aleut women created baskets and woven mats of exceptional technical quality, using only their thumbnail, grown long and then sharpened, as a tool. Today, Aleut weavers continue to produce woven grass pieces of a remarkable cloth-like texture, works of modern art with roots in ancient tradition. Birch bark, puffin feathers, and baleen are also commonly used by the Aleut in basketry. The Aleut term for grass basket is . One Aleut leader recognized by the State of Alaska for her work in teaching and reviving Aleut basketry was Anfesia Shapsnikoff. Her life and accomplishments are portrayed in the book Moments Rightly Placed (1998). Masks were created to portray figures of their myths and oral history. The Atka people believed that another people lived in their land before them. They portrayed such ancients in their masks, which show anthropomorphic creatures named in their language. Knut Bergsland says their word means "like those found in caves." Masks were generally carved from wood and were decorated with paints made from berries or other natural products. Feathers were inserted into holes carved out for extra decoration. These masks were used in ceremonies ranging from dances to praises, each with its own meaning and purpose. Tattoos and piercings The tattoos and piercings of the Aleut people demonstrated accomplishments as well as their religious views. They believed their body art would please the spirits of the animals and make any evil go away. The body orifices were believed to be pathways for the entry of evil entities. By piercing their orifices: the nose, the mouth, and ears, they would stop evil entities, , from entering their bodies. Body art also enhanced their beauty, social status, and spiritual authority. Before the 19th century, piercings and tattoos were very common among the Aleut people, especially among women. Piercings, such as the nose pin, were common among both men and women and were usually performed a few days after birth. The ornament was made of various materials, a piece of bark or bone, or an eagle's feather shaft. From time to time, adult women decorated the nose pins by hanging pieces of amber and coral from strings on it; the semi-precious objects dangled down to their chins. Piercing ears was also very common. The Aleuts pierced holes around the rim of their ears with dentalium shells (tooth shells or tusk shells), bone, feathers, dried bird wings or skulls and/or amber. Materials associated with birds were important, as birds were considered to defend animals in the spirit world. A male would wear sea lion whiskers in his ears as a trophy of his expertise as a hunter. Worn for decorative reasons, and sometimes to signify social standing, reputation, and the age of the wearer, Aleuts would pierce their lower lips with walrus ivory and wear beads or bones. The individual with the most piercings held the highest respect. Tattooing for women began when they reached physical maturity, after menstruation, at about age 20. Historically, men received their first tattoo after killing their first animal, an important rite of passage. Sometimes tattoos signaled social class. For example, the daughter of a wealthy, famous ancestor or father would work hard at her tattoos to show the accomplishments of that ancestor or father. They would sew, or prick, different designs on the chin, the side of the face, or under the nose. Aleut clothing The Aleut people developed in one of the harshest climates in the world, and learned to create and protect warmth. Both men and women wore parkas that extended below the knees. The women wore the skin of seal or sea-otter, and the men wore bird skin parkas, the feathers turned in or out depending on the weather. When the men were hunting on the water, they wore waterproof parkas made from seal or sea-lion guts, or the entrails of bear, walrus, or whales. Parkas had a hood that could be cinched, as could the wrist openings, so water could not get in. Men wore breeches made from the esophageal skin of seals. Children wore parkas made of downy eagle skin with tanned bird skin caps. They called these parkas , meaning 'rain gear' in the English language. Sea-lions, harbor seals, and the