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in research BDSM is considered by some of its practitioners to be a sexual orientation. The BDSM and kink scene is more often seen as a diverse pansexual community. Often this is a non-judgmental community where gender, sexuality, orientation, preferences are accepted as is or worked at to become something a person can be happy with. In research, studies have focused on bisexuality and its parallels with BDSM, as well as gay-straight differences between practitioners. Comparison between gay and straight men in S/M Demographically, Nordling et al.'s (2006) study found no differences in age, but 43% of gay male respondents compared to 29% of straight males had university-level education. The gay men also had higher incomes than the general population and tended to work in white-collar jobs while straight men tended toward blue-collar ones. Because there were not enough female respondents (22), no conclusions could be drawn from them. Sexually speaking, the same 2006 study by Nordling et al. found that gay males were aware of their S/M preferences and took part in them at an earlier age, preferring leather, anal sex, rimming, dildos and special equipment or uniform scenes. In contrast, straight men preferred verbal humiliation, mask and blindfolds, gags, rubber/latex outfits, caning, vaginal sex, straitjackets, and cross-dressing among other activities. From the questionnaire, researchers were able to identify four separate sexual themes: hyper-masculinity, giving and receiving pain, physical restriction (i.e. bondage), and psychological humiliation. Gay men preferred activities that tended towards hyper-masculinity while straight men showed greater preference for humiliation, significantly higher master/madame-slave role play at ~84%. Though there were not enough female respondents to draw a similar conclusion with, the fact that there is a difference in gay and straight men suggests strongly that S/M (and BDSM in general) can not be considered a homogenous phenomenon. As Nordling et al. (2006) puts it, "People who identify as sadomasochists mean different things by these identifications." (54) Bisexuality In Steve Lenius' original 2001 paper, he explored the acceptance of bisexuality in a supposedly pansexual BDSM community. The reasoning behind this is that 'coming-out' had become primarily the territory of the gay and lesbian, with bisexuals feeling the push to be one or the other (and being right only half the time either way). What he found in 2001, was that people in BDSM were open to discussion about the topic of bisexuality and pansexuality and all controversies they bring to the table, but personal biases and issues stood in the way of actively using such labels. A decade later, Lenius (2011) looks back on his study and considers if anything has changed. He concluded that the standing of bisexuals in the BDSM and kink community was unchanged, and believed that positive shifts in attitude were moderated by society's changing views towards different sexualities and orientations. But Lenius (2011) does emphasize that the pansexual promoting BDSM community helped advance greater acceptance of alternative sexualities. Brandy Lin Simula (2012), on the other hand, argues that BDSM actively resists gender-conforming and identified three different types of BDSM bisexuality: gender-switching, gender-based styles (taking on a different gendered style depending on the gender of partner when playing), and rejection of gender (resisting the idea that gender matters in their play partners). Simula (2012) explains that practitioners of BDSM routinely challenge our concepts of sexuality by pushing the limits on pre-existing ideas of sexual orientation and gender norms. For some, BDSM and kink provides a platform in creating identities that are fluid, ever-changing. History of psychotherapy and current recommendations Psychiatry has an insensitive history in the area of BDSM. There have been many involvements by institutions of political power to marginalize subgroups and sexual minorities. Mental health professionals have a long history of holding negative assumptions and stereotypes about the BDSM community. Beginning with the DSM-II, Sexual Sadism and Sexual Masochism have been listed as sexually deviant behaviours. Sadism and masochism were also found in the personality disorder section. This negative assumption has not changed significantly which is evident in the continued inclusion of Sexual Sadism and Sexual Masochism as paraphilias in the DSM-IV-TR. The DSM-V, however, has depathologized the language around paraphilias in a way that signifies "the APA's intent to not demand treatment for healthy consenting adult sexual expression". These biases and misinformation can result in pathologizing and unintentional harm to clients who identify as sadists and/or masochists and medical professionals who have been trained under older editions of the DSM can be slow to change in their ways of clinical practice. According to Kolmes et al. (2006), major themes of biased and inadequate care to BDSM clients are: Considering BDSM to be unhealthy Requiring a client to give up BDSM activities in order to continue in treatment Confusing BDSM with abuse Having to educate the therapist about BDSM Assuming that BDSM interests are indicative of past family/spousal abuse Therapists misrepresenting their expertise by stating that they are BDSM-positive when they are not actually knowledgeable about BDSM practices These same researchers suggested that therapists should be open to learning more about BDSM, to show comfort in talking about BDSM issues, and to understand and promote "safe, sane, consensual" BDSM. There has also been research which suggests BDSM can be a beneficial way for victims of sexual assault to deal with their trauma, most notably by Corie Hammers, but this work is limited in scope and to date, has not undergone empirical testing as a treatment. Clinical issues Nichols (2006) compiled some common clinical issues: countertransference, non-disclosure, coming out, partner/families, and bleed-through. Countertransference is a common problem in clinical settings. Despite having no evidence, therapists may find themselves believing that their client's pathology is "self-evident". Therapists may feel intense disgust and aversive reactions. Feelings of countertransference can interfere with therapy. Another common problem is when clients conceal their sexual preferences from their therapists. This can compromise any therapy. To avoid non-disclosure, therapists are encouraged to communicate their openness in indirect ways with literature and artworks in the waiting room. Therapists can also deliberately bring up BDSM topics during the course of therapy. With less informed therapists, sometimes they over-focus on clients' sexuality which detracts from original issues such as family relationships, depression, etc. A special subgroup that needs counselling is the "newbie". Individuals just coming out might have internalized shame, fear, and self-hatred about their sexual preferences. Therapists need to provide acceptance, care, and model positive attitude; providing reassurance, psychoeducation, and bibliotherapy for these clients is crucial. The average age when BDSM individuals realize their sexual preference is around 26 years. Many people hide their sexuality until they can no longer contain their desires. However, they may have married or had children by this point. History Origins Practices of BDSM survive from some of the oldest textual records in the world, associated with rituals to the goddess Inanna (Ishtar in Akkadian). Cuneiform texts dedicated to Inanna which incorporate domination rituals. In particular, she points to ancient writings such as Inanna and Ebih (in which the goddess dominates Ebih), and Hymn to Inanna describing cross-dressing transformations and rituals "imbued with pain and ecstasy, bringing about initation and journeys of altered states of consciousness; punishment, moaning, ecstasy, lament and song, participants exhausting themselves in weeping and grief." During the 9th century BC, ritual flagellations were performed in Artemis Orthia, one of the most important religious areas of ancient Sparta, where the Cult of Orthia, a pre-Olympic religion, was practiced. Here, ritual flagellation called diamastigosis took place, in which young adolescent men were whipped in a ceremony overseen by the priestess. These are referred to by a number of ancient authors, including Pausanius (III, 16: 10–11). One of the oldest graphical proofs of sadomasochistic activities is found in the Etruscan Tomb of the Whipping near Tarquinia, which dates to the 5th century BC. Inside the tomb, there is a fresco which portrays two men who flagellate a woman with a cane and a hand during an erotic situation. Another reference related to flagellation is to be found in the sixth book of the Satires of the ancient Roman Poet Juvenal (1st–2nd century A.D.), further reference can be found in Petronius's Satyricon where a delinquent is whipped for sexual arousal. Anecdotal narratives related to humans who have had themselves voluntary bound, flagellated or whipped as a substitute for sex or as part of foreplay reach back to the 3rd and 4th century BC. In Pompeii, a whip-mistress figure with wings is depicted on the wall of the Villa of Mysteries, as part of an initiation of a young woman into the Mysteries. The whip-mistress role drove the sacred initiation of ceremonial death and rebirth. The archaic Greek Aphrodite may too once have been armed with an implement, with archaeological evidence of armed Aphrodites known from a number of locations in Cythera, Acrocorinth and Sparta, and which may have been a whip. The Kama Sutra of India describes four different kinds of hitting during lovemaking, the allowed regions of the human body to target and different kinds of joyful "cries of pain" practiced by bottoms. The collection of historic texts related to sensuous experiences explicitly emphasizes that impact play, biting and pinching during sexual activities should only be performed consensually since only some women consider such behavior to be joyful. From this perspective, the Kama Sutra can be considered one of the first written resources dealing with sadomasochistic activities and safety rules. Further texts with sadomasochistic connotation appear worldwide during the following centuries on a regular basis. There are anecdotal reports of people willingly being bound or whipped, as a prelude to or substitute for sex, during the 14th century. The medieval phenomenon of courtly love in all of its slavish devotion and ambivalence has been suggested by some writers to be a precursor of BDSM. Some sources claim that BDSM as a distinct form of sexual behavior originated at the beginning of the 18th century when Western civilization began medically and legally categorizing sexual behavior (see Etymology). Flagellation practiced within an erotic setting has been recorded from at least the 1590s evidenced by a John Davies epigram, and references to "flogging schools" in Thomas Shadwell's The Virtuoso (1676) and Tim Tell-Troth's Knavery of Astrology (1680). Visual evidence such as mezzotints and print media is also identified revealing scenes of flagellation, such as "The Cully Flaug'd" from the British Museum collection. John Cleland's novel Fanny Hill, published in 1749, incorporates a flagellation scene between the character's protagonist Fanny Hill and Mr Barville. A large number of flagellation publications followed, including Fashionable Lectures: Composed and Delivered with Birch Discipline (c. 1761), promoting the names of women offering the service in a lecture room with rods and cat o' nine tails. Other sources give a broader definition, citing BDSM-like behavior in earlier times and other cultures, such as the medieval flagellates and the physical ordeal rituals of some Native American societies. BDSM ideas and imagery have existed on the fringes of Western culture throughout the 20th century. Robert Bienvenu attributes the origins of modern BDSM to three sources, which he names as "European Fetish" (from 1928), "American Fetish" (from 1934), and "Gay Leather" (from 1950). Another source are the sexual games played in brothels, which go back to the 19th century, if not earlier. Charles Guyette was the first American to produce and distribute fetish related material (costumes, footwear, photography, props and accessories) in the U.S. His successor, Irving Klaw, produced commercial sexploitation film and photography with a BDSM theme (most notably with Bettie Page) and issued fetish comics (known then as "chapter serials") by the now-iconic artists John Willie, Gene Bilbrew, and Eric Stanton. Stanton's model Bettie Page became at the same time one of the first successful models in the area of fetish photography and one of the most famous pin-up girls of American mainstream culture. Italian author and designer Guido Crepax was deeply influenced by him, coining the style and development of European adult comics in the second half of the 20th century. The artists Helmut Newton and Robert Mapplethorpe are the most prominent examples of the increasing use of BDSM-related motives in modern photography and the public discussions still resulting from this. Alfred Binet first coined the term erotic fetishism in his 1887 book, Du fétichisme dans l'amour Richard von Krafft-Ebing saw BDSM interests as the end of a continuum. Leather movement Leather has been a predominantly gay male term to refer to one fetish, but it can stand for many more. Members of the gay male leather community may wear leathers such as motorcycle leathers, or may be attracted to men wearing leather. Leather and BDSM are seen as two parts of one whole. Much of the BDSM culture can be traced back to the gay male leather culture, which formalized itself out of the group of men who were soldiers returning home after World War II (1939–1945). World War II was the setting where countless homosexual men and women tasted the life among homosexual peers. Post-war, homosexual individuals congregated in larger cities such as New York, Chicago, San Francisco, and Los Angeles. They formed leather clubs and bike clubs; some were fraternal services. The establishment of Mr. Leather Contest and Mr. Drummer Contest were made around this time. This was the genesis of the gay male leather community. Many of the members were attracted to extreme forms of sexuality, for which peak expression was in the pre-AIDS 1970s. This subculture is epitomized by the Leatherman's Handbook by Larry Townsend, published in 1972, which describes in detail the practices and culture of gay male sadomasochists in the late 1960s and early 1970s. In the early 1980s, lesbians also joined the leathermen as a recognizable element of the gay leather community. They also formed leather clubs, but there were some gender differences, such as the absence of leatherwomen's bars. In 1981, the publication of Coming to Power by lesbian-feminist group Samois led to a greater knowledge and acceptance of BDSM in the lesbian community. By the 1990s, the gay men's and women's leather communities were no longer underground and played an important role in the kink community. Today, the leather movement is generally seen as a part of the BDSM-culture instead of as a development deriving from gay subculture, even if a huge part of the BDSM-subculture was gay in the past. In the 1990s, the so-called New Guard leather subculture evolved. This new orientation started to integrate psychological aspects into their play. The San Francisco South of Market Leather History Alley consists of four works of art along Ringold Alley honoring leather culture; it opened in 2017. One of the works of art is metal bootprints along the curb which honor 28 people (including Steve McEachern, owner of the Catacombs, a gay and lesbian S/M fisting club, and Cynthia Slater, a founder of the Society of Janus, the second oldest BDSM organization in the United States) who were an important part of the leather communities of San Francisco. Internet In the late 1980s, the Internet provided a way of finding people with specialized interests around the world as well as on a local level, and communicating with them anonymously. This brought about an explosion of interest and knowledge of BDSM, particularly on the usenet group alt.sex.bondage. When that group became too cluttered with spam, the focus moved to soc.subculture.bondage-bdsm. With an increased focus on forms of social media, FetLife was formed, which advertises itself as "a social network for the BDSM and fetish community". It operates similarly to other social media sites, with the ability to make friends with other users, events, and pages of shared interests. In addition to traditional sex shops, which sell sex paraphernalia, there has also been an explosive growth of online adult toy companies that specialize in leather/latex gear and BDSM toys. Once a very niche market, there are now very few sex toy companies that do not offer some sort of BDSM or fetish gear in their catalog. Kinky elements seem to have worked their way into "vanilla" markets. The former niche expanded to an important pillar of the business with adult accessories. Today practically all suppliers of sex toys do offer items which originally found usage in the BDSM subculture. Padded handcuffs, latex and leather garments, as well as more exotic items like soft whips for fondling and TENS for erotic electro stimulation, can be found in catalogs aiming at classical vanilla target groups, indicating that former boundaries increasingly seem to shift. During the last years, the Internet also provides a central platform for networking among individuals who are interested in the subject. Besides countless private and commercial choices, there is an increasing number of local networks and support groups emerging. These groups often offer comprehensive background and health-related information for people who have been unwillingly outed as well as contact lists with information on psychologists, physicians and lawyers who are familiar with BDSM related topics. University clubs Increasingly, American universities are witnessing BDSM and kink education by providing student clubs, such as Columbia University's Conversio Virium and Iowa State University's Cuffs. University BDSM clubs are also found in the U.K., Canada, Belgium, and Taiwan. Some American universities—such as Indiana University and Michigan State University—have professors who research and take classes on BDSM. Legal status Austria Section 90 of the criminal code declares bodily injury (§§ 83–84) or the endangerment of physical security (§ 89) to not be subject to penalty in cases in which the victim has consented and the injury or endangerment does not offend moral sensibilities. Case law from the Austrian Supreme Court has consistently shown that bodily injury is only offensive to moral sensibilities, thus it is only punishable when a "serious injury" (damage to health or an employment disability lasting more than 24 days) or the death of the "victim" results. A light injury is generally considered permissible when the "victim" has consented to it. In cases of threats to bodily well being the standard depends on the probability that an injury will actually occur. If serious injury or even death would be a likely result of a threat being carried out, then even the threat itself is considered punishable. Canada In 2004, a judge in Canada ruled that videos seized by the police featuring BDSM activities were not obscene and did not constitute violence, but a "normal and acceptable" sexual activity between two consenting adults. In 2011, the Supreme Court of Canada ruled in R. v. J.A. that a person must have an active mind during the specific sexual activity in order to legally consent. The Court ruled that it is a criminal offence to perform a sexual act on an unconscious person—whether or not that person consented in advance. Germany According to Section 194 of the German criminal code, the charge of insult (slander) can only be prosecuted if the defamed person chooses to press charges. False imprisonment can be charged if the victim—when applying an objective view—can be considered to be impaired in his or her rights of free movement. According to Section 228, a person inflicting a bodily injury on another person with that person's permission violates the law only in cases where the act can be considered to have violated good morals in spite of permission having been given. On 26 May 2004, the Criminal Panel No. 2 of the Bundesgerichtshof (German Federal Court) ruled that sado-masochistically motivated physical injuries are not per se indecent and thus subject to Section 228. Following cases in which sado-masochistic practices had been repeatedly used as pressure tactics against former partners in custody cases, the Appeals Court of Hamm ruled in February 2006 that sexual inclinations toward sado-masochism are no indication of a lack of capabilities for successful child-raising. Italy In Italian law, BDSM is right on the border between crime and legality, and everything lies in the interpretation of the legal code by the judge. This concept is that anyone willingly causing "injury" to another person is to be punished. In this context, though, "injury" is legally defined as "anything causing a condition of illness", and "illness" is ill-defined itself in two different legal ways. The first is "any anatomical or functional alteration of the organism" (thus technically including little scratches and bruises too); the second is "a significant worsening of a previous condition relevant to organic and relational processes, requiring any kind of therapy". This could make it somewhat risky to play with someone, as later the "victim" may call foul play citing even an insignificant mark as evidence against the partner. Also, any injury requiring over 20 days of medical care must be denounced by the professional medic who discovers it, leading to automatic indictment of the person who caused it. Nordic countries In September 2010, a Swedish court acquitted a 32-year-old man of assault for engaging in consensual BDSM play with a 16-year-old woman (the age of consent in Sweden is 15). Norway's legal system has likewise taken a similar position, that safe and consensual BDSM play should not be subject to criminal prosecution. This parallels the stance of the mental health professions in the Nordic countries which have removed sadomasochism from their respective lists of psychiatric illnesses. Switzerland The age of consent in Switzerland is 16 years, which also applies to BDSM play. Minors (i.e., those under 16) are not subject to punishment for BDSM play as long as the age difference between them is less than three years. Certain practices, however, require granting consent for light injuries, with only those over 18 permitted to give consent. On 1 April 2002, Articles 135 and 197 of the Swiss Criminal Code were tightened to make ownership of "objects or demonstrations [...] which depict sexual acts with violent content" a punishable offense. This law amounts to a general criminalization of sado-masochism since nearly every sado-masochist will have some kind of media that fulfills this criterion. Critics also object to the wording of the law which puts sado-masochists in the same category as pedophiles and pederasts. United Kingdom In British law, consent is an absolute defense to common assault, but not necessarily to actual bodily harm, where courts may decide that consent is not valid, as occurred in the case of R v Brown. Accordingly, consensual activities in the U.K. may not constitute "assault occasioning actual or grievous bodily harm" in law. The Spanner Trust states that this is defined as activities which have caused injury "of a lasting nature" but that only a slight duration or injury might be considered "lasting" in law. The decision contrasts with the later case of R v Wilson in which conviction for non-sexual consensual branding within a marriage was overturned, the appeal court ruling that R v Brown was not an authority in all cases of consensual injury and criticizing the decision to prosecute. Following Operation Spanner, the European Court of Human Rights ruled in January 1999 in Laskey, Jaggard and Brown v. United Kingdom that no violation of Article 8 occurred because the amount of physical or psychological harm that the law allows between any two people, even consenting adults, is to be determined by the jurisdiction the individuals live in, as it is the State's responsibility to balance the concerns of public health and well-being with the amount of control a State should be allowed to exercise over its citizens. In the Criminal Justice and Immigration Bill 2007, the British Government cited the Spanner case as justification for criminalizing images of consensual acts, as part of its proposed criminalization of possession of "extreme pornography". Another contrasting case was that of Stephen Lock in 2013, who was cleared of actual bodily harm on the grounds that the woman consented. In this case, the act was deemed to be sexual. United States The United States Federal law does not list a specific criminal determination for consensual BDSM acts. Many BDSM practitioners cite the legal decision of People v. Jovanovic, 95 N.Y.2d 846 (2000), or the "Cybersex Torture Case", which was the first U.S. appellate decision to hold (in effect) that one does not commit assault if the victim consents. However, many individual states do criminalize specific BDSM actions within their state borders. Some states specifically address the idea of "consent to BDSM acts" within their assault laws, such as the state of New Jersey, which defines "simple assault" to be "a disorderly persons offense unless committed in a fight or scuffle entered into by mutual consent, in which case it is a petty disorderly persons offense". Oregon Ballot Measure 9 was a ballot measure in the U.S. state of Oregon in 1992, concerning sadism, masochism, gay rights, pedophilia, and public education, that drew widespread national attention. It would have added the following text to the Oregon Constitution: It was defeated in the 3 November 1992 general election with 638,527 votes in favor, 828,290 votes against. The National Coalition for Sexual Freedom collects reports about punishment for sexual activities engaged in by consenting adults, and about its use in child custody cases. Cultural aspects Today, the BDSM culture exists in most Western countries. This offers BDSM practitioners the opportunity to discuss BDSM relevant topics and problems with like-minded people. This culture is often viewed as a subculture, mainly because BDSM is often still regarded as "unusual" by some of the public. Many people hide their leaning from society since they are afraid of the incomprehension and of social exclusion. In contrast to frameworks seeking to explain sadomasochism through psychological, psychoanalytic, medical or forensic approaches, which seek to categorize behaviour and desires and find a root "cause", Romana Byrne suggests that such practices can be seen as examples of "aesthetic sexuality", in which a founding physiological or psychological impulse is irrelevant. Rather, sadism and masochism may be practiced through choice and deliberation, driven by certain aesthetic goals tied to style, pleasure, and identity. These practices, in certain circumstances and contexts, can be compared with the creation of art. Symbols One of the most commonly used symbols of the BDSM community is a derivation of a triskelion shape within a circle. Various forms of triskele have had many uses and many meanings in many cultures; its BDSM usage derives from the Ring of O in the classic book Story of O. The BDSM Emblem Project claims copyright over one particular specified form of the triskelion symbol; other variants of the triskelion are free from such copyright claims. The leather pride flag is a symbol for the leather subculture and also widely used within BDSM. In continental Europe, the Ring of O is widespread among BDSM practitioners. The triskelion as a BDSM symbol can easily be perceived as the three separate parts of the acronym BDSM; which are BD, DS, and SM (Bondage & Discipline, Dominance & Submission, Sadism & Masochism). They are three separate items, that are normally associated together. The BDSM rights flag, shown to the right, is intended to represent the belief that people whose sexuality or relationship preferences include BDSM practises deserve the same human rights as everyone else, and should not be discriminated against for pursuing BDSM with consenting adults. The flag is inspired by the leather pride flag and BDSM emblem but is specifically intended to represent the concept of BDSM rights and to be without the other symbols' restrictions against commercial use. It is designed to be recognizable by people familiar with either the leather pride flag or BDSM triskelion (or triskele) as "something to do with BDSM"; and to be distinctive whether reproduced in full colour, or in black and white (or another pair of colours). BDSM and fetish items and styles have been spread widely in Western societies' everyday life by different factors, such as avant-garde fashion, heavy metal, goth subculture, and science fiction TV series, and are often not consciously connected with their BDSM roots by many people. While it was mainly confined to the punk and BDSM subcultures in the 1990s, it has since spread into wider parts of Western societies. Film and music In music: the Romanian singer-songwriter Navi featured BDSM and Shibari scenes in her music video "Picture Perfect" (2014). The video was banned in Romania for its explicit content. In 2010, Rihanna's song "S&M" and Christina Aguilera's single "Not Myself Tonight" appeared, both full of BDSM imagery. In movies: While BDSM activity appeared initially in subtle form, in the 1960s famous works of literature like Story of O and Venus in Furs were filmed explicitly. With the release of the 1986 film 9½ Weeks, the topic of BDSM was transferred to mainstream cinema. From the 1990s, cinematic representation of alternative sexualities, including BDSM, increased dramatically, as seen in documentary productions such as Graphic Sexual Horror (a 2009 film based on the website Insex), KinK (a 2013 film based on the website Kink.com), and movies such as Fifty Shades of Grey (2015) and its two sequels Fifty Shades Darker (2017) and Fifty Shades Freed (2018). However, mistakenly considered in mainstream society as having BDSM activities that are, rather, abusive are the movies Fifty Shades of Grey (2015) and its two sequels Fifty Shades Darker (2017) and Fifty Shades Freed (2018). "A lot of what happens in the main relationship of Fifty Shades of Grey is domestic abuse, both physical and emotional, and for people whose entire understanding of BDSM now comes from jiggle balls and rooms of pain this is a dangerous misconception to foster." Theater Although it would be possible to establish certain elements related to BDSM in classical theater, not until the emergence of contemporary theater would some plays have BDSM as the main theme. Exemplifying this are two works: one Austrian, one German, in which BDSM is not only incorporated but integral to the storyline of the play. Worauf sich Körper kaprizieren, Austria. Peter Kern directed and wrote the script for this comedy which is a present-day adaption of Jean Genet's 1950 film, Un chant d'amour. It is about a marriage in which the wife (film veteran Miriam Goldschmidt) submits her husband (Heinrich Herkie) and the butler (Günter Bubbnik) to her sadistic treatment until two new characters take their places. Ach, Hilde (Oh, Hilda), Germany. This play by Anna Schwemmer premiered in Berlin. A young Hilde becomes pregnant, and after being abandoned by her boyfriend she decides to become a professional dominatrix to earn money. The play carefully crafts a playful and frivolous picture of the field of professional dominatrices. Literature Although examples of literature catering to BDSM and fetishistic tastes were created in earlier periods, BDSM literature as it exists today cannot be found much earlier than World War II. The word sadism originates from the works of Donatien Alphonse François, Marquis de Sade, and the word masochism originates from Leopold von Sacher-Masoch, the author of Venus in Furs. However, it is worth noting that the Marquis de Sade describes non-consensual abuse in his works, such as in Justine. Venus in Furs describes a consensual dom-sub relationship. A central work in modern BDSM literature is undoubtedly Story of O (1954) by Anne Desclos under the pseudonym Pauline Réage. Other notable works include 9½ Weeks (1978) by Elizabeth McNeill, some works of the writer Anne Rice (Exit to Eden, and her Claiming of Sleeping Beauty series of books), Jeanne de Berg (L'Image (1956) dedicated to Pauline Réage), the Gor series by John Norman, and naturally all the works of Patrick Califia, Gloria Brame, the group Samois and many of the writer Georges Bataille (Histoire de l'oeil-Story of the Eye, Madame Edwarda, 1937), as well as those of Bob Flanagan (Slave Sonnets (1986), Fuck Journal (1987), A Taste of Honey (1990)). A common part of many of the poems of Pablo Neruda is a reflection on feelings and sensations arising from the relations of EPE or erotic exchange of power. The Fifty Shades trilogy is a series of very popular erotic romance novels by E. L. James which involves BDSM; however, the novels have been criticized for their inaccurate and harmful depiction of BDSM. In the 21st century, a number of prestigious university presses, such as Duke University, Indiana University and University of Chicago, have published books on BDSM written by professors, thereby lending academic legitimacy to this once taboo topic. Art In photography: Eric Kroll and Irving Klaw (with Bettie Page, the first well-known bondage model), and Japanese photographer Araki Nobuyoshi, whose works are exhibited in several major art museums, galleries and private collections, such as the Baroness Marion Lambert, the world's largest holder of contemporary photographic art. Also Robert Mapplethorpe, whose most controversial work is that of the underground BDSM scene in the late 1960s and early 1970s of New York. The homoeroticism of this work fuelled a national debate over the public funding of controversial artwork. Comic book drawings: Guido Crepax with Histoire d'O (1975), Justine (1979) and Venere in Pelliccia (1984); inspired by the work of Pauline Réage, the Marquis de Sade and Leopold von Sacher-Masoch. John Willie and The Adventures of Sweet Gwendoline (1984) which was the basis for the film The Perils of Gwendoline in the Land of the Yik-Yak. The Sunstone/Mercy (2011-ongoing) books by Stjepan Sejic have become very popular and are found in many conventional bookstores around the world. In graphic design: Eric Stanton and his work on dominance and female bondage, as well as Hajime Sorayama and Robert Bishop. In art deco sculpture: Bruno Zach produced perhaps his best known sculpture—called "The Riding Crop" (c. 1925)—which features a scantily clad dominatrix wielding a riding crop. See also Index of BDSM articles Autosadism Dominance hierarchy Glossary of BDSM List of BDSM equipment | crime, depending on the relevant law, since the bottom or top has explicitly revoked his or her consent to any actions that follow the use of the safeword. For other scenes, particularly in established relationships, a safeword may be agreed to signify a warning ("this is getting too intense") rather than explicit withdrawal of consent; and a few choose not to use a safeword at all. Terminology and subtypes The initialism BDSM stands for: Bondage and discipline (B&D) Dominance and submission (D&s) Sadomasochism (or S&M) These terms replaced sadomasochism, as they more broadly cover BDSM activities and focus on the submissive roles instead of psychological pain. The model is only an attempt at phenomenological differentiation. Individual tastes and preferences in the area of human sexuality may overlap among these areas. Under the initialism BDSM, these psychological and physiological facets are also included: Male dominance Male submission Female dominance Female submission The term bondage describes the practice of physical restraint. Bondage is usually, but not always, a sexual practice. While bondage is a very popular variation within the larger field of BDSM, it is nevertheless sometimes differentiated from the rest of this field. A 2015 study of over 1,000 Canadians showed that about half of all men held fantasies of bondage, and almost half of all women did as well. In a strict sense, bondage means binding the partner by tying their appendages together; for example, by the use of handcuffs or ropes, or by lashing their arms to an object. Bondage can also be achieved by spreading the appendages and fastening them with chains or ropes to a St. Andrew's cross or spreader bars. The term discipline describes psychological restraining, with the use of rules and punishment to control overt behavior. Punishment can be pain caused physically (such as caning), humiliation caused psychologically (such as a public flagellation) or loss of freedom caused physically (for example, chaining the submissive partner to the foot of a bed). Another aspect is the structured training of the bottom. Dominance and submission (also known as D&s, Ds or D/s) is a set of behaviors, customs and rituals relating to the giving and accepting of control of one individual over another in an erotic or lifestyle context. It explores the more mental aspect of BDSM. This is also the case in many relationships not considering themselves as sadomasochistic; it is considered to be a part of BDSM if it is practiced purposefully. The range of its individual characteristics is thereby wide. Often, BDSM contracts are set out in writing to record the formal consent of the parties to the power exchange, stating their common vision of the relationship dynamic. The purpose of this kind of agreement is primarily to encourage discussion and negotiation in advance and then to document that understanding for the benefit of all parties. Such documents have not been recognized as being legally binding, nor are they intended to be. These agreements are binding in the sense that the parties have the expectation that the negotiated rules will be followed. Often other friends and community members may witness the signing of such a document in a ceremony, and so parties violating their agreement can result in loss of face, respect or status with their friends in the community. In general, as compared to conventional relationships, BDSM participants go to great lengths to negotiate the important aspects of their relationships in advance, and to take great care in learning about and following safe practices. In D/s, the dominant is the top and the submissive is the bottom. In S/M, the sadist is usually the top and the masochist the bottom, but these roles are frequently more complicated or jumbled (as in the case of being dominant, masochists who may arrange for their submissive to carry out S/M activities on them). As in B/D, the declaration of the top/bottom may be required, though sadomasochists may also play without any power exchange at all, with both partners equally in control of the play. Etymology The term sadomasochism is derived from the words sadism and masochism. These terms differ somewhat from the same terms used in psychology since those require that the sadism or masochism cause significant distress or involve non-consenting partners. Sadomasochism refers to the aspects of BDSM surrounding the exchange of physical or emotional pain. Sadism describes sexual pleasure derived by inflicting pain, degradation, humiliation on another person or causing another person to suffer. On the other hand, the masochist enjoys being hurt, humiliated, or suffering within the consensual scenario. Sadomasochistic scenes sometimes reach a level that appears more extreme or cruel than other forms of BDSM — for example, when a masochist is brought to tears or is severely bruised — and is occasionally unwelcome at BDSM events or parties. Sadomasochism does not imply enjoyment through causing or receiving pain in other situations (for example, accidental injury, medical procedures). The terms sadism and masochism are derived from the names of the Marquis de Sade and Leopold von Sacher-Masoch, based on the content of the authors' works. Although the names of de Sade and Sacher-Masoch are attached to the terms sadism and masochism respectively, the scenes described in de Sade's works do not meet modern BDSM standards of informed consent. BDSM is solely based on consensual activities, and based on its system and laws. The concepts presented by de Sade are not in accordance with the BDSM culture, even though they are sadistic in nature. In 1843, the Ruthenian physician Heinrich Kaan published Psychopathia sexualis (Psychopathy of Sex), a writing in which he converts the sin conceptions of Christianity into medical diagnoses. With his work, the originally theological terms perversion, aberration and deviation became part of the scientific terminology for the first time. The German psychiatrist Richard von Krafft Ebing introduced the terms sadism and masochism to the medical community in his work Neue Forschungen auf dem Gebiet der Psychopathia sexualis (New research in the area of Psychopathy of Sex) in 1890. In 1905, Sigmund Freud described sadism and masochism in his Three Essays on the Theory of Sexuality as diseases developing from an incorrect development of the child psyche and laid the groundwork for the scientific perspective on the subject in the following decades. This led to the first time use of the compound term sado-masochism (German sado-masochismus) by the Viennese psychoanalytic Isidor Isaak Sadger in their work, "Über den sado-masochistischen Komplex" ("Regarding the sadomasochistic complex") in 1913. In the later 20th century, BDSM activists have protested against these conceptual models, as they were derived from the philosophies of two singular historical figures. Both Freud and Krafft-Ebing were psychiatrists; their observations on sadism and masochism were dependent on psychiatric patients, and their models were built on the assumption of psychopathology. BDSM activists argue that it is illogical to attribute human behavioural phenomena as complex as sadism and masochism to the "inventions" of two historic individuals. Advocates of BDSM have sought to distinguish themselves from widely held notions of antiquated psychiatric theory by the adoption of the term BDSM as a distinction from the now common usage of those psychological terms, abbreviated as S&M. Behavioral and physiological aspects BDSM is commonly mistaken as being "all about pain". Freud was confounded by the complexity and counterintuitiveness of practitioners' doing things that are self-destructive and painful. Rather than pain, BDSM practitioners are primarily concerned with power, humiliation, and pleasure. The aspects of D/s and B/D may not include physical suffering at all, but include the sensations experienced by different emotions of the mind. Of the three categories of BDSM, only sadomasochism specifically requires pain, but this is typically a means to an end, as a vehicle for feelings of humiliation, dominance, etc. In psychology, this aspect becomes a deviant behavior once the act of inflicting or experiencing pain becomes a substitute for or the main source of sexual pleasure. In its most extreme, the preoccupation on this kind of pleasure can lead participants to view humans as insensate means of sexual gratification. Dominance and submission of power are an entirely different experience, and are not always psychologically associated with physical pain. Many BDSM activities involve no pain or humiliation, but just the exchange of power and control. During the activities, the participants may feel endorphin effects comparable to "runner's high" and to the afterglow of orgasm. The corresponding trance-like mental state is also called subspace, for the submissive, and domspace, for the dominant. Some use body stress to describe this physiological sensation. The experience of algolagnia is important, but is not the only motivation for many BDSM practitioners. The philosopher Edmund Burke called the sensation of pleasure derived from pain "sublime". Couples engaging in consensual BDSM tend to show hormonal changes that indicate decreases in stress and increases in emotional bonding. There is an array of BDSM practitioners who take part in sessions in which they do not receive any personal gratification. They enter such situations solely with the intention to allow their partners to indulge their own needs or fetishes. Professional dominants do this in exchange for money, but non-professionals do it for the sake of their partners. In some BDSM sessions, the top exposes the bottom to a range of sensual experiences, such as pinching; biting; scratching with fingernails; erotic spanking; erotic electrostimulation; and the use of crops, whips, liquid wax, ice cubes, and Wartenberg wheels. Fixation by handcuffs, ropes, or chains may occur. The repertoire of possible "toys" is limited only by the imagination of both partners. To some extent, everyday items, such as clothespins, wooden spoons, and plastic wrap, are used in sex play. It is commonly considered that a pleasurable BDSM experience during a session depends strongly on the top's competence and experience and the bottom's physical and mental state. Trust and sexual arousal help the partners enter a shared mindset. Types of play Following are some of the types of BDSM play: Animal roleplay Breast torture Cock and ball torture (CBT) Erotic electrostimulation Edgeplay Flogging Golden showers (urinating) Human furniture Japanese bondage Medical play Paraphilic infantilism Play piercing Predicament bondage Pussy torture Salirophilia Sexual roleplay Spanking Suspension Tickle torture Wax play Safety Besides safe sex, BDSM sessions often require a wider array of safety precautions than vanilla sex (sexual behaviour without BDSM elements). To ensure consent related to BDSM activity, pre-play negotiations are commonplace, especially among partners who do not know each other very well. In practice, pick-up scenes at clubs or parties may sometimes be low in negotiation (much as pick-up sex from singles bars may not involve much negotiation or disclosure). These negotiations concern the interests and fantasies of each partner and establish a framework of both acceptable and unacceptable activities. This kind of discussion is a typical "unique selling proposition" of BDSM sessions and quite commonplace. Additionally, safewords are often arranged to provide for an immediate stop of any activity if any participant should so desire. Safewords are words or phrases that are called out when things are either not going as planned or have crossed a threshold one cannot handle. They are something both parties can remember and recognize and are, by definition, not words commonly used playfully during any kind of scene. Words such as no, stop, and don't, are often inappropriate as a safeword if the roleplaying aspect includes the illusion of non-consent. The traffic light system (TLS) is the most commonly used set of safewords. Red – meaning: stop immediately and check the status of your partner Yellow – meaning: slow down, be careful Green – meaning: I’m all good, we can start. If used it’s normally uttered by everyone involved before the scene can start. At most clubs and group-organized BDSM parties and events, dungeon monitors (DMs) provide an additional safety net for the people playing there, ensuring that house rules are followed and safewords respected. BDSM participants are expected to understand practical safety aspects, such as the potential for harm to body parts. Contusion or scarring of the skin can be a concern. Using crops, whips, or floggers, the top's fine motor skills and anatomical knowledge can make the difference between a satisfying session for the bottom and a highly unpleasant experience that may even entail severe physical harm. The very broad range of BDSM "toys" and physical and psychological control techniques often requires a far-reaching knowledge of details related to the requirements of the individual session, such as anatomy, physics, and psychology. Despite these risks, BDSM activities usually result in far less severe injuries than sports like boxing and football, and BDSM practitioners do not visit emergency rooms any more often than the general population. It is necessary to be able to identify each person's psychological "squicks" or triggers in advance to avoid them. Such losses of emotional balance due to sensory or emotional overload are a fairly commonly discussed issue. It is important to follow participants' reactions empathetically and continue or stop accordingly. For some players, sparking "freakouts" or deliberately using triggers may be the desired outcome. Safewords are one way for BDSM practices to protect both parties. However, partners should be aware of each other's psychological states and behaviors to prevent instances where the "freakouts" prevent the use of safewords. After any BDSM activities, it is important that the participants go through sexual aftercare, to process and calm down from the activity. After the sessions, participants can need aftercare because their bodies have experienced trauma and they need to mentally come out of the role play. Social aspects Roles Top and bottom At one end of the spectrum are those who are indifferent to, or even reject physical stimulation. At the other end of the spectrum are bottoms who enjoy discipline and erotic humiliation but are not willing to be subordinate to the person who applies it. The bottom is frequently the partner who specifies the basic conditions of the session and gives instructions, directly or indirectly, in the negotiation, while the top often respects this guidance. Other bottoms, often called "brats", try to incur punishment from their tops by provoking them or "misbehaving". Nevertheless, a purist "school" exists within the BDSM community, which regards such "topping from the bottom" as rude or even incompatible with the standards of BDSM relations. Types of relationships Play BDSM practitioners sometimes regard the practice of BDSM in their sex life as roleplaying and so often use the terms play and playing to describe activities where in their roles. Play of this sort for a specified period of time is often called a session, and the contents and the circumstances of play are often referred to as the scene. It is also common in personal relationships to use the term kink play for BDSM activities, or more specific terms for the type of activity. The relationships can be of varied types. Long term Early writings on BDSM both by the academic and BDSM community spoke little of long-term relationships with some in the gay leather community suggesting short-term play relationships to be the only feasible relationship models, and recommending people to get married and "play" with BDSM outside of marriage. In recent times though writers of BDSM and sites for BDSM have been more focused on long-term relationships. A 2003 study, the first to look at these relationships, fully demonstrated that "quality long-term functioning relationships" exist among practitioners of BDSM, with either sex being the top or bottom (the study was based on 17 heterosexual couples). Respondents in the study expressed their BDSM orientation to be built into who they are, but considered exploring their BDSM interests an ongoing task, and showed flexibility and adaptability in order to match their interests with their partners. The "perfect match" where both in the relationship shared the same tastes and desires was rare, and most relationships required both partners to take up or put away some of their desires. The BDSM activities that the couples partook in varied in sexual to nonsexual significance for the partners who reported doing certain BDSM activities for "couple bonding, stress release, and spiritual quests". The most reported issue amongst respondents was not finding enough time to be in role with most adopting a lifestyle wherein both partners maintain their dominant or submissive role throughout the day. Amongst the respondents, it was typically the bottoms who wanted to play harder, and be more restricted into their roles when there was a difference in desire to play in the relationship. The author of the study, Bert Cutler, speculated that tops may be less often in the mood to play due to the increased demand for responsibility on their part: being aware of the safety of the situation and prepared to remove the bottom from a dangerous scenario, being conscious of the desires and limits of the bottom, and so on. The author of the study stressed that successful long-term BDSM relationships came after "early and thorough disclosure" from both parties of their BDSM interests. Many of those engaged in long-term BDSM relationships learned their skills from larger BDSM organizations and communities. There was a lot of discussion by the respondents on the amount of control the top possessed in the relationships but "no discussion of being better, or smarter, or of more value" than the bottom. Couples were generally of the same mind of whether or not they were in an ongoing relationship, but in such cases, the bottom was not locked up constantly, but that their role in the context of the relationship was always present, even when the top was doing non-dominant activities such as household chores, or the bottom being in a more dominant position. In its conclusion the study states: The study further goes on to list three aspects that made the successful relationships work: early disclosure of interests and continued transparency, a commitment to personal growth, and the use of the dominant/submissive roles as a tool to maintain the relationship. In closing remarks, the author of the study theorizes that due to the serious potential for harm, couples in BDSM relationships develop increased communication that may be higher than in mainstream relationships. Professional services A professional dominatrix or professional dominant, often referred to within the culture as a pro-dom(me), offers services encompassing the range of bondage, discipline, and dominance in exchange for money. The term dominatrix is little-used within the non-professional BDSM scene. A non-professional dominant woman is more commonly referred to simply as a domme, dominant, or femdom (short for female dominance). Professional submissives ("pro-subs"), although far more rare, do exist. A professional submissive consents to their client's dominant behavior within negotiated limits, and often works within a professional dungeon. Most of the people who work as subs normally have tendencies towards such activities, especially when sadomasochism is involved. Males also work as professional "tops" in BDSM, and are called masters or doms. However, it is much rarer to find a male in this profession. Scenes In BDSM, a "scene" is the stage or setting where BDSM activity takes place, as well as the activity itself. The physical place where a BDSM activity takes place is usually called a dungeon, though some prefer less dramatic terms, including playspace or club. A BDSM activity can, but need not, involve sexual activity or sexual roleplay. A characteristic of many BDSM relationships is the power exchange from the bottom to the dominant partner, and bondage features prominently in BDSM scenes and sexual roleplay. "The Scene" (including use of the definite article the) is also used in the BDSM community to refer to the BDSM community as a whole. Thus someone who is on "the Scene", and prepared to play in public, might take part in "a scene" at a public play party. A scene can take place in private between two or more people and can involve a domestic arrangement, such as servitude or a casual or committed lifestyle master/slave relationship. BDSM elements may involve settings of slave training or punishment for breaches of instructions. A scene can also take place in a club, where the play can be viewed by others. When a scene takes place in a public setting, it may be because the participants enjoy being watched by others, or because of the equipment available, or because having third parties present adds safety for play partners who have only recently met. Etiquette Most standard social etiquette rules still apply when at a BDSM event, such as not intimately touching someone you do not know, not touching someone else's belongings (including toys), and abiding by dress codes. Many events open to the public also have rules addressing alcohol consumption, recreational drugs, cell phones, and photography. A specific scene takes place within the general conventions and etiquette of BDSM, such as requirements for mutual consent and agreement as to the limits of any BDSM activity. This agreement can be incorporated into a formal contract. In addition, most clubs have additional rules which regulate how onlookers may interact with the actual participants in a scene. As is common in BDSM, these are founded on the catchphrase "safe, sane, and consensual". Parties and clubs BDSM play parties are events in which BDSM practitioners and other similarly interested people meet in order to communicate, share experiences and knowledge, and to "play" in an erotic atmosphere. BDSM parties show similarities to ones in the dark culture, being based on a more or less strictly enforced dress code; often clothing made of latex, leather or vinyl/PVC, lycra and so on, emphasizing the body's shape and the primary and secondary sexual characteristics. The requirement for such dress codes differ. While some events have none, others have a policy in order to create a more coherent atmosphere and to prevent outsiders from taking part. At these parties, BDSM can be publicly performed on a stage, or more privately in separate "dungeons". A reason for the relatively fast spread of this kind of event is the opportunity to use a wide range of "playing equipment", which in most apartments or houses is unavailable. Slings, St. Andrew's crosses (or similar restraining constructs), spanking benches, and punishing supports or cages are often made available. The problem of noise disturbance is also lessened at these events, while in the home setting many BDSM activities can be limited by this factor. In addition, such parties offer both exhibitionists and voyeurs a forum to indulge their inclinations without social criticism. Sexual intercourse is not permitted within most public BDSM play spaces or not often seen in others, because it is not the emphasis of this kind of play. In order to ensure the maximum safety and comfort for the participants, certain standards of behavior have evolved; these include aspects of courtesy, privacy, respect and safewords. Today BDSM parties are taking place in most of the larger cities in the Western world. This scene appears particularly on the Internet, in publications, and in meetings such as at fetish clubs (like Torture Garden), SM parties, gatherings called munches, and erotic fairs like Venus Berlin. The annual Folsom Street Fair held in San Francisco is the world's largest BDSM event. It has its roots in the gay leather movement. The weekend-long festivities include a wide range of sadomasochistic erotica in a public clothing optional space between 8th and 13th streets with nightly parties associated with the organization. There are also conventions such as Living in Leather and Black Rose. Psychology Freud and others have assumed that a preference for BDSM is a consequence of childhood abuse. Research indicates that there is no evidence for this claim. Some reports suggest that people abused as children may have more BDSM injuries and have difficulty with safe words being recognized as meaning stop the previously consensual behavior, thus, it is possible that people choosing BDSM as part of their lifestyle, who also were previously abused, may have had more police or hospital reports of injuries. There is also a link between transgender individuals who have been abused and violence occurring in BDSM activities. There are a number of reasons commonly given for why a practitioner finds the practice of D/s enjoyable, and the answer is largely dependent on the individual. For some submissives, taking on a role of compliance or helplessness offers a form of therapeutic escape: from the stresses of life, from responsibility, or from guilt. For others, being under the power of a strong, controlling presence may evoke feelings of safety and protection associated with childhood. They likewise may derive satisfaction from earning the approval of that figure. A dominant, on the other hand, may enjoy the feeling of power and authority that comes from playing the dominant role, and a sadist may receive pleasure vicariously through the suffering of the masochist. It is poorly understood, though, what ultimately connects these emotional experiences to sexual gratification, or how that connection initially forms. Joseph Merlino, author and psychiatry adviser to the New York Daily News, said in an interview that a sadomasochistic relationship, as long as it is consensual, is not a psychological problem: Some psychologists agree that experiences during early sexual development can have a profound effect on the character of sexuality later in life. Sadomasochistic desires, however, seem to form at a variety of ages. Some individuals report having had them before puberty, while others do not discover them until well into adulthood. According to one study, the majority of male sadomasochists (53%) developed their interest before the age of 15, while the majority of females (78%) developed their interest afterward (Breslow, Evans, and Langley 1985). The prevalence of sadomasochism within the general population is unknown. Despite female sadists being less visible than males, some surveys have resulted in comparable amounts of sadistic fantasies between females and males. The results of such studies demonstrate that one's sex does not determine preference for sadism. Following a phenomenological study of nine individuals involved in sexual masochistic sessions who regarded pain as central to their experience, sexual masochism was described as an addiction-like tendency, with several features resembling that of drug addiction: craving, intoxication, tolerance and withdrawal. It was also demonstrated how the first masochistic experience is placed on a pedestal, with subsequent use aiming at retrieving this lost sensation, much as described in the descriptive literature on addiction. The addictive pattern presented in this study suggests an association with behavioral spin as found in problem gamblers. Prevalence BDSM occurs among people of all genders and sexual orientations, and in varied occurrences and intensities. The spectrum ranges from couples with no connections to the subculture outside of their bedrooms or homes, without any awareness of the concept of BDSM, playing "tie-me-up-games", to public scenes on St. Andrew's crosses at large events such as the Folsom Street Fair in San Francisco. Estimation on the overall percentage of BDSM-related sexual behaviour varies. Alfred Kinsey stated in his 1953 nonfiction book Sexual Behavior in the Human Female that 12% of females and 22% of males reported having an erotic response to a sadomasochistic story. In that book erotic responses to being bitten were given as: A non-representative survey on the sexual behaviour of American students published in 1997 and based on questionnaires had a response rate of about 8–9%. Its results showed 15% of homosexual and bisexual males, 21% of lesbian and female bisexual students, 11% of heterosexual males and 9% of female heterosexual students committed to BDSM related fantasies. In all groups the level of practical BDSM experiences were around 6%. Within the group of openly lesbian and bisexual females, the quote was significantly higher, at 21%. Independent of their sexual orientation, about 12% of all questioned students, 16% of lesbians and female bisexuals and 8% of heterosexual males articulated an interest in spanking. Experience with this sexual behaviour was indicated by 30% of male heterosexuals, 33% of female bisexuals and lesbians, and 24% of the male gay and bisexual men and female heterosexual women. Even though this study was not considered representative, other surveys indicate similar dimensions in differing target groups. A representative study done from 2001 to 2002 in Australia found that 1.8% of sexually active people (2.2% men, 1.3% women but no significant sex difference) had engaged in BDSM activity in the previous year. Of the entire sample, 1.8% of men and 1.3% of women had been involved in BDSM. BDSM activity was significantly more likely among bisexuals and homosexuals of both sexes. But among men in general, there was no relationship effect of age, education, language spoken at home or relationship status. Among women, in this study, activity was most common for those between 16 and 19 years of age and least likely for females over 50 years. Activity was also significantly more likely for women who had a regular partner they did not live with, but was not significantly related with speaking a language other than English or education. Another representative study, published in 1999 by the German Institut für rationale Psychologie, found that about 2/3 of the interviewed women stated a desire to be at the mercy of their sexual partners from time to time. 69% admitted to fantasies dealing with sexual submissiveness, 42% stated interest in explicit BDSM techniques, 25% in bondage. A 1976 study in the general US population suggests three percent have had positive experiences with Bondage or master-slave roleplaying. Overall 12% of the interviewed females and 18% of the males were willing to try it. A 1990 Kinsey Institute report stated that 5% to 10% of Americans occasionally engage in sexual activities related to BDSM. 11% of men and 17% of women reported trying bondage. Some elements of BDSM have been popularized through increased media coverage since the middle 1990s. Thus both black leather clothing, sexual jewelry such as chains and dominance roleplay appear increasingly outside of BDSM contexts. According to yet another survey of 317,000 people in 41 countries, about 20% of the surveyed have at least used masks, blindfolds or other bondage utilities once, and 5% explicitly connected themselves with BDSM. In 2004, 19% mentioned spanking as one of their practices and 22% confirmed the use of blindfolds or handcuffs. A 1985 study found 52 out of 182 female respondents (28%) were involved in sadomasochistic activities. Recent surveys A 2009 study on two separate samples of male undergraduate students in Canada found that 62 to 65%, depending on the sample, had entertained sadistic fantasies, and 22 to 39% engaged in sadistic behaviors during sex. The figures were 62 and 52% for bondage fantasies, and 14 to 23% for bondage behaviors. A 2014 study involving a mixed sample of Canadian college students and online volunteers, both male and female, reported that 19% of male samples and 10% of female samples rated the sadistic scenarios described in a questionnaire as being at least "slightly arousing" on a scale that ranged from "very repulsive" to "very arousing"; the difference was statistically significant. The corresponding figures for the masochistic scenarios were 15% for male students and 17% for female students, a non-significant difference. In a 2011 study on 367 middle-aged and elderly men recruited from the broader community in Berlin, 21.8% of the men self-reported sadistic fantasies and 15.5% sadistic behaviors; 24.8% self-reported any such fantasy and/or behavior. The corresponding figures for self-reported masochism were 15.8% for fantasy, 12.3% for behavior, and 18.5% for fantasy and/or behavior. In a 2008 study on gay men in Puerto Rico, 14.8% of the over 425 community volunteers reported any sadistic fantasy, desire or behavior in their lifetime; the corresponding figure for masochism was 15.7%. A 2017 cross-sectional representative survey among the general Belgian population demonstrated a substantial prevalence of BDSM fantasies and activities; 12.5% of the population performed one of more BDSM-practices on a regular basis. Medical categorization Reflecting changes in social norms, modern medical opinion is now moving away from regarding BDSM activities as medical disorders, unless they are nonconsensual or involve significant distress or harm. DSM In the past, the Diagnostic and Statistical Manual of Mental Disorders (DSM), the American Psychiatric Association's manual, defined some BDSM activities as sexual disorders. Following campaigns from advocacy organizations including the National Coalition for Sexual Freedom, the current version of the DSM, DSM-5, excludes consensual BDSM from diagnosis when the sexual interests cause no harm or distress. ICD The World Health Organization's International Classification of Diseases (ICD) has made similar moves in recent years. Section F65 of the current revision, ICD-10, indicates that "mild degrees of sadomasochistic stimulation are commonly used to enhance otherwise normal sexual activity". The diagnostic guidelines for the ICD-10 state that this class of diagnosis should only be made "if sadomasochistic activity is the most important source of stimulation or necessary for sexual gratification". In Europe, an organization called ReviseF65 has worked to remove sadomasochism from the ICD. In 1995, Denmark became the first European Union country to have completely removed sadomasochism from its national classification of diseases. This was followed by Sweden in 2009, Norway in 2010 and Finland 2011. Recent surveys on the spread of BDSM fantasies and practices show strong variations in the range of their results. Nonetheless, researchers assume that 5 to 25 percent of the population practices sexual behavior related to pain or dominance and submission. The population with related fantasies is believed to be even larger. The ICD is in the process of revision, and recent drafts have reflected these changes in social norms. , the final advance preview of the ICD-11 has de-pathologised most things listed in ICD-10 section F65, characterizing as pathological only those activities which are either coercive, or involving significant risk of injury or death, or distressing to the individual committing them, and specifically excluding consensual sexual sadism and masochism from being regarded as pathological. The ICD-11 classification consider sadomasochism as a variant in sexual arousal and private behaviour without appreciable public health impact and for which treatment is neither indicated nor sought." According to the WHO ICD-11 Working Group on Sexual Disorders and Sexual Health, stigmatization and discrimination of fetish- and BDSM individuals are inconsistent with human rights principles endorsed by the United Nations and the World Health Organization. The final advance text is to be officially presented to the members of the WHO in 2019, ready to come into effect in 2022. Coming out Some people who are interested in or curious about BDSM decide to come out of the closet, although many sadomasochists remain closeted. Depending upon a survey's participants, about 5 to 25 percent of the US population show affinity to the subject. Other than a few artists and writers, practically no celebrities are publicly known as sadomasochists. Public knowledge of one's BDSM lifestyle can have detrimental vocational and social effects for sadomasochists. Many face severe professional consequences or social rejection if they are exposed, either voluntarily or involuntarily, as sadomasochists. Within feminist circles, the discussion is split roughly into two camps: some who see BDSM as an aspect or reflection of oppression (for example, Alice Schwarzer) and, on the other side, pro-BDSM feminists, often grouped under the banner of sex-positive feminism (see Samois); both of them can be traced back to the 1970s. Some feminists have criticized BDSM for eroticizing power and violence and reinforcing misogyny. They argue that women who engage in BDSM are making a choice that is ultimately bad for women. Feminist defenders of BDSM argue that consensual BDSM activities are enjoyed by many women and validate the sexual inclinations of these women. They argue that there is no connection between consensual kinky activities and sex crimes, and that feminists should not attack other women's sexual desires as being "anti-feminist". They also state that the main point of feminism is to give an individual woman free choices in her life; which includes her sexual desire. While some feminists suggest connections between consensual BDSM scenes and non-consensual rape and sexual assault, other sex-positive ones find the notion insulting to women. Roles are not fixed to gender, but personal preferences. The dominant partner in a heterosexual relationship may be the woman rather than the man, or BDSM may be part of male/male or female/female sexual relationships. Finally, some people switch, taking either a dominant or submissive role on different occasions. Several studies investigating the possibility of a correlation between BDSM pornography and the violence against women also indicate a lack of correlation. In 1991, a lateral survey came to the conclusion that between 1964 and 1984, despite the increase in amount and availability of sadomasochistic pornography in the U.S., Germany, Denmark and Sweden, there is no correlation with the national number of rapes to be found. Operation Spanner in the U.K. proves that BDSM practitioners still run the risk of being stigmatized as criminals. In 2003, the media coverage of Jack McGeorge showed that simply participating and working in BDSM support groups poses risks to one's job, even in countries where no law restricts it. Here a clear difference can be seen to the situation of homosexuality. The psychological strain appearing in some individual cases is normally neither articulated nor acknowledged in public. Nevertheless, it leads to a difficult psychological situation in which the person concerned can be exposed to high levels of emotional stress. In the stages of "self-awareness", he or she realizes their desires related to BDSM scenarios or decides to be open for such. Some authors call this internal coming-out. Two separate surveys on this topic independently came to the conclusion that 58 percent and 67 percent of the sample respectively, had realized their disposition before their 19th birthday. Other surveys on this topic show comparable results. Independent of age, coming-out can potentially result in a difficult life crisis, sometimes leading to thoughts or acts of suicide. While homosexuals have created support networks in the last decades, sadomasochistic support networks are just starting to develop in most countries. In German-speaking countries they are only moderately more developed. The Internet is the prime contact point for support groups today, allowing for local and international networking. In the U.S., Kink Aware Professionals (KAP) a privately funded, non-profit service provides the community with referrals to psychotherapeutic, medical, and legal professionals who are knowledgeable about and sensitive to the BDSM, fetish, and leather community. In the U.S. and the U.K., the Woodhull Freedom Foundation & Federation, National Coalition for Sexual Freedom (NCSF) and Sexual Freedom Coalition (SFC) have emerged to represent the interests of sadomasochists. The German Bundesvereinigung Sadomasochismus is committed to the same aim of providing information and driving press relations. In 1996, the website and mailing list Datenschlag went online in German and English providing the largest bibliography, as well as one of the most extensive historical collections of sources related to BDSM. Social (non-medical) research Richters et al. (2008) found that people who engaged in BDSM were more likely to have experienced a wider range of sexual practices (e.g. oral or anal sex, more than one partner, group sex, phone sex, viewed pornography, used a sex toy, fisting, rimming, etc.). They were, however, not any more likely to have been coerced, unhappy, anxious, or experiencing sexual difficulties. On the contrary, men who had engaged in BDSM scored lower on a psychological distress scale than men who did not. There have been few studies on the psychological aspects of BDSM using modern scientific standards. Psychotherapist Charles Moser has said there is no evidence for the theory that BDSM has common symptoms or any common psychopathology, emphasizing that there is no evidence that BDSM practitioners have any special psychiatric other problems based on their sexual preferences. Problems sometimes occur with self-classification. During the phase of the "coming-out", self-questioning related to one's own "normality" is common. According to Moser, the discovery of BDSM preferences can result in fear of the current non-BDSM relationship's destruction. This, combined with the fear of discrimination in everyday life, leads in some cases to a double life which can be highly burdensome. At the same time, the denial of BDSM preferences can induce stress and dissatisfaction with one's own "vanilla"-lifestyle, feeding the apprehension of finding no partner. Moser states that BDSM practitioners having problems finding BDSM partners would probably have problems in finding a non-BDSM partner as well. The wish to remove BDSM preferences is another possible reason for psychological problems since it is not possible in most cases. Finally, the scientist states that BDSM practitioners seldom commit violent crimes. From his point of view, crimes of BDSM practitioners usually have no connection with the BDSM components existing in their life. Moser's study comes to the conclusion that there is no scientific evidence, which could give reason to refuse members of this group work- or safety certificates, adoption possibilities, custody or other social rights or privileges. The Swiss psychoanalyst Fritz Morgenthaler shares a similar perspective in his book, Homosexuality, Heterosexuality, Perversion (1988). He states that possible problems result not necessarily from the non-normative behavior, but in most cases primarily from the real or feared reactions of the social environment towards their own preferences. In 1940 psychoanalyst Theodor Reik reached implicitly the same conclusion in his standard work Aus Leiden Freuden. Masochismus und Gesellschaft. Moser's results are further supported by a 2008 Australian study by Richters et al. on the demographic and psychosocial features of BDSM participants. The study found that BDSM practitioners were no more likely to have experienced sexual assault than the control group, and were not more likely to feel unhappy or anxious. The BDSM males reported higher levels of psychological well-being than the controls. It was concluded that "BDSM is simply a sexual interest or subculture attractive to a minority, not a pathological symptom of past abuse or difficulty with 'normal' sex." Gender differences in research Several recent studies have been conducted on the gender differences and personality traits of BDSM practitioners. Wismeijer and van Assen (2013) found that "the association of BDSM role and gender was strong and significant" with only 8% of women in the study being dominant compared to 75% being submissive.; Hébert and Weaver (2014) found that 9% of women in their study were dominant compared to 88% submissive; Weierstall1 and Giebel (2017) likewise found a significant difference, with 19% of women in the study as dominant compared to 74% as submissive, and a study from Andrea Duarte Silva (2015) indicated that 61.7% of females who are active in BDSM expressed a preference for a submissive role, 25.7% consider themselves a switch, while 12.6% prefer the dominant role. In contrast, 46.6% of men prefer the submissive role, 24% consider themselves to be switches and 29.5% prefer the dominant role. They concluded that "men more often display an engagement in dominant practices, whereas females take on the submissive part. This result is inline with a recent study about mate preferences that has shown that women have a generally higher preference for a dominant partner than men do (Giebel, Moran, Schawohl, & Weierstall, 2015). Women also prefer dominant men, and even men who are aggressive, for a short-term relationship and for the purpose of sexual intercourse (Giebel, Weierstall, Schauer, & Elbert, 2013)". Similarly, studies on sexual fantasy differences between men and women show the latter prefer submissive and passive fantasies over dominant and active ones, with rape and force being common. Gender differences in masochistic scripts One common belief of BDSM and kink is that women are more likely to take on masochistic roles than men. Roy Baumeister (2010) actually had more male masochists in his study than female, and fewer male dominants than female. The lack of statistical significance in these gender differences suggests that no assumptions should be made regarding gender and masochistic roles in BDSM. One explanation why we might think otherwise lies in our social and cultural ideals about femininity; masochism may emphasize certain stereotypically feminine elements through activities like feminization of men and ultra-feminine clothing for women. But such tendencies of the submissive masochistic role should not be interpreted as a connection between it and the stereotypical female role—many masochistic scripts do not include any of these tendencies. Baumeister found that masochistic males experienced greater: severity of pain, frequency of humiliation (status-loss, degrading, oral), partner infidelity, active participation by other persons, and cross-dressing. Trends also suggested that male masochism included more bondage and oral sex than |
manager need, such as xterm or Gnome Terminal. Portability Invoking Bash with the --posix option or stating set -o posix in a script causes Bash to conform very closely to the POSIX 1003.2 standard. Bash shell scripts intended for portability should take into account at least the POSIX shell standard. Some bash features not found in POSIX are: Certain extended invocation options Brace expansion Arrays and associative arrays The double bracket extended test construct and its regex matching The double-parentheses arithmetic-evaluation construct (only ; is POSIX) Certain string-manipulation operations in parameter expansion for scoped variables Process substitution Bash-specific builtins Coprocesses $EPOCHSECONDS and $EPOCHREALTIME variables If a piece of code uses such a feature, it is called a "bashism" – a problem for portable use. Debian's and Vidar Holen's can be used to make sure that a script does not contain these parts. The list varies depending on the actual target shell: Debian's policy allows some extensions in their scripts (as they are in the dash shell), while a script intending to support pre-POSIX Bourne shells, like autoconf's , are even more limited in the features they can use. Keyboard shortcuts Bash uses readline to provide keyboard shortcuts for command line editing using the default (Emacs) key bindings. Vi-bindings can be enabled by running set -o vi. Process management The Bash shell has two modes of execution for commands: batch, and concurrent mode. To execute commands in batch (i.e., in sequence) they must be separated by the character ";", or on separate lines: command1; command2 in this example, when command1 is finished, command2 is executed. A background execution of command1 can occur using (symbol &) at the end of an execution command, and process will be executed in background returning immediately control to the shell and allowing continued execution of commands. command1 & Or to have a concurrent execution of two command1 and command2, they must be executed in the Bash shell in the following way: command1 & command2 In this case command1 is executed in the background & symbol, returning immediately control to the shell that executes command2 in the foreground. A process can be stopped and control returned to bash by typing while the process is running in the foreground. A list of all processes, both in the background and stopped, can be achieved by running jobs: $ jobs [1]- Running command1 & [2]+ Stopped command2 In the output, the number in brackets refers to the job id. The plus sign signifies the default process for bg and fg. The text "Running" and "Stopped" refer to the Process state. The last string is the command that started the process. The state of a process can be changed using various commands. The fg command brings a process to the foreground, while bg sets a stopped process running in the background. bg and fg can take a job id as their first argument, to specify the process to act on. Without one, they use the default process, identified by a plus sign in the output of jobs. The kill command can be used to end a process prematurely, by sending it a signal. The job id must be specified after a percent sign: kill %1 Conditional execution Bash supplies "conditional execution" command separators that make execution of a command contingent on the exit code set by a precedent command. For example: cd "$SOMEWHERE" && ./do_something || echo "An error occurred" >&2 Where ./do_something is only executed if the cd (change directory) command was "successful" (returned an exit status of zero) and the echo command would only be executed if either the cd or the ./do_something command return an "error" (non-zero exit status). For all commands the exit status is stored in the special variable $?. Bash also supports and forms of conditional command evaluation. Bug reporting An external command called bashbug reports Bash shell bugs. When the command is invoked, it brings up the user's default editor with a form to fill in. The form is mailed to the Bash maintainers (or optionally to other email addresses). Programmable completion Bash supports programmable completion via built-in complete, , and compgen commands. The feature has been available since the beta version of 2.04 released in 2000. | in the program. The bug, first disclosed on September 24, was named Shellshock and assigned the numbers . The bug was regarded as severe, since CGI scripts using Bash could be vulnerable, enabling arbitrary code execution. The bug was related to how Bash passes function definitions to subshells through environment variables. Features The Bash command syntax is a superset of the Bourne shell command syntax. Bash supports brace expansion, command line completion (Programmable Completion), basic debugging and signal handling (using trap) since bash 2.05a among other features. Bash can execute the vast majority of Bourne shell scripts without modification, with the exception of Bourne shell scripts stumbling into fringe syntax behavior interpreted differently in Bash or attempting to run a system command matching a newer Bash builtin, etc. Bash command syntax includes ideas drawn from the KornShell (ksh) and the C shell (csh) such as command line editing, command history (history command), the directory stack, the $RANDOM and $PPID variables, and POSIX command substitution syntax $(…). When a user presses the tab key within an interactive command-shell, Bash automatically uses command line completion, since beta version 2.04, to match partly typed program names, filenames and variable names. The Bash command-line completion system is very flexible and customizable, and is often packaged with functions that complete arguments and filenames for specific programs and tasks. Bash's syntax has many extensions lacking in the Bourne shell. Bash can perform integer calculations ("arithmetic evaluation") without spawning external processes. It uses the ((…)) command and the $((…)) variable syntax for this purpose. Its syntax simplifies I/O redirection. For example, it can redirect standard output (stdout) and standard error (stderr) at the same time using the &> operator. This is simpler to type than the Bourne shell equivalent 'command > file 2>&1'. Bash supports process substitution using the <(command) and >(command)syntax, which substitutes the output of (or input to) a command where a filename is normally used. (This is implemented through /proc/fd/ unnamed pipes on systems that support that, or via temporary named pipes where necessary). When using the 'function' keyword, Bash function declarations are not compatible with Bourne/Korn/POSIX scripts (the KornShell has the same problem when using 'function'), but Bash accepts the same function declaration syntax as the Bourne and Korn shells, and is POSIX-conformant. Because of these and other differences, Bash shell scripts are rarely runnable under the Bourne or Korn shell interpreters unless deliberately written with that compatibility in mind, which is becoming less common as Linux becomes more widespread. But in POSIX mode, Bash conforms with POSIX more closely. Bash supports here documents. Since version 2.05b Bash can redirect standard input (stdin) from a "here string" using the <<< operator. Bash 3.0 supports in-process regular expression matching using a syntax reminiscent of Perl. In February 2009, Bash 4.0 introduced support for associative arrays. Associative array indices are strings, in a manner similar to AWK or Tcl. They can be used to emulate multidimensional arrays. Bash 4 also switches its license to GPL-3.0-or-later; some users suspect this licensing change is why MacOS continues to use older versions. Apple finally stopped using Bash in their operating systems with the release of MacOS Catalina in 2019. Brace expansion Brace expansion, also called alternation, is a feature copied from the C shell. It generates a set of alternative combinations. Generated results need not exist as files. The results of each expanded string are not sorted and left to right order is preserved: $ echo a{p,c,d,b}e ape ace ade abe $ echo {a,b,c}{d,e,f} ad ae af bd be bf cd ce cf Users should not use brace expansions in portable shell scripts, because the Bourne shell does not produce the same output. $ # A traditional shell does not produce the same output $ /bin/sh -c 'echo a{p,c,d,b}e' a{p,c,d,b}e When brace expansion is combined with wildcards, the braces are expanded first, and then the resulting wildcards are substituted normally. Hence, a listing of JPEG and PNG images in the current directory could be obtained using: ls *.{jpg,jpeg,png} # expands to *.jpg *.jpeg *.png - after which, # the wildcards are processed echo *.{png,jp{e,}g} # echo just show the expansions - # and braces in braces are possible. In addition to alternation, brace expansion can be used for sequential ranges between two integers or characters separated by double dots. Newer versions of Bash allow a third integer to specify the increment. $ echo {1..10} 1 2 3 4 5 6 7 8 9 10 $ echo file{1..4}.txt file1.txt file2.txt file3.txt file4.txt $ echo {a..e} a b c d e $ echo {1..10..3} 1 4 7 10 $ echo {a..j..3} a d g j When brace expansion is combined with variable expansion (A.K.A. parameter expansion and parameter substitution) the variable expansion is performed after the brace expansion, which in some cases may necessitate the use of the eval built-in, thus: $ start=1; end=10 $ echo {$start..$end} # fails to expand due to the evaluation order {1..10} $ eval echo {$start..$end} # variable expansion occurs then resulting string is evaluated 1 2 3 4 5 6 7 8 |
regions, killing at least 926 people. It was the third deadliest blizzard in history. The weather also claimed more than 100,000 sheep and goats, and nearly 315,000 cattle died. The Snow Winter of 1880–1881 The winter of 1880–1881 is widely considered the most severe winter ever known in parts of the United States. Many children—and their parents—learned of "The Snow Winter" through the children's book The Long Winter by Laura Ingalls Wilder, in which the author tells of her family's efforts to survive. The snow arrived in October 1880 and blizzard followed blizzard throughout the winter and into March 1881, leaving many areas snowbound throughout the entire winter. Accurate details in Wilder's novel include the blizzards' frequency and the deep cold, the Chicago and North Western Railway stopping trains until the spring thaw because the snow made the tracks impassable, the near-starvation of the townspeople, and the courage of her future husband Almanzo and another man, who ventured out on the open prairie in search of a cache of wheat that no one was even sure existed. The October blizzard brought snowfalls so deep that two-story homes had snow up to the second floor windows. No one was prepared for the deep snow so early in the season and farmers all over the region were caught before their crops had even been harvested, their grain milled, or with their fuel supplies for the winter in place. By January the train service was almost entirely suspended from the region. Railroads hired scores of men to dig out the tracks but it was a wasted effort: As soon as they had finished shoveling a stretch of line, a new storm arrived, filling up the line and leaving their work useless. There were no winter thaws and on February 2, 1881, a second massive blizzard struck that lasted for nine days. In the towns the streets were filled with solid drifts to the tops of the buildings and tunneling was needed to secure passage about town. Homes and barns were completely covered, compelling farmers to tunnel to reach and feed their stock. When the snow finally melted in late spring of 1881, huge sections of the plains were flooded. Massive ice jams clogged the Missouri River and when they broke the downstream areas were ravaged. Most of the town of Yankton, in what is now South Dakota, was washed away when the river overflowed its banks. The Storm of the Century The Storm of the Century, also known as the Great Blizzard of 1993, was a large cyclonic storm that formed over the Gulf of Mexico on March 12, 1993, and dissipated in the North Atlantic Ocean on March 15. It is unique for its intensity, massive size and wide-reaching effect. At its height, the storm stretched from Canada towards Central America, but its main impact was on the United States and Cuba. The cyclone moved through the Gulf of Mexico, and then through the Eastern United States before moving into Canada. Areas as far south as northern Alabama and Georgia received a dusting of snow and areas such as Birmingham, Alabama, received up to with hurricane-force wind gusts and record low barometric pressures. Between Louisiana and Cuba, hurricane-force winds produced high storm surges across northwestern Florida, which along with scattered tornadoes killed dozens of people. In the United States, the storm was responsible for the loss of electric power to over 10 million customers. It is purported to have been directly experienced by nearly 40 percent of the country's population at that time. A total of 310 people, including 10 from Cuba, perished during this storm. The storm cost $6 to $10 billion in damages. List of blizzards North America 1700 to 1799 The Great Snow 1717 series of four snowstorms between February 27 and March 7, 1717. There were reports of about five feet of snow already on the ground when the first of the storms hit. By the end, there were about ten feet of snow and some drifts reaching , burying houses entirely. In the colonial era, this storm made travel impossible until the snow simply melted. Blizzard of 1765. March 24, 1765. Affected area from Philadelphia to Massachusetts. High winds and over of snowfall recorded in some areas. Blizzard of 1772. "The Washington and Jefferson Snowstorm of 1772". January 26–29, 1772. One of largest D.C. and Virginia area snowstorms ever recorded. Snow accumulations of recorded. The "Hessian Storm of 1778". December 26, 1778. Severe blizzard with high winds, heavy snows and bitter cold extending from Pennsylvania to New England. Snow drifts reported to be high in Rhode Island. Storm named for stranded Hessian troops in deep snows stationed in Rhode Island during the Revolutionary War. The Great Snow of 1786. December 4–10, 1786. Blizzard conditions and a succession of three harsh snowstorms produced snow depths of to from Pennsylvania to New England. Reportedly of similar magnitude of 1717 snowstorms. The Long Storm of 1798. November 19–21, 1798. Heavy snowstorm produced snow from Maryland to Maine. 1800 to 1850 Blizzard of 1805. January 26–28, 1805. Cyclone brought heavy snowstorm to New York City and New England. Snow fell continuously for two days where over of snow accumulated. New York City Blizzard of 1811. December 23–24, 1811. Severe blizzard conditions reported on Long Island, in New York City, and southern New England. Strong winds and tides caused damage to shipping in harbor. Luminous Blizzard of 1817. January 17, 1817. In Massachusetts and Vermont, a severe snowstorm was accompanied by frequent lightning and heavy thunder. St. Elmo's fire reportedly lit up trees, fence posts, house roofs, and even people. John Farrar professor at Harvard, recorded the event in his memoir in 1821. Great Snowstorm of 1821. January 5–7, 1821. Extensive snowstorm and blizzard spread from Virginia to New England. Winter of Deep Snow in 1830. December 29, 1830. Blizzard storm dumped in Kansas City and in Illinois. Areas experienced repeated storms thru mid-February 1831. "The Great Snowstorm of 1831" January 14–16, 1831. Produced snowfall over widest geographic area that was only rivaled, or exceeded by, the 1993 Blizzard. Blizzard raged from Georgia, to Ohio Valley, all the way to Maine. "The Big Snow of 1836" January 8–10, 1836. Produced to of snowfall in interior New York, northern Pennsylvania, and western New England. Philadelphia got a reported and New York City of snow. 1851 to 1900 Plains Blizzard of 1856. December 3–5, 1856. Severe blizzard-like storm raged for three days in Kansas and Iowa. Early pioneers suffered. "The Cold Storm of 1857" January 18–19, 1857. Produced severe blizzard conditions from North Carolina to Maine. Heavy snowfalls reported in east coast cities. Midwest Blizzard of 1864. January 1, 1864. Gale-force winds, driving snow, and low temperatures all struck simultaneously around Chicago, Wisconsin and Minnesota. Plains Blizzard of 1873. January 7, 1873. Severe blizzard struck the Great Plains. Many pioneers from the east were unprepared for the storm and perished in Minnesota and Iowa. Great Plains Easter Blizzard of 1873. April 13, 1873 Seattle Blizzard of 1880. January 6, 1880. Seattle area's greatest snowstorm to date. An estimated fell around the town. Many barns collapsed and all transportation halted. The Snow Winter of 1880–1881. Laura Ingalls Wilder's book The Long Winter details the effects of the blizzards in the Dakota Territory in the winter of 1880–1881. In the three year winter period from December 1885 to March 1888, the Great Plains and Eastern United States suffered a series of the worst blizzards in this nation's history ending with the Schoolhouse Blizzard and the Great Blizzard of 1888. The massive explosion of the volcano Krakatoa in the South Pacific late in August 1883 is a suspected cause of these huge blizzards during these several years. The clouds of ash it emitted continued to circulate around the world for many years. Weather patterns continued to be chaotic for years, and temperatures did not return to normal until 1888. Record rainfall was experienced in Southern California during July 1883 to June 1884. The Krakatoa eruption injected an unusually large amount of sulfur dioxide (SO2) gas high into the stratosphere which reflects sunlight and helped cool the planet over the next few years until the suspended atmospheric sulfur fell to ground. Plains Blizzard of late 1885. In Kansas, heavy snows of late 1885 had piled drifts high. Kansas Blizzard of 1886. First week of January 1886. Reported that 80 percent of the cattle were frozen to death in that state alone from the cold and snow. January 1886 Blizzard. January 9, 1886. Same system as Kansas 1886 Blizzard that traveled eastward. Great Plains Blizzards of late 1886. On November 13, 1886, it reportedly began to snow and did not stop for a month in the Great Plains region. Great Plains Blizzard of 1887. January 9–11, 1887. Reported 72-hour blizzard that covered parts of the Great Plains in more than of snow. Winds whipped and temperatures dropped to around . So many cows that were not killed by the cold soon died from starvation. When spring arrived, millions of the animals were dead, with around 90 percent of the open range's cattle rotting where they fell. Those present reported carcasses as far as the eye could see. Dead cattle clogged up rivers and spoiled drinking water. Many ranchers went bankrupt and others simply called it quits and moved back east. The "Great Die-Up" from the blizzard effectively concluded the romantic period of the great Plains cattle drives. Schoolhouse Blizzard of 1888 North American Great Plains. January 12–13, 1888. What made the storm so deadly was the timing (during work and school hours), the suddenness, and the brief spell of warmer weather that preceded it. In addition, the very strong wind fields behind the cold front and the powdery nature of the snow reduced visibilities on the open plains to zero. People ventured from the safety of their homes to do chores, go to town, attend school, or simply enjoy the relative warmth of the day. As a result, thousands of people—including many schoolchildren—got caught in the blizzard. Great Blizzard of March 1888 March 11–14, 1888. One of the most severe recorded blizzards in the history of the United States. On March 12, an unexpected northeaster hit New England and the mid-Atlantic, dropping up to of snow in the space of three days. New York City experienced its heaviest snowfall recorded to date at that time, all street railcars were stranded, and the storm led to the creation of the NYC subway system. Snowdrifts reached up to the second story of some buildings. Some 400 people died from this blizzard, including many sailors aboard vessels that were beset by gale-force winds and turbulent seas. Great Blizzard of 1899 February 11–14, 1899. An extremely unusual blizzard in that it reached into the far southern states of the US. It hit in February, and the area around Washington, D.C., experienced 51 hours straight of snowfall. The port of New Orleans was totally iced over; revelers participating in the New Orleans Mardi Gras had to wait for the parade routes to be shoveled free of snow. Concurrent with this blizzard was the extremely cold arctic air. Many city and state record low temperatures date back to this event, including all-time records for locations in the Midwest and South. State record lows: Nebraska reached , Ohio experienced , Louisiana bottomed out at , and Florida dipped below zero to . 1901 to 1939 Great Lakes Storm of 1913 November 7–10, 1913. “The White Hurricane” of 1913 was the deadliest and most destructive natural disaster ever to hit the Great Lakes Basin in the Midwestern United States and the Canadian province of Ontario. It | blizzard followed blizzard throughout the winter and into March 1881, leaving many areas snowbound throughout the entire winter. Accurate details in Wilder's novel include the blizzards' frequency and the deep cold, the Chicago and North Western Railway stopping trains until the spring thaw because the snow made the tracks impassable, the near-starvation of the townspeople, and the courage of her future husband Almanzo and another man, who ventured out on the open prairie in search of a cache of wheat that no one was even sure existed. The October blizzard brought snowfalls so deep that two-story homes had snow up to the second floor windows. No one was prepared for the deep snow so early in the season and farmers all over the region were caught before their crops had even been harvested, their grain milled, or with their fuel supplies for the winter in place. By January the train service was almost entirely suspended from the region. Railroads hired scores of men to dig out the tracks but it was a wasted effort: As soon as they had finished shoveling a stretch of line, a new storm arrived, filling up the line and leaving their work useless. There were no winter thaws and on February 2, 1881, a second massive blizzard struck that lasted for nine days. In the towns the streets were filled with solid drifts to the tops of the buildings and tunneling was needed to secure passage about town. Homes and barns were completely covered, compelling farmers to tunnel to reach and feed their stock. When the snow finally melted in late spring of 1881, huge sections of the plains were flooded. Massive ice jams clogged the Missouri River and when they broke the downstream areas were ravaged. Most of the town of Yankton, in what is now South Dakota, was washed away when the river overflowed its banks. The Storm of the Century The Storm of the Century, also known as the Great Blizzard of 1993, was a large cyclonic storm that formed over the Gulf of Mexico on March 12, 1993, and dissipated in the North Atlantic Ocean on March 15. It is unique for its intensity, massive size and wide-reaching effect. At its height, the storm stretched from Canada towards Central America, but its main impact was on the United States and Cuba. The cyclone moved through the Gulf of Mexico, and then through the Eastern United States before moving into Canada. Areas as far south as northern Alabama and Georgia received a dusting of snow and areas such as Birmingham, Alabama, received up to with hurricane-force wind gusts and record low barometric pressures. Between Louisiana and Cuba, hurricane-force winds produced high storm surges across northwestern Florida, which along with scattered tornadoes killed dozens of people. In the United States, the storm was responsible for the loss of electric power to over 10 million customers. It is purported to have been directly experienced by nearly 40 percent of the country's population at that time. A total of 310 people, including 10 from Cuba, perished during this storm. The storm cost $6 to $10 billion in damages. List of blizzards North America 1700 to 1799 The Great Snow 1717 series of four snowstorms between February 27 and March 7, 1717. There were reports of about five feet of snow already on the ground when the first of the storms hit. By the end, there were about ten feet of snow and some drifts reaching , burying houses entirely. In the colonial era, this storm made travel impossible until the snow simply melted. Blizzard of 1765. March 24, 1765. Affected area from Philadelphia to Massachusetts. High winds and over of snowfall recorded in some areas. Blizzard of 1772. "The Washington and Jefferson Snowstorm of 1772". January 26–29, 1772. One of largest D.C. and Virginia area snowstorms ever recorded. Snow accumulations of recorded. The "Hessian Storm of 1778". December 26, 1778. Severe blizzard with high winds, heavy snows and bitter cold extending from Pennsylvania to New England. Snow drifts reported to be high in Rhode Island. Storm named for stranded Hessian troops in deep snows stationed in Rhode Island during the Revolutionary War. The Great Snow of 1786. December 4–10, 1786. Blizzard conditions and a succession of three harsh snowstorms produced snow depths of to from Pennsylvania to New England. Reportedly of similar magnitude of 1717 snowstorms. The Long Storm of 1798. November 19–21, 1798. Heavy snowstorm produced snow from Maryland to Maine. 1800 to 1850 Blizzard of 1805. January 26–28, 1805. Cyclone brought heavy snowstorm to New York City and New England. Snow fell continuously for two days where over of snow accumulated. New York City Blizzard of 1811. December 23–24, 1811. Severe blizzard conditions reported on Long Island, in New York City, and southern New England. Strong winds and tides caused damage to shipping in harbor. Luminous Blizzard of 1817. January 17, 1817. In Massachusetts and Vermont, a severe snowstorm was accompanied by frequent lightning and heavy thunder. St. Elmo's fire reportedly lit up trees, fence posts, house roofs, and even people. John Farrar professor at Harvard, recorded the event in his memoir in 1821. Great Snowstorm of 1821. January 5–7, 1821. Extensive snowstorm and blizzard spread from Virginia to New England. Winter of Deep Snow in 1830. December 29, 1830. Blizzard storm dumped in Kansas City and in Illinois. Areas experienced repeated storms thru mid-February 1831. "The Great Snowstorm of 1831" January 14–16, 1831. Produced snowfall over widest geographic area that was only rivaled, or exceeded by, the 1993 Blizzard. Blizzard raged from Georgia, to Ohio Valley, all the way to Maine. "The Big Snow of 1836" January 8–10, 1836. Produced to of snowfall in interior New York, northern Pennsylvania, and western New England. Philadelphia got a reported and New York City of snow. 1851 to 1900 Plains Blizzard of 1856. December 3–5, 1856. Severe blizzard-like storm raged for three days in Kansas and Iowa. Early pioneers suffered. "The Cold Storm of 1857" January 18–19, 1857. Produced severe blizzard conditions from North Carolina to Maine. Heavy snowfalls reported in east coast cities. Midwest Blizzard of 1864. January 1, 1864. Gale-force winds, driving snow, and low temperatures all struck simultaneously around Chicago, Wisconsin and Minnesota. Plains Blizzard of 1873. January 7, 1873. Severe blizzard struck the Great Plains. Many pioneers from the east were unprepared for the storm and perished in Minnesota and Iowa. Great Plains Easter Blizzard of 1873. April 13, 1873 Seattle Blizzard of 1880. January 6, 1880. Seattle area's greatest snowstorm to date. An estimated fell around the town. Many barns collapsed and all transportation halted. The Snow Winter of 1880–1881. Laura Ingalls Wilder's book The Long Winter details the effects of the blizzards in the Dakota Territory in the winter of 1880–1881. In the three year winter period from December 1885 to March 1888, the Great Plains and Eastern United States suffered a series of the worst blizzards in this nation's history ending with the Schoolhouse Blizzard and the Great Blizzard of 1888. The massive explosion of the volcano Krakatoa in the South Pacific late in August 1883 is a suspected cause of these huge blizzards during these several years. The clouds of ash it emitted continued to circulate around the world for many years. Weather patterns continued to be chaotic for years, and temperatures did not return to normal until 1888. Record rainfall was experienced in Southern California during July 1883 to June 1884. The Krakatoa eruption injected an unusually large amount of sulfur dioxide (SO2) gas high into the stratosphere which reflects sunlight and helped cool the planet over the next few years until the suspended atmospheric sulfur fell to ground. Plains Blizzard of late 1885. In Kansas, heavy snows of late 1885 had piled drifts high. Kansas Blizzard of 1886. First week of January 1886. Reported that 80 percent of the cattle were frozen to death in that state alone from the cold and snow. January 1886 Blizzard. January 9, 1886. Same system as Kansas 1886 Blizzard that traveled eastward. Great Plains Blizzards of late 1886. On November 13, 1886, it reportedly began to snow and did not stop for a month in the Great Plains region. Great Plains Blizzard of 1887. January 9–11, 1887. Reported 72-hour blizzard that covered parts of the Great Plains in more than of snow. Winds whipped and temperatures dropped to around . So many cows that were not killed by the cold soon died from starvation. When spring arrived, millions of the animals were dead, with around 90 percent of the open range's cattle rotting where they fell. Those present reported carcasses as far as the eye could see. Dead cattle clogged up rivers and spoiled drinking water. Many ranchers went bankrupt and others simply called it quits and moved back east. The "Great Die-Up" from the blizzard effectively concluded the romantic period of the great Plains cattle drives. Schoolhouse Blizzard of 1888 North American Great Plains. January 12–13, 1888. What made the storm so deadly was the timing (during work and school hours), the suddenness, and the brief spell of warmer weather that preceded it. In addition, the very strong wind fields behind the cold front and the powdery nature of the snow reduced visibilities on the open plains to zero. People ventured from the safety of their homes to do chores, go to town, attend school, or simply enjoy the relative warmth of the day. As a result, thousands of people—including many schoolchildren—got caught in the blizzard. Great Blizzard of March 1888 March 11–14, 1888. One of the most severe recorded blizzards in the history of the United States. On March 12, an unexpected northeaster hit New England and the mid-Atlantic, dropping up to of snow in the space of three days. New York City experienced its heaviest snowfall recorded to date at that time, all street railcars were stranded, and the storm led to the creation of the NYC subway system. Snowdrifts reached up to the second story of some buildings. Some 400 people died from this blizzard, including many sailors aboard vessels that were beset by gale-force winds and turbulent seas. Great Blizzard of 1899 February 11–14, 1899. An extremely unusual blizzard in that it reached into the far southern states of the US. It hit in February, and the area around Washington, D.C., experienced 51 hours straight of snowfall. The port of New Orleans was totally iced over; revelers participating in the New Orleans Mardi Gras had to wait for the parade routes to be shoveled free of snow. Concurrent with this blizzard was the extremely cold arctic air. Many city and state record low temperatures date back to this event, including all-time records for locations in the Midwest and South. State record lows: Nebraska reached , Ohio experienced , Louisiana bottomed out at , and Florida dipped below zero to . 1901 to 1939 Great Lakes Storm of 1913 November 7–10, 1913. “The White Hurricane” of 1913 was the deadliest and most destructive natural disaster ever to hit the Great Lakes Basin in the Midwestern United States and the Canadian province of Ontario. It produced wind gusts, waves over high, and whiteout snowsqualls. It killed more than 250 people, destroyed 19 ships, and stranded 19 others. Blizzard of 1918. January 11, 1918. Vast blizzard-like storm moved through Great Lakes and Ohio Valley. 1920 North Dakota blizzard March 15–18, 1920 Knickerbocker Storm January 27–28, 1922 1940 to 1949 Armistice Day Blizzard of 1940 November 10–12, 1940. Took place in the Midwest region of the United States on Armistice Day. This "Panhandle hook" winter storm cut a through the middle of the country from Kansas to Michigan. The morning of the storm was unseasonably warm but by mid afternoon conditions quickly deteriorated into a raging blizzard that would last into the next day. A total of 145 deaths were blamed on the storm, almost a third of them duck hunters who had taken time off to take advantage of the ideal hunting conditions. Weather forecasters had not predicted the severity of the oncoming storm, and as a result the hunters were not dressed for cold weather. When the storm began many hunters took shelter on small islands in the Mississippi River, and the winds and waves overcame their encampments. Some became stranded on the islands and then froze to death in the single-digit temperatures that moved in over night. Others tried to make it to shore and drowned. North American blizzard of 1947 December 25–26, 1947. Was a record-breaking snowfall that began on Christmas Day and brought the Northeast United States to a standstill. Central Park in New York City got of snowfall in 24 hours with deeper snows in suburbs. It was not accompanied by high winds, but the snow fell steadily with drifts reaching . Seventy-seven deaths were attributed to the blizzard. The Blizzard of 1949 - The first blizzard started on Sunday, January 2, 1949; it lasted for three days. It was followed by two more months of blizzard after blizzard with high winds and bitter cold. Deep drifts isolated southeast Wyoming, northern Colorado, western South Dakota and western Nebraska, for weeks. Railroad tracks and roads were all drifted in with drifts of and more. Hundreds of people that had been traveling on trains were stranded. Motorists that had set out on January 2 found their way to private farm homes in rural areas and hotels and other buildings in towns; some dwellings were so crowded that there wasn't enough room for all to sleep at once. It would be weeks before they were plowed out. The Federal |
Håkansson of Sweden, who was crowned in a bikini. After the crowning, Håkansson was condemned by Pope Pius XII, while Spain and Ireland threatened to withdraw from the pageant. In 1952, bikinis were banned from the pageant and replaced by evening gowns. As a result of the controversy, the bikini was explicitly banned from many other beauty pageants worldwide. Although some regarded the bikini and beauty contests as bringing freedom to women, they were opposed by some feminists as well as religious and cultural groups who objected to the degree of exposure of the female body. The bikini was banned on the French Atlantic coastline, Spain, Italy, Portugal and Australia, and was prohibited or discouraged in a number of US states. The United States Motion Picture Production Code, also known as the Hays Code, enforced from 1934, allowed two-piece gowns but prohibited the display of navels in Hollywood films. The National Legion of Decency, a Roman Catholic body guarding over American media content, also pressured Hollywood and foreign film producers to keep bikinis from being featured in Hollywood movies. As late as 1959, Anne Cole, one of the United States' largest swimsuit designers, said, "It's nothing more than a G-string. It's at the razor's edge of decency." The Hays Code was abandoned by the mid-1960s, and with it the prohibition of female navel exposure, as well as other restrictions. The influence of the National Legion of Decency also waned by the 1960s. Rise to popularity Increasingly common glamour shots of popular actresses and models on either side of the Atlantic played a large part in bringing the bikini into the mainstream. During the 1950s, Hollywood stars such as Ava Gardner, Rita Hayworth, Lana Turner, Elizabeth Taylor, Tina Louise, Marilyn Monroe, Esther Williams, and Betty Grable took advantage of the risqué publicity associated with the bikini by posing for photographs wearing them—pin-ups of Hayworth and Williams in costume were especially widely distributed in the United States. In 1950, Elvira Pagã walked at the Rio Carnival, Brazil in a golden bikini, starting the bikini tradition of the carnival. In Europe, 17-year-old Brigitte Bardot wore scanty bikinis (by contemporary standards) in the French film Manina, la fille sans voiles ("Manina, the girl unveiled"). The promotion for the film, released in France in March 1953, drew more attention to Bardot's bikinis than to the film itself. By the time the film was released in the United States in 1958, it was re-titled Manina, the Girl in the Bikini. Bardot was also photographed wearing a bikini on the beach during the 1957 Cannes Film Festival. Working with her husband and agent Roger Vadim, she garnered significant attention with photographs of her wearing a bikini on every beach in the south of France. Similar photographs were taken of Anita Ekberg and Sophia Loren, among others. According to The Guardian, Bardot's photographs in particular turned Saint-Tropez into the beachwear capital of the world, with Bardot identified as the original Cannes bathing beauty. Bardot's photography helped to enhance the public profile of the festival, and Cannes in turn played a crucial role in her career. Brian Hyland's novelty-song hit "Itsy Bitsy Teenie Weenie Yellow Polka Dot Bikini" became a Billboard No. 1 hit during the summer of 1960: the song tells a story about a young girl who is too shy to wear her new bikini on the beach, thinking it too risqué. Playboy first featured a bikini on its cover in 1962; the Sports Illustrated Swimsuit Issue debut two years later featured Babette March in a white bikini on the cover. Ursula Andress, appearing as Honey Rider in the 1962 British James Bond film, Dr. No, wore a white bikini, which became known as the "Dr. No bikini". It became one of the most famous bikinis of all time and an iconic moment in cinematic and fashion history. Andress said that she owed her career to that white bikini, remarking, "This bikini made me into a success. As a result of starring in Dr. No as the first Bond girl, I was given the freedom to take my pick of future roles and to become financially independent." The bikini finally caught on, and by 1963, the movie Beach Party, starring Annette Funicello and Frankie Avalon, led a wave of films that made the bikini a pop-culture symbol, though Funicello was barred from wearing Réard's bikini unlike the other young females in the films. In 1965, a woman told Time that it was "almost square" not to wear a bikini; the magazine wrote two years later that "65% of the young set had already gone over". Raquel Welch's fur bikini in One Million Years B.C. (1966) gave the world the most iconic bikini shot of all time and the poster image became an iconic moment in cinema history. Her deer skin bikini in One Million Years B.C., advertised as "mankind's first bikini", (1966) was later described as a "definitive look of the 1960s". Her role wearing the leather bikini made Welch a fashion icon and the photo of her in the bikini became a best-selling pinup poster. Stretch nylon bikini briefs and bras complemented the adolescent boutique fashions of the 1960s, allowing those to be minimal. DuPont introduced lycra (DuPont's name for spandex) in the same decade. Spandex expanded the range of novelty fabrics available to designers which meant suits could be made to fit like a second skin without heavy linings. "The advent of Lycra allowed more women to wear a bikini," wrote Kelly Killoren Bensimon, a former model and author of The Bikini Book, "It didn't sag, it didn't bag, and it concealed and revealed. It wasn't so much like lingerie anymore." Increased reliance on stretch fabric led to simplified construction. This fabric allowed designers to create the string bikini, and allowed Rudi Gernreich to create the topless monokini. Alternative swimwear fabrics such as velvet, leather, and crocheted squares surfaced in the early '70s. Mass acceptance Réard's company folded in 1988, four years after his death. Meanwhile, the bikini had become the most popular beachwear around the globe. According to French fashion historian Olivier Saillard, this was due to "the power of women, and not the power of fashion". By 1988 the bikini made up nearly 20% of swimsuit sales, more than any other model in the US, though one-piece suits made a comeback during the 1980s and early 1990s. In 1997, Miss Maryland Jamie Fox became the first contestant in 50 years to compete in a two-piece swimsuit at the Miss America Pageant. Actresses in action films like Blue Crush (2002) and Charlie's Angels: Full Throttle (2003) made the two-piece "the millennial equivalent of the power suit", according to Gina Bellafonte of The New York Times, According to Beth Dincuff Charleston, research associate at the Costume Institute of the Metropolitan Museum of Art, "The bikini represents a social leap involving body consciousness, moral concerns, and sexual attitudes." By the early 2000s, bikinis had become a $811 million business annually, according to the NPD Group, a consumer and retail information company, and had boosted spin-off services like bikini waxing and the sun tanning industries. The first bikini museum in the world is being built in Bad Rappenau in Germany. The development of swimwear from 1880 to the present is presented on 2,000 square metres of exhibition space. By 2017, the global swimwear market was valued at US$18,5 billion with a compound annual growth rate of 6.2%. Part of the increased consumption of bikinis and swimwears can be attributed to influencers who promote and endorse various brands around the year. Soccer player and best selling author Mo Isom describes it as, "We're flooded with Instagram bikini pics." It was estimated in 2016 that in 2019 the USA would be the largest swimwear market (US$10 billion), followed by Europe (US$5 billion), Asia-Pacific (US$4 billion) and Middle East and Africa (about 1 billion). Outside the Western world The 1967 Bollywood film An Evening in Paris is mostly remembered because it featured actress Sharmila Tagore as the first Indian actress to wear a bikini on film. She also posed in a bikini for the glossy Filmfare magazine. The costume shocked a conservative Indian audience, but it also set in motion a trend carried forward by Zeenat Aman in Heera Panna (1973) and Qurbani (1980), Dimple Kapadia in Bobby (1973), and Parveen Babi in Yeh Nazdeekiyan (1982). Indonesian actress Nurnaningsih's bikini clad photos were widely distributed in early 1950s, though she was banned in Kalimantan. Indian women generally wear bikinis when they vacation abroad or in Goa without the family. But, despite the conservative ideas prevalent in India, bikinis also become more popular in summer when women, from Bollywood stars to the middle class, take up swimming, often in a public space. A lot of tankinis, shorts and single-piece swimsuits are sold in the summer, along with real bikinis and bandeaukinis. The maximum sales for bikinis happen in the winter, the honeymoon season. For more coverage, designers Shivan Bhatiya and Narresh Kukreja invented the bikini-saree popularised by TV anchor Mandira Bedi. By the end of the first decade of the 21st century, the Chinese bikini industry became a serious international threat for the Brazilian bikini industry. Huludao, Liaoning, China set the world record for the largest bikini parade in 2012, with 1,085 participants and a photo shoot involving 3,090 women. "Beijing Bikini" refers to the Chinese urban practice of men rolling up their shirts to expose their midriff to cool off in public in the summer. In Japan, wearing a bikini is common on the beach and at baths or pools. But, according to a 2013 study, 94% women are not body confident enough to wear a bikini in public without resorting to sarongs, zip-up sweatshirts, T-shirts, or shorts. Japanese women also often wear a "facekini" to protect their face from sunburns. In most parts of the Middle East, bikinis are either banned or are highly controversial. On March 18, 1973, when Lebanese magazine Ash-Shabaka printed a bikini-clad woman on the cover, they had to make a second version with only the face of the model. In 2011, when Huda Naccache (Miss Earth 2011) posed for the cover of Lilac (based in Israel), she became the first bikini-clad Arab model on the cover of an Arabic magazine. Lebanese-Australian fashion designer Aheda Zanetti created the "burkini" as a modest option to the bikini, which has become very popular among Muslims. Rehab Shaaban, an Egyptian designer, tried an even more abaya-like design, but her design was banned due to safety reasons. Variants While the name "bikini" was at first applied only to beachwear that revealed the wearer's navel, today the fashion industry considers any two-piece swimsuit a bikini. Modern bikini fashions are characterized by a simple, brief design: two triangles of fabric that form a bra and cover the woman's breasts and a third that forms a panty cut below the navel that covers the groin and the buttocks. Bikinis can and have been made out of almost every possible clothing material, and the fabrics and other materials used to make bikinis are an essential element of their design. Modern bikinis were first made of cotton and jersey, but in the 1960s, Lycra became the common material. Alternative swimwear fabrics such as velvet, leather, and crocheted squares surfaced in the early 1970s. In a single fashion show in 1985, there were two-piece suits with cropped tank tops instead of the usual skimpy bandeaux, suits that resembled bikinis from the front and one-pieces from the back, suspender straps, ruffles, and deep navel-baring cutouts. Metal and stone jewelry pieces are now often used to dress up look and style according to tastes. To meet the fast pace of demands, some manufacturers now offer made-to-order bikinis ready in as few as seven minutes. The world's most expensive bikini was designed in February 2006 by Susan Rosen; containing of diamond, it was valued at £20 million. Major styles There is a | Europe. Modern bikini In the summer of 1946, Western Europeans enjoyed their first war-free summer in many years. French designers sought to deliver fashions that matched the liberated mood of the people. Fabric was still in short supply, and in an endeavor to resurrect swimwear sales, two French designers – Jacques Heim and Louis Réard – almost simultaneously launched new two-piece swimsuit designs in 1946. Heim launched a two-piece swimsuit design in Paris that he called the atome, after the smallest known particle of matter. He announced that it was the "world's smallest bathing suit." Although briefer than the two-piece swimsuits of the 1930s, the bottom of Heim's new two-piece beach costume still covered the wearer's navel. Soon after, Louis Réard created a competing two-piece swimsuit design, which he called the bikini. He noticed that women at the beach rolled up the edges of their swimsuit bottoms and tops to improve their tan. On 5 July, Réard introduced his design at a swimsuit review held at a popular Paris public pool, Piscine Molitor, four days after the first test of an US nuclear weapon at the Bikini Atoll. The newspapers were full of news about it and Réard hoped for the same with his design. Réard's bikini undercut Heim's atome in its brevity. His design consisted of a two triangles of fabric forming a bra, and two triangular pieces of fabric covering the mons pubis and the buttocks connected by string. When he was unable to find a fashion model willing to showcase his revealing design, Réard hired Micheline Bernardini, an 18-year old nude dancer from the Casino de Paris. He announced that his swimsuit, was "smaller than the world's smallest bathing suit". Réard said that "like the [atom] bomb, the bikini is small and devastating". Fashion writer Diana Vreeland described the bikini as the "atom bomb of fashion". Bernardini received 50,000 fan letters, many of them from men. Photographs of Bernardini and articles about the event were widely carried by the press. The International Herald Tribune alone ran nine stories on the event. French newspaper Le Figaro wrote, "People were craving the simple pleasures of the sea and the sun. For women, wearing a bikini signaled a kind of second liberation. There was really nothing sexual about this. It was instead a celebration of freedom and a return to the joys in life." Heim's atome was more in keeping with the sense of propriety of the 1940s, but Réard's design won the public's attention. Although Heim's design was the first worn on the beach and initially sold more swimsuits, it was Réard's description of the two-piece swimsuit as a bikini that stuck. As competing designs emerged, he declared in advertisements that a swimsuit could not be a genuine bikini "unless it could be pulled through a wedding ring." Modern bikinis were first made of cotton and jersey. Social resistance Despite the garment's initial success in France, women worldwide continued to wear traditional one-piece swimsuits. When his sales stalled, Réard went back to designing and selling orthodox knickers. In 1950, American swimsuit mogul Fred Cole, owner of mass market swimwear firm Cole of California, told Time that he had "little but scorn for France's famed Bikinis." Réard himself would later describe it as a "two-piece bathing suit which reveals everything about a girl except for her mother's maiden name." Fashion magazine Modern Girl Magazine in 1957 stated that "it is hardly necessary to waste words over the so-called bikini since it is inconceivable that any girl with tact and decency would ever wear such a thing". In 1951, Eric Morley organized the Festival Bikini Contest, a beauty contest and swimwear advertising opportunity at that year's Festival of Britain. The press, welcoming the spectacle, referred to it as Miss World, a name Morley registered as a trademark. The winner was Kiki Håkansson of Sweden, who was crowned in a bikini. After the crowning, Håkansson was condemned by Pope Pius XII, while Spain and Ireland threatened to withdraw from the pageant. In 1952, bikinis were banned from the pageant and replaced by evening gowns. As a result of the controversy, the bikini was explicitly banned from many other beauty pageants worldwide. Although some regarded the bikini and beauty contests as bringing freedom to women, they were opposed by some feminists as well as religious and cultural groups who objected to the degree of exposure of the female body. The bikini was banned on the French Atlantic coastline, Spain, Italy, Portugal and Australia, and was prohibited or discouraged in a number of US states. The United States Motion Picture Production Code, also known as the Hays Code, enforced from 1934, allowed two-piece gowns but prohibited the display of navels in Hollywood films. The National Legion of Decency, a Roman Catholic body guarding over American media content, also pressured Hollywood and foreign film producers to keep bikinis from being featured in Hollywood movies. As late as 1959, Anne Cole, one of the United States' largest swimsuit designers, said, "It's nothing more than a G-string. It's at the razor's edge of decency." The Hays Code was abandoned by the mid-1960s, and with it the prohibition of female navel exposure, as well as other restrictions. The influence of the National Legion of Decency also waned by the 1960s. Rise to popularity Increasingly common glamour shots of popular actresses and models on either side of the Atlantic played a large part in bringing the bikini into the mainstream. During the 1950s, Hollywood stars such as Ava Gardner, Rita Hayworth, Lana Turner, Elizabeth Taylor, Tina Louise, Marilyn Monroe, Esther Williams, and Betty Grable took advantage of the risqué publicity associated with the bikini by posing for photographs wearing them—pin-ups of Hayworth and Williams in costume were especially widely distributed in the United States. In 1950, Elvira Pagã walked at the Rio Carnival, Brazil in a golden bikini, starting the bikini tradition of the carnival. In Europe, 17-year-old Brigitte Bardot wore scanty bikinis (by contemporary standards) in the French film Manina, la fille sans voiles ("Manina, the girl unveiled"). The promotion for the film, released in France in March 1953, drew more attention to Bardot's bikinis than to the film itself. By the time the film was released in the United States in 1958, it was re-titled Manina, the Girl in the Bikini. Bardot was also photographed wearing a bikini on the beach during the 1957 Cannes Film Festival. Working with her husband and agent Roger Vadim, she garnered significant attention with photographs of her wearing a bikini on every beach in the south of France. Similar photographs were taken of Anita Ekberg and Sophia Loren, among others. According to The Guardian, Bardot's photographs in particular turned Saint-Tropez into the beachwear capital of the world, with Bardot identified as the original Cannes bathing beauty. Bardot's photography helped to enhance the public profile of the festival, and Cannes in turn played a crucial role in her career. Brian Hyland's novelty-song hit "Itsy Bitsy Teenie Weenie Yellow Polka Dot Bikini" became a Billboard No. 1 hit during the summer of 1960: the song tells a story about a young girl who is too shy to wear her new bikini on the beach, thinking it too risqué. Playboy first featured a bikini on its cover in 1962; the Sports Illustrated Swimsuit Issue debut two years later featured Babette March in a white bikini on the cover. Ursula Andress, appearing as Honey Rider in the 1962 British James Bond film, Dr. No, wore a white bikini, which became known as the "Dr. No bikini". It became one of the most famous bikinis of all time and an iconic moment in cinematic and fashion history. Andress said that she owed her career to that white bikini, remarking, "This bikini made me into a success. As a result of starring in Dr. No as the first Bond girl, I was given the freedom to take my pick of future roles and to become financially independent." The bikini finally caught on, and by 1963, the movie Beach Party, starring Annette Funicello and Frankie Avalon, led a wave of films that made the bikini a pop-culture symbol, though Funicello was barred from wearing Réard's bikini unlike the other young females in the films. In 1965, a woman told Time that it was "almost square" not to wear a bikini; the magazine wrote two years later that "65% of the young set had already gone over". Raquel Welch's fur bikini in One Million Years B.C. (1966) gave the world the most iconic bikini shot of all time and the poster image became an iconic moment in cinema history. Her deer skin bikini in One Million Years B.C., advertised as "mankind's first bikini", (1966) was later described as a "definitive look of the 1960s". Her role wearing the leather bikini made Welch a fashion icon and the photo of her in the bikini became a best-selling pinup poster. Stretch nylon bikini briefs and bras complemented the adolescent boutique fashions of the 1960s, allowing those to be minimal. DuPont introduced lycra (DuPont's name for spandex) in the same decade. Spandex expanded the range of novelty fabrics available to designers which meant suits could be made to fit like a second skin without heavy linings. "The advent of Lycra allowed more women to wear a bikini," wrote Kelly Killoren Bensimon, a former model and author of The Bikini Book, "It didn't sag, it didn't bag, and it concealed and revealed. It wasn't so much like lingerie anymore." Increased reliance on stretch fabric led to simplified construction. This fabric allowed designers to create the string bikini, and allowed Rudi Gernreich to create the topless monokini. Alternative swimwear fabrics such as velvet, leather, and crocheted squares surfaced in the early '70s. Mass acceptance Réard's company folded in 1988, four years after his death. Meanwhile, the bikini had become the most popular beachwear around the globe. According to French fashion historian Olivier Saillard, this was due to "the power of women, and not the power of fashion". By 1988 the bikini made up nearly 20% of swimsuit sales, more than any other model in the US, though one-piece suits made a comeback during the 1980s and early 1990s. In 1997, Miss Maryland Jamie Fox became the first contestant in 50 years to compete in a two-piece swimsuit at the Miss America Pageant. Actresses in action films like Blue Crush (2002) and Charlie's Angels: Full Throttle (2003) made the two-piece "the millennial equivalent of the power suit", according to Gina Bellafonte of The New York Times, According to Beth Dincuff Charleston, research associate at the Costume Institute of the Metropolitan Museum of Art, "The bikini represents a social leap involving body consciousness, moral concerns, and sexual attitudes." By the early 2000s, bikinis had become a $811 million business annually, according to the NPD Group, a consumer and retail information company, and had boosted spin-off services like bikini waxing and the sun tanning industries. The first bikini museum in the world is being built in Bad Rappenau in Germany. The development of swimwear from 1880 to the present is presented on 2,000 square metres of exhibition space. By 2017, the global swimwear market was valued at US$18,5 billion with a compound annual growth rate of 6.2%. Part of the increased consumption of bikinis and swimwears can be attributed to influencers who promote and endorse various brands around the year. Soccer player and best selling author Mo Isom describes it as, "We're flooded with Instagram bikini pics." It was estimated in 2016 that in 2019 the USA would be the largest swimwear market (US$10 billion), followed by Europe (US$5 billion), Asia-Pacific (US$4 billion) and Middle East and Africa (about 1 billion). Outside the Western world The 1967 Bollywood film An Evening in Paris is mostly remembered because it featured actress Sharmila Tagore as the first Indian actress to wear a bikini on film. She also posed in a bikini for the glossy Filmfare magazine. The costume shocked a conservative Indian audience, but it also set in motion a trend carried forward by Zeenat Aman in Heera Panna (1973) and Qurbani (1980), Dimple Kapadia in Bobby (1973), and Parveen Babi in Yeh Nazdeekiyan (1982). Indonesian actress Nurnaningsih's bikini clad photos were widely distributed in early 1950s, though she was banned in Kalimantan. Indian women generally wear bikinis when they vacation abroad or in Goa without the family. But, despite the conservative ideas prevalent in India, bikinis also become more popular in summer when women, from Bollywood stars to the middle class, take up swimming, often in a public space. A lot of tankinis, shorts and single-piece swimsuits are sold in the summer, along with real bikinis and bandeaukinis. The maximum sales for bikinis happen in the winter, the honeymoon season. For more coverage, designers Shivan Bhatiya and Narresh Kukreja invented the bikini-saree popularised by TV anchor Mandira Bedi. By the end of the first decade of the 21st century, the Chinese bikini industry became a serious international threat for the Brazilian bikini industry. Huludao, Liaoning, China set the world record for the largest bikini parade in 2012, with 1,085 participants and a photo shoot involving 3,090 women. "Beijing Bikini" refers to the Chinese urban practice of men rolling up their shirts to expose their midriff to cool off in public in the summer. In Japan, wearing a bikini is common on the beach and at baths or pools. But, according to a 2013 study, 94% women are not body confident enough to wear a bikini in public without resorting to sarongs, zip-up sweatshirts, T-shirts, or shorts. Japanese women also often wear a "facekini" to protect their face from sunburns. In most parts of the Middle East, bikinis are either banned or are highly controversial. On March 18, 1973, when Lebanese magazine Ash-Shabaka printed a bikini-clad woman on the cover, they had to make a second version with only the face of the model. In 2011, when Huda Naccache (Miss Earth 2011) posed for the cover of Lilac (based in Israel), she became the first bikini-clad Arab model on the cover of an Arabic magazine. Lebanese-Australian fashion designer Aheda Zanetti created the "burkini" as a modest option to the bikini, which has become very popular among Muslims. Rehab Shaaban, an Egyptian designer, tried an even more abaya-like design, but her design was banned due to safety reasons. Variants While the name "bikini" was at first applied only to beachwear that revealed the wearer's navel, today the fashion industry considers any two-piece swimsuit a bikini. Modern bikini fashions are characterized by a simple, brief design: two triangles of fabric that form a bra and cover the woman's breasts and a third that forms a panty cut below the navel that covers the groin and the buttocks. Bikinis can and have been made out of almost every possible clothing material, and the fabrics and other materials used to make bikinis are an essential element of their design. Modern bikinis were first made of cotton and jersey, but in the 1960s, Lycra became the common material. Alternative swimwear fabrics such as velvet, leather, and crocheted squares surfaced in the early 1970s. In a single fashion show in 1985, there were two-piece suits with cropped tank tops instead of the usual skimpy bandeaux, suits that resembled bikinis from the front and one-pieces from the back, suspender straps, ruffles, and deep navel-baring cutouts. Metal and stone jewelry pieces are now often used to dress up look and style according to tastes. To meet the fast pace of demands, some manufacturers now offer made-to-order bikinis ready in as few as seven minutes. The world's most expensive bikini was designed in February 2006 by Susan Rosen; containing of diamond, it was valued at £20 million. Major styles There is a range of distinct bikini styles available — string bikinis, monokinis (topless or top and bottom connected), trikinis (three pieces instead of two), tankinis (tank top, bikini bottom), camikinis (camisole top, bikini bottom), bandeaukini (bandeau top, bikini bottom), skirtini (bikini top, skirt bottom), "granny bikini" (bikini top, boy shorts bottom), (also ), seekinis (transparent), minikinis, microkinis, miniminis, slingshots (or suspender bikinis), thong bottoms, tie-sides (a variety of string bikini) and teardrops. {| class="wikitable" |- style="background:#ccc; text-align:center;" ! Variant !! Image !! Year !! Description |- | Bandeaukini || || — || A bandeaukini (alternatively called a bandini) is a bandeau top (no straps going over the shoulders) worn with any bikini bottom. It is the oldest form of bikini, with one of the earliest examples found in Sicilian Villa Romana del Casale (dubbed the "Bikini Girls"), dating back to the 4th century AD. Reintroduced, its appeal grew fast among young women, with bandeau tops edging into the sales of the classic tankini. |- | Microkini || || 1995 || A microkini, including subgenres like minikini, minimini and tear-drop, is an extremely meager bikini. The designs for both women and men typically use only enough fabric to cover the genitals and, for women, the nipples. Any additional straps are merely to keep the garment attached to the wearer's body. Some variations of the microkini use adhesive or wire to hold the fabric in place over the genitals. Microkinis keep the wearer just within legal limits of decency and fill a niche between nudism and conservative swimwear. |- | Monokini || || 1964 || A monokini (also called topless swimsuit, unikini or numokini) is a women's one-piece garment equivalent to the lower half of a bikini. Originally a specific design conceived by Rudi Gernreich in 1964, the term is now used to describe any topless swimsuit, particularly a bikini bottom worn without a top. An extreme version of the monokini, the thong-style pubikini (which exposed the pubic region), was also designed by Rudi Gernreich in 1985. |- | Skirtini || || — || The skirtini, which features a bikini top and a small, skirted bottom, is also an innovation for bikini-style clothes with more coverage. Two-piece swimsuits with skirt panels were popular in the US before the government ordered a 10% reduction in fabric used in woman's swimwear in 1943 as wartime rationing. In 2011, The Daily Telegraph identified the skirted bikini as one of the top 10 swimwear designs of that season. |- | Sling bikini || || — || The sling bikini (also known as sling-kini, onepiecekini or sling swimsuit) is an unbroken suit, technically one-piece, which resembles a bikini bottom with the side straps extending upwards to cover the breasts and go over the shoulders, or encircling the neck while a second set of straps pass around the midriff (also known as pretzel bikini or pretzel swimsuit). Sling swimsuits emerged in the early 1990s, and were introduced into the mainstream in 1994. When designed for or worn by a man, it is called a mankini, popularized by Sacha Baron Cohen in the film Borat. |- | String bikini || || 1974 || A string bikini (or a tie-side) gets its name from its design that consists of two triangular shaped pieces connected at the groin but not at the sides, where a thin "string" wraps around the waist tied together to connect the two parts. The structure of the side tie |
the able rule of Rana Sanga, had turned into one of the strongest powers of northern India. Sanga unified several Rajput clans for the first time after Prithviraj Chauhan and advanced on Babur with a grand coalition of 100,000 Rajputs. However, Sanga suffered a major defeat in the Battle of Khanwa due to Babur's skillful positioning of troops and modern tactics and firepower. The Battle of Khanua was one of the most decisive battles in Indian history, more so than the First Battle of Panipat, as the defeat of Rana Sanga was a watershed event in the Mughal conquest of northern India. Babur married several times. Notable among his sons are Humayun, Kamran Mirza and Hindal Mirza. Babur died in 1530 in Agra and Humayun succeeded him. Babur was first buried in Agra but, as per his wishes, his remains were moved to Kabul and reburied. He ranks as a national hero in Uzbekistan and Kyrgyzstan. Many of his poems have become popular folk songs. He wrote the Baburnama in Chaghatai Turkic; it was translated into Persian during the reign (1556–1605) of his grandson, the Emperor Akbar. Name Ẓahīr-ud-Dīn is Arabic for "Defender of the Faith" (of Islam), and Muhammad honours the Islamic prophet. The name was chosen for Babur by the Sufi saint Khwaja Ahrar, who was the spiritual master of his father. The difficulty of pronouncing the name for his Central Asian Turco-Mongol army may have been responsible for the greater popularity of his nickname Babur, also variously spelled Baber, Babar, and Bābor. The name is generally taken in reference to the Persian word babur (), meaning "tiger". The word repeatedly appears in Ferdowsi's Shahnameh and was borrowed into the Turkic languages of Central Asia. Background Babur's memoirs form the main source for details of his life. They are known as the Baburnama and were written in Chaghatai Turkic, his mother-tongue, though, according to Dale, "his Turkic prose is highly Persianized in its sentence structure, morphology or word formation and vocabulary." Baburnama was translated into Persian during the rule of Babur's grandson Akbar. Babur was born on 14 February 1483 in the city of Andijan, Fergana Valley, contemporary Uzbekistan. He was the eldest son of Umar Sheikh Mirza, ruler of the Fergana Valley, the son of Abū Saʿīd Mirza (and grandson of Miran Shah, who was himself son of Timur) and his wife Qutlugh Nigar Khanum, daughter of Yunus Khan, the ruler of Moghulistan (a descendant of Genghis Khan). Babur hailed from the Barlas tribe, which was of Mongol origin and had embraced Turkic and Persian culture. They had also converted to Islam centuries earlier and resided in Turkestan and Khorasan. Aside from the Chaghatai language, Babur was equally fluent in Persian, the lingua franca of the Timurid elite. Hence, Babur, though nominally a Mongol (or Moghul in Persian language), drew much of his support from the local Turkic and Iranian people of Central Asia, and his army was diverse in its ethnic makeup. It included Persians (known to Babur as "Sarts" and "Tajiks"), ethnic Afghans, Arabs, as well as Barlas and Chaghatayid Turko-Mongols from Central Asia. Ruler of Central Asia As ruler of Fergana In 1494, eleven-year-old Babur became the ruler of Fergana, in present-day Uzbekistan, after Umar Sheikh Mirza died "while tending pigeons in an ill-constructed dovecote that toppled into the ravine below the palace". During this time, two of his uncles from the neighbouring kingdoms, who were hostile to his father, and a group of nobles who wanted his younger brother Jahangir to be the ruler, threatened his succession to the throne. His uncles were relentless in their attempts to dislodge him from this position as well as from many of his other territorial possessions to come. Babur was able to secure his throne mainly because of help from his maternal grandmother, Aisan Daulat Begum, although there was also some luck involved. Most territories around his kingdom were ruled by his relatives, who were descendants of either Timur or Genghis Khan, and were constantly in conflict. At that time, rival princes were fighting over the city of Samarkand to the west, which was ruled by his paternal cousin. Babur had a great ambition to capture the city. In 1497, he besieged Samarkand for seven months before eventually gaining control over it. He was fifteen years old and for him the campaign was a huge achievement. Babur was able to hold the city despite desertions in his army, but he later fell seriously ill. Meanwhile, a rebellion back home, approximately away, amongst nobles who favoured his brother, robbed him of Fergana. As he was marching to recover it, he lost Samarkand to a rival prince, leaving him with neither. He had held Samarkand for 100 days, and he considered this defeat as his biggest loss, obsessing over it even later in his life after his conquests in India. For three years, Babur concentrated on building a strong army, recruiting widely amongst the Tajiks of Badakhshan in particular. In 1500–1501, he again laid siege to Samarkand, and indeed he took the city briefly, but he was in turn besieged by his most formidable rival, Muhammad Shaybani, Khan of the Uzbeks. The situation became such that Babar was compelled to give his sister, Khanzada, to Shaybani in marriage as part of the peace settlement. Only after this were Babur and his troops allowed to depart the city in safety. Samarkand, his lifelong obsession, was thus lost again. He then tried to reclaim Fergana, but lost the battle there also and, escaping with a small band of followers, he wandered the mountains of central Asia and took refuge with hill tribes. By 1502, he had resigned all hopes of recovering Fergana; he was left with nothing and was forced to try his luck elsewhere. He finally went to Tashkent, which was ruled by his maternal uncle, but he found himself less than welcome there. Babur wrote, "During my stay in Tashkent, I endured much poverty and humiliation. No country, or hope of one!" Thus, during the ten years since becoming the ruler of Fergana, Babur suffered many short-lived victories and was without shelter and in exile, aided by friends and peasants. At Kabul Kabul was ruled by Babur's paternal uncle Ulugh Beg II, who died leaving only an infant as heir. The city was then claimed by Mukin Begh, who was considered to be a usurper and was opposed by the local populace. In 1504, Babur was able to cross the snowy Hindu Kush mountains and capture Kabul from the remaining Arghunids, who were forced to retreat to Kandahar. With this move, he gained a new kingdom, re-established his fortunes and would remain its ruler until 1526. In 1505, because of the low revenue generated by his new mountain kingdom, Babur began his first expedition to India; in his memoirs, he wrote, "My desire for Hindustan had been constant. It was in the month of Shaban, the Sun being in Aquarius, that we rode out of Kabul for Hindustan". It was a brief raid across the Khyber Pass. In the same year, Babur united with Sultan Husayn Mirza Bayqarah of Herat, a fellow Timurid and distant relative, against their common enemy, the Uzbek Shaybani. However, this venture did not take place because Husayn Mirza died in 1506 and his two sons were reluctant to go to war. Babur instead stayed at Herat after being invited by the two Mirza brothers. It was then the cultural capital of the eastern Muslim world. Though he was disgusted by the vices and luxuries of the city, he marvelled at the intellectual abundance there, which he stated was "filled with learned and matched men". He became acquainted with | targeted Hindus and Sikhs as well as apostates (non-Sunni sects of Islam), and an immense number were killed, with Muslim camps building "towers of skulls of the infidels" on hillocks. Personal life and relationships There are no descriptions about Babur's physical appearance, except from the paintings in the translation of the Baburnama prepared during the reign of Akbar. In his autobiography, Babur claimed to be strong and physically fit, and that he had swum across every major river he encountered, including twice across the Ganges River in North India. Babur did not initially know old Hindustani; however, his Turkic poetry indicates that he picked up some of its vocabulary later in life. Unlike his father, he had ascetic tendencies and did not have any great interest in women. In his first marriage, he was "bashful" towards Aisha Sultan Begum, later losing his affection for her. Babur showed similar shyness in his interactions with Baburi, a boy in his camp with whom he had an infatuation around this time, recounting that: "Occasionally Baburi came to me, but I was so bashful that I could not look him in the face, much less converse freely with him. In my excitement and agitation I could not thank him for coming, much less complain of his leaving. Who could bear to demand the ceremonies of fealty?" However, Babur acquired several more wives and concubines over the years, and as required for a prince, he was able to ensure the continuity of his line. Babur's first wife, Aisha Sultan Begum, was his paternal cousin, the daughter of Sultan Ahmad Mirza, his father's brother. She was an infant when betrothed to Babur, who was himself five years old. They married eleven years later, . The couple had one daughter, Fakhr-un-Nissa, who died within a year in 1500. Three years later, after Babur's first defeat at Fergana, Aisha left him and returned to her father's household. In 1504, Babur married Zaynab Sultan Begum, who died childless within two years. In the period 1506–08, Babur married four women, Maham Begum (in 1506), Masuma Sultan Begum, Gulrukh Begum and Dildar Begum. Babur had four children by Maham Begum, of whom only one survived infancy. This was his eldest son and heir, Humayun. Masuma Sultan Begum died during childbirth; the year of her death is disputed (either 1508 or 1519). Gulrukh bore Babur two sons, Kamran and Askari, and Dildar Begum was the mother of Babur's youngest son, Hindal. Babur later married Mubaraka Yusufzai, a Pashtun woman of the Yusufzai tribe. Gulnar Aghacha and Nargul Aghacha were two Circassian slaves given to Babur as gifts by Tahmasp Shah Safavi, the Shah of Persia. They became "recognized ladies of the royal household." During his rule in Kabul, when there was a time of relative peace, Babur pursued his interests in literature, art, music and gardening. Previously, he never drank alcohol and avoided it when he was in Herat. In Kabul, he first tasted it at the age of thirty. He then began to drink regularly, host wine parties and consume preparations made from opium. Though religion had a central place in his life, Babur also approvingly quoted a line of poetry by one of his contemporaries: "I am drunk, officer. Punish me when I am sober". He quit drinking for health reasons before the Battle of Khanwa, just two years before his death, and demanded that his court do the same. But he did not stop chewing narcotic preparations, and did not lose his sense of irony. He wrote, "Everyone regrets drinking and swears an oath (of abstinence); I swore the oath and regret that." Babur was opposed to the blind of obedience of Chinggisid Laws & customs that were influential in Turco-Mongol society:"Previously our ancestors had shown unusual respect for the Chingizid code (törah). They did not violate this code sitting and rising at councils and court, at feasts and dinners. [However] Chingez Khan’s code is not a nass qati (categorical text) that a person must follow. Whenever one leaves a good custom, it should be followed. If ancestors leave a bad custom, however it is necessary to substitute a good one"Making clear that to him that the categorical text (i.e. the Quran) had displaced Genghis Khan's Yassa in moral and legal matters. Family Consorts Maham Begum ( 1506) — Babur's chief consort Aisha Sultan Begum ( 1499; 1503), daughter of Sultan Ahmed Mirza — First wife of Babur Zainab Sultan Begum ( 1504; 1506–07), daughter of Sultan Mahmud Mirza Masuma Sultan Begum ( 1507; 1509), daughter of Sultan Ahmed Mirza and half-sister of Aisha Sultan Begum Bibi Mubarika ( 1519), Pashtun of the Yusufzai tribe Gulrukh Begum (not to be confused with Babur's daughter Gulrukh Begum, who was also known as Gulbarg Begum) Dildar Begum Gulnar Aghacha, Circassian concubine Nargul Aghacha, Circassian concubine The identity of the mother of one of Babur's daughters, Gulrukh Begum is disputed. Gulrukh's mother may have been the daughter of Sultan Mahmud Mirza by his wife Pasha Begum who is referred to as Saliha Sultan Begum in certain secondary sources, however this name is not mentioned in the Baburnama or the works of Gulbadan Begum, which casts doubt on her existence. This woman may never have existed at all or she may even be the same woman as Dildar Begum. Issue The sons of Babur were: Humayun ( 1508; 1556) — with Maham Begum — succeeded Babur as the second Mughal Emperor Kamran Mirza ( 1512; 1557) — with Gulrukh Begum Askari Mirza ( 1518; 1557) — with Gulrukh Begum Hindal Mirza ( 1512; 1551) — with Dildar Begum Ahmad Mirza ( young) — with Gulrukh Begum Shahrukh Mirza ( young) — with Gulrukh Begum Barbul Mirza ( infancy) — with Maham Begum Alwar Mirza ( young) — with Dildar Begum Faruq Mirza ( infancy) — with Maham Begum The daughters of Babur were: Fakhr-un-Nissa Begum ( & 1501) — with Aisha Sultan Begum Aisan Daulat Begum ( infancy) — with Maham Begum Mehr Jahan Begum ( infancy) — with Maham Begum Masuma Sultan Begum ( 1508) — with Masuma Sultan Begum — Married to Muhammad Zaman Mirza. Gulzar Begum ( infancy) — with Gulrukh Begum Gulrukh Begum (Gulbarg Begum) — Identity of mother is disputed, may have been Dildar Begum or Saliha Sultan Begum — Married to Nuruddin Muhammad Mirza, son of Khwaja Hasan Naqshbandi, with whom she had Salima Sultan Begum, wife of Bairam Khan and later the Mughal Emperor Akbar. Gulbadan Begum ( – 1603) — with Dildar Begum — Married Khizr Khwaja Khan, son of her father's cousin Aiman Khwajah Sultan of Moghulistan, son of Ahmad Alaq of Moghulistan, the maternal uncle of Emperor Babur. Gulchehra Begum ( – 1557) — with Dildar Begum — Married firstly in 1530 to Sultan Tukhta Bugha Khan, son of Ahmad Alaq of Moghulistan, the maternal uncle of Emperor Babur. Married secondly to Abbas Sultan Uzbeg. Gulrang Begum — with Dildar Begum — Married in 1530 to Isan Timur Sultan, ninth son of Ahmad Alaq of Moghulistan, the maternal uncle of Emperor Babur. Death and legacy Babur died in Agra at the age of 47 on and was succeeded by his eldest son, Humayun. He was first buried in Agra but, as per his wishes, his mortal remains were moved to Kabul and reburied in Bagh-e Babur in Kabul sometime between 1539 and 1544. It is generally agreed that, as a Timurid, Babur was not only significantly influenced by the Persian culture, but also that his empire gave rise to the expansion of the Persianate ethos in the Indian subcontinent. He emerged in his own telling as a Timurid Renaissance inheritor, leaving signs of Islamic, artistic literary, and social aspects in India. For example, F. Lehmann states in the Encyclopædia Iranica: Although all applications of modern Central Asian ethnicities to people of Babur's time are anachronistic, Soviet and Uzbek sources regard Babur as an ethnic Uzbek. At the same time, during the Soviet Union Uzbek scholars were censored for idealising and praising Babur and other historical figures such as Ali-Shir Nava'i. Babur is considered a national hero in Uzbekistan. On 14 February 2008, stamps in his name were issued in the country to commemorate his 525th birth anniversary. Many of Babur's poems have become popular Uzbek folk songs, especially by Sherali Jo'rayev. Some sources claim that Babur is a national hero in Kyrgyzstan too. In October 2005, Pakistan developed the Babur Cruise Missile, named in his honour. Shahenshah Babar, an Indian film about the emperor directed by Wajahat Mirza was released in 1944. The 1960 Indian biographical film Babar by Hemen Gupta covered the emperor's life with Gajanan Jagirdar in the lead role. One of the enduring features of Babur's life was that he left behind the lively and well-written autobiography known as Baburnama. Quoting Henry Beveridge, Stanley Lane-Poole writes: In his own words, "The cream of my testimony is this, do nothing against your brothers even though they may deserve it." Also, "The new year, the spring, the wine and the beloved are joyful. Babur make merry, for the world will not be there for you a second time." Babri Masjid The Babri Masjid ("Babur's Mosque") in Ayodhya is said to have been constructed on the orders of Mir Baqi, one of the commanders of his army. In 2003 the Allahabad High Court ordered the Archaeological Survey of India (ASI) to conduct a more in-depth study and an excavation to ascertain the type of structure beneath the mosque. The excavation was conducted from 12 March 2003 to 7 August 2003, resulting in 1360 discoveries. The summary of the ASI report indicated the presence of a 10th-century temple under the mosque. The ASI team said that, human activity at the site dates back to the 13th century BCE. The next few layers date back to the Shunga period (second-first century BCE) and the Kushan period. During the early medieval period (11–12th century CE), a huge but short-lived structure of nearly 50 metres north–south orientation was constructed. On the remains of this structure, another massive structure was constructed: this structure had at least three structural phases and three successive floors attached with it. The report concluded that it was over the top of this construction that the disputed structure was constructed during the early 16th century. Archaeologist KK Muhammed, the only Muslim member in the team of people surveying the excavation, also confirmed individually that there existed a temple like structure before the |
the time in detaching William X, Duke of Aquitaine, from the cause of Anacletus. Germany had decided to support Innocent through Norbert of Xanten, who was a friend of Bernard's. However, Innocent insisted on Bernard's company when he met with Lothair II, Holy Roman Emperor. Lothair II became Innocent's strongest ally among the nobility. Although the councils of Étampes, Würzburg, Clermont, and Rheims all supported Innocent, large portions of the Christian world still supported Anacletus. In a letter by Bernard to German Emperor Lothair regarding Antipope Anacletus, Bernard wrote, “It is a disgrace for Christ that a Jew sits on the throne of St. Peter’s” and “Anacletus has not even a good reputation with his friends, while Innocent is illustrious beyond all doubt.” Bernard wrote to Gerard of Angoulême (a letter known as Letter 126), which questioned Gerard's reasons for supporting Anacletus. Bernard later commented that Gerard was his most formidable opponent during the whole schism. After persuading Gerard, Bernard traveled to visit William X, Duke of Aquitaine. He was the hardest for Bernard to convince. He did not pledge allegiance to Innocent until 1135. After that, Bernard spent most of his time in Italy persuading the Italians to pledge allegiance to Innocent. The conflict ended when Anacletus died in 1138. In 1132, Bernard accompanied Innocent II into Italy, and at Cluny the pope abolished the dues which Clairvaux used to pay to that abbey. This action gave rise to a quarrel between the White Monks and the Black Monks which lasted 20 years. In May of that year, the pope, supported by the army of Lothair III, entered Rome, but Lothair III, feeling himself too weak to resist the partisans of Anacletus, retired beyond the Alps, and Innocent sought refuge in Pisa in September 1133. Bernard had returned to France in June and was continuing the work of peacemaking which he had commenced in 1130. Towards the end of 1134, he made a second journey into Aquitaine, where William X had relapsed into schism. Bernard invited William to the Mass which he celebrated in the Church of La Couldre. At the Eucharist, he "admonished the Duke not to despise God as he did His servants". William yielded and the schism ended. Bernard went again to Italy, where Roger II of Sicily was endeavouring to withdraw the Pisans from their allegiance to Innocent. He recalled the city of Milan to obedience to the pope as they had followed the deposed Anselm V, Archbishop of Milan. For this, he was offered, and he refused, the archbishopric of Milan. He then returned to Clairvaux. Believing himself at last secure in his cloister, Bernard devoted himself to the composition of the works which won for him the title of "Doctor of the Church". He wrote at this time his sermons on the Song of Songs. In 1137, he was again forced to leave the abbey by order of the pope to put an end to the quarrel between Lothair and Roger of Sicily. At the conference held at Palermo, Bernard succeeded in convincing Roger of the rights of Innocent II. He also silenced the final supporters who sustained the schism. Anacletus died of "grief and disappointment" in 1138, and with him the schism ended. In 1139, Bernard assisted at the Second Council of the Lateran, in which the surviving adherents of the schism were definitively condemned. About the same time, Bernard was visited at Clairvaux by Malachy, Primate of All Ireland, and a very close friendship formed between them. Malachy wanted to become a Cistercian, but the pope would not give his permission. Malachy died at Clairvaux in 1148. Conflict with Abelard Towards the close of the 11th century, a spirit of independence flourished within schools of philosophy and theology. The movement found an ardent and powerful advocate in Peter Abelard. Abelard's treatise on the Trinity had been condemned as heretical in 1121, and he was compelled to throw his own book into a fire. However, Abelard continued to develop his controversial teachings. Bernard is said to have held a meeting with Abelard intending to persuade him to amend his writings, during which Abelard repented and promised to do so. But once out of Bernard's presence, he reneged. Bernard then denounced Abelard to the pope and cardinals of the Curia. Abelard sought a debate with Bernard, but Bernard initially declined, saying he did not feel matters of such importance should be settled by logical analyses. Bernard's letters to William of St-Thierry also express his apprehension about confronting the preeminent logician. Abelard continued to press for a public debate, and made his challenge widely known, making it hard for Bernard to decline. In 1141, at the urgings of Abelard, the archbishop of Sens called a council of bishops, where Abelard and Bernard were to put their respective cases so Abelard would have a chance to clear his name. Bernard lobbied the prelates on the evening before the debate, swaying many of them to his view. The next day, after Bernard made his opening statement, Abelard decided to retire without attempting to answer. The council found in favour of Bernard and their judgment was confirmed by the pope. Abelard submitted without resistance, and he retired to Cluny to live under the protection of Peter the Venerable, where he died two years later. Cistercian Order and heresy Bernard had occupied himself in sending bands of monks from his overcrowded monastery into Germany, Sweden, England, Ireland, Portugal, Switzerland, and Italy. Some of these, at the command of Innocent II, took possession of Tre Fontane Abbey, from which Eugene III was chosen in 1145. Pope Innocent II died in the year 1143. His two successors, Pope Celestine II and Pope Lucius II, reigned only a short time, and then Bernard saw one of his disciples, Bernard of Pisa, and known thereafter as Eugene III, raised to the Chair of Saint Peter. Bernard sent him, at the pope's own request, various instructions which comprise the Book of Considerations, the predominating idea of which is that the reformation of the Church ought to commence with the sanctity of the pope. Temporal matters are merely accessories; the principles according to Bernard's work were that piety and meditation were to precede action. Having previously helped end the schism within the Church, Bernard was now called upon to combat heresy. Henry of Lausanne, a former Cluniac monk, had adopted the teachings of the Petrobrusians, followers of Peter of Bruys and spread them in a modified form after Peter's death. Henry of Lausanne's followers became known as Henricians. In June 1145, at the invitation of Cardinal Alberic of Ostia, Bernard traveled in southern France. His preaching, aided by his ascetic looks and simple attire, helped doom the new sects. Both the Henrician and the Petrobrusian faiths began to die out by the end of that year. Soon afterwards, Henry of Lausanne was arrested, brought before the bishop of Toulouse, and probably imprisoned for life. In a letter to the people of Toulouse, undoubtedly written at the end of 1146, Bernard calls upon them to extirpate the last remnants of the heresy. He also preached against Catharism. Crusade preaching Second Crusade (1146–49) News came at this time from the Holy Land that alarmed Christendom. Christians had been defeated at the Siege of Edessa and most of the county had fallen into the hands of the Seljuk Turks. The Kingdom of Jerusalem and the other Crusader states were threatened with similar disaster. Deputations of the bishops of Armenia solicited aid from the pope, and the King of France also sent ambassadors. In 1144 Eugene III commissioned Bernard to preach the Second Crusade and granted the same indulgences for it which Pope Urban II had accorded to the First Crusade. There was at first virtually no popular enthusiasm for the crusade as there had been in 1095. Bernard found it expedient to dwell upon taking the cross as a potent means of gaining absolution for sin and attaining grace. On 31 March, with King Louis VII of France present, he preached to an enormous crowd in a field at Vézelay, making "the speech of his life". The full text has not survived, but a contemporary account says that "his voice rang out across the meadow like a celestial organ" James Meeker Ludlow describes the scene romantically in his book The Age of the Crusades: When Bernard was finished the crowd enlisted en masse; they supposedly ran out of cloth to make crosses. Bernard is said to have flung off his own robe and began tearing it into strips to make more. Others followed his example and he and his helpers were supposedly still producing crosses as night fell. Unlike the First Crusade, the new venture attracted royalty, such as Eleanor of Aquitaine, Queen of France; Thierry of Alsace, Count of Flanders; Henry, the future Count of Champagne; Louis's brother Robert I of Dreux; Alphonse I of Toulouse; William II of Nevers; William de Warenne, 3rd Earl of Surrey; Hugh VII of Lusignan, Yves II, Count of Soissons; and numerous other nobles and bishops. But an even greater show of support came from the common people. Bernard wrote to the pope a few days afterwards, "Cities and castles are now empty. There is not left one man to seven women, and everywhere there are widows to still-living husbands." Bernard then passed into Germany, and the reported miracles which multiplied almost at his every step undoubtedly contributed to the success of his mission. Conrad III of Germany and his nephew Frederick Barbarossa, received the cross from the hand of Bernard. Pope Eugenius came in person to France to encourage the enterprise. As in the First Crusade, the preaching led to attacks on Jews; a fanatical French monk named Radulphe was apparently inspiring massacres of Jews in the Rhineland, Cologne, Mainz, Worms, and Speyer, with Radulphe claiming Jews were not contributing financially to the rescue of the Holy Land. The archbishop of Cologne and the archbishop of Mainz were vehemently opposed to these attacks and asked Bernard to denounce them. This he did, but when the campaign continued, Bernard traveled from Flanders to Germany to deal with the problems in person. He then found Radulphe in Mainz and was able to silence him, returning him to his monastery. The last years of Bernard's life were saddened by the failure of the Second Crusade he had preached, the entire responsibility for which was thrown upon him. Bernard considered it his duty to send an apology to the Pope and it is inserted in the second part of his "Book of Considerations." There he explains how the sins of the crusaders were the cause of their misfortune and failures. Wendish Crusade (1147) Bernhard preached | powerful advocate in Peter Abelard. Abelard's treatise on the Trinity had been condemned as heretical in 1121, and he was compelled to throw his own book into a fire. However, Abelard continued to develop his controversial teachings. Bernard is said to have held a meeting with Abelard intending to persuade him to amend his writings, during which Abelard repented and promised to do so. But once out of Bernard's presence, he reneged. Bernard then denounced Abelard to the pope and cardinals of the Curia. Abelard sought a debate with Bernard, but Bernard initially declined, saying he did not feel matters of such importance should be settled by logical analyses. Bernard's letters to William of St-Thierry also express his apprehension about confronting the preeminent logician. Abelard continued to press for a public debate, and made his challenge widely known, making it hard for Bernard to decline. In 1141, at the urgings of Abelard, the archbishop of Sens called a council of bishops, where Abelard and Bernard were to put their respective cases so Abelard would have a chance to clear his name. Bernard lobbied the prelates on the evening before the debate, swaying many of them to his view. The next day, after Bernard made his opening statement, Abelard decided to retire without attempting to answer. The council found in favour of Bernard and their judgment was confirmed by the pope. Abelard submitted without resistance, and he retired to Cluny to live under the protection of Peter the Venerable, where he died two years later. Cistercian Order and heresy Bernard had occupied himself in sending bands of monks from his overcrowded monastery into Germany, Sweden, England, Ireland, Portugal, Switzerland, and Italy. Some of these, at the command of Innocent II, took possession of Tre Fontane Abbey, from which Eugene III was chosen in 1145. Pope Innocent II died in the year 1143. His two successors, Pope Celestine II and Pope Lucius II, reigned only a short time, and then Bernard saw one of his disciples, Bernard of Pisa, and known thereafter as Eugene III, raised to the Chair of Saint Peter. Bernard sent him, at the pope's own request, various instructions which comprise the Book of Considerations, the predominating idea of which is that the reformation of the Church ought to commence with the sanctity of the pope. Temporal matters are merely accessories; the principles according to Bernard's work were that piety and meditation were to precede action. Having previously helped end the schism within the Church, Bernard was now called upon to combat heresy. Henry of Lausanne, a former Cluniac monk, had adopted the teachings of the Petrobrusians, followers of Peter of Bruys and spread them in a modified form after Peter's death. Henry of Lausanne's followers became known as Henricians. In June 1145, at the invitation of Cardinal Alberic of Ostia, Bernard traveled in southern France. His preaching, aided by his ascetic looks and simple attire, helped doom the new sects. Both the Henrician and the Petrobrusian faiths began to die out by the end of that year. Soon afterwards, Henry of Lausanne was arrested, brought before the bishop of Toulouse, and probably imprisoned for life. In a letter to the people of Toulouse, undoubtedly written at the end of 1146, Bernard calls upon them to extirpate the last remnants of the heresy. He also preached against Catharism. Crusade preaching Second Crusade (1146–49) News came at this time from the Holy Land that alarmed Christendom. Christians had been defeated at the Siege of Edessa and most of the county had fallen into the hands of the Seljuk Turks. The Kingdom of Jerusalem and the other Crusader states were threatened with similar disaster. Deputations of the bishops of Armenia solicited aid from the pope, and the King of France also sent ambassadors. In 1144 Eugene III commissioned Bernard to preach the Second Crusade and granted the same indulgences for it which Pope Urban II had accorded to the First Crusade. There was at first virtually no popular enthusiasm for the crusade as there had been in 1095. Bernard found it expedient to dwell upon taking the cross as a potent means of gaining absolution for sin and attaining grace. On 31 March, with King Louis VII of France present, he preached to an enormous crowd in a field at Vézelay, making "the speech of his life". The full text has not survived, but a contemporary account says that "his voice rang out across the meadow like a celestial organ" James Meeker Ludlow describes the scene romantically in his book The Age of the Crusades: When Bernard was finished the crowd enlisted en masse; they supposedly ran out of cloth to make crosses. Bernard is said to have flung off his own robe and began tearing it into strips to make more. Others followed his example and he and his helpers were supposedly still producing crosses as night fell. Unlike the First Crusade, the new venture attracted royalty, such as Eleanor of Aquitaine, Queen of France; Thierry of Alsace, Count of Flanders; Henry, the future Count of Champagne; Louis's brother Robert I of Dreux; Alphonse I of Toulouse; William II of Nevers; William de Warenne, 3rd Earl of Surrey; Hugh VII of Lusignan, Yves II, Count of Soissons; and numerous other nobles and bishops. But an even greater show of support came from the common people. Bernard wrote to the pope a few days afterwards, "Cities and castles are now empty. There is not left one man to seven women, and everywhere there are widows to still-living husbands." Bernard then passed into Germany, and the reported miracles which multiplied almost at his every step undoubtedly contributed to the success of his mission. Conrad III of Germany and his nephew Frederick Barbarossa, received the cross from the hand of Bernard. Pope Eugenius came in person to France to encourage the enterprise. As in the First Crusade, the preaching led to attacks on Jews; a fanatical French monk named Radulphe was apparently inspiring massacres of Jews in the Rhineland, Cologne, Mainz, Worms, and Speyer, with Radulphe claiming Jews were not contributing financially to the rescue of the Holy Land. The archbishop of Cologne and the archbishop of Mainz were vehemently opposed to these attacks and asked Bernard to denounce them. This he did, but when the campaign continued, Bernard traveled from Flanders to Germany to deal with the problems in person. He then found Radulphe in Mainz and was able to silence him, returning him to his monastery. The last years of Bernard's life were saddened by the failure of the Second Crusade he had preached, the entire responsibility for which was thrown upon him. Bernard considered it his duty to send an apology to the Pope and it is inserted in the second part of his "Book of Considerations." There he explains how the sins of the crusaders were the cause of their misfortune and failures. Wendish Crusade (1147) Bernhard preached the Wendish Crusade against Western Slavs, setting a goal to the crusade of battling them "until such a time as, by God's help, they shall either be converted or deleted". Final years (1149–53) The death of his contemporaries served as a warning to Bernard of his own approaching end. The first to die was Suger in 1152, of whom Bernard wrote to Eugene III, "If there is any precious vase adorning the palace of the King of Kings it is the soul of the venerable Suger". Conrad III and his son Henry died the same year. Bernard died at age sixty-three on 20 August 1153, after forty years of monastic life. He was buried at Clairvaux Abbey, and after its dissolution in 1792 by the French revolutionary government his remains were transferred to Troyes Cathedral. Theology Bernard was named a Doctor of the Church in 1830. At the 800th anniversary of his death, Pope Pius XII issued an encyclical about him, titled Doctor Mellifluus, in which he labeled him "The Last of the Fathers." The central elements of Bernard's Mariology are how he explained the virginity of Mary, the "Star of the Sea", and her role as Mediatrix. The first abbot of Clairvaux developed a rich theology of sacred space and music, writing extensively on both. John Calvin and Martin Luther quoted Bernard several times in support of the doctrine of Sola Fide. Calvin also quotes him in setting forth his doctrine of a forensic alien righteousness, or as it is commonly called imputed righteousness. Spirituality Bernard was instrumental in re-emphasizing the importance of lectio divina and contemplation for monks. Bernard had observed that when lectio divina was neglected, monasticism suffered. Bernard "noted centuries ago: the people who are their own spiritual directors have fools for disciples." Legacy Bernard's theology and Mariology continue to be of major importance, particularly within the Cistercian and Trappist Orders. Bernard helped found 163 monasteries in different parts of Europe. His influence led Alexander III to launch reforms that led to the establishment of canon law. He was canonized by Alexander III 18 January 1174. He is labeled the "Mellifluous Doctor" for |
the city was home to many industrial plants, but most have been shut down since 1991 or now operate on a much-reduced scale. One of Bishkek's largest employment centres today is the Dordoy Bazaar open market, where many of the Chinese goods imported to CIS countries are sold. Geography Orientation Though the city is relatively young, the surrounding area has some sites of interest dating to prehistoric times. There are also sites from the Greco-Buddhist period, the period of Nestorian influence, the era of the Central Asian khanates, and the Soviet period. The central part of the city is laid out on a rectangular grid plan. The city's main street is the east-west Chüy Avenue (Chüy Prospekti), named after the region's main river. In the Soviet era, it was called Lenin Avenue. Along or near it are many of the most important government buildings and universities. These include the Academy of Sciences compound. The westernmost section of the avenue is known as Deng Xiaoping Avenue. The main north-south street is Yusup Abdrakhmanov Street, still commonly referred to by its old name, Sovietskaya Street. Its northern and southern sections are called, respectively, Yelebesov and Baityk Batyr Streets. Several major shopping centers are located along with it, and in the north, it provides access to Dordoy Bazaar. Erkindik ("Freedom") Boulevard runs from north to south, from the main railroad station (Bishkek II) south of Chüy Avenue to the museum quarter and sculpture park just north of Chüy Avenue, and further north toward the Ministry of Foreign Affairs. In the past, it was called Dzerzhinsky Boulevard, named after a Communist revolutionary, Felix Dzerzhinsky, and its northern continuation is still called Dzerzhinsky Street. An important east-west street is Jibek Jolu ('Silk Road'). It runs parallel to Chüy Avenue about north of it and is part of the main east-west road of Chüy Region. Both the eastern and western bus terminals are located along Jibek Jolu. There is a Roman Catholic church located at ul. Vasiljeva 197 (near Rynok Bayat). It is the only Catholic cathedral in Kyrgyzstan. There is a Stadium after Dolon Omurzakov located near the center of Bishkek. This is the largest stadium in the Kyrgyz Republic. City centre Kyrgyz State Historical Museum, located in Ala-Too Square, the main city square. State Museum of Applied Arts, containing examples of traditional Kyrgyz handicrafts. Frunze House Museum. Statue of Ivan Panfilov in the park near the White House. An equestrian statue of Mikhail Frunze stands in a large park (Boulevard Erkindik) across from the train station. The train station was built in 1946 by German prisoners of war and has survived since then without further renovation or repairs; most of those who built it perished and were buried in unmarked pits near the station. The main government building, the White House, is a huge, seven-story marble block and the former headquarters of the Communist Party of the Kirghiz SSR. At Ala-Too Square there is an independence monument where the changing of the guards may be watched. Osh Bazaar, west of the city center, is a large, picturesque produce market. Kyrgyz National Philharmonic, concert hall. Outer neighbourhoods The Dordoy Bazaar, just inside the bypass highway on the north-eastern edge of the city, is a major retail and wholesale market. Outside the city The Kyrgyz Ala-Too mountain range, some away, provides a spectacular backdrop to the city; the Ala Archa National Park is only a 30 to 45 minutes drive away. Distances Bishkek is about 300 km away directly from the country's second city Osh. However, its nearest large city is Almaty of Kazakhstan, which is 190 km to the east. Furthermore, it is 470 km from Tashkent (Uzbekistan), 680 km from Dushanbe (Tajikistan), and about 1,000 km each from Nur-Sultan (Kazakhstan), Ürümqi (China), Islamabad (Pakistan), and Kabul (Afghanistan). Climate Bishkek has a Mediterranean-influenced humid continental climate (Köppen climate classification Dsa), as the average mean temperature in the winter is below . Average precipitation is around per year. Average daily high temperatures range from in January to about during July. The summer months are dominated by dry periods, punctuated by the occasional thunderstorm, which produces strong gusty winds and rare dust storms. The mountains to the south provide a natural boundary and protection from damaging weather, as does the smaller mountain chain that runs north-west to south-east. In the winter months, sparse snow storms and frequent heavy fog are the dominating features. There are sometimes temperature inversions, during which the fog can last for days at a time. Demographics Bishkek is the most populated city in Kyrgyzstan. Its population, estimated in 2021, was 1,074,075. From the foundation of the city to the mid-1990s, ethnic Russians and other peoples of European descent (Ukrainians, Germans) comprised the majority of the city's population. According to the 1970 census, the ethnic Kyrgyz were only 12.3%, while Europeans comprised more than 80% of the Frunze population. Now Bishkek is a predominantly Kyrgyz city, with 75% of its residents Kyrgyz, while European peoples make up around 15% of the population. Despite this fact, Russian is the main language while Kyrgyz continues losing ground, especially among the younger generations. Ecology and environment Air quality Emissions of air pollutants in Bishkek amounted to 14,400 tons in 2010. Among all cities in Kyrgyzstan, the level of air pollution in Bishkek is the highest, occasionally exceeding maximum allowable concentrations by several times, especially in the city centre. For example, concentrations of formaldehyde occasionally exceed maximum allowable limits by a factor of four. Responsibility for ambient air quality monitoring in Bishkek lies with the Kyrgyz State Agency of Hydrometeorology. There are seven air-quality monitoring stations in Bishkek, measuring levels of sulfur dioxide, nitrogen oxides, formaldehyde, and ammonia. Economy Bishkek uses the Kyrgyzstan currency, the som. The som's value fluctuates regularly but averaged around 75 som per U.S. dollar as of July 2020. The economy in Bishkek is primarily agricultural, and agricultural products are sometimes bartered | produce vendors in a market-style venue. In most of the downtown area there is a more urban cityscape with banks, stores, markets, and malls. Sought-after goods include hand-crafted artisan pieces, such as statues, carvings, paintings, and many nature-based sculptures. Housing As with many cities in post-Soviet states, housing in Bishkek has undergone extensive changes since the collapse of the Soviet Union. While housing was formerly distributed to citizens in the Soviet era, housing in Bishkek has since become privatised. Though single-family houses are slowly becoming more popular, the majority of the residents live in Soviet-era apartments. Despite the Kyrgyz economy experiencing growth, increases in available housing have been slow with very little new construction. As a result of this growing prosperity and the lack of new formal housing, prices have been rising significantly—doubling from 2001 to 2002. Those unable to afford the high housing price within Bishkek, notably internal migrants from rural villages and small provincial towns, often have to resort to informal squatter settlements on the city's outskirts. These settlements are estimated to house 400,000 people or about 30 percent of Bishkek's population. While many of the settlements have lacked basic necessities such as electricity and running water, recently, the local government has pushed to provide these services. Government Local government is administered by the Bishkek Mayor's Office. Askarbek Salymbekov was mayor until his resignation in August 2005, after which his deputy, Arstanbek Nogoev, took over the mayorship. Nogoev was in turn removed from his position in October 2007 through a decree of President Kurmanbek Bakiyev and replaced by businessman and former first deputy prime minister Daniar Usenov. In July 2008 former head of the Kyrgyz Railways Nariman Tuleyev was appointed mayor, who was dismissed by the interim government after 7 April 2010. From April 2010 to February 2011 Isa Omurkulov, also a former head of the Kyrgyz Railways, was an interim mayor, and from 4 February 2011 to 14 December 2013 he was re-elected the mayor of Bishkek. Kubanychbek Kulmatov was nominated for election by parliamentary group of Social Democratic Party of Kyrgyzstan in city kenesh, and he was elected as a new mayor on 15 January 2014, and stepped down on 9 February 2016. The next mayor, Albek Sabirbekovich Ibraimov, was also nominated for election by parliamentary group of Social Democratic Party of Kyrgyzstan in city kenesh, and Bishkek City Kenesh elected him on 27 February 2016. The current mayor is Aziz Surakmatov, who was elected on 8 August 2018. Administrative divisions Bishkek city covers and is administered separately and not part of any region. Besides the city proper, one urban-type settlement and one village are administered by the city: Chong-Aryk and Orto-Say. The city is divided into 4 districts: Birinchi May, Lenin, Oktyabr and Sverdlov. Chong-Aryk and Orto-Say are part of Lenin District. Sports Bishkek is home to Spartak, the largest football stadium in Kyrgyzstan and the only one eligible to host international matches. Several Bishkek-based football teams play on this pitch, including six-time Kyrgyzstan League champions, Dordoi Bishkek. Others include Alga Bishkek, Ilbirs Bishkek, and RUOR-Guardia Bishkek. Bishkek hosted the 2014 IIHF Challenge Cup of Asia – Division I. Education Educational institutions in Bishkek include: APAP KR American University of Central Asia Arabaev Kyrgyz State University Bishkek Humanities University International Atatürk-Alatoo University International University of Kyrgyzstan Kyrgyz-Russian Slavic University I.K. Akhunbaev Kyrgyz State Medical Academy Kyrgyz State National University Kyrgyz Technical University Kyrgyz-Russian State University Kyrgyz-Turkish MANAS University Kyrgyz Uzbek University Plato University of Management and Design University of Central Asia In addition, the following international schools serve the expatriate community in Bishkek: European School in Central Asia Oxford International School Bishkek Hope Academy of Bishkek QSI International School of Bishkek Silk Road International School Transportation Mass public transport Public transportation includes buses, electric trolleybuses, and public vans (known in Russian as marshrutka). The first bus and trolley bus services in Bishkek were introduced in 1934 and 1951, respectively. Taxi cabs can be found throughout the city. The city is considering designing and building a light rail system (). Commuter and long-distance buses There are two main bus stations in Bishkek. The smaller old Eastern Bus Station is primarily the terminal for minibusses to various destinations within or just beyond the eastern suburbs, such as Kant, Tokmok, Kemin, Issyk Ata, or the Korday border crossing. Long-distance regular bus and minibus services to all parts of the country, as well as to Almaty (the largest city in neighbouring Kazakhstan) and Kashgar, China, run mostly from the newer grand Western Bus Station; only a smaller number run from the Eastern Station. The Dordoy Bazaar on the north-eastern outskirts of the city also contains makeshift terminals |
held in Stirling the day after the Scottish Devolution vote and attended by 200 delegates from around the world, Braveheart author Randall Wallace, Seoras Wallace of the Wallace Clan, Scottish historian David Ross and Bláithín FitzGerald from Ireland gave lectures on various aspects of the film. Several of the actors also attended including James Robinson (Young William), Andrew Weir (Young Hamish), Julie Austin (the young bride) and Mhairi Calvey (Young Murron). Awards and honors Braveheart was nominated for many awards during the 1995 Oscar season, though it was not viewed by many as a major contender such as Apollo 13, Il Postino: The Postman, Leaving Las Vegas, Sense and Sensibility, and The Usual Suspects. It wasn't until after the film won the Golden Globe Award for Best Director at the 53rd Golden Globe Awards that it was viewed as a serious Oscar contender. When the nominations were announced for the 68th Academy Awards, Braveheart received ten Academy Award nominations, and a month later, won five including Best Picture, Best Director for Gibson, Best Cinematography, Best Sound Effects Editing, and Best Makeup. Braveheart became the ninth film to win Best Picture with no acting nominations and is one of only three films to win Best Picture without being nominated for the Screen Actors Guild Award for Outstanding Performance by a Cast in a Motion Picture, the other being The Shape of Water in 2017 and followed by Green Book the following year. The film also won the Writer's Guild of America Award for Best Original Screenplay. In 2010, the Independent Film & Television Alliance selected the film as one of the 30 Most Significant Independent Films of the last 30 years American Film Institute lists AFI's 100 Years ... 100 Movies – Nominated AFI's 100 Years ... 100 Thrills – No. 91 AFI's 100 Years...100 Heroes & Villains: William Wallace – Nominated Hero AFI's 100 Years ... 100 Movie Quotes: "They may take away our lives, but they'll never take our freedom!" – Nominated AFI's 100 Years of Film Scores – Nominated AFI's 100 Years...100 Cheers – No. 62 AFI's 100 Years ... 100 Movies (10th Anniversary Edition) – Nominated AFI's 10 Top 10 – Nominated Epic Film Cultural effects Lin Anderson, author of Braveheart: From Hollywood To Holyrood, credits the film with playing a significant role in affecting the Scottish political landscape in the mid-to-late 1990s. Wallace Monument In 1997, a , sandstone statue depicting Mel Gibson as William Wallace in Braveheart was placed in the car park of the Wallace Monument near Stirling, Scotland. The statue, which was the work of Tom Church, a monumental mason from Brechin, included the word 'Braveheart' on Wallace's shield. The installation became the cause of much controversy; one local resident stated that it was wrong to "desecrate the main memorial to Wallace with a lump of crap". In 1998, someone wielding a hammer vandalized the statue's face. After repairs were made, the statue was encased in a cage every night to prevent further vandalism. This only incited more calls for the statue to be removed, as it then appeared that the Gibson/Wallace figure was imprisoned. The statue was described as "among the most loathed pieces of public art in Scotland". In 2008, the statue was returned to its sculptor to make room for a new visitor centre being built at the foot of the Wallace Monument. Historical inaccuracy Randall Wallace, who wrote the screenplay, has acknowledged Blind Harry's 15th-century epic poem The Acts and Deeds of Sir William Wallace, Knight of Elderslie as a major inspiration for the film. In defending his script, Randall Wallace has said, "Is Blind Harry true? I don't know. I know that it spoke to my heart and that's what matters to me, that it spoke to my heart." Blind Harry's poem is not regarded as historically accurate, and although some incidents in the film that are not historically accurate are taken from Blind Harry (e.g. the hanging of Scottish nobles at the start), there are large parts that are based neither on history nor Blind Harry (e.g. Wallace's affair with Princess Isabella). Elizabeth Ewan describes Braveheart as a film that "almost totally sacrifices historical accuracy for epic adventure". The "brave heart" refers in Scottish history to that of Robert the Bruce, and an attribution by William Edmondstoune Aytoun, in his poem Heart of Bruce, to Sir James the Good Douglas: "Pass thee first, thou dauntless heart, As thou wert wont of yore!", prior to Douglas' demise at the Battle of Teba in Andalusia. It has been described as one of the most historically inaccurate modern films. Sharon Krossa noted that the film contains numerous historical inaccuracies, beginning with the wearing of belted plaid by Wallace and his men. In that period "no Scots [...] wore belted plaids (let alone kilts of any kind)." Moreover, when Highlanders finally did begin wearing the belted plaid, it was not "in the rather bizarre style depicted in the film". She compares the inaccuracy to "a film about Colonial America showing the colonial men wearing 20th century business suits, but with the jackets worn back-to-front instead of the right way around." In a previous essay about the film, she wrote, "The events aren't accurate, the dates aren't accurate, the characters aren't accurate, the names aren't accurate, the clothes aren't accurate—in short, just about nothing is accurate." The belted plaid (feileadh mór léine) was not introduced until the 16th century. Peter Traquair has referred to Wallace's "farcical representation as a wild and hairy highlander painted with woad (1,000 years too late) running amok in a tartan kilt (500 years too early)." Irish historian Seán Duffy remarked that "the battle of Stirling Bridge could have done with a bridge." In 2009, the film was second on a list of "most historically inaccurate movies" in The Times. In the humorous non-fictional historiography An Utterly Impartial History of Britain (2007), author John O'Farrell claims that Braveheart could not have been more historically inaccurate, even if a Plasticine dog had been inserted in the film and the title changed to "William Wallace and Gromit". In the DVD audio commentary of Braveheart, Mel Gibson acknowledges the historical inaccuracies but defends his choices as director, noting that the way events were portrayed in the film was much more "cinematically compelling" than the historical fact or conventional mythos. Jus primae noctis The English did behave badly at times during their invasion of Scotland, notably at the Sack of Berwick. However, Edward Longshanks is shown invoking Jus primae noctis, allowing the lord of a medieval estate to take the virginity of his serfs' maiden daughters on their wedding nights. Critical medieval scholarship regards this supposed right as a myth: "the simple reason why we are dealing with a myth here rests in the surprising fact that practically all writers who make any such claims have never been able or willing to cite any trustworthy source, if they have any." Occupation and independence The film suggests Scotland had been under English occupation for some time, at least during Wallace's childhood, and in the run-up to the Battle of Falkirk Wallace says to the younger Bruce, "[W]e'll have what none of us have ever had before, a country of our own." In fact, Scotland had been invaded by England only the year before Wallace's rebellion; prior to the death of King Alexander III it had been a fully separate kingdom. Portrayal of William Wallace As John Shelton Lawrence and Robert Jewett writes, "Because [William] Wallace is one of Scotland's most important national heroes and because he lived in the very distant past, much that is believed about him is probably the stuff of legend. But there is a factual strand that historians agree to", summarized from Scots scholar Matt Ewart: A. E. Christa Canitz writes about the historical William Wallace further: "[He] was a younger son of the Scottish gentry, usually accompanied by his own chaplain, well-educated, and eventually, having been appointed Guardian of the Kingdom of Scotland, engaged in diplomatic correspondence with the Hanseatic cities of Lübeck and Hamburg". She finds that in Braveheart, "any hint of his descent from the lowland gentry (i.e., the lesser nobility) is erased, and he is presented as an economically and politically marginalized Highlander and 'a farmer'—as one with the common peasant, and with a strong spiritual connection to the land which he is destined to liberate." Colin McArthur writes that Braveheart "constructs Wallace as a kind of modern, nationalist guerrilla leader in a period half a millennium before the appearance of nationalism on the historical stage as a concept under which disparate classes and interests might be mobilised within a nation state." Writing about Bravehearts "omissions of verified historical facts", McArthur notes that Wallace made "overtures to Edward I seeking less severe treatment after his defeat at Falkirk", as well as "the well-documented fact of Wallace's having resorted to conscription and his willingness to hang those who refused to serve." Canitz posits that depicting "such lack of class solidarity" as the conscriptions and related hangings "would contaminate the movie's image of Wallace as the morally irreproachable primus inter pares among his peasant fighters." Portrayal of Isabella of France Isabella of France is shown having an affair with Wallace after the Battle of Falkirk. She later tells Edward I she is pregnant, implying that her son, Edward III, was a product of the affair. In reality, Isabella was around three years old and living in France at the time of the Battle of Falkirk, was not married to Edward II until he was already king, and Edward III was born seven years after Wallace died. Her menacing suggestion, to a dying Longshanks, that she would overthrow and destroy Edward II is based in fact; however, it was only in 1326, over 20 years after Wallace's death, that Isabella, her son, and her lover Roger Mortimer would invade England to depose - and later murder - Edward II. Portrayal of Robert the Bruce Robert the Bruce did change sides between the Scots loyalists and the English more than once in the earlier stages of the Wars of Scottish Independence, but he probably did not fight on the English side at the Battle of Falkirk (although this claim does appear in a few medieval sources). Later, the Battle of Bannockburn was not a spontaneous battle; he had already been fighting a guerrilla campaign against the English for eight years. His title before becoming king was Earl of Carrick, not Earl of Bruce. While the film's name refers to William Wallace, the nickname "Braveheart" refers to Bruce. Bruce's father is portrayed as an infirm leper, although it was Bruce himself who allegedly suffered from leprosy in later life. In the film, Bruce's father betrays Wallace to his son's disgust, acknowledging it as the price of his crown, although in real life Wallace was betrayed by the nobleman John de Menteith and delivered to the English. Portrayal of Longshanks and Prince Edward The actual Edward I was ruthless and temperamental, but the film exaggerates his negative aspects for effect. Edward enjoyed poetry and harp music, was a devoted and loving husband to his wife Eleanor of Castile, and as a religious man, he gave generously to charity. The film's scene where he scoffs cynically at Isabella for distributing gold to the poor after Wallace refuses it as a bribe would have been unlikely especially since Isabella was only a child at the time and living in France. Furthermore, Edward died on campaign two years after Wallace's execution, not in bed at his home. The depiction of the future Edward II as an effeminate homosexual drew accusations of homophobia against Gibson. Gibson defended his depiction of Prince Edward as weak and ineffectual, saying: In response to Longshanks' murder of the Prince's male lover Phillip, Gibson replied: "The fact that King Edward throws this character out a window has nothing to do with him being gay ... He's terrible to his son, to everybody." Gibson asserted that the reason Longshanks kills his son's lover is that the king is a "psychopath". Wallace's military campaign "MacGregors from the next glen" joining Wallace shortly after the action at Lanark is dubious, since it is questionable whether Clan Gregor existed at that stage, and when they did emerge their traditional home was Glen Orchy, some distance from Lanark. Wallace did win an important victory at the Battle of Stirling Bridge, but the version in Braveheart is highly inaccurate, as it was filmed without a bridge (and without Andrew Moray, joint commander of the Scots army, who was fatally injured in the battle). Later, Wallace did carry out a large-scale raid into the north of England, but he did not get | Andrew Weir as young Hamish Peter Hanly as Prince Edward James Cosmo as Campbell David O'Hara as Stephen of Ireland Ian Bannen as Bruce's father Seán McGinley as MacClannough Brian Cox as Argyle Wallace Sean Lawlor as Malcolm Wallace Sandy Nelson as John Wallace Stephen Billington as Phillip John Kavanagh as Craig Alun Armstrong as Mornay John Murtagh as Lochlan Tommy Flanagan as Morrison Donal Gibson as Stewart Jeanne Marine as Nicolette Michael Byrne as Smythe Malcolm Tierney as Magistrate Bernard Horsfall as Balliol Peter Mullan as Veteran Gerard McSorley as Cheltham Richard Leaf as Governor of York Mark Lees as Old Crippled Scotsman Tam White as MacGregor Jimmy Chisholm as Faudron David Gant as the Royal Magistrate Production Producer Alan Ladd Jr. initially had the project at MGM-Pathé Communications when he picked up the script from Wallace. When MGM was going through new management in 1993, Ladd left the studio and took some of its top properties, including Braveheart. Gibson came across the script and even though he liked it, he initially passed on it. However, the thought of it kept coming back to him and he ultimately decided to take on the project. Terry Gilliam was offered to direct the film but he declined. Gibson was initially interested in directing only and considered Brad Pitt in the role of Sir William Wallace, but Gibson reluctantly agreed to play Wallace as well. Gibson and his production company, Icon Productions, had difficulty raising enough money for the film. Warner Bros. was willing to fund the project on the condition that Gibson sign for another Lethal Weapon sequel, which he refused. Gibson eventually gained enough financing for the film, with Paramount Pictures financing a third of the budget in exchange for North American distribution rights to the film, and 20th Century Fox putting up two-thirds of the budget in exchange for international distribution rights. Principal photography on the film began on June 6, 1994. While the crew spent three weeks shooting on location in Scotland, the major battle scenes were shot in Ireland using members of the Irish Army Reserve as extras. To lower costs, Gibson had the same extras, up to 1,600 in some scenes, portray both armies. The reservists had been given permission to grow beards and swapped their military uniforms for medieval garb. Principal photography ended on October 28, 1994. The film was shot in the anamorphic format with Panavision C- and E-Series lenses. Gibson had to tone down the film's battle scenes to avoid an NC-17 rating from the MPAA; the final version was rated R for "brutal medieval warfare". Gibson and editor Steven Rosenblum initially had a film at 195 minutes, but Sheryl Lansing, who was the head of Paramount at the time, requested Gibson and Rosenblum to cut the film down to 177 minutes. According to Gibson in a 2016 interview with Collider, there is a four-hour version of the film and would be interested in reassembling it if both Paramount and Fox are interested. Soundtrack The score was composed and conducted by James Horner and performed by the London Symphony Orchestra. It is Horner's second of three collaborations with Mel Gibson as director. The score has gone on to be one of the most commercially successful soundtracks of all time. It received considerable acclaim from film critics and audiences and was nominated for a number of awards, including the Academy Award, Saturn Award, BAFTA Award, and Golden Globe Award. Release and reception Braveheart premiered at the Seattle International Film Festival on May 18, 1995, and received its wide release in U.S. cinemas six days later. Box office On its opening weekend, Braveheart grossed $9,938,276 in the United States and $75.6 million in its box office run in the U.S. and Canada. Worldwide, the film grossed $210,409,945 and was the thirteenth-highest-grossing film of 1995. Critical response Braveheart earned positive reviews; critics praised Gibson's direction and performance as Wallace, the performances of its cast, and its screenplay, production values, Horner's score, and the battle sequences. The depiction of the Battle of Stirling Bridge was listed by CNN as one of the best battles in cinema history. However, it was also criticized for its depiction of history. On Rotten Tomatoes the film has an approval rating of 79%, with an average score of 7.40/10, based on 84 reviews. The site's consensus states "Distractingly violent and historically dodgy, Mel Gibson's Braveheart justifies its epic length by delivering enough sweeping action, drama, and romance to match its ambition." On Metacritic the film has a score of 68 out of 100 based on 20 critic reviews, indicating "generally favorable reviews". Audiences surveyed by CinemaScore gave the film a grade A- on scale of A to F. Caryn James of The New York Times praised the film, calling it "one of the most spectacular entertainments in years." Roger Ebert gave the film 3.5 stars out of four, calling it "An action epic with the spirit of the Hollywood swordplay classics and the grungy ferocity of The Road Warrior." In a positive review, Gene Siskel wrote that "in addition to staging battle scenes well, Gibson also manages to recreate the filth and mood of 700 years ago." Peter Travers of Rolling Stone felt that "though the film dawdles a bit with the shimmery, dappled love stuff involving Wallace with a Scottish peasant and a French princess, the action will pin you to your seat." Not all reviews were positive, Richard Schickel of Time magazine argued that "everybody knows that a non-blubbering clause is standard in all movie stars' contracts. Too bad there isn't one banning self-indulgence when they direct." Peter Stack of San Francisco Chronicle felt "at times the film seems an obsessive ode to Mel Gibson machismo." In a 2005 poll by British film magazine Empire, Braveheart was No. 1 on their list of "The Top 10 Worst Pictures to Win Best Picture Oscar". Empire readers had previously voted Braveheart the best film of 1995. Effect on tourism The European premiere was on September 3, 1995, in Stirling. In 1996, the year after the film was released, the annual three-day "Braveheart Conference" at Stirling Castle attracted fans of Braveheart, increasing the conference's attendance to 167,000 from 66,000 in the previous year. In the following year, research on visitors to the Stirling area indicated that 55% of the visitors had seen Braveheart. Of visitors from outside Scotland, 15% of those who saw Braveheart said it influenced their decision to visit the country. Of all visitors who saw Braveheart, 39% said the film influenced in part their decision to visit Stirling, and 19% said the film was one of the main reasons for their visit. In the same year, a tourism report said that the "Braveheart effect" earned Scotland £7 million to £15 million in tourist revenue, and the report led to various national organizations encouraging international film productions to take place in Scotland. The film generated huge interest in Scotland and in Scottish history, not only around the world, but also in Scotland itself. At a Braveheart Convention in 1997, held in Stirling the day after the Scottish Devolution vote and attended by 200 delegates from around the world, Braveheart author Randall Wallace, Seoras Wallace of the Wallace Clan, Scottish historian David Ross and Bláithín FitzGerald from Ireland gave lectures on various aspects of the film. Several of the actors also attended including James Robinson (Young William), Andrew Weir (Young Hamish), Julie Austin (the young bride) and Mhairi Calvey (Young Murron). Awards and honors Braveheart was nominated for many awards during the 1995 Oscar season, though it was not viewed by many as a major contender such as Apollo 13, Il Postino: The Postman, Leaving Las Vegas, Sense and Sensibility, and The Usual Suspects. It wasn't until after the film won the Golden Globe Award for Best Director at the 53rd Golden Globe Awards that it was viewed as a serious Oscar contender. When the nominations were announced for the 68th Academy Awards, Braveheart received ten Academy Award nominations, and a month later, won five including Best Picture, Best Director for Gibson, Best Cinematography, Best Sound Effects Editing, and Best Makeup. Braveheart became the ninth film to win Best Picture with no acting nominations and is one of only three films to win Best Picture without being nominated for the Screen Actors Guild Award for Outstanding Performance by a Cast in a Motion Picture, the other being The Shape of Water in 2017 and followed by Green Book the following year. The film also won the Writer's Guild of America Award for Best Original Screenplay. In 2010, the Independent Film & Television Alliance selected the film as one of the 30 Most Significant Independent Films of the last 30 years American Film Institute lists AFI's 100 Years ... 100 Movies – Nominated AFI's 100 Years ... 100 Thrills – No. 91 AFI's 100 Years...100 Heroes & Villains: William Wallace – Nominated Hero AFI's 100 Years ... 100 Movie Quotes: "They may take away our lives, but they'll never take our freedom!" – Nominated AFI's 100 Years of Film Scores – Nominated AFI's 100 Years...100 Cheers – No. 62 AFI's 100 Years ... 100 Movies (10th Anniversary Edition) – Nominated AFI's 10 Top 10 – Nominated Epic Film Cultural effects Lin Anderson, author of Braveheart: From Hollywood To Holyrood, credits the film with playing a significant role in affecting the Scottish political landscape in the mid-to-late 1990s. Wallace Monument In 1997, a , sandstone statue depicting Mel Gibson as William Wallace in Braveheart was placed in the car park of the Wallace Monument near Stirling, Scotland. The statue, which was the work of Tom Church, a monumental mason from Brechin, included the word 'Braveheart' on Wallace's shield. The installation became the cause of much controversy; one local resident stated that it was wrong to "desecrate the main memorial to Wallace with a lump of crap". In 1998, someone wielding a hammer vandalized the statue's face. After repairs were made, the statue was encased in a cage every night to prevent further vandalism. This only incited more calls for the statue to be removed, as it then appeared that the Gibson/Wallace figure was imprisoned. The statue was described as "among the most loathed pieces of public art in Scotland". In 2008, the statue was returned to its sculptor to make room for a new visitor centre being built at the foot of the Wallace Monument. Historical inaccuracy Randall Wallace, who wrote the screenplay, has acknowledged Blind Harry's 15th-century epic poem The Acts and Deeds of Sir William Wallace, Knight of Elderslie as a major inspiration for the film. In defending his script, Randall Wallace has said, "Is Blind Harry true? I don't know. I know that it spoke to my heart and that's what matters to me, that it spoke to my heart." Blind Harry's poem is not regarded as historically accurate, and although some incidents in the film that are not historically accurate are taken from Blind Harry (e.g. the hanging of Scottish nobles at the start), there are large parts that are based neither on history nor Blind Harry (e.g. Wallace's affair with Princess Isabella). Elizabeth Ewan describes Braveheart as a film that "almost totally sacrifices historical accuracy for epic adventure". The "brave heart" refers in Scottish history to that of Robert the Bruce, and an attribution by William Edmondstoune Aytoun, in his poem Heart of Bruce, to Sir James the Good Douglas: "Pass thee first, thou dauntless heart, As thou wert wont of yore!", prior to Douglas' demise at the Battle of Teba in Andalusia. It has been described as one of the most historically inaccurate modern films. Sharon Krossa noted that the film contains numerous historical inaccuracies, beginning with the wearing of belted plaid by Wallace and his men. In that period "no Scots [...] wore belted plaids (let alone kilts of any kind)." Moreover, when Highlanders finally did begin wearing the belted plaid, it was not "in the rather bizarre style depicted in the film". She compares the inaccuracy to "a film about Colonial America showing the colonial men wearing 20th century business suits, but with the jackets worn back-to-front instead of the right way around." In a previous essay about the film, she wrote, "The events aren't accurate, the dates aren't accurate, the characters aren't accurate, the names aren't accurate, the clothes aren't accurate—in short, just about nothing is accurate." The belted plaid (feileadh mór léine) was not introduced until the 16th century. Peter Traquair has referred to Wallace's "farcical representation as a wild and hairy highlander painted with woad (1,000 years too late) running amok in a tartan kilt (500 years too early)." Irish historian Seán Duffy remarked that "the battle of Stirling Bridge could have done with a bridge." In 2009, the film was second on a list of "most historically inaccurate movies" in The Times. In the humorous non-fictional historiography An Utterly Impartial History of Britain (2007), author John O'Farrell claims that Braveheart could not have been more historically inaccurate, even if a Plasticine dog had been inserted in the film and the title changed to "William Wallace and Gromit". In the DVD audio commentary of Braveheart, Mel Gibson acknowledges the historical inaccuracies but defends his choices as director, noting that the way events were portrayed in the film was much more "cinematically compelling" than the historical fact or conventional mythos. Jus primae noctis The English did behave badly at times during their invasion of Scotland, notably at the Sack of Berwick. However, Edward Longshanks is shown invoking Jus primae noctis, allowing the lord of a medieval estate to take the virginity of his serfs' maiden daughters on their wedding nights. Critical medieval scholarship regards this supposed right as a myth: "the simple reason why we are dealing with a myth here rests in the surprising fact that practically all writers who make any such claims have never been able or willing to cite any trustworthy source, if they have any." Occupation and independence The film suggests Scotland had been under English occupation for some time, at least during Wallace's childhood, and in the run-up to the Battle of Falkirk Wallace says to the younger Bruce, "[W]e'll have |
Millennia", "The Mutant Millennia", "The Megalopolis Millennia", "The Ultimate Millennia" Brothers of the Head and Where the Lines Converge (1979), collection of 1 novel, 1 novelette and 6 poems: Brothers of the Head (novel), "Big Lover" (poem), "Love Is a Forest" (poem), "Bacterial Action" (poem), "Star-Time" (poem), "Just for a Moment" (poem), "I Was Never Deaf or Blind to Her Music" (poem), "Where The Lines Converge" (novelette) New Arrivals, Old Encounters (1979, Jonathan Cape), (1980, Harper & Row), (1981, Avon), collection of 9 short stories and 3 novelettes: "New Arrivals, Old Encounters", "The Small Stones of Tu Fu", "Three Ways" (novelette), "Amen and Out", "A Spot of Konfrontation", "The Soft Predicament" (novelette), "Non-Isotropic", "One Blink of the Moon", "Space for Reflection", "Song of the Silencer", "Indifference" (novelette), "The Impossible Puppet Show" Foreign Bodies (1981), collection of 5 short stories and 1 novelette: "A Romance of the Equator", "Boat Animals", "Foreign Bodies", "Frontiers", "The Skeleton", "Just Back From Java" (novelette) Bestsellers Vol. 3 No. 9: Best of Aldiss (1983), collection of 10 short stories and 2 novelettes: "Oh, For a Closer Brush with God", "Appearance of Life", "The Small Stones of Tu Fu", "The Game with the Big Heavy Ball", "A Romance of the Equator", Enigma series, Three Revolutionary Enigmas (#1 "The Fall of Species B", #2 "In the Halls of the Hereafter", #3 "The Ancestral Home of Thought"), "The Blue Background", "A Private Whale" (novelette), "Consolations of Age", "The Girl Who Sang" (novelette) Seasons in Flight (1984, Jonathan Cape), (1986, Atheneum), (1986, Grafton), (1988, Ace), collection of 8 short stories (10 in 1986) and 1 novelette: "The Gods in Flight", "A Romance of the Equator", "The Blue Background", "The Girl Who Sang" (novelette), "Igur and the Mountain", "The O in José", "The Other Side of the Lake", "The Plain, the Endless Plain", "Incident in a Far Country" Added in 1986: "Consolations of Age", "Juniper" Science Fiction Blues Programme Book (1987), collection of 3 short stories and 2 poems: "Traveller, Traveller, Seek Your Wife in the Forests of This Life", "The Ascent of Humbelstein", "At the Caligula Hotel" (poem), "Rhine Locks are Closed in Battle Against Poison" (poem), "Those Shouting Nights" The Magic of the Past (1987), collection of 2 short stories: "North Scarning", "The Magic of the Past" Best SF Stories of Brian W. Aldiss (1988), collection of 18 short stories and 3 novellas/novelettes: "Outside", "All the World's Tears", "Poor Little Warrior!", "Who Can Replace a Man?", "Man on Bridge", "The Girl and the Robot with Flowers", "The Saliva Tree" (novella), "Man in His Time", "Heresies of the Huge God", "Confluence", "Working in the Spaceship Yards", The Supertoys Trilogy (#1 "Super-Toys Last All Summer Long"), "Sober Noises of Morning in a Marginal Land" (novelette), "The Dark Soul of the Night", "Appearance of Life", "Last Orders", "Door Slams in Fourth World", "The Gods in Flight", "My Country 'Tis Not Only of Thee" (novelette), "Infestation", "The Difficulties Involved in Photographing Nix Olympica" Best SF Stories (1988), collection of 18 short stories and 3 novellas/novelettes: "Outside", "The Failed Men", "Poor Little Warrior!", "Who Can Replace a Man?", "Man on Bridge", "Girl and Robot with Flowers", "The Saliva Tree" (novella), "Man in His Time", "Heresies of the Huge God", "Confluence", "Working in the Spaceship Yards", The Supertoys Trilogy (#1 "Super-Toys Last All Summer Long"), "Sober Noises of Morning in a Marginal Land" (novelette), "The Dark Soul of the Night", "Appearance of Life", "Last Orders", "Door Slams in Fourth World", "The Gods in Flight", "My Country 'Tis Not Only of Thee" (novelette), "Infestation", "The Difficulties Involved in Photographing Nix Olympica" Man in His Time: The Best Science Fiction Stories of Brian W. Aldiss (1988, Atheneum) , (1990, Collier), collection of 19 short stories and 3 novellas/novelettes: "Outside", "The Failed Men", "All the World's Tears", "Poor Little Warrior!", "Who Can Replace a Man?", "Man on Bridge", "The Girl and the Robot with Flowers", "The Saliva Tree" (novella), "Man in His Time", "Heresies of the Huge God", "Confluence", "Working in the Spaceship Yards", The Supertoys Trilogy (#1 "Super-Toys Last All Summer Long"), "Sober Noises of Morning in a Marginal Land" (novelette), "The Dark Soul of the Night", "Appearance of Life", "Last Orders", "Door Slams in Fourth World", "The Gods in Flight", "My Country 'Tis Not Only of Thee" (novelette), "Infestation", "The Difficulties Involved in Photographing Nix Olympica" Science Fiction Blues (1988), collection of 3 short stories, 15 poems and 11 plays: "Science Fiction Blues (play)" (play), "Super-Toys Last All Summer Long (play)" (play), "The Death of Art? (play)" (play), "The Expensive Delicate Ship (play)" (play), "Don't Go To Jupiter" (poem), "Star-Time" (poem), "The Cat Improvement Company" (poem), "Progression of the Species" (poem), "Juniper (play)" (play), "Conversation on Progress (play)" (play), "Drinks with the Spider King (play)" (play), "Three Serials (play)" (play), "Last Orders (play)" (play), "Bill Carter Takes Over (play)" (play), "Talking Heads (play)" (play), "Traveller, Traveller, Seek Your Wife in the Forests of This Life", "The Ascent of Humbelstein", "Those Shouting Nights", "The Lying Truth" (poem), "Destruction of the Fifth Planet" (poem), "The Expanding Universe" (poem), "Bacterial Action" (poem), "To a Triceratops Skull in the British Museum" (poem), "Femalien" (poem), "Space Burial" (poem), "Taking Leave of a Northern Institution" (poem), "Thomas Hardy Considers the Newly-Published Special Theory of Relativity" (poem), "Parting Late in Life" (poem), "Happiness and Suffering" (poem) A romance of the Equator. Best Fantasy Stories (1989, Gollancz), (1990, Atheneum / Macmillan) , collection of 22 short stories and 4 novelettes: "Old Hundredth", "Day of the Doomed King", "The Source", "The Village Swindler", "The Worm That Flies", "The Moment of Eclips", "So Far from Prague", "The Day We Embarked for Cythera", "Castle Scene with Penitents", "The Game with the Big Heavy Ball", "Creatures of Apogee", "The Small Stones of Tu Fu", "Just Back From Java" (novelette), "A Romance of the Equator", "Journey to the Goat Star" (novelette), "The Girl Who Sang" (novelette), "Consolations of Age", "The Blue Background", "The Plain, the Endless Plain", "You Never Asked My Name", "Lies!" (novelette), "North Scarning", "The Big Question", "The Ascent of Humbelstein", "How an Inner Door Opened to My Heart", "Bill Carter Takes Over" Bodily Functions (1991), collection of 2 short stories, 2 novelettes, 2 poems and 1 essay: "To Sam" (poem), "Three Degrees Over" (novelette), "A Tupolev Too Far" (novelette), "Going for a Pee", "Better Morphosis", "Letter on the subject of Bowel Movement" (essay), "Envoi" (poem) A Tupolev Too Far and Other Stories (1993, HarperCollins UK), (1994, St. Martin's), collection of 6 short stories, 5 novelettes and 2 poems: "Short Stories" (poem), "A Tupolev Too Far" (novelette), "Ratbird", "FOAM" (novelette), "Summertime Was Nearly Over", "Better Morphosis", "Three Degrees Over" (novelette), "A Life of Matter and Death" (novelette), "A Day in the Life of a Galactic Empire", "Confluence", "Confluence Revisited", "North of the Abyss" (novelette), "Alphabet of Ameliorating Hope" (poem) The Secret of This Book (1995, HarperCollins UK), US title Common Clay: 20-Odd Stories (1996, St. Martin's), collection of 20 short stories and 3 novelettes: "Common Clay", "The Mistakes, Miseries and Misfortunes of Mankind", "How the Gates Opened and Closed", "Headless", "Travelling Towards Humbris", "If Hamlet's Uncle Had Been a Nicer Guy", "Else the Isle with Calibans", "A Swedish Birthday Present", Enigma series, Three Moon Enigmas (#1 "His Seventieth Heaven", #2 "Rose in the Evening", #3 "On the Inland Sea"), "A Dream of Antigone", "The God Who Slept With Women" (novelette), "Evans in His Moment of Glory", "Horse Meat" (novelette), "An Unwritten Love Note", "Making My Father Read Revered Writings", "Sitting With Sick Wasps", "Becoming the Full Butterfly" (novelette), "Traveller, Traveller, Seek Your Wife in the Forests of This Life", Enigma series, Her Toes Were Beautiful on the [Hilltops|Mountains] (#1 "Another Way Than Death", #2 "That Particular Green of Obsequies"), Enigma series, Three Revolutionary Enigmas (#3 "The Ancestral Home of Thought") Supertoys Last All Summer Long and Other Stories of Future Time (2001, Orbit), (2001, St. Martin's), collection of 18 short stories and 1 novelette: The Supertoys Trilogy (#1 "Supertoys Last All Summer Long", #2 "Supertoys When Winter Comes", #3 "Supertoys in Other Seasons"), "Apogee Again", "III", "The Old Mythyology", "Headless", "Beef", "Nothing in Life Is Ever Enough", "A Matter of Mathematics", "The Pause Button", "Three Types of Solitude", "Steppenpferd", "Cognitive Ability and the Light Bulb", "Dark Society", "Galaxy Zee", "Marvells of Utopia", "Becoming the Full Butterfly" (novelette), "A Whiter Mars: A Socratic Dialogue of Times to Come" Cultural Breaks (2005, Tachyon Publications), collection of 9 short stories and 3 novellas/novelettes: "Tarzan of the Alps", "Tralee of Man Young", "The Eye Opener", "Aboard the Beatitude" (novelette), "The Man and a Man with His Mule", "Dusk Flight", "Commander Calex Killed, Fire and Fury at the Edge of World, Scones Perfect", "The Hibernators", "The National Heritage", "How the Gates Opened and Closed", "Total Environment" (novelette), "A Chinese Perspective" (novella) A Prehistory of Mind (2008, Mayapple Press), collection of 55 poems in three sections: Far Away: "The Deceptive Truth", "Flight 063", "Breugel's Hunters in the Snow", "Tien Shan", "The Kremlin, Moscow, ca. 1950", "Of All the Places", "The Moment", "Winter", "Journeying", "Rapide des morts", "The Cynar, Istanbul", "Exmoor in September", "On Passing a Roadside Auction of Featherbeds", "April in East Coker", "Gaughin's Tahiti", "Monemvasia" Affection: "The Heavy Cup", "Spinal Metaphors", "Comfort Me, Sweetheart", "Get Out of My Life", "Being a Little Well", "This Brown Leaf", "Leaving Our Common Bed", "Rest Your Weary Head Upon Your Pillow", "The Empty Boxes", "Greed", "The First of March 1998", "Margaret's Questions", "Song: In Bed She Like a Lily Lay", "Jocasta", "Lu Tai", "Rondeau After Leigh Hunt", "A Piece of Cleopatra", "Aral Seasons", "At the Caligula Hotel" Observation: "The Prehistory of the Mind", "Volcano", "Perspectives", "The Cat Improvement Company", "Winter Bites Deep", "The Bonfire of Time", "Iceberg Music", "The Bellowings", "Jackie", "The Bare Facts", "Nocturne", "An Interval", "Fairy Tales", "The Foot Speaks", "The Women", "Bosom Friends", "Colour Contrasts", "Uzbecks in London", "Antigone's Song", "A. E. van Vogt" 1 short story: "Mortistan" The Invention of Happiness (2013), collection of 33 short stories: "The Invention of Happiness", "Beyond Plato's Cave", "Old Mother", "Belief", "After the Party", "Our Moment of Appearance", "The Bone Show", "The Great Plains", "What Befell the Tadpole", "The Sand Castle", "The Village of Stillthorpe", "Peace and War", "The Vintage Cottage", "Moderns on Ancient Ancestors", "The Hungers of an Old Language", "How High is a Cathedral?", "A Middle Class Dinner", "Flying Singapore Airlines", "The Apology", "Camões", "The Question of Atmosphere", "Illusions of Reality", "Lady with Apple Trees", "Flying and Bombing", "Molly Smiles Forever", "Days Gone By", "The Last of the Hound-Folk", "Munch", "The Music of Sound", "The Silent Cosmos", "Writings on the Rock", "The Light Really", "The Mistake They Made" The Brian Aldiss Collection: The Complete Short Stories: The 1950s (2013), collection of 57 short stories and 8 novellas/novelettes: "A Book in Time", "Criminal Record", "Breathing Space", "The Great Time Hiccup", "Not for an Age", "Our Kind of Knowledge", "Outside", "Panel Game", "Pogsmith", "Conviction", "Dumb Show", "The Failed Men", "Non-Stop" (novelette), "Psyclops", "T", "There Is a Tide", "Tradesman's Exit", "With Esmond in Mind", "The Flowers of the Forest", "Gesture of Farewell" (novelette), "The Ice Mass Cometh", "Let's Be Frank", "No Gimmick", "The War Millennia", "Out of Reach", "The Sterile Millennia", "All the World's Tears", "The Dark Millennia", "O Ishrail!", "The Ultimate Millennia", "Visiting Amoeba" (novelette), "The Shubshub Race", "Supercity", "Judas Danced", "Ten-Storey Jigsaw", "The Pit My Parish" (novelette), "Blighted Profile", "Who Can Replace a Man?", "The Carp That Once ...", "Carrion Country", "Equator" (novella), "Fourth Factor" (novelette), "The Megalopolis Millennia", "Secret of a Mighty City", "The Star Millennia", "Incentive", "The Mutant Millennia", "Gene-Hive", "The New Father Christmas", "Ninian's Experiences", "Poor Little Warrior!", "Sector Diamond", "Sight of a Silhouette", "They Shall Inherit", "Are You an Android?", "The Arm", "The Bomb-Proof Bomb", "Fortune's Fool", "Intangibles, Inc." (novelette), "Sector Yellow", "The Lieutenant", "The Other One" (novelette), "Safety Valve", "The Towers of San Ampa", "Three's a Cloud" The Complete Short Stories: The 1960s (Part 1) (2015), collection of 11 short stories and 6 novellas/novelettes: "Faceless Card", "Neanderthal Planet" (novelette), "Old Hundredth", "Original Sinner", "Sector Grey", "Stage-Struck!", "Under an English Heaven", "Hen's Eyes", "Sector Azure" (novelette), "A Pleasure Shared", "Basis for Negotiation" (novelette), "Conversation Piece", "Danger: Religion!" (novella), "The Green Leaves of Space", "Sector Green", "Sector Vermilion" (novelette), "Tyrants' Territory" (novelette) The Complete Short Stories: The 1960s (Part 2) (2015), collection of 10 short stories and 6 novellas/novelettes: "Comic Inferno" (novelette), "The Impossible Star" (novelette), "In the Arena", "The International Smile", "Sector Violet", "Skeleton Crew" (novella), "The Thing Under the Glacier", "Counter-Feat", "Jungle Substitute" (novelette), "Lazarus", "Man on Bridge", "Never Let Go of My Hand!", "No Moon To-night!" (novelette), "One-Way Strait", "Pink Plastic Gods", "Unauthorised Persons" (novelette) The Complete Short Stories: The 1960s (Part 3) (2015), collection of 18 short stories, 3 novellas/novelettes and 1 essay: "The Day of the Doomed King", "The Girl and the Robot with Flowers", "How are they All on Deneb IV?" (essay), "The Impossible Smile" (novelette), "Man in His Time", "Old Time's Sake", "The Saliva Tree" (novella), "Scarfe's World", "The Small Betraying Detail", "The Source", "Amen and Out", "Another Little Boy", "Burning Question", Clement Yale series (#1 "The Circulation of the Blood" (novelette)), "The Eyes of the Blind King", "Heresies of the Huge God", "Lambeth Blossom", "The Lonely Habit", "The O in José", "One Role with Relish", "Paternal Care", "The Plot Sickens" The Complete Short Stories: The 1960s (Part 4) (2015), collection of 28 short stories, 7 novellas/novelettes and 1 essay: "A Difficult Age", "A Taste for Dostoevsky", "Auto-Ancestral Fracture" (novelette), "Confluence", "The Dead Immortal", "Down the Up Escalation", "Full Sun", "Just Passing Through", "Multi-Value Motorway", "The Night That All Time Broke Out", "Randy's Syndrome" (novelette), "Still Trajectories", "Two Modern Myths: Reflection on Mars and Ultimate Construction", "Wonder Weapon", Clement Yale series (#2 "...And the Stagnation of the Heart"), "Drake-Man Route", "Dreamer, Schemer", "Dream of Distance" (essay), "Send Her Victorious" (novelette), "The Serpent of Kundalini", "The Tell-Tale Heart-Machine", "Total Environment" (novelette), "The Village Swindler", "When I Was Very Jung", "The Worm That Flies", Jerry Cornelius series ("The Firmament Theorem"), "Greeks Bringing Knee-High Gifts", "The Humming Heads", "The Moment of Eclipse", "Ouspenski's Astrabahn" (novelette), "Since the Assassination" (novella), "So Far from Prague", "The Soft Predicament" (novelette), The Supertoys Trilogy (#1 "Supertoys Last All Summer Long"), "That Uncomfortable Pause Between Life and Art", "Working in the Spaceship Yards" The Complete Short Stories: The 1970s (Part 1) (2016) The Complete Short Stories: The 1970s (Part 2) (2016) The Complete Short Stories: The 1980s (Part 1) (2016) The Complete Short Stories: The 1980s (Part 2) (2016) The Complete Short Stories: The 1990s (2016) Uncollected short stories: "Index to Life" (1954) "Ultimate Construction" (1967), as C. C. Shackleton "The Hunter at His Ease" (1970) "The Secret of Holman Hunt and the Crude Death Rate" (1970) "The Weather on Demansky Island" (1970) "The Day Equality Broke Out" (1971) "Manuscript Found in a Police State" (1972) "The Ergot Show" (1972) "Strange in a Familiar Way" (1973) "The Planet at the Bottom of the Garden" (1973) "Serpent Burning on an Altar" (1973) "The Young Soldier's Horoscope" (1973) "Woman in Sunlight with Mandolin" (1973) Enigma series: Three Enigmas I: "The Enigma of Her Voyage" (1973) "I Ching, Who You?" (1973) "The Great Chain of Being What?" (1973) Three Enigmas II: The Eternal Theme Of Exile: "The Eternal Theme of Exile" (1973) "All Those Enduring Old Charms" (1973) "Nobody Spoke Or Waved Goodbye" (1973) Three Enigmas III: All in God's Mind: "The Unbearableness of Other Lives" (1974) "The Old Fleeing and Fleeting Images" (1974) "Looking on the Sunny Side of an Eclipse" (1974) Diagrams For Three (Enigmatic) Stories: "The Girl in the Tau-Dream" (1974) "The Immobility Crew" (1974) "A Cultural Side-Effect" (1974) Three Songs for Enigmatic Lovers: "A One-Man Expedition Through Life" (1974) "The Taste of Shrapnel" (1974) "40 Million Miles from the Nearest Blonde" (1974) Three Enigmas IV: Three Coins in [Enigmatic|Clockwork] Fountain: "Carefully Observed Women" (1975) "The Daffodil Returns the Smile" (1975) "The Year of the Quiet Computer" (1975) Three Deadly Enigmas: V: Year by Year the Evil Gains: "Within the Black Circle" (1975) "Killing Off the Big Animals" (1975) "What Are You Doing? Why Are You Doing It?" (1975) The Aperture Moment: "Waiting for the Universe to Begin" (1975) "But Without Orifices" (1975) "Aimez-Vous Holman Hunt?" (1975) Three Revolutionary Enigmas: "The Fall of Species B" (1980) "In the Halls of the Hereafter" (1980) "The Ancestral Home of Thought" (1980) Her Toes Were Beautiful on the [Hilltops|Mountains]: "Another Way Than Death" (1992) "That Particular Green of Obsequies" (1992) Three Moon Enigmas: "His Seventieth Heaven" (1995) "Rose in the Evening" (1995) "On the Inland Sea" (1995) "I dreamed I was Jung last night" (1974) "Melancholia has a Plastic Core" (1974) "Always Somebody There" (1975) "Excommunication" (1975) "How Did the Dinosaurs Do It?" (1976) "In the Mist of Life" (1977) "The Bang-Bang" (1977), novelette "My Lady of the Psychiatric Sorrows" (1977) "Yin, Yang and Jung: Three Galactic Enigmas" (1978) "Modernisation" (1980) "End Game" (1981) "Call Yourself a Christian" (1982) "How the Boy Icarus Grew Up and, After a Legendary Disaster, Learnt New Things About Himself and the External World, Until He Was Able to Comprehend the Magic That Had Been His in His Earliest Years /or/ Second Flight" (1982) "Parasites of Passion" (1982) "The Captain's Analysis" (1982) "An Admirer of Einstein" (1983) "The Immortal Storm Strikes Again" (1983) "Another Story on the Theme of the Last Man on Earth" (1985) "Domestic Catastrophe" (1985) "Operation Other Cheek" (1985) "Possessed by Love" (1985) "Silence After the Silence" (1985) "The Greatest Saga of All Time" (1985), as C. C. Shackleton "The Monster of Loch Awe" (1985) "The Fatal Break" (1987) "The Hero" (1987) "The Merdeka Hotel" (1987) "The Price of Cabbages" (1987) "Thursday" (1987) "Tourney" (1987) "Conversation on Progress" (1988) "Hess" (1988) "Sex and the Black Machine" (1988) "Wordsworth Halucinates" (1988) "The Day the Earth Caught Fire" (1989) "Adventures in the Fur Trade" (1990) "People—Alone—Injury—Artwork" (1991) "Kindred Blood in Kensington Gore" (1992) "Softly - As in an Evening Sunrise" (1992) "English Garden" (1993) "Friendship Bridge" (1993), novelette "The Servant Problem" (1994) "The Monster of Everyday Life" (1994) "The Madonna of Futurity" (1994), novella "Into the Tunnel!" (1995) "Compulsory Holidays For All" (1995) "The Law Against Trivia" (1996) "The Enigma of the Three Moons" (1997) "Death, Shit, Love, Transfiguration" (1997) "An Apollo Asteroid" (1999) "The Rain Will Stop" (2000, The Pretentious Press), written in 1942 "A Single-Minded Artist" (2001) "Happiness in Reverse" (2001) "Talking Cubes" (2001) Supertoys series: "Supertoys: Play Can Be So Deadly" (2001) "Supertoys: What Fun to Be Reborn" (2001) "A New (governmental) Father Christmas", or "A New (governmental) Father Christmas: A Moral Tale for All in Headington" (2002) "Near Earth Object" (2002) "Ten Billion of Them" (2005) "Pipeline" (2005), novelette "Building Sixteen" (2006) "Tiger in the Night" (2006) "Safe!" (2006) "Life, Learning, Leipzig and a Librarian" (2007) "Four Ladies of the Apocalypse" (2007) "Peculiar Bone, Unimaginable Key" (2008) "Fandom at the Palace" (2008) "The First-Born" (2010) "Hapless Humanity" (2010) Doctor Who series: "Umwelts for Hire" (2010), Doctor Who Brilliant Book 2011 (2010, BBC Books, ) "Benkoelen" (2011) "Less Than Kin, More Than Kind" (2011) "The Mighty Mi Tok of Beijing" (2013) "Abundances Above" (2016) Poems Collections: Farewell to a Child (1982), collection of 10 poems: "Found", "Lost", "The Commitment", "When We Were Four", "With Vacant Possession", "The Child Departs: a dialogue", "The Eternal Child", "The Frozen Boy", "The Haunting", "The Malediction" Home Life With Cats (1992), collection of 34 poems: "Out of the Night", "The Cats' Heaven", "Kittens (Two)", "Slaves", "Where Have You Been?", "Yum-Yum", "Heatwave", "Cats' Nerves", "Foxie", "Jackson", "Town-Life", "Nickie", "The Two-Kitten Problem", "Macramé's Lament", "Travelling Cats", "The Cat Improvement Company", "On a Favourite Goldfish Drowned in a Bowl of Cats", "Portrait of a Cat with Lady", "An Evening at Home", "Tatty's Tie-Shop", "Snacks", "Who Owns the House?", "A Riddle", "How I Swam Out to Sea with My Cat", "A Lion for Tea", "The Cat in the Cathedral", "The Poor Man's Cat", "Mutual Regard", "First Birthday", "Rules", "Relating to the Pet", "The Cat Speaks", "Michael, the Cycling Cat", "The Lost Grave" At the Caligula Hotel and Other Poems (1995), collection of 74 poems, grouped in four sections: I. Imagery?: "At the Caligula Hotel", Chinese Exercises ("Lu Tai", "Nocturne", "Interval", "Indecision", "Journeying", "Poems from a Later Dynasty III: Who Hears My Voice?"), "Exit Aquascutum", "While Feeding Parrots", "Winter Bites Deep", "Breughel's Hunters in the Snow", "Anau: The Well", "The Cynar, Istanbul", "Dawn in Kuala Lumpur", "Gauguin's Tahiti" II. Everyday?: "No, I was Never Deaf or Blind to Her Music", "Toledo: Three Ladies", "Government", "Moonglow: for Margaret", "Alfie Cogitates on Life", "Memories of Palic", "Boars Hill: the Sycamores and the Oaks", "All Things Transfigure", "Trapped in the Present", "The Path", "Suburban Sunday", "Nature Notes: Early September", "Willow Cottage", "Cold Snap", "Stoney Ground", "The Triumph of the Superficial", "The Twentieth Camp", "Good Fortune", "Communication", "A Summery Meditation on Money", "A Moment of Suspense", "Fragment of a Longer Poem" III. Literary?: "Short Stories", "What Did the Policeman Say?", "Hamlet Folk", "The Poor", "On Reading Poetry in Berkhamsted", "Poem Inspired by Scott Meredith", Two Painters ("I: Francis Bacon", "II: Fernand Khnopff"), "Light of Ancient Days", "Mary Shelley, 1916", "Victor Frankenstein on the Mer de Glace", "The Shelleys - To a Lady who spoke of their 'Mystery", "The Created One Speaks", "Mary in Italy", "Looking It Up", "Rice Pudding", "Writer's Life" IV. Scientific?: "Greenhouse Sex", "Lunar Anatomy", "Monemvasia", "Found", "Destruction of the Fifth Planet", "Femalien", "Thomas Hardy Considers the Newly-Published Special Theory of Relativity", "Rhine Locks are Closed in Battle Against Poison", "The Cat Improvement Company", "The Expanding Universe", "To a Triceratops Skull in the British Museum", "The Light", "Flight 063", Precarious Passions ("I: A Brain Pursues its Vanished Dream", "II: A Woman Marries the Southern Ocean", "III: Ascension Island Courts a Whale", "IV: A Refrigerator Proposes to a Musk Ox", "V: A Book Falls in Love with its Reader", "VI: A Lamp Standard Courts the Stars"), "Alphabet of Ameliorating Hope" Songs from the Steppes of Central Asia: The Collected Poems of Makhtumkuli: Eighteenth Century Poet-Hero of Turkmenistan (1995) A Plutonian Monologue on His Wife's Death (2000, The Frogmore Papers), collection of 7 poems At a Bigger House (2002), collection of 48 poems: "Hazards of the Trail", "Perspectives", "Presentiments of Dawn", "Now Showing: 'Killing Father", "The World of Lost Content", "Flight 063", "Railway Engine Pulling Slowly", "The Deceptive Truth", "Colour Contrasts", "Fairy Tales", "The Women", "They Who Waited", "The Bonfire of Time", "The Foot Speaks", "The Ghost Koi", "Rapide des Morts", "The Teeth of Time", "Elizabeth Jennings (Died October 2001)", "War and Peace': A Song for Mathilde Mauguiere", "Her Beautiful Thing", "The Hunters in the Snow", "Aral Seasons", "Uzbecks in London", "Poem from Life in the West", "Many Mansions", "The Horse Unburied", "The Red Pavilion", "Blythborough Church, A Hardyesque Dialogue", "Insomnia", "Awake at Three A.M.", "The Start of Something", "Retrospection: At the Temple of Aphaia, on the Island of Aegina, Greece", "Hors d'Oeuvres for my Lady", "The Barney", "Dawn in KL", "A Funeral Service: Kingsley Amis, 31st October 1995", "On Passing a Roadside Auction of Featherbeds, Lake District, 1845", "City Scene", "The Prehistory of the Mind", "April in East Coker", "Seeking Love", "The New Wing", "Xenophilia", "Name-Dripping", "Dora/Dinah", "Volcano", "Monemvasia", "The Moment" The Dark Sun Rises (2002), collection of 50 poems: "The Dark Sun Rises", "Venice and Istanbul", "Perspectives", "Monemvasia", "The Deceptive Truth", "The Moment", "On Passing a Roadside Auction of Featherbeds, | and all three were eventually published together as The Penguin Science Fiction Omnibus (1973), which also went into a number of reprints. In the 1970s, he produced several large collections of classic grand-scale science fiction, under the titles Space Opera (1974), Space Odysseys (1975), Galactic Empires (1976), Evil Earths (1976), and Perilous Planets (1978). Around this time, he edited a large-format volume Science Fiction Art (1975), with selections of artwork from the magazines and pulps. In response to the results from the planetary probes of the 1960s and 1970s, which showed that Venus was completely unlike the hot, tropical jungle usually depicted in science fiction, Aldiss and Harrison edited an anthology Farewell, Fantastic Venus!, reprinting stories based on the pre-probe ideas of Venus. He also edited, with Harrison, a series of anthologies The Year's Best Science Fiction (Nos. 1–9, 1968–1976). Aldiss invented a form of extremely short story called the mini-saga. The Daily Telegraph hosted a competition for the best mini-saga for several years, and Aldiss was the judge. He edited several anthologies of the best mini-sagas. Aldiss travelled to Yugoslavia, where he met fans in Ljubljana, Slovenia and published a travel book about Yugoslavia entitled Cities and Stones (1966), his only work in the genre. He published an alternative-history fantasy story, "The Day of the Doomed King" (1968), about Serbian kings in the Middle Ages, and wrote a novel called The Malacia Tapestry, about an alternative Dalmatia. Art In addition to a highly successful career as a writer, Aldiss was an accomplished artist. His first solo exhibition, The Other Hemisphere, was held in Oxford, August–September 2010, and the exhibition's centrepiece Metropolis (see figure) has since been released as a limited edition fine art print. (The exhibition title denotes the writer/artist's notion, "words streaming from one side of his brain inspiring images in what he calls 'the other hemisphere'".) Personal life In 1948, Aldiss married Olive Fortescue, secretary to the owner of Sanders' bookseller's in Oxford, where he had worked since 1947. He had two children from his first marriage: Clive in 1955 and Caroline Wendy in 1959, but the marriage "finally collapsed" in 1959 and dissolved in 1965. In 1965, he married his second wife, Margaret Christie Manson (daughter of John Alexander Christie Manson, an aeronautical engineer), a Scottish woman and secretary to the editor of the Oxford Mail; Aldiss was 40, and she 31. They lived in Oxford and had two children together, Tim and Charlotte. She died in 1997. Death Aldiss died on 19 August 2017, the day after his 92nd birthday. Awards and honours He was elected a Fellow of the Royal Society of Literature in 1990. Aldiss was the "Permanent Special Guest" at the annual International Conference on the Fantastic in the Arts (ICFA) from 1989 through 2008. He was also the Guest of Honor at the conventions in 1986 and 1999. The Science Fiction Writers of America made him its 18th SFWA Grand Master in 2000 and the Science Fiction and Fantasy Hall of Fame inducted him in 2004. He was awarded the title of Officer of the Order of the British Empire (OBE) for services to literature in the 2005 Birthday Honours list. In January 2007 he appeared on Desert Island Discs. His choice of record to 'save' was "Old Rivers" sung by Walter Brennan, his choice of book was John Heilpern's biography of John Osborne, and his luxury a banjo. The full selection of eight favourite records is on the BBC website. On 1 July 2008 he was awarded an honorary doctorate by the University of Liverpool in recognition of his contribution to literature. The Brian W Aldiss Archive at the university holds manuscripts from the period 1943–1995. In 2013, Aldiss was recipient of the World Fantasy Convention Award at the World Fantasy Convention in Brighton, England. Aldiss sat on the Council of the Society of Authors. He won two Hugo awards: in 1962 for the Hothouse series; and in 1987 for Trillion Year Spree. Aldiss also won a Nebula award in 1965 for "The Saliva Tree". Works Aldiss was the author of over 80 books and 300 short stories, as well as several volumes of poetry. Novels The Brightfount Diaries (1955, Faber) Non-Stop (1958, Faber), (1959, Digit), (1976, Pan), (2000, Millennium), US title Starship (1960, Signet S1779), (1969, Avon V2321) A member of a culturally primordial tribe investigates the dark, jungle filled corridors that surround him to ultimately uncover the true nature of the universe he inhabits. The Interpreter (1960, Digit R506), (1967, Four Square 1970), US title Bow Down to Nul Ace D-443 A short novel about the huge, old galactic empire of Nuls, a giant, three-limbed, civilised alien race. Earth is just a lesser-than-third-class colony ruled by a Nul tyrant whose deceiving devices together with good willing but ineffective attempts of a Nul Signatory (roughly equivalent to Prime Minister) to clarify the abuses and with the disorganised earthling resistance reflect the complex relationship existing between imperialists and subject races which Aldiss himself had the chance of seeing at first hand when serving in India and Indonesia in the forties. The Male Response (1959, Beacon 45), (1961, Four Square 1623) The Primal Urge (1961, Ballantine F555), (1967, Sphere), (1976, Panther) Hothouse (1962, Faber), (1965, Four Square 1147), (1979, Panther), published in abridged form in the American market as The Long Afternoon of Earth (1962, Signet D2018). A fix-up novel based on short stories "Hothouse", "Nomansland", "Undergrowth", "Timberline" and "Evergreen". This assemblage of stories won the Hugo Award for short fiction in 1962. Set in a far future Earth, where the earth has stopped rotating, the Sun has increased output, and plants are engaged in a constant frenzy of growth and decay, like a tropical forest enhanced a thousandfold; a few small groups of elvish humans still live on the edge of extinction, beneath the giant banyan tree that covers the day side of the earth. Greybeard (1964, Harcourt, Brace & World), (1964, Faber), (1965, Signet P2689), (1968, Panther) Set decades after the Earth's population has been sterilised as a result of nuclear bomb tests conducted in Earth's orbit, the book shows an emptying world, occupied by an aging, childless population. The Dark Light Years (1964, Signet D2497), (1964, Faber), (1966, Four Square 1437), (1979, Panther) The encounter of humans with the utods, gentle aliens whose physical and mental health requires wallowing in mud and filth, and who - through they achieved interstellar space flight - are not even recognized as intelligent by the humans. The critic Fredric Jameson described The Dark Light Years as, along with Ursula K. Le Guin's The Word for World Is Forest, "one of the major SF denunciations of the American genocide in Vietnam." Earthworks (1965, Faber), (1966, Doubleday), (1967, Four Square), (1967, Signet P3116), (1979, Panther), (1980, Avon) An Age (1967, Faber), (1969, Sphere), (1979, Panther), US title Cryptozoic! (1969, Avon), (1978, Panther), a dystopic time-travel novel Report on Probability A (serialized 1967), (1968, Faber), (1969, Sphere). (1969, Doubleday), (1970, Lancer), (1980, Avon) Barefoot in the Head (1969, Faber), (1970, Doubleday), (1972, Ace), (1974, Corgi), (1981, AVON), (1990, Gollancz VGSF Classics), a fix-up novel based on short stories: "Just Passing Through", "Multi-Value Motorway", "Still Trajectories", "The Serpent of Kundalini", "Drake-Man Route", and novelettes: "Auto-Ancestral Fracture", "Ouspenski's Astrabahn" Perhaps Aldiss's most experimental work, this first appeared in several parts as the Acid Head War series in New Worlds. Set in a Europe some years after a flare-up in the Middle East led to Europe being attacked with bombs releasing huge quantities of long-lived hallucinogenic drugs. Into an England with a population barely maintaining a grip on reality comes a young Serb, who himself starts coming under the influence of the ambient aerosols, and finds himself leading a messianic crusade. The narration and dialogue reflects the shattering of language under the influence of the drugs, in mutating phrases and puns and allusions, in a deliberate echo of Finnegans Wake. Horatio Stubbs series: The Hand-Reared Boy (1970, Weidenfeld & Nicolson), (1971, Signet T4575), (1971, Corgi) A Soldier Erect (1971, Weidenfeld & Nicolson), (1972, Corgi) A Rude Awakening (1978, Weidenfeld & Nicolson), (1979, Corgi) Omnibus edition, The Horatio Stubbs Saga (1985, Panther) Frankenstein Unbound (1973, Jonathan Cape), (1974, Random House), (1975, Fawcett Crest), (1975, Pan) A 21st century politician is transported to 19th century Switzerland where he encounters Victor Frankenstein, the Frankenstein Monster, and Mary Shelley. The Eighty Minute Hour, or The 80 minute Hour (1974, Jonathan Cape), (1974, Doubleday), (1975, Leisure), (1975, Pan) A weird and ambitious "space opera" whose characters actually sing. The world is in chaos after nuclear war causes time slips and even those that believe they rule the world have trouble knowing where and when they are. The Malacia Tapestry (1976, Jonathan Cape), (1977, Harper & Row), (1978, Panther), (1978, Ace), (1985, Berkley) A picaresque novel with fantasy elements, set in a city not unlike Venice. However, it is a Venice without Christianity or monotheism, existing within an alternate version of Renaissance or Early Baroque Italy. Brothers of the Head (1977, Pierrot), (1979, Panther) A large-format book, illustrated by Ian Pollock, tells the strange story of the rock stars Tom and Barry Howe, Siamese twins with a third, dormant head that eventually starts to awaken. Enemies of the System (1978, Jonathan Cape), (1978, Harper & Row), (1980, Panther), (1981, Avon) Moreau's Other Island (1980, Jonathan Cape), (1982, Panther), or An Island Called Moreau (1981, Simon & Schuster), (1981, Timescape) Squire Quartet series: Life in the West (1980, Weidenfeld & Nicolson), (1982, Corgi) Forgotten Life (1988, Gollancz), (1989, Atheneum / Macmillan), (1989, Mandarin) Remembrance Day (1993, HarperCollins UK), (1993, St. Martin's Press), (1994, Flamingo) Somewhere East of Life (1994, Carroll & Graf), (1994, Flamingo) Helliconia Trilogy Helliconia Spring (1982, Atheneum), (1982, Jonathan Cape), (1983, Berkley), (1983, Granada) BSFA Award; Campbell Memorial Award; Nebula Award finalist Helliconia Summer (1983, Atheneum), (1983, Jonathan Cape), (1984, Berkley), (1985, Granada) BSFA finalist; Locus Award, fourth place Helliconia Winter (1985, Atheneum), (1985, Jonathan Cape), (1986, Berkley), (1986, Granada) BSFA; Nebula finalist; Locus, fifth place Omnibus edition, Helliconia (2010, Gollancz SF Masterworks) Ruins (1987), novella The Year Before Yesterday, or Cracken at Critical (1987, Franklin Watts), (1987, Kerosina), (1988, St. Martin's), (1989, New English Library), a fix-up novel based on novelette "Equator" and novella "The Impossible Smile" Dracula Unbound (1990, HarperCollins), (1991, Graftton) White Mars or, the Mind Set Free Little (1999, Little, Brown UK), (2000, St. Martin's), with Roger Penrose Super-State (2002, Orbit) The Cretan Teat (2002) Affairs at Hampden Ferrers (2004) Sanity and the Lady (2005, PS Publishing) Jocasta (2006, Rose Press) A re-telling of Sophocles's Theban tragedies concerning Oedipus and Antigone. In Aldiss's novel, myth and magic are vibrantly real, experienced through an evolving human consciousness. Amidst various competing interpretations of reality, including the appearance of a time-travelling Sophocles, Aldiss provides an alternative explanation of the Sphinx's riddle. HARM (2007, del Rey), (2007, Duckworth) Campbell Award nominee Walcot (2010, Goldmark) Family saga spanning the 20th century Finches of Mars (2012) Comfort Zone (2013) Short stories Collections: Space, Time and Nathaniel (1957, Faber), (1966, Four Square 1496), (1979, Panther), collection of 14 short stories: "T", "Our Kind of Knowledge", "Psyclops", "Conviction", "Not for an Age", "The Shubshub Race", "Criminal Record", "The Failed Men", "Supercity", "There Is a Tide", "Pogsmith", "Outside", "Panel Game", "Dumb Show" The Canopy of Time (1959, Faber), (1963, Four Square 821), collection of 10 short stories and 1 novelette: "Three's a Cloud", "All the World's Tears", "Who Can Replace a Man?", "Blighted Profile", "Judas Danced", "O, Ishrail!", "Incentive", "Gene-Hive", "Secret of a Mighty City", "They Shall Inherit", "Visiting Amoeba" (novelette) The US title Galaxies Like Grains of Sand (1960, Signet S1815), (1979 Panther), was a different version, which Aldiss preferred. No Time Like Tomorrow (1959, Signet S1683), collection of 11 short stories and 1 novelette: "T", "Not for an Age", "Poor Little Warrior!", "The Failed Men", "Carrion Country", "Judas Danced", "Psyclops", "Outside", "Gesture of Farewell" (novelette), "The New Father Christmas", "Blighted Profile", "Our Kind of Knowledge" Equator, or Equator and Segregation (1963), collection of 2 novellas/novelettes: "Equator" (novella), "Segregation, AKA The Game of God" (novelette) The Airs of Earth (1963, Faber), (1965, Four Square 1325), collection of 4 short stories and 4 novelettes: "A Kind of Artistry" (novelette), "How to Be a Soldier", "Basis for Negotiation" (novelette), "Shards", "O Moon of My Delight!" (novelette), "The International Smile", "The Game of God" (novelette), "Old Hundredth" Starswarm (1963, Signet D2411), collection of 4 short stories and 4 novelettes: "Sector Vermilion: A Kind of Artistry" (novelette), "Sector Gray: Hearts and Engines", "Sector Violet: The Underprivileged", "Sector Diamond: The Game of God" (novelette), "Sector Green: Shards", "Sector Yellow: Legends of Smith's Burst" (novelette), "Sector Azure: O Moon of My Delight!" (novelette), "The Rift: Old Hundredth" Best SF stories of Brian Aldiss (1965, Faber); US title Who Can Replace a Man? (1965, Harcourt, Brace & World), (1967, Signet P3311), collection of 11 short stories and 3 novelettes: |
could be exploited to draw its weakened units towards the main German fleet under Scheer. The hope was that Scheer would thus be able to ambush a section of the British fleet and destroy it. Submarine deployments A plan was devised to station submarines offshore from British naval bases, and then stage some action that would draw out the British ships to the waiting submarines. The battlecruiser had been damaged in a previous engagement, but was due to be repaired by mid May, so an operation was scheduled for 17 May 1916. At the start of May, difficulties with condensers were discovered on ships of the third battleship squadron, so the operation was put back to 23 May. Ten submarines—, , , , , , , , , and —were given orders first to patrol in the central North Sea between 17 and 22 May, and then to take up waiting positions. U-43 and U-44 were stationed in the Pentland Firth, which the Grand Fleet was likely to cross leaving Scapa Flow, while the remainder proceeded to the Firth of Forth, awaiting battlecruisers departing Rosyth. Each boat had an allocated area, within which it could move around as necessary to avoid detection, but was instructed to keep within it. During the initial North Sea patrol the boats were instructed to sail only north–south so that any enemy who chanced to encounter one would believe it was departing or returning from operations on the west coast (which required them to pass around the north of Britain). Once at their final positions, the boats were under strict orders to avoid premature detection that might give away the operation. It was arranged that a coded signal would be transmitted to alert the submarines exactly when the operation commenced: "Take into account the enemy's forces may be putting to sea". Additionally, UB-27 was sent out on 20 May with instructions to work its way into the Firth of Forth past May Island. U-46 was ordered to patrol the coast of Sunderland, which had been chosen for the diversionary attack, but because of engine problems it was unable to leave port and U-47 was diverted to this task. On 13 May, U-72 was sent to lay mines in the Firth of Forth; on the 23rd, U-74 departed to lay mines in the Moray Firth; and on the 24th, U-75 was dispatched similarly west of the Orkney Islands. UB-21 and UB-22 were sent to patrol the Humber, where (incorrect) reports had suggested the presence of British warships. U-22, U-46 and U-67 were positioned north of Terschelling to protect against intervention by British light forces stationed at Harwich. On 22 May 1916, it was discovered that Seydlitz was still not watertight after repairs and would not now be ready until the 29th. The ambush submarines were now on station and experiencing difficulties of their own: visibility near the coast was frequently poor due to fog, and sea conditions were either so calm the slightest ripple, as from the periscope, could give away their position, or so rough as to make it very hard to keep the vessel at a steady depth. The British had become aware of unusual submarine activity, and had begun counter patrols that forced the submarines out of position. UB-27 passed Bell Rock on the night of 23 May on its way into the Firth of Forth as planned, but was halted by engine trouble. After repairs it continued to approach, following behind merchant vessels, and reached Largo Bay on 25 May. There the boat became entangled in nets that fouled one of the propellers, forcing it to abandon the operation and return home. U-74 was detected by four armed trawlers on 27 May and sunk south-east of Peterhead. U-75 laid its mines off the Orkney Islands, which, although they played no part in the battle, were responsible later for sinking the cruiser carrying Lord Kitchener (head of the army) on a mission to Russia on 5 June. U-72 was forced to abandon its mission without laying any mines when an oil leak meant it was leaving a visible surface trail astern. Zeppelins The Germans maintained a fleet of Zeppelins that they used for aerial reconnaissance and occasional bombing raids. The planned raid on Sunderland intended to use Zeppelins to watch out for the British fleet approaching from the north, which might otherwise surprise the raiders. By 28 May, strong north-easterly winds meant that it would not be possible to send out the Zeppelins, so the raid again had to be postponed. The submarines could only stay on station until 1 June before their supplies would be exhausted and they had to return, so a decision had to be made quickly about the raid. It was decided to use an alternative plan, abandoning the attack on Sunderland but instead sending a patrol of battlecruisers to the Skagerrak, where it was likely they would encounter merchant ships carrying British cargo and British cruiser patrols. It was felt this could be done without air support, because the action would now be much closer to Germany, relying instead on cruiser and torpedo boat patrols for reconnaissance. Orders for the alternative plan were issued on 28 May, although it was still hoped that last-minute improvements in the weather would allow the original plan to go ahead. The German fleet assembled in the Jade River and at Wilhelmshaven and was instructed to raise steam and be ready for action from midnight on 28 May. By 14:00 on 30 May, the wind was still too strong and the final decision was made to use the alternative plan. The coded signal "31 May G.G.2490" was transmitted to the ships of the fleet to inform them the Skagerrak attack would start on 31 May. The pre-arranged signal to the waiting submarines was transmitted throughout the day from the E-Dienst radio station at Bruges, and the U-boat tender Arcona anchored at Emden. Only two of the waiting submarines, U-66 and U-32, received the order. British response Unfortunately for the German plan, the British had obtained a copy of the main German codebook from the light cruiser , which had been boarded by the Russian Navy after the ship ran aground in Russian territorial waters in 1914. German naval radio communications could therefore often be quickly deciphered, and the British Admiralty usually knew about German activities. The British Admiralty's Room 40 maintained direction finding and interception of German naval signals. It had intercepted and decrypted a German signal on 28 May that provided "ample evidence that the German fleet was stirring in the North Sea". Further signals were intercepted, and although they were not decrypted it was clear that a major operation was likely. At 11:00 on 30 May, Jellicoe was warned that the German fleet seemed prepared to sail the following morning. By 17:00, the Admiralty had intercepted the signal from Scheer, "31 May G.G.2490", making it clear something significant was imminent. Not knowing the Germans' objective, Jellicoe and his staff decided to position the fleet to head off any attempt by the Germans to enter the North Atlantic or the Baltic through the Skagerrak, by taking up a position off Norway where they could potentially cut off any German raid into the shipping lanes of the Atlantic or prevent the Germans from heading into the Baltic. A position further west was unnecessary, as that area of the North Sea could be patrolled by air using blimps and scouting aircraft. Consequently, Admiral Jellicoe led the sixteen dreadnought battleships of the 1st and 4th Battle Squadrons of the Grand Fleet and three battlecruisers of the 3rd Battlecruiser Squadron eastwards out of Scapa Flow at 22:30 on 30 May. He was to meet the 2nd Battle Squadron of eight dreadnought battleships commanded by Vice-Admiral Martyn Jerram coming from Cromarty. Beatty's force of six ships of the 1st and 2nd Battlecruiser Squadrons plus the 5th Battle Squadron of four fast battleships left the Firth of Forth at around the same time; Jellicoe intended to rendezvous with him west of the mouth of the Skagerrak off the coast of Jutland and wait for the Germans to appear or for their intentions to become clear. The planned position would give him the widest range of responses to likely German moves. Hipper's raiding force did not leave the Outer Jade Roads until 01:00 on 31 May, heading west of Heligoland Island following a cleared channel through the minefields, heading north at . The main German fleet of sixteen dreadnought battleships of 1st and 3rd Battle Squadrons left the Jade at 02:30, being joined off Heligoland at 04:00 by the six pre-dreadnoughts of the 2nd Battle Squadron coming from the Elbe River. Naval tactics in 1916 The principle of concentration of force was fundamental to the fleet tactics of this time (as in earlier periods). Tactical doctrine called for a fleet approaching battle to be in a compact formation of parallel columns, allowing relatively easy manoeuvring, and giving shortened sight lines within the formation, which simplified the passing of the signals necessary for command and control. A fleet formed in several short columns could change its heading faster than one formed in a single long column. Since most command signals were made with flags or signal lamps between ships, the flagship was usually placed at the head of the centre column so that its signals might be more easily seen by the many ships of the formation. Wireless telegraphy was in use, though security (radio direction finding), encryption, and the limitation of the radio sets made their extensive use more problematic. Command and control of such huge fleets remained difficult. Thus, it might take a very long time for a signal from the flagship to be relayed to the entire formation. It was usually necessary for a signal to be confirmed by each ship before it could be relayed to other ships, and an order for a fleet movement would have to be received and acknowledged by every ship before it could be executed. In a large single-column formation, a signal could take 10 minutes or more to be passed from one end of the line to the other, whereas in a formation of parallel columns, visibility across the diagonals was often better (and always shorter) than in a single long column, and the diagonals gave signal "redundancy", increasing the probability that a message would be quickly seen and correctly interpreted. However, before battle was joined the heavy units of the fleet would, if possible, deploy into a single column. To form the battle line in the correct orientation relative to the enemy, the commanding admiral had to know the enemy fleet's distance, bearing, heading, and speed. It was the task of the scouting forces, consisting primarily of battlecruisers and cruisers, to find the enemy and report this information in sufficient time, and, if possible, to deny the enemy's scouting forces the opportunity of obtaining the equivalent information. Ideally, the battle line would cross the intended path of the enemy column so that the maximum number of guns could be brought to bear, while the enemy could fire only with the forward guns of the leading ships, a manoeuvre known as "crossing the T". Admiral Tōgō, commander of the Japanese battleship fleet, had achieved this against Admiral Zinovy Rozhestvensky's Russian battleships in 1905 at the Battle of Tsushima, with devastating results. Jellicoe achieved this twice in one hour against the High Seas Fleet at Jutland, but on both occasions, Scheer managed to turn away and disengage, thereby avoiding a decisive action. Ship design Within the existing technological limits, a trade-off had to be made between the weight and size of guns, the weight of armour protecting the ship, and the maximum speed. Battleships sacrificed speed for armour and heavy naval guns ( or larger). British battlecruisers sacrificed weight of armour for greater speed, while their German counterparts were armed with lighter guns and heavier armour. These weight savings allowed them to escape danger or catch other ships. Generally, the larger guns mounted on British ships allowed an engagement at greater range. In theory, a lightly armoured ship could stay out of range of a slower opponent while still scoring hits. The fast pace of development in the pre-war years meant that every few years, a new generation of ships rendered its predecessors obsolete. Thus, fairly young ships could still be obsolete compared with the newest ships, and fare badly in an engagement against them. Admiral John Fisher, responsible for reconstruction of the British fleet in the pre-war period, favoured large guns, oil fuel, and speed. Admiral Tirpitz, responsible for the German fleet, favoured ship survivability and chose to sacrifice some gun size for improved armour. The German battlecruiser had belt armour equivalent in thickness—though not as comprehensive—to the British battleship , significantly better than on the British battlecruisers such as Tiger. German ships had better internal subdivision and had fewer doors and other weak points in their bulkheads, but with the disadvantage that space for crew was greatly reduced. As they were designed only for sorties in the North Sea they did not need to be as habitable as the British vessels and their crews could live in barracks ashore when in harbour. Order of battle Warships of the period were armed with guns firing projectiles of varying weights, bearing high explosive warheads. The sum total of weight of all the projectiles fired by all the ship's broadside guns is referred to as "weight of broadside". At Jutland, the total of the British ships' weight of broadside was , while the German fleet's total was . This does not take into consideration the ability of some ships and their crews to fire more or less rapidly than others, which would increase or decrease amount of fire that one combatant was able to bring to bear on their opponent for any length of time. Jellicoe's Grand Fleet was split into two sections. The dreadnought Battle Fleet, with which he sailed, formed the main force and was composed of 24 battleships and three battlecruisers. The battleships were formed into three squadrons of eight ships, further subdivided into divisions of four, each led by a flag officer. Accompanying them were eight armoured cruisers (classified by the Royal Navy since 1913 as "cruisers"), eight light cruisers, four scout cruisers, 51 destroyers, and one destroyer-minelayer. The Grand Fleet sailed without three of its battleships: in refit at Invergordon, dry-docked at Rosyth and in refit at Devonport. The brand new was left behind; with only three weeks in service, her untrained crew was judged unready for battle. British reconnaissance was provided by the Battlecruiser Fleet under David Beatty: six battlecruisers, four fast s, 14 light cruisers and 27 destroyers. Air scouting was provided by the attachment of the seaplane tender , one of the first aircraft carriers in history to participate in a naval engagement. The German High Seas Fleet under Scheer was also split into a main force and a separate reconnaissance force. Scheer's main battle fleet was composed of 16 battleships and six pre-dreadnought battleships arranged in an identical manner to the British. With them were six light cruisers and 31 torpedo-boats, (the latter being roughly equivalent to a British destroyer). The German scouting force, commanded by Franz Hipper, consisted of five battlecruisers, five light cruisers and 30 torpedo-boats. The Germans had no equivalent to Engadine and no heavier-than-air aircraft to operate with the fleet but had the Imperial German Naval Airship Service's force of rigid airships available to patrol the North Sea. All of the battleships and battlecruisers on both sides carried torpedoes of various sizes, as did the lighter craft. The British battleships carried three or four underwater torpedo tubes. The battlecruisers carried from two to five. All were either 18-inch or 21-inch diameter. The German battleships carried five or six underwater torpedo tubes in three sizes from 18 to 21 inch and the battlecruisers carried four or five tubes. The German battle fleet was hampered by the slow speed and relatively poor armament of the six pre-dreadnoughts of II Squadron, which limited maximum fleet speed to , compared to maximum British fleet speed of . On the British side, the eight armoured cruisers were deficient in both speed and armour protection. Both of these obsolete squadrons were notably vulnerable to attacks by more modern enemy ships. Battlecruiser action The route of the British battlecruiser fleet took it through the patrol sector allocated to U-32. After receiving the order to commence the operation, the U-boat moved to a position east of the Isle of May at dawn on 31 May. At 03:40, it sighted the cruisers and leaving the Forth at . It launched one torpedo at the leading cruiser at a range of , but its periscope jammed 'up', giving away the position of the submarine as it manoeuvred to fire a second. The lead cruiser turned away to dodge the torpedo, while the second turned towards the submarine, attempting to ram. U-32 crash dived, and on raising its periscope at 04:10 saw two battlecruisers (the 2nd Battlecruiser Squadron) heading south-east. They were too far away to attack, but Kapitänleutnant von Spiegel reported the sighting of two battleships and two cruisers to Germany. U-66 was also supposed to be patrolling off the Firth of Forth but had been forced north to a position off Peterhead by patrolling British vessels. This now brought it into contact with the 2nd Battle Squadron, coming from the Moray Firth. At 05:00, it had to crash dive when the cruiser appeared from the mist heading toward it. It was followed by another cruiser, , and eight battleships. U-66 got within of the battleships preparing to fire, but was forced to dive by an approaching destroyer and missed the opportunity. At 06:35, it reported eight battleships and cruisers heading north. The courses reported by both submarines were incorrect, because they reflected one leg of a zigzag being used by British ships to avoid submarines. Taken with a wireless intercept of more ships leaving Scapa Flow earlier in the night, they created the impression in the German High Command that the British fleet, whatever it was doing, was split into separate sections moving apart, which was precisely as the Germans wished to meet it. Jellicoe's ships proceeded to their rendezvous undamaged and undiscovered. However, he was now misled by an Admiralty intelligence report advising that the German main battle fleet was still in port. The Director of Operations Division, Rear Admiral Thomas Jackson, had asked the intelligence division, Room 40, for the current location of German call sign DK, used by Admiral Scheer. They had replied that it was currently transmitting from Wilhelmshaven. It was known to the intelligence staff that Scheer deliberately used a different call sign when at sea, but no one asked for this information or explained the reason behind the query – to locate the German fleet. The German battlecruisers cleared the minefields surrounding the Amrum swept channel by 09:00. They then proceeded north-west, passing west of the Horn's Reef lightship heading for the Little Fisher Bank at the mouth of the Skagerrak. The High Seas Fleet followed some behind. The battlecruisers were in line ahead, with the four cruisers of the II scouting group plus supporting torpedo boats ranged in an arc ahead and to either side. The IX torpedo boat flotilla formed close support immediately surrounding the battlecruisers. The High Seas Fleet similarly adopted a line-ahead formation, with close screening by torpedo boats to either side and a further screen of five cruisers surrounding the column away. The wind had finally moderated so that Zeppelins could be used, and by 11:30 five had been sent out: L14 to the Skagerrak, L23 east of Noss Head in the Pentland Firth, L21 off Peterhead, L9 off Sunderland, and L16 east of Flamborough Head. Visibility, however, was still bad, with clouds down to . Contact By around 14:00, Beatty's ships were proceeding eastward at roughly the same latitude as Hipper's squadron, which was heading north. Had the courses remained unchanged, Beatty would have passed between the two German fleets, south of the battlecruisers and north of the High Seas Fleet at around 16:30, possibly trapping his ships just as the German plan envisioned. His orders were to stop his scouting patrol when he reached a point east of Britain and then turn north to meet Jellicoe, which he did at this time. Beatty's ships were divided into three columns, with the two battlecruiser squadrons leading in parallel lines apart. The 5th Battle Squadron was stationed to the north-west, on the side furthest away from any expected enemy contact, while a screen of cruisers and destroyers was spread south-east of the battlecruisers. After the turn, the 5th Battle Squadron was now leading the British ships in the westernmost column, and Beatty's squadron was centre and rearmost, with the 2nd BCS to the west. At 14:20 on 31 May, despite heavy haze and scuds of fog giving poor visibility, scouts from Beatty's force reported enemy ships to the south-east; the British light units, investigating a neutral Danish steamer (N J Fjord), which was stopped between the two fleets, had found two German destroyers engaged on the same mission ( and ). The first shots of the battle were fired at 14:28 when Galatea and Phaeton of the British 1st Light Cruiser Squadron opened on the German torpedo boats, which withdrew toward their approaching light cruisers. At 14:36, the Germans scored the first hit of the battle when , of Rear-Admiral Friedrich Boedicker's Scouting Group II, hit her British counterpart Galatea at extreme range. Beatty began to move his battlecruisers and supporting forces south-eastwards and then east to cut the German ships off from their base and ordered Engadine to launch a seaplane to try to get more information about the size and location of the German forces. This was the first time in history that a carrier-based aeroplane was used for reconnaissance in naval combat. Engadines aircraft did locate and report some German light cruisers just before 15:30 and came under anti-aircraft gunfire but attempts to relay reports from the aeroplane failed. Unfortunately for Beatty, his initial course changes at 14:32 were not received by Sir Hugh Evan-Thomas's 5th Battle Squadron (the distance being too great to read his flags), because the battlecruiser —the last ship in his column—was no longer in a position where she could relay signals by searchlight to Evan-Thomas, as she had previously been ordered to do. Whereas before the north turn, Tiger had been the closest ship to Evan-Thomas, she was now further away than Beatty in Lion. Matters were aggravated because Evan-Thomas had not been briefed regarding standing orders within Beatty's squadron, as his squadron normally operated with the Grand Fleet. Fleet ships were expected to obey movement orders precisely and not deviate from them. Beatty's standing instructions expected his officers to use their initiative and keep station with the flagship. As a result, the four Queen Elizabeth-class battleships—which were the fastest and most heavily armed in the world at that time—remained on the previous course for several minutes, ending up behind rather than five. Beatty also had the opportunity during the previous hours to concentrate his forces, and no reason not to do so, whereas he steamed ahead at full speed, faster than the battleships could manage. Dividing the force had serious consequences for the British, costing them what would have been an overwhelming advantage in ships and firepower during the first half-hour of the coming battle. With visibility favouring the Germans, Hipper's battlecruisers at 15:22, steaming approximately north-west, sighted Beatty's squadron at a range of about , while Beatty's forces did not identify Hipper's battlecruisers until 15:30. (position 1 on map). At 15:45, Hipper turned south-east to lead Beatty toward Scheer, who was south-east with the main force of the High Seas Fleet. Run to the south Beatty's conduct during the next 15 minutes has received a great deal of criticism, as his ships out-ranged and outnumbered the German squadron, yet he held his fire for over 10 minutes with the German ships in range. He also failed to use the time available to rearrange his battlecruisers into a fighting formation, with the result that they were still manoeuvring when the battle started. At 15:48, with the opposing forces roughly parallel at , with the British to the south-west of the Germans (i.e., on the right side), Hipper opened fire, followed by the British ships as their guns came to bear upon targets (position 2). Thus began the opening phase of the battlecruiser action, known as the Run to the South, in which the British chased the Germans, and Hipper intentionally led Beatty toward Scheer. During the first minutes of the ensuing battle, all the British ships except Princess Royal fired far over their German opponents, due to adverse visibility conditions, before finally getting the range. Only Lion and Princess Royal had settled into formation, so the other four ships were hampered in aiming by their own turning. Beatty was to windward of Hipper, and therefore funnel and gun smoke from his own ships tended to obscure his targets, while Hipper's smoke blew clear. Also, the eastern sky was overcast and the grey German ships were indistinct and difficult to range. Beatty had ordered his ships to engage in a line, one British ship engaging with one German and his flagship doubling on the German flagship . However, due to another mistake with signalling by flag, and possibly because Queen Mary and Tiger were unable to see the German lead ship because of smoke, the second German ship, Derfflinger, was left un-engaged and free to fire without disruption. drew fire from two of Beatty's battlecruisers, but still fired with great accuracy during this time, hitting Tiger 9 times in the first 12 minutes. The Germans drew first blood. Aided by superior visibility, Hipper's five battlecruisers quickly registered hits on three of the six British battlecruisers. Seven minutes passed before the British managed to score their first hit. The first near-kill of the Run to the South occurred at 16:00, when a shell from Lützow wrecked the "Q" turret amidships on Beatty's flagship Lion. Dozens of crewmen were instantly killed, but far larger destruction was averted when the mortally wounded turret commander – Major Francis Harvey of the Royal Marines – promptly ordered the magazine doors shut and the magazine flooded. This prevented a magazine explosion at 16:28, when a flash fire ignited ready cordite charges beneath the turret and killed everyone in the chambers outside "Q" magazine. Lion was saved. was not so lucky; at 16:02, just 14 minutes into the gunnery exchange, she was hit aft by three shells from , causing damage sufficient to knock her out of line and detonating "X" magazine aft. Soon after, despite the near-maximum range, Von der Tann put another shell on Indefatigables "A" turret forward. The plunging shells probably pierced the thin upper armour, and seconds later Indefatigable was ripped apart by another magazine explosion, sinking immediately with her crew of 1,019 officers and men, leaving only two survivors. (position 3). Hipper's position deteriorated somewhat by 16:15 as the 5th Battle Squadron finally came into range, so that he had to contend with gunfire from the four battleships astern as well as Beatty's five remaining battlecruisers to starboard. But he knew his baiting mission was close to completion, as his force was rapidly closing with Scheer's main body. At 16:08, the lead battleship of the 5th Battle Squadron, , caught up with Hipper and opened fire at extreme range, scoring a hit on Von der Tann within 60 seconds. Still, it was 16:15 before all the battleships of the 5th were able to fully engage at long range. At 16:25, the battlecruiser action intensified again when was hit by what may have been a combined salvo from Derfflinger and Seydlitz; she disintegrated when both forward magazines exploded, sinking with all but nine of her 1,275 man crew lost. (position 4). Commander von Hase, the first gunnery officer aboard Derfflingler, noted: During the Run to the South, from 15:48 to 16:54, the German battlecruisers made an estimated total of forty-two hits on the British battlecruisers (nine on Lion, six on Princess Royal, seven on Queen Mary, 14 on Tiger, one on New Zealand, five on Indefatigable), and two more on the battleship Barham, compared with only eleven hits by the British battlecruisers (four on Lützow, four on Seydlitz, two on Moltke, one on von der Tann), and six hits by the battleships (one on Seydlitz, four on Moltke, one on von der Tann). Shortly after 16:26, a salvo struck on or around , which was obscured by spray and smoke from shell bursts. A signalman promptly leapt on to the bridge of Lion and announced "Princess Royals blown up, | control. A fleet formed in several short columns could change its heading faster than one formed in a single long column. Since most command signals were made with flags or signal lamps between ships, the flagship was usually placed at the head of the centre column so that its signals might be more easily seen by the many ships of the formation. Wireless telegraphy was in use, though security (radio direction finding), encryption, and the limitation of the radio sets made their extensive use more problematic. Command and control of such huge fleets remained difficult. Thus, it might take a very long time for a signal from the flagship to be relayed to the entire formation. It was usually necessary for a signal to be confirmed by each ship before it could be relayed to other ships, and an order for a fleet movement would have to be received and acknowledged by every ship before it could be executed. In a large single-column formation, a signal could take 10 minutes or more to be passed from one end of the line to the other, whereas in a formation of parallel columns, visibility across the diagonals was often better (and always shorter) than in a single long column, and the diagonals gave signal "redundancy", increasing the probability that a message would be quickly seen and correctly interpreted. However, before battle was joined the heavy units of the fleet would, if possible, deploy into a single column. To form the battle line in the correct orientation relative to the enemy, the commanding admiral had to know the enemy fleet's distance, bearing, heading, and speed. It was the task of the scouting forces, consisting primarily of battlecruisers and cruisers, to find the enemy and report this information in sufficient time, and, if possible, to deny the enemy's scouting forces the opportunity of obtaining the equivalent information. Ideally, the battle line would cross the intended path of the enemy column so that the maximum number of guns could be brought to bear, while the enemy could fire only with the forward guns of the leading ships, a manoeuvre known as "crossing the T". Admiral Tōgō, commander of the Japanese battleship fleet, had achieved this against Admiral Zinovy Rozhestvensky's Russian battleships in 1905 at the Battle of Tsushima, with devastating results. Jellicoe achieved this twice in one hour against the High Seas Fleet at Jutland, but on both occasions, Scheer managed to turn away and disengage, thereby avoiding a decisive action. Ship design Within the existing technological limits, a trade-off had to be made between the weight and size of guns, the weight of armour protecting the ship, and the maximum speed. Battleships sacrificed speed for armour and heavy naval guns ( or larger). British battlecruisers sacrificed weight of armour for greater speed, while their German counterparts were armed with lighter guns and heavier armour. These weight savings allowed them to escape danger or catch other ships. Generally, the larger guns mounted on British ships allowed an engagement at greater range. In theory, a lightly armoured ship could stay out of range of a slower opponent while still scoring hits. The fast pace of development in the pre-war years meant that every few years, a new generation of ships rendered its predecessors obsolete. Thus, fairly young ships could still be obsolete compared with the newest ships, and fare badly in an engagement against them. Admiral John Fisher, responsible for reconstruction of the British fleet in the pre-war period, favoured large guns, oil fuel, and speed. Admiral Tirpitz, responsible for the German fleet, favoured ship survivability and chose to sacrifice some gun size for improved armour. The German battlecruiser had belt armour equivalent in thickness—though not as comprehensive—to the British battleship , significantly better than on the British battlecruisers such as Tiger. German ships had better internal subdivision and had fewer doors and other weak points in their bulkheads, but with the disadvantage that space for crew was greatly reduced. As they were designed only for sorties in the North Sea they did not need to be as habitable as the British vessels and their crews could live in barracks ashore when in harbour. Order of battle Warships of the period were armed with guns firing projectiles of varying weights, bearing high explosive warheads. The sum total of weight of all the projectiles fired by all the ship's broadside guns is referred to as "weight of broadside". At Jutland, the total of the British ships' weight of broadside was , while the German fleet's total was . This does not take into consideration the ability of some ships and their crews to fire more or less rapidly than others, which would increase or decrease amount of fire that one combatant was able to bring to bear on their opponent for any length of time. Jellicoe's Grand Fleet was split into two sections. The dreadnought Battle Fleet, with which he sailed, formed the main force and was composed of 24 battleships and three battlecruisers. The battleships were formed into three squadrons of eight ships, further subdivided into divisions of four, each led by a flag officer. Accompanying them were eight armoured cruisers (classified by the Royal Navy since 1913 as "cruisers"), eight light cruisers, four scout cruisers, 51 destroyers, and one destroyer-minelayer. The Grand Fleet sailed without three of its battleships: in refit at Invergordon, dry-docked at Rosyth and in refit at Devonport. The brand new was left behind; with only three weeks in service, her untrained crew was judged unready for battle. British reconnaissance was provided by the Battlecruiser Fleet under David Beatty: six battlecruisers, four fast s, 14 light cruisers and 27 destroyers. Air scouting was provided by the attachment of the seaplane tender , one of the first aircraft carriers in history to participate in a naval engagement. The German High Seas Fleet under Scheer was also split into a main force and a separate reconnaissance force. Scheer's main battle fleet was composed of 16 battleships and six pre-dreadnought battleships arranged in an identical manner to the British. With them were six light cruisers and 31 torpedo-boats, (the latter being roughly equivalent to a British destroyer). The German scouting force, commanded by Franz Hipper, consisted of five battlecruisers, five light cruisers and 30 torpedo-boats. The Germans had no equivalent to Engadine and no heavier-than-air aircraft to operate with the fleet but had the Imperial German Naval Airship Service's force of rigid airships available to patrol the North Sea. All of the battleships and battlecruisers on both sides carried torpedoes of various sizes, as did the lighter craft. The British battleships carried three or four underwater torpedo tubes. The battlecruisers carried from two to five. All were either 18-inch or 21-inch diameter. The German battleships carried five or six underwater torpedo tubes in three sizes from 18 to 21 inch and the battlecruisers carried four or five tubes. The German battle fleet was hampered by the slow speed and relatively poor armament of the six pre-dreadnoughts of II Squadron, which limited maximum fleet speed to , compared to maximum British fleet speed of . On the British side, the eight armoured cruisers were deficient in both speed and armour protection. Both of these obsolete squadrons were notably vulnerable to attacks by more modern enemy ships. Battlecruiser action The route of the British battlecruiser fleet took it through the patrol sector allocated to U-32. After receiving the order to commence the operation, the U-boat moved to a position east of the Isle of May at dawn on 31 May. At 03:40, it sighted the cruisers and leaving the Forth at . It launched one torpedo at the leading cruiser at a range of , but its periscope jammed 'up', giving away the position of the submarine as it manoeuvred to fire a second. The lead cruiser turned away to dodge the torpedo, while the second turned towards the submarine, attempting to ram. U-32 crash dived, and on raising its periscope at 04:10 saw two battlecruisers (the 2nd Battlecruiser Squadron) heading south-east. They were too far away to attack, but Kapitänleutnant von Spiegel reported the sighting of two battleships and two cruisers to Germany. U-66 was also supposed to be patrolling off the Firth of Forth but had been forced north to a position off Peterhead by patrolling British vessels. This now brought it into contact with the 2nd Battle Squadron, coming from the Moray Firth. At 05:00, it had to crash dive when the cruiser appeared from the mist heading toward it. It was followed by another cruiser, , and eight battleships. U-66 got within of the battleships preparing to fire, but was forced to dive by an approaching destroyer and missed the opportunity. At 06:35, it reported eight battleships and cruisers heading north. The courses reported by both submarines were incorrect, because they reflected one leg of a zigzag being used by British ships to avoid submarines. Taken with a wireless intercept of more ships leaving Scapa Flow earlier in the night, they created the impression in the German High Command that the British fleet, whatever it was doing, was split into separate sections moving apart, which was precisely as the Germans wished to meet it. Jellicoe's ships proceeded to their rendezvous undamaged and undiscovered. However, he was now misled by an Admiralty intelligence report advising that the German main battle fleet was still in port. The Director of Operations Division, Rear Admiral Thomas Jackson, had asked the intelligence division, Room 40, for the current location of German call sign DK, used by Admiral Scheer. They had replied that it was currently transmitting from Wilhelmshaven. It was known to the intelligence staff that Scheer deliberately used a different call sign when at sea, but no one asked for this information or explained the reason behind the query – to locate the German fleet. The German battlecruisers cleared the minefields surrounding the Amrum swept channel by 09:00. They then proceeded north-west, passing west of the Horn's Reef lightship heading for the Little Fisher Bank at the mouth of the Skagerrak. The High Seas Fleet followed some behind. The battlecruisers were in line ahead, with the four cruisers of the II scouting group plus supporting torpedo boats ranged in an arc ahead and to either side. The IX torpedo boat flotilla formed close support immediately surrounding the battlecruisers. The High Seas Fleet similarly adopted a line-ahead formation, with close screening by torpedo boats to either side and a further screen of five cruisers surrounding the column away. The wind had finally moderated so that Zeppelins could be used, and by 11:30 five had been sent out: L14 to the Skagerrak, L23 east of Noss Head in the Pentland Firth, L21 off Peterhead, L9 off Sunderland, and L16 east of Flamborough Head. Visibility, however, was still bad, with clouds down to . Contact By around 14:00, Beatty's ships were proceeding eastward at roughly the same latitude as Hipper's squadron, which was heading north. Had the courses remained unchanged, Beatty would have passed between the two German fleets, south of the battlecruisers and north of the High Seas Fleet at around 16:30, possibly trapping his ships just as the German plan envisioned. His orders were to stop his scouting patrol when he reached a point east of Britain and then turn north to meet Jellicoe, which he did at this time. Beatty's ships were divided into three columns, with the two battlecruiser squadrons leading in parallel lines apart. The 5th Battle Squadron was stationed to the north-west, on the side furthest away from any expected enemy contact, while a screen of cruisers and destroyers was spread south-east of the battlecruisers. After the turn, the 5th Battle Squadron was now leading the British ships in the westernmost column, and Beatty's squadron was centre and rearmost, with the 2nd BCS to the west. At 14:20 on 31 May, despite heavy haze and scuds of fog giving poor visibility, scouts from Beatty's force reported enemy ships to the south-east; the British light units, investigating a neutral Danish steamer (N J Fjord), which was stopped between the two fleets, had found two German destroyers engaged on the same mission ( and ). The first shots of the battle were fired at 14:28 when Galatea and Phaeton of the British 1st Light Cruiser Squadron opened on the German torpedo boats, which withdrew toward their approaching light cruisers. At 14:36, the Germans scored the first hit of the battle when , of Rear-Admiral Friedrich Boedicker's Scouting Group II, hit her British counterpart Galatea at extreme range. Beatty began to move his battlecruisers and supporting forces south-eastwards and then east to cut the German ships off from their base and ordered Engadine to launch a seaplane to try to get more information about the size and location of the German forces. This was the first time in history that a carrier-based aeroplane was used for reconnaissance in naval combat. Engadines aircraft did locate and report some German light cruisers just before 15:30 and came under anti-aircraft gunfire but attempts to relay reports from the aeroplane failed. Unfortunately for Beatty, his initial course changes at 14:32 were not received by Sir Hugh Evan-Thomas's 5th Battle Squadron (the distance being too great to read his flags), because the battlecruiser —the last ship in his column—was no longer in a position where she could relay signals by searchlight to Evan-Thomas, as she had previously been ordered to do. Whereas before the north turn, Tiger had been the closest ship to Evan-Thomas, she was now further away than Beatty in Lion. Matters were aggravated because Evan-Thomas had not been briefed regarding standing orders within Beatty's squadron, as his squadron normally operated with the Grand Fleet. Fleet ships were expected to obey movement orders precisely and not deviate from them. Beatty's standing instructions expected his officers to use their initiative and keep station with the flagship. As a result, the four Queen Elizabeth-class battleships—which were the fastest and most heavily armed in the world at that time—remained on the previous course for several minutes, ending up behind rather than five. Beatty also had the opportunity during the previous hours to concentrate his forces, and no reason not to do so, whereas he steamed ahead at full speed, faster than the battleships could manage. Dividing the force had serious consequences for the British, costing them what would have been an overwhelming advantage in ships and firepower during the first half-hour of the coming battle. With visibility favouring the Germans, Hipper's battlecruisers at 15:22, steaming approximately north-west, sighted Beatty's squadron at a range of about , while Beatty's forces did not identify Hipper's battlecruisers until 15:30. (position 1 on map). At 15:45, Hipper turned south-east to lead Beatty toward Scheer, who was south-east with the main force of the High Seas Fleet. Run to the south Beatty's conduct during the next 15 minutes has received a great deal of criticism, as his ships out-ranged and outnumbered the German squadron, yet he held his fire for over 10 minutes with the German ships in range. He also failed to use the time available to rearrange his battlecruisers into a fighting formation, with the result that they were still manoeuvring when the battle started. At 15:48, with the opposing forces roughly parallel at , with the British to the south-west of the Germans (i.e., on the right side), Hipper opened fire, followed by the British ships as their guns came to bear upon targets (position 2). Thus began the opening phase of the battlecruiser action, known as the Run to the South, in which the British chased the Germans, and Hipper intentionally led Beatty toward Scheer. During the first minutes of the ensuing battle, all the British ships except Princess Royal fired far over their German opponents, due to adverse visibility conditions, before finally getting the range. Only Lion and Princess Royal had settled into formation, so the other four ships were hampered in aiming by their own turning. Beatty was to windward of Hipper, and therefore funnel and gun smoke from his own ships tended to obscure his targets, while Hipper's smoke blew clear. Also, the eastern sky was overcast and the grey German ships were indistinct and difficult to range. Beatty had ordered his ships to engage in a line, one British ship engaging with one German and his flagship doubling on the German flagship . However, due to another mistake with signalling by flag, and possibly because Queen Mary and Tiger were unable to see the German lead ship because of smoke, the second German ship, Derfflinger, was left un-engaged and free to fire without disruption. drew fire from two of Beatty's battlecruisers, but still fired with great accuracy during this time, hitting Tiger 9 times in the first 12 minutes. The Germans drew first blood. Aided by superior visibility, Hipper's five battlecruisers quickly registered hits on three of the six British battlecruisers. Seven minutes passed before the British managed to score their first hit. The first near-kill of the Run to the South occurred at 16:00, when a shell from Lützow wrecked the "Q" turret amidships on Beatty's flagship Lion. Dozens of crewmen were instantly killed, but far larger destruction was averted when the mortally wounded turret commander – Major Francis Harvey of the Royal Marines – promptly ordered the magazine doors shut and the magazine flooded. This prevented a magazine explosion at 16:28, when a flash fire ignited ready cordite charges beneath the turret and killed everyone in the chambers outside "Q" magazine. Lion was saved. was not so lucky; at 16:02, just 14 minutes into the gunnery exchange, she was hit aft by three shells from , causing damage sufficient to knock her out of line and detonating "X" magazine aft. Soon after, despite the near-maximum range, Von der Tann put another shell on Indefatigables "A" turret forward. The plunging shells probably pierced the thin upper armour, and seconds later Indefatigable was ripped apart by another magazine explosion, sinking immediately with her crew of 1,019 officers and men, leaving only two survivors. (position 3). Hipper's position deteriorated somewhat by 16:15 as the 5th Battle Squadron finally came into range, so that he had to contend with gunfire from the four battleships astern as well as Beatty's five remaining battlecruisers to starboard. But he knew his baiting mission was close to completion, as his force was rapidly closing with Scheer's main body. At 16:08, the lead battleship of the 5th Battle Squadron, , caught up with Hipper and opened fire at extreme range, scoring a hit on Von der Tann within 60 seconds. Still, it was 16:15 before all the battleships of the 5th were able to fully engage at long range. At 16:25, the battlecruiser action intensified again when was hit by what may have been a combined salvo from Derfflinger and Seydlitz; she disintegrated when both forward magazines exploded, sinking with all but nine of her 1,275 man crew lost. (position 4). Commander von Hase, the first gunnery officer aboard Derfflingler, noted: During the Run to the South, from 15:48 to 16:54, the German battlecruisers made an estimated total of forty-two hits on the British battlecruisers (nine on Lion, six on Princess Royal, seven on Queen Mary, 14 on Tiger, one on New Zealand, five on Indefatigable), and two more on the battleship Barham, compared with only eleven hits by the British battlecruisers (four on Lützow, four on Seydlitz, two on Moltke, one on von der Tann), and six hits by the battleships (one on Seydlitz, four on Moltke, one on von der Tann). Shortly after 16:26, a salvo struck on or around , which was obscured by spray and smoke from shell bursts. A signalman promptly leapt on to the bridge of Lion and announced "Princess Royals blown up, Sir." Beatty famously turned to his flag captain, saying "Chatfield, there seems to be something wrong with our bloody ships today." (In popular legend, Beatty also immediately ordered his ships to "turn two points to port", i.e., two points nearer the enemy, but there is no official record of any such command or course change.) Princess Royal, as it turned out, was still afloat after the spray cleared. At 16:30, Scheer's leading battleships sighted the distant battlecruiser action; soon after, of Beatty's 2nd Light Cruiser Squadron led by Commodore William Goodenough sighted the main body of Scheer's High Seas Fleet, dodging numerous heavy-calibre salvos to report in detail the German strength: 16 dreadnoughts with six older battleships. This was the first news that Beatty and Jellicoe had that Scheer and his battle fleet were even at sea. Simultaneously, an all-out destroyer action raged in the space between the opposing battlecruiser forces, as British and German destroyers fought with each other and attempted to torpedo the larger enemy ships. Each side fired many torpedoes, but both battlecruiser forces turned away from the attacks and all escaped harm except Seydlitz, which was hit forward at 16:57 by a torpedo fired by the British destroyer . Though taking on water, Seydlitz maintained speed. The destroyer , under the command of Captain Barry Bingham, led the British attacks. The British disabled the German torpedo boat , which the Germans soon abandoned and sank, and Petard then torpedoed and sank , her second score of the day. and rescued the crews of their sunken sister ships. But Nestor and another British destroyer – – were immobilised by shell hits, and were later sunk by Scheer's passing dreadnoughts. Bingham was rescued, and awarded the Victoria Cross for his leadership in the destroyer action. Run to the north As soon as he himself sighted the vanguard of Scheer's distant battleship line away, at 16:40, Beatty turned his battlecruiser force 180°, heading north to draw the Germans toward Jellicoe. (position 5). Beatty's withdrawal toward Jellicoe is called the "Run to the North", in which the tables turned and the Germans chased the British. Because Beatty once again failed to signal his intentions adequately, the battleships of the 5th Battle Squadron – which were too far behind to read his flags – found themselves passing the battlecruisers on an opposing course and heading directly toward the approaching main body of the High Seas Fleet. At 16:48, at extreme range, Scheer's leading battleships opened fire. Meanwhile, at 16:47, having received Goodenough's signal and knowing that Beatty was now leading the German battle fleet north to him, Jellicoe signalled to his own forces that the fleet action they had waited so long for was finally imminent; at 16:51, by radio, he informed the Admiralty so in London. The difficulties of the 5th Battle Squadron were compounded when Beatty gave the order to Evan-Thomas to "turn in succession" (rather than "turn together") at 16:48 as the battleships passed him. Evan-Thomas acknowledged the signal, but Lieutenant-Commander Ralph Seymour, Beatty's flag lieutenant, aggravated the situation when he did not haul down the flags (to execute the signal) for some minutes. At 16:55, when the 5BS had moved within range of the enemy battleships, Evan-Thomas issued his own flag command warning his squadron to expect sudden manoeuvres and to follow his lead, before starting to turn on his own initiative. The order to turn in succession would have resulted in all four ships turning in the same patch of sea as they reached it one by one, giving the High Seas Fleet repeated opportunity with ample time to find the proper range. However, the captain of the trailing ship () turned early, mitigating the adverse results. For the next hour, the 5th Battle Squadron acted as Beatty's rearguard, drawing fire from all the German ships within range, while by 17:10 Beatty had deliberately eased his own squadron out of range of Hipper's now-superior battlecruiser force. Since visibility and firepower now favoured the Germans, there was no incentive for Beatty to risk further battlecruiser losses when his own gunnery could not be effective. Illustrating the imbalance, Beatty's battlecruisers did not score any hits on the Germans in this phase until 17:45, but they had rapidly received five more before he opened the range (four on Lion, of which three were by Lützow, and one on Tiger by Seydlitz). Now the only targets the Germans could reach, the ships of the 5th Battle Squadron, received simultaneous fire from Hipper's battlecruisers to the east (which HMS Barham and engaged) and Scheer's leading battleships to the south-east (which and Malaya engaged). Three took hits: Barham (four by Derfflinger), Warspite (two by Seydlitz), and Malaya (seven by the German battleships). Only Valiant was unscathed. The four battleships were far better suited to take this sort of pounding than the battlecruisers, and none were lost, though Malaya suffered heavy damage, an ammunition fire, and heavy crew casualties. At the same time, the fire of the four British ships was accurate and effective. As the two British squadrons headed north at top speed, eagerly chased by the entire German fleet, the 5th Battle Squadron scored 13 hits on the enemy battlecruisers (four on Lützow, three on Derfflinger, six on Seydlitz) and five on battleships (although only one, on , did any serious damage). (position 6). The fleets converge Jellicoe was now aware that full fleet engagement was nearing, but had insufficient information on the position and course of the Germans. To assist Beatty, early in the battle at about 16:05, Jellicoe had ordered Rear-Admiral Horace Hood's 3rd Battlecruiser Squadron to speed ahead to find and support Beatty's force, and Hood was now racing SSE well in advance of Jellicoe's northern force. Rear-Admiral Arbuthnot's 1st Cruiser Squadron patrolled the van of Jellicoe's main battleship force as it advanced steadily to the south-east. At 17:33, the armoured cruiser of Arbuthnot's squadron, on the far southwest flank of Jellicoe's force, came within view of , which was about ahead of Beatty with the 3rd Light Cruiser Squadron, establishing the first visual link between the converging bodies of the Grand Fleet. At 17:38, the scout cruiser , screening Hood's oncoming battlecruisers, was intercepted by the van of the German scouting forces under Rear-Admiral Boedicker. Heavily outnumbered by Boedicker's four light cruisers, Chester was pounded before being relieved by Hood's heavy units, which swung westward for that purpose. Hood's flagship disabled the light cruiser shortly after 17:56. Wiesbaden became a sitting target for most of the British fleet during the next hour, but remained afloat and fired some torpedoes at the passing enemy battleships from long range. Meanwhile, Boedicker's other ships turned toward Hipper and Scheer in the mistaken belief that Hood was leading a larger force of British capital ships from the north and east. A chaotic destroyer action in mist and smoke ensued as German torpedo boats attempted to blunt the arrival of this new formation, but Hood's battlecruisers dodged all the torpedoes fired at them. In this action, after leading a torpedo counter-attack, the British destroyer was disabled, but continued to return fire at numerous passing enemy ships for the next hour. Fleet action Deployment In the meantime, Beatty and Evan-Thomas had resumed their engagement with Hipper's battlecruisers, this time with the visual conditions to their advantage. With several of his ships damaged, Hipper turned back toward Scheer at around 18:00, just as Beatty's flagship Lion was finally sighted from Jellicoe's flagship Iron Duke. Jellicoe twice demanded the latest position of the German battlefleet from Beatty, who could not see the German battleships and failed to respond to the question until 18:14. Meanwhile, Jellicoe received confused sighting reports of varying accuracy and limited usefulness from light cruisers and battleships on the starboard (southern) flank of his force. Jellicoe was in a worrying position. He needed to know the location of the German fleet to judge when and how to deploy his battleships from their cruising formation (six columns of four ships each) into a single battle line. The deployment could be on either the westernmost or the easternmost column, and had to be carried out before the Germans arrived; but early deployment could mean losing any chance of a decisive encounter. Deploying to the west would bring his fleet closer to Scheer, gaining valuable time as dusk approached, but the Germans might arrive before the manoeuvre was complete. Deploying to the east would take the force away from Scheer, but Jellicoe's ships might be able to cross the "T", and visibility would strongly favour British gunnery – Scheer's forces would be silhouetted against the setting sun to the west, while the Grand Fleet would be indistinct against the dark skies to the north and east, and would be hidden by reflection of the low sunlight off intervening haze and smoke. Deployment would take twenty irreplaceable minutes, and the fleets were closing at full speed. In one of the most critical and difficult tactical command decisions of the entire war, Jellicoe ordered deployment to the east at 18:15. Windy Corner Meanwhile, Hipper had rejoined Scheer, and the combined High Seas Fleet was heading north, directly toward Jellicoe. Scheer had no indication that Jellicoe was at sea, let alone that he was bearing down from the north-west, and was distracted by the intervention of Hood's ships to his north and east. Beatty's four surviving battlecruisers were now crossing the van of the British dreadnoughts to join Hood's three battlecruisers; at this time, Arbuthnot's flagship, the armoured cruiser , and her squadron-mate both charged across Beatty's bows, and Lion narrowly avoided a collision with Warrior. Nearby, numerous British light cruisers and destroyers on the south-western flank of the deploying battleships were also crossing each other's courses in attempts to reach their proper stations, often barely escaping collisions, and under fire from some of the approaching German ships. This period of peril and heavy traffic attending the merger and deployment of the British forces later became known as "Windy Corner". Arbuthnot was attracted by the drifting hull of the crippled Wiesbaden. With Warrior, Defence closed in for the kill, only to blunder right into the gun sights of Hipper's and Scheer's oncoming capital ships. Defence was deluged by heavy-calibre gunfire from many German battleships, which detonated her magazines in a spectacular explosion viewed by most of the deploying Grand Fleet. She sank with all hands (903 officers and men). Warrior was also hit badly, but was spared destruction by a mishap to the nearby battleship Warspite. Warspite had her steering gear overheat and jam under heavy load at high speed as the 5th Battle Squadron made a turn to the north at 18:19. Steaming at top speed in wide circles, Warspite attracted the attention of German dreadnoughts and took 13 hits, inadvertently drawing fire away from the hapless Warrior. Warspite was brought back under control and survived the onslaught, but was badly damaged, had to reduce speed, and withdrew northward; later (at 21:07), she was ordered back to port by Evan-Thomas. Warspite went on to a long and illustrious career, serving also in World War II. Warrior, on the other hand, was abandoned and sank the next day after her crew was taken off at 08:25 on 1 June by Engadine, which towed the sinking armoured cruiser during the night. As Defence sank and Warspite circled, at about 18:19, Hipper moved within range of Hood's 3rd Battlecruiser Squadron, but was still also within range of Beatty's ships. At first, visibility favoured the British: hit Derfflinger three times and Seydlitz once, while Lützow quickly took 10 hits from Lion, and Invincible, including two below-waterline hits forward by Invincible that would ultimately doom Hipper's flagship. But at 18:30, Invincible abruptly appeared as a clear target before Lützow and Derfflinger. The two German ships then fired three salvoes each at Invincible, and sank her in 90 seconds. A shell from the third salvo struck Invincibles Q-turret amidships, detonating the magazines below and causing her to blow up and sink. All but six of her crew of 1,032 officers and men, including Rear-Admiral Hood, were killed. Of the remaining British battlecruisers, only Princess Royal received heavy-calibre hits at this time (two by the battleship Markgraf). Lützow, flooding forward and unable to communicate by radio, was now out of action and began to attempt to withdraw; therefore Hipper left his flagship and transferred to the torpedo boat , hoping to board one of the other battlecruisers later. Crossing the T By 18:30, the main battle fleet action was joined for the first time, with Jellicoe effectively "crossing Scheer's T". The officers on the lead German battleships, and Scheer himself, were taken completely by surprise when they emerged from drifting clouds of smoky mist to suddenly find themselves facing the massed firepower of the entire Grand Fleet main battle line, which they did not know was even at sea. Jellicoe's flagship Iron Duke quickly scored seven hits on the lead German dreadnought, , but in this brief exchange, which lasted only minutes, as few as 10 of the Grand Fleet's 24 dreadnoughts actually opened fire. The Germans were hampered by poor visibility, in addition to being in an unfavourable tactical position, just as Jellicoe had intended. Realising he was heading into a death trap, Scheer ordered his fleet to turn and disengage at 18:33. Under a pall of smoke and mist, Scheer's forces succeeded in disengaging by an expertly executed 180° turn in unison ("battle about turn to starboard", German Gefechtskehrtwendung nach Steuerbord), which was a well-practised emergency manoeuvre of the High Seas Fleet. Scheer declared: Conscious of the risks to his capital ships posed by torpedoes, Jellicoe did not chase directly but headed south, determined to keep the High Seas Fleet west of him. Starting at 18:40, battleships at the rear of Jellicoe's line were in fact sighting and avoiding torpedoes, and at 18:54 was hit by a torpedo (probably from the disabled Wiesbaden), which reduced her speed to . Meanwhile, Scheer, knowing that it was not yet dark enough to escape and that his fleet would suffer terribly in a stern chase, doubled back to the east at 18:55. In his memoirs he wrote, "the manoeuvre would be bound to surprise the enemy, to upset his plans for the rest of the day, and if the blow fell heavily it would facilitate the breaking loose at night." But the turn to the east took his ships, again, directly towards Jellicoe's fully deployed battle line. Simultaneously, the disabled British destroyer HMS Shark fought desperately against a group of four German torpedo boats and disabled with gunfire, but was eventually torpedoed and sunk at 19:02 by the German destroyer . Sharks Captain Loftus Jones was awarded the Victoria Cross for his heroism in continuing to fight against all odds. Turn Of The Battle Commodore Goodenough's 2nd Light Cruiser Squadron dodged the fire of German battleships for a second time to re-establish contact with the High Seas Fleet shortly after 19:00. By 19:15, Jellicoe had crossed Scheer's "T" again. This time his arc of fire was tighter and deadlier, causing severe damage to the German battleships, particularly Rear-Admiral Behncke's leading 3rd Squadron (SMS König, , Markgraf, and all being hit, along with of the 1st Squadron), while on the British side, only the battleship was hit (twice, by Seydlitz but with little damage done). At 19:17, for the second time in less than an hour, Scheer turned his outnumbered and out-gunned fleet to the west using the "battle about turn" (German: Gefechtskehrtwendung), but this time it was executed only with difficulty, as the High Seas Fleet's lead squadrons began to lose formation under concentrated gunfire. To deter a British chase, Scheer ordered a major torpedo attack by his destroyers and a potentially sacrificial charge by Scouting Group I's four remaining battlecruisers. Hipper was still aboard the torpedo boat G39 and was unable to command his squadron for this attack. Therefore, Derfflinger, under Captain Hartog, led the already badly damaged German battlecruisers directly into "the greatest concentration of naval gunfire any fleet commander had ever faced", at ranges down to . In what became known as the "death ride", all the battlecruisers except Moltke were hit and further damaged, as 18 of the British battleships fired at them simultaneously. Derfflinger had two main gun turrets destroyed. The crews of Scouting Group I suffered heavy casualties, but survived the pounding and veered away with the other battlecruisers once Scheer was out of trouble and the German destroyers were moving in to attack. In this brief but intense portion of the engagement, from about 19:05 to about 19:30, the Germans sustained a total of 37 heavy hits while inflicting only two; Derfflinger alone received 14. While his battlecruisers drew the fire of the British fleet, Scheer slipped away, laying smoke screens. Meanwhile, from about 19:16 to about 19:40, the British battleships were also engaging Scheer's torpedo boats, which executed several waves of torpedo attacks to cover his withdrawal. Jellicoe's ships turned away from the attacks and successfully evaded all 31 of the torpedoes launched at them – though, in several cases, only barely – and sank the German destroyer S35, attributed to a salvo from Iron Duke. British light forces also sank V48, which had previously been disabled by HMS Shark. This action, and the turn away, cost the British critical time and range in the last hour of daylight – as Scheer intended, allowing him to get his heavy ships out of immediate danger. The last major exchanges between capital ships in this battle took place just after sunset, from about 20:19 to about 20:35, as the surviving British battlecruisers caught up with their German counterparts, which were briefly relieved by Rear-Admiral Mauve's obsolete pre-dreadnoughts (the German 2nd Squadron). The British received one heavy hit on Princess Royal but scored five more on Seydlitz and three on other German ships. As twilight faded to night and exchanged a few final shots with , neither side could have imagined that the only encounter between British and German dreadnoughts in the entire war was already concluded. Night action and German withdrawal At 21:00, Jellicoe, conscious of the Grand Fleet's deficiencies in night fighting, decided to try to avoid a major engagement until early dawn. He placed a screen of cruisers and destroyers behind his battle fleet to patrol the rear as he headed south to guard Scheer's expected escape route. In reality, Scheer opted to cross Jellicoe's wake and escape via Horns Reef. Luckily for Scheer, most of the light forces in Jellicoe's rearguard failed to report the seven separate encounters with the German fleet during the night; the very few radio reports that were sent to the British flagship were never received, possibly because the Germans were jamming British frequencies. Many of the destroyers failed to make the most of their opportunities to attack discovered ships, despite Jellicoe's expectations that the destroyer forces would, if necessary, be able to block the path of the German fleet. Jellicoe and his commanders did not understand that the furious gunfire and explosions to the north (seen and heard for hours by all the British battleships) indicated that the German heavy ships were breaking through the screen astern of the British fleet. Instead, it was believed that the fighting was the result of night attacks by German destroyers. The most powerful British ships of all (the 15-inch-guns of the 5th Battle Squadron) directly observed German battleships crossing astern of them in action with British light forces, at ranges of or less, and gunners on HMS Malaya made ready to fire, but her captain declined, deferring to the authority of Rear-Admiral Evan-Thomas – and neither commander reported the sightings to Jellicoe, assuming that he could see for himself and that revealing the fleet's position by radio signals or gunfire was unwise. While the nature of Scheer's escape, and Jellicoe's inaction, indicate the overall German superiority in night fighting, the results of the night action were no more clear-cut than were those of the battle as a whole. In the first of many surprise encounters by darkened ships at point-blank range, Southampton, Commodore Goodenough's flagship, which had scouted so proficiently, was heavily damaged in action with a German Scouting Group composed of light cruisers, but managed to torpedo , which went down at 22:23 with all hands (320 officers and men). From 23:20 to approximately 02:15, several British destroyer flotillas launched torpedo attacks on the German battle fleet in a series of violent and chaotic engagements at extremely short range (often under ). At the cost of five destroyers sunk and some others damaged, they managed to torpedo the light cruiser , which sank several hours later, and the pre-dreadnought , which blew up and sank with all hands (839 officers and men) at 03:10 during the last wave of attacks before dawn. Three of the British destroyers collided in the chaos, and the German battleship rammed the British destroyer , blowing away most of the |
B – be – [b] C – ce – [t͡ʃ] D – de – [d] E – e – [e] Ɛ – ɛ – [ɛ] F – ef – [f] G – ge – [g] H – ha – [h] I – i – [i] J – je – [d͡ʒ] K – ka – [k] L – ɛl – [l] M – ɛm – [m] N – ɛn – [n] Ɲ – ɲe – [ɲ] Ŋ – ɛŋ – [ŋ] O – o – [o] Ɔ – ɔ – [ɔ] P – pe – [p] R – ɛr – [r] S – ɛs – [s] T – te – [t] U – u – [u] W – wa – [w] Y – ye – [j] Z – ze – [z] Other letters kh – [ɣ] (used for loanwords from other African languages) -n – nasalises vowel sh – she – [ʃ] (regional variant of s) N'ko orthography Vowels ߊ – a – [a] ߋ – e – [e] ߌ – i – [i] ߍ – ɛ – [ɛ] ߎ – u – [u] ߏ – o – [o] ߐ – ɔ – [ɔ] Consonants ߓ – ba – [b] ߔ – pa – [p] ߕ – ta – [t] ߖ – ja – [d͡ʒ] ߗ – ca – [t͡ʃ] ߘ – da – [d] ߚ/ߙ – ra – [r] ߛ – sa – [s] ߜ? – ga – [g/ʀ/ɣ] ߜ – gba – [ɡ͡b] ߝ – fa – [f] ߞ – ka – [k] ߟ – la – [l] ߡ – ma – [m] ߢ – nya/ɲa – [ɲ] ? – nga/ŋa – [ŋ] ߣ – na – [n] ߥ – wa – [w] ߦ – ya – [j] ߤ – ha – [h] ߒ – nasal vowel – [-̃] Tones ߫ – short high ߬ – short low ߯ – long high ߰ – long low Phonology Consonants Each consonant represents a single sound with some exceptions: "W" is pronounced as in English (e.g. wait) except at the end of a word, when it is the plural mark and is pronounced as [u]. "S" is pronounced most often as in the English word "see" but is sometimes pronounced as "sh" [ʃ] as in the word "shoe" or as [z]. "G" is pronounced most often as in the English word "go" but in the middle of a word, it can be pronounced as in the Spanish word "abogado" ([ɣ]) and sometimes at the beginning of a word as [gw]. Vowels Grammar Bambara is an agglutinative language, meaning that morphemes are glued together to form a word. The basic sentence structure is Subject Object Verb. Take the phrase, "n t'a lon" (I don't know [it]). "n" is the subject (I), "a" is the object (it), and "[ta] lon" is the verb ([to] know). The "t" is from the present tense marker "té." "té" is the negative present tense marker and "bé" is the affirmative present tense marker. Therefore, "n b'a don" would mean "I know it". Bambara is an SOV language and has two (mid/standard and high) tones; e.g. sa 'die' vs. sá 'snake.' The typical argument structure of the language consists of a subject, followed by an aspectival auxiliary, followed by the direct object, and finally a transitive verb. Naturally, if the verb is intransitive, the direct object is absent. Bambara does not inflect for gender. Gender for a noun can be specified by adding an adjective, -cɛ or -kɛ for male and -muso for female. The plural is formed by attaching a vocalic suffix -u, most often with a low tone (in the orthography, -w) to nouns or adjectives. Bambara uses postpositions in much the same manner as languages like English and French use prepositions. These postpositions are found after the noun and are used to express direction, location, and in some cases, possession. Loan words In urban areas, many Bamanankan conjunctions have been replaced in everyday use by French borrowings that often mark code-switches. The Bamako dialect makes use of sentences like: N taara Kita mais il n'y avait personne là-bas. : I went to Kita [Bamanankan ] but there was no one there [French]. The sentence in Bamanankan alone would be Ń taara Kita nka mɔkɔ si tun tɛ yen. The French proposition "est-ce que" is also used in Bamanankan ; however, it is pronounced more slowly and as three syllables, . Bamanankan uses many French loan words. For example, some people might say: I ka kurusi ye jauni ye: "Your skirt is yellow" (using a derivation of the French word for yellow, jaune.) However, one could also say: I ka kulosi ye nɛrɛmukuman ye, also meaning "your skirt is yellow." The original Bamanankan word for yellow comes from "nɛrɛmuku," being flour (muku) made from néré (locust bean), a seed from a long seed pod. Nɛrɛmuku is often used in sauces in Southern Mali. Most French loan words are suffixed with the sound 'i'; this is particularly common when using French words which have a meaning not traditionally found in Mali. For example, the Bamanankan word for snow is niegei, based on the French word for snow neige. As there has never been snow in Mali, there was no unique word in Bamanankan to describe it. Examples Music Malian artists such as Oumou Sangaré, Sidiki Diabaté, Fatoumata Diawara, Rokia Traoré, Ali Farka Touré, Habib Koité and the married duo Amadou & Mariam often sing in Bambara. Lyrics in Bambara occur on Stevie Wonder's Journey Through "The Secret Life of Plants". Additionally, in 2010, Spanish rock group Dover released its 7th studio album I Ka Kené with the majority of lyrics in the language. American rapper Nas also released a track titled "Sabali" in 2010, which featured Damian Marley. Sabali is a Bambara word that means patience. Legal status Bambara is one of several languages designated by Mali as a national language. References Citation Sources Bailleul Ch. Dictionnaire Bambara-Français. 3e édition corrigée. Bamako : Donniya, 2007, 476 p. Bird, Charles, Hutchison, John & | ng or nk. The N'Ko () alphabet is a script devised by Solomana Kante in 1949 as a writing system for the Manding languages of West Africa; N’Ko means 'I say' in all Manding languages. Kante created N’Ko in response to what he felt were beliefs that Africans were a "cultureless people" since prior to this time there had been no indigenous African writing system for his language. N'ko first gained a strong user base around the Maninka-speaking area of Kante's hometown of Kankan, Guinea and disseminated from there into other Manding-speaking parts of West Africa. N'ko and the Arabic script are still in use for Bambara, although only the Latin-based orthography is officially recognized in Mali. Additionally, a script known as Masaba or Ma-sa-ba was developed for the language beginning in 1930 by Woyo Couloubayi (c.1910-1982) of Assatiémala. Named for the first characters in Couloubayi's preferred collation order, Masaba is a syllabary which uses diacritics to indicate vowel qualities such as tone, length, and nasalization. Though not conclusively related to other writing systems, Masaba appears to draw on traditional Bambara iconography and shares some similarities with the Vai syllabary of Liberia and with Arabic-derived secret alphabets used in Hodh (now Hodh El Gharbi and Hodh Ech Chargui Regions of Mauritania). As of 1978, Masaba was in limited use in several communities in Nioro Cercle for accounting, personal correspondence, and the recording of Muslim prayers; the script's current status and prevalence is unknown. Latin orthography It uses seven vowels a, e, ɛ, i, o, ɔ and u, each of which can be nasalized, pharyngealized and murmured, giving a total number of 21 vowels (the letters approximate their IPA equivalents). Writing with the Latin alphabet began during the French colonization, and the first orthography was introduced in 1967. Literacy is limited, especially in rural areas. Although written literature is only slowly evolving (due to the predominance of French as the "language of the educated"), there exists a wealth of oral literature, which is often tales of kings and heroes. This oral literature is mainly tradited by the griots (Jeliw in Bambara) who are a mixture of storytellers, praise singers, and human history books who have studied the trade of singing and reciting for many years. Many of their songs are very old and are said to date back to the old empire of Mali. Alphabet A – a – [a] B – be – [b] C – ce – [t͡ʃ] D – de – [d] E – e – [e] Ɛ – ɛ – [ɛ] F – ef – [f] G – ge – [g] H – ha – [h] I – i – [i] J – je – [d͡ʒ] K – ka – [k] L – ɛl – [l] M – ɛm – [m] N – ɛn – [n] Ɲ – ɲe – [ɲ] Ŋ – ɛŋ – [ŋ] O – o – [o] Ɔ – ɔ – [ɔ] P – pe – [p] R – ɛr – [r] S – ɛs – [s] T – te – [t] U – u – [u] W – wa – [w] Y – ye – [j] Z – ze – [z] Other letters kh – [ɣ] (used for loanwords from other African languages) -n – nasalises vowel sh – she – [ʃ] (regional variant of s) N'ko orthography Vowels ߊ – a – [a] ߋ – e – [e] ߌ – i – [i] ߍ – ɛ – [ɛ] ߎ – u – [u] ߏ – o – [o] ߐ – ɔ – [ɔ] Consonants ߓ – ba – [b] ߔ – pa – [p] ߕ – ta – [t] ߖ – ja – [d͡ʒ] ߗ – ca – [t͡ʃ] ߘ – da – [d] ߚ/ߙ – ra – [r] ߛ – sa – [s] ߜ? – ga – [g/ʀ/ɣ] ߜ – gba – [ɡ͡b] ߝ – fa – [f] ߞ – ka – [k] ߟ – la – [l] ߡ – ma – [m] ߢ – nya/ɲa – [ɲ] ? – nga/ŋa – [ŋ] ߣ – na – [n] ߥ – wa – [w] ߦ – ya – [j] ߤ – ha – [h] ߒ – nasal vowel – [-̃] |
oil wells, of which 2,000 were producing oil at industrial levels. Baku ranked as one of the largest centres for the production of oil industry equipment before World War II. The World War II Battle of Stalingrad was fought to determine who would have control of Baku oil fields. Fifty years before the battle, Baku produced half of the world's oil supply. The oil economy of Baku is undergoing a resurgence, with the development of the massive Azeri-Chirag-Guneshli field (Shallow water Gunashli by SOCAR, deeper areas by a consortium led by BP), development of the Shah Deniz gas field, the expansion of the Sangachal Terminal and the construction of the BTC Pipeline. The Baku Stock Exchange is Azerbaijan's largest stock exchange, and largest in the Caucasian region by market capitalization. A relatively large number of transnational companies are headquartered in Baku. One of the more prominent institutions headquartered in Baku is the International Bank of Azerbaijan, which employs over 1,000 people. International banks with branches in Baku include HSBC, Société Générale and Credit Suisse. Tourism and shopping Baku is one of the most important tourist destinations in the Caucasus, with hotels in the city earning 7 million euros in 2009. Many sizable world hotel chains have a presence in the city. Baku has many popular tourist and entertainment spots, such as the downtown Fountains Square, the One and Thousand Nights Beach, Shikhov Beach and Oil Rocks. Baku's vicinities feature Yanar Dag, an ever-blazing spot of natural gas. On 2 September 2010 with the inauguration of National Flag Square, Baku set the world record for tallest flagpole; on 24 May 2011, the city of Dushanbe in Tajikistan set a new record with a -higher flagpole. A few years later, the Flag Pole was dismantled and the National Flag Square was closed off with fences. Baku has several shopping malls; the most famous city centre malls are Port Baku, Park Bulvar, Ganjlik Mall, Metro Park, 28 MALL, Aygun city and AF MALL. The retail areas contain shops from chain stores up to high-end boutiques. The city is listed 48th in the 2011 list of the most expensive cities in the world conducted by the Mercer Human Resource Consulting. Its Nizami Street and also the Neftchilar Avenue are among the most expensive streets in the world. Culture In 2007 the Heydar Aliyev Cultural Centre, designed by Pritzker Prize-winning architect Zaha Hadid, was opened. Baku also has many museums such as Baku Museum of Modern Art and Azerbaijan State Museum of History, most notably featuring historical artifacts and art. Many of the city's cultural sites were celebrated in 2009 when Baku was designated an Islamic Culture Capital. Baku was chosen to host the Eurovision Dance Contest 2010. It has also become the first city hosting the first European Games in 2015. Theatres Azerbaijan State Academic Opera and Ballet Theatre Azerbaijan State Academic Drama Theatre Azerbaijan State Russian Drama Theatre named after Samad Vurgun Baku Puppet Theatre (formally Azerbaijan State Puppet Theatre named after Abdulla Shaig) Azerbaijan State Theatre of Young Spectators Azerbaijan State Theatre of Musical Comedy Baku State Circus "Oda" Theatre Baku Marionette Theatre Baku Municipal Theatre Azerbaijan State Pantomime Theatre Mugham Azerbaijan National Music Theatre Azerbaijan State Theatre of Song named after Rashid Behbudov "UNS" Theatre "Yugh" Theatre Among Baku's cultural venues are Azerbaijan State Philharmonic Hall, Azerbaijan State Academic Opera and Ballet Theatre. The main movie theatre is Azerbaijan Cinema. Festivals include Baku International Film Festival, Baku International Jazz Festival, Novruz Festival, Gül Bayramı (Flower Festival) and the National Theater Festival. International and local exhibitions are presented at the Baku Expo Centre. , the city along with Ganja and Lankaran participates in Earth Hour movement. Museums The Museum Centre Museum of Archaeology and Ethnography Azerbaijan State Carpet Museum Azerbaijan Museum of Geology Libraries National Library of Azerbaijan ANAS Central Library of Science Presidential Library (former Library of the Armenian Philanthropic Society) Architecture Baku has wildly varying architecture, ranging from the Old City core to modern buildings and the spacious layout of Baku port. Many of the city's landmarks were built during the early 20th century, when architectural elements of the European styles were combined in eclectic style. Baku has an original and unique appearance, earning it a reputation as the 'Paris of the East'. Baku joined UNESCO's Network of Creative Cities as a Design City on 31 October 2019 on the occasion of World Cities' Day. Hamams There are a number of ancient hamams in Baku dating back to the 12th, 14th and 18th centuries. Hamams play a very important role in the architectural appearance of Baku. Teze Bey Hamam Teze Bey is the most popular hamam (traditional bath) in Baku. It was built in 1886 in the centre of Baku and in 2003 it was fully restored and modernised. Along with its modern amenities, Teze Bey features a swimming pool and architectural details inspired by Oriental, Russian and Finnish baths. Gum Hamam Gum Hamam was discovered during archaeological excavations underneath the sand; hence the name: Gum hamam (sand bath). It was built sometime during the 12th–14th centuries. Bairamali hamam In ancient times Bairamali Hamam was called "Bey Hamam". The original structure was built sometime during the 12th–14th centuries and was reconstructed in 1881. Agha Mikayil Hamam Agha Mikayil Hamam was constructed in the 18th century by Haji Agha Mikayil on Kichik Gala Street in the Old City (Icherisheher). It is still operating in its ancient setting. The Hamam is open to women on Mondays and Fridays and to men on the other days of the week. Modern architecture Late modern and postmodern architecture began to appear in the early 2000s. With economic development, old buildings such as Atlant House were razed to make way for new ones. Buildings with all-glass shells have appeared around the city, the most prominent examples being the International Mugham Center, Azerbaijan Tower, Heydar Aliyev Cultural Centre, Flame Towers, Baku Crystal Hall, Baku White City, SOCAR Tower and DENIZ Mall. These projects also caught the attention of international media as notable programmes such as Discovery Channel's Extreme Engineering did pieces focusing in on changes to the city. The Old City of Baku, also known as the Walled City of Baku, refers to the ancient Baku settlement. Most of the walls and towers, strengthened after the Russian conquest in 1806, survived. This section is picturesque, with its maze of narrow alleys and ancient buildings: the cobbled streets past the Palace of the Shirvanshahs, two caravansaries, the baths and the Juma Mosque (which used to house the Azerbaijan National Carpet and Arts Museum but is now a mosque again). The old town core also has dozens of small mosques, often without any particular sign to distinguish them as such. In 2003, UNESCO placed the Inner City on the List of World Heritage in Danger, citing damage from a November 2000 earthquake, poor conservation as well as "dubious" restoration efforts. In 2009 the Inner City was removed from the List of World Heritage in Danger. Visual arts The three main institutions for exhibiting modern and contemporary art in Baku are: Baku Museum of Modern Art Heydar Aliyev Centre Yarat Contemporary Art Space () Music and media The music scene in Baku can be traced back to ancient times and villages of Baku, generally revered as the fountainhead of meykhana and mugham in the Azerbaijan. In recent years, the success of Azerbaijani performers such as AySel, Farid Mammadov, Sabina Babayeva, Safura and Elnur Hüseynov in the Eurovision Song Contest has boosted the profile of Baku's music scene, prompting international attention. Following the victory of Azerbaijan's representative Eldar & Nigar at the Eurovision Song Contest 2011, Baku hosted the Eurovision Song Contest 2012. 2005 was a landmark in the development of Azerbaijani jazz in the city. It has been home to legendary jazz musicians like Vagif Mustafazadeh, Aziza Mustafa Zadeh, Rafig Babayev and Rain Sultanov. Among Baku's prominent annual fairs and festivals is Baku International Jazz Festival, which features some of the world's most identifiable jazz names. Baku also has a thriving International Centre of Mugham, which is located in Baku Boulevard, Gulustan Palace and Buta Palace, one of the principal performing arts centres and music venues in the city. The majority of Azerbaijan's media companies (including television, newspaper and radio, such as, Azad Azerbaijan TV, Ictimai TV, Lider TV and Region TV) are headquartered in Baku. The films The World Is Not Enough and The Diamond Arm are set in the city, while Amphibian Man includes several scenes filmed in Old City. The city's radio stations include: Ictimai Radio, Radio Antenn, Burc FM, Avto FM, ASAN Radio and Lider FM Jazz Some of Baku's newspapers include the daily Azadliq, Zaman (The Time), Bakinskiy Rabochiy (Baku Worker), Echo and the English-language Baku Today. Baku is also featured in the video game Battlefield 4. Nightlife Many clubs that are open until dawn can be found throughout the city. Clubs with an eastern flavour provide special treats from the cuisine of Azerbaijan along with local music. Western-style clubs target younger, more energetic crowds. Most of the public houses and bars are located near Fountains Square and are usually open until the early hours of the morning. Baku is home to restaurants catering to every cuisine and occasion. Restaurants range from luxurious and expensive to ordinary and affordable. In the Lonely Planet "1000 Ultimate Experiences", Baku placed 8th among the top 10 party cities in the world. Parks and gardens Baku has large sections of greenery either preserved by the National Government or designated as green zones. The city, however, continues to lack a green belt development as economic activity pours into the capital, resulting in massive housing projects along the suburbs. Baku Boulevard is a pedestrian promenade that runs parallel to Baku's seafront. The boulevard contains an amusement park, yacht club, musical fountain, statues and monuments. The park is popular with dog-walkers and joggers and is convenient for tourists. It is adjacent to the newly built International Centre of Mugham and the musical fountain. Other parks and gardens include Heydar Aliyev Park, Samad Vurgun Park, Narimanov Park, Alley of Honor and the Fountains Square. The Martyrs' Lane, formerly the Kirov Park, is dedicated to the memory of those who lost their lives during the Nagorno-Karabakh conflict and also to the 137 people killed on Black January. Sports Baku hosts a Formula One race on the Baku City Circuit. The first was the 2016 European Grand Prix, with the track going around the old city. The track measures 6.003 km (3.735 mi), and it has been on the Formula One calendar since its 2016 debut. The city will also host three group games and one quarter-final of the UEFA Euro 2020 European Football Championship. Since 2002, Baku has hosted 36 major sporting events and selected to host the 2015 European Games. Baku is also to host the fourth edition of the Islamic Solidarity Games in 2017. Baku is also one of world's leading chess centres, having produced famous grandmasters like Teimour Radjabov, Vugar Gashimov, Garry Kasparov, Shahriyar Mammadyarov and Rauf Mammadov, as well as the arbiter Faik Hasanov. The city also annually hosts the international tournaments such as Baku Chess Grand Prix, President's Cup, Baku Open and bidding to host 42nd Chess Olympiad in 2014. First class sporting facilities were built for the indoor games, including the Palace of Hand Games and Heydar Aliyev Sports and Exhibition Complex. It hosted many sporting events, including FIFA U-17 Women's World Cup, Rhythmic Gymnastics European Championships in 2007 and 2009, 2005 World Rhythmic Gymnastics Championships, 2007 FILA Wrestling World Championships and 2010 European Wrestling Championships, 2011 World Amateur Boxing Championships, 2009 Women's Challenge Cup and European Taekwondo Championships in 2007. Since 2011 the city annually hosts WTA tennis event called Baku Cup. The Synergy Baku Cycling Project participates in the Tour d'Azerbaïdjan a 2.2 multi-stage bicycle race on the UCI Europe Tour. Baku made a bid to host the 2016 Summer Olympics and 2020 Summer Olympics, but failed to become a Candidate City both times. The largest sports hub in the city is Baku Olympic Stadium with 68,700 seating capacity whose construction was completed in 2015. UEFA Europa League Final 2019 was played at the Olympic Stadium in Baku on 29 May 2019 between English sides Chelsea and Arsenal. The city's three main football clubs are Neftchi Baku, Inter Baku and Qarabağ FK of whom first has eight Premier League titles making Neftchi the most successful Azerbaijani football club. Baku also has several football clubs in the premier and regional leagues, including AZAL and Ravan in Premier League. The city's second largest stadium, Tofiq Bahramov Stadium hosts a number of domestic and international competitions and was the main sports centre of the city for a long period until the construction of Baku Olympic Stadium. In the Azerbaijan Women's Volleyball Super League, Baku is represented by Rabita Baku, Azerrail Baku, Lokomotiv Baku and Azeryol Baku. Transport Throughout history the transport system of Baku used the now-defunct horsecars, trams and narrow gauge railways. , 1,000 black cabs are ordered by Baku Taxi Company, and as part of a programme originally announced by the Transport Ministry of Azerbaijan, there is a plan to introduce London cabs into Baku. The move was part of £16 million agreement between Manganese Bronze subsidiary LTI Limited and Baku Taxi Company. Local rail transport includes the Baku Funicular and the Baku Metro, a rapid-transit system notable for its art, murals, mosaics and ornate chandeliers. Baku Metro was opened in November 1967 and includes 3 lines and 25 stations at present; 170 million people used Baku Metro over the past five years. In 2008, the Chief of Baku Metro, Taghi Ahmadov, announced plans to construct 41 new stations over the next 17 years. These will serve the new bus complex as well as the international airport. In 2019, the Baku suburban railway opened. BakuCard is a single Smart Card for payment on all types of city transport. The intercity buses and metro use this type of card-based fare-payment system. Baku Railway Station is the terminus for national and international rail links to the city. The Kars–Tbilisi–Baku railway, which directly connects Turkey, Georgia and Azerbaijan, began to be constructed in 2007 and opened in 2017. The completed branch will connect Baku with Tbilisi in Georgia, and from there trains will continue to Akhalkalaki, and Kars in Turkey. Sea transport is vital for Baku, as the city is practically surrounded by the Caspian Sea to the east. Shipping services operate regularly from Baku across the Caspian Sea to Turkmenbashi (formerly Krasnovodsk) in Turkmenistan and to Bandar Anzali and Bandar Nowshar in Iran. The commuter ferries, along with the high-speed catamaran Seabus (Deniz Avtobusu), also form the main connection between the city and the Absheron peninsula. Baku Port was founded in 1902 and claims to be the largest Caspian Sea port. It has six facilities: the main cargo terminal, the container terminal, the ferry terminal, the oil terminal, the passenger terminal and the port fleet terminal. The port's throughput capacity reaches 15 million tonness of liquid bulk and up to 10 million tons of dry cargoes. In 2010, the Baku International Sea Trade Port began to be reconstructed. The construction was planned to take place in three stages and to be completed by 2016. The estimated costs were 400 Million US$. From April to November Baku Port is accessible to ships loading cargoes for direct voyages from Western European and Mediterranean ports. The State Road M-1 and the European route E60 are the two main motorway connections between Europe and Azerbaijan. The motorway network around Baku is well developed and is constantly being extended. The Heydar Aliyev International Airport is the only commercial airport serving Baku. The new Baku Cargo Terminal was officially opened in March 2005. It was constructed to be a major cargo hub in the CIS countries and is actually now one of the biggest and most technically advanced in the region. There are also several smaller military airbases near Baku, such as Baku Kala Air Base, intended for private aircraft, helicopters and charters. Education Baku State University, the first established university in Azerbaijan was opened in 1919 by the government of the Azerbaijan Democratic Republic. In the early years of the Soviet era, Baku already had Azerbaijan State Oil Academy, Azerbaijan Medical University and Azerbaijan State Economic University. In the post-WWII period, a few more universities were established such as Azerbaijan Technical University, Azerbaijan University of Languages and the Azerbaijan Architecture and Construction University. After 1991 when Azerbaijan gained independence from the Soviet Union, the fall of communism led to the development of a number of private institutions, including Qafqaz University and Khazar University which are considered the most prestigious academic institutions. Apart from the private universities, the government established the Academy of Public Administration, the Azerbaijan Diplomatic Academy and various military academies. The largest universities according to the student population are Baku State University and Azerbaijan State Economic University. In addition, there are the Baku Music Academy and the Azerbaijan National Conservatoire in Baku established in the early 1920s. Publicly run kindergartens and elementary schools (years 1 through 11) are operated by local wards or municipal offices. The Azerbaijan National Academy of Sciences, the main state research organisation in Azerbaijan is locating in Baku as well. Moreover, Baku has numerous libraries, many of which contain vast collections of historic documents from the Roman, Byzantine, Ottoman and Soviet periods, as well as from other civilisations of the past. The most important libraries in terms of historic document collections include the Nizami Museum of Azerbaijan | traders from all across the world during the Early modern period,; commerce was active and the area prospered. Notably, traders from the Indian subcontinent established themselves in the region. These Indian traders built the Ateshgah of Baku during 17th–18th centuries; the temple was used as a Hindu, Sikh, and Zoroastrian place of worship. Downfall of the Safavids and the Khanate of Baku The Safavids temporarily lost power in Iran in 1722; Emperor Peter the Great of Russia took advantage of the situation and invaded; and as a result the Safavids were forced to cede Baku to Russia. By 1730 the situation had deteriorated for the Russians; the successes of Nader Shah () led them to sign the Treaty of Ganja near Ganja on 10 March 1735, ceding the city and all other conquered territories in the Caucasus back to Iran. The eruption of instability following Nader Shah's death in 1747 gave rise to the various Caucasian khanates. The semi-autonomous Persian-ruled Baku Khanate (1747-1806) was one of these. Initially ruled by Mirza Muhammed Khan (), it soon became a dependency of the much stronger Quba Khanate. During this time, the population of Baku remained small (approximately 5,000), and the economy suffered as a result of constant warfare. Russo-Persian Wars and Iran's forced cession From the late 18th century, Imperial Russia switched to a more aggressive geopolitical stance towards its two neighbours and rivals to the south, namely Iran and the Ottoman Empire. In the spring of 1796, by Catherine II's order, General Valerian Zubov's troops started a large campaign against Qajar Persia. Zubov had sent 13,000 men to capture Baku, and it was overrun subsequently without any resistance. On 13 June 1796, a Russian flotilla entered Baku Bay, and a garrison of Russian troops was stationed inside the city. Later, however, Emperor Paul I of Russia ordered the cessation of the campaign and the withdrawal of Russian forces following the death of his predecessor, Catherine the Great. In March 1797 the tsarist troops left Baku and the city became part of Qajar Iran again. In 1813, following the Russo-Persian War of 1804–1813, Qajar Iran had to sign the Treaty of Gulistan with Russia this provided for the cession of Baku and of most of Iran's territories in the North Caucasus and South Caucasus to Russia. During the next and final bout of hostilities between the two, the Russo-Persian War of 1826–1828, the Iranians briefly recaptured Baku. However, the militarily superior Russians ended this war with a victory as well, and the resulting Treaty of Turkmenchay (1828) made Baku's inclusion in the Russian Empire definite. When Baku was occupied by the Russian troops during the war of 1804–13, nearly the entire population of some 8,000 people was ethnic Tat. Discovery of oil The Russians built the first oil-distilling factory in Balaxani in 1837. The first person to drill oil in Baku was an ethnic Armenian Ivan Mirzoev, who is also known as a 'founding father of Baku's oil industry.' Digging for oil began in the mid-1800s, with the first oil well drilled in the Bibi-Heybat suburb of Baku in 1846. It was mechanically drilled, though a number of hand-dug wells pre-dated it. Large-scale oil exploration started in 1872 when Russian imperial authorities auctioned parcels of oil-rich land around Baku to private investors. The pioneer of oil extracting from the bottom of the sea was the Polish geologist Witold Zglenicki. Soon after, investors appeared in Baku, including the Nobel Brothers in 1873 and the Rothschilds in 1882. An industrial area of oil refineries, better known as Black Town (), developed near Baku by the early 1880s. Professor A. V. Williams Jackson of Columbia University wrote in his work From Constantinople to the Home of Omar Khayyam (1911): By the beginning of the 20th century, half of the oil sold in international markets was extracted in Baku. The oil boom contributed to the massive growth of Baku. Between 1856 and 1910 Baku's population grew at a faster rate than that of London, Paris or New York. Unrest at the time of the 1905 Revolution resulted in massacres among the population and the destruction of many oil facilities. World War I In 1917, after the October Revolution and amidst the turmoil of World War I and the breakup of the Russian Empire, Baku came under the control of the Baku Commune, led by the veteran Bolshevik Stepan Shahumyan. Seeking to capitalize on the existing ethnic conflicts, by spring 1918, Bolsheviks inspired and condoned civil warfare in and around Baku. During the famous March Days of 1918, Bolsheviks and Dashnaks, seeking to establish control over Baku streets, faced armed Azerbaijani groups. The Azerbaijanis suffered defeat from the united forces of the Baku Soviet and were massacred by Dashnak teams in what was called the March Days. An estimated 3,000–12,000 Azerbaijanis were killed in their own capital. After the massacre, on 28 May 1918, the Azerbaijani faction of the Transcaucasian Sejm proclaimed the independence of the Azerbaijan Democratic Republic (ADR) in Ganja, thereby founding the first Muslim-majority democratic and secular republic. The newly independent Azerbaijani republic, being unable to defend the independence of the country on their own, asked the Ottoman Empire for military support in accordance with clause 4 of the treaty between the two countries. Shortly after, Azerbaijani forces, with support of the Ottoman Army of Islam led by Nuru Pasha, started their advance on Baku, eventually capturing the city from the loose coalition of Bolsheviks, SRs, Dashnaks, Mensheviks and British forces under the command of General Lionel Dunsterville on 15 September 1918. After the Battle of Baku of August–September 1918, the Azerbaijani irregular troops, with the tacit support of the Turkish command, conducted four days of pillaging and killing of 10,000 to 30,000 of the Armenian residents of Baku. This pogrom became known as the "September Days". Shortly after this, Baku was proclaimed the new capital of the Azerbaijan Democratic Republic. The Ottoman Empire, recognising defeat in World War I by October 1918, signed the Armistice of Mudros with the British (30 October 1918); this meant the evacuation of Turkish forces from Baku. Headed by General William Thomson, some 5,000 British troops, including parts of the former Dunsterforce, arrived in Baku on 17 November. Thomson declared himself military governor of Baku and implemented martial law in the city until "the civil power would be strong enough to release the forces from the responsibility to maintain the public order". British forces left before the end of 1919. Soviet period The independence of the Azerbaijani republic was a significant but short-lived chapter in Baku's history. On 28 April 1920, the 11th Red Army invaded Baku and reinstalled the Bolsheviks, making Baku the capital of the Azerbaijan Soviet Socialist Republic. The city underwent many major changes. As a result, Baku played a great role in many branches of Soviet life. Baku was the major oil city of the Soviet Union. From about 1921 the city was headed by the Baku City Executive Committee, commonly known in Russian as Bakgorispolkom. Together with Baku Party Committee (known as the Baksovet), it developed the economic significance of the Caspian metropolis. From 1922 to 1930 Baku became the venue for one of the major trade fairs of the Soviet Union, serving as a commercial bridgehead to Iran and the Middle East. World War II The major powers continued to note Baku's growing importance as a major energy hub. During World War II (1939-1945) and particularly during the 1942 Nazi German invasion of the southwestern Soviet Union, Baku became of vital strategic importance to the Axis powers. In fact, capturing the oil fields of Baku was a primary goal of the Wehrmacht's Operation Edelweiss, carried out between May and November 1942. However, the German Army reached only a point some northwest of Baku in November 1942, falling far short of the city's capture before being driven back during the Soviet Operation Little Saturn in mid-December 1942. Fall of the Soviet Union and later After the 1991 dissolution of the Soviet Union, Baku embarked on a process of restructuring on a scale unseen in its history. Thousands of buildings from the Soviet period were demolished to make way for a green belt on its shores; parks and gardens were built on the land reclaimed by filling up the beaches of the Baku Bay. Improvements were made in general cleaning, maintenance, and garbage collection, and these services are now at Western European standards. The city is growing dynamically and developing at full speed on an east–west axis along the shores of the Caspian Sea. Sustainability has become a key factor in future urban development. Geography Baku is situated on the western coast of Caspian Sea. In the vicinity of the city there are a number of mud volcanoes (Keyraki, Bogkh-bogkha, Lokbatan and others) and salt lakes (Boyukshor, Khodasan and so on). Climate Baku has a temperate semi-arid climate (Köppen climate classification: BSk) with hot and humid summers, cool and occasionally wet winters, and strong winds all year long. However, unlike many other cities with such climate features, Baku does not see extremely hot summers and substantial sunshine hours. This is largely because of its northerly latitude and the fact that it is located on a peninsula on the shore of the Caspian Sea. Baku, and the Absheron Peninsula on which it is situated, is the most arid part of Azerbaijan (precipitation here is around or less than a year). The majority of the light annual precipitation occurs in seasons other than summer, but none of these seasons is particularly wet. During Soviet times, Baku, with its long hours of sunshine and dry healthy climate, was a vacation destination where citizens could enjoy beaches or relax in now-dilapidated spa complexes overlooking the Caspian Sea. The city's past as a Soviet industrial centre left it one of the most polluted cities in the world, . At the same time Baku is noted as a very windy city throughout the year, hence the city's nickname the "City of Winds", and gale-force winds, the cold northern wind khazri and the warm southern wind gilavar are typical here in all seasons. Indeed, the city is renowned for its fierce winter snow storms and harsh winds. The speed of the khazri sometimes reaches 144 km/h (89 mph), which can cause damage to crops, trees and roof tiles. The daily mean temperature in July and August averages , and there is very little rainfall during that season. During summer the khazri sweeps through, bringing desired coolness. Winter is cool and occasionally wet, with the daily mean temperature in January and February averaging . During winter the khazri sweeps through, driven by polar air masses; temperatures on the coast frequently drop below freezing and make it feel bitterly cold. Winter snow storms are occasional; snow usually melts within a few days after each snowfall. Administrative divisions Today, Baku is divided into 12 rayonlar (sub-rayons) (administrative districts) and 5 settlements of city type. (Azeri spellings are in brackets.) Binagadi (Binəqədi) raion (formerly Kirov) Garadagh (Qaradağ) raion Khatai (Xətai) raion Khazar (Xəzər) raion (formerly Azizbekov) Narimanov (Nərimanov) raion Nasimi (Nəsimi) raion Nizami raion Pirallahi raion Sabail raion Sabunchu (Sabunçu) raion Surakhany (Suraxanı) raion Yasamal raion Demographics Until 1988, Baku had very large Russian, Armenian, and Jewish populations which contributed to cultural diversity and added in various ways (music, literature, architecture and progressive outlook) to Baku's history. With the onset of the First Nagorno-Karabakh War and the pogrom against Armenians starting in January 1990, the city's large Armenian population was expelled. Under Communism, the Soviets took over the majority of Jewish property in Baku and Kuba. After the collapse of the Soviet Union, Azerbaijani President Heydar Aliyev returned several synagogues and a Jewish college, nationalised by the Soviets, to the Jewish community; he encouraged the restoration of these buildings. Renovation has begun on seven of the original 11 synagogues, including the Gilah synagogue, built in 1896, and the large Kruei Synagogue. Ethnic groups Today the vast majority of the population of Baku are ethnic Azerbaijanis (more than 90%). The intensive growth of the population started in the middle of the 19th century when Baku was a small town with a population of about 7,000 people. The population increased again from about 13,000 in the 1860s to 112,000 in 1897 and 215,000 in 1913, making Baku the largest city in the Caucasus region. Baku has been a cosmopolitan city at certain times during its history, meaning ethnic Azerbaijanis did not constitute the majority of population. In 2003 Baku additionally had 153,400 internally displaced persons and 93,400 refugees. Religion The religion with the largest community of followers is Islam. The majority of the Muslims are Shia Muslims, and the Republic of Azerbaijan has the second highest Shia population percentage in the world after Iran. The city's notable mosques include Juma Mosque, Bibi-Heybat Mosque, Muhammad Mosque and Taza Pir Mosque. There are some other faiths practised among the different ethnic groups within the country. By article 48 of its Constitution, Azerbaijan is a secular state and ensures religious freedom. Religious minorities include Russian Orthodox Christians, Catholic Levantines, Georgian Orthodox Christians, Albanian-Udi Apostolic Christians, Lutherans, Ashkenazi Jews and Sufi Muslims. Baku is the seat of the Catholic Apostolic Prefecture of Azerbaijan. Zoroastrianism, although extinct in the city as well as in the rest of the country by the present time, had a long history in Azerbaijan and the Zoroastrian New Year (Nowruz) continues to be the main holiday in the city as well as in the rest of Azerbaijan. Economy Baku's largest industry is petroleum, and its petroleum exports make it a large contributor to Azerbaijan's balance of payments. The existence of petroleum has been known since the 8th century. In the 10th century, the Arabian traveler, Marudee, reported that both white and black oil were being extracted naturally from Baku. By the 15th century, oil for lamps was obtained from hand-dug surface wells. Commercial exploitation began in 1872, and by the beginning of the 20th century the Baku oil fields were the largest in the world. Towards the end of the 20th century, much of the onshore petroleum had been exhausted, and drilling had extended into the sea offshore. By the end of the 19th century skilled workers and specialists flocked to Baku. By 1900 the city had more than 3,000 oil wells, of which 2,000 were producing oil at industrial levels. Baku ranked as one of the largest centres for the production of oil industry equipment before World War II. The World War II Battle of Stalingrad was fought to determine who would have control of Baku oil fields. Fifty years before the battle, Baku produced half of the world's oil supply. The oil economy of Baku is undergoing a resurgence, with the development of the massive Azeri-Chirag-Guneshli field (Shallow water Gunashli by SOCAR, deeper areas by a consortium led by BP), development of the Shah Deniz gas field, the expansion of the Sangachal Terminal and the construction of the BTC Pipeline. The Baku Stock Exchange is Azerbaijan's largest stock exchange, and largest in the Caucasian region by market capitalization. A relatively large number of transnational companies are headquartered in Baku. One of the more prominent institutions headquartered in Baku is the International Bank of Azerbaijan, which employs over 1,000 people. International banks with branches in Baku include HSBC, Société Générale and Credit Suisse. Tourism and shopping Baku is one of the most important tourist destinations in the Caucasus, with hotels in the city earning 7 million euros in 2009. Many sizable world hotel chains have a presence in the city. Baku has many popular tourist and entertainment spots, such as the downtown Fountains Square, the One and Thousand Nights Beach, Shikhov Beach and Oil Rocks. Baku's vicinities feature Yanar Dag, an ever-blazing spot of natural gas. On 2 September 2010 with the inauguration of National Flag Square, Baku set the world record for tallest flagpole; on 24 May 2011, the city of Dushanbe in Tajikistan set a new record with a -higher flagpole. A few years later, the Flag Pole was dismantled and the National Flag Square was closed off with fences. Baku has several shopping malls; the most famous city centre malls are Port Baku, Park Bulvar, Ganjlik Mall, Metro Park, 28 MALL, Aygun city and AF MALL. The retail areas contain shops from chain stores up to high-end boutiques. The city is listed 48th in the 2011 list of the most expensive cities in the world conducted by the Mercer Human Resource Consulting. Its Nizami Street and also the Neftchilar Avenue are among the most expensive streets in the world. Culture In 2007 the Heydar Aliyev Cultural Centre, designed by Pritzker Prize-winning architect Zaha Hadid, was opened. Baku also has many museums such as Baku Museum of Modern Art and Azerbaijan State Museum of History, most notably featuring historical artifacts and art. Many of the city's cultural sites were celebrated in 2009 when Baku was designated an Islamic Culture Capital. Baku was chosen to host the Eurovision Dance Contest 2010. It has also become the first city hosting the first European Games in 2015. Theatres Azerbaijan State Academic Opera and Ballet Theatre Azerbaijan State Academic Drama Theatre Azerbaijan State Russian Drama Theatre named after Samad Vurgun Baku Puppet Theatre (formally Azerbaijan State Puppet Theatre named after Abdulla Shaig) Azerbaijan State Theatre of Young Spectators Azerbaijan State Theatre of Musical Comedy Baku State Circus "Oda" Theatre Baku Marionette Theatre Baku Municipal Theatre Azerbaijan State Pantomime Theatre Mugham Azerbaijan National Music Theatre Azerbaijan State Theatre of Song named after Rashid Behbudov "UNS" Theatre "Yugh" Theatre Among Baku's cultural venues are Azerbaijan State Philharmonic Hall, Azerbaijan State Academic Opera and Ballet Theatre. The main movie theatre is Azerbaijan Cinema. Festivals include Baku International Film Festival, Baku International Jazz Festival, Novruz Festival, Gül Bayramı (Flower Festival) and the National Theater Festival. International and local exhibitions are presented at the Baku Expo Centre. , the city along with Ganja and Lankaran participates in Earth Hour movement. Museums The Museum Centre Museum of Archaeology and Ethnography Azerbaijan State Carpet Museum Azerbaijan Museum of Geology Libraries National Library of Azerbaijan ANAS Central Library of Science Presidential Library (former Library of the Armenian Philanthropic Society) Architecture Baku has wildly varying architecture, ranging from the Old City core to modern buildings and the spacious layout of Baku port. Many of the city's landmarks were built during |
the early 18th century the term appeared in Ukrainian documents, where it sounded like "Balabaika". Balalaika appeared in "Elysei", a 1771 poem by V. Maikov. In the 19th century, the balalaika evolved into a triangular instrument with a neck that was substantially shorter than that of its Asian counterparts. It was popular as a village instrument for centuries, particularly with the skomorokhs, sort of free-lance musical jesters whose tunes ridiculed the Tsar, the Russian Orthodox Church, and Russian society in general. The Andreyev period In the 1880s, Vasily Vasilievich Andreyev, who was then a professional violinist in the music salons of St Petersburg, developed what became the standardized balalaika, with the assistance of violin maker V. Ivanov. The instrument began to be used in his concert performances. A few years later, St. Petersburg craftsman Paserbsky further refined the instruments by adding a fully chromatic set of frets and also a number of balalaikas in orchestral sizes with the tunings now found in modern instruments. One of the reasons why the instruments were not standardised, was because people in the outlying areas built their own instruments because there was so little communication for them. There were no roads and weather conditions were generally bad. Andreyev patented the design and arranged numerous traditional Russian folk melodies for the orchestra. He also composed a body of concert pieces for the instrument. Balalaika orchestra The end result of Andreyev's labours was the establishment of an orchestral folk tradition in Tsarist Russia, which later grew into a movement within the Soviet Union. The balalaika orchestra in its full form consists of balalaikas, domras, gusli, bayan, Vladimir Shepherd's Horns, garmoshkas and several types of percussion instruments. With the establishment of the Soviet system and the entrenchment of a proletarian cultural direction, the culture of the working classes (which included that of village labourers) was actively supported by the Soviet establishment. The concept of the balalaika orchestra was adopted wholeheartedly by the Soviet government as something distinctively proletarian (that is, from the working classes) and was also deemed progressive. Significant amounts of energy and time were devoted to support and foster the formal study of the balalaika, from which highly skilled ensemble groups such as the Osipov State Russian Folk Orchestra emerged. Balalaika virtuosi such as Boris Feoktistov and Pavel Necheporenko became stars both inside and outside the Soviet Union. The movement was so powerful that even the renowned Red Army Choir, which initially used a normal symphonic orchestra, changed its instrumentation, replacing violins, violas, and violoncellos with orchestral balalaikas and domras. Solo instrument Often musicians perform solo on the balalaika. In particular, Alexey Arkhipovsky is well known for his solo performances. In particular, he was invited to play at the opening ceremony of the second semi final of the Eurovision Song Contest 2009 in Moscow because the organizers wanted to give a "more Russian appearance" to the contest. Notable players See Category: Russian balalaika players (English Wikipedia) and a larger one in Russian Категория:Балалаечники России Vasily Andreyev Alexey Arkhipovsky (video on YouTube) Elina Karokhina In popular culture Through the 20th century, interest in Russian folk instruments grew outside of Russia, likely as a result of western tours by Andreyev and other balalaika virtuosi early in the century. Significant balalaika associations are found in Washington, D.C., Los Angeles, New York, Atlanta and Seattle. Ian Anderson plays balalaika on two songs from the 1969 Jethro Tull album Stand Up: "Jeffrey Goes to Leicester Square" and "Fat Man". Wes Anderson's 2014 film The Grand Budapest Hotel (winner of the 87th Academy Award for Best Original Score) employs many balalaikas in both Alexandre Desplat's original score and several sound-track recordings by the Osipov State Russian Folk Orchestra. Oleg Bernov of the Russian-American rock band the Red Elvises played a red electrified contrabass balalaika during the band's North American tours. Dejah Sandoval currently tours with the Red Elvises and plays the bass balalaika. Kate Bush, featured the balalaika (played by her brother Paddy Bush) in two of her Top-40 singles, "Babooshka" and "Running Up That Hill". Katzenjammer, the Norwegian all-girl pop band, uses two contrabass balalaikas, both of which have cat faces painted on the front. They are named Børge and Akerø. David Lean's 1965 film Doctor Zhivago features balalaika prominently in the score and the plot. VulgarGrad, an Australian band fronted by actor Jacek Koman, plays songs of the Russian criminal underground, and uses a contrabass balalaika. RebbeSoul plays the balalaika on numerous songs on the RebbeSoul albums Fringe Of Blue, RebbeSoul-O, Change The World With A Sound, and From Another World. He also plays the balalaika on the Common Tongue album, Step Into My Word and on the Shlomit & RebbeSoul album, The Seal Of Solomon. The instrument is featured in the episode "The Secret War" of the 2019 Netflix series "Love, Death & Robots" The instrument is used alongside a piano and an accordion in the piece "A Journey" from the soundtrack of the 2013 animation "The Wind Rises" Selo i Ludy, a Ukrainian folk band, utilises the balalaika The instrument makes a brief appearance in Charlie Chaplin's 1931 film "City Lights" The Beatles reference the balalaika in the song, "Back in the USSR." The Scorpions make reference to the balalaika in the song "Wind of Change" The balalaika is played in Boris the Blade Theme from the 2000 comedy crime film "Snatch" directed by Guy Ritchie See also Domra Gibson Flying V Timeline of Russian innovation References Блок В. Оркестр русских народных инструментов. Москва, 1986. Имханицкий | of animal gut and tied to the neck so that they could be moved around by the player at will (as is the case with the modern saz, which allows for the playing distinctive to Turkish and Central Asian music). The first known document mentioning the instrument dates back to 1688. A guard's logbook from the Moscow Kremlin records that two commoners were stopped from playing the Balalaika whilst drunk. Further documents from 1700 and 1714 also mention the instrument. In the early 18th century the term appeared in Ukrainian documents, where it sounded like "Balabaika". Balalaika appeared in "Elysei", a 1771 poem by V. Maikov. In the 19th century, the balalaika evolved into a triangular instrument with a neck that was substantially shorter than that of its Asian counterparts. It was popular as a village instrument for centuries, particularly with the skomorokhs, sort of free-lance musical jesters whose tunes ridiculed the Tsar, the Russian Orthodox Church, and Russian society in general. The Andreyev period In the 1880s, Vasily Vasilievich Andreyev, who was then a professional violinist in the music salons of St Petersburg, developed what became the standardized balalaika, with the assistance of violin maker V. Ivanov. The instrument began to be used in his concert performances. A few years later, St. Petersburg craftsman Paserbsky further refined the instruments by adding a fully chromatic set of frets and also a number of balalaikas in orchestral sizes with the tunings now found in modern instruments. One of the reasons why the instruments were not standardised, was because people in the outlying areas built their own instruments because there was so little communication for them. There were no roads and weather conditions were generally bad. Andreyev patented the design and arranged numerous traditional Russian folk melodies for the orchestra. He also composed a body of concert pieces for the instrument. Balalaika orchestra The end result of Andreyev's labours was the establishment of an orchestral folk tradition in Tsarist Russia, which later grew into a movement within the Soviet Union. The balalaika orchestra in its full form consists of balalaikas, domras, gusli, bayan, Vladimir Shepherd's Horns, garmoshkas and several types of percussion instruments. With the establishment of the Soviet system and the entrenchment of a proletarian cultural direction, the culture of the working classes (which included that of village labourers) was actively supported by the Soviet establishment. The concept of the balalaika orchestra was adopted wholeheartedly by the Soviet government as something distinctively proletarian (that is, from the working classes) and was also deemed progressive. Significant amounts of energy and time were devoted to support and foster the formal study of the balalaika, from which highly skilled ensemble groups such as the Osipov State Russian Folk Orchestra emerged. Balalaika virtuosi such as Boris Feoktistov and Pavel Necheporenko became stars both inside and outside the Soviet Union. The movement was so powerful that even the renowned Red Army Choir, which initially used a normal symphonic orchestra, changed its instrumentation, replacing violins, violas, and violoncellos with orchestral balalaikas and domras. Solo instrument Often musicians perform solo on the balalaika. In particular, Alexey Arkhipovsky is well known for his solo performances. In particular, he was invited |
back several floors for use by its own operations in Hong Kong. Favouritism controversy The Government had apparently given preferential treatment to Chinese companies, and was again criticised for the apparent preferential treatment to the BOCHK. The price paid was half the amount of the 6,250 m2 Admiralty II plot, for which the MTR Corporation paid HK$1.82 billion in cash. The BOC would make initial payment of $60 million, with the rest payable over 13 years at 6% interest. The announcement of the sale was also poorly handled, and a dive in business confidence ensued. The Hang Seng Index fell 80 points, and the HK$ lost 1.5% of its value the next day. Construction The tower was built by Japanese contractor Kumagai Gumi. Superstructure work began in May 1986. The tower is a steel-frame structure. The Tiananmen Square protests of 1989 interrupted publicity surrounding the building's design and construction. A press conference scheduled for 24 May 1989, two weeks before the incident, was intended to show off the building's "designer socialist furnishings", but was called off as the student demonstrations in Beijing escalated. The public relations firm that organised the conference explained to the South China Morning Post that "under the circumstances, it has been decided to stop any publicity to do with the Bank of China." Once developed, gross floor area was expected to be 100,000 m2. The original project was intended for completion on the auspicious date of 8 August 1988. However, owing to project delays, groundbreaking took place in March 1985, almost two years late. It was topped out in 1989, and occupied on 15 June 1990. Design Designed by Pritzker Prize-winning architect I. M. Pei, the building is high with two masts reaching high. The 72-storey building is located near Central MTR station. This was the tallest building in Hong Kong and Asia from 1990 to 1992, the first building outside the United States to break the 305 m (1,000 ft) mark, and the first composite space frame high-rise building. That also means it was the tallest outside the United States from its completion year, 1990. It is now the fourth tallest skyscraper in Hong Kong, after International Commerce Centre, Two International Finance Centre and Central Plaza. A small observation deck on the 43rd floor of the building was once open to the public, but is now closed. The whole structure is supported by the four steel columns at the corners of the building, with the triangular frameworks transferring the weight of the structure onto these four columns. It is covered with glass curtain walls. While its distinctive look makes it one of Hong Kong's most identifiable landmarks today, it was the source of some controversy at one time, as the bank is the only major building in Hong Kong to have bypassed the convention of consulting with feng shui masters on matters of design prior to construction. The building has been criticised by some practitioners of feng shui for its sharp edges and its negative symbolism by the numerous 'X' shapes in its original design, though Pei modified the design to some degree | The whole structure is supported by the four steel columns at the corners of the building, with the triangular frameworks transferring the weight of the structure onto these four columns. It is covered with glass curtain walls. While its distinctive look makes it one of Hong Kong's most identifiable landmarks today, it was the source of some controversy at one time, as the bank is the only major building in Hong Kong to have bypassed the convention of consulting with feng shui masters on matters of design prior to construction. The building has been criticised by some practitioners of feng shui for its sharp edges and its negative symbolism by the numerous 'X' shapes in its original design, though Pei modified the design to some degree before construction following this feedback. The building's profile from some angles resembles that of a meat cleaver and it is sometimes referred to as a "vertical knife". This earned it the nickname "一把刀" (Yaat Baa Dou) in Cantonese, literally meaning 'One Knife'. Transport The Bank of China Tower can be accessed by the Mass Transit Railway (MTR) by walking through Chater Garden from Central station Exit J2. In popular culture In the 2012 film Battleship, the building is torn in half by a crashing alien spaceship and its spire falls into the streets of Hong Kong, killing many people. In Star Trek: Voyager, the building is used as the exterior of Starfleet Communications Research Center. The building is seen on the attraction It's a Small World at Hong Kong Disneyland. The building was featured in the film Transformers: Age of Extinction, where Bumblebee and Dinobot Strafe makes their final stand against the Decepticon drone Stinger. The building appears in Cardcaptor Sakura: The Movie for several scenes. The building was featured in the 2003 video game SimCity 4 as a placeable landmark. See also Bank of China Building, the old headquarters of the Bank of China List of tallest buildings in Hong Kong List of buildings and structures in Hong Kong List of tallest freestanding structures References External links About BOC Tower on Bank of China (Hong Kong) website Great Buildings Online site on BOC Tower Buildable paper model of the tower Elevator Layout Branch Details for Hong Kong Bank of China Tower Bank buildings in Hong Kong Bank of China Central, Hong Kong I. M. Pei buildings Landmarks in Hong Kong Office buildings completed in 1990 Skyscraper office buildings |
other commercially successful artists. Later blues and rock and roll musicians, however, did attempt to imitate both his songs and his musical style. Biography Early life Jefferson was born blind, near Coutchman, Texas. He was the youngest of seven (or possibly eight) children born to Alex and Clarissa Jefferson, who were African-American sharecroppers. Disputes regarding the date of his birth derive from contradictory census records and draft registration records. By 1900, the family was farming southeast of Streetman, Texas. Jefferson's birth date was recorded as September 1893 in the 1900 census. The 1910 census, taken in May, before his birthday, confirms his year of birth as 1893 and indicated that the family was farming northwest of Wortham, near his birthplace. In his 1917 draft registration, Jefferson gave his birthday as October 26, 1894, stating that he lived in Dallas, Texas, and had been blind since birth. In the 1920 census, he is recorded as having returned to Freestone County and was living with his half-brother, Kit Banks, on a farm between Wortham and Streetman. Jefferson began playing the guitar in his early teens and soon after he began performing at picnics and parties. He became a street musician, playing in East Texas towns in front of barbershops and on street corners. According to his cousin Alec Jefferson, quoted in the notes for Blind Lemon Jefferson, Classic Sides: In the early 1910s, Jefferson began traveling frequently to Dallas, where he met and played with the blues musician Lead Belly. Jefferson was one of the earliest and most prominent figures in the blues movement developing in the Deep Ellum section of Dallas. It is likely that he moved to Deep Ellum on a more permanent basis by 1917, where he met Aaron Thibeaux Walker, also known as T-Bone Walker. Jefferson taught Walker the basics of playing blues guitar in exchange for Walker's occasional services as a guide. By the early 1920s, Jefferson was earning enough money for his musical performances to support a wife and, possibly, a child. However, firm evidence of his marriage and children has not been found. Beginning of recording career Prior to Jefferson, few artists had recorded solo voice and blues guitar, the first of which were the vocalist Sara Martin and the guitarist Sylvester Weaver, who recorded "Longing for Daddy Blues", probably on October 24, 1923. The first self-accompanied solo performer of a self-composed blues song was Lee Morse, whose "Mail Man Blues" was recorded on October 7, 1924. Jefferson's music is uninhibited and represented the classic sounds of everyday life, from a honky-tonk to a country picnic, to street corner blues, to work in the burgeoning oil fields (a reflection of his interest in mechanical objects and processes). Jefferson did what few had ever done before him – he became a successful solo guitarist and male vocalist in the commercial recording world. Unlike many artists who were "discovered" and recorded in their normal venues, Jefferson was taken to Chicago in December 1925 or January 1926 to record his first tracks. Uncharacteristically, his first two recordings from this session were gospel songs ("I Want to Be Like Jesus in My Heart" and "All I Want Is That Pure Religion"), released under the name Deacon L. J. Bates. A second recording session was held in March 1926. His first releases under his own name, "Booster Blues" and "Dry Southern Blues", were hits. Their popularity led to the release of the other two songs from that session, "Got the Blues" and "Long Lonesome Blues", which became a runaway success, with sales in six figures. He recorded about 100 tracks between 1926 and 1929; 43 records were issued, all but one for Paramount Records. Paramount's studio techniques and quality were poor, and the recordings were released with poor sound quality. In May 1926, Paramount re-recorded Jefferson performing his hits "Got the Blues" and "Long Lonesome Blues" in the superior facilities at Marsh Laboratories, and subsequent releases used those versions. Both versions appear on compilation albums. Success with Paramount Records Largely because of the popularity of artists such as Jefferson and his contemporaries Blind Blake and Ma Rainey, Paramount became the leading recording company for the blues in the 1920s. Jefferson's earnings reputedly enabled him to buy a car and employ chauffeurs (this information has been disputed); he was given a Ford car "worth over $700" by Mayo Williams, Paramount's connection with the black community. This was a common compensation for recording rights in that market. Jefferson is known to have done an unusual amount of traveling for the time in the American South, which is reflected in the difficulty of placing his music in a single regional category. Jefferson's "old-fashioned" sound and confident musicianship made it easy to market him. His skillful guitar playing and impressive vocal range opened the door for a new generation of male solo blues performers, such as Furry Lewis, Charlie Patton, and Barbecue Bob. He stuck to no musical conventions, varying his riffs and rhythm and singing complex and expressive lyrics in a manner exceptional at the time for a "simple country blues singer." According to the North Carolina musician Walter Davis, Jefferson played on the streets in Johnson City, Tennessee, during the early 1920s, at which time Davis and the entertainer Clarence Greene learned the art of blues guitar. Jefferson was reputedly unhappy with his royalties (although Williams said that Jefferson had a bank account containing as much as $1500). In 1927, when Williams moved to Okeh Records, he took Jefferson with him, and Okeh quickly recorded and released Jefferson's "Matchbox Blues", backed with "Black Snake Moan". It was his only Okeh recording, probably because of contractual obligations with Paramount. Jefferson's two songs released on Okeh have considerably better sound quality than his Paramount records at the time. When he returned to Paramount a few months later, "Matchbox Blues" had already become such a hit that Paramount re-recorded and released two new versions, with the producer Arthur Laibly. In 1927, Jefferson recorded another of his classic songs, the haunting "See That My Grave Is Kept Clean" (again using the pseudonym Deacon L. J. Bates), and two other uncharacteristically spiritual songs, "He Arose from the Dead" and "Where Shall I Be". "See That My Grave Is Kept Clean" was so successful that it was re-recorded and re-released in 1928. Death and grave Jefferson died in Chicago at 10:00 a.m. on December 19, 1929, of what his death certificate said was "probably acute myocarditis". For many years, rumors circulated that a jealous lover had poisoned his coffee, but a more likely explanation is that he died of a heart attack after becoming disoriented during a snowstorm. Some have said that he died of a heart attack after being attacked by a dog in the middle of the night. In his 1983 book Tolbert's Texas, Frank X. Tolbert claims that he was killed while being robbed of a large royalty payment by a guide escorting him to Chicago Union Station to catch a train home to Texas. Paramount Records paid for the return of | during the early 1920s, at which time Davis and the entertainer Clarence Greene learned the art of blues guitar. Jefferson was reputedly unhappy with his royalties (although Williams said that Jefferson had a bank account containing as much as $1500). In 1927, when Williams moved to Okeh Records, he took Jefferson with him, and Okeh quickly recorded and released Jefferson's "Matchbox Blues", backed with "Black Snake Moan". It was his only Okeh recording, probably because of contractual obligations with Paramount. Jefferson's two songs released on Okeh have considerably better sound quality than his Paramount records at the time. When he returned to Paramount a few months later, "Matchbox Blues" had already become such a hit that Paramount re-recorded and released two new versions, with the producer Arthur Laibly. In 1927, Jefferson recorded another of his classic songs, the haunting "See That My Grave Is Kept Clean" (again using the pseudonym Deacon L. J. Bates), and two other uncharacteristically spiritual songs, "He Arose from the Dead" and "Where Shall I Be". "See That My Grave Is Kept Clean" was so successful that it was re-recorded and re-released in 1928. Death and grave Jefferson died in Chicago at 10:00 a.m. on December 19, 1929, of what his death certificate said was "probably acute myocarditis". For many years, rumors circulated that a jealous lover had poisoned his coffee, but a more likely explanation is that he died of a heart attack after becoming disoriented during a snowstorm. Some have said that he died of a heart attack after being attacked by a dog in the middle of the night. In his 1983 book Tolbert's Texas, Frank X. Tolbert claims that he was killed while being robbed of a large royalty payment by a guide escorting him to Chicago Union Station to catch a train home to Texas. Paramount Records paid for the return of his body to Texas by train, accompanied by the pianist William Ezell. Jefferson was buried at Wortham Negro Cemetery (later Wortham Black Cemetery) in Wortham, Freestone County, Texas. His grave was unmarked until 1967, when a Texas historical marker was erected in the general area of his plot; however, the precise location of the grave is still unknown. By 1996, the cemetery and marker were in poor condition, and a new granite headstone was erected in 1997. The inscription reads: "Lord, it's one kind favor I'll ask of you, see that my grave is kept clean." The words come from the lyrics of his own song, "See That My Grave Is Kept Clean". In 2007, the cemetery's name was changed to Blind Lemon Memorial Cemetery, and his gravesite is kept clean by a cemetery committee in Wortham. Discography and awards Jefferson had an intricate and fast style of guitar playing and a particularly high-pitched voice. He was a founder of the Texas blues sound and an important influence on other blues singers and guitarists, including Lead Belly and Lightnin' Hopkins. He was the author of many songs covered by later musicians, including the classic "See That My Grave Is Kept Clean". Another of his songs, "Matchbox Blues", was recorded more than 30 years later by the Beatles, in a rockabilly version credited to Carl Perkins, who did not credit Jefferson on his 1955 recording. Fellow blues artist B.B. King credited Jefferson as one of his biggest musical influences, next to Lonnie Johnson, Louis Jordan and T-Bone Walker. The Rock and Roll Hall of Fame selected Jefferson's 1927 recording of "Matchbox Blues" as one of the 500 songs that shaped rock and roll. Jefferson was among the inaugural class of blues musicians inducted into the Blues Hall of Fame in 1980. Cover versions Canned Heat, "One Kind Favor," on "Living the Blues", released in 1968, (credited: "Arr. & Adpt. by L.T.Tatman III") Bukka White, "Jack o' Diamonds", on 1963 Isn't 1962, released in the 1990s Bob Dylan, "See That My Grave Is Kept Clean", on Bob Dylan Grateful Dead, "One Kind Favor" (a version of "See That My Grave Is Kept Clean"), on Birth of the Dead Merl Saunders, Jerry Garcia, John Kahn, Bil Vitt, "One Kind Favor", on Keystone Encores Volume I John Hammond, "One Kind Favor", on John Hammond Live B.B. King, "See That My Grave Is Kept Clean", on One Kind Favor Peter, Paul & Mary, "One Kind Favor", on In Concert Kelly Joe Phelps, "See That My Grave Is Kept Clean", on Roll Away the Stone The Dream Syndicate, "See That My Grave Is Kept Clean", on Ghost Stories Counting Crows, "Mean Jumper Blues". Counting Crows lead singer Adam Duritz accidentally claimed credit for "Mean Jumper Blues" in the liner notes of the deluxe edition reissue of the album August and Everything After. The cover was featured as part of a selection of early demo tracks. Immediately after the error was brought to his attention, Duritz apologized in his personal blog. Laibach, "See That My Grave Is Kept Clean", on SPECTRE Pat Donohue, "One Kind Favor", live on Garrison Keillor's radio program A Prairie Home Companion and later released on the CD Radio Blues Corey Harris, "Jack o' Diamonds", on Fish Ain't Bitin''', released in 1997 Diamanda Galás, "See That My Grave Is Kept Clean", on The Singer Phish, "See That My Grave Is Kept Clean", live at Madison Square Garden, New York, August 4, 2017 Scott H. Biram, "Jack of Diamonds" on Nothin' But Blood released in 2014 Steve Suffet, "See That My Grave Is Kept Clean" on Now the Wheel Has Turned, released in 2005. In popular culture In 2009, the Grammy-nominated R&B act Yarbrough and Peoples were featured in the off-Broadway play Blind Lemon Blues. A tribute song, "My Buddy Blind Papa Lemon", was recorded for Paramount Records in 1932 by King Solomon Hill. The record was long considered lost, but a copy was located by John Tefteller in 2002. Geoff Muldaur refers to Jefferson in the song "Got to Find Blind Lemon" on the album The Secret Handshake. Art Evans portrayed Jefferson in the 1976 film Leadbelly, directed by Gordon Parks. Nick Cave and the Bad Seeds recorded the song "Blind Lemon Jefferson" on the album The Firstborn Is Dead. The 2010 video game Fallout: New Vegas, in one of its downloadable add-ons Old World Blues, features an AI jukebox named Blind Diode Jefferson. The AI claims to have been a blues musician before his music hard drives were stripped from him. The voicing of the AI can be characterized as a Southern drawl in homage to Jefferson. In the 2003 movie Masked and Anonymous, Bobby Cupid (Luke Wilson) gives his friend Jack Fate (Bob Dylan) Jefferson's guitar, which he claims was used in recording "Matchbox Blues". Cheech & Chong parodied Jefferson as "Blind Melon Chitlin'" on their self-titled 1971 album Cheech and Chong, on their 1985 album Get Out of My Room, and in a stage routine that can be seen in their 1983 film Still Smokin'. Chet Atkins called Jefferson "one of my first finger-picking influences" in the song "Nine Pound Hammer", on the album The Atkins–Travis Traveling Show. A practical joke played on Down Beat magazine editor Gene Lees in the late 1950s took on a life of its own and became a long-running hoax when one of his correspondents included a reference to the blues legend "Blind Orange Adams" in an article published in the magazine, an obvious parody of Jefferson's name. References to the nonexistent Adams appeared in subsequent articles in Down Beat over the next few years. The American dramatic film Black Snake Moan was named after one of his only songs recorded for Okeh Records. Arthur "Big Boy" Crudup took the title of his classic song "That's All Right," which launched the career of Elvis Presley, from a lyric in Jefferson's "Black Snake Moan". According to some sources, the "Jefferson" in the name |
Japanese folklore and art, and more recently have appeared in manga and anime. The Japanese term baku has two current meanings, referring to both the traditional dream-devouring creature and to the Malayan tapir. In recent years, there have been changes in how the baku is depicted. History and description The traditional Japanese nightmare-devouring baku originates in Chinese folklore about the mo 貘 (Giant panda) and was familiar in Japan as early as the Muromachi period (14th–15th century). Hori Tadao has described the dream-eating abilities attributed to the traditional baku and relates them to other preventatives against nightmare such as amulets. Kaii-Yōkai Denshō Database, citing a 1957 paper, and Mizuki also describe the dream-devouring capacities of the traditional baku. An early 17th-century Japanese manuscript, the Sankai Ibutsu (), describes the baku as a shy, Chinese mythical chimera with an elephant’s trunk, rhinoceros' eyes, an ox's tail, and a tiger's paws, which protected against pestilence and evil, although eating nightmares was not included among its abilities. However, in a 1791 Japanese wood-block illustration, a specifically dream-destroying baku is depicted with an elephant’s head, tusks, and trunk, with horns and tiger’s claws. The elephant’s head, trunk, and tusks are characteristic of baku portrayed in classical era (pre-Meiji) Japanese wood-block | nightmare in Japan will wake up and repeat three times, "Baku-san, come eat my dream." Legends say that the baku will come into the child's room and devour the bad dream, allowing the child to go back to sleep peacefully. However, calling to the baku must be done sparingly, because if he remains hungry after eating one's nightmare, he may also devour their hopes and desires as well, leaving them to live an empty life. The baku can also be summoned for protection from bad dreams prior to falling asleep at night. In the 1910s, it was common for Japanese children to keep a baku talisman at their bedside. Gallery See also Dreamcatcher References Bibliography Kaii-Yōkai Denshō Database. International Research Center for Japanese Studies. Retrieved on 2007-05-12. (Summary of excerpt from Warui Yume o Mita Toki (, When You've Had a Bad Dream?) by Keidō Matsushita, published in volume 5 of the journal Shōnai Minzoku (, Shōnai Folk Customs) on June 15, 1957). External links Baku – The Dream Eater at hyakumonogatari.com (English). Netsuke: masterpieces from the Metropolitan Museum of Art, an exhibition catalog from The Metropolitan Museum of Art |
6 February that a "Pyrate Ship of 36 Guns and 250 men, and a Sloop of 10 Guns and 100 men were Said to be Cruizing amongst the Leeward Islands". Hume reinforced his crew with soldiers armed with muskets, and joined up with to track the two ships, to no avail, though they discovered that the two ships had sunk a French vessel off St Christopher Island, and reported also that they had last been seen "gone down the North side of Hispaniola". Although no confirmation exists that these two ships were controlled by Teach and Bonnet, author Angus Konstam believes it very likely they were. In March 1718, while taking on water at Turneffe Island east of Belize, both ships spotted the Jamaican logwood cutting sloop Adventure making for the harbour. She was stopped and her captain, Harriot, invited to join the pirates. Harriot and his crew accepted the invitation, and Teach sent over a crew to sail Adventure making Israel Hands the captain. They sailed for the Bay of Honduras, where they added another ship and four sloops to their flotilla. On 9 April Teach's enlarged fleet of ships looted and burnt Protestant Caesar. His fleet then sailed to Grand Cayman where they captured a "small turtler". Teach probably sailed toward Havana, where he may have captured a small Spanish vessel that had left the Cuban port. They then sailed to the wrecks of the 1715 Spanish fleet, off the eastern coast of Florida. There Teach disembarked the crew of the captured Spanish sloop, before proceeding north to the port of Charles Town, South Carolina, attacking three vessels along the way. Blockade of Charles Town By May 1718, Teach had awarded himself the rank of Commodore and was at the height of his power. Late that month his flotilla blockaded the port of Charles Town in the Province of South Carolina. All vessels entering or leaving the port were stopped, and as the town had no guard ship, its pilot boat was the first to be captured. Over the next five or six days about nine vessels were stopped and ransacked as they attempted to sail past Charles Town Bar, where Teach's fleet was anchored. One such ship, headed for London with a group of prominent Charles Town citizens which included Samuel Wragg (a member of the Council of the Province of Carolina), was the Crowley. Her passengers were questioned about the vessels still in port and then locked below decks for about half a day. Teach informed the prisoners that his fleet required medical supplies from the colonial government of South Carolina, and that if none were forthcoming, all prisoners would be executed, their heads sent to the Governor and all captured ships burnt. Wragg agreed to Teach's demands, and a Mr. Marks and two pirates were given two days to collect the drugs. Teach moved his fleet, and the captured ships, to within about five or six leagues from land. Three days later a messenger, sent by Marks, returned to the fleet; Marks's boat had capsized and delayed their arrival in Charles Town. Teach granted a reprieve of two days, but still the party did not return. He then called a meeting of his fellow sailors and moved eight ships into the harbour, causing panic within the town. When Marks finally returned to the fleet, he explained what had happened. On his arrival he had presented the pirates' demands to the Governor and the drugs had been quickly gathered, but the two pirates sent to escort him had proved difficult to find; they had been busy drinking with friends and were finally discovered, drunk. Teach kept to his side of the bargain and released the captured ships and his prisoners—albeit relieved of their valuables, including the fine clothing some had worn. Beaufort Inlet Whilst at Charles Town, Teach learned that Woodes Rogers had left England with several men-of-war, with orders to purge the West Indies of pirates. Teach's flotilla sailed northward along the Atlantic coast and into Topsail Inlet (commonly known as Beaufort Inlet), off the coast of North Carolina. There they intended to careen their ships to scrape their hulls, but on 10 June 1718 the Queen Anne's Revenge ran aground on a sandbar, cracking her main-mast and severely damaging many of her timbers. Teach ordered several sloops to throw ropes across the flagship in an attempt to free her. A sloop commanded by Israel Hands of Adventure also ran aground, and both vessels appeared to be damaged beyond repair, leaving only Revenge and the captured Spanish sloop. Pardon Teach had at some stage learnt of the offer of a royal pardon and probably confided in Bonnet his willingness to accept it. The pardon was open to all pirates who surrendered on or before 5 September 1718, but contained a caveat stipulating that immunity was offered only against crimes committed before 5 January. Although in theory this left Bonnet and Teach at risk of being hanged for their actions at Charles Town Bar, most authorities could waive such conditions. Teach thought that Governor Charles Eden was a man he could trust, but to make sure, he waited to see what would happen to another captain. Bonnet left immediately on a small sailing boat for Bath Town, where he surrendered to Governor Eden, and received his pardon. He then travelled back to Beaufort Inlet to collect the Revenge and the remainder of his crew, intending to sail to Saint Thomas Island to receive a commission. Unfortunately for him, Teach had stripped the vessel of its valuables and provisions, and had marooned its crew; Bonnet set out for revenge, but was unable to find him. He and his crew returned to piracy and were captured on 27 September 1718 at the mouth of the Cape Fear River. All but four were tried and hanged in Charles Town. The author Robert Lee surmised that Teach and Hands intentionally ran the ships aground to reduce the fleet's crew complement, increasing their share of the spoils. During the trial of Bonnet's crew, Revenges boatswain Ignatius Pell testified that "the ship was run ashore and lost, which Thatch [Teach] caused to be done." Lee considers it plausible that Teach let Bonnet in on his plan to accept a pardon from Governor Eden. He suggested that Bonnet do the same, and as war between the Quadruple Alliance of 1718 and Spain was threatening, to consider taking a privateer's commission from England. Lee suggests that Teach also offered Bonnet the return of his ship Revenge. Konstam (2007) proposes a similar idea, explaining that Teach began to see Queen Anne's Revenge as something of a liability; while a pirate fleet was anchored, news of this was sent to neighbouring towns and colonies, and any vessels nearby would delay sailing. It was prudent therefore for Teach not to linger for too long, although wrecking the ship was a somewhat extreme measure. Before sailing northward on his remaining sloop to Ocracoke Inlet, Teach marooned about 25 men on a small sandy island about a league from the mainland. He may have done this to stifle any protest they made, if they guessed their captain's plans. Bonnet rescued them two days later. Teach continued on to Bath, where in June 1718—only days after Bonnet had departed with his pardon—he and his much-reduced crew received their pardon from Governor Eden. He settled in Bath, on the eastern side of Bath Creek at Plum Point, near Eden's home. During July and August he travelled between his base in the town and his sloop off Ocracoke. Johnson's account states that he married the daughter of a local plantation owner, although there is no supporting evidence for this. Eden gave Teach permission to sail to St Thomas to seek a commission as a privateer (a useful way of removing bored and troublesome pirates from the small settlement), and Teach was given official title to his remaining sloop, which he renamed Adventure. By the end of August he had returned to piracy, and in the same month the Governor of Pennsylvania issued a warrant for his arrest, but by then Teach was probably operating in Delaware Bay, some distance away. He took two French ships leaving the Caribbean, moved one crew across to the other, and sailed the remaining ship back to Ocracoke. In September he told Eden that he had found the French ship at sea, deserted. A Vice Admiralty Court was quickly convened, presided over by Tobias Knight and the Collector of Customs. The ship was judged as a derelict found at sea, and of its cargo twenty hogsheads of sugar were awarded to Knight and sixty to Eden; Teach and his crew were given what remained in the vessel's hold. Ocracoke Inlet was Teach's favourite anchorage. It was a perfect vantage point from which to view ships travelling between the various settlements of northeast Carolina, and it was from there that Teach first spotted the approaching ship of Charles Vane, another English pirate. Several months earlier Vane had rejected the pardon brought by Woodes Rogers and escaped the men-of-war the English captain brought with him to Nassau. He had also been pursued by Teach's old commander, Benjamin Hornigold, who was by then a pirate hunter. Teach and Vane spent several nights on the southern tip of Ocracoke Island, accompanied by such notorious figures as Israel Hands, Robert Deal and Calico Jack. Alexander Spotswood As it spread throughout the neighbouring colonies, the news of Teach and Vane's impromptu party worried the Governor of Pennsylvania enough to send out two sloops to capture the pirates. They were unsuccessful, but Governor of Virginia Alexander Spotswood was also concerned that the supposedly retired freebooter and his crew were living in nearby North Carolina. Some of Teach's former crew had already moved into several Virginian seaport towns, prompting Spotswood to issue a proclamation on 10 July, requiring all former pirates to make themselves known to the authorities, to give up their arms and to not travel in groups larger than three. As head of a Crown colony, Spotswood viewed the proprietary colony of North Carolina with contempt; he had little faith in the ability of the Carolinians to control the pirates, who he suspected would be back to their old ways, disrupting Virginian commerce, as soon as their money ran out. Spotswood learnt that William Howard, the former quartermaster of Queen Anne's Revenge, was in the area, and believing that he might know of Teach's whereabouts had him and his two slaves arrested. Spotswood had no legal authority to have pirates tried, and as a result, Howard's attorney, John Holloway, brought charges against Captain Brand of , where Howard was imprisoned. He also sued on Howard's behalf for damages of £500, claiming wrongful arrest. Spotswood's council claimed that under a statute of William III the governor was entitled to try pirates without a jury in times of crisis and that Teach's presence was a crisis. The charges against Howard referred to several acts of piracy supposedly committed after the pardon's cut-off date, in "a sloop belonging to ye subjects of the King of Spain", but ignored the fact that they took place outside Spotswood's jurisdiction and in a vessel then legally owned. Another charge cited two attacks, one of which was the capture of a slave ship off Charles Town Bar, from which one of Howard's slaves was presumed to have come. Howard was sent to await trial before a Court of Vice-Admiralty, on the charge of piracy, but Brand and his colleague, Captain Gordon (of ) refused to serve with Holloway present. Incensed, Holloway had no option but to stand down, and was replaced by the Attorney General of Virginia, John Clayton, whom Spotswood described as "an honester man [than Holloway]". Howard was found guilty and sentenced to be hanged, but was saved by a commission from London, which directed Spotswood to pardon all acts of piracy committed by surrendering pirates before 18 August 1718. Spotswood had obtained from Howard valuable information on Teach's whereabouts, and he planned to send his forces across the border into North Carolina to capture him. He gained the support of two men keen to discredit North Carolina's Governor—Edward Moseley and Colonel Maurice Moore. He also wrote to the Lords of Trade, suggesting that the Crown might benefit financially from Teach's capture. Spotswood personally financed the operation, possibly believing that Teach had fabulous treasures hidden away. He ordered Captains Gordon and Brand of HMS Pearl and HMS Lyme to travel overland to Bath. Lieutenant Robert Maynard of HMS Pearl was given command of two commandeered sloops, to approach the town from the sea. An extra | piracy, so as not to tarnish the family name, and this makes it unlikely that Teach's real name will ever be known. The 17th-century rise of Britain's American colonies and the rapid 18th-century expansion of the Atlantic slave trade had made Bristol an important international sea port, and Teach was most likely raised in what was then the second-largest city in England. He could almost certainly read and write; he communicated with merchants and when killed had in his possession a letter addressed to him by the Chief Justice and Secretary of the Province of Carolina, Tobias Knight. The author Robert Lee speculated that Teach may therefore have been born into a respectable, wealthy family. He may have arrived in the Caribbean in the last years of the 17th century, on a merchant vessel (possibly a slave ship). The 18th-century author Charles Johnson claimed that Teach was for some time a sailor operating from Jamaica on privateer ships during the War of the Spanish Succession, and that "he had often distinguished himself for his uncommon boldness and personal courage". At what point during the war Teach joined the fighting is, in keeping with the record of most of his life before he became a pirate, unknown. New Providence With its history of colonialism, trade and piracy, the West Indies was the setting for many 17th- and 18th-century maritime incidents. The privateer-turned-pirate Henry Jennings and his followers decided, early in the 18th century, to use the uninhabited island of New Providence as a base for their operations; it was within easy reach of the Florida Strait and its busy shipping lanes, which were filled with European vessels crossing the Atlantic. New Providence's harbour could easily accommodate hundreds of ships but was too shallow for the Royal Navy's larger vessels. The author George Woodbury described New Providence as "no city of homes; it was a place of temporary sojourn and refreshment for a literally floating population," continuing, "The only permanent residents were the piratical camp followers, the traders, and the hangers-on; all others were transient." In New Providence, pirates found a welcome respite from the law. Teach was one of those who came to enjoy the island's benefits. Probably shortly after the signing of the Treaty of Utrecht, he moved there from Jamaica, and, along with most privateers once involved in the war, became involved in piracy. Possibly about 1716, he joined the crew of Captain Benjamin Hornigold, a renowned pirate who operated from New Providence's safe waters. In 1716 Hornigold placed Teach in charge of a sloop he had taken as a prize. In early 1717, Hornigold and Teach, each captaining a sloop, set out for the mainland. They captured a boat carrying 120 barrels of flour out of Havana, and shortly thereafter took 100 barrels of wine from a sloop out of Bermuda. A few days later they stopped a vessel sailing from Madeira to Charles Town, South Carolina. Teach and his quartermaster, William Howard, may at this time have struggled to control their crews. By then they had probably developed a taste for Madeira wine, and on 29 September near Cape Charles all they took from the Betty of Virginia was her cargo of Madeira, before they scuttled her with the remaining cargo. It was during this cruise with Hornigold that the earliest known report of Teach was made, in which he is recorded as a pirate in his own right, in command of a large crew. In a report made by a Captain Mathew Munthe on an anti-piracy patrol for North Carolina, "Thatch" was described as operating "a sloop 6 gunns and about 70 men". In September Teach and Hornigold encountered Stede Bonnet, a landowner and military officer from a wealthy family who had turned to piracy earlier that year. Bonnet's crew of about 70 were reportedly dissatisfied with his command, so with Bonnet's permission, Teach took control of his ship Revenge. The pirates' flotilla now consisted of three ships; Teach on Revenge, Teach's old sloop and Hornigold's Ranger. By October, another vessel had been captured and added to the small fleet. The sloops Robert of Philadelphia and Good Intent of Dublin were stopped on 22 October 1717, and their cargo holds emptied. As a former British privateer, Hornigold attacked only his old enemies, but for his crew, the sight of British vessels filled with valuable cargo passing by unharmed became too much, and at some point toward the end of 1717 he was demoted. Whether Teach had any involvement in this decision is unknown, but Hornigold quickly retired from piracy. He took Ranger and one of the sloops, leaving Teach with Revenge and the remaining sloop. The two never met again and, as did many other occupants of New Providence, Hornigold accepted the King's pardon. Blackbeard On 28 November 1717 Teach's two ships attacked a French merchant vessel off the coast of Saint Vincent. They each fired a broadside across its bulwarks, killing several of its crew, and forcing its captain to surrender. The ship was La Concorde, a large French Guineaman registered in Saint-Malo and carrying a cargo of slaves. This ship had originally been the English merchantman Concord, captured in 1711 by a French squadron, and then changed hands several times by 1717. Teach and his crews sailed the vessel south along Saint Vincent and the Grenadines to Bequia, where they disembarked her crew and cargo, and converted the ship for their own use. The crew of La Concorde were given the smaller of Teach's two sloops, which they renamed Mauvaise Rencontre (Bad Meeting), and sailed for Martinique. Teach may have recruited some of their slaves, but the remainder were left on the island and were later recaptured by the returning crew of Mauvaise Rencontre. Teach immediately renamed La Concorde as Queen Anne's Revenge and equipped her with 40 guns. By this time Teach had placed his lieutenant Richards in command of Bonnet's Revenge. In late November, near Saint Vincent, he attacked the Great Allen. After a lengthy engagement, he forced the large and well-armed merchant ship to surrender. He ordered her to move closer to the shore, disembarked her crew and emptied her cargo holds, and then burned and sank the vessel. The incident was chronicled in the Boston News-Letter, which called Teach the commander of a "French ship of 32 Guns, a Briganteen of 10 guns and a Sloop of 12 guns." It is not known when or where Teach collected the ten-gun briganteen, but by that time he may have been in command of at least 150 men split among three vessels. On 5 December 1717 Teach stopped the merchant sloop Margaret off the coast of Crab Island, near Anguilla. Her captain, Henry Bostock, and crew, remained Teach's prisoners for about eight hours, and were forced to watch as their sloop was ransacked. Bostock, who had been held aboard Queen Anne's Revenge, was returned unharmed to Margaret and was allowed to leave with his crew. He returned to his base of operations on Saint Christopher Island and reported the matter to Governor Walter Hamilton, who requested that he sign an affidavit about the encounter. Bostock's deposition details Teach's command of two vessels: a sloop and a large French guineaman, Dutch-built, with 36 cannons and a crew of 300 men. The captain believed that the larger ship carried valuable gold dust, silver plate, and "a very fine cup" supposedly taken from the commander of Great Allen. Teach's crew had apparently informed Bostock that they had destroyed several other vessels, and that they intended to sail to Hispaniola and lie in wait for an expected Spanish armada, supposedly laden with money to pay the garrisons. Bostock also claimed that Teach had questioned him about the movements of local ships, but also that he had seemed unsurprised when Bostock told him of an expected royal pardon from London for all pirates. Bostock's deposition describes Teach as a "tall spare man with a very black beard which he wore very long". It is the first recorded account of Teach's appearance and is the source of his cognomen, Blackbeard. Later descriptions mention that his thick black beard was braided into pigtails, sometimes tied in with small coloured ribbons. Johnson (1724) described him as "such a figure that imagination cannot form an idea of a fury from hell to look more frightful." Whether Johnson's description was entirely truthful or embellished is unclear, but it seems likely that Teach understood the value of appearances; better to strike fear into the heart of one's enemies, than rely on bluster alone. Teach was tall, with broad shoulders. He wore knee-length boots and dark clothing, topped with a wide hat and sometimes a long coat of brightly coloured silk or velvet. Johnson also described Teach in times of battle as wearing "a sling over his shoulders, with three brace of pistols, hanging in holsters like bandoliers; and stuck lighted slow matches under his hat", the latter apparently to emphasise the fearsome appearance he wished to present to his enemies. Despite his ferocious reputation though, there are no verified accounts of his ever having murdered or harmed those he held captive. Teach may have used other aliases; on 30 November, the Monserrat Merchant encountered two ships and a sloop, commanded by a Captain Kentish and Captain Edwards (the latter a known alias of Stede Bonnet). Enlargement of Teach's fleet Teach's movements between late 1717 and early 1718 are not known. He and Bonnet were probably responsible for an attack off Sint Eustatius in December 1717. Henry Bostock claimed to have heard the pirates say they would head toward the Spanish-controlled Samaná Bay in Hispaniola, but a cursory search revealed no pirate activity. Captain Hume of reported on 6 February that a "Pyrate Ship of 36 Guns and 250 men, and a Sloop of 10 Guns and 100 men were Said to be Cruizing amongst the Leeward Islands". Hume reinforced his crew with soldiers armed with muskets, and joined up with to track the two ships, to no avail, though they discovered that the two ships had sunk a French vessel off St Christopher Island, and reported also that they had last been seen "gone down the North side of Hispaniola". Although no confirmation exists that these two ships were controlled by Teach and Bonnet, author Angus Konstam believes it very likely they were. In March 1718, while taking on water at Turneffe Island east of Belize, both ships spotted the Jamaican logwood cutting sloop Adventure making for the harbour. She was stopped and her captain, Harriot, invited to join the pirates. Harriot and his crew accepted the invitation, and Teach sent over a crew to sail Adventure making Israel Hands the captain. They sailed for the Bay of Honduras, where they added another ship and four sloops to their flotilla. On 9 April Teach's enlarged fleet of ships looted and burnt Protestant Caesar. His fleet then sailed to Grand Cayman where they captured a "small turtler". Teach probably sailed toward Havana, where he may have captured a small Spanish vessel that had left the Cuban port. They then sailed to the wrecks of the 1715 Spanish fleet, off the eastern coast of Florida. There Teach disembarked the crew of the captured Spanish sloop, before proceeding north to the port of Charles Town, South Carolina, attacking three vessels along the way. Blockade of Charles Town By May 1718, Teach had awarded himself the rank of Commodore and was at the height of his power. Late that month his flotilla blockaded the port of Charles Town in the Province of South Carolina. All vessels entering or leaving the port were stopped, and as the town had no guard ship, its pilot boat was the first to be captured. Over the next five or six days about nine vessels were stopped and ransacked as they attempted to sail past Charles Town Bar, where Teach's fleet was anchored. One such ship, headed for London with a group of prominent Charles Town citizens which included Samuel Wragg (a member of the Council of the Province of Carolina), was the Crowley. Her passengers were questioned about the vessels still in port and then locked below decks for about half a day. Teach informed the prisoners that his fleet required medical supplies from the colonial government of South Carolina, and that if none were forthcoming, all prisoners would be executed, their heads sent to the Governor and all captured ships burnt. Wragg agreed to Teach's demands, and a Mr. Marks and two pirates were given two days to collect the drugs. Teach moved his fleet, and the captured ships, to within about five or six leagues from land. Three days later a messenger, sent by Marks, returned to the fleet; Marks's boat had capsized and delayed their arrival in Charles Town. Teach granted a reprieve of two days, but still the party did not return. He then called a meeting of his fellow sailors and moved eight ships into the harbour, causing panic within the town. When Marks finally returned to the fleet, he explained what had happened. On his arrival he had presented the pirates' demands to the Governor and the drugs had been quickly gathered, but the two pirates sent to escort him had proved difficult to find; they had been busy drinking with friends and were finally discovered, drunk. Teach kept to his side of the bargain and released the captured ships and his prisoners—albeit relieved of their valuables, including the fine clothing some had worn. Beaufort Inlet Whilst at Charles Town, Teach learned that Woodes Rogers had left England with several men-of-war, with orders to purge the West Indies of pirates. Teach's flotilla sailed northward along the Atlantic coast and into Topsail Inlet (commonly known as Beaufort Inlet), off the coast of North Carolina. There they intended to careen their ships to scrape their hulls, but on 10 June 1718 the Queen Anne's Revenge ran aground on a sandbar, cracking her main-mast and severely damaging many of her timbers. Teach ordered several sloops to throw ropes across the flagship in an attempt to free her. A sloop commanded by Israel Hands of Adventure also ran aground, and both vessels appeared to be damaged beyond repair, leaving only Revenge and the captured Spanish sloop. Pardon Teach had at some stage learnt of the offer of a royal pardon and probably confided in Bonnet his willingness to accept it. The pardon was open to all pirates who surrendered on or before 5 September 1718, but contained a caveat stipulating that immunity was offered only against crimes committed before 5 January. Although in theory this left Bonnet and Teach at risk of being hanged for their actions at Charles Town Bar, most authorities could waive such conditions. Teach thought that Governor Charles Eden was a man he could trust, but to make sure, he waited to see what would happen to another captain. Bonnet left immediately on a small sailing boat for Bath Town, where he surrendered to Governor Eden, and received his pardon. He then travelled back to Beaufort Inlet to collect the Revenge and the remainder of his crew, intending to sail to Saint Thomas Island to receive a commission. Unfortunately for him, Teach had stripped the vessel of its valuables and provisions, and had marooned its crew; Bonnet set out for revenge, but was unable to find him. He and his crew returned to piracy and were captured on 27 September 1718 at the mouth of the Cape Fear River. All but four were tried and hanged in Charles Town. The author Robert Lee surmised that Teach and Hands intentionally ran the ships aground to reduce the fleet's crew complement, increasing their share of the spoils. During the trial of Bonnet's crew, Revenges boatswain Ignatius Pell testified that "the ship was run ashore and lost, which Thatch [Teach] caused to be done." Lee considers it plausible that Teach let Bonnet in on his plan to accept a pardon from Governor Eden. He suggested that Bonnet do the same, and as war between the Quadruple Alliance of 1718 and Spain was threatening, to consider taking a privateer's commission from England. Lee suggests that Teach also offered Bonnet the return of his ship Revenge. Konstam (2007) proposes a similar idea, explaining that Teach began to see Queen Anne's Revenge as something of a liability; while a pirate fleet was anchored, news of this was sent to neighbouring towns and colonies, and any vessels nearby would delay sailing. It was prudent therefore for Teach not to linger for too long, although wrecking the ship was a somewhat extreme measure. Before sailing northward on his remaining sloop to Ocracoke Inlet, Teach marooned about 25 men on a small sandy island about a league from the mainland. He may have done this to stifle any protest they made, if they guessed their captain's plans. Bonnet rescued them two days later. Teach continued on to Bath, where in June 1718—only days after Bonnet had departed with his pardon—he and his |
Terry Weissman in 1998 for the nascent Mozilla.org project, as an open source application to replace the in-house system then in use at Netscape Communications for tracking defects in the Netscape Communicator suite. Bugzilla was originally written in Tcl, but Weissman decided to port it to Perl before its release as part of Netscape's early open-source code drops, in the hope that more people would be able to contribute to it, given that Perl seemed to be a more popular language at the time. Bugzilla 2.0 was the result of that port to Perl, and the first version was released to the public via anonymous CVS. In April 2000, Weissman handed over control of the Bugzilla project to Tara Hernandez. Under her leadership, some of the regular contributors were coerced into taking more responsibility, and Bugzilla development became more community-driven. In July 2001, facing distraction from her other responsibilities in Netscape, Hernandez handed control to Dave Miller, who was still in charge . Bugzilla 3.0 was released on May 10, 2007 and brought a refreshed UI, an XML-RPC interface, custom fields and resolutions, mod_perl support, shared saved searches, and improved UTF-8 support, along with other changes. Bugzilla 4.0 was released on February 15, 2011 and Bugzilla 5.0 was released in July 2015. Timeline Bugzilla's release timeline: Requirements Bugzilla's system requirements include: A compatible database management system A suitable release of Perl 5 An assortment of Perl modules A compatible web server A suitable mail transfer agent, or any SMTP server Currently supported database systems are MySQL, PostgreSQL, Oracle, and SQLite. Bugzilla is usually installed on Linux using the Apache HTTP Server, but any web server that supports CGI such as Lighttpd, Hiawatha, Cherokee can be used. Bugzilla's installation process is command line driven and runs through a series of stages where system requirements and software capabilities are checked. Design While the potential exists in the code to turn Bugzilla into a technical support ticket system, task management tool, or project management tool, Bugzilla's developers have chosen to focus on the task of designing a system to track software defects. Zarro Boogs | both free and open-source software and proprietary projects and products. Bugzilla is used, among others, by the Mozilla Foundation, WebKit, Linux kernel, FreeBSD, KDE, Apache, Red Hat, Eclipse and LibreOffice. It is also self-hosting. History Bugzilla was originally devised by Terry Weissman in 1998 for the nascent Mozilla.org project, as an open source application to replace the in-house system then in use at Netscape Communications for tracking defects in the Netscape Communicator suite. Bugzilla was originally written in Tcl, but Weissman decided to port it to Perl before its release as part of Netscape's early open-source code drops, in the hope that more people would be able to contribute to it, given that Perl seemed to be a more popular language at the time. Bugzilla 2.0 was the result of that port to Perl, and the first version was released to the public via anonymous CVS. In April 2000, Weissman handed over control of the Bugzilla project to Tara Hernandez. Under her leadership, some of the regular contributors were coerced into taking more responsibility, and Bugzilla development became more community-driven. In July 2001, facing distraction from her other responsibilities in Netscape, Hernandez handed control to Dave Miller, who was still in charge . Bugzilla 3.0 was released on May 10, 2007 and brought a refreshed UI, an XML-RPC interface, custom fields and resolutions, mod_perl support, shared saved searches, and improved UTF-8 support, along with other changes. Bugzilla 4.0 was released on February 15, 2011 and Bugzilla 5.0 was released in July 2015. Timeline Bugzilla's release timeline: Requirements Bugzilla's system requirements include: A compatible database management system A suitable release of Perl 5 An assortment of Perl modules A compatible web server A suitable mail transfer agent, or any |
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were produced in huge numbers, with over 400,000 being sold in England annually by the 1660s. Tessa Watt estimates the number of copies sold may have been in the millions. Many were sold by travelling chapmen in city streets or at fairs. The subject matter varied from what has been defined as the traditional ballad, although many traditional ballads were printed as broadsides. Among the topics were love, marriage, religion, drinking-songs, legends, and early journalism, which included disasters, political events and signs, wonders and prodigies. Literary ballads Literary or lyrical ballads grew out of an increasing interest in the ballad form among social elites and intellectuals, particularly in the Romantic movement from the later 18th century. Respected literary figures Robert Burns and Walter Scott in Scotland collected and wrote their own ballads. Similarly in England William Wordsworth and Samuel Taylor Coleridge produced a collection of Lyrical Ballads in 1798 that included Coleridge's The Rime of the Ancient Mariner. Wordsworth, Coleridge, and Keats were attracted to the simple and natural style of these folk ballads and tried to imitate it. At the same time in Germany Goethe cooperated with Schiller on a series of ballads, some of which were later set to music by Schubert. Later important examples of the poetic form included Rudyard Kipling's "Barrack-Room Ballads" (1892-6) and Oscar Wilde's The Ballad of Reading Gaol (1897). Ballad operas In the 18th century ballad operas developed as a form of English stage entertainment, partly in opposition to the Italian domination of the London operatic scene. It consisted of racy and often satirical spoken (English) dialogue, interspersed with songs that are deliberately kept very short to minimize disruptions to the flow of the story. Rather than the more aristocratic themes and music of the Italian opera, the ballad operas were set to the music of popular folk songs and dealt with lower-class characters. Subject matter involved the lower, often criminal, orders, and typically showed a suspension (or inversion) of the high moral values of the Italian opera of the period. The first, most important and successful was The Beggar's Opera of 1728, with a libretto by John Gay and music arranged by John Christopher Pepusch, both of whom probably influenced by Parisian vaudeville and the burlesques and musical plays of Thomas d'Urfey (1653–1723), a number of whose collected ballads they used in their work. Gay produced further works in this style, including a sequel under the title Polly. Henry Fielding, Colley Cibber, Arne, Dibdin, Arnold, Shield, Jackson of Exeter, Hook and many others produced ballad operas that enjoyed great popularity. Ballad opera was attempted in America and Prussia. Later it moved into a more pastoral form, like Isaac Bickerstaffe's Love in a Village (1763) and Shield's Rosina (1781), using more original music that imitated, rather than reproduced, existing ballads. Although the form declined in popularity towards the end of the 18th century its influence can be seen in light operas like that of Gilbert and Sullivan's early works like The Sorcerer as well as in the modern musical. In the 20th century, one of the most influential plays, Kurt Weill and Bertolt Brecht's (1928) The Threepenny Opera was a reworking of The Beggar's Opera, setting a similar story with the same characters, and containing much of the same satirical bite, but only using one tune from the original. The term ballad opera has also been used to describe musicals using folk music, such as The Martins and the Coys in 1944, and Peter Bellamy's The Transports in 1977. The satiric elements of ballad opera can be seen in some modern musicals such as Chicago and Cabaret. Beyond Europe American ballads Some 300 ballads sung in North America have been identified as having origins in Scottish traditional or broadside ballads. Examples include 'The Streets of Laredo', which was found in Britain and Ireland as 'The Unfortunate Rake'; however, a further 400 have been identified as originating in America, including among the best known, 'The Ballad of Davy Crockett' and 'Jesse James'. They became an increasing area of interest for scholars in the 19th century and most were recorded or catalogued by George Malcolm Laws, although some have since been found to have British origins and additional songs have since been collected. They are usually considered closest in form to British broadside ballads and in terms of style are largely indistinguishable, however, they demonstrate a particular concern with occupations, journalistic style and often lack the ribaldry of British broadside ballads. Blues ballads The blues ballad has been seen as a fusion of Anglo-American and Afro-American styles of music from the 19th century. Blues ballads tend to deal with active protagonists, often anti-heroes, resisting adversity and authority, but frequently lacking a strong narrative and emphasising character instead. They were often accompanied by banjo and guitar which followed the blues musical format. The most famous blues ballads include those about John Henry and Casey Jones. Bush ballads The ballad was taken to Australia by early settlers from Britain and Ireland and gained particular foothold in the rural outback. The rhyming songs, poems and tales written in the form of ballads often relate to the itinerant and rebellious spirit of Australia in The Bush, and the authors and performers are often referred to as bush bards. The 19th century was the golden age of bush ballads. Several collectors have catalogued the songs including John Meredith whose recording in the 1950s became the basis of the collection in the National Library of Australia. The songs tell personal stories of life in the wide open country of Australia. Typical subjects include mining, raising and droving cattle, sheep shearing, wanderings, war stories, the 1891 Australian shearers' strike, class conflicts between the landless working class and the squatters (landowners), and outlaws such as Ned Kelly, as well as love interests and more modern fare such as trucking. The most famous bush ballad is "Waltzing Matilda", which has been called "the unofficial national anthem of Australia". Sentimental ballads Sentimental ballads, sometimes called "tear-jerkers" or "drawing-room ballads" owing to their popularity with the middle classes, had their origins in the early "Tin Pan Alley" music industry of the later 19th century. They were generally sentimental, narrative, strophic songs published separately or as part of an opera (descendants perhaps of broadside ballads, but with printed music, and usually newly composed). Such songs include "Little Rosewood Casket" (1870), "After the Ball" (1892) and "Danny Boy". The association with sentimentality led to the term "ballad" being used for slow love songs | This can be seen in this stanza from "Lord Thomas and Fair Annet": The horse | fair Ann | et rode | upon | He amb | led like | the wind |, With sil | ver he | was shod | before, With burn | ing gold | behind |. There is considerable variation on this pattern in almost every respect, including length, number of lines and rhyming scheme, making the strict definition of a ballad extremely difficult. In southern and eastern Europe, and in countries that derive their tradition from them, ballad structure differs significantly, like Spanish romanceros, which are octosyllabic and use consonance rather than rhyme. Ballads usually are heavily influenced by the regions in which they originate and use the common dialect of the people. Scotland's ballads in particular, both in theme and language, are strongly characterised by their distinctive tradition, even exhibiting some pre-Christian influences in the inclusion of supernatural elements such as travel to the Fairy Kingdom in the Scots ballad "Tam Lin". The ballads do not have any known author or correct version; instead, having been passed down mainly by oral tradition since the Middle Ages, there are many variations of each. The ballads remained an oral tradition until the increased interest in folk songs in the 18th century led collectors such as Bishop Thomas Percy (1729–1811) to publish volumes of popular ballads. In all traditions most ballads are narrative in nature, with a self-contained story, often concise, and rely on imagery, rather than description, which can be tragic, historical, romantic or comic. Themes concerning rural labourers and their sexuality are common, and there are many ballads based on the Robin Hood legend. Another common feature of ballads is repetition, sometimes of fourth lines in succeeding stanzas, as a refrain, sometimes of third and fourth lines of a stanza and sometimes of entire stanzas. Composition Scholars of ballads have been divided into "communalists", such as Johann Gottfried Herder (1744–1803) and the Brothers Grimm, who argue that ballads are originally communal compositions, and "individualists" such as Cecil Sharp, who assert that there was one single original author. Communalists tend to see more recent, particularly printed, broadside ballads of known authorship as a debased form of the genre, while individualists see variants as corruptions of an original text. More recently scholars have pointed to the interchange of oral and written forms of the ballad. Transmission The transmission of ballads comprises a key stage in their re-composition. In romantic terms this process is often dramatized as a narrative of degeneration away from the pure 'folk memory' or 'immemorial tradition'. In the introduction to Minstrelsy of the Scottish Border (1802) the romantic poet and historical novelist Walter Scott argued a need to 'remove obvious corruptions' in order to attempt to restore a supposed original. For Scott, the process of multiple recitations 'incurs the risk of impertinent interpolations from the conceit of one rehearser, unintelligible blunders from the stupidity of another, and omissions equally to be regretted, from the want of memory of a third.' Similarly, John Robert Moore noted 'a natural tendency to oblivescence'. Classification European Ballads have been generally classified into three major groups: traditional, broadside and literary. In America a distinction is drawn between ballads that are versions of European, particularly British and Irish songs, and 'Native American ballads', developed without reference to earlier songs. A further development was the evolution of the blues ballad, which mixed the genre with Afro-American music. For the late 19th century the music publishing industry found a market for what are often termed sentimental ballads, and these are the origin of the modern use of the term 'ballad' to mean a slow love song. Traditional ballads The traditional, classical or popular (meaning of the people) ballad has been seen as beginning with the wandering minstrels of late medieval Europe. From the end of the 15th century there are printed ballads that suggest a rich tradition of popular music. A reference in William Langland's Piers Plowman indicates that ballads about Robin Hood were being sung from at least the late 14th century and the oldest detailed material is Wynkyn de Worde's collection of Robin Hood ballads printed about 1495. Early collections of English ballads were made by Samuel Pepys (1633–1703) and in the Roxburghe Ballads collected by Robert Harley, (1661–1724), which paralleled the work in Scotland by Walter Scott and Robert Burns. Inspired by his reading as a teenager of Reliques of Ancient English Poetry by Thomas Percy, Scott began collecting ballads while he attended Edinburgh University in the 1790s. He published his research from 1802 to 1803 in a three-volume work, Minstrelsy of the Scottish Border. Burns collaborated with James Johnson on the multi-volume Scots Musical Museum, a miscellany of folk songs and poetry with original work by Burns. Around the same time, he worked with George Thompson on A Select Collection of Original Scottish Airs for the Voice. Both Northern English and Southern Scots shared in the identified tradition of Border ballads, particularly evinced by the cross-border narrative in versions of "The Ballad of Chevy Chase" sometimes associated with the Lancashire-born sixteenth-century minstrel Richard Sheale. It has been suggested that the increasing interest in traditional popular ballads during the eighteenth century was prompted by social issues such as the enclosure movement as many of the ballads deal with themes concerning rural laborers. James Davey has suggested that the common themes of sailing and naval battles may also have prompted the use (at least in England) of popular ballads as naval recruitment tools. Key work on the traditional ballad was undertaken in the late 19th century in Denmark by Svend Grundtvig and for England and Scotland by the Harvard professor Francis James Child. They attempted to record and classify all the known ballads and variants in their |
Greece in the early summer of 1987, the band reformed. Wilcox quit while Zvoncheck was fired for making excessive financial demands. Allen Lanier then was offered to rejoin and agreed, so the new line-up now featured three founding members, along with Jon Rogers returning on bass and Ron Riddle as their newest drummer. Columbia Records was not interested in releasing the Imaginos project as an Albert Bouchard solo album so it was arranged for the record to be released in 1988 by Columbia as a Blue Öyster Cult album, with some new lead vocal overdubs from Bloom and Roeser and lead guitar overdubs from Roeser. These replaced most of Albert Bouchard's lead vocals, as well as many lead guitar parts that had been recorded by session musicians. Joe Bouchard and Allen Lanier had earlier contributed some minor keyboard and backing vocal parts to the album, allowing all five original members to be credited. The album didn't sell well (despite a positive review in Rolling Stone magazine) and though the then-current Blue Öyster Cult lineup (minus both Bouchard brothers) toured to promote Imaginos, promotion by the label was virtually non-existent. When Columbia Records' parent company CBS Records was purchased by Sony and became Sony Music Entertainment, Blue Öyster Cult were dropped from the label. 1990s and early 2000s The band spent the next 11 years touring without releasing an album of new material, though they did contribute two new songs to the Bad Channels movie soundtrack, released in 1992, and also released an album of re-recorded songs from the band's original lineup called Cult Classic in 1994. During these years, while the three original members remained constant, there were several changes in the band's rhythm section. Ron Riddle quit in 1991 and was followed by a series of other drummers including Chuck Burgi (1991–1992, 1992–1995, 1996–1997), John Miceli (1992, 1995), John O'Reilly (1995–1996) and Bobby Rondinelli (1997–2004). As for the bass position, Rogers left in 1995, and was replaced by Danny Miranda. In the late 1990s, Blue Öyster Cult secured a recording contract with CMC Records (later purchased by Sanctuary Records), and continued to tour frequently. Two studio albums were released, Heaven Forbid (1998) and Curse of the Hidden Mirror (2001). Both albums featured songs co-written by cyberpunk/horror novelist John Shirley. The first mostly featured Miranda on bass and Burgi on drums, though a few tracks feature earliest bassist Jon Rogers and one track features Rondinelli on drums, who had joined the band near the end of the recording. Curse of the Hidden Mirror features Miranda and Rondinelli as the rhythm section, and the pair contributed to the songwriting as well. Neither album sold well. Another live record and DVD A Long Day's Night followed in 2002, both drawn from one concert in Chicago. This album also featured the Bloom, Roeser, Lanier, Miranda, Rondinelli lineup. Although the band's lineup had remained stable from 1997 to 2004, they began to experience personnel changes again in 2004. Rondinelli left in 2004, and was replaced by Jules Radino. Miranda left during the same year to become the bassist for Queen + Paul Rodgers in place of the retired John Deacon. He was replaced by Richie Castellano, who would also take occasional turns as a lead vocalist onstage. In 2001, Sony/Columbia's reissue arm, Legacy Records issued expanded versions of the first four Blue Öyster Cult studio albums, including some previously unreleased demos and outtakes from album sessions, live recordings (from the Live 72 EP), and post-St. Cecilia tunes from the Stalk-Forrest Group era. Late 2000s and 2010s Allen Lanier retired from live performances in 2007 after not appearing with the band since late 2006. Castellano switched to rhythm guitar and keyboards (Castellano also filled in on lead guitar and vocals for an ailing Buck Dharma in two shows in 2005), and the position of bassist was taken up by Rudy Sarzo (previously a member of Quiet Riot, Whitesnake, Ozzy Osbourne and Dio), with the band employing Danny Miranda and Jon Rogers as guest bassists to fill in when Sarzo was unavailable. Sarzo then joined as an official member of the band, although Rogers continued to occasionally fill in when Sarzo was busy. In February 2007, the Sony Legacy remaster series continued, releasing expanded versions of studio album Spectres and live album Some Enchanted Evening. In June 2012, the band announced that bassist Rudy Sarzo was leaving the band and was being replaced by former Utopia bassist Kasim Sulton. In August of the same year, it was announced that Sony Legacy would be releasing a 17-disc boxed set entitled The Complete Columbia Albums Collection on October 30, 2012. The set includes the first round of the remastered series plus the long-awaited remastered versions of On Your Feet or on Your Knees (1975), Mirrors, Cultösaurus Erectus, Fire Of Unknown Origin, Extraterrestrial Live, The Revölution by Night, Club Ninja and Imaginos. Also exclusive to this set are two discs of rare and unreleased B-sides, demos and radio broadcasts. Also in 2012, celebrating the 40th anniversary of Blue Öyster Cult, the then-current incarnation of the band reunited for the first time in 25 years with other original members Joe and Albert Bouchard and Allen Lanier as guests for a special event in New York. Founding keyboardist/guitarist Allen Lanier died of chronic obstructive pulmonary disease on August 14, 2013. In 2016, Albert Bouchard played again as guest with the current line-up of the band, playing at shows in New York, Los Angeles, Dublin and London, where Blue Öyster Cult played the album Agents of Fortune in its entirety. The shows featured songs from Agents of Fortune that had either not been played live before ("True Confessions", "The Revenge of Vera Gemini", "Sinful Love", "Tenderloin", "Debbie Denise"), songs that had not been played since the album's debut tour ("Morning Final"), and songs that were either no longer or never were played frequently ("This Ain't the Summer of Love", "Tattoo Vampire"), as well as the fan favorite "Five Guitars", which had not been played since Albert initially left the band in 1981. Albert played in the following songs at the show: "The Revenge of Vera Gemini" (vocals, guitar), "Sinful Love" (vocals, guitar), "Tattoo Vampire" (guitar), "Morning Final" (guitar), "Tenderloin" (cymbals), "Debbie Denise" (vocals, acoustic guitar), "Cities on Flame with Rock and Roll" (vocals, drums), and "Five Guitars" (guitar). In a May 2017 appearance on Castellano's "Band Geek" podcast, Bloom confirmed that there were tentative plans to release a new album in 2018 and that the band was currently considering offers from multiple record labels. He also stated that former bassist Danny Miranda would be playing with the band for the remainder of the year due to Sulton's prior touring commitments with Todd Rundgren. During the same year, the band's official website started to list Miranda as an official member, stating that Miranda had "returned to BÖC" in early 2017. Buck Dharma stated in February 2019 that the band would be recording a new album to be released by fall. On July 10, 2019, it was announced that the band had signed to Frontiers Music, and would in fact be releasing the new album in 2020. "It's been a long time since BÖC's last studio album. Recording with Danny, Richie and Jules should be a great experience as we've been touring together for years, and Buck and I look forward to including them in the creative and recording process," said Bloom. "The current band is GREAT and has never been recorded other than live, so we feel now's the time for new songs to be written and recorded. About half of the songs for the new record exist and the rest will be finished during the process," added Buck Dharma. In February 2020, Richie Castellano posted a short video to Facebook featuring himself and Eric Bloom, stating that the band are working on the new Blue Oyster Cult record remotely by using ConnectionOpen online audio collaboration tool. The Symbol Remains (2020–present) In August 2020, the band announced on their website that their fifteenth studio album The Symbol Remains would be released on October 9, 2020. The span of nineteen years between Curse of the Hidden Mirror and The Symbol Remains marks the longest gap between studio albums in Blue Öyster Cult's career. The album was released to great critical reception, with tracks such as "Box in my Head" and "Nightmare Epiphany" often praised as a return to form after the band had seemingly turned away from rock and towards pop. Musical style Blue Öyster Cult is a hard rock band, whose music has been described as heavy metal, psychedelic rock, occult rock, biker boogie, acid rock, and progressive rock. They have also been recognized for helping pioneer genres such as stoner metal and speed metal. The band has also experimented with additional genres on specific albums. An example of this is Mirrors (1979). The band is influenced by artists such as Alice Cooper, Grateful Dead, The Doors, Jefferson Airplane, MC5, The Blues Project, Jimi Hendrix, and Black Sabbath. While Blue Öyster Cult has been noted for heavy rock, they would often add their own tongue-in-cheek style. Keeping with their image, the band would often include out-of-context fragments of Pearlman's The Soft Doctrines of Imaginos into their lyrics, giving their songs cryptic meanings. Additionally, the band would keep a folder of Meltzer's and Pearlman's word associations to insert into their music. Band name and logo The name "Blue Öyster Cult" came from a 1960s poem written by manager Sandy Pearlman. It was part of his "Imaginos" poetry, later used more extensively on their album Imaginos (1988). Pearlman had also come up with the band's earlier name, "Soft White Underbelly", from a phrase used by Winston Churchill in describing Italy during World War II. In Pearlman's poetry, the "Blue Oyster Cult" was a group of aliens who had assembled secretly | band's heavier sound continued, albeit with fairly heavy use of synthesizers and some noticeable New Wave influence on a few tracks. It contained other fan favorites such as "Joan Crawford" (inspired by the book and film Mommie Dearest) and "Veteran of the Psychic Wars", another song co-written by Moorcock. Several of the songs had been written for the animated film Heavy Metal, but only "Veteran of the Psychic Wars" (which had not been written for Heavy Metal) was actually used in the movie. The album marked a strong commercial resurgence for the band and achieved gold status, their first studio album since Spectres to do so. During the tour for Fire of Unknown Origin, Albert Bouchard had a falling out with the others and left the band, and Rick Downey (formerly the band's lighting designer) replaced him on drums. This marked the end of the band's original and best-known lineup. Decline and fall (1982–1987) After leaving the band, Albert Bouchard spent five years working on a solo album based on Sandy Pearlman's poem "Imaginos". Blue Öyster Cult also released a third live album Extraterrestrial Live. The band then went to the studio for the next album, The Revölution by Night (1983), with Bruce Fairbairn as producer. After two albums of a return to a harder rocking sound, the band adopted a more radio-friendly, AOR-oriented sound with Fairbairn providing a 1980s-style production. This approach met with some success, especially on its highest-charting single, Roeser's "Shooting Shark", co-written by Patti Smith and featuring Randy Jackson on bass, which reached number 83 on the charts. Bloom's "Take Me Away" achieved some FM radio play. However, the album didn't match sales of its predecessor, failed to achieve gold status, and marked the beginning of the band's second commercial decline. After touring for Revölution, Rick Downey left, leaving Blue Öyster Cult without a drummer. Blue Öyster Cult re-united with Albert Bouchard for a California tour in February 1985, infamously known as the 'Albert Returns' Tour. This arrangement was only temporary and caused more tensions between the band and Bouchard, since he had thought he would be staying on permanently, which wasn't the case. The band had only intended to use him as a last-minute fill-in until another drummer could come on board, which resulted in Bouchard's leaving after the tour. Allen Lanier also quit the band shortly thereafter, leaving them without a keyboardist and with only three remaining original members. This incarnation of the band would sometimes be referred to as '3ÖC' by fans , which is a pun on the number of original members left. Blue Öyster Cult hired drummer Jimmy Wilcox and keyboardist Tommy Zvoncheck to finish the album Club Ninja, which was poorly received, with only "Dancin' in the Ruins"—one of several songs on the record written entirely by outside songwriters—enjoying minimal success on radio and MTV. The best-known original on the album is "Perfect Water" written by Dharma and Jim Carroll (noted author of The Basketball Diaries). While the band members have generally been disparaging about the album in retrospect, Joe Bouchard has stated that "Perfect Water" is "perfect genius". The band toured in Germany, after which bassist Bouchard left, leaving only two members of the classic lineup: Eric Bloom and Donald Roeser. Some people referred to the band as "Two Öyster Cult" during this period. Jon Rogers was hired to replace Joe and this version of the band finished out the 1986 tour. After it wound up that year, the band took a temporary break from recording and touring. When Blue Öyster Cult received an offer to tour in Greece in the early summer of 1987, the band reformed. Wilcox quit while Zvoncheck was fired for making excessive financial demands. Allen Lanier then was offered to rejoin and agreed, so the new line-up now featured three founding members, along with Jon Rogers returning on bass and Ron Riddle as their newest drummer. Columbia Records was not interested in releasing the Imaginos project as an Albert Bouchard solo album so it was arranged for the record to be released in 1988 by Columbia as a Blue Öyster Cult album, with some new lead vocal overdubs from Bloom and Roeser and lead guitar overdubs from Roeser. These replaced most of Albert Bouchard's lead vocals, as well as many lead guitar parts that had been recorded by session musicians. Joe Bouchard and Allen Lanier had earlier contributed some minor keyboard and backing vocal parts to the album, allowing all five original members to be credited. The album didn't sell well (despite a positive review in Rolling Stone magazine) and though the then-current Blue Öyster Cult lineup (minus both Bouchard brothers) toured to promote Imaginos, promotion by the label was virtually non-existent. When Columbia Records' parent company CBS Records was purchased by Sony and became Sony Music Entertainment, Blue Öyster Cult were dropped from the label. 1990s and early 2000s The band spent the next 11 years touring without releasing an album of new material, though they did contribute two new songs to the Bad Channels movie soundtrack, released in 1992, and also released an album of re-recorded songs from the band's original lineup called Cult Classic in 1994. During these years, while the three original members remained constant, there were several changes in the band's rhythm section. Ron Riddle quit in 1991 and was followed by a series of other drummers including Chuck Burgi (1991–1992, 1992–1995, 1996–1997), John Miceli (1992, 1995), John O'Reilly (1995–1996) and Bobby Rondinelli (1997–2004). As for the bass position, Rogers left in 1995, and was replaced by Danny Miranda. In the late 1990s, Blue Öyster Cult secured a recording contract with CMC Records (later purchased by Sanctuary Records), and continued to tour frequently. Two studio albums were released, Heaven Forbid (1998) and Curse of the Hidden Mirror (2001). Both albums featured songs co-written by cyberpunk/horror novelist John Shirley. The first mostly featured Miranda on bass and Burgi on drums, though a few tracks feature earliest bassist Jon Rogers and one track features Rondinelli on drums, who had joined the band near the end of the recording. Curse of the Hidden Mirror features Miranda and Rondinelli as the rhythm section, and the pair contributed to the songwriting as well. Neither album sold well. Another live record and DVD A Long Day's Night followed in 2002, both drawn from one concert in Chicago. This album also featured the Bloom, Roeser, Lanier, Miranda, Rondinelli lineup. Although the band's lineup had remained stable from 1997 to 2004, they began to experience personnel changes again in 2004. Rondinelli left in 2004, and was replaced by Jules Radino. Miranda left during the same year to become the bassist for Queen + Paul Rodgers in place of the retired John Deacon. He was replaced by Richie Castellano, who would also take occasional turns as a lead vocalist onstage. In 2001, Sony/Columbia's reissue arm, Legacy Records issued expanded versions of the first four Blue Öyster Cult studio albums, including some previously unreleased demos and outtakes from album sessions, live recordings (from the Live 72 EP), and post-St. Cecilia tunes from the Stalk-Forrest Group era. Late 2000s and 2010s Allen Lanier retired from live performances in 2007 after not appearing with the band since late 2006. Castellano switched to rhythm guitar and keyboards (Castellano also filled in on lead guitar and vocals for an ailing Buck Dharma in two shows in 2005), and the position of bassist was taken up by Rudy Sarzo (previously a member of Quiet Riot, Whitesnake, Ozzy Osbourne and Dio), with the band employing Danny Miranda and Jon Rogers as guest bassists to fill in when Sarzo was unavailable. Sarzo then joined as an official member of the band, although Rogers continued to occasionally fill in when Sarzo was busy. In February 2007, the Sony Legacy remaster series continued, releasing expanded versions of studio album Spectres and live album Some Enchanted Evening. In June 2012, the band announced that bassist Rudy Sarzo was leaving the band and was being replaced by former Utopia bassist Kasim Sulton. In August of the same year, it was announced that Sony Legacy would be releasing a 17-disc boxed set entitled The Complete Columbia Albums Collection on October 30, 2012. The set includes the first round of the remastered series plus the long-awaited remastered versions of On Your Feet or on Your Knees (1975), Mirrors, Cultösaurus Erectus, Fire Of Unknown Origin, Extraterrestrial Live, The Revölution by Night, Club Ninja and Imaginos. Also exclusive to this set are two discs of rare and unreleased B-sides, demos and radio broadcasts. Also in 2012, celebrating the 40th anniversary of Blue Öyster Cult, the then-current incarnation of the band reunited for the first time in 25 years with other original members Joe and Albert Bouchard and Allen Lanier as guests for a special event in New York. Founding keyboardist/guitarist Allen Lanier died of chronic obstructive pulmonary disease on August 14, 2013. In 2016, Albert Bouchard played again as guest with the current line-up of the band, playing at shows in New York, Los Angeles, Dublin and London, where Blue Öyster Cult played the album Agents of Fortune in its entirety. The shows featured songs from Agents of Fortune that had either not been played live before ("True Confessions", "The Revenge of Vera Gemini", "Sinful Love", "Tenderloin", "Debbie Denise"), songs that had not been played since the album's debut tour ("Morning Final"), and songs that were either no longer or never were played frequently ("This Ain't the Summer of Love", "Tattoo Vampire"), as well as the fan favorite "Five Guitars", which had not been played since Albert initially left the band in 1981. Albert played in the following songs at the show: "The Revenge of Vera Gemini" (vocals, guitar), "Sinful Love" (vocals, guitar), "Tattoo Vampire" (guitar), "Morning Final" (guitar), "Tenderloin" (cymbals), "Debbie Denise" (vocals, acoustic guitar), "Cities on Flame with Rock and Roll" (vocals, drums), and "Five Guitars" (guitar). In a May 2017 appearance on Castellano's "Band Geek" podcast, Bloom confirmed that there were tentative plans to release a new album in 2018 and that the band was currently considering offers from multiple record labels. He also stated that former bassist Danny Miranda would be playing with the band for the remainder of the year due to Sulton's prior touring commitments with Todd Rundgren. During the same year, the band's official website started to list Miranda as an official member, stating that Miranda had "returned to BÖC" in early 2017. Buck Dharma stated in February 2019 that the band would be recording a new album to be released by fall. On July 10, 2019, it was announced that the band had signed to Frontiers Music, and would in fact be releasing the new album in 2020. "It's been a long time since BÖC's last studio album. Recording with Danny, Richie and Jules should be a great experience as we've been touring together for years, and Buck and I look forward to including them in the creative and recording process," said Bloom. "The current band is GREAT and has never been recorded other than live, so we feel now's the time for new songs to be written and recorded. About half of the songs for the new record exist and the rest will be finished during the process," added Buck Dharma. In February 2020, Richie Castellano posted a short video to Facebook featuring himself and Eric Bloom, stating that the band are working on the new Blue Oyster Cult record remotely by using ConnectionOpen online audio collaboration tool. The Symbol Remains (2020–present) In August 2020, the band announced on their website that their fifteenth studio album The Symbol Remains would be released on October 9, 2020. The span of nineteen years between Curse of the Hidden Mirror and The Symbol Remains marks the longest gap between studio albums in Blue Öyster Cult's career. The album was released to great critical reception, with tracks such as "Box in my Head" and "Nightmare Epiphany" often praised as a return to form after |
of residents who have difficulty paying their rent, is 38% in Battery Park City and Lower Manhattan, compared to the boroughwide and citywide rates of 45% and 51% respectively. Based on this calculation, , Battery Park City and Lower Manhattan are considered high-income relative to the rest of the city and not gentrifying. , about 10,000 people live in Battery Park City, most of whom are upper middle class and upper class (54.0% of households have incomes over $100,000). When fully built out, the neighborhood is projected to have 14,000 residents. Cultural heritage A largely Arab-American neighborhood existed adjacent to what is today southeastern Battery Park City from the late 1880s to the 1940s. "Little Syria" encompassed Washington Street from Battery Park to Rector Street. It declined as a neighborhood as the inhabitants became successful and moved to other areas, especially Atlantic Avenue in Brooklyn, and disappeared almost entirely when a great deal of lower Washington Street was demolished to make way for entrance ramps to the Brooklyn-Battery Tunnel, which opened in 1950. The overwhelming majority of the residents were Arabic-speaking Christians, Melkite and Maronite immigrants from present-day Syria and Lebanon who settled in the area in the late 19th century, escaping religious persecution and poverty in their homelands – which were then under control of the Ottoman Empire – and answering the call of American missionaries to escape their difficulties by traveling to New York City. However, many other ethnic groups had lived in this diverse neighborhood, including Greeks, Turks, Armenians, Slovaks, Poles, Hungarians, Lithuanians, Ukrainians, Czechs, and Irish. A long-standing reminder of the ethnic past was the former St. Nicholas Greek Orthodox Church, which was destroyed in the September 11 attacks. An additional historic church, St. George's Syrian Catholic Church, still stands at 103 Washington Street. Buildings Residential The first residential building in Battery Park City, Gateway Plaza, was completed in 1983. , the population of the area was 13,386. Some of the more prominent residential buildings include: Millennium Point, a , 38-story skyscraper built from 1999 to 2001. It occupies the street addresses 25–39 Battery Place. However, due to the September 11 attacks which hit the nearby World Trade Center, opening of Millennium Point was delayed until January 2002. The building won the 2001 Silver Emporis Skyscraper Award. The tower section contains 113 luxury condominiums. The wider, lower 12 floors are occupied by a 5-star hotel, The Wagner at the Battery (formerly the Ritz-Carlton Battery Park). The hotel has 298 rooms, including 44 suites, with the largest suite spanning in area. The Skyscraper Museum occupies a small space on the first floor of the building. A restaurant is located on the 14th floor. The Solaire, the first green residential building in the United States, as well as the first residential high-rise building in New York City to be certified by the U.S. Green Building Council. Designed by Pelli Clarke Pelli and completed in 2003, it has been described as an "environmentally-progressive residential tower". The Solaire is located at 20 River Terrace. The developer received funding from the State of New York, which was somewhat controversial as the developer was only required to agree to set aside 10% of the units as "affordable housing" or "moderate income", rather than the usual 80:20 agreement. When the building opened, rents ranged from roughly $2,500 to $9,001 depending on the size of the unit. The building has been rated LEED Platinum. The energy conserving building design is 35% more energy-efficient than code requires, resulting in a 67% lower electricity demand during peak hours, resulting in, among other benefits, lower electric bills for residents. Photovoltaic panels convert sunlight to electricity, supplemented by a computerized building management system and environmentally responsible operating and maintenance practices to further reduce the building's environmental impact. Other residential condominiums include: Battery Pointe, 300 Rector Place Cove Club, 2 South End Avenue Hudson Tower, 350 Albany Street Hudson View East, 250 South End Avenue Hudson View West, 300 Albany Street Liberty Court, 200 Rector Place Liberty Green, 300 North End Avenue Liberty House, 377 Rector Place Liberty Luxe, 200 North End Avenue Liberty Terrace, 380 Rector Place Liberty View, 99 Battery Place Millennium Tower Residences, 30 West Street The Regatta, 21 South End Avenue Ritz Carlton Residence, 10 West Street Riverhouse, One Rockefeller Park The Soundings, 280 Rector Place The Visionaire, 70 Little West Street 1 Rector Park, 333 Rector Place Other residential apartments include: 212 Warren (formerly 22 River Terrace) Gateway Plaza, 375 South End Avenue The Hallmark, 455 North End Avenue Rector Square, 225 Rector Place River Watch, 70 Battery Place The Solaire, 20 River Terrace South Cove Plaza, 50 Battery Place Tribeca Bridge Tower, 450 North End Avenue Tribeca Green, 325 North End Avenue Tribeca Park, 400 Chambers Street Tribeca Pointe, River Terrace The Verdesian, 211 North End Avenue Office Battery Park City, which is mainly residential, also has a few office buildings. The seven buildings in the Brookfield Place complex, as well as 200 West Street, are the neighborhood's only office buildings. Brookfield Place complex Located in the middle of Battery Park City and overlooking the Hudson River, Brookfield Place, designed by César Pelli and owned mostly by Toronto-based Brookfield Office Properties, has been home to offices of various major companies, including Merrill Lynch, RBC Capital Markets, Nomura Group, American Express and Brookfield Asset Management, among others. Brookfield Place also serves as the United States headquarters for Brookfield Office Properties, which has its headquarters located in 200 Vesey Street. Brookfield Place also has its own zip code, 10281. Brookfield Place's ground floor and portions of the second floor are occupied by a mall; its center point is a steel-and-glass atrium known as the Winter Garden. Outside of the Winter Garden lies a sizeable yacht harbor on the Hudson known as North Cove. The building's original developer was Olympia and York of Toronto, Ontario. It used to be named the World Financial Center, but in 2014, the complex was given its current name following the completion of extensive renovations. The World Financial Center complex was built by Olympia and York between 1982 and 1988; it was damaged in the September 11 attacks but later repaired. It has six constituent buildings – 200 Liberty Street, 225 Liberty Street, 200 Vesey Street, 250 Vesey Street, the Winter Garden Atrium, and One North End Avenue (a.k.a. the New York Mercantile Exchange building). 200 West Street 200 West Street is the location of the global headquarters of Goldman Sachs, an investment banking firm. A , 44-story building located on the west side of West Street between Vesey and Murray Streets, it is north of Brookfield Place and the Conrad Hotels, across the street from the Verizon Building, and diagonally opposite the World Trade Center. It is distinctive for being the only office building in the northern section of Battery Park City. It started construction in 2005 and opened in 2009. Police and crime Battery Park City and Lower Manhattan are patrolled by the 1st Precinct of the NYPD, located at 16 Ericsson Place. The 1st Precinct ranked 63rd safest out of 69 patrol areas for per-capita crime in 2010. Though the number of crimes is low compared to other NYPD precincts, the residential population is also much lower. , with a non-fatal assault rate of 24 per 100,000 people, Battery Park City and Lower Manhattan's rate of violent crimes per capita is less than that of the city as a whole. The incarceration rate of 152 per 100,000 people is lower than that of the city as a whole. The 1st Precinct has a lower crime rate than in the 1990s, with crimes across all categories having decreased by 86.3% between 1990 and 2018. The precinct reported 1 murder, 23 rapes, 80 robberies, 61 felony assaults, 85 burglaries, 1,085 grand larcenies, and 21 grand larcenies auto in 2018. Fire safety Battery Park City is served by the New York City Fire Department (FDNY)'s Engine Co. 10/Ladder Co. 10 fire station, located at 124 Liberty Street. Health , preterm births and births to teenage mothers are less common in Battery Park City and Lower Manhattan than in other places citywide. In Battery Park City and Lower Manhattan, there were 77 preterm births per 1,000 live births (compared to 87 per 1,000 citywide), and 2.2 teenage births per 1,000 live births (compared to 19.3 per 1,000 citywide), though the teenage birth rate is based on a small sample size. Battery Park City and Lower Manhattan have a low population of residents who are uninsured. In 2018, this population of uninsured residents was estimated to be 4%, less than the citywide rate of 12%, though this was based on a small sample size. The concentration of fine particulate matter, the deadliest type of air pollutant, in Battery Park City and Lower Manhattan is , more than the city average. Sixteen percent of Battery Park City and Lower Manhattan residents are smokers, which is more than the city average of 14% of residents being smokers. In Battery Park City and Lower Manhattan, 4% of residents are obese, 3% are diabetic, and 15% have high blood pressure, the lowest rates in the city—compared to the citywide averages of 24%, 11%, and 28% respectively. In addition, 5% of children are obese, the lowest rate in the city, compared to the citywide average of 20%. Ninety-six percent of residents eat some fruits and vegetables every day, which is more than the city's average of 87%. In 2018, 88% of residents described their health as "good," "very good," or "excellent," more than the city's average of 78%. For every supermarket in Battery Park City and Lower Manhattan, there are 6 bodegas. The nearest major hospital is NewYork-Presbyterian Lower Manhattan Hospital in the Civic Center area. Post office and ZIP Codes Battery Park City is located within two ZIP Codes. The neighborhood north of Brookfield Place is covered by 10282, while much of the neighborhood south of Brookfield Place is covered by 10280. Brookfield Place is part of 10281, and the southernmost tip is part of 10004. The United States Postal Service does not operate any post offices in Battery Park City. The nearest post office is the Church Street Station at 90 Church Street in the Financial District. Education Battery Park City and Lower Manhattan generally have a higher rate of college-educated residents than the rest of the city . The vast majority of residents age 25 and older (84%) have a college education or higher, while 4% have less than a high school education and 12% are high school graduates or have some college education. By contrast, 64% of Manhattan residents and 43% of city residents have a college education or higher. The percentage of Battery Park City and Lower Manhattan students excelling in math rose from 61% in 2000 to 80% in 2011, and reading achievement increased from 66% to 68% during the same time period. Battery Park City and Lower Manhattan's rate of elementary school student absenteeism is lower than the rest of New York City. In Battery Park City and Lower Manhattan, 6% of elementary school students missed twenty or more days per school year, less than the citywide average of 20%. Additionally, 96% of high school students in Battery Park City and Lower Manhattan graduate on time, more than the citywide average of 75%. Schools The New York City Department of Education operates the following public schools in Battery Park City: P.S. 89 I.S. 289 P.S./I.S. 276 Battery Park City School Stuyvesant High School, which moved into a new waterfront building in Battery Park City in 1992 Library Battery Park City has a New York Public Library branch at 175 North End Avenue, designed by 1100 Architect and completed in 2010. A , two-story library on the street level of a high-rise residential building, it utilizes several sustainable design features, earning it LEED Gold certification. Sustainability was a driving factor in the design of the library including use of an energy-efficient lighting system, maximization of natural lighting, and use of recycled materials. 1100 Architect, in collaboration with Atelier Ten, an international team of environmental design consultants and building services engineers, designed the library's energy-efficient lighting system. The open plan layout and large use of glass allow for ample natural daylight year-round and low-energy LED light illuminates communal spaces. Recycled materials are incorporated into the design including carpet made from re-purposed truck tires, floors made from reclaimed window frame wood, and furniture made from FSC-certified plywood and recycled steel. Design features include a seemingly "floating" origami-style ceiling made up of triangular panels hung at varying angles and a padded reading nook fitted into the library's terrazzo-finished steel and concrete staircase. The interior uses an easy-to-navigate layout with its three distinct spatial areas of entry area, first floor space, and mezzanine visually unified through the ceiling. The building also won the Interior Design, Best of Year Merit Award | Park City and Lower Manhattan, compared to the boroughwide and citywide rates of 45% and 51% respectively. Based on this calculation, , Battery Park City and Lower Manhattan are considered high-income relative to the rest of the city and not gentrifying. , about 10,000 people live in Battery Park City, most of whom are upper middle class and upper class (54.0% of households have incomes over $100,000). When fully built out, the neighborhood is projected to have 14,000 residents. Cultural heritage A largely Arab-American neighborhood existed adjacent to what is today southeastern Battery Park City from the late 1880s to the 1940s. "Little Syria" encompassed Washington Street from Battery Park to Rector Street. It declined as a neighborhood as the inhabitants became successful and moved to other areas, especially Atlantic Avenue in Brooklyn, and disappeared almost entirely when a great deal of lower Washington Street was demolished to make way for entrance ramps to the Brooklyn-Battery Tunnel, which opened in 1950. The overwhelming majority of the residents were Arabic-speaking Christians, Melkite and Maronite immigrants from present-day Syria and Lebanon who settled in the area in the late 19th century, escaping religious persecution and poverty in their homelands – which were then under control of the Ottoman Empire – and answering the call of American missionaries to escape their difficulties by traveling to New York City. However, many other ethnic groups had lived in this diverse neighborhood, including Greeks, Turks, Armenians, Slovaks, Poles, Hungarians, Lithuanians, Ukrainians, Czechs, and Irish. A long-standing reminder of the ethnic past was the former St. Nicholas Greek Orthodox Church, which was destroyed in the September 11 attacks. An additional historic church, St. George's Syrian Catholic Church, still stands at 103 Washington Street. Buildings Residential The first residential building in Battery Park City, Gateway Plaza, was completed in 1983. , the population of the area was 13,386. Some of the more prominent residential buildings include: Millennium Point, a , 38-story skyscraper built from 1999 to 2001. It occupies the street addresses 25–39 Battery Place. However, due to the September 11 attacks which hit the nearby World Trade Center, opening of Millennium Point was delayed until January 2002. The building won the 2001 Silver Emporis Skyscraper Award. The tower section contains 113 luxury condominiums. The wider, lower 12 floors are occupied by a 5-star hotel, The Wagner at the Battery (formerly the Ritz-Carlton Battery Park). The hotel has 298 rooms, including 44 suites, with the largest suite spanning in area. The Skyscraper Museum occupies a small space on the first floor of the building. A restaurant is located on the 14th floor. The Solaire, the first green residential building in the United States, as well as the first residential high-rise building in New York City to be certified by the U.S. Green Building Council. Designed by Pelli Clarke Pelli and completed in 2003, it has been described as an "environmentally-progressive residential tower". The Solaire is located at 20 River Terrace. The developer received funding from the State of New York, which was somewhat controversial as the developer was only required to agree to set aside 10% of the units as "affordable housing" or "moderate income", rather than the usual 80:20 agreement. When the building opened, rents ranged from roughly $2,500 to $9,001 depending on the size of the unit. The building has been rated LEED Platinum. The energy conserving building design is 35% more energy-efficient than code requires, resulting in a 67% lower electricity demand during peak hours, resulting in, among other benefits, lower electric bills for residents. Photovoltaic panels convert sunlight to electricity, supplemented by a computerized building management system and environmentally responsible operating and maintenance practices to further reduce the building's environmental impact. Other residential condominiums include: Battery Pointe, 300 Rector Place Cove Club, 2 South End Avenue Hudson Tower, 350 Albany Street Hudson View East, 250 South End Avenue Hudson View West, 300 Albany Street Liberty Court, 200 Rector Place Liberty Green, 300 North End Avenue Liberty House, 377 Rector Place Liberty Luxe, 200 North End Avenue Liberty Terrace, 380 Rector Place Liberty View, 99 Battery Place Millennium Tower Residences, 30 West Street The Regatta, 21 South End Avenue Ritz Carlton Residence, 10 West Street Riverhouse, One Rockefeller Park The Soundings, 280 Rector Place The Visionaire, 70 Little West Street 1 Rector Park, 333 Rector Place Other residential apartments include: 212 Warren (formerly 22 River Terrace) Gateway Plaza, 375 South End Avenue The Hallmark, 455 North End Avenue Rector Square, 225 Rector Place River Watch, 70 Battery Place The Solaire, 20 River Terrace South Cove Plaza, 50 Battery Place Tribeca Bridge Tower, 450 North End Avenue Tribeca Green, 325 North End Avenue Tribeca Park, 400 Chambers Street Tribeca Pointe, River Terrace The Verdesian, 211 North End Avenue Office Battery Park City, which is mainly residential, also has a few office buildings. The seven buildings in the Brookfield Place complex, as well as 200 West Street, are the neighborhood's only office buildings. Brookfield Place complex Located in the middle of Battery Park City and overlooking the Hudson River, Brookfield Place, designed by César Pelli and owned mostly by Toronto-based Brookfield Office Properties, has been home to offices of various major companies, including Merrill Lynch, RBC Capital Markets, Nomura Group, American Express and Brookfield Asset Management, among others. Brookfield Place also serves as the United States headquarters for Brookfield Office Properties, which has its headquarters located in 200 Vesey Street. Brookfield Place also has its own zip code, 10281. Brookfield Place's ground floor and portions of the second floor are occupied by a mall; its center point is a steel-and-glass atrium known as the Winter Garden. Outside of the Winter Garden lies a sizeable yacht harbor on the Hudson known as North Cove. The building's original developer was Olympia and York of Toronto, Ontario. It used to be named the World Financial Center, but in 2014, the complex was given its current name following the completion of extensive renovations. The World Financial Center complex was built by Olympia and York between 1982 and 1988; it was damaged in the September 11 attacks but later repaired. It has six constituent buildings – 200 Liberty Street, 225 Liberty Street, 200 Vesey Street, 250 Vesey Street, the Winter Garden Atrium, and One North End Avenue (a.k.a. the New York Mercantile Exchange building). 200 West Street 200 West Street is the location of the global headquarters of Goldman Sachs, an investment banking firm. A , 44-story building located on the west side of West Street between Vesey and Murray Streets, it is north of Brookfield Place and the Conrad Hotels, across the street from the Verizon Building, and diagonally opposite the World Trade Center. It is distinctive for being the only office building in the northern section of Battery Park City. It started construction in 2005 and opened in 2009. Police and crime Battery Park City and Lower Manhattan are patrolled by the 1st Precinct of the NYPD, located at 16 Ericsson Place. The 1st Precinct ranked 63rd safest out of 69 patrol areas for per-capita crime in 2010. Though the number of crimes is low compared to other NYPD precincts, the residential population is also much lower. , with a non-fatal assault rate of 24 per 100,000 people, Battery Park City and Lower Manhattan's rate of violent crimes per capita is less than that of the city as a whole. The incarceration rate of 152 per 100,000 people is lower than that of the city as a whole. The 1st Precinct has a lower crime rate than in the 1990s, with crimes across all categories having decreased by 86.3% between 1990 and 2018. The precinct reported 1 murder, 23 rapes, 80 robberies, 61 felony assaults, 85 burglaries, 1,085 grand larcenies, and 21 grand larcenies auto in 2018. Fire safety Battery Park City is served by the New York City Fire Department (FDNY)'s Engine Co. 10/Ladder Co. 10 fire station, located at 124 Liberty Street. Health , preterm births and births to teenage mothers are less common in Battery Park City and Lower Manhattan than in other places citywide. In Battery Park City and Lower Manhattan, there were 77 preterm births per 1,000 live births (compared to 87 per 1,000 citywide), and 2.2 teenage births per 1,000 live births (compared to 19.3 per 1,000 citywide), though the teenage birth rate is based on a small sample size. Battery Park City and Lower Manhattan have a low population of residents who are uninsured. In 2018, this population of uninsured residents was estimated to be 4%, less than the citywide rate of 12%, though this was based on a small sample size. The concentration of fine particulate matter, the deadliest type of air pollutant, in Battery Park City and Lower Manhattan is , more than the city average. Sixteen percent of Battery Park City and Lower Manhattan residents are smokers, which is more than the city average of 14% of residents being smokers. In Battery Park City and Lower Manhattan, 4% of residents are obese, 3% are diabetic, and 15% have high blood pressure, the lowest rates in the city—compared to the citywide averages of 24%, 11%, and 28% respectively. In addition, 5% of children are obese, the lowest rate in the city, compared to the citywide average of 20%. Ninety-six percent of residents eat some fruits and vegetables every day, which is more than the city's average of 87%. In 2018, 88% of residents described their health as "good," "very good," or "excellent," more than the city's average of 78%. For every supermarket in Battery Park City and Lower Manhattan, there are 6 bodegas. The nearest major hospital is NewYork-Presbyterian Lower Manhattan Hospital in the Civic Center area. Post office and ZIP Codes Battery Park City is located within two ZIP Codes. The neighborhood north of Brookfield Place is covered by 10282, while much of the neighborhood south of Brookfield Place is covered by 10280. Brookfield Place is part of 10281, and the southernmost tip is part of 10004. The United States Postal Service does not operate any post offices in Battery Park City. The nearest post office is the Church Street Station at 90 Church Street in the Financial District. Education Battery Park City and Lower Manhattan generally have a higher rate of college-educated residents than the rest of the city . The vast majority of residents age 25 and older (84%) have a college education or higher, while 4% have less than a high school education and 12% are high school graduates or have some college education. By contrast, 64% of Manhattan residents and 43% of city residents have a college education or higher. The percentage of Battery Park City and Lower Manhattan students excelling in math rose from 61% in 2000 to 80% in 2011, and reading achievement increased from 66% to 68% during the same time period. Battery Park City and Lower Manhattan's rate of elementary school student absenteeism is lower than the rest of New York City. In Battery Park City and Lower Manhattan, 6% of elementary school students missed twenty or more days per school year, less than the citywide average of 20%. Additionally, 96% of high school students in Battery Park City and Lower Manhattan graduate on time, more than the citywide average of 75%. Schools The New York City Department of Education operates the following public schools in Battery Park City: P.S. 89 I.S. 289 P.S./I.S. 276 Battery Park City School Stuyvesant High School, which moved into a new waterfront building in Battery Park City in 1992 Library Battery Park City has a New York Public Library branch at 175 North End Avenue, designed by 1100 Architect and completed in 2010. A , two-story library on the street level of a high-rise residential building, it utilizes several sustainable design features, earning it LEED Gold certification. Sustainability was a driving factor in the design of the library including use of an energy-efficient lighting system, maximization of natural lighting, and use of recycled materials. 1100 Architect, in collaboration with Atelier Ten, an international team of environmental design consultants and building services engineers, designed the library's energy-efficient lighting system. The open plan layout and large use of glass allow for ample natural daylight year-round and low-energy LED light illuminates communal spaces. Recycled materials are incorporated into the design including carpet made from re-purposed truck tires, floors made from reclaimed window frame wood, and furniture made from FSC-certified plywood and recycled steel. Design features include a seemingly "floating" origami-style ceiling made up of triangular panels hung at varying angles and a padded reading |
disorders or negative outcomes. It is possible for sexually inactive persons to develop bacterial vaginosis. Bacterial vaginosis may sometimes affect women after menopause. Also, subclinical iron deficiency may correlate with bacterial vaginosis in early pregnancy. A longitudinal study published in February 2006, in the American Journal of Obstetrics and Gynecology, showed a link between psychosocial stress and bacterial vaginosis persisted even when other risk factors were taken into account. Exposure to the spermicide nonoxynol-9 does not affect the risk of developing bacterial vaginosis. Having a female partner increases the risk of BV by 60%. The bacteria associated with BV have been isolated from male genitalia. BV microbiota has been found in the penis, coronal sulcus, and male urethra, in the male partners of infected females. Partners who have not been circumcised may act as a 'reservoir' increasing the likelihood of acquiring an infection after sexual intercourse. Another mode of transmission of the BV-associated microbiota is to a female sexual partner via skin-to-skin transfer. BV may be transmitted via the perineal enteric bacteria from the microbiota of the female and male genitalia. Diagnosis To make a diagnosis of bacterial vaginosis, a swab from inside the vagina should be obtained. These swabs can be tested for: Gram stain which shows the depletion of lactobacilli and overgrowth of Gardnerella vaginalis bacteria. Bacterial vaginosis is usually confirmed by a Gram stain of vaginal secretions. A characteristic "fishy" odor on wet mount. This test, called the whiff test, is performed by adding a small amount of potassium hydroxide to a microscopic slide containing the vaginal discharge. A characteristic fishy odor is considered a positive whiff test and is suggestive of bacterial vaginosis. Loss of acidity. To control bacterial growth, the vagina is normally slightly acidic with a pH of 3.8–4.2. A swab of the discharge is put onto litmus paper to check its acidity. A pH greater than 4.5 is considered alkaline and is suggestive of bacterial vaginosis. The presence of clue cells on wet mount. Similar to the whiff test, the test for clue cells is performed by placing a drop of sodium chloride solution on a slide containing vaginal discharge. If present, clue cells can be visualized under a microscope. They are so-named because they give a clue to the reason behind the discharge. These are epithelial cells that are coated with bacteria. Differential diagnosis for bacterial vaginosis includes the following: Normal vaginal discharge. Candidiasis (thrush, or a yeast infection). Trichomoniasis, an infection caused by Trichomonas vaginalis. Aerobic vaginitis The Center for Disease Control (CDC) defines STIs as "a variety of clinical syndromes and infections caused by pathogens that can be acquired and transmitted through sexual activity." But the CDC does not specifically identify BV as sexually transmitted infection. Amsel criteria In clinical practice BV can be diagnosed using the Amsel criteria: Thin, white, yellow, homogeneous discharge Clue cells on microscopy pH of vaginal fluid >4.5 Release of a fishy odor on adding alkali—10% potassium hydroxide (KOH) solution. At least three of the four criteria should be present for a confirmed diagnosis. A modification of the Amsel criteria accepts the presence of two instead of three factors and is considered equally diagnostic. Gram stain An alternative is to use a Gram-stained vaginal smear, with the Hay/Ison criteria or the Nugent criteria. The Hay/Ison criteria are defined as follows: Grade 1 (Normal): Lactobacillus morphotypes predominate. Grade 2 (Intermediate): Some lactobacilli present, but Gardnerella or Mobiluncus morphotypes also present. Grade 3 (Bacterial Vaginosis): Predominantly Gardnerella and/or Mobiluncus morphotypes. Few or absent lactobacilli. (Hay et al., 1994) Gardnerella vaginalis is the main culprit in BV. Gardnerella vaginalis is a short rod (coccobacillus). Hence, the presence of clue cells and gram variable coccobacilli are indicative or diagnostic of bacterial vaginosis. Nugent score The Nugent score is now rarely used by physicians due to the time it takes to read the slides and requires the use of a trained microscopist. A score of 0-10 is generated from combining three other scores. The scores are as follows: 0–3 is considered negative for BV 4–6 is considered intermediate 7+ is considered indicative of BV. At least 10–20 high power (1000× oil immersion) fields are counted and an average determined. DNA hybridization testing with Affirm VPIII was compared to the Gram stain using the Nugent criteria. The Affirm VPIII test may be used for the rapid diagnosis of BV in symptomatic women but uses expensive proprietary equipment to read results, and does not detect other pathogens that cause BV, including Prevotella spp, Bacteroides spp, and Mobiluncus spp. The cervicovaginal microbiome measured using 16S rRNA sequencing has the capacity to increase throughput of the Nugent Score and has demonstrate to be directly comparable to clinical Nugent Score measurement. Screening Screening during pregnancy is not recommended in the United States as of 2020. Prevention Some steps | is considered a positive whiff test and is suggestive of bacterial vaginosis. Loss of acidity. To control bacterial growth, the vagina is normally slightly acidic with a pH of 3.8–4.2. A swab of the discharge is put onto litmus paper to check its acidity. A pH greater than 4.5 is considered alkaline and is suggestive of bacterial vaginosis. The presence of clue cells on wet mount. Similar to the whiff test, the test for clue cells is performed by placing a drop of sodium chloride solution on a slide containing vaginal discharge. If present, clue cells can be visualized under a microscope. They are so-named because they give a clue to the reason behind the discharge. These are epithelial cells that are coated with bacteria. Differential diagnosis for bacterial vaginosis includes the following: Normal vaginal discharge. Candidiasis (thrush, or a yeast infection). Trichomoniasis, an infection caused by Trichomonas vaginalis. Aerobic vaginitis The Center for Disease Control (CDC) defines STIs as "a variety of clinical syndromes and infections caused by pathogens that can be acquired and transmitted through sexual activity." But the CDC does not specifically identify BV as sexually transmitted infection. Amsel criteria In clinical practice BV can be diagnosed using the Amsel criteria: Thin, white, yellow, homogeneous discharge Clue cells on microscopy pH of vaginal fluid >4.5 Release of a fishy odor on adding alkali—10% potassium hydroxide (KOH) solution. At least three of the four criteria should be present for a confirmed diagnosis. A modification of the Amsel criteria accepts the presence of two instead of three factors and is considered equally diagnostic. Gram stain An alternative is to use a Gram-stained vaginal smear, with the Hay/Ison criteria or the Nugent criteria. The Hay/Ison criteria are defined as follows: Grade 1 (Normal): Lactobacillus morphotypes predominate. Grade 2 (Intermediate): Some lactobacilli present, but Gardnerella or Mobiluncus morphotypes also present. Grade 3 (Bacterial Vaginosis): Predominantly Gardnerella and/or Mobiluncus morphotypes. Few or absent lactobacilli. (Hay et al., 1994) Gardnerella vaginalis is the main culprit in BV. Gardnerella vaginalis is a short rod (coccobacillus). Hence, the presence of clue cells and gram variable coccobacilli are indicative or diagnostic of bacterial vaginosis. Nugent score The Nugent score is now rarely used by physicians due to the time it takes to read the slides and requires the use of a trained microscopist. A score of 0-10 is generated from combining three other scores. The scores are as follows: 0–3 is considered negative for BV 4–6 is considered intermediate 7+ is considered indicative of BV. At least 10–20 high power (1000× oil immersion) fields are counted and an average determined. DNA hybridization testing with Affirm VPIII was compared to the Gram stain using the Nugent criteria. The Affirm VPIII test may be used for the rapid diagnosis of BV in symptomatic women but uses expensive proprietary equipment to read results, and does not detect other pathogens that cause BV, including Prevotella spp, Bacteroides spp, and Mobiluncus spp. The cervicovaginal microbiome measured using 16S rRNA sequencing has the capacity to increase throughput of the Nugent Score and has demonstrate to be directly comparable to clinical Nugent Score measurement. Screening Screening during pregnancy is not recommended in the United States as of 2020. Prevention Some steps suggested to lower the risk include: not douching, avoiding sex, or limiting the number of sex partners. One review concluded that probiotics may help prevent re-occurrence. Another review found that, while there is tentative evidence, it is not strong enough to recommend their use for this purpose. Early evidence suggested that antibiotic treatment of male partners could re-establish the normal microbiota of the male urogenital tract and prevent the recurrence of infection. However, a 2016 Cochrane review found high-quality evidence that treating the sexual partners of women with bacterial vaginosis had no effect on symptoms, clinical outcomes, or recurrence in the affected women. It also found that such treatment may lead treated sexual partners to report increased adverse events. Treatment Antibiotics Treatment is typically with the antibiotics metronidazole or clindamycin. They can be either given by mouth or applied inside the vagina with similar efficacy. About 10% to 15% of people, however, do not improve with the first course of antibiotics and recurrence rates of up to 80% have been documented. Recurrence rates are increased with sexual activity with the same pre-/posttreatment partner |
playoff games and similar weather conditions. For Hurricane Ike in 2008, Selig mandated that the Astros play two home games against the Chicago Cubs in his hometown of Milwaukee despite proximity to the visiting Cubs; the home ballparks for the Texas Rangers and Atlanta Braves were both available to host the games. The Astros subsequently were victims of a no-hitter by Carlos Zambrano and recorded a single hit in the following game. In the midst of the playoff race, this decision and its impact deeply affected the playoff race and seedings with eight teams holding winning records at the moment. The Milwaukee Brewers benefited from these events by qualifying in the playoffs as a Wild Card team, only to lose in the NLDS to the Philadelphia Phillies, the eventual World Series winner. In 2011, Selig also demanded that the Astros move to the American League West as a condition of the sale of the franchise to businessman Jim Crane; the team switched leagues in 2013 in return for $70 million discount in the purchase price. United States bankruptcy judge Kevin Gross rendered a stern warning to Selig in regards to the 2011 Los Angeles Dodgers ownership dispute. Treating other teams differently in regards to their media contracts drew accusations that Selig did not act in good faith with respect to the Los Angeles Dodgers. Selig rejected the television deal that Frank McCourt negotiated that intended to bring the franchise out of bankruptcy, claiming McCourt violated the Baseball Agreement. In comparison, no action was taken against New York Mets owner Fred Wilpon despite being in a similar position. Gross stated, "Should the Commissioner falter in proving alleged wrongdoing, the Court may allow LAD (Los Angeles Dodgers) to take further, limited discovery." Some critics have used Selig's handling of the Dodgers to point out a double standard in treatment of MLB owners. More specifically in regards to the Mets, critics point out that with Selig's personal relationship with Wilpon has motivated him to stall any possible removal of Wilpon as that club's principal owner. Selig also notably failed to resolve a 6-year conflict between the San Francisco Giants and the Oakland Athletics regarding the Athletics' proposed move to San Jose. Selig established a blue-ribbon panel in 2009 to resolve the dispute; however, despite years to find a resolution, the blue-ribbon panel completely failed to make any progress toward resolving the issue, leading San Jose to sue MLB. The lawsuit, which is currently ongoing, questions the league's anti-trust exemption and its ability to enforce particular clubs' geographic territories. Term of service On December 1, 2006, Selig announced that he would be retiring as commissioner of baseball upon the expiration of his contract in 2009. Selig earned $14.5 million from MLB over the timespan October 31, 2005 to October 31, 2006. However, in January 2008, Selig agreed to a three-year contract extension, announcing he planned to retire after the 2012 season. He further decided against retirement, and after a two-year extension for the previous deal was agreed to on January 12, 2012, it was announced that Selig would remain commissioner until the end of the 2014 season. Post-Commissioner Activities In 2021, Selig was appointed as "non-voting co-Chair (with Jane Forbes Clark) for the December 2021 Early Baseball Era Committee meeting, to consider candidates for election to the Hall of Fame whose major contributions to the game took place prior to 1950. Notable changes to Major League Baseball Bud Selig has overseen the following changes in Major League Baseball: Realignment of teams into three divisions per league, and the introduction of playoff wild card teams (1994) Interleague play (1997) Retired Jackie Robinson's uniform number, 42, across all MLB teams (1997) Two additional franchises: the Arizona Diamondbacks and the Tampa Bay Devil Rays, now the Tampa Bay Rays (1998) Transfer of the Milwaukee Brewers from the American League to the National League (1998) Abolition of the American and National league offices and presidencies, and inclusion of all umpiring crews into a common pool for AL and NL games, instead of having separate pools per league (2000) Unbalanced schedule (2001) Home field advantage in the World Series granted to the winner of the All Star Game in the same season (2003) Transfer of Montreal Expos franchise to Washington, D.C., becoming the Washington Nationals (2004) Dedicating April 15 as Jackie Robinson Day (2004) Stricter Major League Baseball performance-enhancing drug testing policy (2005) World Baseball Classic (2006) Introduction of instant replay in the event of a disputed home run call (2008) Addition of a second wild-card playoff team in each league (2012) Transfer of the Houston Astros from the National League to the American League (2013), as a condition of the sale of the team to Jim Crane, resulting in each league having the same number of teams (15) and interleague play throughout the season Expanded instant replay (2014) and the institution of the manager challenge system During Selig's terms as Executive Council Chairman (from 1992–1998) and Commissioner, new stadiums have opened in Arizona, Atlanta, Cincinnati, Cleveland, Colorado, Detroit, Houston, Miami, Milwaukee, Minneapolis, New York City (Flushing, Queens and the Bronx), Philadelphia, Pittsburgh, San Diego, San Francisco, Seattle, Arlington, St. Louis, and Washington, D.C. Israel Baseball League Selig and his family served a supportive role on the Advisory Board of the Israel Baseball League during its inaugural season in 2007. In response to issues with the league's financial management, after the season, the Selig family requested that their names be removed from the list of board members. Selig Experience In May 2015, the Milwaukee Brewers honored Bud Selig with the unveiling of the Selig Experience exhibit at American Family Field (formerly Miller Park.) The Selig Experience is a fifteen-minute documentary showing Bud Selig's life and work for the Milwaukee Brewers. Personal life Selig has been married twice. He married his first wife, Donna Chaimson, in the 1950s, and they had two daughters: Sari (born 1957) and Wendy (born 1960). The couple divorced in 1976 after 19 years of marriage on the grounds that Selig had been "unduly absenting yourself from the home of the parties and isolating yourself ... in pursuit of your baseball interests to the detriment of your marriage." Chaimson later stated that the marriage ended because her husband "divorced me and married baseball." Since 1977, Selig has been married to the former Suzanne Steinman, who has a daughter from a previous marriage. Teaching In 2009, Selig began teaching as an adjunct professor of sports law and policy at Marquette University Law School. His classes have covered numerous topics, including "the history of collective bargaining and free agency, baseball's antitrust exemption, revenue sharing – as well as finer points of sports law like intellectual property rights, ambush marketing, and why baseball does not allow game footage on YouTube." In 2010, Selig endowed the Allan H. Selig Chair in the History of Sport and Society in the United States, as well as a Distinguished Lecture Series in Sport and Society at his alma mater, the University of Wisconsin–Madison. The inaugural lecture was given by Adrian Burgos and Prof. Sean Dinces has held the Chair since 2013. In February 2016, Selig joined the Sandra Day O'Connor College of Law at Arizona State University. Honors Selig was awarded the U.S. Department of the Army Outstanding Civilian Service Award in April 2015 for supporting soldiers, veterans and their families through his work in Major League Baseball. On April 6, 2015, the Milwaukee Brewers retired uniform number 1 in his honor. In 2014, Selig was inducted onto the inaugural Milwaukee Brewers Wall of Honor. On December 4, 2016, it was announced Selig was elected into the National Baseball Hall of Fame Class of 2017. In 2016, Selig was honored with the "Lombardi Award of Excellence" from the Vince Lombardi Cancer Foundation. The award was created to honor Coach Lombardi's legacy, and is awarded annually to an individual who exemplifies the spirit of the Coach. Publications Foreword to American Jews and America's Game: Voices of a Growing Legacy in Baseball by Larry Ruttman. Lincoln, Nebraska and London, England: University of Nebraska Press, 2013. See also Selig v. United States References Further reading This chapter in Ruttman's history, based on a January 16, 2009 interview with Selig conducted for the book, discusses Selig's American, Jewish, baseball, and life experiences from youth to the present. External links Official website MLB.com: Official info Bud Selig Biography by | business in Milwaukee. Selig continues to be involved in the automotive industry, serving as president of the Selig Executive Lease Company. Selig's interest in baseball came from his mother. An immigrant from Ukraine, Marie Selig attended college, a rare accomplishment for a woman in the early 20th century, and became a school teacher. When Selig was only three, Marie began taking him and his older brother, Jerry, to Borchert Field, where the minor league Milwaukee Brewers played. When the Boston Braves relocated to Milwaukee in 1953, Selig switched allegiances, and eventually became the team's largest public stockholder. Selig was devastated when he learned that the Braves were going to leave Milwaukee in favor of Atlanta. In 1965, when the Braves left Milwaukee, he divested his stock in the team. As a youngster, Selig's favorite player was Hershel Martin. He developed a friendship with Hank Aaron, when the young player joined the Braves. The elder Selig's company provided loaner cars to Braves players, which gave the family access to the clubhouse and players. The pair later attended Green Bay Packers games together and sat together on the team plane. Milwaukee Brewers owner As a minority owner of the Milwaukee Braves, Selig founded the organization Teams, Inc., in an attempt to prevent the majority owners (based out of Chicago) from moving the club to a larger television market. This was challenged legally on the basis that no prior team relocations (in the modern era) left a city without a team. Prior movements had all originated in cities that were home to at least two teams. When his quest to keep the team in Milwaukee finally failed after the 1965 season, he changed the group's name to Milwaukee Brewers Baseball Club, Inc., after the minor league baseball team he grew up watching, and devoted himself to returning Major League Baseball to Milwaukee. Selig arranged for major league games to be played at Milwaukee County Stadium. The first, a pre-season match-up between the Chicago White Sox and Minnesota Twins, drew more than 51,000 spectators. Selig followed this up by hosting nine White Sox regular-season games in 1968 and eleven in 1969. One of the games played in Milwaukee that year was against the expansion Seattle Pilots, the team that would become the Brewers. Those Milwaukee "home" games were phenomenally successful, with the handful of games accounting for about one-third of total White Sox home attendance. To satisfy that fan base, Selig decided to purchase the White Sox (with the intention of moving them to Milwaukee) in 1969. He entered into an agreement to buy the club, but the American League vetoed the sale, preferring to keep an American League team in Chicago, which at the time was still America's second-largest city. Selig turned his attention to other franchises. In 1970, he purchased the bankrupt Seattle Pilots franchise, moving them to his hometown and officially renaming the team the Brewers. During Selig's tenure as club president, the Brewers participated in postseason play in 1981, when the team finished first in the American League East during the second half of the season, and in 1982, when the team made it to the World Series, under the leadership of future Hall of Famers Robin Yount and Paul Molitor. Under Selig's watch, the Brewers also won seven Organization of the Year awards. Selig was part of the owners' collusion in 1985–1987, resulting in the owners paying US$280 million in damages to the players. Upon his assumption of the commissioner's role, Selig transferred his ownership interest in the Brewers to his daughter Wendy Selig-Prieb in order to remove any technical conflicts of interest, though it was widely presumed he maintained some hand in team operations. Although the team has been sold to Los Angeles investor Mark Attanasio, questions remain regarding Selig's past involvement. Selig's defenders point to the poor management of the team after Selig-Prieb took control as proof that Selig was not working behind the scenes. Selig was elected to the Wisconsin Athletic Hall of Fame in 2001. On August 24, 2010, a statue of Selig, the Selig Monument, commissioned by Brewers owner Mark Attanasio and designed by artist Brian Maughan, was unveiled outside Miller Park in Milwaukee. Acting Commissioner (1992–1998) Selig became an increasingly vocal opponent of Commissioner Fay Vincent, and soon became the leader of a group of owners seeking his removal. Selig has never stated that the owners colluded, while Vincent has: Following an 18-9 no-confidence vote, Vincent resigned. Selig had by this time become chairman of the Executive Council of Major League Baseball, and as such became de facto acting commissioner. His first major act was to institute the Wild Card and divisional playoff play, which has created much controversy amongst baseball fans. Those against the Wild Card see it as diminishing the importance of the pennant race and the regular season, with the true race often being for second rather than first place, while those in favor of it view it as an opportunity for teams to have a shot at the playoffs even when they have no chance of a first-place finish in their division, thus maintaining fan interest later in the season. Selig suspended Cincinnati Reds owner Marge Schott for a year in 1993 for repeated racially insensitive and prejudicial remarks and actions. The same year, New York Yankees owner George Steinbrenner was reinstated from a lifelong suspension that was instituted by Selig's predecessor Fay Vincent. Pete Rose has claimed that he applied for reinstatement over the years and received no such consideration. Rose, along with his close friend and former teammate Mike Schmidt (who is a strong supporter of Rose's reinstatement into baseball), met with Selig in 2002, where Rose privately admitted to Selig (two years before going public with his admission) about betting on baseball. Bud Selig was a close friend of the late Bart Giamatti, who was the commissioner when Rose was first banned from the sport in 1989. As acting commissioner, Selig represented MLB during the 1994 players strike and cancelled the World Series, marking the first time the annual event had not been staged since 1904. Commissioner (1998–2015) After a six-year search for a new commissioner, the owners voted to give Selig the title on a permanent basis midway through the 1998 season. During his tenure the game avoided a third work stoppage in 2002, and has seen the implementation of interleague play. Whereas in the past, the National and American leagues had separate administrative organizations (which, for example, allowed for the introduction of different rules such as the designated hitter), under Selig, Major League Baseball consolidated the administrative functions of both leagues into the Commissioner's Office in 2000. The last official presidents of the NL and AL were Leonard S. Coleman Jr. and Dr. Gene Budig respectively. Reaction after September 11, 2001 On September 11, 2001, Selig ordered all baseball games postponed for a week because of the terror attacks on New York and Washington. The games were postponed not only out of respect and mourning for the victims, but also out of concern for the safety and security of fans and players. 2001 contraction attempt After the conclusion of the 2001 World Series, Selig held a vote on contracting two teams, reportedly the Minnesota Twins and Montreal Expos. This action led to Selig (along with former Expos owner Jeffrey Loria) being sued for racketeering and conspiring with Loria to deliberately defraud the Expos minority owners. If found liable, the league could have been ordered to pay as much as $500 million in total damages. The judge ruled that the Expos could not be moved or contracted until the case was over. The case eventually went to arbitration and was settled out of court for an undisclosed sum. A week after Selig's announcement, Hennepin County Judge Harry Seymour Crump issued a temporary restraining order that forced the Twins to honor their lease and play the 2002 season at the Metrodome. In August 2002, the effort to contract the Twins officially fizzled as players and owners reached a consensus on a new labor agreement which extended the team's Metrodome lease. Changes to the MLB All-Star Game The 2002 All-Star Game, played in Selig's hometown of Milwaukee, was tied 7–7 after nine innings, and remained tied after the bottom of the 11th inning. Due to the recent managerial trend of granting playing time to as many available players as possible within the regulation nine innings, both managers had used their entire roster. Concerned for the arms of the pitchers currently on the mound, Selig made the controversial decision to declare the game a tie, to the dissatisfaction of the Milwaukee fans. Selig later said |
on free-ranging bison. Herds on private land are required to be fenced in. In the state of Montana, free-ranging bison on public lands may be shot, due to concerns about transmission of disease to cattle and damage to public property. In 2013, Montana legislative measures concerning the bison were proposed and passed the legislature, but opposed by Native American tribes as they impinged on sovereign tribal rights. Three such bills were vetoed by Steve Bullock, the governor of Montana. The bison's circumstances remain an issue of contention between Native American tribes and private landowners. Diet Bison are ruminants, which gives them the ability to ferment plants in a specialized stomach prior to digesting them. Bison were once thought to almost exclusively consume grasses and sedges, but are now known to consume a wide-variety of plants including woody plants and herbaceous eudicots. Over the course of the year, bison shift which plants they select in their diet based on which plants have the highest protein or energy concentrations at a given time and will reliably consume the same species of plants across years. Protein concentrations of the plants they eat tend to be highest in the spring and decline thereafter, reaching their lowest in the winter. In Yellowstone National Park, bison browsed willows and cottonwoods, not only in the winter when few other plants are available, but also in the summer. Bison are thought to migrate to optimize their diet, and will concentrate their feeding on recently burned areas due to the higher quality forage that regrows after the burn. Wisent tend to browse on shrubs and low-hanging trees more often than do the American bison, which prefer grass to shrubbery and trees. Reproduction Female bison typically do not reproduce until three years of age and can reproduce to at least 19 years of age. Female bison can produce calves annually as long as their nutrition is sufficient, but will not give birth to a calf after years where weight gain was too low. A mother's probability of reproduction the following year is strongly dependent on the mother's mass and age. Heavier female bison produce heavier calves (weighed in the fall at weaning) than light mothers, while the weight of calves is lower for older mothers (after age 8). Predators Owing to their size, bison have few predators. Five notable exceptions are humans, grey wolves, cougars, grizzly bears, and coyotes. Wolves generally take down a bison while in a pack, but cases of a single wolf killing bison have been reported. Grizzly bears also consume bison, often by driving off the pack and consuming the wolves' kill. Grizzly bears and coyotes also prey on bison calves. Historically and prehistorically, lions, cave lions, tigers, dire wolves, Smilodon, Homotherium, cave hyenas, and Neanderthals posed threats to bison. Infections and illness For the American bison, the main cause of illness is malignant catarrhal fever, though brucellosis is a serious concern in the Yellowstone Park bison herd. Bison in the Antelope Island bison herd are regularly inoculated against brucellosis, parasites, Clostridium infection, infectious bovine rhinotracheitis, and bovine vibriosis. The major concerns for illness in European bison are foot-and-mouth disease and balanoposthitis, which affects the male sex organs; a number of parasitic diseases have also been cited as threats. The inbreeding of the species caused by the small population plays a role in a number of genetic defects and immunity to diseases, which in turn poses greater risks to the population. Name The term "buffalo" is sometimes considered to be a misnomer for this animal, as it is only distantly related to either of the two "true buffalo", the Asian water buffalo and the African buffalo. Samuel de Champlain applied the term buffalo (buffles in French) to the bison in 1616 (published 1619), after seeing skins and a drawing shown to him by members of the Nipissing First Nation, who said they travelled 40 days (from east of Lake Huron) to trade with another nation who hunted the animals. Though "bison" might be considered more scientifically correct, "buffalo" is also considered correct as a result of standard usage in American English, and is listed in many dictionaries as an acceptable name for American buffalo or bison. Buffalo has a much longer history than bison, which was first recorded in 1774. Human impact Bison was a significant resource for indigenous peoples of North America for food and raw materials until near extinction in the late 19th century. In fact, for the indigenous peoples of the Plains, it was their principal food source. Native Americans highly valued their relationship with the bison and saw them as sacred, treating them respectfully to ensure their abundance and longevity. In his biography, Lakota teacher and elder John Fire Lame Deer describes the relationship as such: Humans, notably European settlers, were almost exclusively accountable for the near-extinction of the American bison in the 1800s. At the beginning of the century, tens of millions of bison roamed North America. Pioneers and settlers slaughtered an estimated 50 million bison during the 19th century, although the causes of decline and the numbers killed are disputed and debated. Railroads were advertising "hunting by rail", where trains encountered large herds alongside or crossing the tracks. Men aboard fired from the train's roof or windows, leaving countless animals to rot where they died. This overhunting was in part motivated by the U.S. government's desire to limit the range and power of indigenous plains Indians whose diets and cultures depended on the buffalo herds. The overhunting of the bison reduced their population to hundreds. The American bison's nadir came in 1889, with an estimated population of only 1,091 animals (both wild and captive). Repopulation attempts via enforced protection of government herds and extensive ranching began in 1910 and have continued (with excellent success) to the present day, with some caveats. Extensive farming has increased the bison's population to nearly 150,000, and it is officially no longer considered an endangered species. However, from a genetic standpoint, most of these animals are actually hybrids with domestic cattle and only two populations in Yellowstone National Park, USA and Elk Island National Park, Canada remain as genetically pure bison. These genetically-pure animals account for only ~5% of the currently extant American bison population, reflecting the loss of most of the species' genetic diversity. As of July 2015, an estimated 4,900 bison lived in Yellowstone National Park, the largest U.S. bison population on public land. During 1983–1985 visitors experienced 33 bison-related injuries (range = 10–13/year), so the park implemented education campaigns. After years of success, five injuries associated with bison encounters occurred in 2015, because visitors did not maintain the required distance of 75 ft (23 m) from bison while hiking or taking pictures. Nutrition Bison is an excellent source of complete protein and a rich source (20% or more of the Daily Value, DV) of multiple vitamins, including riboflavin, niacin, vitamin B6, and vitamin B12, and is also a rich source of minerals, including iron, phosphorus, and zinc. Additionally, bison is a good source (10% or more of the DV) of thiamine. Livestock The earliest plausible accounts of captive bison are those of the zoo at Tenochtitlan, the Aztec capital, which held an animal the Spaniards called "the Mexican bull". In 1552, Francisco Lopez de Gomara described Plains Indians herding and leading bison like cattle in his controversial book, Historia general de las Indias. Gomara, having never visited the Americas himself, likely misinterpreted early ethnographic accounts as the more familiar pastoralist relationship of the Old World. Today, bison are increasingly raised for meat, hides, wool, and dairy products. The majority of bison in the world are raised for human consumption or fur clothing. Bison meat is generally considered to taste very similar to beef, but is lower in fat and cholesterol, yet higher in protein than beef, which has led to the development of beefalo, a fertile hybrid of bison and domestic cattle. A market even exists for kosher bison meat; these bison are slaughtered at one of the few kosher mammal slaughterhouses in the U.S. and Canada, and the meat is then distributed worldwide. In America, the commercial industry for bison has been slow to develop despite individuals, such as Ted Turner, who have long marketed bison meat. In the 1990s, Turner found limited success with restaurants for high-quality cuts of meat, which include bison steaks and tenderloin. Lower-quality cuts suitable for hamburger and hot dogs have been described as "almost nonexistent". This created a marketing problem for commercial farming because the majority of usable meat, about | the European bison (wisent) are the largest surviving terrestrial animals in North America and Europe. They are typical artiodactyl (cloven hooved) ungulates, and are similar in appearance to other bovines such as cattle and true buffalo. They are broad and muscular with shaggy coats of long hair. Adults grow up to in height and in length for American bison and up to in height and in length for European bison. American bison can weigh from around and European bison can weigh from . European bison tend to be taller than American bison. Bison are nomadic grazers and travel in herds. The bulls leave the herds of females at two or three years of age, and join a herd of males, which are generally smaller than female herds. Mature bulls rarely travel alone. Towards the end of the summer, for the reproductive season, the sexes necessarily commingle. American bison are known for living in the Great Plains, but formerly had a much larger range, including much of the eastern United States and parts of Mexico. Both species were hunted close to extinction during the 19th and 20th centuries, but have since rebounded. The wisent in part owes its survival to the Chernobyl disaster, as the Chernobyl Exclusion Zone has become a kind of wildlife preserve for wisent and other rare megafauna such as the Przewalski's horse, though poaching has become a threat in recent years. The American Plains bison is no longer listed as endangered, but this does not mean the species is secure. Genetically pure B. b. bison currently number only about 20,000, separated into fragmented herds—all of which require active conservation measures. The wood bison is on the endangered species list in Canada and is listed as threatened in the United States, though numerous attempts have been made by beefalo ranchers to have it entirely removed from the Endangered Species List. Although superficially similar, physical and behavioural differences exist between the American and European bison. The American species has 15 ribs, while the European bison has 14. The American bison has four lumbar vertebrae, while the European has five. (The difference in this case is that what would be the first lumbar vertebra has ribs attached to it in American bison and is thus counted as the 15th thoracic vertebra, compared to 14 thoracic vertebrae in wisent.) Adult American bison are less slim in build and have shorter legs. American bison tend to graze more, and browse less than their European relatives. Their anatomies reflect this behavioural difference; the American bison's head hangs lower than the European's. The body of the American bison is typically hairier, though its tail has less hair than that of the European bison. The horns of the European bison point through the plane of their faces, making them more adept at fighting through the interlocking of horns in the same manner as domestic cattle, unlike the American bison, which favours butting. American bison are more easily tamed than their European cousins, and breed with domestic cattle more readily. Evolution and genetic history The bovine tribe (Bovini) split about 5 to 10 million years ago into the buffalos (Bubalus and Syncerus) and a group leading to bison and taurine cattle. Genetic evidence from nuclear DNA indicates that the closest living relatives of bison are yaks, with bison being nested within the genus Bos, rendering Bos without including bison paraphyletic. The mitochondrial DNA of European bison is more closely related to that of domestic cattle and aurochs, which is either suggested to be the result of incomplete lineage sorting or ancient introgression. Bison are widely believed to have evolved from a lineage belonging to the extinct genus Leptobos during the Late Pliocene to Early Pleistocene in Asia. The earliest members of the bison lineage, known from the Late Pliocene to Early Pleistocene of the Indian Subcontinent (Bison sivalensis) and China (Bison palaeosinensis), approximately 3.4-2.6 million years ago (Ma) are placed in the subgenus Bison (Eobison). The oldest remains of Eobison in Europe are those Bison georgicus found in Dmanisi, Georgia, dated to around 1.76 Ma. More derived members of the genus are placed in the subgenus Bison (Bison), which first appeared towards the end of the Early Pleistocene, around 1.2 Ma, with early members of the subgenus including the widespread Bison schoetensacki. The steppe bison (Bison priscus) first appeared during the mid-Middle Pleistocene in eastern Eurasia, and subsequently became widely distributed across Eurasia. During the late Middle Pleistocene, around 195,000-135,000 years ago, the steppe bison migrated across the Bering land bridge into North America, becoming ancestral to modern American bison, as well as extinct forms such as the largest known bison, the long-horned Bison latifrons, and the smaller Bison antiquus, which became extinct at the end of the Late Pleistocene. Modern American bison are thought to have evolved from B. antiquus during the Late Pleistocene-Holocene transition via the intermediate form Bison occidentalis. The European bison, Bison bonasus, first appeared in Europe during the late Middle Pleistocene, where it existed in sympatry with the steppe bison. Its relationship with other extinct bison species is unclear, though it appears to be only distantly related to the steppe and American bisons, with possibly some interbreeding between the two lineages during the Middle Pleistocene. The steppe bison survived into the early-mid Holocene in Alaska-Yukon and eastern Siberia, before becoming extinct. During the population bottleneck, after the great slaughter of American bison during the 19th century, the number of bison remaining alive in North America declined to as low as 541. During that period, a handful of ranchers gathered remnants of the existing herds to save the species from extinction. These ranchers bred some of the bison with cattle in an effort to produce "cattleo" (today called "beefalo") Accidental crossings were also known to occur. Generally, male domestic bulls were crossed with bison cows, producing offspring of which only the females were fertile. The crossbred animals did not demonstrate any form of hybrid vigor, so the practice was abandoned. Wisent-American bison hybrids were briefly experimented with in Germany (and found to be fully fertile) and a herd of such animals is maintained in Russia. A herd of cattle-wisent crossbreeds (zubron) is maintained in Poland. First-generation crosses do not occur naturally, requiring caesarean delivery. First-generation males are infertile. The U.S. National Bison Association has adopted a code of ethics that prohibits its members from deliberately crossbreeding bison with any other species. In the United States, many ranchers are now using DNA testing to cull the residual cattle genetics from their bison herds. The proportion of cattle DNA that has been measured in introgressed individuals and bison herds today is typically quite low, ranging from 0.56 to 1.8%. There are also remnant purebred American bison herds on public lands in North America. Herds of importance are found in Yellowstone National Park, Wind Cave National Park in South Dakota, Blue Mounds State Park in Minnesota, Elk Island National Park in Alberta, and Grasslands National Park in Saskatchewan. In 2015, a purebred herd of 350 individuals was identified on public lands in the Henry Mountains of southern Utah via genetic testing of mitochondrial and nuclear DNA. This study, published in 2015, also showed the Henry Mountains bison herd to be free of brucellosis, a bacterial disease that was imported with non-native domestic cattle to North America. Behavior Wallowing is a common behavior of bison. A bison wallow is a shallow depression in the soil, either wet or dry. Bison roll in these |
the other major component of the atom, are members of a different family of particles called leptons; leptons do not interact via the strong force.) Exotic baryons containing five quarks, called pentaquarks, have also been discovered and studied. A census of the Universe's baryons indicates that 10% of them could be found inside galaxies, 50 to 60% in the circumgalactic medium, and the remaining 30 to 40% could be located in the warm–hot intergalactic medium (WHIM). Background Baryons are strongly interacting fermions; that is, they are acted on by the strong nuclear force and are described by Fermi–Dirac statistics, which apply to all particles obeying the Pauli exclusion principle. This is in contrast to the bosons, which do not obey the exclusion principle. Baryons, along with mesons, are hadrons, particles composed of quarks. Quarks have baryon numbers of B = and antiquarks have baryon numbers of B = −. The term "baryon" usually refers to triquarks—baryons made of three quarks (B = + + = 1). Other exotic baryons have been proposed, such as pentaquarks—baryons made of four quarks and one antiquark (B = + + + − = 1), but their existence is not generally accepted. The particle physics community as a whole did not view their existence as likely in 2006, and in 2008, considered evidence to be overwhelmingly against the existence of the reported pentaquarks. However, in July 2015, the LHCb experiment observed two resonances consistent with pentaquark states in the Λ → J/ψKp decay, with a combined statistical significance of 15σ. In theory, heptaquarks (5 quarks, 2 antiquarks), nonaquarks (6 quarks, 3 antiquarks), etc. could also exist. Baryonic matter Nearly all matter that may be encountered or experienced in everyday life is baryonic matter, which includes atoms of any sort, and provides them with the property of mass. Non-baryonic matter, as implied by the name, is any sort of matter that is not composed primarily of baryons. This might include neutrinos and free electrons, dark matter, supersymmetric particles, axions, and black holes. The very existence of baryons is also a significant issue in cosmology because it is assumed that the Big Bang produced a state with equal amounts of baryons and antibaryons. The process by which baryons came to outnumber their antiparticles is called baryogenesis. Baryogenesis Experiments are consistent with the number of quarks in the universe being a constant and, to be more specific, the number of baryons being a constant (if antimatter is counted as negative); in technical language, the total baryon number appears to be conserved. Within the prevailing Standard Model of particle physics, the number of baryons may change in multiples of three due to the action of sphalerons, although this is rare and has not been observed under experiment. Some grand unified theories of particle physics also predict that a single proton can decay, changing the baryon number by one; however, this has not yet been observed under experiment. The excess of baryons over antibaryons in the present universe is thought to be due to non-conservation of baryon number in the very early universe, though this is not well understood. Properties Isospin and charge The concept of isospin was first proposed by Werner Heisenberg in 1932 to explain the similarities between protons and neutrons under the strong interaction. Although they had different electric charges, their masses were so similar that physicists believed they were the same particle. The different electric charges were explained as being the result of some unknown excitation similar to spin. This unknown excitation was later dubbed isospin by Eugene Wigner in 1937. This belief lasted until Murray Gell-Mann proposed the quark model in 1964 (containing originally only the u, d, and s quarks). The success of the isospin model is now understood to be the result of the similar masses of u and d quarks. Since u and d quarks have similar masses, particles made of the same number then also have similar masses. The exact specific u and d quark composition determines the charge, as u quarks carry charge + while d quarks carry charge −. For example, the four Deltas all have different charges ( (uuu), (uud), (udd), (ddd)), but have similar masses (~1,232 MeV/c2) as they are each made of a combination of three u or d quarks. Under the isospin model, they were considered to be a single particle in different charged states. The mathematics of isospin was modeled after that of spin. Isospin projections varied in increments of 1 just like those of spin, and to each projection was associated a "charged state". Since the "Delta particle" had four "charged states", it was said to be of isospin I = . Its "charged states" , , , and , corresponded to the isospin projections I3 = +, I3 = +, I3 = −, and I3 = −, respectively. Another example is the "nucleon particle". As there were two nucleon "charged states", it was said to be of isospin . The positive nucleon (proton) was identified with I3 = + and the neutral nucleon (neutron) with I3 = −. It was later noted that the isospin projections were related to the up and down quark content of particles by the relation: where the n'''s are the number of up and down quarks and antiquarks. In the "isospin picture", the four Deltas and the two nucleons were thought to be the different states of two particles. However, in the quark model, Deltas are different states of nucleons (the N++ or N− are forbidden by Pauli's exclusion principle). Isospin, although conveying an inaccurate picture of things, is still used to classify baryons, leading to unnatural and often confusing nomenclature. Flavour quantum numbers The strangeness flavour quantum number S (not to be confused with spin) was noticed to go up and down along with particle mass. The higher the mass, the lower the strangeness (the more s quarks). Particles could be described with isospin projections (related to charge) and strangeness (mass) (see the uds octet and decuplet figures on the right). As other quarks were discovered, new quantum numbers were made to have similar description of udc and udb octets and decuplets. Since only the u and d mass are similar, this description of particle mass and charge in terms of isospin and flavour quantum numbers works well only for octet and decuplet made of one u, one d, and one other quark, and breaks down for the other octets and decuplets (for example, ucb octet and decuplet). If the quarks all had the same mass, their behaviour would be called symmetric, as they would all behave in the same way to the strong interaction. Since quarks do not have the same mass, they do not interact in the same way (exactly | is not composed primarily of baryons. This might include neutrinos and free electrons, dark matter, supersymmetric particles, axions, and black holes. The very existence of baryons is also a significant issue in cosmology because it is assumed that the Big Bang produced a state with equal amounts of baryons and antibaryons. The process by which baryons came to outnumber their antiparticles is called baryogenesis. Baryogenesis Experiments are consistent with the number of quarks in the universe being a constant and, to be more specific, the number of baryons being a constant (if antimatter is counted as negative); in technical language, the total baryon number appears to be conserved. Within the prevailing Standard Model of particle physics, the number of baryons may change in multiples of three due to the action of sphalerons, although this is rare and has not been observed under experiment. Some grand unified theories of particle physics also predict that a single proton can decay, changing the baryon number by one; however, this has not yet been observed under experiment. The excess of baryons over antibaryons in the present universe is thought to be due to non-conservation of baryon number in the very early universe, though this is not well understood. Properties Isospin and charge The concept of isospin was first proposed by Werner Heisenberg in 1932 to explain the similarities between protons and neutrons under the strong interaction. Although they had different electric charges, their masses were so similar that physicists believed they were the same particle. The different electric charges were explained as being the result of some unknown excitation similar to spin. This unknown excitation was later dubbed isospin by Eugene Wigner in 1937. This belief lasted until Murray Gell-Mann proposed the quark model in 1964 (containing originally only the u, d, and s quarks). The success of the isospin model is now understood to be the result of the similar masses of u and d quarks. Since u and d quarks have similar masses, particles made of the same number then also have similar masses. The exact specific u and d quark composition determines the charge, as u quarks carry charge + while d quarks carry charge −. For example, the four Deltas all have different charges ( (uuu), (uud), (udd), (ddd)), but have similar masses (~1,232 MeV/c2) as they are each made of a combination of three u or d quarks. Under the isospin model, they were considered to be a single particle in different charged states. The mathematics of isospin was modeled after that of spin. Isospin projections varied in increments of 1 just like those of spin, and to each projection was associated a "charged state". Since the "Delta particle" had four "charged states", it was said to be of isospin I = . Its "charged states" , , , and , corresponded to the isospin projections I3 = +, I3 = +, I3 = −, and I3 = −, respectively. Another example is the "nucleon particle". As there were two nucleon "charged states", it was said to be of isospin . The positive nucleon (proton) was identified with I3 = + and the neutral nucleon (neutron) with I3 = −. It was later noted that the isospin projections were related to the up and down quark content of particles by the relation: where the n'''s are the number of up and down quarks and antiquarks. In the "isospin picture", the four Deltas and the two nucleons were thought to be the different states of two particles. However, in the quark model, Deltas are different states of nucleons (the N++ or N− are forbidden by Pauli's exclusion principle). Isospin, although conveying an inaccurate picture of things, is still used to classify baryons, leading to unnatural and often confusing nomenclature. Flavour quantum numbers The strangeness flavour quantum number S (not to be confused with spin) was noticed to go up and down along with particle mass. The higher the mass, the lower the strangeness (the more s quarks). Particles could be described with isospin projections (related to charge) and strangeness (mass) (see the uds octet and decuplet figures on the right). As other quarks were discovered, new quantum numbers were made to have similar description of udc and udb octets and decuplets. Since only the u and d mass are similar, this description of particle mass and charge in terms of isospin and flavour quantum numbers works well only for octet and decuplet made of one u, one d, and one other quark, and breaks down for the other octets and decuplets (for example, ucb octet and decuplet). If the quarks all had the same mass, their behaviour would be called symmetric, as they would all behave in the same way to the strong interaction. Since quarks do not have the same mass, they do not interact in the same way (exactly like an electron placed in an electric field will accelerate more than a proton placed in the same field because of its lighter mass), and the symmetry is said to be broken. It was noted that charge (Q) was related to the isospin projection (I3), the baryon number (B) and flavour quantum numbers (S, C, B′, T) by the Gell-Mann–Nishijima formula: where S, C, B′, and T represent the strangeness, charm, bottomness and topness flavour quantum numbers, respectively. They are related to the number of strange, charm, bottom, and top quarks and antiquark according to the relations: meaning that the Gell-Mann–Nishijima formula is equivalent to the expression of charge in terms of quark content: Spin, orbital angular momentum, and total angular momentum Spin (quantum number S) is a vector quantity that represents the "intrinsic" angular momentum of a particle. It comes in increments of ħ (pronounced "h-bar"). The ħ is often dropped because it is the "fundamental" unit of spin, and it is implied that "spin 1" means "spin 1 ħ". In some systems of natural units, ħ is chosen to be 1, and therefore does not appear anywhere. Quarks are fermionic particles of spin (S = ). Because spin projections vary in increments of 1 (that is 1 ħ), a single quark has a spin vector of length , and has two spin projections (Sz = + and Sz = −). Two quarks can have their spins aligned, in which case the two spin vectors add to make a vector of length S = 1 and three spin projections (Sz = +1, Sz = 0, and Sz = −1). If two quarks have unaligned spins, the spin vectors add up to make a vector of length S = 0 and has only one spin projection (Sz = 0), etc. Since baryons are made of three quarks, their spin vectors can add to make a |
be necessary to use an acoustic cabinet or hood to dampen the noise level. Braille embossers usually need special braille paper which is thicker and more expensive than normal paper. Some high-end embossers are capable of printing on normal paper. Embossers can be either one-sided or two-sided. Two-sided embossing requires lining up the dots so they do not overlap (called "interpoint" because the points on the other side are placed in between the points on the first side). Two-sided embossing uses less paper and reduces the size of the output. Once one copy of a document has been produced, printing further copies is often quicker by means of a device called a thermoform, which produces copies on soft plastic. However, the resulting braille is not as easily readable as braille that has | dots so they do not overlap (called "interpoint" because the points on the other side are placed in between the points on the first side). Two-sided embossing uses less paper and reduces the size of the output. Once one copy of a document has been produced, printing further copies is often quicker by means of a device called a thermoform, which produces copies on soft plastic. However, the resulting braille is not as easily readable as braille that has been freshly embossed, in much the same way that a poor-quality photocopy is not as readable as the original. Hence large publishers do not generally use thermoforms. Some embossers can produce "dotty Moon", i.e., Moon type |
2002. In 2004, Chaosium published the Basic Roleplaying monographs, a series of paperback booklets. The first four monographs (Players Book, Magic Book, Creatures Book, and Gamemaster Book) were essentially RuneQuest 3rd Edition, but with the RuneQuest name and other trademarks removed, as Chaosium had lost the rights to the name but retained copyright of the rules text. Additional monographs allowing for new mechanics, thereby extending the system to other genres, were released in the following years. Many of these monographs reproduced rules from other Chaosium-published BRP games that had gone out of print. In 2008, Jason Durall and Sam Johnson brought together all of the previous works and updated them to a new edition. This comprehensive book, Basic Roleplaying: The Chaosium System, was nicknamed the "Big Gold Book", and allowed game masters to essentially build their own game from the various subsystems included. A quickstart booklet for new players accompanied it. In 2011 it was then updated to a second edition. In 2020, Chaosium released Basic Roleplaying as a System Reference Document (SRD). Other games published over the years by Chaosium using the BRP ruleset include Ringworld, Hawkmoon, and Nephilim. Rules system BRP is similar to other generic systems such as GURPS, Hero System, or Savage Worlds in that it uses a simple resolution method which can be broadly applied. BRP uses a core set of seven characteristics: Size, Strength, Dexterity, Constitution, Intelligence, Power, and Appearance or Charisma. From those, a character derives scores in various skills, expressed as percentages. These skill scores are the basis of play. When attempting an action, the player rolls percentile dice trying to get a result equal to or lower than the character's current skill score. Each incarnation of the BRP rules has changed or added to the core ideas and mechanics, so that games are not identical. For example, in Call of Cthulhu, skills may never be over 100%, while in Stormbringer skills in excess of 100% are within reach for all characters. Scores can increase through experience checks, the mechanics of which vary in an individual game. BRP treats armor and defense as separate functions: the act of parrying is a defensive skill that reduces an opponent's chance to successfully land an attack, and the purpose of armor is to absorb damage. The last major element of many BRP games is that there is no difference between the player character race systems and that of the monster or opponents. By varying ability scores, the same system is used for a human hero as a troll villain. This approach allows for players to play a wide variety of non-human species. Licensed games Chaosium was an early adopter of licensing out its BRP system to other companies, something that was unique at the time they began but commonplace now thanks to the d20 licenses. This places BRP in the notable position of being one of the first products to allow other game companies to develop games or game aids for their work. For example, Other Suns, published by Fantasy Games Unlimited (FGU), used | mechanics, thereby extending the system to other genres, were released in the following years. Many of these monographs reproduced rules from other Chaosium-published BRP games that had gone out of print. In 2008, Jason Durall and Sam Johnson brought together all of the previous works and updated them to a new edition. This comprehensive book, Basic Roleplaying: The Chaosium System, was nicknamed the "Big Gold Book", and allowed game masters to essentially build their own game from the various subsystems included. A quickstart booklet for new players accompanied it. In 2011 it was then updated to a second edition. In 2020, Chaosium released Basic Roleplaying as a System Reference Document (SRD). Other games published over the years by Chaosium using the BRP ruleset include Ringworld, Hawkmoon, and Nephilim. Rules system BRP is similar to other generic systems such as GURPS, Hero System, or Savage Worlds in that it uses a simple resolution method which can be broadly applied. BRP uses a core set of seven characteristics: Size, Strength, Dexterity, Constitution, Intelligence, Power, and Appearance or Charisma. From those, a character derives scores in various skills, expressed as percentages. These skill scores are the basis of play. When attempting an action, the player rolls percentile dice trying to get a result equal to or lower than the character's current skill score. Each incarnation of the BRP rules has changed or added to the core ideas and mechanics, so that games are not identical. For example, in Call of Cthulhu, skills may never be over 100%, while in Stormbringer skills in excess of 100% are within reach for all characters. Scores can increase through experience checks, the mechanics of which vary in an individual game. BRP treats armor and defense as separate functions: the act of parrying is a defensive skill that reduces an opponent's |
S-boxes of one round, permutes the bits, and feeds them into the S-boxes of the next round. A good P-box has the property that the output bits of any S-box are distributed to as many S-box inputs as possible. At each round, the round key (obtained from the key with some simple operations, for instance, using S-boxes and P-boxes) is combined using some group operation, typically XOR. Decryption is done by simply reversing the process (using the inverses of the S-boxes and P-boxes and applying the round keys in reversed order). Feistel ciphers In a Feistel cipher, the block of plain text to be encrypted is split into two equal-sized halves. The round function is applied to one half, using a subkey, and then the output is XORed with the other half. The two halves are then swapped. Let be the round function and let be the sub-keys for the rounds respectively. Then the basic operation is as follows: Split the plaintext block into two equal pieces, (, ) For each round , compute . Then the ciphertext is . Decryption of a ciphertext is accomplished by computing for . Then is the plaintext again. One advantage of the Feistel model compared to a substitution–permutation network is that the round function does not have to be invertible. Lai–Massey ciphers The Lai–Massey scheme offers security properties similar to those of the Feistel structure. It also shares its advantage that the round function does not have to be invertible. Another similarity is that it also splits the input block into two equal pieces. However, the round function is applied to the difference between the two, and the result is then added to both half blocks. Let be the round function and a half-round function and let be the sub-keys for the rounds respectively. Then the basic operation is as follows: Split the plaintext block into two equal pieces, (, ) For each round , compute where and Then the ciphertext is . Decryption of a ciphertext is accomplished by computing for where and Then is the plaintext again. Operations ARX (add–rotate–XOR) Many modern block ciphers and hashes are ARX algorithms—their round function involves only three operations: (A) modular addition, (R) rotation with fixed rotation amounts, and (X) XOR. Examples include ChaCha20, Speck, XXTEA, and BLAKE. Many authors draw an ARX network, a kind of data flow diagram, to illustrate such a round function. These ARX operations are popular because they are relatively fast and cheap in hardware and software, their implementation can be made extremely simple, and also because they run in constant time, and therefore are immune to timing attacks. The rotational cryptanalysis technique attempts to attack such round functions. Other operations Other operations often used in block ciphers include data-dependent rotations as in RC5 and RC6, a substitution box implemented as a lookup table as in Data Encryption Standard and Advanced Encryption Standard, a permutation box, and multiplication as in IDEA. Modes of operation A block cipher by itself allows encryption only of a single data block of the cipher's block length. For a variable-length message, the data must first be partitioned into separate cipher blocks. In the simplest case, known as electronic codebook (ECB) mode, a message is first split into separate blocks of the cipher's block size (possibly extending the last block with padding bits), and then each block is encrypted and decrypted independently. However, such a naive method is generally insecure because equal plaintext blocks will always generate equal ciphertext blocks (for the same key), so patterns in the plaintext message become evident in the ciphertext output. To overcome this limitation, several so called block cipher modes of operation have been designed and specified in national recommendations such as NIST 800-38A and BSI TR-02102 and international standards such as ISO/IEC 10116. The general concept is to use randomization of the plaintext data based on an additional input value, frequently called an initialization vector, to create what is termed probabilistic encryption. In the popular cipher block chaining (CBC) mode, for encryption to be secure the initialization vector passed along with the plaintext message must be a random or pseudo-random value, which is added in an exclusive-or manner to the first plaintext block before it is being encrypted. The resultant ciphertext block is then used as the new initialization vector for the next plaintext block. In the cipher feedback (CFB) mode, which emulates a self-synchronizing stream cipher, the initialization vector is first encrypted and then added to the plaintext block. The output feedback (OFB) mode repeatedly encrypts the initialization vector to create a key stream for the emulation of a synchronous stream cipher. The newer counter (CTR) mode similarly creates a key stream, but has the advantage of only needing unique and not (pseudo-)random values as initialization vectors; the needed randomness is derived internally by using the initialization vector as a block counter and encrypting this counter for each block. From a security-theoretic point of view, modes of operation must provide what is known as semantic security. Informally, it means that given some ciphertext under an unknown key one cannot practically derive any information from the ciphertext (other than the length of the message) over what one would have known without seeing the ciphertext. It has been shown that all of the modes discussed above, with the exception of the ECB mode, provide this property under so-called chosen plaintext attacks. Padding Some modes such as the CBC mode only operate on complete plaintext blocks. Simply extending the last block of a message with zero-bits is insufficient since it does not allow a receiver to easily distinguish messages that differ only in the amount of padding bits. More importantly, such a simple solution gives rise to very efficient padding oracle attacks. A suitable padding scheme is therefore needed to extend the last plaintext block to the cipher's block size. While many popular schemes described in standards and in the literature have been shown to be vulnerable to padding oracle attacks, a solution which adds a one-bit and then extends the last block with zero-bits, standardized as "padding method 2" in ISO/IEC 9797-1, has been proven secure against these attacks. Cryptanalysis Brute-force attacks This property results in the cipher's security degrading quadratically, and needs to be taken into account when selecting a block size. There is a trade-off though as large block sizes can result in the algorithm becoming inefficient to operate. Earlier block ciphers such as the DES have typically selected a 64-bit block size, while newer designs such as the AES support block sizes of 128 bits or more, with some ciphers supporting a range of different block sizes. Differential cryptanalysis Linear cryptanalysis Linear cryptanalysis is a form of cryptanalysis based on finding affine approximations to the action of a cipher. Linear cryptanalysis is one of the two most widely used attacks on block ciphers; the other being differential cryptanalysis. The discovery is attributed to Mitsuru Matsui, who first applied the technique to the FEAL cipher (Matsui and Yamagishi, 1992). Integral cryptanalysis Integral cryptanalysis is a cryptanalytic attack that is particularly applicable to block ciphers based on substitution–permutation networks. Unlike differential cryptanalysis, which uses pairs of chosen plaintexts with a fixed XOR difference, integral cryptanalysis uses sets or even multisets of chosen plaintexts of which part is held constant and another part varies through all possibilities. For example, an attack might use 256 chosen plaintexts that have all but 8 of their bits the same, but all differ in those 8 bits. Such a set necessarily has an XOR sum of 0, and the XOR sums of the corresponding sets of ciphertexts provide information about the cipher's operation. This contrast between the differences of pairs of texts and the sums of larger sets of texts inspired the name "integral cryptanalysis", borrowing the terminology of calculus. Other techniques In addition to linear and differential cryptanalysis, there is a growing catalog of attacks: truncated differential cryptanalysis, partial differential cryptanalysis, integral cryptanalysis, which encompasses square and integral attacks, slide attacks, boomerang attacks, the XSL attack, impossible differential cryptanalysis and algebraic attacks. For a new block cipher design to have any credibility, it must demonstrate evidence of security against known attacks. Provable security When a block cipher is used in a given mode of operation, the resulting algorithm should ideally be about as secure as the block cipher itself. ECB (discussed above) emphatically lacks this property: regardless of how secure the underlying block cipher is, ECB mode can easily be attacked. On the other hand, CBC mode can be proven to be secure under the assumption that the underlying block cipher is likewise secure. Note, however, that making statements like this requires formal mathematical definitions for what it means for an encryption algorithm or a block cipher to "be secure". This section describes two common notions for what properties a block cipher should have. Each corresponds to a mathematical model that can be used to prove properties of higher level algorithms, such as CBC. This general approach to cryptography – proving higher-level algorithms (such as CBC) are secure under explicitly stated assumptions regarding their components (such as a block cipher) – is known as provable security. Standard model Informally, a block cipher is secure in the standard model if an attacker cannot tell the difference between the block cipher (equipped with a random key) and a random permutation. To be a bit more precise, let E be an n-bit block cipher. We imagine the following game: The person running the game flips a coin. If the coin lands on heads, he chooses a random key K and defines the function f = EK. If the coin lands on tails, he chooses a random permutation on the set of n-bit strings, and defines the function f = . The attacker chooses an n-bit string X, and the person running the game tells him the value of f(X). Step 2 is repeated a total of q times. (Each of these q interactions is a query.) The attacker guesses how the coin landed. He wins if his guess is correct. The attacker, which we can model as an algorithm, is called an adversary. The function f (which the adversary was able to query) is called an oracle. Note that an adversary can trivially ensure a 50% chance of winning simply by guessing at random (or even by, for example, always guessing "heads"). Therefore, let PE(A) denote the probability that the adversary A wins this game against E, and define the advantage of A as 2(PE(A) − 1/2). It follows that if A guesses randomly, its advantage will be 0; on the other hand, if A always wins, then its advantage is 1. The block cipher E is a pseudo-random permutation (PRP) if no adversary has an advantage significantly greater than 0, given specified restrictions on q and the adversary's running time. If in Step 2 above adversaries have the option of learning f−1(X) instead of f(X) (but still have only small advantages) then E is a strong PRP (SPRP). An adversary is non-adaptive if it chooses | Standard model Informally, a block cipher is secure in the standard model if an attacker cannot tell the difference between the block cipher (equipped with a random key) and a random permutation. To be a bit more precise, let E be an n-bit block cipher. We imagine the following game: The person running the game flips a coin. If the coin lands on heads, he chooses a random key K and defines the function f = EK. If the coin lands on tails, he chooses a random permutation on the set of n-bit strings, and defines the function f = . The attacker chooses an n-bit string X, and the person running the game tells him the value of f(X). Step 2 is repeated a total of q times. (Each of these q interactions is a query.) The attacker guesses how the coin landed. He wins if his guess is correct. The attacker, which we can model as an algorithm, is called an adversary. The function f (which the adversary was able to query) is called an oracle. Note that an adversary can trivially ensure a 50% chance of winning simply by guessing at random (or even by, for example, always guessing "heads"). Therefore, let PE(A) denote the probability that the adversary A wins this game against E, and define the advantage of A as 2(PE(A) − 1/2). It follows that if A guesses randomly, its advantage will be 0; on the other hand, if A always wins, then its advantage is 1. The block cipher E is a pseudo-random permutation (PRP) if no adversary has an advantage significantly greater than 0, given specified restrictions on q and the adversary's running time. If in Step 2 above adversaries have the option of learning f−1(X) instead of f(X) (but still have only small advantages) then E is a strong PRP (SPRP). An adversary is non-adaptive if it chooses all q values for X before the game begins (that is, it does not use any information gleaned from previous queries to choose each X as it goes). These definitions have proven useful for analyzing various modes of operation. For example, one can define a similar game for measuring the security of a block cipher-based encryption algorithm, and then try to show (through a reduction argument) that the probability of an adversary winning this new game is not much more than PE(A) for some A. (The reduction typically provides limits on q and the running time of A.) Equivalently, if PE(A) is small for all relevant A, then no attacker has a significant probability of winning the new game. This formalizes the idea that the higher-level algorithm inherits the block cipher's security. Ideal cipher model Practical evaluation Block ciphers may be evaluated according to multiple criteria in practice. Common factors include: Key parameters, such as its key size and block size, both of which provide an upper bound on the security of the cipher. The estimated security level, which is based on the confidence gained in the block cipher design after it has largely withstood major efforts in cryptanalysis over time, the design's mathematical soundness, and the existence of practical or certificational attacks. The cipher's complexity and its suitability for implementation in hardware or software. Hardware implementations may measure the complexity in terms of gate count or energy consumption, which are important parameters for resource-constrained devices. The cipher's performance in terms of processing throughput on various platforms, including its memory requirements. The cost of the cipher, which refers to licensing requirements that may apply due to intellectual property rights. The flexibility of the cipher, which includes its ability to support multiple key sizes and block lengths. Notable block ciphers Lucifer / DES Lucifer is generally considered to be the first civilian block cipher, developed at IBM in the 1970s based on work done by Horst Feistel. A revised version of the algorithm was adopted as a U.S. government Federal Information Processing Standard: FIPS PUB 46 Data Encryption Standard (DES). It was chosen by the U.S. National Bureau of Standards (NBS) after a public invitation for submissions and some internal changes by NBS (and, potentially, the NSA). DES was publicly released in 1976 and has been widely used. DES was designed to, among other things, resist a certain cryptanalytic attack known to the NSA and rediscovered by IBM, though unknown publicly until rediscovered again and published by Eli Biham and Adi Shamir in the late 1980s. The technique is called differential cryptanalysis and remains one of the few general attacks against block ciphers; linear cryptanalysis is another, but may have been unknown even to the NSA, prior to its publication by Mitsuru Matsui. DES prompted a large amount of other work and publications in cryptography and cryptanalysis in the open community and it inspired many new cipher designs. DES has a block size of 64 bits and a key size of 56 bits. 64-bit blocks became common in block cipher designs after DES. Key length depended on several factors, including government regulation. Many observers in the 1970s commented that the 56-bit key length used for DES was too short. As time went on, its inadequacy became apparent, especially after a special purpose machine designed to break DES was demonstrated in 1998 by the Electronic Frontier Foundation. An extension to DES, Triple DES, triple-encrypts each block with either two independent keys (112-bit key and 80-bit security) or three independent keys (168-bit key and 112-bit security). It was widely adopted as a replacement. As of 2011, the three-key version is still considered secure, though the National Institute of Standards and Technology (NIST) standards no longer permit the use of the two-key version in new applications, due to its 80-bit security level. IDEA The International Data Encryption Algorithm (IDEA) is a block cipher designed by James Massey of ETH Zurich and Xuejia Lai; it was first described in 1991, as an intended replacement for DES. IDEA operates on 64-bit blocks using a 128-bit key, and consists of a series of eight identical transformations (a round) and an output transformation (the half-round). The processes for encryption and decryption are similar. IDEA derives much of its security by interleaving operations from different groups – modular addition and multiplication, and bitwise exclusive or (XOR) – which are algebraically "incompatible" in some sense. The designers analysed IDEA to measure its strength against differential cryptanalysis and concluded that it is immune under certain assumptions. No successful linear or algebraic weaknesses have been reported. , the best attack which applies to all keys can break full 8.5-round IDEA using a narrow-bicliques attack about four times faster than brute force. RC5 RC5 is a block cipher designed by Ronald Rivest in 1994 which, unlike many other ciphers, has a variable block size (32, 64 or 128 bits), key size (0 to 2040 bits) and number of rounds (0 to 255). The original suggested choice of parameters were a block size of 64 bits, a 128-bit key and 12 rounds. A key feature of RC5 is the use of data-dependent rotations; one of the goals of RC5 was to prompt the study and evaluation of such operations as a cryptographic primitive. RC5 also consists of a number of modular additions and XORs. The general structure of the algorithm is a Feistel-like network. The encryption and decryption routines can be specified in a few lines of code. The key schedule, however, is more complex, expanding the key using an essentially one-way function with the binary expansions of both e and the golden ratio as sources of "nothing up my sleeve numbers". The tantalising simplicity of the algorithm together with the novelty of the data-dependent rotations has made RC5 an attractive object of study for cryptanalysts. 12-round RC5 (with 64-bit blocks) is susceptible to a differential attack using 244 chosen plaintexts. 18–20 rounds are suggested as sufficient protection. Rijndael / AES The Rijndael cipher developed by Belgian cryptographers, Joan Daemen and Vincent Rijmen was one of the competing designs to replace DES. It won the 5-year public competition to become the AES, (Advanced Encryption Standard). Adopted by NIST in 2001, AES has a fixed block size of 128 bits and a key size of 128, 192, or 256 bits, whereas Rijndael can be specified with block and key sizes in any multiple of 32 bits, with a minimum of 128 bits. The blocksize has a maximum of 256 bits, but the keysize has no theoretical maximum. AES operates on a 4×4 column-major order matrix of bytes, termed the state (versions of Rijndael with a larger block size have additional columns in the state). Blowfish Blowfish is a block cipher, designed in 1993 by Bruce Schneier and included in a large number of cipher suites and encryption products. Blowfish has a 64-bit block size and a variable key |
competitive services and options in areas where there is a difficulty getting affordable Ethernet connections from terrestrial providers such as ATT, Comcast, Verizon and others. Also, companies looking for full diversity between carriers for critical uptime requirements may seek wireless alternatives to local options. Demand for spectrum To cope with increased demand for wireless broadband, increased spectrum would be needed. Studies began in 2009, and while some unused spectrum was available, it appeared broadcasters would have to give up at least some spectrum. This led to strong objections from the broadcasting community. In 2013, auctions were planned, and for now any action by broadcasters is voluntary. Mobile wireless broadband Called mobile broadband, wireless broadband technologies include services from mobile phone service providers such as Verizon Wireless, Sprint Corporation, and AT&T Mobility, and T-Mobile which allow a more mobile version of Internet access. Consumers can purchase a PC card, laptop card, USB equipment, or mobile broadband modem, to connect their PC or laptop to the Internet via cell phone towers. This type of connection would be stable in almost any area that could also receive a strong cell phone connection. These connections can cost more for portable convenience as well as having speed limitations in all but urban environments. On June 2, 2010, after months of discussion, AT&T became the first wireless Internet provider in the US to announce plans to charge according to usage. As the only iPhone service in the United States, AT&T experienced the problem of heavy Internet use more than other providers. About 3 percent of AT&T smart phone customers account for 40 percent of the technology's use. 98 percent of the company's customers use less than 2 gigabytes (4000 page views, 10,000 emails or 200 minutes of streaming video), the limit under the $25 monthly plan, and 65 percent use less than 200 megabytes, the limit for the $15 plan. For each gigabyte in excess of the limit, customers would be charged $10 a month starting June 7, 2010, though existing customers would not be required to change from the $30 a month unlimited service plan. The new plan would become a requirement for those upgrading to the new iPhone technology later in the summer. Licensing A wireless connection can be either licensed or unlicensed. In the US, licensed connections use a private spectrum the user | home internet services are not available. Business Wireless Internet Many companies in the US and worldwide have started using wireless alternatives to incumbent and local providers for internet and voice service. These providers tend to offer competitive services and options in areas where there is a difficulty getting affordable Ethernet connections from terrestrial providers such as ATT, Comcast, Verizon and others. Also, companies looking for full diversity between carriers for critical uptime requirements may seek wireless alternatives to local options. Demand for spectrum To cope with increased demand for wireless broadband, increased spectrum would be needed. Studies began in 2009, and while some unused spectrum was available, it appeared broadcasters would have to give up at least some spectrum. This led to strong objections from the broadcasting community. In 2013, auctions were planned, and for now any action by broadcasters is voluntary. Mobile wireless broadband Called mobile broadband, wireless broadband technologies include services from mobile phone service providers such as Verizon Wireless, Sprint Corporation, and AT&T Mobility, and T-Mobile which allow a more mobile version of Internet access. Consumers can purchase a PC card, laptop card, USB equipment, or mobile broadband modem, to connect their PC or laptop to the Internet via cell phone towers. This type of connection would be stable in almost any area that could also receive a strong cell phone connection. These connections can cost more for portable convenience as well as having speed limitations in all but urban environments. On June 2, 2010, after months of discussion, AT&T became the first wireless Internet provider in the US to announce plans to charge according to usage. As the only iPhone service in the United States, AT&T experienced the problem of heavy Internet use more than other providers. About 3 percent of AT&T smart phone customers account for 40 percent of the technology's use. 98 percent of the company's customers use less than 2 gigabytes (4000 page views, 10,000 emails or 200 minutes of streaming video), the limit under the $25 monthly plan, and 65 percent use less than 200 megabytes, the limit for the $15 plan. For each gigabyte in excess of the limit, customers would be charged $10 a month starting June 7, 2010, though existing customers would not be required to change from the $30 a month unlimited service plan. The new plan would become a requirement for those upgrading to the new iPhone technology later in the summer. Licensing A wireless connection can be either licensed or unlicensed. In the US, licensed connections use a private spectrum the user has secured rights to from the Federal Communications Commission (FCC). |
where he lost to eventual champion Ashe. Borg did not lose another match at Wimbledon until 1981. Borg won two singles and one doubles rubber in the 1975 Davis Cup final, as Sweden beat Czechoslovakia 3–2. With these singles wins, Borg had won 19 consecutive Davis Cup singles rubbers since 1973. That was already a record at the time. However, Borg never lost another Davis Cup singles rubber, and, by the end of his career, he had stretched that winning streak to 33. 1976 – First Wimbledon title In early 1976, Borg won the World Championship Tennis year-end WCT Finals in Dallas, Texas, with a four-set victory over Guillermo Vilas in the final. At the 1976 French Open, Borg lost to the Italian Adriano Panatta, who remains the only player to defeat Borg at this tournament. Panatta did it twice: in the fourth round in 1973, and in the 1976 quarterfinals. Borg won Wimbledon in 1976 without losing a set, defeating the favored Ilie Năstase in the final. Borg became the youngest male Wimbledon champion of the modern era at 20 years and 1 month (a record subsequently broken by Boris Becker, who won Wimbledon aged 17 in 1985). Năstase later said, "We're playing tennis, he's playing something else." Borg also reached the final of the 1976 U.S. Open, which was then being played on clay courts. Borg lost in four sets to world no. 1 Jimmy Connors. Borg was awarded the ATP Player of the Year award and ranked world No. 1 by Tennis Magazine (France). 1977 – Second Wimbledon title and world No.1 ranking In February 1977 World Championship Tennis (WCT) sued Borg and his management company IMG claiming that Borg had committed a breach of contract by electing to participate in the competing 1977 Grand Prix circuit instead of the WCT circuit. Borg eventually played, and won, a single WCT event, the Monte Carlo WCT. An out-of-court settlement was reached whereby Borg committed to play six or eight WCT events in 1978 which were then part of the Grand Prix circuit. Borg skipped the French Open in 1977 because he was under contract with WTT, but he repeated his Wimbledon triumph, although this time he was pushed much harder. He defeated his good friend Vitas Gerulaitis in a semifinal in five sets. In the 1977 final Borg was pushed to five sets for the third time in the tournament, this time by Connors. The win propelled Borg to the No. 1 ranking in the ATP point system, albeit for just one week in August. Prior to the 1977 US Open, Borg aggravated a shoulder injury while waterskiing with Vitas Gerulaitis. This injury ultimately forced him to retire from the Open during a Round of 16 match vs Dick Stockton. Borg was rated number one for 1977 by Tennis Magazine (France), Tennis Magazine (U.S.), Barry Lorge, Lance Tingay, Rino Tommasi, Judith Elian and Rod Laver. Borg was also named "ATP Player of the Year". Through 1977, he had never lost to a player younger than himself. 1978 – French and Wimbledon titles Borg was at the height of his career from 1978 through 1980, completing the French Open-Wimbledon double all three years. In 1978, Borg won the French Open with a win over Vilas in the final. Borg did not drop a set during the tournament, a feat only he, Năstase (in 1973), and Rafael Nadal (in 2008, 2010, 2017 and 2020) have accomplished at the French Open during the open era. Borg defeated Connors in straight sets in the 1978 Wimbledon final. At the 1978 US Open, now held on hard courts in Flushing Meadow, New York, he lost the final in straight sets to Connors. Borg was suffering from a bad blister on his thumb that required pre-match injections. That autumn, Borg faced John McEnroe for the first time in a semifinal of the Stockholm Open, and lost. Borg was named ATP Player of the Year and was the first ITF World Champion. 1979 – French and Wimbledon titles and year-end No. 1 ranking Borg lost to McEnroe again in four sets in the final of the 1979 WCT Finals but was now overtaking Connors for the top ranking. Borg established himself firmly in the top spot with his fourth French Open singles title and fourth straight Wimbledon singles title, defeating Connors in a straight-set semifinal at the latter tournament. At the 1979 French Open, Borg defeated big-serving Victor Pecci in a four-set final, and in the 1979 Wimbledon final Borg came from behind to overcome an even bigger server, Roscoe Tanner. Borg was upset by Tanner at the US Open, in a four-set quarterfinal played under the lights. At the season-ending Masters tournament in January 1980, Borg survived a close semifinal against McEnroe. He then beat Gerulaitis in straight sets, winning his first Masters and first title in New York. Borg finished the year at No. 1 in the ATP Point rankings and was considered the No. 1 player in the world by most authorities. 1980 – French and Fifth consecutive Wimbledon title In June, Borg overcame Gerulaitis, again in straight sets, for his fifth French Open title. Again, he did not drop a set during the tournament. Borg then won his fifth consecutive Wimbledon singles title, defeating McEnroe in a five-set final, often cited as the best Wimbledon final ever played. Having lost the opening set to an all-out McEnroe assault, Borg took the next two and had two championship points at 5–4 in the fourth. However, McEnroe averted disaster and went on to level the match in Wimbledon's most memorable tiebreaker, which McEnroe won 18–16. In the fourth-set tiebreak, McEnroe saved five match points, and Borg six set points, before McEnroe won the set. Björn served first to begin the 5th set and fell behind 0–30. Borg then won 19 straight points on serve in the deciding set and prevailed after 3 hours, 53 minutes. Borg himself commented years later that this was the first time that he was afraid that he would lose, as well as feeling that it was the beginning of the end of his dominance. In September, 1980 Borg reached the final of the U.S. Open for the third time, losing to John McEnroe in five sets in a match that cemented what had become the greatest contemporary rivalry, albeit short-lived, in men's tennis. He defeated McEnroe in the final of the 1980 Stockholm Open, and faced him one more time that year, in the round-robin portion of the year-end Masters, actually played in January 1981. With 19,103 fans in attendance, Borg won a deciding third-set tie-break for the second year in a row. Borg then defeated Ivan Lendl for his second Masters title. Borg again finished the year at No. 1 in the ATP Point Rankings and was considered the No. 1 player in the world by most tennis authorities. 1981 – Sixth and final French Open title Borg won his last Grand Slam title at the French Open in 1981, defeating Lendl in a five-set final. Borg's six French Open Grand Slam titles was a record bettered only by Rafael Nadal in 2012. In reaching the Wimbledon final in 1981, Borg stretched his winning streak at the All England Club to a record 41 matches. In a semifinal, Borg was down to Connors by two sets to love, before coming back to win the match. However, Borg's streak was brought to an end by McEnroe, who defeated him in four sets. Years afterward, Borg remarked "And when I lost what shocked me was I wasn't even upset. That was not me: losing a Wimbledon final and not upset. I hate to lose." Borg around that time felt that his desire to play was gone, despite McEnroe's desperate efforts to persuade him not to retire and continue their rivalry. Borg went on to lose to McEnroe at the 1981 US Open. After that defeat, Borg walked off the court and out of the stadium before the ceremonies and press conference had begun, and headed straight for the airport. There are reports that Borg received threats after his semifinal win over Connors. In later years, Borg apologized to McEnroe. The 1981 US Open would be the Swede's last Grand Slam final. Major tournaments and tour organizers were enforcing a new rule; by 1982, that players had to play at least 10 official tournaments per year. However, Borg wanted to curtail his schedule after many years of winning so often. Although he felt in good condition physically, he recognized that the relentless drive to win and defy tour organizers had begun to fade. Borg failed to win the US Open in nine tries, losing four finals, 1976 (the surface was clay that year) and 1978 to Jimmy Connors, and 1980 and 1981 to John McEnroe. The surface was hard court from 1978 onward and Borg reached the final there on hard court on three occasions, in 1978, 1980 and 1981. He led 3–2 in the fifth set of the 1980 final, before losing. That match followed Borg's classic encounter with McEnroe at the 1980 Wimbledon. In 1978, 1979 and 1980, Borg was halfway to a Grand Slam after victories at the French and Wimbledon (the Australian Open being the last Grand Slam tournament of each year at the time) only to falter at Flushing Meadows, the left-handed Roscoe Tanner being his conqueror in 1979. 1982–91 – Retirement In 1982, Borg played only one tournament, losing to Yannick Noah in the quarterfinals of Monte Carlo in April. Nevertheless, Borg's announcement in January 1983 that he was retiring from the game at the age of 26 was a shock to the tennis world. McEnroe tried unsuccessfully to persuade Borg to continue. He did, however, play Monte Carlo again in March 1983, reaching the second round, and Stuttgart in July 1984. Upon retirement, Borg had three residences: a penthouse in Monte Carlo, not far from his pro shop; a mansion | pro shop; a mansion on Long Island, New York and a small island off the Swedish coast. Borg later bounced back as the owner of the Björn Borg fashion label. In Sweden, his label has become very successful, second only to Calvin Klein. Failed comeback In 1991–1993, Borg attempted a comeback on the men's professional tennis tour, coached by Welsh karate expert Ron Thatcher. Before his 1991 return, Borg grew his hair out as it had been during his previous professional tennis career and he returned to using a wooden racket; he had kept his hair cut and used modern graphite rackets in exhibitions he played during the late 1980s. Borg, however, failed to win a single match. He faced Jordi Arrese in his first match back, again at Monte Carlo but without practising or playing any exhibition matches, and fell in two sets. In his first nine matches, played in 1991 and 1992, Borg failed to win a single set. He fared slightly better in 1993, taking a set off his opponent in each of the three matches he played. He came closest to getting a win in what turned out to be his final tour match, falling to second seed Alexander Volkov 6–4, 3–6, 6–7(7–9) at the 1993 Kremlin Cup in Moscow. In 1992 Borg, aged 35, using a graphite racket, defeated John Lloyd, 37, at the Inglewood Forum Tennis Challenge. Borg later joined the Champions tour, returning to shorter hair and using modern rackets. Playing style Borg had one of the most distinctive playing styles in the Open Era. He played from the baseline, with powerful ground-strokes. His highly unorthodox backhand involved taking his racket back with both hands but actually generating his power with his dominant right hand, letting go of the grip with his left hand around point of contact, and following through with his swing as a one-hander. He hit the ball hard and high from the back of the court and brought it down with considerable topspin, which made his ground strokes very consistent. There had been other players, particularly Rod Laver and Arthur Ashe, who played with topspin on both the forehand and backhand, yet Laver and Ashe used topspin only as a way to mix up their shots to pass their opponents at the net easily. Borg was one of the first top players to use heavy topspin on his shots consistently. Complementing his consistent ground-strokes was his fitness. Both of these factors allowed Borg to be dominant at the French Open. One of the factors that made Borg unique was his dominance on the grass courts of Wimbledon, where, since World War II, baseliners did not usually succeed. Some experts attributed his dominance on this surface to his consistency, an underrated serve, equally underrated volleys, and his adaptation to grass courts. Against the best players, he almost always served-and-volleyed on his first serves, while he naturally played from the baseline after his second serves. Another trait usually associated with Borg was his grace under pressure. His calm court demeanor earned him the nickname of the "Ice Man" or "Ice-Borg." Borg's physical conditioning was unrivalled by contemporaries. He could outlast most of his opponents under the most grueling conditions. Contrary to popular belief, however, this was not due to his exceptionally low resting heart rate, often reported to be near 35 beats per minute. In his introduction to Borg's autobiography My Life and Game, Eugene Scott relates that this rumor arose from a medical exam the 18-year-old Borg once took for military service, where his pulse was recorded as 38. Scott goes on to reveal Borg's true pulse rate as "about 50 when he wakes up and around 60 in the afternoon." Borg is credited with helping to develop the style of play that has come to dominate the game today. Mental approach Borg's first wife has said that he was "always very placid and calm, except if he lost a match – he wouldn't talk for at least three days. He couldn't stand losing." This mental approach changed by 1981, when he has said that when he lost the Wimbledon final "what shocked me was I wasn't even upset." Personal life Borg and Romanian tennis pro Mariana Simionescu began their relationship in 1976 and married in Bucharest on 24 July 1980. The marriage ended in divorce in 1984. He fathered a son named Robin in 1985 with the Swedish model Jannike Björling; Robin had a daughter in 2014. Borg was married to the Italian singer Loredana Bertè from 1989 to 1993. On 8 June 2002, he married his third wife, Patricia Östfeld. Together they have a son, Leo, born in 2003, who is also a tennis player. He narrowly avoided personal bankruptcy when business ventures failed. After selling his mansion Astaholm at Ingarö in the Stockholm archipelago in 2019, Björn currently lives in an apartment in Norrmalm, central Stockholm with Ace of Base star Ulf Ekberg as one of his neighbours. Film In 2017, Borg vs McEnroe, a biographical film focusing on the rivalry between Borg and McEnroe and the 1980 Wimbledon final, was released. Memorabilia preserved In March 2006, Bonhams Auction House in London announced that it would auction Borg's Wimbledon trophies and two of his winning rackets on 21 June 2006. Several players then called Borg in an attempt to make him reconsider, including Jimmy Connors and Andre Agassi, who volunteered to buy them to keep them together. According to Dagens Nyheter – who had talked to Borg – McEnroe called Borg from New York and asked, "What's up? Have you gone mad?" and said "What the hell are you doing?" The conversation with McEnroe, paired with pleas from Connors and Agassi, eventually persuaded Borg to buy out the trophies from Bonhams for an undisclosed amount. Distinctions and honours Borg was ranked by the ATP rankings world no. 1 in six stretches between 1977 and 1981, totaling 109 weeks. During his career, he won a total of 77 (64 listed on the Association of Tennis Professionals website) top-level singles and four doubles titles. Borg won the BBC Sports Personality of the Year Overseas Personality Award in 1979. Borg was inducted into the International Tennis Hall of Fame in 1987. On 10 December 2006, the British Broadcasting Corporation gave Borg a Lifetime Achievement Award, which was presented by Boris Becker. In December 2014 he was elected Sweden's top sportsperson of all time by the newspaper Dagens Nyheter. Recognition With 11 Grand Slam titles, Borg ranks sixth in the list of male tennis players who have won the most Grand Slam singles titles behind Rafael Nadal (21), Roger Federer (20), Novak Djokovic (20), Pete Sampras (14) and Roy Emerson (12). The French Open—Wimbledon double he achieved three times consecutively was described by Wimbledon officials as "the most difficult double in tennis". Only Nadal (in 2008 and 2010), Federer (in 2009), and Djokovic (in 2021) have managed to achieve this double since, and Andre Agassi, Nadal, Federer and Djokovic are the only male players since Borg to have won the French Open and Wimbledon men's singles titles over their career. Ilie Năstase once said about Borg, "We're playing tennis, and he's playing something else". Borg is widely considered to be one of the greatest players in the history of the sport. In his 1979 autobiography, Jack Kramer, the long-time tennis promoter and great player himself, had already included Borg in his list of the 21 greatest players of all time. And in 2003, Bud Collins chose Borg as one of his top-five male players of all time. In 2008, ESPN.com asked tennis analysts, writers, and former players to build the perfect open-era player. Borg was the only player mentioned in four categories: defense, footwork, intangibles, and mental toughness—with his mental game and footwork singled out as the best in open-era history. Borg famously never won the US Open, losing in the final four times. Borg also did not win the Australian Open, which he only played once in 1974 as a 17-year-old. The only players to defeat Borg in a Grand Slam final were fellow World No. 1 tennis players John McEnroe and Jimmy Connors. Even though it was then played on grass, a surface where he enjoyed much success, Borg chose to play the Australian Open only once, in 1974, where he lost in the third round. Phil Dent, a contemporary of Borg, has pointed out that skipping Grand Slam tournaments—especially the Australian Open—was not unusual then, before counting Grand Slam titles became the norm. Additionally, another contemporary Arthur Ashe told Sports Illustrated, "I think Bjorn could have won the US Open. I think he could have won the Grand Slam, but by the time he left, the historical challenge didn't mean anything. He was bigger than the game. He was like Elvis or Liz Taylor or somebody." Laver Cup From 22 to 24 September 2017, Borg was the victorious captain of Team Europe in the first-ever edition of the Laver Cup, held in Prague, Czech Republic. Borg's Team Europe defeated a rest of the world team, known as Team World, who were coached by Borg's old rival, John McEnroe. Europe won the contest 15 points to 9, with Roger Federer achieving a narrow vital victory over Nick Kyrgios in the last match played. Borg returned as the coach of Team Europe for the second edition in Chicago, Illinois from 21 to 23 September 2018. McEnroe also returned as the coach for Team World. Borg again led Europe to victory as Alexander Zverev defeated Kevin Anderson to secure the title 13–8, after trailing Anderson in the match tiebreak until the last few points. In the tournament’s third edition, held in Geneva, Switzerland, from 20 to 22 September 2019, Borg captained Team Europe to a third consecutive victory, defeating McEnroe’s Team World 13 points to 11, with Zverev again winning the deciding match. The fourth edition was held in Boston from 24 to 26 September 2021, having had its original September 2020 date postponed due to the COVID-19 pandemic. Borg once again returned as captain of Team Europe, which had a resounding win over Team World, defeating McEnroe’s players 14 to 1. Career statistics Singles performance timeline The Australian Open was held twice in 1977, in January and December. Borg did not play in either. The 1972 US Open had a special preliminary round before the main 128 player draw began. Records These records were attained in the entire period of tennis from 1877. Records in bold indicate peer-less achievements. ^ Denotes consecutive streak. All-time records Open Era records These records were attained in the Open Era period of tennis from 1968. Records in bold indicate peer-less achievements. ^ Denotes consecutive streak. Professional awards ITF World Champion: 1978, 1979, 1980 ATP Player of the Year: 1976, 1977, 1978, 1979, 1980 See also Borg–McEnroe rivalry Borg–Connors rivalry List of Grand Slam Men's Singles champions List of Swedish sportspeople World number one male tennis player rankings Björn Borg (brand) Notes References Sources John Barrett, editor, World of Tennis Yearbooks, London, from 1976 through 1983. Michel Sutter, Vainqueurs Winners 1946–2003, Paris, 2003. Sutter has attempted to list all tournaments meeting his criteria for selection beginning with 1946 and ending in the fall of 1991. For each tournament, he has indicated the city, the date of the final, the winner, the runner-up, and the score of the final. A tournament is included in his list if: (1) the draw for the tournament included at least eight players (with a few exceptions, such as the Pepsi Grand Slam tournaments in the second half of the 1970s which included only players that had won a Grand Slam tournament); and (2) the level of the tournaments was at least equal to the present day challenger tournaments. Sutter's book is probably the most exhaustive source of tennis tournament information since World War II, even though some professional tournaments held before the start of the open era are missing. Later, Sutter |
The method was authored by Grady Booch when he was working for Rational Software (acquired by IBM), published in 1992 and revised in 1994. It was widely used in software engineering for object-oriented analysis and design and benefited from ample documentation and support tools. The notation aspect of the Booch method was superseded by the Unified Modeling Language (UML), which features graphical elements from the Booch method along with elements from the object-modeling technique (OMT) and object-oriented software engineering (OOSE). Methodological aspects of the Booch method have been incorporated into several methodologies and processes, the primary such methodology being the Rational Unified Process (RUP). Content of the method The Booch notation is characterized by cloud shapes to represent classes and distinguishes the following diagrams: The process | is composed of an object modeling language, an iterative object-oriented development process, and a set of recommended practices. The method was authored by Grady Booch when he was working for Rational Software (acquired by IBM), published in 1992 and revised in 1994. It was widely used in software engineering for object-oriented analysis and design and benefited from ample documentation and support tools. The notation aspect of the Booch method was superseded by the Unified Modeling Language (UML), which features graphical elements from the Booch method along with elements from the object-modeling technique (OMT) and object-oriented software engineering (OOSE). Methodological aspects of the Booch method have been incorporated into several methodologies and processes, the primary such methodology being the |
France as possible. During the spring of 1798, Bonaparte assembled more than 35,000 soldiers in Mediterranean France and Italy and developed a powerful fleet at Toulon. He also formed the Commission des Sciences et des Arts, a body of scientists and engineers intended to establish a French colony in Egypt. Napoleon kept the destination of the expedition top secret—most of the army's officers did not know of its target, and Bonaparte did not publicly reveal his goal until the first stage of the expedition was complete. Mediterranean campaign Bonaparte's armada sailed from Toulon on 19 May, making rapid progress through the Ligurian Sea and collecting more ships at Genoa, before sailing southwards along the Sardinian coast and passing Sicily on 7 June. On 9 June, the fleet arrived off Malta, then under the ownership of the Knights of St. John of Jerusalem, ruled by Grand Master Ferdinand von Hompesch zu Bolheim. Bonaparte demanded that his fleet be permitted entry to the fortified harbour of Valletta. When the Knights refused, the French general responded by ordering a large scale invasion of the Maltese Islands, overrunning the defenders after 24 hours of skirmishing. The Knights formally surrendered on 12 June and, in exchange for substantial financial compensation, handed the islands and all of their resources over to Bonaparte, including the extensive property of the Roman Catholic Church on Malta. Within a week, Bonaparte had resupplied his ships, and on 19 June, his fleet departed for Alexandria in the direction of Crete, leaving 4,000 men at Valletta under General Claude-Henri Vaubois to ensure French control of the islands. While Bonaparte was sailing to Malta, the Royal Navy re-entered the Mediterranean for the first time in more than a year. Alarmed by reports of French preparations on the Mediterranean coast, Lord Spencer at the Admiralty sent a message to Vice-Admiral Earl St. Vincent, commander of the Mediterranean Fleet based in the Tagus, to despatch a squadron to investigate. This squadron, consisting of three ships of the line and three frigates, was entrusted to Rear-Admiral Sir Horatio Nelson. Nelson was a highly experienced officer who had been blinded in one eye during fighting in Corsica in 1794 and subsequently commended for his capture of two Spanish ships of the line at the Battle of Cape St. Vincent in February 1797. In July 1797, he lost an arm at the Battle of Santa Cruz de Tenerife and had been forced to return to Britain to recuperate. Returning to the fleet at the Tagus in late April 1798, he was ordered to collect the squadron stationed at Gibraltar and sail for the Ligurian Sea. On 21 May, as Nelson's squadron approached Toulon, it was struck by a fierce gale and Nelson's flagship, , lost its topmasts and was almost wrecked on the Corsican coast. The remainder of the squadron was scattered. The ships of the line sheltered at San Pietro Island off Sardinia; the frigates were blown to the west and failed to return. On 7 June, following hasty repairs to his flagship, a fleet consisting of ten ships of the line and a fourth-rate joined Nelson off Toulon. The fleet, under the command of Captain Thomas Troubridge, had been sent by Earl St. Vincent to reinforce Nelson, with orders that he was to pursue and intercept the Toulon convoy. Although he now had enough ships to challenge the French fleet, Nelson suffered two great disadvantages: He had no intelligence regarding the destination of the French, and no frigates to scout ahead of his force. Striking southwards in the hope of collecting information about French movements, Nelson's ships stopped at Elba and Naples, where the British ambassador, Sir William Hamilton, reported that the French fleet had passed Sicily headed in the direction of Malta. Despite pleas from Nelson and Hamilton, King Ferdinand of Naples refused to lend his frigates to the British fleet, fearing French reprisals. On 22 June, a brig sailing from Ragusa brought Nelson the news that the French had sailed eastwards from Malta on 16 June. After conferring with his captains, the admiral decided that the French target must be Egypt and set off in pursuit. Incorrectly believing the French to be five days ahead rather than two, Nelson insisted on a direct route to Alexandria without deviation. On the evening of 22 June, Nelson's fleet passed the French in the darkness, overtaking the slow invasion convoy without realising how close they were to their target. Making rapid time on a direct route, Nelson reached Alexandria on 28 June and discovered that the French were not there. After a meeting with the suspicious Ottoman commander, Sayyid Muhammad Kurayyim, Nelson ordered the British fleet northwards, reaching the coast of Anatolia on 4 July and turning westwards back towards Sicily. Nelson had missed the French by less than a day—the scouts of the French fleet arrived off Alexandria in the evening of 29 June. Concerned by his near encounter with Nelson, Bonaparte ordered an immediate invasion, his troops coming ashore in a poorly managed amphibious operation in which at least 20 drowned. Marching along the coast, the French army stormed Alexandria and captured the city, after which Bonaparte led the main force of his army inland. He instructed his naval commander, Vice-Admiral François-Paul Brueys D'Aigalliers, to anchor in Alexandria harbour, but naval surveyors reported that the channel into the harbour was too shallow and narrow for the larger ships of the French fleet. As a result, the French selected an alternative anchorage at Aboukir Bay, northeast of Alexandria. Nelson's fleet reached Syracuse in Sicily on 19 July and took on essential supplies. There the admiral wrote letters describing the events of the previous months: "It is an old saying, 'the Devil's children have the Devil's luck.' I cannot find, or at this moment learn, beyond vague conjecture where the French fleet are gone to. All my ill fortune, hitherto, has proceeded from want of frigates." Meanwhile, the French were securing Egypt by the Battle of the Pyramids. By 24 July, the British fleet was resupplied and, having determined that the French must be somewhere in the Eastern Mediterranean, Nelson sailed again in the direction of the Morea. On 28 July, at Coron, Nelson finally obtained intelligence describing the French attack on Egypt and turned south across the Mediterranean. His scouts, and , sighted the French transport fleet at Alexandria on the afternoon of 1 August. Aboukir Bay When Alexandria harbour had proved inadequate for his fleet, Brueys had gathered his captains and discussed their options. Bonaparte had ordered the fleet to anchor in Aboukir Bay, a shallow and exposed anchorage, but had supplemented the orders with the suggestion that, if Aboukir Bay was too dangerous, Brueys could sail north to Corfu, leaving only the transports and a handful of lighter warships at Alexandria. Brueys refused, in the belief that his squadron could provide essential support to the French army on shore, and called his captains aboard his 120-gun flagship to discuss their response should Nelson discover the fleet in its anchorage. Despite vocal opposition from Contre-amiral Armand Blanquet, who insisted that the fleet would be best able to respond in open water, the rest of the captains agreed that anchoring in a line of battle inside the bay presented the strongest tactic for confronting Nelson. It is possible that Bonaparte envisaged Aboukir Bay as a temporary anchorage: on 27 July, he expressed the expectation that Brueys had already transferred his ships to Alexandria, and three days later, he issued orders for the fleet to make for Corfu in preparation for naval operations against the Ottoman territories in the Balkans, although Bedouin partisans intercepted and killed the courier carrying the instructions. Aboukir Bay is a coastal indentation across, stretching from the village of Abu Qir in the west to the town of Rosetta to the east, where one of the mouths of the River Nile empties into the Mediterranean. In 1798, the bay was protected at its western end by extensive rocky shoals which ran into the bay from a promontory guarded by Aboukir Castle. A small fort situated on an island among the rocks protected the shoals. The fort was garrisoned by French soldiers and armed with at least four cannon and two heavy mortars. Brueys had augmented the fort with his bomb vessels and gunboats, anchored among the rocks to the west of the island in a position to give support to the head of the French line. Further shoals ran unevenly to the south of the island and extended across the bay in a rough semicircle approximately from the shore. These shoals were too shallow to permit the passage of larger warships, and so Brueys ordered his thirteen ships of the line to form up in a line of battle following the northeastern edge of the shoals to the south of the island, a position that allowed the ships to disembark supplies from their port sides while covering the landings with their starboard batteries. Orders were issued for each ship to attach strong cables to the bow and stern of their neighbours, which would effectively turn the line into a long battery forming a theoretically impregnable barrier. Brueys positioned a second, inner line of four frigates approximately west of the main line, roughly halfway between the line and the shoal. The van of the French line was led by , positioned southeast of Aboukir Island and about from the edge of the shoals that surrounded the island. The line stretched southeast, with the centre bowed seawards away from the shoal. The French ships were spaced at intervals of and the whole line was long, with the flagship Orient at the centre and two large 80-gun ships anchored on either side. The rear division of the line was under the command of Contre-amiral Pierre-Charles Villeneuve in . In deploying his ships in this way, Brueys hoped that the British would be forced by the shoals to attack his strong centre and rear, allowing his van to use the prevailing northeasterly wind to counterattack the British once they were engaged. However, he had made a serious misjudgement: he had left enough room between Guerrier and the shoals for an enemy ship to cut across the head of the French line and proceed between the shoals and the French ships, allowing the unsupported vanguard to be caught in a crossfire by two divisions of enemy ships. Compounding this error, the French only prepared their ships for battle on their starboard (seaward) sides, from which they expected the attack would have to come; their landward port sides were unprepared. The port side gun ports were closed, and the decks on that side were uncleared, with various stored items blocking access to the guns. Brueys' dispositions had a second significant flaw: The 160-yard gaps between ships were large enough for a British ship to push through and break the French line. Furthermore, not all of the French captains had followed Brueys' orders to attach cables to their neighbours' bow and stern, which would have prevented such a manoeuvre. The problem was exacerbated by orders to only anchor at the bow, which allowed the ships to swing with the wind and widened the gaps. It also created areas within the French line not covered by the broadside of any ship. British vessels could anchor in those spaces and engage the French without reply. In addition, the deployment of Brueys' fleet prevented the rear from effectively supporting the van due to the prevailing winds. A more pressing problem for Brueys was a lack of food and water for the fleet: Bonaparte had unloaded almost all of the provisions carried aboard and no supplies were reaching the ships from the shore. To remedy this, Brueys sent foraging parties of 25 men from each ship along the coast to requisition food, dig wells, and collect water. Constant attacks by Bedouin partisans, however, required escorts of heavily armed guards for each party. Hence, up to a third of the fleet's sailors were away from their ships at any one time. Brueys wrote a letter describing the situation to Minister of Marine Étienne Eustache Bruix, reporting that "Our crews are weak, both in number and quality. Our rigging, in general, out of repair, and I am sure it requires no little courage to undertake the management of a fleet furnished with such tools." Battle Nelson's arrival Although initially disappointed that the main French fleet was not at Alexandria, Nelson knew from the presence of the transports that they must be nearby. At 14:00 on 1 August, lookouts on reported the French anchored in Aboukir Bay, its signal lieutenant just beating the lieutenant on with the signal, but inaccurately describing 16 French ships of the line instead of 13. At the same time, French lookouts on , the ninth ship in the French line, sighted the British fleet approximately nine nautical miles off the mouth of Aboukir Bay. The French initially reported just 11 British ships – Swiftsure and Alexander were still returning from their scouting operations at Alexandria, and so were to the west of the main fleet, out of sight. Troubridge's ship, , was also some distance from the main body, towing a captured merchant ship. At the sight of the French, Troubridge abandoned the vessel and made strenuous efforts to rejoin Nelson. Due to the need for so many sailors to work onshore, Brueys had not deployed any of his lighter warships as scouts, which left him unable to react swiftly to the sudden appearance of the British. As his ships readied for action, Brueys ordered his captains to gather for a conference on Orient and hastily recalled his shore parties, although most had still not returned by the start of the battle. To replace them, large numbers of men were taken out of the frigates and distributed among the ships of the line. Brueys also hoped to lure the British fleet onto the shoals at Aboukir Island, sending the brigs and Railleur to act as decoys in the shallow waters. By 16:00, Alexander and Swiftsure were also in sight, although some distance from the main British fleet. Brueys gave orders to abandon the plan to remain at anchor and instead for his line to set sail. Blanquet protested the order on the grounds that there were not enough men aboard the French ships to both sail the ships and man the guns. Nelson gave orders for his leading ships to slow down, to allow the British fleet to approach in a more organised formation. This convinced Brueys that rather than risk an evening battle in confined waters, the British were planning to wait for the following day. He rescinded his earlier order to sail. Brueys may have been hoping that the delay would allow him to slip past the British during the night and thus follow Bonaparte's orders not to engage the British fleet directly if he could avoid it. Nelson ordered the fleet to slow down at 16:00 to allow his ships to rig "springs" on their anchor cables, a system of attaching the bow anchor that increased stability and allowed his ships to swing their broadsides to face an enemy while stationary. It also increased manoeuvrability and therefore reduced the risk of coming under raking fire. Nelson's plan, shaped through discussion with his senior captains during the return voyage to Alexandria, was to advance on the French and pass down the seaward side of the van and centre of the French line, so that each French ship would face two British ships and the massive Orient would be fighting against three. The direction of the wind meant that the French rear division would be unable to join the battle easily and would be cut off from the front portions of the line. To ensure that in the smoke and confusion of a night battle his ships would not accidentally open fire on one another, Nelson ordered that each ship prepare four horizontal lights at the head of their mizzen mast and hoist an illuminated White Ensign, which was different enough from the French tricolour that it would not be mistaken in poor visibility, reducing the risk that British ships might fire on one another in the darkness. As his ship was readied for battle, Nelson held a final dinner with Vanguards officers, announcing as he rose: "Before this time tomorrow I shall have gained a peerage or Westminster Abbey," in reference to the rewards of victory or the traditional burial place of British military heroes. Shortly after the French order to set sail was abandoned, the British fleet began rapidly approaching once more. Brueys, now expecting to come under attack that night, ordered each of his ships to place springs on their anchor cables and prepare for action. He sent the Alerte ahead, which passed close to the leading British ships and then steered sharply to the west over the shoal, in the hope that the ships of the line might follow and become grounded. None of Nelson's captains fell for the ruse and the British fleet continued undeterred. At 17:30, Nelson hailed one of his two leading ships, HMS Zealous under Captain Samuel Hood, which had been racing Goliath to be the first to fire on the French. The admiral ordered Hood to establish the safest course into the harbour. The British had no charts of the depth or shape of the bay, except a rough sketch map Swiftsure had obtained from a merchant captain, an inaccurate British atlas on Zealous, and a 35-year-old French map aboard Goliath. Hood replied that he would take careful soundings as he advanced to test the depth of the water, and that, "If you will allow the honour of leading you into battle, I will keep the lead going." Shortly afterwards, Nelson paused to speak with the brig , whose commander, Lieutenant Thomas Hardy, had seized some maritime pilots from a small Alexandrine vessel. As Vanguard came to a stop, the following ships slowed. This caused a gap to open up between Zealous and Goliath and the rest of the fleet. To counter this effect, Nelson ordered under Captain Ralph Miller to pass his flagship and join Zealous and Goliath in the vanguard. By 18:00, the British fleet was again under full sail, Vanguard sixth in the line of ten ships as Culloden trailed behind to the north and Alexander and Swiftsure hastened to catch up to the west. Following the rapid change from a loose formation to a rigid line of battle, both fleets raised their colours; each British ship hoisted additional Union Flags in its rigging in case its main flag was shot away. At 18:20, as Goliath and Zealous rapidly bore down on them, the leading French ships Guerrier and opened fire. Ten minutes after the French opened fire, Goliath, ignoring fire from the fort to starboard and from Guerrier to port, most of which was too high to trouble the ship, crossed the head of the French line. Captain Thomas Foley had noticed as he approached that there was an unexpected gap between Guerrier and the shallow water of the shoal. On his own initiative, Foley decided to exploit this tactical error and changed his angle of approach to sail through the gap. As the bow of Guerrier came within range, Goliath opened fire, inflicting severe damage with a double-shotted raking broadside as the British ship turned to port and passed down the unprepared port side of Guerrier. Foley's Royal Marines and a company of Austrian grenadiers joined the attack, firing their muskets. Foley had intended to anchor alongside the French ship and engage it closely, but his anchor took too long to descend and his ship passed Guerrier entirely. Goliath eventually stopped close to the bow of Conquérant, opening fire on the new opponent and using the unengaged starboard guns to exchange occasional shots with the frigate and bomb vessel Hercule, which were anchored inshore of the battle line. Foley's attack was followed by Hood in Zealous, who also crossed the French line and successfully anchored next to Guerrier in the space Foley had intended, engaging the lead ship's bow from close range. Within five minutes Guerriers foremast had fallen, to cheers from the crews of the approaching British ships. The speed of the British advance took the French captains by surprise; they were still aboard Orient in conference with the admiral when the firing started. Hastily launching their boats, they returned to their vessels. Captain Jean-François-Timothée Trullet of Guerrier shouted orders from his barge for his men to return fire on Zealous. The third British ship into action was under Captain Sir James Saumarez, which rounded the engagement at the head of the battle line and passed between the French main line and the frigates that lay closer inshore. As he did so, the frigate Sérieuse opened fire on Orion, wounding two men. The convention in naval warfare of the time was that ships of the line did not attack frigates when there were ships of equal size to engage, but in firing first French Captain Claude-Jean Martin had negated the rule. Saumarez waited until the frigate was at close range before replying. Orion needed just one broadside to reduce the frigate to a wreck, and Martin's disabled ship drifted away over the shoal. During the delay this detour caused, two other British ships joined the battle: Theseus, which had been disguised as a first-rate ship, followed Foley's track across Guerriers bow. Miller steered his ship through the middle of the melee between the anchored British and French ships until he encountered the third French ship, . Anchoring to port, Miller's ship opened fire at close range. under Captain Davidge Gould crossed the French line between Guerrier and Conquérant, anchoring between the ships and raking them both. Orion then rejoined the action further south than intended, firing on the fifth French ship, Peuple Souverain, and Admiral Blanquet's flagship, . The next three British ships, Vanguard in the lead followed by and , remained in line of battle formation and anchored on the starboard side of the French line at 18:40. Nelson focused his flagship's fire on Spartiate, while Captain Thomas Louis in Minotaur attacked the unengaged and Captain John Peyton in Defence joined the attack on Peuple Souverain. With the French vanguard now heavily outnumbered, the following British ships, and , passed by the melee and advanced on the so far unengaged French centre. Both ships were soon fighting enemies much more powerful than they and began to take severe damage. Captain Henry Darby on Bellerophon missed his intended anchor near Franklin and instead found his ship underneath the main battery of the French flagship. Captain George Blagdon Westcott on Majestic also missed his station and almost collided with Heureux, coming under heavy fire from . Unable to stop in time, Westcott's jib boom became entangled with Tonnants shroud. The French suffered too, Admiral Brueys on Orient was severely wounded in the face and hand by flying debris during the opening exchange of fire with Bellerophon. The final ship of the British line, Culloden under Troubridge, sailed too close to Aboukir Island in the growing darkness and became stuck fast on the shoal. Despite strenuous efforts from the Cullodens boats, the brig Mutine and the 50-gun under Captain Thomas Thompson, the ship of the line could not be moved, and the waves drove Culloden further onto the shoal, inflicting severe damage to the ship's hull. Surrender of the French vanguard At 19:00 the identifying lights in the mizzenmasts of the British fleet were lit. By this time, Guerrier had been completely dismasted and heavily battered. Zealous by contrast was barely touched: Hood had situated Zealous outside the arc of most of the French ship's broadsides, and in any case Guerrier was not prepared for an engagement on both sides simultaneously, with its port guns blocked by stores. Although their ship was a wreck, the crew of Guerrier refused to surrender, continuing to fire the few functional guns whenever possible despite heavy answering fire from Zealous. In addition to his cannon fire, Hood called up his marines and ordered them to fire volleys of musket shot at the deck of the French ship, driving the crew out of sight but still failing to secure the surrender from Captain Trullet. It was not until 21:00, when Hood sent a small boat to Guerrier with a boarding party, that the French ship finally surrendered. Conquérant was defeated more rapidly, after heavy broadsides from passing British ships and the close attentions of Audacious and Goliath brought down all three masts before 19:00. With his ship immobile and badly damaged, the mortally wounded Captain Etienne Dalbarade struck his colours and a boarding party seized control. Unlike Zealous, these British ships suffered relatively severe damage in the engagement. Goliath lost most of its rigging, suffered damage to all three masts and suffered more than 60 casualties. With his opponents defeated, Captain Gould on Audacious used the spring on his cable to transfer fire to Spartiate, the next French ship in line. To the west of the battle the battered Sérieuse sank over the shoal. Her masts protruded from the water as survivors scrambled into boats and rowed for the shore. The transfer of Audaciouss broadside to Spartiate meant that Captain Maurice-Julien Emeriau now faced three opponents. Within minutes all three of his ship's masts had fallen, but the battle around Spartiate continued until 21:00, when the badly wounded Emeriau ordered his colours struck. Although Spartiate was outnumbered, it had been supported by the next in line, Aquilon, which was the only ship of the French van squadron fighting a single opponent, Minotaur. Captain Antoine René Thévenard used the spring on his anchor cable to angle his broadside into a raking position across the bow of Nelson's flagship, which consequently suffered more than 100 casualties, including the admiral. At approximately 20:30, an iron splinter fired in a langrage shot from Spartiate struck Nelson over his blinded right eye. The wound caused a flap of skin to fall across his face, rendering him temporarily completely blind. Nelson collapsed into the arms of Captain Edward Berry and was carried below. Certain that his wound was fatal, he cried out "I am killed, remember me to my wife", and called for his chaplain, Stephen Comyn. The wound was immediately inspected by Vanguards surgeon Michael Jefferson, who informed the admiral that it was a simple flesh wound and stitched the skin together. Nelson subsequently ignored Jefferson's instructions to remain inactive, returning to the quarterdeck shortly before the explosion on Orient to oversee the closing stages of the battle. Although Thévenard's manoeuvre was successful, it placed his own bow under Minotaurs guns and by 21:25 the French ship was dismasted and battered, Captain Thévenard killed and his junior officers forced to surrender. With his opponent defeated, Captain Thomas Louis then took Minotaur south to join the attack on Franklin. Defence and Orion attacked the fifth French ship, Peuple Souverain, from either side and the ship rapidly lost the fore and main masts. Aboard the Orion, a wooden block was smashed off one of the ship's masts, killing two men before wounding Captain Saumarez in the thigh. On Peuple Souverain, Captain Pierre-Paul Raccord was badly wounded and ordered his ship's anchor cable cut in an effort to escape the bombardment. Peuple Souverain drifted south towards the flagship Orient, which mistakenly opened fire on the darkened vessel. Orion and Defence were unable to immediately pursue. Defence had lost its fore topmast and an improvised fireship that drifted through the battle narrowly | to regain control of his ship. As a result, both vessels had drifted onto the shoal. Alexander, Goliath, Theseus and Leander attacked the stranded and defenceless ships, and both surrendered within minutes. The distractions provided by Heureux, Mercure and Justice allowed Villeneuve to bring most of the surviving French ships to the mouth of the bay at 11:00. On the dismasted Tonnant, Commodore Du Petit Thouars was now dead from his wounds and thrown overboard at his own request. As the ship was unable to make the required speed it was driven ashore by its crew. Timoléon was too far south to escape with Villeneuve and, in attempting to join the survivors, had also grounded on the shoal. The force of the impact dislodged the ship's foremast. The remaining French vessels: the ships of the line Guillaume Tell and Généreux and the frigates Justice and , formed up and stood out to sea, pursued by Zealous. Despite strenuous efforts, Captain Hood's isolated ship came under heavy fire and was unable to cut off the trailing Justice as the French survivors escaped seawards. Zealous was struck by a number of French shot and lost one man killed. For the remainder of 2 August Nelson's ships made improvised repairs and boarded and consolidated their prizes. Culloden especially required assistance. Troubridge, having finally dragged his ship off the shoal at 02:00, found that he had lost his rudder and was taking on more than of water an hour. Emergency repairs to the hull and fashioning a replacement rudder from a spare topmast took most of the next two days. On the morning of 3 August, Nelson sent Theseus and Leander to force the surrender of the grounded Tonnant and Timoléon. The Tonnant, its decks crowded with 1,600 survivors from other French vessels, surrendered as the British ships approached while Timoléon was set on fire by its remaining crew who then escaped to the shore in small boats. Timoléon exploded shortly after midday, the eleventh and final French ship of the line destroyed or captured during the battle. Aftermath British casualties in the battle were recorded with some accuracy in the immediate aftermath as 218 killed and approximately 677 wounded, although the number of wounded who subsequently died is not known. The ships that suffered most were Bellerophon with 201 casualties and Majestic with 193. Other than Culloden the lightest loss was on Zealous, which had one man killed and seven wounded. The casualty list included Captain Westcott, five lieutenants and ten junior officers among the dead, and Admiral Nelson, Captains Saumarez, Ball and Darby, and six lieutenants wounded. Other than Culloden, the only British ships seriously damaged in their hulls were Bellerophon, Majestic, and Vanguard. Bellerophon and Majestic were the only ships to lose masts: Majestic the main and mizzen and Bellerophon all three. French casualties are harder to calculate but were significantly higher. Estimates of French losses range from 2,000 to 5,000, with a suggested median point of 3,500, which includes more than 1,000 captured wounded and nearly 2,000 killed, half of whom died on Orient. In addition to Admiral Brueys killed and Admiral Blanquet wounded, four captains died and seven others were seriously wounded. The French ships suffered severe damage: Two ships of the line and two frigates were destroyed (as well as a bomb vessel scuttled by its crew), and three other captured ships were too battered ever to sail again. Of the remaining prizes, only three were ever sufficiently repaired for frontline service. For weeks after the battle, bodies washed up along the Egyptian coast, decaying slowly in the intense, dry heat. Nelson, who on surveying the bay on the morning of 2 August said, "Victory is not a name strong enough for such a scene", remained at anchor in Aboukir Bay for the next two weeks, preoccupied with recovering from his wound, writing dispatches, and assessing the military situation in Egypt using documents captured on board one of the prizes. Nelson's head wound was recorded as being "three inches long" with "the cranium exposed for one inch". He suffered pain from the injury for the rest of his life and was badly scarred, styling his hair to disguise it as much as possible. As their commander recovered, his men stripped the wrecks of useful supplies and made repairs to their ships and prizes. Throughout the week, Aboukir Bay was surrounded by bonfires lit by Bedouin tribesmen in celebration of the British victory. On 5 August, Leander was despatched to Cadiz with messages for Earl St. Vincent carried by Captain Edward Berry. Over the next few days the British landed all but 200 of the captured prisoners on shore under strict terms of parole, although Bonaparte later ordered them to be formed into an infantry unit and added to his army. The wounded officers taken prisoner were held on board Vanguard, where Nelson regularly entertained them at dinner. Historian Joseph Allen recounts that on one occasion Nelson, whose eyesight was still suffering following his wound, offered toothpicks to an officer who had lost his teeth and then passed a snuff-box to an officer whose nose had been torn off, causing much embarrassment. On 8 August the fleet's boats stormed Aboukir Island, which surrendered without a fight. The landing party removed four of the guns and destroyed the rest along with the fort they were mounted in, renaming the island "Nelson's Island". On 10 August, Nelson sent Lieutenant Thomas Duval from Zealous with messages to the government in India. Duval travelled across the Middle East overland via camel train to Aleppo and took the East India Company ship Fly from Basra to Bombay, acquainting Governor-General of India Viscount Wellesley with the situation in Egypt. On 12 August the frigates under Captain Thomas Moutray Waller and under Captain George Johnstone Hope, and the sloop under Captain Robert Retalick, arrived off Alexandria. Initially the British mistook the frigate squadron for French warships and Swiftsure chased them away. They returned the following day once the error had been realised. The same day as the frigates arrived, Nelson sent Mutine to Britain with dispatches, under the command of Lieutenant Thomas Bladen Capel, who had replaced Hardy after the latter's promotion to captain of Vanguard. On 14 August, Nelson sent Orion, Majestic, Bellerophon, Minotaur, Defence, Audacious, Theseus, Franklin, Tonnant, Aquilon, Conquérant, Peuple Souverain, and Spartiate to sea under the command of Saumarez. Many ships had only jury masts and it took a full day for the convoy to reach the mouth of the bay, finally sailing into open water on 15 August. On 16 August the British burned and destroyed the grounded prize Heureux as no longer fit for service and on 18 August also burned Guerrier and Mercure. On 19 August, Nelson sailed for Naples with Vanguard, Culloden, and Alexander, leaving Hood in command of Zealous, Goliath, Swiftsure, and the recently joined frigates to watch over French activities at Alexandria. The first message to reach Bonaparte regarding the disaster that had overtaken his fleet arrived on 14 August at his camp on the road between Salahieh and Cairo. The messenger was a staff officer sent by the Governor of Alexandria General Jean Baptiste Kléber, and the report had been hastily written by Admiral Ganteaume, who had subsequently rejoined Villeneuve's ships at sea. One account reports that when he was handed the message, Bonaparte read it without emotion before calling the messenger to him and demanding further details. When the messenger had finished, the French general reportedly announced "Nous n'avons plus de flotte: eh bien. Il faut rester en ces contrées, ou en sortir grands comme les anciens" ("We no longer have a fleet: well, we must either remain in this country or quit it as great as the ancients"). Another story, as told by the general's secretary, Bourienne, claims that Bonaparte was almost overcome by the news and exclaimed "Unfortunate Brueys, what have you done!" Bonaparte later placed much of the blame for the defeat on the wounded Admiral Blanquet, falsely accusing him of surrendering Franklin while his ship was undamaged. Protestations from Ganteaume and Minister Étienne Eustache Bruix later reduced the degree of criticism Blanquet faced, but he never again served in a command capacity. Bonaparte's most immediate concern however was with his own officers, who began to question the wisdom of the entire expedition. Inviting his most senior officers to dinner, Bonaparte asked them how they were. When they replied that they were "marvellous," Bonaparte responded that it was just as well, since he would have them shot if they continued "fostering mutinies and preaching revolt." To quell any uprising among the native inhabitants, Egyptians overheard discussing the battle were threatened with having their tongues cut out. Reaction Nelson's first set of dispatches were captured when Leander was intercepted and defeated by Généreux in a fierce engagement off the western shore of Crete on 18 August 1798. As a result, reports of the battle did not reach Britain until Capel arrived in Mutine on 2 October, entering the Admiralty at 11:15 and personally delivering the news to Lord Spencer, who collapsed unconscious when he heard the report. Although Nelson had previously been castigated in the press for failing to intercept the French fleet, rumours of the battle had begun to arrive in Britain from the continent in late September and the news Capel brought was greeted with celebrations right across the country. Within four days Nelson had been elevated to Baron Nelson of the Nile and Burnham Thorpe, a title with which he was privately dissatisfied, believing his actions deserved better reward. King George III addressed the Houses of Parliament on 20 November with the words: Saumarez's convoy of prizes stopped first at Malta, where Saumarez provided assistance to a rebellion on the island among the Maltese population. It then sailed to Gibraltar, arriving on 18 October to the cheers of the garrison. Saumarez wrote that, "We can never do justice to the warmth of their applause, and the praises they all bestowed on our squadron." On 23 October, following the transfer of the wounded to the military hospital and provision of basic supplies, the convoy sailed on towards Lisbon, leaving Bellerophon and Majestic behind for more extensive repairs. Peuple Souverain also remained at Gibraltar: The ship was deemed too badly damaged for the Atlantic voyage to Britain and so was converted to a guardship under the name of HMS Guerrier. The remaining prizes underwent basic repairs and then sailed for Britain, spending some months at the Tagus and joining with the annual merchant convoy from Portugal in June 1799 under the escort of a squadron commanded by Admiral Sir Alan Gardner, before eventually arriving at Plymouth. Their age and battered state meant that neither Conquérant nor Aquilon were considered fit for active service in the Royal Navy and both were subsequently hulked, although they had been bought into the service for £20,000 (the equivalent of £ million as of ) each as HMS Conquerant and HMS Aboukir to provide a financial reward to the crews that had captured them. Similar sums were also paid out for Guerrier, Mercure, Heureux and Peuple Souverain, while the other captured ships were worth considerably more. Constructed of Adriatic oak, Tonnant had been built in 1792 and Franklin and Spartiate were less than a year old. Tonnant and Spartiate, both of which later fought at the Battle of Trafalgar, joined the Royal Navy under their old names while Franklin, considered to be "the finest two-decked ship in the world", was renamed HMS Canopus. The total value of the prizes captured at the Nile and subsequently bought into the Royal Navy was estimated at just over £130,000 (the equivalent of £ million as of ). Additional awards were presented to the British fleet: Nelson was awarded £2,000 (£ as of ) a year for life by the Parliament of Great Britain and £1,000 per annum by the Parliament of Ireland, although the latter was inadvertently discontinued after the Act of Union dissolved the Irish Parliament. Both parliaments gave unanimous votes of thanks, each captain who served in the battle was presented with a specially minted gold medal and the first lieutenant of every ship engaged in the battle was promoted to commander. Troubridge and his men, initially excluded, received equal shares in the awards after Nelson personally interceded for the crew of the stranded Culloden, even though they did not directly participate in the engagement. The Honourable East India Company presented Nelson with £10,000 (£ as of ) in recognition of the benefit his action had on their holdings and the cities of London, Liverpool and other municipal and corporate bodies made similar awards. Nelson's own captains presented him with a sword and a portrait as "proof of their esteem." Nelson publicly encouraged this close bond with his officers and on 29 September 1798 described them as "We few, we happy few, we band of brothers", echoing William Shakespeare's play Henry V. From this grew the notion of the Nelsonic Band of Brothers, a cadre of high-quality naval officers that served with Nelson for the remainder of his life. Nearly five decades later the battle was among the actions recognised by a clasp attached to the Naval General Service Medal, awarded upon application to all British participants still living in 1847. Other rewards were bestowed by foreign states, particularly the Ottoman Emperor Selim III, who made Nelson the first Knight Commander of the newly created Order of the Crescent, and presented him with a chelengk, a diamond studded rose, a sable fur and numerous other valuable presents. Tsar Paul I of Russia sent, among other rewards, a gold box studded with diamonds, and similar gifts in silver arrived from other European rulers. On his return to Naples, Nelson was greeted with a triumphal procession led by King Ferdinand IV and Sir William Hamilton and was introduced for only the third time to Sir William's wife Emma, Lady Hamilton, who fainted violently at the meeting, and apparently took several weeks to recover from her injuries. Lauded as a hero by the Neapolitan court, Nelson was later to dabble in Neapolitan politics and become the Duke of Bronté, actions for which he was criticised by his superiors and his reputation suffered. British general John Moore, who met Nelson in Naples at this time, described him as "covered with stars, medals and ribbons, more like a Prince of Opera than the Conqueror of the Nile." Rumours of a battle first appeared in the French press as early as 7 August, although credible reports did not arrive until 26 August, and even these claimed that Nelson was dead and Bonaparte a British prisoner. When the news became certain, the French press insisted that the defeat was the result both of an overwhelmingly large British force and unspecified "traitors." Among the anti-government journals in France, the defeat was blamed on the incompetence of the French Directory and on supposed lingering Royalist sentiments in the Navy. Villeneuve came under scathing attack on his return to France for his failure to support Brueys during the battle. In his defence, he pleaded that the wind had been against him and that Brueys had not issued orders for him to counterattack the British fleet. Writing many years later, Bonaparte commented that if the French Navy had adopted the same tactical principles as the British: By contrast, the British press were jubilant; many newspapers sought to portray the battle as a victory for Britain over anarchy, and the success was used to attack the supposedly pro-republican Whig politicians Charles James Fox and Richard Brinsley Sheridan. In the United States, the outcome of the battle led President John Adams to pursue diplomacy with France to end the Quasi-War, as the French naval defeat rendered the prospect of an invasion of the United States less likely. There has been extensive historiographical debate over the comparative strengths of the fleets, although they were ostensibly evenly matched in size, each containing 13 ships of the line. However, the loss of Culloden, the relative sizes of Orient and Leander and the participation in the action by two of the French frigates and several smaller vessels, as well as the theoretical strength of the French position, leads most historians to the conclusion that the French were marginally more powerful. This is accentuated by the weight of broadside of several of the French ships: Spartiate, Franklin, Orient, Tonnant and Guillaume Tell were each significantly larger than any individual British ship in the battle. However inadequate deployment, reduced crews, and the failure of the rear division under Villeneuve to meaningfully participate, all contributed to the French defeat. Effects The Battle of the Nile has been called "arguably, the most decisive naval engagement of the great age of sail", and "the most splendid and glorious success which the British Navy gained." Historian and novelist C. S. Forester, writing in 1929, compared the Nile to the great naval actions in history and concluded that "it still only stands rivalled by Tsu-Shima as an example of the annihilation of one fleet by another of approximately equal material force". |
explains the name as , hyios paraklēseōs, meaning "son of encouragement" or "son of consolation". One theory is that this is from the Aramaic , , meaning 'son (of) consolation'. Another is that it is related to the Hebrew word nabī (נביא, Aramaic nebī) meaning "prophet". In the Syriac Bible, the phrase "son of consolation" is translated bara dbuya'a. Biblical narrative Barnabas appears mainly in Acts, a history of the early Christian church. He also appears in several of Paul's epistles. Barnabas, a native of Cyprus and a Levite, is first mentioned in the Acts of the Apostles as a member of the early Christian community in Jerusalem, who sold some land that he owned and gave the proceeds to the community. When the future Paul the Apostle returned to Jerusalem after his conversion, Barnabas introduced him to the apostles. Easton, in his Bible Dictionary, supposes that they had been fellow students in the school of Gamaliel. The successful preaching of Christianity at Antioch to non-Jews led the church at Jerusalem to send Barnabas there to oversee the movement. He found the work so extensive and weighty that he went to Tarsus in search of Paul (still referred to as Saul), "an admirable colleague", to assist him. Paul returned with him to Antioch and labored with him for a whole year. At the end of this period, the two were sent up to Jerusalem (44 AD) with contributions from the church at Antioch for the relief of the poorer Christians in Judea. They returned to Antioch taking John Mark with them, the cousin or nephew of Barnabas. Later, they went to Cyprus and some of the principal cities of Pamphylia, Pisidia, and Lycaonia. After recounting what the governor of Cyprus Sergius Paulus believed, speaks of Barnabas's spiritual brother no longer as Saul, but as Paul, his Roman name, and generally refers to the two no longer as "Barnabas and Saul" as heretofore, but as "Paul and Barnabas". Only in and does Barnabas again occupy the first place, in the first passage with recollection of , in the last 2, because Barnabas stood in closer relation to the Jerusalem church than Paul. Paul appears as the more eloquent missionary, whence the Lystrans regarded him as Hermes and Barnabas as Zeus. is also the unique biblical topic where Saint Barnabas is called with the Greek word for Apostle. Returning from this first missionary journey to Antioch, they were again sent up to Jerusalem to consult with the church there regarding the relation of Gentiles to the church. According to Galatians 2:9–10, Barnabas was included with Paul in the agreement made between them, on the one hand, and James, Peter, and John, on the other, that the two former should in the future preach to the pagans, not forgetting the poor at Jerusalem. This matter having been settled, they returned again to Antioch, bringing the agreement of the council that Gentiles were to be admitted into the church without having to adopt Jewish practices. After they had returned to Antioch from the Jerusalem council, they spent some time there. Peter came and associated freely there with the Gentiles, eating with them, until criticized for this by some disciples of James, as against Mosaic law. Upon their remonstrances, Peter yielded apparently through fear of displeasing them, and refused to eat any longer with the Gentiles. Barnabas followed his example. Paul considered that they "walked not uprightly according to the truth of the gospel" and upbraided them before the whole church. In Paul says, "And when Kephas came to Antioch, I opposed him to his face because he clearly was wrong. For, until some people came from James, he used to eat with the Gentiles; but when they came, he began to draw back and separated himself, because he was afraid of the circumcised. And the rest of the Jews (also) acted hypocritically along with him, with the result that even Barnabas was carried away by their hypocrisy." Paul then asked Barnabas to accompany him on another journey. Barnabas wished to take John Mark along, but Paul did not, as he had left them on the earlier journey. The dispute ended by Paul and Barnabas taking separate routes. Paul took Silas as his companion, and journeyed through Syria and Cilicia; while Barnabas took John Mark to visit Cyprus. Little is known of the subsequent career of Barnabas. He was still living and labouring as an Apostle in 56 or 57, when Paul wrote First Corinthians (9:5–6). from which we learn that he, too, like Paul, earned his own living. The reference indicates also that the friendship between the two was unimpaired. When Paul was a prisoner in Rome (61–63), John Mark was attached to him as a disciple, which | Jerusalem council, they spent some time there. Peter came and associated freely there with the Gentiles, eating with them, until criticized for this by some disciples of James, as against Mosaic law. Upon their remonstrances, Peter yielded apparently through fear of displeasing them, and refused to eat any longer with the Gentiles. Barnabas followed his example. Paul considered that they "walked not uprightly according to the truth of the gospel" and upbraided them before the whole church. In Paul says, "And when Kephas came to Antioch, I opposed him to his face because he clearly was wrong. For, until some people came from James, he used to eat with the Gentiles; but when they came, he began to draw back and separated himself, because he was afraid of the circumcised. And the rest of the Jews (also) acted hypocritically along with him, with the result that even Barnabas was carried away by their hypocrisy." Paul then asked Barnabas to accompany him on another journey. Barnabas wished to take John Mark along, but Paul did not, as he had left them on the earlier journey. The dispute ended by Paul and Barnabas taking separate routes. Paul took Silas as his companion, and journeyed through Syria and Cilicia; while Barnabas took John Mark to visit Cyprus. Little is known of the subsequent career of Barnabas. He was still living and labouring as an Apostle in 56 or 57, when Paul wrote First Corinthians (9:5–6). from which we learn that he, too, like Paul, earned his own living. The reference indicates also that the friendship between the two was unimpaired. When Paul was a prisoner in Rome (61–63), John Mark was attached to him as a disciple, which is regarded as an indication that Barnabas was no longer living (Colossians 4:10). Barnabas and Antioch Antioch, the third-most important city of the Roman Empire, then the capital city of Syria province, today Antakya, Turkey, was where Christians were first called thus. Some of those who had been scattered by the persecution that arose because of Stephen went to Antioch, which became the site of an early Christian community. A considerable minority of the Antioch church of Barnabas's time belonged to the merchant class, and they provided support to the poorer Jerusalem church. Martyrdom Church tradition developed outside of the canon of the New Testament describes the martyrdom of many saints, including the legend of the martyrdom of Barnabas. It relates that certain Jews coming to Syria and Salamis, where Barnabas was then preaching the gospel, being highly exasperated at his extraordinary success, fell upon him as he was disputing in the synagogue, dragged him out, and, after the most inhumane tortures, stoned him to death. His kinsman, John Mark, who was a spectator of this barbarous action, privately interred his body. Although it is believed he was martyred by being stoned, the apocryphal Acts of Barnabas states that he was bound with a rope by the neck, and then being dragged only to the site where he would be burned to death. According to the History of the Cyprus Church, in 478 Barnabas appeared in a dream to the Archbishop of Constantia (Salamis, Cyprus) Anthemios and revealed to him the place of his sepulchre beneath a carob-tree. The following day Anthemios found the tomb and inside it the remains of Barnabas with a manuscript of Matthew's Gospel on his breast. Anthemios presented the Gospel to Emperor Zeno at Constantinople and received from him the privileges of the Greek Orthodox Church of Cyprus, that is, the purple cloak which the Greek Archbishop of Cyprus wears at festivals of the church, the imperial sceptre and the red ink with which he affixes his signature. Anthemios then placed the venerable remains of Barnabas in a church which he founded near the tomb. Excavations near the site of a present-day church and monastery, have revealed an early church with two empty tombs, believed to be that of St. Barnabas and Anthemios. St. Barnabas is venerated as the Patron Saint of Cyprus. Barnabas the Apostle is remembered in the Church of England with a Festival on 11 June. Other sources Although many assume that the biblical Mark the cousin of Barnabas is the same as John Mark and Mark the Evangelist, the traditionally believed author of the Gospel of Mark, according to Hippolytus of Rome, the three "Marks are distinct persons. They were all members of the Seventy Apostles of Christ, including Barnabas himself. There are two people named Barnabas among Hippolytus' list of Seventy Disciples, one (#13) became the bishop of Milan, the other (#25) the bishop of Heraclea. Most likely one of these two is the biblical Barnabas; the first one is more likely, because the numbering by Hippolytus seems to indicate a level of significance. Clement of Alexandria also makes Barnabas one of the Seventy Disciples that are mentioned in the Gospel of Luke. Other sources bring Barnabas to Rome and Alexandria. In the "Clementine Recognitions" (i, 7) he is depicted as preaching in Rome even during Christ's lifetime. Cypriots developed the tradition of his later activity and martyrdom no earlier than the 3rd century. The question whether Barnabas was an apostle was often discussed during the Middle Ages. Alleged writings Tertullian and other Western writers regard Barnabas as the author of the Letter to the Hebrews. This may have been the Roman tradition—which Tertullian usually follows—and in Rome the epistle may have had its first readers. Modern biblical scholarship considers its authorship unknown, though Barnabas amongst others has been proposed as potential authors. “Photius of the ninth century, refers to some in his day who were uncertain whether the Acts was written by Clement of Rome, Barnabas, or Luke. Yet Photius is certain that the work must be ascribed to Luke.” He is also traditionally associated with the Epistle of Barnabas, although some modern scholars think it more likely that the epistle was written in Alexandria in the 130s. John Dominic Crossan quotes Koester as stating that New Testament writings are used "neither explicitly nor tacitly" in the Epistle of Barnabas and that this "would argue for an early date, perhaps even before the end of the first century AD." Crossan continues (The Cross that Spoke, p. 121): Richardson and Shukster have also argued for a first-century date. Among several arguments they point to the detail of "a little king, who shall subdue |
Ansgar asked if King Olof would permit him to establish the Christian religion in the kingdom during his second visit in 852, the king said to him: On this account I have not the power, nor do I dare, to approve the objects of your mission until I can consult our gods by the casting of lots and until I can enquire the will of the people in regard to this matter. Let your messenger attend with me the next assembly (Chapter XXVI) When the day for the assembly which was held in the town of Birka drew near, in accordance with their national custom the king caused a proclamation to be made to the people by the voice of a herald, in order that they might be informed concerning the object of their mission. —The king then rose up from amongst the assembly and forthwith directed one of his own messengers to accompany the bishop's messenger, and to tell him that the people were unanimously inclined to accept his proposal and at the same time to tell him that, whilst their action was entirely agreeable to him, he could not give his full consent until, in another assembly, which was to be held in another part of his kingdom, he could announce this resolution to the people who lived in that district. (Chapter XXVII) Tings were huge open-air events, which required plenty of space. The more important ting that king Olof talked about was probably the Ting of all Swedes, which was held at the end of February in Uppsala, during the Disting. The king was obliged to obey the common decisions made at this ting, and the most powerful man at this assembly was not the king, but the lawspeaker of Tiundaland. Locally important tings were the Westrogothic Ting of all Geats in Skara and the Ostrogothic Lionga ting in the vicinity of today's Linköping. Adam of Bremen's description In Gesta Hammaburgensis ecclesiae pontificum (Deeds of Bishops of the Hamburg Church), Adam of Bremen mentions Birka many times, and the book is the main source of information on the city. After its initial release in 1075–6, Gesta was complemented with supplementary Scholias until the death of Adam in the 1080s. Birca is described as an existing city in the original version, but then as destroyed in Scholia 138. One of Adam's main sources had been the German bishop Adalvard the Younger of Sigtuna and later of Skara as hinted in Scholia 119. He was also very familiar with Rimbert's work. Adam himself never visited Birka. Location and port Adam described Birka as a Geatish port town and had gathered many details about it. Birka is the main Geatish town (oppidum Gothorum), situated in the middle of Sweden (Suevoniae), not far (non longe) from the temple called Uppsala (Ubsola) which the Swedes (Sueones) held in the highest esteem when it comes to the worship of the gods; here forms an inlet of the Baltic or the Barbaric Sea a port facing north which welcomes all the wild peoples all around this sea but which is risky for those who are careless or ignorant of such places ... they have therefore blocked this inlet of the troubled sea with hidden masses of rocks along more than 100 stadions (18 km). On this anchorage, being the best sheltered within the maritime region of Sweden (Suevoniae), all the ships belonging to Danes (Danorum) known as Norwegians (Nortmannorum) as well as to Slavs (Sclavorum), Sembrians (Semborum) and other Scythian (Scithiae) peoples use to convene every year for sundry necessary commerce. (I 62) Turning from the northern parts to the mouth of the Baltic Sea we first meet the Norwegians (Nortmanni), then the Danish region of Skåne (Sconia) stands out, and beyond these live the Geats (Gothi) for a long stretch all the way to Birka. (IV 14) Having described Västergötland and Skara, Adam writes: Beyond it Östergötland (Ostrogothia) extends along the sea, that is called the Baltic Sea, all the way to Birka. (IV 23) Noteworthy in the following statement is the usage of the term "not far" (non longe) which was also used to describe the distance between Birka and the Uppsala temple: Furthermore we have been told that there are many more islands in that sea, one of which is called the Great Estland (Aestland) -- And this island is told to be quite close to the Woman Land (terrae feminarum), which is not far (non longe) away from Birka of the Swedes. (IV 17) Adam also had travel instructions from Skåne to Sigtuna: From Skåne (Sconia) of the Danes one reaches Sigtuna (Sictonam) or Birka after five days at sea, for they are indeed alike. But by land from Skåne across the Geatish people (Gothorum populos) and cities Skara (Scaranem), Telgas and Birka, one reaches Sigtuna only after a full month. (IV 28) "Telgas" is not mentioned anywhere else, and it remains as speculative as Birka. The most popular identification among many telge names in Sweden is Södertälje. Scholia 121 of IV 20 tells also: For those who sail from Skåne (Sconia) of the Danes to Birka, the journey takes five days, from Birka to Russia (Ruzziam) likewise five days at sea. (Scholia 121) The following definition remains even more mysterious: In pity of their errors, our archbishop ordained as their diocesan capital Birka, which is in the middle of Sweden (Sueoniae) facing Jumne (Iumnem), the capital of the Slavs, and equally distant from all the coasts of the surrounding sea. (IV 20) Since it is physically impossible for any Swedish town to face Jumne, the latter being situated along River Oder, Adam's statement is probably a misunderstanding. No place having a similar name to Birka is known to have situated on the opposite shore of Oder, so it may be possible that something similar to Jumne was located opposite to Birka. Bishop Archbishopric of Hamburg-Bremen that oversaw the missionary work in Scandinavia until 1103, had appointed bishops to Sweden at least from 1014 onwards, the first see being in Skara. Several bishops were appointed for Sweden in 1060s, one also for Birka. For Sweden, six were consecrated: Adalvard the Elder (Adalwardum) and Acilinum, also Adalvard the Younger (Adalwardum) and Tadicum, and furthermore Simeon (Symeonem) and the monk John (Iohannem). (III 70) Scholia 94 appends this as follows: Adalvard the Elder (Adalwardus senior) was to superintend both lands of the Geats (uterque praefectus est Gothiae), Adalvard the Younger Sigtuna (Sictunam) and Uppsala (Ubsalam), Simeon (Symon) the Sami people (Scritefingos), John (Iohannes) the islands of the Baltic Sea. (Scholia 94) Furthermore, the following was said about John's location after talking about Birka: For this city he ordained, as the first among our people, the abbot Hiltin, whom he wanted to call John. (IV 20) John seems to have been situated in Birka in order to prepare for the missionary work among the many heathen people that flooded to Birca from around the Baltic coasts. This was a logical continuation to Birka's position as the first missionary town in Sweden. Noteworthy here is that the biggest islands in the Baltic Sea, Öland and Gotland, were part of the diocese of Linköping in the Middle Ages, covering also Östergötland and eastern Småland. Location of Unni's tomb Scholia 122 of IV 20 locates the tomb of Hamburg's archbishop Unni in Birka: There is the port of Saint Ansgar and the tomb of the holy Archbishop Unni, and a familiar haven, it is said, for the holy confessors of our diocese. (Scholia 122) According to Gesta, Unni had died in 936 (I 64). Destruction After having consistently described Birka as an existing city, Scholia 138 of IV 29 describes Birka's sudden demise. Talking about Adalvard the Younger, the bishop of Sigtuna and later that of Skara, Adam or a later copyist has written: During his journey he seized the opportunity to make a detour to Birka, which is now reduced to loneliness so that one can hardly find vestiges of the city; therefore impossible to come upon the tomb of the holy Archbishop Unni. (Scholia 138) The remark does not make it clear if Adalvard found the city destroyed or if that had happened after his visit and the later remark was just to warn the future pilgrims not to go there anymore in vain. As Adalvard was back in Bremen already by 1069 and is mentioned as one of Adam's sources of information, it would have been expected that word about Birka's destruction had reached also Adam before he published his work half a decade later. Björkö Archaeological Site The exact location of Birka was also lost during the centuries, leading to speculation from Swedish historians. In 1450, the island of Björkö was first claimed to be Birka by the "Chronicle of Sweden" (Prosaiska krönikan). In search of Birka, National Antiquarian Johan Hadorph was the first to attempt excavations on Björkö in the late 17th century. In the late 19th century, Hjalmar Stolpe, an entomologist by education, arrived on Björkö to study fossilized insects found in amber on the island. Stolpe found very large amounts of amber, which is unusual since amber is not normally found in lake Mälaren. Stolpe speculated that the island may have been an important trading post, prompting him to conduct a series of archeological excavations between 1871 and 1895. The excavations soon indicated that a major settlement had been located on the island and eventually Stolpe spent two decades excavating the island. After Björkö came to be identified with ancient Birka, it has been assumed that the original name of Birka was simply Bierkø (sometimes spelled Bjärkö), an earlier form of Björkö. A significant collection of textiles fragments were retrieved during excavations, mostly from chamber graves. Agnes Geijer published the most detailed analysis of this collection in 1938, although her study was based upon only around 5% of the 4800 textile fragments preserved from the site. The collection represents a usual variety of different types of textiles showing high quality textiles manufactured by different techniques like tabby and twill. Mostly made from wool and flax, the quality of the textiles studied by Geijer ranged from very coarse to fine fabrics with high thread counts that required complicated techniques to create. The variety of materials and techniques to make the tablet woven textiles led Geijer to theorize that some of the textiles were imported. Geijer also found remains of the three-end twill textile that has not been found anywhere else in Northern Europe. Geijer theorized that some of the fragments came from the East, possibly China, due the use of gold and silver wire as well as silk. Ownership of Björkö is today mainly in private hands and is used for farming. The settlement site, however, is an archaeological site, and a museum has been built nearby for exhibition of finds (mostly replicas), models and reconstructions. It is a popular site to visit during the summer times. The complete collection of archaeological finds from the excavations on Björkö are held by The Swedish History Museum in Stockholm, and many of the artifacts are on display there. The archaeological remains are located in the north part of Björkö and span an area of about 7 hectares (17 acres). The remains are both burial-sites and buildings, and in the south part of this area, there is also a hill fort called "Borgen" ("The Fortress"). The construction technique of the buildings is still unknown, but the main material was wood. An adjacent island holds the remains of Hovgården, an estate that housed the King's retinue during visits. Approximately 700 people lived at Birka when it was at its largest, and about 3,000 graves have been found. Its administrative center was supposedly located outside of the settlement itself, on the nearby island of Adelsö. The most recent large excavation was undertaken between 1990 and 1995 in a region of dark earth, believed to be the site of the main settlement. Björkö Objects "Allah" Textile Controversy In 2017, Annika Larsson, a textile researcher, claimed in a press release by Uppsala University to have discovered a textile among the finds from Birka that bore the Arabic words "Allah" and "Ali". She theorized that some of the Vikings could have been influenced by Islam, leading to widespread media coverage. Stephennie Mulder, a professor of Islamic art at the University of Texas at Austin, replied to Larsson's findings in a Twitter thread. Based on the epigraphy, Mulder argued that the textile bore a simple geometric pattern and not Arabic writing because the dating of the textile was from the 10th century and the style of writing Larsson claimed was on the textile, square Kufic, is not seen until the 15th century. Larsson had also proposed extensions to the tablet weaving that expanded beyond the original drawing by Agnes Geijer in 1938. Textile specialist Carolyn Priest-Dorman argued that the expansions are impossible because the fragment has finished edges called selvages and the band would have shown cut weft threads if the fragment had been narrowed at some point. Larsson's drawings were speculative and not based on evidence that an expansion existed. The backlash following these criticisms led the press release on the Uppsala University website to include a note that Larsson's research was preliminary and a comment regarding the criticisms. In 2020, Larsson published an article reiterating her claim that the textile bore Arabic writing, without addressing these criticisms. "Allah" Ring Controversy A ring was found during the archeological excavations at Birka between 1872 and 1895, when archeologist Hjalmar Stolpe discovered it in a 9th-century Viking woman's burial. It is made of high-quality silver alloy and is set with a pink-violet oval glass. The ring, preserved at the Swedish history museum, became known as the "Allah ring" because of the pseudo-Kufic inscription found on the ring's glass that resembles the word Allah (Arabic: الله). While other rings were found at the Birka excavations, the "Allah ring" was the only one that had this type of inscription. The Arabic historical linguist Marijn van Putten argued that the inscription on the ring was an example of pseudo-Kufic and that it has no meaning in Arabic. Nevertheless, other analysts extrapolated that the pseudo-Kufic engraving was indeed Arabic and that this was sufficient evidence to directly link Vikings to Islamic civilization. In her Twitter thread on the "Allah” textile, Stephennie Mulder drew | embroidery with extremely fine gold thread, brocades with gold passementerie, and plaited cords of high quality. From the ninth century onwards coins minted at Haithabu in Northern Germany and elsewhere in Scandinavia start to appear. However, the vast majority of the coins found at Birka are silver dirhams from the Middle East while English and Carolingian coins are rare. Rimbert and Adam of Bremen's account of Birka Sources from Birka are mainly archaeological remains. No texts survive from this area, though the written text Vita Ansgari ("The Life of Ansgar") by Rimbert (c. 865) describes the missionary work of Ansgar around 830 at Birka, and Gesta Hammaburgensis Ecclesiae Pontificum (Deeds of Bishops of the Hamburg Church) by Adam of Bremen in 1075 describes the Archbishop Unni, who died at Birka in 936. Saint Ansgar's work was the first attempt to convert the people of Birka from the Norse religion to Christianity. It was unsuccessful. Both Rimbert and Adam were German clergymen writing in Latin. There are no known Norse sources mentioning the name of the settlement, or even the settlement itself, and the original Norse name of Birka is unknown. Birca is the Latinised form given in the written sources by Rimbert and Adam; and Birka is the contemporary, unhistorical Swedish form. The Latin name is probably derived from an Old Norse word "birk" which probably means a market place. Related to this was the Bjärköa law (bjärköarätt) which regulated the life of market places in Denmark, Norway and Sweden. Birka and similar spellings are very common in Scandinavian place names still today leading to speculation that all references to Birka, especially those by Adam of Bremen, were not about the same location. Both publications are silent on Birka's size, layout, and appearance. Based on Rimbert's account, Birka was significant because it had a port and it was the location of the regional ting. Adam only mentions the port, but otherwise, Birka seems to have been significant to him because it was the start of Ansgar's Christian mission and because Archbishop Unni was buried there. Vita Ansgari and Gesta are sometimes ambiguous, which has caused some controversy as to whether Birka and the Björkö settlement are the same location. Many other locations have been suggested through the years. However, Björkö is the only location that shows remains of a town of Birka's significance, which is why the vast majority of scholars regard Björkö as the location of Birka. Birka was abandoned during the latter half of the 10th century. Based on the dating of the coins, the city seems to have died out around 960. Roughly around the same time, the nearby settlement of Sigtuna supplanted Birka as the main trading center in the Mälaren area. The reasons for Birka's decline are disputed. A contributing factor may have been the post-glacial rebound, which lowered the water level of Mälaren changing it from an arm of the sea into a lake and cutting Birka off from the nearest (southern) access to the Baltic Sea. The Baltic island of Gotland was also in a better strategic position for Russian-Byzantine trade and was gaining eminence as a mercantile stronghold. Historian Neil Kent has speculated that the area may have been the victim of an enemy assault. The Varangian trade stations in Russia suffered a serious decline at roughly the same date. Rimbert's description In Vita Ansgari ("The life of Ansgar") monk and later archbishop of Hamburg-Bremen Rimbert gives the first known description of Birka. The town was the center of Catholic missionary activities in the 9th century Sweden. Rimbert's interests were in the Christian faith, not so much in the Swedish geopolicy, so his descriptions of Birka remain approximate at best. Bridgehead of Christian missionaries This is how it all started in 829: Meanwhile it happened that Swedish ambassadors had come to the Emperor Louis the Pious, and, amongst other matters which they had been ordered to bring to the attention of the emperor, they informed him that there were many belonging to their nation who desired to embrace the Christian religion, and that their king so far favoured this suggestion that he would permit God's priests to reside there, provided that they might be deemed worthy of such a favour and that the emperor would send them suitable preachers. (Chapter IX) Ansgar then undertook the mission committed to him by the emperor, who desired that he should go to the Swedes and discover whether this people was prepared to accept the faith as their messengers had declared. (Chapter X) Ansgar was already experienced in the missionary work in Denmark, and set forth to Sweden. Rimbert describes the trip very generally: It may suffice for me to say that while they were in the midst of their journey they fell into the hands of pirates. The merchants with whom they were travelling, defended themselves vigorously and for a time successfully, but eventually they were conquered and overcome by the pirates, who took from them their ships and all that they possessed, whilst they themselves barely escaped on. foot to land. —With great difficulty they accomplished their long journey on foot, traversing also the intervening seas (maria), where it was possible, by ship, and eventually arrived at the Swedish port called Birka. (Chapters X and XI) Rimbert does not say where Ansgar sailed off or where he landed. Noteworthy is just his note about several "seas" that they had to cross to get to Birka from the place they had landed to. Since Rimbert mentions them to have crossed the seas by ship "where it was possible" they clearly had the alternative of going around them as well, meaning that the seas were probably the numerous lakes in southern Sweden. When Ansgar again travelled to Birka from Germany about 852, it went easier: Ansgar accomplished the journey on which he had set out, and after spending nearly twenty days in a ship, he arrived at Birka (Chapter XXVI) This might mean that he sailed off from Hamburg or Bremen instead of some port in Baltic Sea, since the later account by Adam of Bremen gives the distance of Scania and Birka to be only five days at sea. Kings Several Swedish kings of the 9th century, Björn, Anund and Olof, are all mentioned in Vita to have spent time in Birka. None of them is however said to have had his residence there, as the Swedish king and his retinue periodically moved between the Husbys, parts of the network of royal estates called Uppsala öd. King Björn met Ansgar in Birka when he arrived there in 829 (Chapter XI). Later King Olof met him there as well during his last trip in 852 (Chapter XXVI). Church Ansgar's missionary work resulted in first churches to be built in Sweden. Talking about Herigar, the prefect of Birka: A little later he built a church on his own ancestral property and served God with the utmost devotion. (Chapter XI) Herigar's church was not far from the place where tings were held: On one occasion he himself was sitting in an assembly of people, a stage having been arranged for a council on an open plain. He then summoned his servants and told them to carry him to his church. (Chapter XIX) Another church was also built in Sweden, however location is left open: This Gautbert, who at his consecration received the honoured name of the apostle Simeon, went to Sweden, and was honourably received by the king and the people; and he began, amidst general goodwill and approval, to build a church there (Chapter XIV) The exiled Swedish King Anund Uppsale confirms that either one of the churches was in Birka itself when he ponders if Birka should be plundered: "There are there," he said, "many great and powerful gods, and in former time a church was built there, and there are many Christians there who worship Christ" (Chapter XIX) Probable fortress Danes attacked Birka, accompanied with the deposed king Anund, which caused great distress in the town. Being in great difficulty they fled to a neighbouring city (ad civitatem, quæ iuxta erat, confugerunt) and began to promise and offer to their gods—But inasmuch as the city was not strong and there were few to offer resistance, they sent messengers to the Danes and asked for friendship and alliance. —Hergeir, the faithful servant of the Lord, was angry with them and said, "They will lead away your wives and sons as captives, they will burn our city (urbs) and town (vicus)" and will destroy you with the sword (Chapter XIX) As the neighbouring "city" is not mentioned in any other context than during the Danish attack as a place where people took refuge, it probably meant a nearby fortress. Eventually Danes left, sparing Birka from destruction. Ting assembly When Ansgar asked if King Olof would permit him to establish the Christian religion in the kingdom during his second visit in 852, the king said to him: On this account I have not the power, nor do I dare, to approve the objects of your mission until I can consult our gods by the casting of lots and until I can enquire the will of the people in regard to this matter. Let your messenger attend with me the next assembly (Chapter XXVI) When the day for the assembly which was held in the town of Birka drew near, in accordance with their national custom the king caused a proclamation to be made to the people by the voice of a herald, in order that they might be informed concerning the object of their mission. —The king then rose up from amongst the assembly and forthwith directed one of his own messengers to accompany the bishop's messenger, and to tell him that the people were unanimously inclined to accept his proposal and at the same time to tell him that, whilst their action was entirely agreeable to him, he could not give his full consent until, in another assembly, which was to be held in another part of his kingdom, he could announce this resolution to the people who lived in that district. (Chapter XXVII) Tings were huge open-air events, which required plenty of space. The more important ting that king Olof talked about was probably the Ting of all Swedes, which was held at the end of February in Uppsala, during the Disting. The king was obliged to obey the common decisions made at this ting, and the most powerful man at this assembly was not the king, but the lawspeaker of Tiundaland. Locally important tings were the Westrogothic Ting of all Geats in Skara and the Ostrogothic Lionga ting in the vicinity of today's Linköping. Adam of Bremen's description In Gesta Hammaburgensis ecclesiae pontificum (Deeds of Bishops of the Hamburg Church), Adam of Bremen mentions Birka many times, and the book is the main source of information on the city. After its initial release in 1075–6, Gesta was complemented with supplementary Scholias until the death of Adam in the 1080s. Birca is described as an existing city in the original version, but then as destroyed in Scholia 138. One of Adam's main sources had been the German bishop Adalvard the Younger of Sigtuna and later of Skara as hinted in Scholia 119. He was also very familiar with Rimbert's work. Adam himself never visited Birka. Location and port Adam described Birka as a Geatish port town and had gathered many details about it. Birka is the main Geatish town (oppidum Gothorum), situated in the middle of Sweden (Suevoniae), not far (non longe) from the temple called Uppsala (Ubsola) which the Swedes (Sueones) held in the highest esteem when it comes to the worship of the gods; here forms an inlet of the Baltic or the Barbaric Sea a port facing north which welcomes all the wild peoples all around this sea but which is risky for those who are careless or ignorant of such places ... they have therefore blocked this inlet of the troubled sea with hidden masses of rocks along more than 100 stadions (18 km). On this anchorage, being the best sheltered within the maritime region of Sweden (Suevoniae), all the ships belonging to Danes (Danorum) known as Norwegians (Nortmannorum) as well as to Slavs (Sclavorum), Sembrians (Semborum) and other Scythian (Scithiae) peoples use to convene every year for sundry necessary commerce. (I 62) Turning from the northern parts to the mouth of the Baltic Sea we first meet the Norwegians (Nortmanni), then the Danish region of Skåne (Sconia) stands out, and beyond these live the Geats (Gothi) for a long stretch all the way to Birka. (IV 14) Having described Västergötland and Skara, Adam writes: Beyond it Östergötland (Ostrogothia) extends along the sea, that is called the Baltic Sea, all the way to Birka. (IV 23) Noteworthy in the following statement is the usage of the term "not far" (non longe) which was also used to describe the distance between Birka and the Uppsala temple: Furthermore we have been told that there are many more islands in that sea, one of which is called the Great Estland (Aestland) -- And this island is told to be quite close to the Woman Land (terrae feminarum), which is not far (non longe) away from Birka of the Swedes. (IV 17) Adam also had travel instructions from Skåne to Sigtuna: From Skåne (Sconia) of the Danes one reaches Sigtuna (Sictonam) or Birka after five days at sea, for they are indeed alike. But by land from Skåne across the Geatish people (Gothorum populos) and cities Skara (Scaranem), Telgas and Birka, one reaches Sigtuna only after a full month. (IV 28) "Telgas" is not mentioned anywhere else, and it remains as speculative as Birka. The most popular identification among many telge names in Sweden is Södertälje. Scholia 121 of IV 20 tells also: For those who sail from Skåne (Sconia) of the Danes to Birka, the journey takes five days, from Birka to Russia (Ruzziam) likewise five days at sea. (Scholia 121) The following definition remains even more mysterious: In pity of their errors, our archbishop ordained as their diocesan capital Birka, which is in the middle of Sweden (Sueoniae) facing Jumne (Iumnem), the capital of the Slavs, and equally distant from all the coasts of the surrounding sea. (IV 20) Since it is physically impossible for any Swedish town to face Jumne, the latter being situated along River Oder, Adam's statement is probably a misunderstanding. No place having a similar name to Birka is known to have situated on the opposite shore of Oder, so it may be possible that something similar to Jumne was located opposite to Birka. Bishop Archbishopric of Hamburg-Bremen that oversaw the missionary work in Scandinavia until 1103, had appointed bishops to Sweden at least from 1014 onwards, the first see being in Skara. Several bishops were appointed for Sweden in 1060s, one also for Birka. For Sweden, six were |
cefotaxime, ceftriaxone, and ceftazidime, as well as the oxyimino-monobactam aztreonam), but not 7-alpha-methoxy-cephalosporins (cephamycins; in other words, cefoxitin and cefotetan); has been blocked by inhibitors such as clavulanate, sulbactam or tazobactam and did not involve carbapenems and temocillin. Chromosomal-mediated AmpC β-lactamases represent a new threat, since they confer resistance to 7-alpha-methoxy-cephalosporins (cephamycins) such as cefoxitin or cefotetan but are not affected by commercially available β-lactamase inhibitors, and can, in strains with loss of outer membrane porins, provide resistance to carbapenems. Extended-spectrum beta-lactamase (ESBL) Members of this family commonly express β-lactamases (e.g., TEM-3, TEM-4, and SHV-2 ) which confer resistance to expanded-spectrum (extended-spectrum) cephalosporins. In the mid-1980s, this new group of enzymes, the extended-spectrum β-lactamases (ESBLs), was detected (first detected in 1979). The prevalence of ESBL-producing bacteria have been gradually increasing in acute care hospitals. The prevalence in the general population varies between countries, e.g. approximately 6% in Germany and France, 13% in Saudi Arabia, and 63% in Egypt. ESBLs are beta-lactamases that hydrolyze extended-spectrum cephalosporins with an oxyimino side chain. These cephalosporins include cefotaxime, ceftriaxone, and ceftazidime, as well as the oxyimino-monobactam aztreonam. Thus ESBLs confer multi-resistance to these antibiotics and related oxyimino-beta lactams. In typical circumstances, they derive from genes for TEM-1, TEM-2, or SHV-1 by mutations that alter the amino acid configuration around the active site of these β-lactamases. A broader set of β-lactam antibiotics are susceptible to hydrolysis by these enzymes. An increasing number of ESBLs not of TEM or SHV lineage have recently been described. The ESBLs are frequently plasmid encoded. Plasmids responsible for ESBL production frequently carry genes encoding resistance to other drug classes (for example, aminoglycosides). Therefore, antibiotic options in the treatment of ESBL-producing organisms are extremely limited. Carbapenems are the treatment of choice for serious infections due to ESBL-producing organisms, yet carbapenem-resistant (primarily ertapenem-resistant) isolates have recently been reported. ESBL-producing organisms may appear susceptible to some extended-spectrum cephalosporins. However, treatment with such antibiotics has been associated with high failure rates. Types TEM beta-lactamases (class A) TEM-1 is the most commonly encountered beta-lactamase in Gram-negative bacteria. Up to 90% of ampicillin resistance in E. coli is due to the production of TEM-1. Also responsible for the ampicillin and penicillin resistance that is seen in H. influenzae and N. gonorrhoeae in increasing numbers. Although TEM-type beta-lactamases are most often found in E. coli and K. pneumoniae, they are also found in other species of Gram-negative bacteria with increasing frequency. The amino acid substitutions responsible for the extended-spectrum beta lactamase (ESBL) phenotype cluster around the active site of the enzyme and change its configuration, allowing access to oxyimino-beta-lactam substrates. Opening the active site to beta-lactam substrates also typically enhances the susceptibility of the enzyme to β-lactamase inhibitors, such as clavulanic acid. Single amino acid substitutions at positions 104, 164, 238, and 240 produce the ESBL phenotype, but ESBLs with the broadest spectrum usually have more than a single amino acid substitution. Based upon different combinations of changes, currently 140 TEM-type enzymes have been described. TEM-10, TEM-12, and TEM-26 are among the most common in the United States. The term TEM comes from the name of the Athenian patient (Temoniera) from which the isolate was recovered in 1963. SHV beta-lactamases (class A) SHV-1 shares 68 percent of its amino acids with TEM-1 and has a similar overall structure. The SHV-1 beta-lactamase is most commonly found in K. pneumoniae and is responsible for up to 20% of the plasmid-mediated ampicillin resistance in this species. ESBLs in this family also have amino acid changes around the active site, most commonly at positions 238 or 238 and 240. More than 60 SHV varieties are known. SHV-5 and SHV-12 are among the most common. CTX-M beta-lactamases (class A) These enzymes were named for their greater activity against cefotaxime than other oxyimino-beta-lactam substrates (e.g., ceftazidime, ceftriaxone, or cefepime). Rather than arising by mutation, they represent examples of plasmid acquisition of beta-lactamase genes normally found on the chromosome of Kluyvera species, a group of rarely pathogenic commensal organisms. These enzymes are not very closely related to TEM or SHV beta-lactamases in that they show only approximately 40% identity with these two commonly isolated beta-lactamases. More than 172 CTX-M enzymes are currently known. Despite their name, a few are more active on ceftazidime than cefotaxime. They have mainly been found in strains of Salmonella enterica serovar Typhimurium and E. coli, but have also been described in other species of Enterobacteriaceae and are the predominant ESBL type in parts of South America. (They are also seen in eastern Europe) CTX-M-14, CTX-M-3, and CTX-M-2 are the most widespread. CTX-M-15 is currently (2006) the most widespread type in E. coli the UK and is widely prevalent in the community. An example of beta-lactamase CTX-M-15, along with ISEcp1, has been found to have recently transposed onto the chromosome of Klebsiella pneumoniae ATCC BAA-2146. OXA beta-lactamases (class D) OXA beta-lactamases were long recognized as a less common but also plasmid-mediated beta-lactamase variety that could hydrolyze oxacillin and related anti-staphylococcal penicillins. These beta-lactamases differ from the TEM and SHV enzymes in that they belong to molecular class D and functional group 2d . The OXA-type beta-lactamases confer resistance to ampicillin and cephalothin and are characterized by their high hydrolytic activity against oxacillin and cloxacillin and the fact that they are poorly inhibited by clavulanic acid. Amino acid substitutions in OXA enzymes can also give the ESBL phenotype. While most ESBLs have been found in E. coli, K. pneumoniae, and other Enterobacteriaceae, the OXA-type ESBLs have been found mainly in P. aeruginosa. OXA-type ESBLs have been found mainly in Pseudomonas aeruginosa isolates from Turkey and France. The OXA beta-lactamase family was originally created as a phenotypic rather than a genotypic group for a few beta-lactamases that had a specific hydrolysis profile. Therefore, there is as little as 20% sequence homology among some of the members of this family. However, recent additions to this family show some degree of homology to one or more of the existing members of the OXA beta-lactamase family. Some confer resistance predominantly to ceftazidime, but OXA-17 confers greater resistance to cefotaxime and cefepime than it does resistance to ceftazidime. Others Other plasmid-mediated ESBLs, such as PER, VEB, GES, and IBC beta-lactamases, have been described but are uncommon and have been found mainly in P. aeruginosa and at a limited number of geographic sites. PER-1 in isolates in Turkey, France, and Italy; VEB-1 and VEB-2 in strains from Southeast Asia; and GES-1, GES-2, and IBC-2 in isolates from South Africa, France, and Greece. PER-1 is also common in multiresistant acinetobacter species in Korea and Turkey. Some of these enzymes are found in Enterobacteriaceae as well, whereas other uncommon ESBLs (such as BES-1, IBC-1, SFO-1, and TLA-1) have been found only in Enterobacteriaceae. Treatment While ESBL-producing organisms were previously associated with hospitals and institutional care, these organisms are now increasingly found in the community. CTX-M-15-positive E. coli are a cause of community-acquired urinary infections in the UK, and tend to be resistant to all oral β-lactam antibiotics, as well as quinolones and sulfonamides. Treatment options may include nitrofurantoin, fosfomycin, mecillinam and chloramphenicol. In desperation, once-daily ertapenem or gentamicin injections may also be used. Inhibitor-resistant β-lactamases Although the inhibitor-resistant β-lactamases are not ESBLs, they are often discussed with ESBLs because they are also derivatives of the classical TEM- or SHV-type enzymes. These enzymes were at first given the designation IRT for inhibitor-resistant TEM β-lactamase; however, all have subsequently been renamed with numerical TEM designations. There are at least 19 distinct inhibitor-resistant TEM β-lactamases. Inhibitor-resistant TEM β-lactamases have been found mainly in clinical isolates of E. coli, but also some strains of K. pneumoniae, Klebsiella oxytoca, P. mirabilis, and Citrobacter freundii. Although the inhibitor-resistant TEM variants are resistant to inhibition by clavulanic acid and sulbactam, thereby showing clinical resistance to the beta-lactam—lactamase inhibitor combinations of amoxicillin-clavulanate (co-amoxiclav), ticarcillin-clavulanate (co-ticarclav), and ampicillin/sulbactam, they normally remain susceptible to inhibition by tazobactam and subsequently the combination of piperacillin/tazobactam, although resistance has been described. This is no longer a primarily European epidemiology, it is found in northern parts of America often and should be tested for with complex UTI's. AmpC-type β-lactamases (class C) AmpC type β-lactamases are commonly isolated from extended-spectrum cephalosporin-resistant Gram-negative bacteria. AmpC β-lactamases (also termed class C or group 1) are typically encoded on the chromosome of many Gram-negative bacteria including Citrobacter, Serratia and Enterobacter species where its expression is usually inducible; it may also occur on Escherichia coli but is not usually inducible, although it can be hyperexpressed. AmpC type β-lactamases may also be carried on plasmids. AmpC β-lactamases, in contrast to ESBLs, hydrolyse broad and extended-spectrum cephalosporins (cephamycins as well as to oxyimino-β-lactams) but are not inhibited by β-lactamase inhibitors such as clavulanic acid. AmpC-type β-lactamase organisms are often clinically grouped through the acronym, "SPACE": Serratia, Pseudomonas or Proteus, Acinetobacter, Citrobacter, and Enterobacter. Carbapenemases Carbapenems are famously stable to AmpC β-lactamases and extended-spectrum-β-lactamases. Carbapenemases are a diverse group of β-lactamases that are active not only against the oxyimino-cephalosporins and cephamycins but also against the carbapenems. Aztreonam is stable to the metallo-β-lactamases, but many IMP and VIM producers are resistant, owing to other mechanisms. Carbapenemases were formerly believed to derive only from classes A, B, and D, but a class C carbapenemase has been described. IMP-type carbapenemases (metallo-β-lactamases) (class B) Plasmid-mediated IMP-type carbapenemases (IMP stands for active-on-imipenem), 19 varieties of which are currently known, became established in Japan in the 1990s both in enteric Gram-negative organisms and in Pseudomonas and Acinetobacter species. IMP enzymes spread slowly to other countries in the Far East, were reported from Europe in 1997, and have been found in Canada and Brazil. VIM (Verona integron-encoded metallo-β-lactamase) (Class B) A second growing family of carbapenemases, the VIM family, was reported from Italy in 1999 and now includes 10 members, which have a wide geographic distribution in Europe, South America, and the Far East and have been found in the United States. VIM-1 was discovered in P. aeruginosa in Italy in 1996; since then, VIM-2 - now the predominant variant - was found repeatedly in Europe and the Far East; VIM-3 and -4 are minor variants of VIM-2 and -1, respectively. VIM enzymes occur mostly in P. aeruginosa, also P. putida and, to a lesser extent in Enterobacteriaceae. Amino acid sequence diversity is up to 10% in the VIM family, 15% in the IMP family, and 70% between VIM and IMP. Enzymes of both the families, nevertheless, are similar. Both are integron-associated, sometimes within plasmids. Both hydrolyse all β-lactams except monobactams, and evade all β-lactam inhibitors. The VIM enzymes are among the most widely distributed MBLs, with >40 VIM variants having been reported. Biochemical and biophysical studies revealed that VIM variants have only small variations in their kinetic parameters but substantial differences in their thermal stabilities and inhibition profiles. OXA (oxacillinase) group of β-lactamases (class | in E. coli, K. pneumoniae, and other Enterobacteriaceae, the OXA-type ESBLs have been found mainly in P. aeruginosa. OXA-type ESBLs have been found mainly in Pseudomonas aeruginosa isolates from Turkey and France. The OXA beta-lactamase family was originally created as a phenotypic rather than a genotypic group for a few beta-lactamases that had a specific hydrolysis profile. Therefore, there is as little as 20% sequence homology among some of the members of this family. However, recent additions to this family show some degree of homology to one or more of the existing members of the OXA beta-lactamase family. Some confer resistance predominantly to ceftazidime, but OXA-17 confers greater resistance to cefotaxime and cefepime than it does resistance to ceftazidime. Others Other plasmid-mediated ESBLs, such as PER, VEB, GES, and IBC beta-lactamases, have been described but are uncommon and have been found mainly in P. aeruginosa and at a limited number of geographic sites. PER-1 in isolates in Turkey, France, and Italy; VEB-1 and VEB-2 in strains from Southeast Asia; and GES-1, GES-2, and IBC-2 in isolates from South Africa, France, and Greece. PER-1 is also common in multiresistant acinetobacter species in Korea and Turkey. Some of these enzymes are found in Enterobacteriaceae as well, whereas other uncommon ESBLs (such as BES-1, IBC-1, SFO-1, and TLA-1) have been found only in Enterobacteriaceae. Treatment While ESBL-producing organisms were previously associated with hospitals and institutional care, these organisms are now increasingly found in the community. CTX-M-15-positive E. coli are a cause of community-acquired urinary infections in the UK, and tend to be resistant to all oral β-lactam antibiotics, as well as quinolones and sulfonamides. Treatment options may include nitrofurantoin, fosfomycin, mecillinam and chloramphenicol. In desperation, once-daily ertapenem or gentamicin injections may also be used. Inhibitor-resistant β-lactamases Although the inhibitor-resistant β-lactamases are not ESBLs, they are often discussed with ESBLs because they are also derivatives of the classical TEM- or SHV-type enzymes. These enzymes were at first given the designation IRT for inhibitor-resistant TEM β-lactamase; however, all have subsequently been renamed with numerical TEM designations. There are at least 19 distinct inhibitor-resistant TEM β-lactamases. Inhibitor-resistant TEM β-lactamases have been found mainly in clinical isolates of E. coli, but also some strains of K. pneumoniae, Klebsiella oxytoca, P. mirabilis, and Citrobacter freundii. Although the inhibitor-resistant TEM variants are resistant to inhibition by clavulanic acid and sulbactam, thereby showing clinical resistance to the beta-lactam—lactamase inhibitor combinations of amoxicillin-clavulanate (co-amoxiclav), ticarcillin-clavulanate (co-ticarclav), and ampicillin/sulbactam, they normally remain susceptible to inhibition by tazobactam and subsequently the combination of piperacillin/tazobactam, although resistance has been described. This is no longer a primarily European epidemiology, it is found in northern parts of America often and should be tested for with complex UTI's. AmpC-type β-lactamases (class C) AmpC type β-lactamases are commonly isolated from extended-spectrum cephalosporin-resistant Gram-negative bacteria. AmpC β-lactamases (also termed class C or group 1) are typically encoded on the chromosome of many Gram-negative bacteria including Citrobacter, Serratia and Enterobacter species where its expression is usually inducible; it may also occur on Escherichia coli but is not usually inducible, although it can be hyperexpressed. AmpC type β-lactamases may also be carried on plasmids. AmpC β-lactamases, in contrast to ESBLs, hydrolyse broad and extended-spectrum cephalosporins (cephamycins as well as to oxyimino-β-lactams) but are not inhibited by β-lactamase inhibitors such as clavulanic acid. AmpC-type β-lactamase organisms are often clinically grouped through the acronym, "SPACE": Serratia, Pseudomonas or Proteus, Acinetobacter, Citrobacter, and Enterobacter. Carbapenemases Carbapenems are famously stable to AmpC β-lactamases and extended-spectrum-β-lactamases. Carbapenemases are a diverse group of β-lactamases that are active not only against the oxyimino-cephalosporins and cephamycins but also against the carbapenems. Aztreonam is stable to the metallo-β-lactamases, but many IMP and VIM producers are resistant, owing to other mechanisms. Carbapenemases were formerly believed to derive only from classes A, B, and D, but a class C carbapenemase has been described. IMP-type carbapenemases (metallo-β-lactamases) (class B) Plasmid-mediated IMP-type carbapenemases (IMP stands for active-on-imipenem), 19 varieties of which are currently known, became established in Japan in the 1990s both in enteric Gram-negative organisms and in Pseudomonas and Acinetobacter species. IMP enzymes spread slowly to other countries in the Far East, were reported from Europe in 1997, and have been found in Canada and Brazil. VIM (Verona integron-encoded metallo-β-lactamase) (Class B) A second growing family of carbapenemases, the VIM family, was reported from Italy in 1999 and now includes 10 members, which have a wide geographic distribution in Europe, South America, and the Far East and have been found in the United States. VIM-1 was discovered in P. aeruginosa in Italy in 1996; since then, VIM-2 - now the predominant variant - was found repeatedly in Europe and the Far East; VIM-3 and -4 are minor variants of VIM-2 and -1, respectively. VIM enzymes occur mostly in P. aeruginosa, also P. putida and, to a lesser extent in Enterobacteriaceae. Amino acid sequence diversity is up to 10% in the VIM family, 15% in the IMP family, and 70% between VIM and IMP. Enzymes of both the families, nevertheless, are similar. Both are integron-associated, sometimes within plasmids. Both hydrolyse all β-lactams except monobactams, and evade all β-lactam inhibitors. The VIM enzymes are among the most widely distributed MBLs, with >40 VIM variants having been reported. Biochemical and biophysical studies revealed that VIM variants have only small variations in their kinetic parameters but substantial differences in their thermal stabilities and inhibition profiles. OXA (oxacillinase) group of β-lactamases (class D) The OXA group of β-lactamases occur mainly in Acinetobacter species and are divided into two clusters. OXA carbapenemases hydrolyse carbapenems very slowly in vitro, and the high MICs seen for some Acinetobacter hosts (>64 mg/L) may reflect secondary mechanisms. They are sometimes augmented in clinical isolates by additional resistance mechanisms, such as impermeability or efflux. OXA carbapenemases also tend to have a reduced hydrolytic efficiency towards penicillins and cephalosporins. KPC (K. pneumoniae carbapenemase) (class A) A few class A enzymes, most noted the plasmid-mediated KPC enzymes, are effective carbapenemases as well. Ten variants, KPC-2 through KPC-11 are known, and they are distinguished by one or two amino acid substitutions (KPC-1 was re-sequenced in 2008 and found to be 100% homologous to published sequences of KPC-2). KPC-1 was found in North Carolina, KPC-2 in Baltimore and KPC-3 in New York. They have only 45% homology with SME and NMC/IMI enzymes and, unlike them, can be encoded by self-transmissible plasmids. , the class A Klebsiella pneumoniae carbapenemase (KPC) globally has been the most common carbapenemase, and was first detected in 1996 in North Carolina, USA. A 2010 publication indicated that KPC producing Enterobacteriaceae were becoming common in the United States. CMY (class C) The first class C carbapenemase was described in 2006 and was isolated from a virulent strain of Enterobacter aerogenes. It is carried on a plasmid, pYMG-1, and is therefore transmissible to other bacterial strains. SME (Serratia marcescens enzymes), IMI (IMIpenem-hydrolysing β-lactamase), NMC and CcrA In general, these are of little clinical significance. CcrA (CfiA). Its gene occurs in ca. 1–3% of B. fragilis isolates, but fewer produce the enzyme since expression demands appropriate migration of an insertion sequence. CcrA was known before imipenem was introduced, and producers have shown little subsequent increase. NDM-1 (New Delhi metallo-β-lactamase) (class B) Originally described from New Delhi in 2009, this gene is now widespread in Escherichia coli and Klebsiella pneumoniae from India and Pakistan. As of mid-2010, NDM-1 carrying bacteria have been introduced to other countries (including the United States and UK), most probably due to the large number of tourists travelling the globe, who may have picked up the strain from the environment, as strains containing the NDM-1 gene have been found in environmental samples in India. NDM have several variants which share different properties. Treatment of ESBL/AmpC/carbapenemases General overview In general, an isolate is suspected to be an ESBL producer when it shows in vitro susceptibility to the second-generation cephalosporins (cefoxitin, cefotetan) but resistance to the third-generation cephalosporins and to aztreonam. Moreover, one should suspect these strains when treatment with these agents for Gram-negative infections fails despite reported in vitro susceptibility. Once an ESBL-producing strain is detected, the laboratory should report it as "resistant" to all penicillins, cephalosporins, and aztreonam, even if it is tested (in vitro) as susceptible. Associated resistance to aminoglycosides and trimethoprim-sulfamethoxazole, as well as high frequency of co-existence of fluoroquinolone resistance, creates problems. Beta-lactamase inhibitors such as clavulanate, sulbactam, and tazobactam in vitro inhibit most ESBLs, but the clinical effectiveness of beta-lactam/beta-lactamase inhibitor combinations cannot be relied on consistently for therapy. Cephamycins (cefoxitin and cefotetan) are not hydrolyzed by majority of ESBLs, but are hydrolyzed by associated AmpC-type β-lactamase. Also, β-lactam/β-lactamase inhibitor combinations may not be effective against organisms that produce AmpC-type β-lactamase. Sometimes these strains decrease the expression of outer membrane proteins, rendering them resistant to cephamycins. In vivo studies have yielded mixed results against ESBL-producing K. pneumoniae. (Cefepime, a fourth-generation cephalosporin, has demonstrated in vitro stability in the presence of many ESBL/AmpC strains.) Currently, carbapenems are, in general, regarded as the preferred agent for treatment of infections due to ESBL-producing organisms. Carbapenems are resistant to ESBL-mediated hydrolysis and exhibit excellent in vitro activity against strains of Enterobacteriaceae expressing ESBLs. According to genes ESBLs Strains producing only ESBLs are susceptible to cephamycins and carbapenems in vitro and show little if any inoculum effect with these agents. For organisms producing TEM and SHV type ESBLs, apparent in vitro sensitivity to cefepime and to piperacillin/tazobactam is common, but both drugs show an inoculum effect, with diminished susceptibility as the size of the inoculum is increased from 105 to 107 organisms. Strains with some CTX-M–type and OXA-type ESBLs are resistant to cefepime on testing, despite the use of a standard inoculum. Inhibitor-resistant β-lactamases Although the inhibitor-resistant TEM variants are resistant to inhibition by clavulanic acid and sulbactam, thereby showing clinical resistance to the beta-lactam—beta lactamase inhibitor combinations of amoxicillin-clavulanate (Co-amoxiclav), ticarcillin-clavulanate, and ampicillin/sulbactam, they remain susceptible to inhibition by tazobactam and subsequently the combination of piperacillin/tazobactam. AmpC AmpC-producing strains are typically resistant to oxyimino-beta lactams and to cephamycins and are susceptible to carbapenems; however, diminished porin expression can make such a strain carbapenem-resistant as well. Carbapenemases Strains with IMP-, VIM-, and OXA-type carbapenemases usually remain susceptible. Resistance to non-beta-lactam antibiotics is common in strains making any of these enzymes, such that alternative options for non-beta-lactam therapy need to be determined by direct susceptibility testing. Resistance to fluoroquinolones and aminoglycosides is especially high. According to species Escherichia coli or Klebsiella For infections caused by ESBL-producing Escherichia coli or Klebsiella species, treatment with imipenem or meropenem has been associated with the best outcomes in terms of survival and bacteriologic clearance. Cefepime and piperacillin/tazobactam have been less successful. Ceftriaxone, cefotaxime, and ceftazidime have failed even more often, despite the organism's susceptibility to the antibiotic in vitro. Several reports have documented failure of cephamycin therapy as a result of resistance due to porin loss. Some patients have responded to aminoglycoside or quinolone therapy, but, in a recent comparison of ciprofloxacin and imipenem for bacteremia involving an ESBL-producing K. pneumoniae, imipenem produced the better outcome Pseudomonas aeruginosa There have been few clinical studies to define the optimal therapy for infections caused by ESBL producing Pseudomonas aeruginosa strains. Use as a pharmaceutical In 1957, amid concern about allergic reactions to penicillin-containing antibiotics, |
Afghanistan,Gholam Mohammad Niazi was also present. Jamiat-e Islami was primarily composed of Tajiks. In the spring of 1974, the police came to Kabul University to arrest Rabbani for his pro-Islamic stance, but with the help of his students the police were unable to capture him, and he managed to escape to the countryside. In Pakistan, Rabbani gathered important people and established the party. Sayed Noorullah Emad, who was then a young Muslim in the University of Kabul, became the General Secretary of the party and, later, its deputy chief. Rabbani alongside Ahmad Shah Massoud and others planned to take action either against the Daoud government or people who they deemed communist in 1975, but failed. When the Soviets intervened in 1979, Rabbani helped lead Jamiat-e Islami in resistance to the People's Democratic Party of Afghanistan regime. Rabbani's forces were the first Mujahideen elements to enter Kabul in 1992 when the PDPA government fell from power. He took over as President from 1992 in accordance to the Peshawar Accords. Rabbani was the third ethnic Tajik leader of modern Afghanistan after Habibullah Kalakani in 1929 and Abdul Qadir in 1978 (and possibly including Babrak Karmal, whose ethnicity was disputed). His rule was limited since the country was fractured by civil war between different sides. Rabbani was forced to flee following the Taliban's conquest of Kabul in 1996. Rabbani operated his government in exile, following the establishment of the Taliban rule of the Islamic Emirate of Afghanistan. In this period between 1996 and 2001, the Rabbani government of the Islamic State of Afghanistan remained the internationally recognized government, despite only controlling about 10% of Afghan territory. For the next five years, he and the Northern Alliance, commanded by Ahmad Shah Massoud and others, were busy fighting the Taliban until the 2001 US-led Operation Enduring Freedom in which the Taliban government was toppled. Rabbani was head of Afghanistan's High Peace Council, which had been formed in 2010 to initiate peace talks with the Taliban and other groups in the insurgency, until his death. Assassination Rabbani was killed in a suicide bombing at his home in Kabul on 20 September 2011, his 71st birthday. Two men posing as Taliban representatives approached him to offer a | formed the Jamiat-e Islami (Islamic Society) at the university which attracted then-students Gulbuddin Hekmatyar and Ahmad Shah Massoud, both of whom would eventually become the two leading commanders of the Afghan mujahideen in the Soviet–Afghan War from 1979. Rabbani was chosen to be the President of Afghanistan after the end of the former communist regime in 1992. Rabbani and his Islamic State of Afghanistan government was later forced into exile by the Taliban, and he then served as the political head of the Northern Alliance, an alliance of various political groups who fought against the Taliban regime in Afghanistan. After the Taliban government was toppled during Operation Enduring Freedom, Rabbani returned to Kabul and served briefly as President from 13 November to 22 December 2001, when Hamid Karzai was chosen as his succeeding interim leader at the Bonn International Conference. In later years he became head of Afghanistan National Front (known in the media as United National Front), the largest political opposition to Karzai's government. On 20 September 2011, Rabbani was assassinated by a suicide bomber entering his home in Kabul. As suggested by the Afghan parliament, Afghanistan's President Hamid Karzai gave him the title of "Martyr of Peace". His son Salahuddin Rabbani was chosen in April 2012 to lead efforts to forge peace in Afghanistan with the Taliban. Early life and education Rabbani, son of Muhammed Yousuf, was born in the northern province of Badakhshan. He was a Persian-speaking ethnic Tajik. After finishing school in his native province, he went to Darul-uloom-e-Sharia (Abu-Hanifa), a religious school in Kabul. When he graduated from Abu-Hanifa, he attended Kabul University to study Islamic Law and Theology, graduating in 1963. Soon after his graduation in 1963, he was hired as a professor at Kabul University. In order to enhance himself, Rabbani went to Egypt in 1966, and he entered the Al-Azhar University in Cairo where he developed close ties to the Muslim Brotherhood leadership. In two years, he received his master's degree in Islamic Philosophy. He resumed his position at the university and became closely associated with his fellow professor, Gholam Mohammad Niazi, whom he served as secretary in |
resulted from Boeing studies to increase the seating capacity of the 747, during which modifications such as fuselage plugs and extending the upper deck over the entire length of the fuselage were rejected. The first , completed in 1983, included a stretched upper deck, increased cruise speed, and increased seating capacity. The -300 variant was previously designated 747SUD for stretched upper deck, then 747-200 SUD, followed by 747EUD, before the 747-300 designation was used. Passenger, short range and combination freighter-passenger versions of the 300 series were produced. In 1985, development of the longer range 747-400 began. The variant had a new glass cockpit, which allowed for a cockpit crew of two instead of three, new engines, lighter construction materials, and a redesigned interior. Development costs soared, and production delays occurred as new technologies were incorporated at the request of airlines. Insufficient workforce experience and reliance on overtime contributed to early production problems on the . The -400 entered service in 1989. In 1991, a record-breaking 1,087 passengers were flown in a 747 during a covert operation to airlift Ethiopian Jews to Israel. Generally, the 747-400 held between 416 and 524 passengers. The 747 remained the heaviest commercial aircraft in regular service until the debut of the Antonov An-124 Ruslan in 1982; variants of the 747-400 surpassed the An-124's weight in 2000. The Antonov An-225 Mriya cargo transport, which debuted in 1988, remains the world's largest aircraft by several measures (including the most accepted measures of maximum takeoff weight and length); one aircraft has been completed and is in service . The Scaled Composites Stratolaunch is currently the largest aircraft by wingspan. Further developments Since the arrival of the , several stretching schemes for the 747 have been proposed. Boeing announced the larger 747-500X and preliminary designs in 1996. The new variants would have cost more than US$5 billion to develop, and interest was not sufficient to launch the program. In 2000, Boeing offered the more modest 747X and 747X stretch derivatives as alternatives to the Airbus A3XX. However, the 747X family was unable to attract enough interest to enter production. A year later, Boeing switched from the 747X studies to pursue the Sonic Cruiser, and after the Sonic Cruiser program was put on hold, the 787 Dreamliner. Some of the ideas developed for the 747X were used on the 747-400ER, a longer range variant of the . After several variants were proposed but later abandoned, some industry observers became skeptical of new aircraft proposals from Boeing. However, in early 2004, Boeing announced tentative plans for the 747 Advanced that were eventually adopted. Similar in nature to the 747-X, the stretched 747 Advanced used technology from the 787 to modernize the design and its systems. The 747 remained the largest passenger airliner in service until the Airbus A380 began airline service in 2007. On November 14, 2005, Boeing announced it was launching the 747 Advanced as the Boeing 747-8. The last 747-400s were completed in 2009. , most orders of the 747-8 have been for the freighter variant. On February 8, 2010, the 747-8 Freighter made its maiden flight. The first delivery of the 747-8 went to Cargolux in 2011. The first 747-8 Intercontinental passenger variant was delivered to Lufthansa on May 5, 2012. The 1,500th Boeing 747 was delivered in June 2014 to Lufthansa. In January 2016, Boeing stated it was reducing 747-8 production to six a year beginning in September 2016, incurring a $569 million post-tax charge against its fourth-quarter 2015 profits. At the end of 2015, the company had 20 orders outstanding. On January 29, 2016, Boeing announced that it had begun the preliminary work on the modifications to a commercial 747-8 for the next Air Force One presidential aircraft, expected to be operational by 2020. On July 12, 2016, Boeing announced that it had finalized an order from Volga-Dnepr Group for 20 747-8 freighters, valued at $7.58 billion at list prices. Four aircraft were delivered beginning in 2012. Volga-Dnepr Group is the parent of three major Russian air-freight carriers – Volga-Dnepr Airlines, AirBridgeCargo Airlines and Atran Airlines. The new 747-8 freighters will replace AirBridgeCargo's current 747-400 aircraft and expand the airline's fleet and will be acquired through a mix of direct purchases and leasing over the next six years, Boeing said. End of production On July 27, 2016, in its quarterly report to the Securities and Exchange Commission, Boeing discussed the potential termination of 747 production due to insufficient demand and market for the aircraft. With a firm order backlog of 21 aircraft and a production rate of six per year, program accounting has been reduced to 1,555 aircraft, and the 747 line could be closed in the third quarter of 2019. In October 2016, UPS Airlines ordered 14 -8Fs to add capacity, along with 14 options, which it took in February 2018 to increase the total to 28 -8Fs on order. The backlog then stood at 25 aircraft, though several of these are orders from airlines that no longer intend to take delivery. Deliveries are scheduled through 2022. On July 2, 2020, it was reported that Boeing planned to end 747 production in 2022 upon delivery of the remaining jets on order to UPS and the Volga-Dnepr Group due to low demand. On July 29, 2020, Boeing confirmed that the final 747 would be delivered in 2022 as a result of "current market dynamics and outlook" stemming from the COVID-19 pandemic, according to CEO David Calhoun. As of January 2021 Boeing is to deliver the last four 747s to Atlas Air in 2022. Design The Boeing 747 is a large, wide-body (two-aisle) airliner with four wing-mounted engines. Its wings have a high sweep angle of 37.5° for a fast, efficient cruise speed of Mach 0.84 to 0.88, depending on the variant. The sweep also reduces the wingspan, allowing the 747 to use existing hangars. Its seating capacity is over 366 with a 3–4–3 seat arrangement (a cross section of three seats, an aisle, four seats, another aisle, and three seats) in economy class and a 2–3–2 layout in first class on the main deck. The upper deck has a 3–3 seat arrangement in economy class and a 2–2 layout in first class. Raised above the main deck, the cockpit creates a hump. This raised cockpit allows front loading of cargo on freight variants. The upper deck behind the cockpit provides space for a lounge and/or extra seating. The "stretched upper deck" became available as an alternative on the variant and later as standard beginning on the 747-300. The upper deck was stretched more on the 747-8. The 747 cockpit roof section also has an escape hatch from which crew can exit during the events of an emergency if they cannot do so through the cabin. The 747's maximum takeoff weight ranges from 735,000 pounds (333,400 kg) for the -100 to 970,000 lb (439,985 kg) for the -8. Its range has increased from 5,300 nautical miles (6,100 mi, 9,800 km) on the -100 to 8,000 nmi (9,200 mi, 14,815 km) on the -8I. The 747 has redundant structures along with four redundant hydraulic systems and four main landing gears each with four wheels; these provide a good spread of support on the ground and safety in case of tire blow-outs. The main gear are redundant so that landing can be performed on two opposing landing gears if the others are not functioning properly. The 747 also has split control surfaces and was designed with sophisticated triple-slotted flaps that minimize landing speeds and allow the 747 to use standard-length runways. For transportation of spare engines, the 747 can accommodate a non-functioning fifth-pod engine under the aircraft's port wing between the inner functioning engine and the fuselage. This fifth engine mount point is also used by Virgin Orbit's LauncherOne program. Virgin Orbit's , dubbed Cosmic Girl, carries the orbital-class rocket to cruise altitude, where the rocket is deployed and then carries its small satellite payload the rest of the way to orbit. Variants The 747-100 was the original variant launched in 1966. The 747-200 soon followed, with its launch in 1968. The 747-300 was launched in 1980 and was followed by the in 1985. Ultimately, the 747-8 was announced in 2005. Several versions of each variant have been produced, and many of the early variants were in production simultaneously. The International Civil Aviation Organization (ICAO) classifies variants using a shortened code formed by combining the model number and the variant designator (e.g. "B741" for all -100 models). 747-100 The first 747-100s were built with six upper deck windows (three per side) to accommodate upstairs lounge areas. Later, as airlines began to use the upper deck for premium passenger seating instead of lounge space, Boeing offered an upper deck with ten windows on either side as an option. Some early -100s were retrofitted with the new configuration. The -100 was equipped with Pratt & Whitney JT9D-3A engines. No freighter version of this model was developed, but many 747-100s were converted into freighters. A total of 168 747-100s were built; 167 were delivered to customers, while Boeing kept the prototype, City of Everett. In 1972, its unit cost was US$24M (M today). 747SR Responding to requests from Japanese airlines for a high-capacity aircraft to serve domestic routes between major cities, Boeing developed the 747SR as a short-range version of the with lower fuel capacity and greater payload capability. With increased economy class seating, up to 498 passengers could be carried in early versions and up to 550 in later models. The 747SR had an economic design life objective of 52,000 flights during 20 years of operation, compared to 24,600 flights in 20 years for the standard 747. The initial 747SR model, the -100SR, had a strengthened body structure and landing gear to accommodate the added stress accumulated from a greater number of takeoffs and landings. Extra structural support was built into the wings, fuselage, and the landing gear along with a 20% reduction in fuel capacity. The initial order for the -100SR – four aircraft for Japan Air Lines (JAL, later Japan Airlines) – was announced on October 30, 1972; rollout occurred on August 3, 1973, and the first flight took place on August 31, 1973. The type was certified by the FAA on September 26, 1973, with the first delivery on the same day. The -100SR entered service with JAL, the type's sole customer, on October 7, 1973, and typically operated flights within Japan. Seven -100SRs were built between 1973 and 1975, each with a MTOW and Pratt & Whitney JT9D-7A engines derated to of thrust. Following the -100SR, Boeing produced the -100BSR, a 747SR variant with increased takeoff weight capability. Debuting in 1978, the -100BSR also incorporated structural modifications for a high cycle-to-flying hour ratio; a related standard -100B model debuted in 1979. The -100BSR first flew on November 3, 1978, with first delivery to All Nippon Airways (ANA) on December 21, 1978. A total of 20 -100BSRs were produced for ANA and JAL. The -100BSR had a MTOW and was powered by the same JT9D-7A or General Electric CF6-45 engines used on the -100SR. ANA operated this variant on domestic Japanese routes with 455 or 456 seats until retiring its last aircraft in March 2006. In 1986, two -100BSR SUD models, featuring the stretched upper deck (SUD) of the -300, were produced for JAL. The type's maiden flight occurred on February 26, 1986, with FAA certification and first delivery on March 24, 1986. JAL operated the -100BSR SUD with 563 seats on domestic routes until their retirement in the third quarter of 2006. While only two -100BSR SUDs were produced, in theory, standard -100Bs can be modified to the SUD certification. Overall, 29 Boeing 747SRs were built. 747-100B The 747-100B model was developed from the -100SR, using its stronger airframe and landing gear design. The type had an increased fuel capacity of , allowing for a range with a typical 452-passenger payload, and an increased MTOW of was offered. The first -100B order, one aircraft for Iran Air, was announced on June 1, 1978. This aircraft first flew on June 20, 1979, received FAA certification on August 1, 1979, and was delivered the next day. Nine -100Bs were built, one for Iran Air and eight for Saudi Arabian Airlines. Unlike the original -100, the -100B was offered with Pratt & Whitney JT9D-7A, CF6-50, or Rolls-Royce RB211-524 engines. However, only RB211-524 (Saudia) and JT9D-7A (Iran Air) engines were ordered. The last 747-100B, EP-IAM was retired by Iran Air in 2014, the last commercial operator of the 747-100 and -100B. 747SP The development of the 747SP stemmed from a joint request between Pan American World Airways and Iran Air, who were looking for a high-capacity airliner with enough range to cover Pan Am's New York–Middle Eastern routes and Iran Air's planned Tehran–New York route. The Tehran–New York route, when launched, was the longest non-stop commercial flight in the world. The 747SP is shorter than the . Fuselage sections were eliminated fore and aft of the wing, and the center section of the fuselage was redesigned to fit mating fuselage sections. The SP's flaps used a simplified single-slotted configuration. The 747SP, compared to earlier variants, had a tapering of the aft upper fuselage into the empennage, a double-hinged rudder, and longer vertical and horizontal stabilizers. Power was provided by Pratt & Whitney JT9D-7(A/F/J/FW) or Rolls-Royce RB211-524 engines. The 747SP was granted a supplemental certificate on February 4, 1976 and entered service with launch customers Pan Am and Iran Air that same year. The aircraft was chosen by airlines wishing to serve major airports with short runways. A total of 45 747SPs were built, with the 44th 747SP delivered on August 30, 1982. In 1987, Boeing re-opened the 747SP production line after five years to build one last 747SP for an order by the United Arab Emirates government. In addition to airline use, one 747SP was modified for the NASA/German Aerospace Center SOFIA experiment. Iran Air is the last civil operator of the type; its final 747-SP (EP-IAC) was to be retired in June 2016. 747-200 While the 747-100 powered by Pratt & Whitney JT9D-3A engines offered enough payload and range for medium-haul operations, it was marginal for long-haul route sectors. The demand for longer range aircraft with increased payload quickly led to the improved -200, which featured more powerful engines, increased MTOW, and greater range than the -100. A few early -200s retained the three-window configuration of the -100 on the upper deck, but most were built with a ten-window configuration on each side. The 747-200 was produced in passenger (-200B), freighter (-200F), convertible (-200C), and combi (-200M) versions. The 747-200B was the basic passenger version, with increased fuel capacity and more powerful engines; it entered service in February 1971. In its first three years of production, the -200 was equipped with Pratt & Whitney JT9D-7 engines (initially the only engine available). Range with a full passenger load started at over and increased to with later engines. Most -200Bs had an internally stretched upper deck, allowing for up to 16 passenger seats. The freighter model, the 747-200F, had a hinged nose cargo door and could be fitted with an optional side cargo door, and had a capacity of 105 tons (95.3 tonnes) and an MTOW of up to 833,000 lb (378,000 kg). It entered service in 1972 with Lufthansa. The convertible version, the 747-200C, could be converted between a passenger and a freighter or used in mixed configurations, and featured removable seats and a nose cargo door. The -200C could also be outfitted with an optional side cargo door on the main deck. The combi aircraft model, the 747-200M (originally designated 747-200BC), could carry freight in the rear section of the main deck via a side cargo door. A removable partition on the main deck separated the cargo area at the rear from the passengers at the front. The -200M could carry up to 238 passengers in a three-class configuration with cargo carried on the main deck. The model was also known as the 747-200 Combi. As on the -100, a stretched upper deck (SUD) modification was later offered. A total of 10 combi 747-200s were operated by KLM. Union de Transports Aériens (UTA) also had two aircraft converted. After launching the -200 with Pratt & Whitney JT9D-7 engines, on August 1, 1972 Boeing announced that it had reached an agreement with General Electric to certify the 747 with CF6-50 series engines to increase the aircraft's market potential. Rolls-Royce followed 747 engine production with a launch order from British Airways for four aircraft. The option of RB211-524B engines was announced on June 17, 1975. The -200 was the first 747 to provide a choice of powerplant from the three major engine manufacturers. In 1976, its unit cost was US$39M (M today). A total of 393 of the 747-200 versions had been built when production ended in 1991. Of these, 225 were -200B, 73 were -200F, 13 were -200C, 78 were -200M, and 4 were military. Iran Air retired the last passenger in May 2016, 36 years after it was delivered. , five 747-200s remain in service as freighters. 747-300 The 747-300 features a upper deck than the -200. The stretched upper deck (SUD) has two emergency exit doors and is the most visible difference between the -300 and previous models. After being made standard on the 747-300, the SUD was offered as a retrofit, and as an option to earlier variants still in-production. An example for a retrofit were two UTA -200 Combis being converted in 1986, and an example for the option were two brand-new JAL -100 aircraft (designated -100BSR SUD), the first of which was delivered on March 24, 1986. The 747-300 introduced a new straight stairway to the upper deck, instead of a spiral staircase on earlier variants, which creates room above and below for more seats. Minor aerodynamic changes allowed the -300's cruise speed to reach Mach 0.85 compared with Mach 0.84 on the -200 and -100 models, while retaining the same takeoff weight. The -300 could be equipped with the same Pratt & Whitney and Rolls-Royce powerplants as on the -200, as well as updated General Electric CF6-80C2B1 engines. Swissair placed the first order for the on June 11, 1980. The variant revived the 747-300 designation, which had been previously used on a design study that did not reach production. The 747-300 first flew on October 5, 1982, and the type's first delivery went to Swissair on March 23, 1983. In 1982, its unit cost was US$83M (M today). Besides the passenger model, two other versions (-300M, -300SR) were produced. The 747-300M features cargo capacity on the rear portion of the main deck, similar to the -200M, but with the stretched upper deck it can carry more passengers. The 747-300SR, a short range, high-capacity domestic model, was produced for Japanese markets with a maximum seating for 584. No production freighter version of the 747-300 was built, but Boeing began modifications of used passenger -300 models into freighters in 2000. A total of 81 series aircraft were delivered, 56 for passenger use, 21 -300M and 4 -300SR versions. In 1985, just two years after the -300 entered service, the type was superseded by the announcement of the more advanced 747-400. The last 747-300 was delivered in September 1990 to Sabena. While some -300 customers continued operating the type, several large carriers replaced their 747-300s with 747-400s. Air France, Air India, Pakistan International Airlines, and Qantas were some of the last major carriers to operate the . On December 29, 2008, Qantas flew its last scheduled 747-300 service, operating from Melbourne to Los Angeles via Auckland. In July 2015, Pakistan International Airlines retired their final 747-300 after 30 years of service. , only two 747-300s remain in commercial service, with Mahan Air (1) and TransAVIAexport Airlines (1). 747-400 The 747-400 is an improved model with increased range. It has wingtip extensions of and winglets of , which improve the type's fuel efficiency by four percent compared to previous 747 versions. The 747-400 introduced a new glass cockpit designed for a flight crew of two instead of three, with a reduction in the number of dials, gauges and knobs from 971 to 365 through the use of electronics. The type also features tail fuel tanks, revised engines, and a new interior. The longer range has been used by some airlines to bypass traditional fuel stops, such as Anchorage. A 747-400 loaded with 126,000 lbs of fuel flying 3,500 statute miles consumes an average of five gallons per mile. Powerplants include the Pratt & Whitney PW4062, General Electric CF6-80C2, and Rolls-Royce RB211-524. As a result of the Boeing 767 development overlapping with the 747-400's development, both aircraft can use the same three powerplants and are even interchangeable between the two aircraft models. The was offered in passenger (-400), freighter (-400F), combi (-400M), domestic (-400D), extended range passenger (-400ER), and extended range freighter (-400ERF) versions. Passenger versions retain the same upper deck as the , while the freighter version does not have an extended upper deck. The 747-400D was built for short-range operations with maximum seating for 624. Winglets were not included, but they can be retrofitted. Cruising speed is up to Mach 0.855 on different versions of the . The passenger version first entered service in February 1989 with launch customer Northwest Airlines on the Minneapolis to Phoenix route. The combi version entered service in September 1989 with KLM, while the freighter version entered service in November 1993 with Cargolux. The 747-400ERF entered service with Air France in October 2002, while the 747-400ER entered service with Qantas, its sole customer, in November 2002. In January 2004, Boeing and Cathay Pacific launched the Boeing 747-400 Special Freighter program, later referred to as the Boeing Converted Freighter (BCF), to modify passenger 747-400s for cargo use. The first 747-400BCF was redelivered in December 2005. In March 2007, Boeing announced that it had no plans to produce further passenger versions of the -400. However, orders for 36 -400F and -400ERF freighters were already in place at the time of the announcement. The last passenger version of the 747-400 was delivered in April 2005 to China Airlines. Some of the last built 747-400s were delivered with Dreamliner livery along with the modern Signature interior from the Boeing 777. A total of 694 of the series aircraft were delivered. At various times, the largest 747-400 operator has included Singapore Airlines, Japan Airlines, and British Airways. , 331 Boeing 747-400s were in service. In September 2021, only 10 Boeing 747-400s are in passenger service. 747 LCF Dreamlifter The 747-400 Dreamlifter (originally called the 747 Large Cargo Freighter or LCF) is a Boeing-designed modification of existing 747-400s to a larger configuration to ferry 787 Dreamliner sub-assemblies. Evergreen Aviation Technologies Corporation of Taiwan was contracted to complete modifications of 747-400s into Dreamlifters in Taoyuan. The aircraft flew for the first time on September 9, 2006 in a test flight. Modification of four aircraft was completed by February 2010. The Dreamlifters have been placed into service transporting sub-assemblies for the 787 program to the Boeing plant in Everett, Washington, for final assembly. The aircraft is certified to carry only essential crew and not passengers. 747-8 Boeing announced a new 747 variant, the , on November 14, 2005. Referred to as the 747 Advanced prior to its launch, the 747-8 uses the same engine and cockpit technology as the 787, hence the use of the "8". The variant is designed to be quieter, more economical, and more environmentally friendly. The 747-8's fuselage is lengthened from 232 to 251 feet (70.8 to 76.4 m), marking the first stretch variant of the aircraft. Power is supplied by General Electric GEnx-2B67 engines. The 747-8 Freighter, or 747-8F, is derived from the 747-400ERF. The variant has 16% more payload capacity than its predecessor, allowing it to carry seven more standard air cargo containers, with a maximum payload capacity of 154 tons (140 tonnes) of cargo. As on previous 747 freighters, the 747-8F features an overhead nose-door and a side-door on the main deck plus a side-door on the lower deck ("belly") to aid loading and unloading. The 747-8F made its maiden flight on February 8, 2010. The variant received its amended type certificate jointly from the FAA and the European Aviation Safety Agency (EASA) on August 19, 2011. The -8F was first delivered to Cargolux on October 12, 2011. The passenger version, named 747-8 Intercontinental or 747-8I, is designed to carry up to 467 passengers in a 3-class configuration and fly more than at Mach 0.855. As a derivative of the already common , the 747-8 has the economic benefit of similar training and interchangeable parts. The type's first test flight occurred on March 20, 2011. The 747-8 has surpassed the Airbus A340-600 as the world's longest airliner. The first -8I was delivered in May 2012 to Lufthansa. The 747-8 has received 155 total orders, including 106 for the -8F and 47 for the -8I . Government, military, and other variants C-19 – The U.S. Air Force gave this designation to the 747-100s used by some U.S. airlines and modified for use in the Civil Reserve Airlift Fleet. VC-25 – This aircraft is the U.S. Air Force very important person (VIP) version of the 747-200B. The U.S. Air Force operates two of them in VIP configuration as the VC-25A. Tail numbers 28000 and 29000 are popularly known as Air Force One, which is technically the air-traffic call sign for any United States Air Force aircraft carrying the U.S. President. Partially completed aircraft from Everett, Washington, were flown to Wichita, Kansas, for final outfitting by Boeing Military Airplane Company. Two new aircraft, based around the , are being procured which will be designated as VC-25B. E-4B – This is an airborne command post designed for use in nuclear war. Three E-4As, based on the 747-200B, with a fourth aircraft, with more powerful engines and upgraded systems delivered in 1979 as a E-4B, with the three E-4As upgraded to this standard. Formerly known as the National Emergency Airborne Command Post (referred to colloquially as "Kneecap"), these type is now referred to as the National Airborne Operations Center (NAOC). YAL-1 – This was the experimental Airborne Laser, a planned component of the U.S. National Missile Defense. Shuttle Carrier Aircraft (SCA) – Two 747s were modified to carry the Space Shuttle orbiter. The first was a 747-100 (N905NA), and the other was a 747-100SR (N911NA). The first SCA carried the prototype Enterprise during the Approach and Landing Tests in the late 1970s. The two SCA later carried all five operational Space Shuttle orbiters. C-33 – This aircraft was a proposed U.S. military version of the 747-400F intended to augment the C-17 fleet. The plan was canceled in favor of additional C-17s. KC-33A – A proposed 747 was also adapted as an aerial refueling tanker and was bid against the DC-10-30 during the 1970s Advanced Cargo Transport Aircraft (ACTA) program that produced the KC-10A Extender. 747-100 Tanker – Before the 1979 Iranian Revolution, Iran bought four 747-100 aircraft with air-refueling boom conversions to support its fleet of F-4 Phantoms. There is a report of the Iranians using a 747 Tanker in H-3 airstrike during Iran–Iraq War. It is unknown whether these aircraft remain usable as tankers. 747 CMCA – This "Cruise Missile Carrier Aircraft" variant was considered by the U.S. Air Force during the development of the B-1 Lancer strategic bomber. It would have been equipped with 50 to 100 AGM-86 ALCM cruise missiles on rotary launchers. This plan was abandoned in favor of more conventional strategic bombers. 747 AAC – A Boeing study under contract from the USAF for an "airborne aircraft carrier" for up to 10 Boeing Model 985-121 "microfighters" with the ability to launch, retrieve, re-arm, and refuel. Boeing believed that the scheme would be able to deliver a flexible and fast carrier platform with global reach, particularly where other bases were not available. Modified versions of the 747-200 and Lockheed C-5A were considered as the base aircraft. The concept, which included a complementary 747 AWACS version with two reconnaissance "microfighters", was considered technically feasible in 1973. Evergreen 747 Supertanker – A Boeing 747-200 modified as an aerial application platform for fire fighting using of firefighting chemicals. Stratospheric Observatory for Infrared Astronomy (SOFIA) – A former Pan Am Boeing 747SP modified to carry a large infrared-sensitive telescope, in a joint venture | fully loaded; costs per seat increased rapidly as occupancy declined. A moderately loaded 747, one with only 70 percent of its seats occupied, used more than 95 percent of the fuel needed by a fully occupied 747. Nonetheless, many flag-carriers purchased the 747 due to its prestige "even if it made no sense economically" to operate. During the 1970s and 1980s, over 30 regularly scheduled 747s could often be seen at John F. Kennedy International Airport. The recession of 1969-1970, despite having been characterized as relatively mild, greatly affected Boeing. For the year and a half after September 1970, it only sold two 747s in the world, both to Irish flag carrier Aer Lingus. No 747s were sold to any American carrier for almost three years. When economic problems in the US and other countries after the 1973 oil crisis led to reduced passenger traffic, several airlines found they did not have enough passengers to fly the 747 economically, and they replaced them with the smaller and recently introduced McDonnell Douglas DC-10 and Lockheed L-1011 TriStar trijet wide bodies (and later the 767 and A300/A310 twinjets). Having tried replacing coach seats on its 747s with piano bars in an attempt to attract more customers, American Airlines eventually relegated its 747s to cargo service and in 1983 exchanged them with Pan Am for smaller aircraft; Delta Air Lines also removed its 747s from service after several years. Later, Delta acquired 747s again in 2008 as part of its merger with Northwest Airlines, although it retired the Boeing 747-400 fleet in December 2017. International flights bypassing traditional hub airports and landing at smaller cities became more common throughout the 1980s, thus eroding the 747's original market. Many international carriers continued to use the 747 on Pacific routes. In Japan, 747s on domestic routes were configured to carry nearly the maximum passenger capacity. Improved 747 versions After the initial , Boeing developed the , a higher maximum takeoff weight (MTOW) variant, and the (Short Range), with higher passenger capacity. Increased maximum takeoff weight allows aircraft to carry more fuel and have longer range. The model followed in 1971, featuring more powerful engines and a higher MTOW. Passenger, freighter and combination passenger-freighter versions of the were produced. The shortened 747SP (special performance) with a longer range was also developed, and entered service in 1976. The 747 line was further developed with the launch of the on June 11, 1980, followed by interest from Swissair a month later and the go-ahead for the project. The 300 series resulted from Boeing studies to increase the seating capacity of the 747, during which modifications such as fuselage plugs and extending the upper deck over the entire length of the fuselage were rejected. The first , completed in 1983, included a stretched upper deck, increased cruise speed, and increased seating capacity. The -300 variant was previously designated 747SUD for stretched upper deck, then 747-200 SUD, followed by 747EUD, before the 747-300 designation was used. Passenger, short range and combination freighter-passenger versions of the 300 series were produced. In 1985, development of the longer range 747-400 began. The variant had a new glass cockpit, which allowed for a cockpit crew of two instead of three, new engines, lighter construction materials, and a redesigned interior. Development costs soared, and production delays occurred as new technologies were incorporated at the request of airlines. Insufficient workforce experience and reliance on overtime contributed to early production problems on the . The -400 entered service in 1989. In 1991, a record-breaking 1,087 passengers were flown in a 747 during a covert operation to airlift Ethiopian Jews to Israel. Generally, the 747-400 held between 416 and 524 passengers. The 747 remained the heaviest commercial aircraft in regular service until the debut of the Antonov An-124 Ruslan in 1982; variants of the 747-400 surpassed the An-124's weight in 2000. The Antonov An-225 Mriya cargo transport, which debuted in 1988, remains the world's largest aircraft by several measures (including the most accepted measures of maximum takeoff weight and length); one aircraft has been completed and is in service . The Scaled Composites Stratolaunch is currently the largest aircraft by wingspan. Further developments Since the arrival of the , several stretching schemes for the 747 have been proposed. Boeing announced the larger 747-500X and preliminary designs in 1996. The new variants would have cost more than US$5 billion to develop, and interest was not sufficient to launch the program. In 2000, Boeing offered the more modest 747X and 747X stretch derivatives as alternatives to the Airbus A3XX. However, the 747X family was unable to attract enough interest to enter production. A year later, Boeing switched from the 747X studies to pursue the Sonic Cruiser, and after the Sonic Cruiser program was put on hold, the 787 Dreamliner. Some of the ideas developed for the 747X were used on the 747-400ER, a longer range variant of the . After several variants were proposed but later abandoned, some industry observers became skeptical of new aircraft proposals from Boeing. However, in early 2004, Boeing announced tentative plans for the 747 Advanced that were eventually adopted. Similar in nature to the 747-X, the stretched 747 Advanced used technology from the 787 to modernize the design and its systems. The 747 remained the largest passenger airliner in service until the Airbus A380 began airline service in 2007. On November 14, 2005, Boeing announced it was launching the 747 Advanced as the Boeing 747-8. The last 747-400s were completed in 2009. , most orders of the 747-8 have been for the freighter variant. On February 8, 2010, the 747-8 Freighter made its maiden flight. The first delivery of the 747-8 went to Cargolux in 2011. The first 747-8 Intercontinental passenger variant was delivered to Lufthansa on May 5, 2012. The 1,500th Boeing 747 was delivered in June 2014 to Lufthansa. In January 2016, Boeing stated it was reducing 747-8 production to six a year beginning in September 2016, incurring a $569 million post-tax charge against its fourth-quarter 2015 profits. At the end of 2015, the company had 20 orders outstanding. On January 29, 2016, Boeing announced that it had begun the preliminary work on the modifications to a commercial 747-8 for the next Air Force One presidential aircraft, expected to be operational by 2020. On July 12, 2016, Boeing announced that it had finalized an order from Volga-Dnepr Group for 20 747-8 freighters, valued at $7.58 billion at list prices. Four aircraft were delivered beginning in 2012. Volga-Dnepr Group is the parent of three major Russian air-freight carriers – Volga-Dnepr Airlines, AirBridgeCargo Airlines and Atran Airlines. The new 747-8 freighters will replace AirBridgeCargo's current 747-400 aircraft and expand the airline's fleet and will be acquired through a mix of direct purchases and leasing over the next six years, Boeing said. End of production On July 27, 2016, in its quarterly report to the Securities and Exchange Commission, Boeing discussed the potential termination of 747 production due to insufficient demand and market for the aircraft. With a firm order backlog of 21 aircraft and a production rate of six per year, program accounting has been reduced to 1,555 aircraft, and the 747 line could be closed in the third quarter of 2019. In October 2016, UPS Airlines ordered 14 -8Fs to add capacity, along with 14 options, which it took in February 2018 to increase the total to 28 -8Fs on order. The backlog then stood at 25 aircraft, though several of these are orders from airlines that no longer intend to take delivery. Deliveries are scheduled through 2022. On July 2, 2020, it was reported that Boeing planned to end 747 production in 2022 upon delivery of the remaining jets on order to UPS and the Volga-Dnepr Group due to low demand. On July 29, 2020, Boeing confirmed that the final 747 would be delivered in 2022 as a result of "current market dynamics and outlook" stemming from the COVID-19 pandemic, according to CEO David Calhoun. As of January 2021 Boeing is to deliver the last four 747s to Atlas Air in 2022. Design The Boeing 747 is a large, wide-body (two-aisle) airliner with four wing-mounted engines. Its wings have a high sweep angle of 37.5° for a fast, efficient cruise speed of Mach 0.84 to 0.88, depending on the variant. The sweep also reduces the wingspan, allowing the 747 to use existing hangars. Its seating capacity is over 366 with a 3–4–3 seat arrangement (a cross section of three seats, an aisle, four seats, another aisle, and three seats) in economy class and a 2–3–2 layout in first class on the main deck. The upper deck has a 3–3 seat arrangement in economy class and a 2–2 layout in first class. Raised above the main deck, the cockpit creates a hump. This raised cockpit allows front loading of cargo on freight variants. The upper deck behind the cockpit provides space for a lounge and/or extra seating. The "stretched upper deck" became available as an alternative on the variant and later as standard beginning on the 747-300. The upper deck was stretched more on the 747-8. The 747 cockpit roof section also has an escape hatch from which crew can exit during the events of an emergency if they cannot do so through the cabin. The 747's maximum takeoff weight ranges from 735,000 pounds (333,400 kg) for the -100 to 970,000 lb (439,985 kg) for the -8. Its range has increased from 5,300 nautical miles (6,100 mi, 9,800 km) on the -100 to 8,000 nmi (9,200 mi, 14,815 km) on the -8I. The 747 has redundant structures along with four redundant hydraulic systems and four main landing gears each with four wheels; these provide a good spread of support on the ground and safety in case of tire blow-outs. The main gear are redundant so that landing can be performed on two opposing landing gears if the others are not functioning properly. The 747 also has split control surfaces and was designed with sophisticated triple-slotted flaps that minimize landing speeds and allow the 747 to use standard-length runways. For transportation of spare engines, the 747 can accommodate a non-functioning fifth-pod engine under the aircraft's port wing between the inner functioning engine and the fuselage. This fifth engine mount point is also used by Virgin Orbit's LauncherOne program. Virgin Orbit's , dubbed Cosmic Girl, carries the orbital-class rocket to cruise altitude, where the rocket is deployed and then carries its small satellite payload the rest of the way to orbit. Variants The 747-100 was the original variant launched in 1966. The 747-200 soon followed, with its launch in 1968. The 747-300 was launched in 1980 and was followed by the in 1985. Ultimately, the 747-8 was announced in 2005. Several versions of each variant have been produced, and many of the early variants were in production simultaneously. The International Civil Aviation Organization (ICAO) classifies variants using a shortened code formed by combining the model number and the variant designator (e.g. "B741" for all -100 models). 747-100 The first 747-100s were built with six upper deck windows (three per side) to accommodate upstairs lounge areas. Later, as airlines began to use the upper deck for premium passenger seating instead of lounge space, Boeing offered an upper deck with ten windows on either side as an option. Some early -100s were retrofitted with the new configuration. The -100 was equipped with Pratt & Whitney JT9D-3A engines. No freighter version of this model was developed, but many 747-100s were converted into freighters. A total of 168 747-100s were built; 167 were delivered to customers, while Boeing kept the prototype, City of Everett. In 1972, its unit cost was US$24M (M today). 747SR Responding to requests from Japanese airlines for a high-capacity aircraft to serve domestic routes between major cities, Boeing developed the 747SR as a short-range version of the with lower fuel capacity and greater payload capability. With increased economy class seating, up to 498 passengers could be carried in early versions and up to 550 in later models. The 747SR had an economic design life objective of 52,000 flights during 20 years of operation, compared to 24,600 flights in 20 years for the standard 747. The initial 747SR model, the -100SR, had a strengthened body structure and landing gear to accommodate the added stress accumulated from a greater number of takeoffs and landings. Extra structural support was built into the wings, fuselage, and the landing gear along with a 20% reduction in fuel capacity. The initial order for the -100SR – four aircraft for Japan Air Lines (JAL, later Japan Airlines) – was announced on October 30, 1972; rollout occurred on August 3, 1973, and the first flight took place on August 31, 1973. The type was certified by the FAA on September 26, 1973, with the first delivery on the same day. The -100SR entered service with JAL, the type's sole customer, on October 7, 1973, and typically operated flights within Japan. Seven -100SRs were built between 1973 and 1975, each with a MTOW and Pratt & Whitney JT9D-7A engines derated to of thrust. Following the -100SR, Boeing produced the -100BSR, a 747SR variant with increased takeoff weight capability. Debuting in 1978, the -100BSR also incorporated structural modifications for a high cycle-to-flying hour ratio; a related standard -100B model debuted in 1979. The -100BSR first flew on November 3, 1978, with first delivery to All Nippon Airways (ANA) on December 21, 1978. A total of 20 -100BSRs were produced for ANA and JAL. The -100BSR had a MTOW and was powered by the same JT9D-7A or General Electric CF6-45 engines used on the -100SR. ANA operated this variant on domestic Japanese routes with 455 or 456 seats until retiring its last aircraft in March 2006. In 1986, two -100BSR SUD models, featuring the stretched upper deck (SUD) of the -300, were produced for JAL. The type's maiden flight occurred on February 26, 1986, with FAA certification and first delivery on March 24, 1986. JAL operated the -100BSR SUD with 563 seats on domestic routes until their retirement in the third quarter of 2006. While only two -100BSR SUDs were produced, in theory, standard -100Bs can be modified to the SUD certification. Overall, 29 Boeing 747SRs were built. 747-100B The 747-100B model was developed from the -100SR, using its stronger airframe and landing gear design. The type had an increased fuel capacity of , allowing for a range with a typical 452-passenger payload, and an increased MTOW of was offered. The first -100B order, one aircraft for Iran Air, was announced on June 1, 1978. This aircraft first flew on June 20, 1979, received FAA certification on August 1, 1979, and was delivered the next day. Nine -100Bs were built, one for Iran Air and eight for Saudi Arabian Airlines. Unlike the original -100, the -100B was offered with Pratt & Whitney JT9D-7A, CF6-50, or Rolls-Royce RB211-524 engines. However, only RB211-524 (Saudia) and JT9D-7A (Iran Air) engines were ordered. The last 747-100B, EP-IAM was retired by Iran Air in 2014, the last commercial operator of the 747-100 and -100B. 747SP The development of the 747SP stemmed from a joint request between Pan American World Airways and Iran Air, who were looking for a high-capacity airliner with enough range to cover Pan Am's New York–Middle Eastern routes and Iran Air's planned Tehran–New York route. The Tehran–New York route, when launched, was the longest non-stop commercial flight in the world. The 747SP is shorter than the . Fuselage sections were eliminated fore and aft of the wing, and the center section of the fuselage was redesigned to fit mating fuselage sections. The SP's flaps used a simplified single-slotted configuration. The 747SP, compared to earlier variants, had a tapering of the aft upper fuselage into the empennage, a double-hinged rudder, and longer vertical and horizontal stabilizers. Power was provided by Pratt & Whitney JT9D-7(A/F/J/FW) or Rolls-Royce RB211-524 engines. The 747SP was granted a supplemental certificate on February 4, 1976 and entered service with launch customers Pan Am and Iran Air that same year. The aircraft was chosen by airlines wishing to serve major airports with short runways. A total of 45 747SPs were built, with the 44th 747SP delivered on August 30, 1982. In 1987, Boeing re-opened the 747SP production line after five years to build one last 747SP for an order by the United Arab Emirates government. In addition to airline use, one 747SP was modified for the NASA/German Aerospace Center SOFIA experiment. Iran Air is the last civil operator of the type; its final 747-SP (EP-IAC) was to be retired in June 2016. 747-200 While the 747-100 powered by Pratt & Whitney JT9D-3A engines offered enough payload and range for medium-haul operations, it was marginal for long-haul route sectors. The demand for longer range aircraft with increased payload quickly led to the improved -200, which featured more powerful engines, increased MTOW, and greater range than the -100. A few early -200s retained the three-window configuration of the -100 on the upper deck, but most were built with a ten-window configuration on each side. The 747-200 was produced in passenger (-200B), freighter (-200F), convertible (-200C), and combi (-200M) versions. The 747-200B was the basic passenger version, with increased fuel capacity and more powerful engines; it entered service in February 1971. In its first three years of production, the -200 was equipped with Pratt & Whitney JT9D-7 engines (initially the only engine available). Range with a full passenger load started at over and increased to with later engines. Most -200Bs had an internally stretched upper deck, allowing for up to 16 passenger seats. The freighter model, the 747-200F, had a hinged nose cargo door and could be fitted with an optional side cargo door, and had a capacity of 105 tons (95.3 tonnes) and an MTOW of up to 833,000 lb (378,000 kg). It entered service in 1972 with Lufthansa. The convertible version, the 747-200C, could be converted between a passenger and a freighter or used in mixed configurations, and featured removable seats and a nose cargo door. The -200C could also be outfitted with an optional side cargo door on the main deck. The combi aircraft model, the 747-200M (originally designated 747-200BC), could carry freight in the rear section of the main deck via a side cargo door. A removable partition on the main deck separated the cargo area at the rear from the passengers at the front. The -200M could carry up to 238 passengers in a three-class configuration with cargo carried on the main deck. The model was also known as the 747-200 Combi. As on the -100, a stretched upper deck (SUD) modification was later offered. A total of 10 combi 747-200s were operated by KLM. Union de Transports Aériens (UTA) also had two aircraft converted. After launching the -200 with Pratt & Whitney JT9D-7 engines, on August 1, 1972 Boeing announced that it had reached an agreement with General Electric to certify the 747 with CF6-50 series engines to increase the aircraft's market potential. Rolls-Royce followed 747 engine production with a launch order from British Airways for four aircraft. The option of RB211-524B engines was announced on June 17, 1975. The -200 was the first 747 to provide a choice of powerplant from the three major engine manufacturers. In 1976, its unit cost was US$39M (M today). A total of 393 of the 747-200 versions had been built when production ended in 1991. Of these, 225 were -200B, 73 were -200F, 13 were -200C, 78 were -200M, and 4 were military. Iran Air retired the last passenger in May 2016, 36 years after it was delivered. , five 747-200s remain in service as freighters. 747-300 The 747-300 features a upper deck than the -200. The stretched upper deck (SUD) has two emergency exit doors and is the most visible difference between the -300 and previous models. After being made standard on the 747-300, the SUD was offered as a retrofit, and as an option to earlier variants still in-production. An example for a retrofit were two UTA -200 Combis being converted in 1986, and an example for the option were two brand-new JAL -100 aircraft (designated -100BSR SUD), the first of which was delivered on March 24, 1986. The 747-300 introduced a new straight stairway to the upper deck, instead of a spiral staircase on earlier variants, which creates room above and below for more seats. Minor aerodynamic changes allowed the -300's cruise speed to reach Mach 0.85 compared with Mach 0.84 on the -200 and -100 models, while retaining the same takeoff weight. The -300 could be equipped with the same Pratt & Whitney and Rolls-Royce powerplants as on the -200, as well as updated General Electric CF6-80C2B1 engines. Swissair placed the first order for the on June 11, 1980. The variant revived the 747-300 designation, which had been previously used on a design study that did not reach production. The 747-300 first flew on October 5, 1982, and the type's first delivery went to Swissair on March 23, 1983. In 1982, its unit cost was US$83M (M today). Besides the passenger model, two other versions (-300M, -300SR) were produced. The 747-300M features cargo capacity on the rear portion of the main deck, similar to the -200M, but with the stretched upper deck it can carry more passengers. The 747-300SR, a short range, high-capacity domestic model, was produced for Japanese markets with a maximum seating for 584. No production freighter version of the 747-300 was built, but Boeing began modifications of used passenger -300 models into freighters in 2000. A total of 81 series aircraft were delivered, 56 for passenger use, 21 -300M and 4 -300SR versions. In 1985, just two years after the -300 entered service, the type was superseded by the announcement of the more advanced 747-400. The last 747-300 was delivered in September 1990 to Sabena. While some -300 customers continued operating the type, several large carriers replaced their 747-300s with 747-400s. Air France, Air India, Pakistan International Airlines, and Qantas were some of the last major carriers to operate the . On December 29, 2008, Qantas flew its last scheduled 747-300 service, operating from Melbourne to Los Angeles via Auckland. In July 2015, Pakistan International Airlines retired their final 747-300 after 30 years of service. , only two 747-300s remain in commercial service, with Mahan Air (1) and TransAVIAexport Airlines (1). 747-400 The 747-400 is an improved model with increased range. It has wingtip extensions of and winglets of , which improve the type's fuel efficiency by four percent compared to previous 747 versions. The 747-400 introduced a new glass cockpit designed for a flight crew of two instead of three, with a reduction in the number of dials, gauges and knobs from 971 to 365 through the use of electronics. The type also features tail fuel tanks, revised engines, and a new interior. The longer range has been used by some airlines to bypass traditional fuel stops, such as Anchorage. A 747-400 loaded with 126,000 lbs of fuel flying 3,500 statute miles consumes an average of five gallons per mile. Powerplants include the Pratt & Whitney PW4062, General Electric CF6-80C2, and Rolls-Royce RB211-524. As a result of the Boeing 767 development overlapping with the 747-400's development, both aircraft can use the same three powerplants and are even interchangeable between the two aircraft models. The was offered in passenger (-400), freighter (-400F), combi (-400M), domestic (-400D), extended range passenger (-400ER), and extended range freighter (-400ERF) versions. Passenger versions retain the same upper deck as the , while the freighter version does not have an extended upper deck. The 747-400D was built for short-range operations with maximum seating for 624. Winglets were not included, but they can be retrofitted. Cruising speed is up to Mach 0.855 on different versions of the . The passenger version first entered service in February 1989 with launch customer Northwest Airlines on the Minneapolis to Phoenix route. The combi version entered service in September 1989 with KLM, while the freighter version entered service in November 1993 with Cargolux. The 747-400ERF entered service with Air France in October 2002, while the 747-400ER entered service with Qantas, its sole customer, in November 2002. In January 2004, Boeing and Cathay Pacific launched the Boeing 747-400 Special Freighter program, later referred to as the Boeing Converted Freighter (BCF), to modify passenger 747-400s for cargo use. The first 747-400BCF was redelivered in December 2005. In March 2007, Boeing announced that it had no plans to produce further passenger versions of the -400. However, orders for 36 -400F and -400ERF freighters were already in place at the time of the announcement. The last passenger version of the 747-400 was delivered in April 2005 to China Airlines. Some of the last built 747-400s were delivered with Dreamliner livery along with the modern Signature interior from the Boeing 777. A total of 694 of the series aircraft were delivered. At various times, the largest 747-400 operator has included Singapore Airlines, Japan Airlines, and British Airways. , 331 Boeing 747-400s were in service. In September 2021, only 10 Boeing 747-400s are in passenger service. 747 LCF Dreamlifter The 747-400 Dreamlifter (originally called the 747 Large Cargo Freighter or LCF) is a Boeing-designed modification of existing 747-400s to a larger configuration to ferry 787 Dreamliner sub-assemblies. Evergreen Aviation Technologies Corporation of Taiwan was contracted to complete modifications of 747-400s into Dreamlifters in Taoyuan. The aircraft flew for the first time on September 9, 2006 in a test flight. Modification of four aircraft was completed by February 2010. The Dreamlifters have been placed into service transporting sub-assemblies for the 787 program to the Boeing plant in Everett, Washington, for final assembly. The aircraft is certified to carry only essential crew and not passengers. 747-8 Boeing announced a new 747 variant, the , on November 14, 2005. Referred to as the 747 Advanced prior to its launch, the 747-8 uses |
English numbers dwindled; they tried to withdraw to English-held Calais but found their path blocked by a considerably larger French army. Despite the numerical disadvantage, the battle ended in an overwhelming victory for the English. King Henry V of England led his troops into battle and participated in hand-to-hand fighting. King Charles VI of France did not command the French army as he suffered from psychotic illnesses and associated mental incapacity. The French were commanded by Constable Charles d'Albret and various prominent French noblemen of the Armagnac party. This battle is notable for the use of the English longbow in very large numbers, with the English and Welsh archers comprising nearly 80 percent of Henry's army. The Battle of Agincourt is one of England's most celebrated victories and was one of the most important English triumphs in the Hundred Years' War, along with the Battle of Crécy (1346) and Battle of Poitiers (1356). It forms the backdrop to events in William Shakespeare's play Henry V, written in 1599. Contemporary accounts The Battle of Agincourt is well documented by at least seven contemporary accounts, three from eyewitnesses. The approximate location of the battle has never been disputed, and the site remains relatively unaltered after 600 years. Immediately after the battle, Henry summoned the heralds of the two armies who had watched the battle together with principal French herald Montjoie, and they settled on the name of the battle as Azincourt, after the nearest fortified place. Two of the most frequently cited accounts come from Burgundian sources, one from Jean Le Fèvre de Saint-Remy who was present at the battle, and the other from Enguerrand de Monstrelet. The English eyewitness account comes from the anonymous author of the Gesta Henrici Quinti, believed to have been written by a chaplain in the King's household who would have been in the baggage train at the battle. A recent re-appraisal of Henry's strategy of the Agincourt campaign incorporates these three accounts and argues that war was seen as a legal due process for solving the disagreement over claims to the French throne. Campaign Henry V invaded France following the failure of negotiations with the French. He claimed the title of King of France through his great-grandfather Edward III of England, although in practice the English kings were generally prepared to renounce this claim if the French would acknowledge the English claim on Aquitaine and other French lands (the terms of the Treaty of Brétigny). He initially called a Great Council in the spring of 1414 to discuss going to war with France, but the lords insisted that he should negotiate further and moderate his claims. In the ensuing negotiations Henry said that he would give up his claim to the French throne if the French would pay the 1.6 million crowns outstanding from the ransom of John II (who had been captured at the Battle of Poitiers in 1356), and concede English ownership of the lands of Anjou, Brittany, Flanders, Normandy, and Touraine, as well as Aquitaine. Henry would marry Catherine, Charles VI's young daughter, and receive a dowry of 2 million crowns. The French responded with what they considered the generous terms of marriage with Catherine, a dowry of 600,000 crowns, and an enlarged Aquitaine. By 1415, negotiations had ground to a halt, with the English claiming that the French had mocked their claims and ridiculed Henry himself. In December 1414, the English parliament was persuaded to grant Henry a "double subsidy", a tax at twice the traditional rate, to recover his inheritance from the French. On 19 April 1415, Henry again asked the Great Council to sanction war with France, and this time they agreed. Henry's army landed in northern France on 13 August 1415, carried by a vast fleet. It was often reported to comprise 1,500 ships, but was probably far smaller. Theodore Beck also suggests that among Henry's army was "the king's physician and a little band of surgeons". Thomas Morstede, Henry V's royal surgeon, had previously been contracted by the king to supply a team of surgeons and makers of surgical instruments to take part in the Agincourt campaign. The army of about 12,000 men and up to 20,000 horses besieged the port of Harfleur. The siege took longer than expected. The town surrendered on 22 September, and the English army did not leave until 8 October. The campaign season was coming to an end, and the English army had suffered many casualties through disease. Rather than retire directly to England for the winter, with his costly expedition resulting in the capture of only one town, Henry decided to march most of his army (roughly 9,000) through Normandy to the port of Calais, the English stronghold in northern France, to demonstrate by his presence in the territory at the head of an army that his right to rule in the duchy was more than a mere abstract legal and historical claim. He also intended the manoeuvre as a deliberate provocation to battle aimed at the dauphin, who had failed to respond to Henry's personal challenge to combat at Harfleur. During the siege, the French had raised an army which assembled around Rouen. This was not strictly a feudal army, but an army paid through a system similar to that of the English. The French hoped to raise 9,000 troops, but the army was not ready in time to relieve Harfleur. After Henry V marched to the north, the French moved to block them along the River Somme. They were successful for a time, forcing Henry to move south, away from Calais, to find a ford. The English finally crossed the Somme south of Péronne, at Béthencourt and Voyennes and resumed marching north. Without a river obstacle to defend, the French were hesitant to force a battle. They shadowed Henry's army while calling a semonce des nobles, calling on local nobles to join the army. By 24 October, both armies faced each other for battle, but the French declined, hoping for the arrival of more troops. The two armies spent the night of 24 October on open ground. The next day the French initiated negotiations as a delaying tactic, but Henry ordered his army to advance and to start a battle that, given the state of his army, he would have preferred to avoid, or to fight defensively: that was how Crécy and the other famous longbow victories had been won. The English had very little food, had marched in two and a half weeks, were suffering from sickness such as dysentery, and were greatly outnumbered by well-equipped French men-at-arms. The French army blocked Henry's way to the safety of Calais, and delaying battle would only further weaken his tired army and allow more French troops to arrive. Setting Battlefield The precise location of the battle is not known. It may be in the narrow strip of open land formed between the woods of Tramecourt and Azincourt (close to the modern village of Azincourt). However, the lack of archaeological evidence at this traditional site has led to suggestions it was fought to the west of Azincourt. In 2019, the historian Michael Livingston also made the case for a site west of Azincourt, based on a review of sources and early maps. English deployment Early on the 25th, Henry deployed his army (approximately 1,500 men-at-arms and 7,000 longbowmen) across a part of the defile. The army was divided into three groups, with the right wing led by Edward, Duke of York, the centre led by the king himself, and the left wing under the old and experienced Baron Thomas Camoys. The archers were commanded by Sir Thomas Erpingham, another elderly veteran. It is likely that the English adopted their usual battle line of longbowmen on either flank, with men-at-arms and knights in the centre. They might also have deployed some archers in the centre of the line. The English men-at-arms in plate and mail were placed shoulder to shoulder four deep. The English and Welsh archers on the flanks drove pointed wooden stakes, or palings, into the ground at an angle to force cavalry to veer off. This use of stakes could have been inspired by the Battle of Nicopolis of 1396, where forces of the Ottoman Empire used the tactic against French cavalry. The English made their confessions before the battle, as was customary. Henry, worried about the enemy launching surprise raids, and wanting his troops to remain focused, ordered all his men to spend the night before the battle in silence, on pain of having an ear cut off. He told his men that he would rather die in the coming battle than be captured and ransomed. Henry made a speech emphasising the justness of his cause, and reminding his army of previous great defeats the kings of England had inflicted on the French. The Burgundian sources have him concluding the speech by telling his men that the French had boasted that they would cut off two fingers from the right hand of every archer, so that he could never draw a longbow again. Whether this was true is open to question; death was the normal fate of any soldier who could not be ransomed. French deployment The French army had 10,000 men-at arms plus some 4,000–5,000 miscellaneous footmen () including archers, crossbowmen () and shield-bearers (), totaling 14,000–15,000 men. Probably each man-at-arms would be accompanied by a gros valet (or varlet), an armed servant, adding up to another 10,000 potential fighting men, though some historians omit them from the number of combatants. The French were organized into two main groups (or battles), a vanguard up front and a main battle behind, both composed principally of men-at-arms fighting on foot and flanked by more of the same in each wing. There was a special, elite cavalry force whose purpose was to break the formation of the English archers and thus clear the way for the infantry to advance. A second, smaller mounted force was to attack the rear of the English army, along with its baggage and servants. Many lords and gentlemen demanded – and got – places in the front lines, where they would have a higher chance to acquire glory and valuable ransoms; this resulted in the bulk of the men-at-arms being massed in the front | suggestions it was fought to the west of Azincourt. In 2019, the historian Michael Livingston also made the case for a site west of Azincourt, based on a review of sources and early maps. English deployment Early on the 25th, Henry deployed his army (approximately 1,500 men-at-arms and 7,000 longbowmen) across a part of the defile. The army was divided into three groups, with the right wing led by Edward, Duke of York, the centre led by the king himself, and the left wing under the old and experienced Baron Thomas Camoys. The archers were commanded by Sir Thomas Erpingham, another elderly veteran. It is likely that the English adopted their usual battle line of longbowmen on either flank, with men-at-arms and knights in the centre. They might also have deployed some archers in the centre of the line. The English men-at-arms in plate and mail were placed shoulder to shoulder four deep. The English and Welsh archers on the flanks drove pointed wooden stakes, or palings, into the ground at an angle to force cavalry to veer off. This use of stakes could have been inspired by the Battle of Nicopolis of 1396, where forces of the Ottoman Empire used the tactic against French cavalry. The English made their confessions before the battle, as was customary. Henry, worried about the enemy launching surprise raids, and wanting his troops to remain focused, ordered all his men to spend the night before the battle in silence, on pain of having an ear cut off. He told his men that he would rather die in the coming battle than be captured and ransomed. Henry made a speech emphasising the justness of his cause, and reminding his army of previous great defeats the kings of England had inflicted on the French. The Burgundian sources have him concluding the speech by telling his men that the French had boasted that they would cut off two fingers from the right hand of every archer, so that he could never draw a longbow again. Whether this was true is open to question; death was the normal fate of any soldier who could not be ransomed. French deployment The French army had 10,000 men-at arms plus some 4,000–5,000 miscellaneous footmen () including archers, crossbowmen () and shield-bearers (), totaling 14,000–15,000 men. Probably each man-at-arms would be accompanied by a gros valet (or varlet), an armed servant, adding up to another 10,000 potential fighting men, though some historians omit them from the number of combatants. The French were organized into two main groups (or battles), a vanguard up front and a main battle behind, both composed principally of men-at-arms fighting on foot and flanked by more of the same in each wing. There was a special, elite cavalry force whose purpose was to break the formation of the English archers and thus clear the way for the infantry to advance. A second, smaller mounted force was to attack the rear of the English army, along with its baggage and servants. Many lords and gentlemen demanded – and got – places in the front lines, where they would have a higher chance to acquire glory and valuable ransoms; this resulted in the bulk of the men-at-arms being massed in the front lines and the other troops, for which there was no remaining space, to be placed behind. Although it had been planned for the archers and crossbowmen to be placed with the infantry wings, they were now regarded as unnecessary and placed behind them instead. On account of the lack of space, the French drew up a third battle, the rearguard, which was on horseback and mainly comprised the varlets mounted on the horses belonging to the men fighting on foot ahead. The French vanguard and main battle numbered respectively 4,800 and 3,000 men-at-arms. Both lines were arrayed in tight, dense formations of about 16 ranks each, and were positioned a bowshot length from each other. Albret, Boucicaut and almost all the leading noblemen were assigned stations in the vanguard. The dukes of Alençon and Bar led the main battle. A further 600 dismounted men-at-arms stood in each wing, with the left under the Count of Vendôme and the right under the Count of Richemont. To disperse the enemy archers, a cavalry force of 800–1,200 picked men-at-arms, led by Clignet de Bréban and Louis de Bosredon, was distributed evenly between both flanks of the vanguard (standing slightly forward, like horns). Some 200 mounted men-at-arms would attack the English rear. The French apparently had no clear plan for deploying the rest of the army. The rearguard, leaderless, would serve as a "dumping ground" for the surplus troops. Terrain The field of battle was arguably the most significant factor in deciding the outcome. The recently ploughed land hemmed in by dense woodland favoured the English, both because of its narrowness, and because of the thick mud through which the French knights had to walk. Accounts of the battle describe the French engaging the English men-at-arms before being rushed from the sides by the longbowmen as the mêlée developed. The English account in the Gesta Henrici says: "For when some of them, killed when battle was first joined, fall at the front, so great was the undisciplined violence and pressure of the mass of men behind them that the living fell on top of the dead, and others falling on top of the living were killed as well." Although the French initially pushed the English back, they became so closely packed that they were described as having trouble using their weapons properly. The French monk of St. Denis says: "Their vanguard, composed of about 5,000 men, found itself at first so tightly packed that those who were in the third rank could scarcely use their swords," and the Burgundian sources have a similar passage. Recent heavy rain made the battle field very muddy, proving very tiring to walk through in full plate armour. The French monk of St. Denis describes the French troops as "marching through the middle of the mud where they sank up to their knees. So they were already overcome with fatigue even before they advanced against the enemy". The deep, soft mud particularly favoured the English force because, once knocked to the ground, the heavily armoured French knights had a hard time getting back up to fight in the mêlée. Barker states that some knights, encumbered by their armour, actually drowned in their helmets. Fighting Opening moves On the morning of 25 October, the French were still waiting for additional troops to arrive. The Duke of Brabant (about 2,000 men), the Duke of Anjou (about 600 men), and the Duke of Brittany (6,000 men, according to Monstrelet), were all marching to join the army. For three hours after sunrise there was no fighting. Military textbooks of the time stated: "Everywhere and on all occasions that foot soldiers march against their enemy face to face, those who march lose and those who remain standing still and holding firm win." On top of this, the French were expecting thousands of men to join them if they waited. They were blocking Henry's retreat, and were perfectly happy to wait for as long as it took. There had even been a suggestion that the English would run away rather than give battle when they saw that they would be fighting so many French princes. Henry's men were already very weary from hunger, illness and retreat. Apparently Henry believed his fleeing army would perform better on the defensive, but had to halt the retreat and somehow engage the French before a defensive battle was possible. This entailed abandoning his chosen position and pulling out, advancing, and then re-installing the long sharpened wooden stakes pointed outwards toward the enemy, which helped protect the longbowmen from cavalry charges. (The use of stakes was an innovation for the English: during the Battle of Crécy, for example, the archers had been instead protected by pits and other obstacles.) The tightness of the terrain also seems to have restricted the planned deployment of the French forces. The French had originally drawn up a battle plan that had archers and crossbowmen in front of their men-at-arms, with a cavalry force at the rear specifically designed to "fall upon the archers, and use their force to break them," but in the event, the French archers and crossbowmen were deployed behind and to the sides of the men-at-arms (where they seem to have played almost no part, except possibly for an initial volley of arrows at the start of the battle). The cavalry force, which could have devastated the English line if it had attacked while they moved their stakes, charged only after the initial volley of arrows from the English. It is unclear whether the delay occurred because the French were hoping the English would launch a frontal assault (and were surprised when the English instead started shooting from their new defensive position), or whether the French mounted knights instead did not react quickly enough to the English advance. French chroniclers agree that when the mounted charge did come, it did not contain as many men as it should have; Gilles le Bouvier states that some had wandered off to warm themselves and others were walking or feeding their horses. French cavalry attack The French cavalry, despite being disorganised and not at full numbers, charged towards the longbowmen. It was a disastrous attempt. The French knights were unable to outflank the longbowmen (because of the encroaching woodland) and unable to charge through the array of sharpened stakes that protected the archers. John Keegan argues that the longbows' main influence on the battle at this point was injuries to horses: armoured only on the head, many horses would have become dangerously out of control when struck in the back or flank from the high-elevation, long-range shots used as the charge started. The mounted charge and subsequent retreat churned up the already muddy terrain between the French and the English. Juliet Barker quotes a contemporary account by a monk from St. Denis who reports how the wounded and panicking horses galloped through the advancing infantry, scattering them and trampling them down in their headlong flight from the battlefield. Main French assault The plate armour of the French men-at-arms allowed them to close the 1,000 yards or so to the English lines while being under what the French monk of Saint Denis described as "a terrifying hail of arrow shot". A complete coat of plate was considered such good protection that shields were generally not used, although the Burgundian contemporary sources distinguish between Frenchmen who used shields and those who did not, and Rogers has suggested that the front elements of the French force used axes and shields. Modern historians are divided on how effective the longbows would have been against plate armour of the time. Modern test and contemporary accounts conclude that arrows could not penetrate the better quality steel armour, which became available to knights and men-at-arms of fairly modest means by the middle of the 14th century, but could penetrate the poorer quality wrought iron armour. Rogers suggested that the longbow could penetrate a wrought iron breastplate at short range and penetrate the thinner armour on the limbs even at . He considered a knight in the best-quality steel armour invulnerable to an arrow on the breastplate or top of the helmet, but vulnerable to shots hitting the limbs, particularly at close range. In any case, to protect themselves as much as possible from the arrows, the French had to lower their visors and bend their helmeted heads to avoid being shot in the face, as the eye- and air-holes in their helmets were among the weakest points in the armour. This head-lowered position restricted their breathing and their vision. Then they had to walk a few hundred yards (metres) through thick mud and a press of comrades while wearing armour weighing , gathering sticky clay all the way. Increasingly, they had to walk around or over fallen comrades. The surviving French men-at-arms reached the front of the English line and pushed it back, with the longbowmen on the flanks continuing to shoot at point-blank range. When the archers ran out of arrows, they dropped their bows and, using hatchets, swords and the mallets they had used to drive their stakes in, attacked the now disordered, fatigued and wounded French men-at-arms massed in front of them. The French could not cope with the thousands of lightly armoured longbowmen assailants (who were much less hindered by the mud and weight of their armour) combined with the English men-at-arms. The impact of thousands of arrows, combined with the slog in heavy armour through the mud, the heat and difficulty breathing in plate armour with the visor down, and the crush of their numbers, meant the French men-at-arms could "scarcely lift their weapons" when they finally engaged the English line. The exhausted French men-at-arms were unable to get up after being knocked to the ground by the English. As the mêlée developed, the French second line also joined the attack, but they too were swallowed up, with the narrow terrain meaning the extra numbers could not be used effectively. Rogers suggested that the French at the back of their deep formation would have been attempting to literally add their weight to the advance, without realising that they were hindering the ability of those at the front to manoeuvre and fight by pushing them into the English formation of lancepoints. After the initial wave, the French would have had to fight over and on the bodies of those who had fallen before them. In such a "press" of thousands of men, Rogers suggested that many could have suffocated in their armour, as was described by several sources, and which was also known to have happened in other battles. The French men-at-arms were taken prisoner or killed in the thousands. The fighting lasted about three hours, but eventually the leaders of the second line were killed or captured, as those of the first line had been. The English Gesta Henrici described three great heaps of the slain around the three main English standards. According to contemporary English accounts, Henry fought hand to hand. Upon hearing that his youngest brother Humphrey, Duke of Gloucester had been wounded in the groin, Henry took his household guard and stood over his brother, in the front rank of the fighting, until Humphrey could be dragged to safety. The king received an axe blow to the head, which knocked off a piece of the crown that formed part of his helmet. Attack on the English baggage train The only French success was an attack on the lightly protected English baggage train, with Ysembart d'Azincourt (leading a small number of men-at-arms and varlets plus about 600 peasants) seizing some of Henry's personal treasures, including a crown. Whether this was part of a deliberate French plan or an act of local brigandage is unclear from the sources. Certainly, d'Azincourt was a local knight but he might have been chosen to lead the attack because of his local knowledge and the lack of availability of a more senior soldier. In some accounts the attack happened towards the end of |
the area of Gaul that is now known as Burgundy (French Bourgogne) The Old Burgundian language (Germanic), an East Germanic language spoken by the Burgundians The Modern Burgundian language (Oïl), an Oïl language also known as spoken | the area of Gaul that is now known as Burgundy (French Bourgogne) The Old Burgundian language (Germanic), an East Germanic language spoken by the Burgundians The Modern |
mid-5th millennium BCE in a Vinča culture site in Pločnik (Serbia), although this culture is not conventionally considered part of the Bronze Age. The dating of the foil has been disputed. Near East Western Asia and the Near East were the first regions to enter the Bronze Age, which began with the rise of the Mesopotamian civilization of Sumer in the mid-4th millennium BCE. Cultures in the ancient Near East (often called one of "the cradles of civilization") practiced intensive year-round agriculture, developed writing systems, invented the potter's wheel, created centralized governments (usually in form of hereditary monarchies), written law codes, city-states and nation-states and empires, embarked on advanced architectural projects, introduced social stratification, economic and civil administration, slavery, and practiced organized warfare, medicine and religion. Societies in the region laid the foundations for astronomy, mathematics and astrology. Dates are approximate, consult particular article for details Anatolia The Hittite Empire was established in Hattusa in northern Anatolia from the 18th century BCE. In the 14th century BCE the Hittite Kingdom was at its height, encompassing central Anatolia, southwestern Syria as far as Ugarit, and upper Mesopotamia. After 1180 BCE, amid general turmoil in the Levant conjectured to have been associated with the sudden arrival of the Sea Peoples, the kingdom disintegrated into several independent "Neo-Hittite" city-states, some of which survived until as late as the 8th century BCE. Arzawa in Western Anatolia during the second half of the second millennium BCE likely extended along southern Anatolia in a belt that reaches from near the Turkish Lakes Region to the Aegean coast. Arzawa was the western neighbor—sometimes a rival and sometimes a vassal—of the Middle and New Hittite Kingdoms. The Assuwa league was a confederation of states in western Anatolia that was defeated by the Hittites under an earlier Tudhaliya I, around 1400 BCE. Arzawa has been associated with the much more obscure Assuwa generally located to its north. It probably bordered it, and may even be an alternative term for it (at least during some periods). Egypt Early Bronze dynasties In Ancient Egypt, the Bronze Age begins in the Protodynastic period, 3150 BCE. The archaic Early Bronze Age of Egypt, known as the Early Dynastic Period of Egypt, immediately follows the unification of Lower and Upper Egypt, 3100 BCE. It is generally taken to include the First and Second Dynasties, lasting from the Protodynastic Period of Egypt until about 2686 BCE, or the beginning of the Old Kingdom. With the First Dynasty, the capital moved from Abydos to Memphis with a unified Egypt ruled by an Egyptian god-king. Abydos remained the major holy land in the south. The hallmarks of ancient Egyptian civilization, such as art, architecture and many aspects of religion, took shape during the Early Dynastic Period. Memphis in the Early Bronze Age was the largest city of the time. The Old Kingdom of the regional Bronze Age is the name given to the period in the 3rd millennium BCE when Egypt attained its first continuous peak of civilization in complexity and achievement – the first of three "Kingdom" periods, which mark the high points of civilization in the lower Nile Valley (the others being Middle Kingdom and the New Kingdom). The First Intermediate Period of Egypt, often described as a "dark period" in ancient Egyptian history, spanned about 100 years after the end of the Old Kingdom from about 2181 to 2055 BCE. Very little monumental evidence survives from this period, especially from the early part of it. The First Intermediate Period was a dynamic time when the rule of Egypt was roughly divided between two competing for power bases: Heracleopolis in Lower Egypt and Thebes in Upper Egypt. These two kingdoms would eventually come into conflict, with the Theban kings conquering the north, resulting in the reunification of Egypt under a single ruler during the second part of the 11th Dynasty. Nubia The Bronze Age in Nubia started as early as 2300 BCE. Copper smelting was introduced by Egyptians to the Nubian city of Meroë, in modern-day Sudan, around 2600 BCE. A furnace for bronze casting has been found in Kerma that is dated to 2300–1900 BCE. Middle Bronze dynasties The Middle Kingdom of Egypt lasted from 2055 to 1650 BCE. During this period, the Osiris funerary cult rose to dominate Egyptian popular religion. The period comprises two phases: the 11th Dynasty, which ruled from Thebes and the 12th and 13th Dynasties centered on el-Lisht. The unified kingdom was previously considered to comprise the 11th and 12th Dynasties, but historians now at least partially consider the 13th Dynasty to belong to the Middle Kingdom. During the Second Intermediate Period, Ancient Egypt fell into disarray for a second time, between the end of the Middle Kingdom and the start of the New Kingdom. It is best known for the Hyksos, whose reign comprised the 15th and 16th dynasties. The Hyksos first appeared in Egypt during the 11th Dynasty, began their climb to power in the 13th Dynasty, and emerged from the Second Intermediate Period in control of Avaris and the Delta. By the 15th Dynasty, they ruled lower Egypt, and they were expelled at the end of the 17th Dynasty. Late Bronze dynasties The New Kingdom of Egypt, also referred to as the Egyptian Empire, lasted from the 16th to the 11th century BCE. The New Kingdom followed the Second Intermediate Period and was succeeded by the Third Intermediate Period. It was Egypt's most prosperous time and marked the peak of Egypt's power. The later New Kingdom, i.e. the 19th and 20th Dynasties (1292–1069 BCE), is also known as the Ramesside period, after the eleven pharaohs that took the name of Ramesses. Iranian Plateau Elam was a pre-Iranian ancient civilization located to the east of Mesopotamia. In the Old Elamite period (Middle Bronze Age), Elam consisted of kingdoms on the Iranian Plateau, centered in Anshan, and from the mid-2nd millennium BCE, it was centered in Susa in the Khuzestan lowlands. Its culture played a crucial role in the Gutian Empire and especially during the Iranian Achaemenid dynasty that succeeded it. The Oxus civilization was a Bronze Age Central Asian culture dated to 2300–1700 BCE and centered on the upper Amu Darya (Oxus). In the Early Bronze Age, the culture of the Kopet Dag oases and Altyndepe developed a proto-urban society. This corresponds to level IV at Namazga-Tepe. Altyndepe was a major center even then. Pottery was wheel-turned. Grapes were grown. The height of this urban development was reached in the Middle Bronze Age 2300 BCE, corresponding to level V at Namazga-Depe. This Bronze Age culture is called the Bactria–Margiana Archaeological Complex (BMAC). The Kulli culture, similar to those of the Indus Valley Civilisation, was located in southern Balochistan (Gedrosia) 2500–2000 BCE. Agriculture was the economic base of these people. At several places, dams were found, providing evidence for a highly developed water management system. Konar Sandal is associated with the hypothesized "Jiroft culture", a 3rd-millennium-BC culture postulated based on a collection of artifacts confiscated in 2001. Levant In modern scholarship, the chronology of the Bronze Age Levant is divided into Early/Proto Syrian; corresponding to the Early Bronze. Old Syrian; corresponding to the Middle Bronze. Middle Syrian; corresponding to the Late Bronze. The term Neo-Syria is used to designate the early Iron Age. The old Syrian period was dominated by the Eblaite first kingdom, Nagar and the Mariote second kingdom. The Akkadians conquered large areas of the Levant and were followed by the Amorite kingdoms, 2000–1600 BCE, which arose in Mari, Yamhad, Qatna, Assyria. From the 15th century BCE onward, the term Amurru is usually applied to the region extending north of Canaan as far as Kadesh on the Orontes River. The earliest-known Ugaritic contact with Egypt (and the first exact dating of Ugaritic civilization) comes from a carnelian bead identified with the Middle Kingdom pharaoh Senusret I, 1971–1926 BCE. A stela and a statuette from the Egyptian pharaohs Senusret III and Amenemhet III have also been found. However, it is unclear at what time these monuments got to Ugarit. In the Amarna letters, messages from Ugarit 1350 BCE written by Ammittamru I, Niqmaddu II, and his queen, were discovered. From the 16th to the 13th century BCE, Ugarit remained in constant touch with Egypt and Cyprus (named Alashiya). The Mitanni was a loosely organized state in northern Syria and south-east Anatolia from 1500–1300 BCE. Founded by an Indo-Aryan ruling class that governed a predominantly Hurrian population, Mitanni came to be a regional power after the Hittite destruction of Kassite Babylon created a power vacuum in Mesopotamia. At its beginning, Mitanni's major rival was Egypt under the Thutmosids. However, with the ascent of the Hittite empire, Mitanni and Egypt allied to protect their mutual interests from the threat of Hittite domination. At the height of its power, during the 14th century BCE, it had outposts centered on its capital, Washukanni, which archaeologists have located on the headwaters of the Khabur River. Eventually, Mitanni succumbed to Hittite, and later Assyrian attacks, and was reduced to a province of the Middle Assyrian Empire. The Israelites were an ancient Semitic-speaking people of the Ancient Near East who inhabited part of Canaan during the tribal and monarchic periods (15th to 6th centuries BCE), and lived in the region in smaller numbers after the fall of the monarchy. The name "Israel" first appears 1209 BCE, at the end of the Late Bronze Age and the very beginning of the Iron Age, on the Merneptah Stele raised by the Egyptian pharaoh Merneptah. The Aramaeans were a Northwest Semitic semi-nomadic and pastoralist people who originated in what is now modern Syria (Biblical Aram) during the Late Bronze Age and the early Iron Age. Large groups migrated to Mesopotamia, where they intermingled with the native Akkadian (Assyrian and Babylonian) population. The Aramaeans never had a unified empire; they were divided into independent kingdoms all across the Near East. After the Bronze Age collapse, their political influence was confined to many Syro-Hittite states, which were entirely absorbed into the Neo-Assyrian Empire by the 8th century BCE. Mesopotamia The Mesopotamian Bronze Age began about 3500 BCE and ended with the Kassite period ( 1500 BCE – 1155 BCE). The usual tripartite division into an Early, Middle and Late Bronze Age is not used. Instead, a division primarily based on art-historical and historical characteristics is more common. The cities of the Ancient Near East housed several tens of thousands of people. Ur, Kish, Isin, Larsa and Nippur in the Middle Bronze Age and Babylon, Calah and Assur in the Late Bronze Age similarly had large populations. The Akkadian Empire (2335–2154 BCE) became the dominant power in the region, and after its fall the Sumerians enjoyed a renaissance with the Neo-Sumerian Empire. Assyria was extant from as early as the 25th century BCE, and became a regional power with the Old Assyrian Empire ( 2025–1750 BCE). The earliest mention of Babylon (then a small administrative town) appears on a tablet from the reign of Sargon of Akkad in the 23rd century BCE. The Amorite dynasty established the city-state of Babylon in the 19th century BCE. Over 100 years later, it briefly took over the other city-states and formed the short-lived First Babylonian Empire during what is also called the Old Babylonian Period. Akkad, Assyria, and Babylonia all used the written East Semitic Akkadian language for official use and as a spoken language. By that time, the Sumerian language was no longer spoken, but was still in religious use in Assyria and Babylonia, and would remain so until the 1st century CE. The Akkadian and Sumerian traditions played a major role in later Assyrian and Babylonian culture, even though Babylonia (unlike the more militarily powerful Assyria) itself was founded by non-native Amorites and often ruled by other non-indigenous peoples, such as Kassites, Aramaeans and Chaldeans, as well as its Assyrian neighbors. Asia Central Asia Agropastoralism For many decades scholars made superficial reference to Central Asia as the "pastoral realm" or alternatively, the "nomadic world", in what researchers have come to call the "Central Asian void" - a 5000 year span that was neglected in studies of the origins of agriculture. Foothill regions and glacial melt streams supported Bronze Age agropastoralists who developed complex east-west trade routes between Central Asia and China that introduced wheat and barley to China and spread millet across Central Asia. Bactria–Margiana Archaeological Complex The Bactria–Margiana Archaeological Complex (BMAC), also known as the Oxus civilization, was a Bronze Age civilization in Central Asia, dated to c. 2400–1600 BCE, located in present-day northern Afghanistan, eastern Turkmenistan, southern Uzbekistan and western Tajikistan, centred on the upper Amu Darya (Oxus River). Its sites were discovered and named by the Soviet archaeologist Viktor Sarianidi (1976). Bactria was the Greek name for the area of Bactra (modern Balkh), in what is now northern Afghanistan, and Margiana was the Greek name for the Persian satrapy of Marguš, the capital of which was Merv, in modern-day southeastern Turkmenistan. A wealth of information indicates that the BMAC had close international relations with the Indus Valley, the Iranian Plateau, and possibly even indirectly with Mesopotamia, and all civilizations were very familiar with lost wax casting. According to recent studies the BMAC was not a primary contributor to later South-Asian genetics. Seima-Turbino Phenomenon The Altai Mountains in what is now southern Russia and central Mongolia have been identified as the point of origin of a cultural enigma termed the Seima-Turbino Phenomenon. It is conjectured that changes in climate in this region around 2000 BCE and the ensuing ecological, economic and political changes triggered a rapid and massive migration westward into northeast Europe, eastward into China and southward into Vietnam and Thailand across a frontier of some 4,000 miles. This migration took place in just five to six generations and | animal faces. These appear in three main motif types: those of demons, of symbolic animals, and abstract symbols. Many large bronzes also bear cast inscriptions that are the great bulk of the surviving body of early Chinese writing and have helped historians and archaeologists piece together the history of China, especially during the Zhou dynasty (1046–256 BCE). The bronzes of the Western Zhou dynasty document large portions of history not found in the extant texts that were often composed by persons of varying rank and possibly even social class. Further, the medium of cast bronze lends the record they preserve a permanence not enjoyed by manuscripts. These inscriptions can commonly be subdivided into four parts: a reference to the date and place, the naming of the event commemorated, the list of gifts given to the artisan in exchange for the bronze, and a dedication. The relative points of reference these vessels provide have enabled historians to place most of the vessels within a certain time frame of the Western Zhou period, allowing them to trace the evolution of the vessels and the events they record. Korea The beginning of the Bronze Age on the peninsula is around 1000–800 BCE. Although the Korean Bronze Age culture derives from the Liaoning and Manchuria, it exhibits unique typology and styles, especially in ritual objects. The Mumun pottery period is named after the Korean name for undecorated or plain cooking and storage vessels that form a large part of the pottery assemblage over the entire length of the period, but especially 850–550 BCE. The Mumun period is known for the origins of intensive agriculture and complex societies in both the Korean Peninsula and the Japanese Archipelago. The Middle Mumun pottery period culture of the southern Korean Peninsula gradually adopted bronze production ( 700–600? BCE) after a period when Liaoning-style bronze daggers and other bronze artifacts were exchanged as far as the interior part of the Southern Peninsula ( 900–700 BCE). The bronze daggers lent prestige and authority to the personages who wielded and were buried with them in high-status megalithic burials at south-coastal centers such as the Igeum-dong site. Bronze was an important element in ceremonies and as for mortuary offerings until 100. Japan The Japanese archipelago saw the introduction of bronze during the beginning of the Early Yayoi period (≈300 BCE), which saw the introduction of metalworking and agricultural practices brought in by settlers arriving from the continent. Bronze and iron smelting techniques spread to the Japanese archipelago through contact with other ancient East Asian civilizations, particularly immigration and trade from ancient Korean peninsula and ancient mainland China. Iron was mainly used for agricultural and other tools, whereas ritual and ceremonial artifacts were mainly made of bronze. South Asia Dates are approximate, consult particular article for details Indus Valley The Bronze Age on the Indian subcontinent began around 3300 BCE with the beginning of the Indus Valley civilization. Inhabitants of the Indus Valley, the Harappans, developed new techniques in metallurgy and produced copper, bronze, lead and tin. The Late Harappan culture, which dates from 1900 to 1400 BCE, overlapped the transition from the Bronze Age to the Iron Age; thus it is difficult to date this transition accurately. It has been claimed that a 6,000-year-old copper amulet manufactured in Mehrgarh in the shape of wheel spoke is the earliest example of lost wax casting in the world. The civilization's cities were noted for their urban planning, baked brick houses, elaborate drainage systems, water supply systems, clusters of large non-residential buildings, and new techniques in handicraft (carnelian products, seal carving) and metallurgy (copper, bronze, lead, and tin). The large cities of Mohenjo-daro and Harappa very likely grew to contain between 30,000 and 60,000 individuals, and the civilization itself during its florescence may have contained between one and five million individuals. Southeast Asia Thailand In Ban Chiang, Thailand, (Southeast Asia) bronze artifacts have been discovered dating to 2100 BCE. However, according to the radiocarbon dating on the human and pig bones in Ban Chiang, some scholars propose that the initial Bronze Age in Ban Chiang was in late 2nd millennium. In Nyaunggan, Burma, bronze tools have been excavated along with ceramics and stone artifacts. Dating is still currently broad (3500–500 BCE). Ban Non Wat, excavated by Charles Higham, was a rich site with over 640 graves excavated that gleaned many complex bronze items that may have had social value connected to them. Ban Chiang, however, is the most thoroughly documented site while having the clearest evidence of metallurgy when it comes to Southeast Asia. With a rough date range of late 3rd millennium BCE to the first millennium CE, this site alone has various artifacts such as burial pottery (dating from 2100 to 1700 BCE), fragments of Bronze, copper-base bangles, and much more. What's interesting about this site, however, is not just the old age of the artifacts but that this technology suggested on-site casting from the very beginning. The on-site casting supports the theory that Bronze was first introduced in Southeast Asia as fully developed which therefore shows that Bronze was innovated from a different country. Some scholars believe that the copper-based metallurgy was disseminated from northwest and central China via south and southwest areas such as Guangdong province and Yunnan province and finally into southeast Asia around 1000 BCE. Archaeology also suggests that Bronze Age metallurgy may not have been as significant a catalyst in social stratification and warfare in Southeast Asia as in other regions, social distribution shifting away from chiefdom-states to a heterarchical network. Data analyses of sites such as Ban Lum Khao, Ban Na Di, Non-Nok Tha, Khok Phanom Di, and Nong Nor have consistently led researchers to conclude that there was no entrenched hierarchy. Vietnam Dating back to the Neolithic Age, the first bronze drum, called the Dong Son drum, were uncovered in and around the Red River Delta regions of Northern Vietnam and Southern China. These relate to the prehistoric Dong Son Culture of Vietnam. Archaeological research in Northern Vietnam indicates an increase in rates of infectious disease following the advent of metallurgy; skeletal fragments in sites dating to the early and mid-Bronze Age evidence a greater proportion of lesions than in sites of earlier periods. There are a few possible implications of this. One is the increased contact with bacterial and/or fungal pathogens due to increased population density and land clearing/cultivation. The other one is decreased levels of immunocompetence in the Metal age due to changes in the diet caused by agriculture. The last is that there may have been an emergence of infectious disease in the Da But the period that evolved into a more virulent form in the metal period. Europe A few examples of named Bronze Age cultures in Europe in roughly relative order. Dates are approximate, consult particular article for details The chosen cultures overlapped in time and the indicated periods do not fully correspond to their estimated extents. Balkans A study in the journal Antiquity published in 2013 reported the discovery of a tin bronze foil from the Pločnik archaeological site securely dated to c. 4650 BCE as well as 14 other artifacts from Serbia and Bulgaria dated to before 4000 BCE has shown that early tin bronze was more common than previously thought, and developed independently in Europe 1500 years before the first tin bronze alloys in the Near East. The production of complex tin bronzes lasted for c. 500 years in the Balkans. The authors reported that evidence for the production of such complex bronzes disappears at the end of the 5th millennium coinciding with the "collapse of large cultural complexes in north-eastern Bulgaria and Thrace in the late fifth millennium BCE". Tin bronzes using cassiterite tin would be reintroduced to the area again some 1500 years later. Aegean Sea and Balkans The Aegean Bronze Age began around 3200 BCE, when civilizations first established a far-ranging trade network. This network imported tin and charcoal to Cyprus, where copper was mined and alloyed with the tin to produce bronze. Bronze objects were then exported far and wide and supported the trade. Isotopic analysis of tin in some Mediterranean bronze artifacts suggests that they may have originated from Great Britain. Knowledge of navigation was well developed at this time and reached a peak of skill not exceeded (except perhaps by Polynesian sailors) until 1730 when the invention of the chronometer enabled the precise determination of longitude. The Minoan civilization based in Knossos on the island of Crete appears to have coordinated and defended its Bronze Age trade. Ancient empires valued luxury goods in contrast to staple foods, leading to famine. Aegean collapse Bronze Age collapse theories have described aspects of the end of the Bronze Age in this region. At the end of the Bronze Age in the Aegean region, the Mycenaean administration of the regional trade empire followed the decline of Minoan primacy. Several Minoan client states lost much of their population to famine and/or pestilence. This would indicate that the trade network may have failed, preventing the trade that would previously have relieved such famines and prevented illness caused by malnutrition. It is also known that in this era the breadbasket of the Minoan empire, the area north of the Black Sea, also suddenly lost much of its population, and thus probably some capacity to cultivate crops. Drought and famine in Anatolia may have also led to the Aegean collapse by disrupting trade networks, and therefore preventing the Aegean from accessing bronze and luxury goods. The Aegean collapse has been attributed to the exhaustion of the Cypriot forests causing the end of the bronze trade. These forests are known to have existed into later times, and experiments have shown that charcoal production on the scale necessary for the bronze production of the late Bronze Age would have exhausted them in less than fifty years. The Aegean collapse has also been attributed to the fact that as iron tools became more common, the main justification for the tin trade ended, and that trade network ceased to function as it did formerly. The colonies of the Minoan empire then suffered drought, famine, war, or some combination of those three, and had no access to the distant resources of an empire by which they could easily recover. The Thera eruption occurred 1600 BCE, north of Crete. Speculation includes that a tsunami from Thera (more commonly known today as Santorini) destroyed Cretan cities. A tsunami may have destroyed the Cretan navy in its home harbor, which then lost crucial naval battles; so that in the LMIB/LMII event ( 1450 BCE) the cities of Crete burned and the Mycenaean civilization took over Knossos. If the eruption occurred in the late 17th century BCE (as most chronologists now think) then its immediate effects belong to the Middle to Late Bronze Age transition, and not to the end of the Late Bronze Age, but it could have triggered the instability that led to the collapse first of Knossos and then of Bronze Age society overall. One such theory highlights the role of Cretan expertise in administering the empire, post—Thera. If this expertise was concentrated in Crete, then the Mycenaeans may have made political and commercial mistakes in administering the Cretan empire. Archaeological findings, including some on the island of Thera, suggest that the center of the Minoan civilization at the time of the eruption was actually on Thera rather than on Crete. According to this theory, the catastrophic loss of the political, administrative and economic center due to the eruption, as well as the damage wrought by the tsunami to the coastal towns and villages of Crete precipitated the decline of the Minoans. A weakened political entity with a reduced economic and military capability and fabled riches would have then been more vulnerable to conquest. Indeed, the Santorini eruption is usually dated to 1630 BCE, while the Mycenaean Greeks first enter the historical record a few decades later, 1600 BCE. The later Mycenaean assaults on Crete ( 1450 BCE) and Troy ( 1250 BCE) would have been a continuation of the steady encroachment of the Greeks upon the weakened Minoan world. Central Europe In Central Europe, the early Bronze Age Unetice culture (1800–1600 BCE) includes numerous smaller groups like the Straubing, Adlerberg and Hatvan cultures. Some very rich burials, such as the one located at Leubingen with grave gifts crafted from gold, point to an increase of social stratification already present in the Unetice culture. All in all, cemeteries of this period are rare and of small size. The Unetice culture is followed by the middle Bronze Age (1600–1200 BCE) Tumulus culture, which is characterised by inhumation burials in tumuli (barrows). In the eastern Hungarian Körös tributaries, the early Bronze Age first saw the introduction of the Mako culture, followed by the Otomani and Gyulavarsand cultures. The late Bronze Age Urnfield culture (1300–700 BCE) is characterized by cremation burials. It includes the Lusatian culture in eastern Germany and Poland (1300–500 BCE) that continues into the Iron Age. The Central European Bronze Age is followed by the Iron Age Hallstatt culture (700–450 BCE). Important sites include: Biskupin (Poland) Nebra (Germany) Vráble (Slovakia) Zug-Sumpf, Zug, Switzerland The Bronze Age in Central Europe has been described in the chronological schema of German prehistorian Paul Reinecke. He described Bronze A1 (Bz A1) period (2300–2000 BCE: triangular daggers, flat axes, stone wrist-guards, flint arrowheads) and Bronze A2 (Bz A2) period (1950–1700 BCE: daggers with metal hilt, flanged axes, halberds, pins with perforated spherical heads, solid bracelets) and phases Hallstatt A and B (Ha A and B). South Europe The Apennine culture (also called Italian Bronze Age) is a technology complex of central and southern Italy spanning the Chalcolithic and Bronze Age proper. The Camuni were an ancient people of uncertain origin (according to Pliny the Elder, they were Euganei; according to Strabo, they were Rhaetians) who lived in Val Camonica—in what is now northern Lombardy—during the Iron Age, although human groups of hunters, shepherds and farmers are known to have lived in the area since the Neolithic. Located in Sardinia and Corsica, the Nuragic civilization lasted from the early Bronze Age (18th century BCE) to the 2nd century CE, when the islands were already Romanized. They take their name from the characteristic Nuragic towers, which evolved from the pre-existing megalithic culture, which built dolmens and menhirs. The nuraghe towers are unanimously considered the best-preserved and largest megalithic remains in Europe. Their effective use is still debated: some scholars considered them as monumental tombs, others as Houses of the Giants, other as fortresses, ovens for metal fusion, prisons or, finally, temples for a solar cult. Around the end of the 3rd millennium BCE, Sardinia exported towards Sicily a Culture that built small dolmens, trilithic or polygonal shaped, that served as tombs as it has been ascertained in the Sicilian dolmen of “Cava dei Servi”. From this region, they reached Malta island and other countries of Mediterranean basin. The Terramare was an early Indo-European civilization in the area of what is now Pianura Padana (northern Italy) before the arrival of the Celts and in other parts of Europe. They lived in square villages of wooden stilt houses. These villages were built on land, but generally near a stream, with roads that crossed each other at right angles. The whole complex denoted the nature of a fortified settlement. Terramare was widespread in the Pianura Padana (especially along the Panaro river, between Modena and Bologna) and in the rest of Europe. The civilization developed in the Middle and Late Bronze Age, between the 17th and the 13th centuries BCE. The Castellieri culture developed in Istria during the Middle Bronze Age. It lasted for more than a millennium, from the 15th century BCE until the Roman conquest in the 3rd century BCE. It takes its name from the fortified boroughs (Castellieri, Friulian: cjastelir) that characterized the culture. The Canegrate culture developed from the mid-Bronze Age (13th century BCE) until the Iron Age in the Pianura Padana, in what are now western Lombardy, eastern Piedmont and Ticino. It takes its name from the township of Canegrate where, in the 20th century, some fifty tombs with ceramics and metal objects were found. The Canegrate culture migrated from the northwest part of the Alps and descended to Pianura Padana from the Swiss Alps passes and the Ticino. The Golasecca culture developed starting from the late Bronze Age in the Po plain. It takes its name from Golasecca, a locality next to the Ticino where, in the early 19th century, abbot Giovanni Battista Giani excavated its first findings (some fifty tombs with ceramics and metal objects). Remains of the Golasecca culture span an area of c. 20,000 square kilometers south to the Alps, between the Po, Sesia and Serio rivers, dating from the 9th to the 4th century BCE. West Europe Atlantic Bronze Age The Atlantic Bronze Age is a cultural complex of the period of approximately 1300–700 BCE that includes different cultures in Portugal, Andalusia, Galicia, and the British Isles. It is marked by economic and cultural exchange. Commercial contacts extend to Denmark and the Mediterranean. The Atlantic Bronze Age was defined by many distinct regional centers of metal production, unified by a regular maritime exchange of some of their products. Great Britain In Great Britain, the Bronze Age is considered to have been the period from around 2100 to 750 BCE. Migration brought new people to the islands from the continent. Recent tooth enamel isotope research on bodies found in early Bronze Age graves around Stonehenge indicates that at least some of the migrants came from the area of modern Switzerland. Another example site is Must Farm, near Whittlesey, which has recently been host to the most complete Bronze Age wheel ever to be found. The Beaker culture displayed different behaviors from the earlier Neolithic people, and cultural change was significant. Integration is thought to have been peaceful, as many of the early henge sites were seemingly adopted by the newcomers. The rich Wessex culture developed in southern Britain at this time. Additionally, the climate was deteriorating; where once the weather was warm and dry it became much wetter as the Bronze Age continued, forcing the population away from easily defended sites in the hills and into the fertile valleys. Large livestock farms developed in the lowlands and appear to have contributed to economic growth and inspired increasing forest clearances. The Deverel-Rimbury culture began to emerge in the second half of the Middle Bronze Age ( 1400–1100 BCE) to exploit these conditions. Devon and Cornwall were major sources of tin for much of western Europe and copper was extracted from sites such as the Great Orme mine in northern Wales. Social groups appear to have been tribal but with growing complexity and hierarchies becoming apparent. The burial of the dead (which, until this period, had usually been communal) became more individual. For example, whereas in the Neolithic a large chambered cairn or long barrow housed the dead, Early Bronze Age people buried their dead in individual barrows (also commonly known and marked on modern British Ordnance Survey maps as tumuli), or sometimes in cists covered with cairns. The greatest quantities of bronze objects in England were discovered in East Cambridgeshire, where the most important finds were recovered in Isleham (more than 6500 pieces). Alloying of copper with zinc or tin to make brass or bronze was practiced soon after the discovery of copper itself. One copper mine at Great Orme in North Wales, extended to a depth of 70 meters. At Alderley Edge in Cheshire, carbon dates have established mining at around 2280 to 1890 BCE (at 95% probability). The earliest identified metalworking site (Sigwells, Somerset) is much later, dated by Globular Urn style pottery to approximately the 12th century BCE. The identifiable sherds from over 500 mould fragments included a perfect fit of the hilt of a sword in the Wilburton style held in Somerset County Museum. Ireland The Bronze Age in Ireland commenced around 2000 BCE when copper was alloyed with tin and used to manufacture Ballybeg type flat axes and associated metalwork. The preceding period is known as the Copper Age and is characterised by the production of flat axes, daggers, halberds and awls in copper. The period is divided into three phases: Early Bronze Age (2000–1500 BCE), Middle Bronze Age (1500–1200 BCE), and Late Bronze Age (1200– 500 BCE). Ireland is also known for a relatively large number of Early Bronze Age burials. One of the characteristic types of artifact of the Early Bronze Age in Ireland is the flat axe. There are five main types of flat axes: Lough Ravel ( 2200 BCE), Ballybeg ( 2000 BCE), Killaha ( 2000 BCE), Ballyvalley ( 2000–1600 BCE), Derryniggin ( 1600 BCE), and a number of metal ingots in the shape of axes. North Europe The Bronze Age in Northern Europe spans the entire 2nd millennium BCE (Unetice culture, Urnfield culture, Tumulus culture, Terramare culture, Lusatian culture) lasting until 600 BCE. The Northern Bronze Age was both a period and a Bronze Age culture in Scandinavian pre-history, 1700–500 BCE, with sites that reached as far east as Estonia. Succeeding the Late Neolithic culture, its ethnic and linguistic affinities are unknown in the absence of written sources. It is followed by the Pre-Roman Iron Age. Even though Northern European Bronze Age cultures were relatively late, and came into existence via trade, sites present rich and well-preserved objects made of wool, wood and imported Central European bronze and gold. Many rock carvings depict ships, and the large stone burial monuments known as stone ships suggest that shipping played an important role. Thousands of rock carvings depict ships, most probably representing sewn plank built canoes for warfare, fishing, and trade. These may have a history as far back as the neolithic period and continue into the Pre-Roman Iron Age, as shown by the Hjortspring boat. There are many mounds and rock carving sites from the period. Numerous artifacts of bronze and gold are found. No written language existed in the Nordic countries during the Bronze Age. The rock carvings have been dated through comparison with depicted artifacts. Caucasus Arsenical bronze artifacts of the Maykop culture in the North Caucasus have been dated around the 4th millennium BCE. This innovation resulted in the circulation of arsenical bronze technology over southern and eastern Europe. Pontic–Caspian steppe The Yamnaya culture is a Late Copper Age/Early Bronze Age culture of the Southern Bug/Dniester/Ural region (the Pontic steppe), dating to the 36th–23rd centuries BCE. The name also appears in English as Pit-Grave Culture or Ochre-Grave Culture. The Catacomb culture, 2800–2200 BCE, comprises several related Early Bronze Age cultures occupying what is presently Russia and Ukraine. The Srubnaya culture was a Late Bronze Age (18th–12th centuries BCE) culture. It is a successor to the Yamnaya |
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If the programme returns, it appears that the business segments may not do so, as part of cuts to the news operation announced by the BBC. Other programmes include: BBC World News America – Comprehensive news and analysis with Laura Trevelyan or Katty Kay. Broadcast from the BBC's Washington D.C. studio. This programme was broadcast during a few weeks of the year when daylight savings schedules of the UK and the USA ran out of sync. It is now broadcast occasionally when BBC News at Ten is running late due to programming on BBC One and sometimes shown live when broadcasting significant events are happening in the Americas. Click – A guide to gadgets, websites, games and computer industry news. Dateline London – Foreign correspondents based in London give their views on the week's international news. HARDtalk – Stephen Sackur talks to newsmakers and personalities from across the globe. Our World – Features the BBC's news programmes on current issues around the world. The documentaries are intended to showcase BBC journalism at its best. Panorama – Current affairs programme, featuring interviews and investigative reports on a wide variety of subjects. Reporters – This programme, a showcase of reports from the BBC's global network of correspondents, occasionally airs on BBC News. The World Debate – The panels and contributing audiences discuss topical themes put to representatives from global politics, finance, business, the arts, media and other areas. The Travel Show Inside Out England – A selection of stories from the regional programmes across England, presented by Elaine Dunkley. Witness – A monthly round-up of BBC World's stories of global events told by the people who were there. Previous BBC News programming includes Head 2 Head, Your News, E24, The Record Europe, STORYFix, Politics Europeand News 24 Tonight, a weekday evening programme which ran from 2005 to 2008, providing a round up of the day's news. It also now includes Victoria Derbyshire, which ran from 2015, the cancellation of which was announced by the BBC before the COVID-19 pandemic significantly impacted the UK.Victoria Derbyshire. The programme had featured original stories, exclusive interviews, audience debate and breaking news. 2015 schedule changes As part of budget cuts, major changes to the channel were announced in late 2014/early 2015. This included axing some bulletins and replacing them with Victoria Derbyshire and BBC Business Live with Sally Bundock and Ben Thompson in the morning. Outside Source with Ros Atkins – an "interactive" show already broadcast on BBC World News – aired Mondays-Thursday at (during major stories 18:00) and 21:00 and a new edition of World News Today Friday-Sunday at 21:00 (during major stories 19:00/20:00 Monday-Friday) adding to the 19:00 edition on BBC Four. HARDtalk was moved to 20:30 in May. The 00:00 edition was replaced on Sundays–Thursday with Newsday and on Friday-Saturday a standard edition of BBC World News. BBC World News shared programming This has now been expanded by the COVID-19 crisis. For a description, see above under BBC One, BBC Two and BBC World simulcasts. The following operates as a description prior to COVID-19. Between 23:00–06:00 UK time, the channel simulcast with its sister channel, BBC World News, for the first 25 minutes of each hour with world news shown all through the simulcasts. On 1 October 2007, BBC World News started broadcasting BBC World News America and World News Today at 00:00 and 03:00 GMT respectively. World News Today was simulcast on the BBC News channel at 03:00 GMT. BBC World News America used to be aired as a reduced length, time-delayed version at 00:30 GMT, with ABC World News Tonight with David Muir also being shown at 01:30 every Tuesday-Friday. From 13 June 2011, the weekday editions of BBC News at 01:00, 02:00, 03:00 and 04:00 were replaced with Newsday. The programme acts as a morning news bulletin for the Asia-Pacific region and is broadcast as a double-headed news bulletin with Rico Hizon in Singapore and Babita Sharma in London. Asia Business Report and Sport Today are aired at the back of the first three hours of Newsday. But Newsday changed to 23:00–02:00 on BBC News a year later meaning Mike Embley presents Tuesday-Friday BBC World News 23:00–02:00 with Kasia Madera on Saturdays and Daniela Ritorto 00:00–06:00 Sunday, 02:00–05:00 Friday/Monday. BBC World News and World Business Report air at 05:00. This was previously known as The World Today, However, since November 2017 this was rebranded as The Briefing and Business Briefing on both channels and in lieu of commercials seen on the international broadcasts, the presenters gave a brief update on UK news for domestic audiences. In June 2015, BBC News began simulcasting Outside Source with Ros Atkins on Mondays-Thursday at (during major stories 18:00) / at 21:00 and a new edition of World News Today Friday-Sunday at (during major stories Monday-Friday 19:00) 21:00. Since January 2017, they began simulcasting Beyond 100 Days (previously '100 Days and 100 Days +) Monday to Thursday at 19:00, presented from London and Washington. During August, Beyond 100 Days is replaced by another edition of World News Today. Traditionally, during simulcasts in December, care has been taken to conceal the newsroom Christmas tree for international audiences. Normally between 24 and 27 December, BBC World News bulletins are shown hourly. From 2015, the 21:00 bulletin has always been an edition of World News Today, replacing Outside Source with Ros Atkins. Sports Since 5 March 2012, sports bulletins come from the BBC Sport Centre in MediaCityUK in Salford Quays, where the sports network BBC Radio 5 Live is also based. Headlines are usually provided at 15 minutes past the hour with a full bulletin after the bottom-of-the-hour headlines. There are also extended sports bulletins per day, entitled Sportsday or Sport Today (when simulcasting with BBC World News) broadcast at 00:45, 01:45, 02:45, 03:45, 13:30, 18:30, 19:30 (weekends only), 22:30 (weekdays only). Each bulletin is read by a single sports presenter, with the exception of Saturday Sportsday, which is double headed. The channel's sports bulletins (internally known as Sport 24) have always had a separate, dedicated production gallery, which is also responsible for the graphics. Bulletins during BBC Breakfast are presented by Sally Nugent or Mike Bushell, with the latter also appearing on other sports bulletins on the channel. the main sports presenters on the channel are Olly Foster, Gavin Ramjaun, Katie Gornall, Chetan Pathak, Katherine Downes, Tulsen Tollett, Lizzie Greenwood-Hughes and John Watson. Until March 2012 bulletins came from the News Channel studio at the quarter to the hour. Presenters for bulletins on the channel have included: Reshmin Chowdhury, Amanda Davies, Sean Fletcher, Matt Gooderick, Celina Hinchcliffe, Rachael Hodges, Damian Johnson, Adnan Nawaz and Olympic gold medallist turned journalist Matthew Pinsent. Business Before BBC News moved to Broadcasting House, an hourly business update was included during the weekday schedule from the BBC Business Unit. There were two shifts, from 08:30 to 14:00 and 14:00 to 23:00, presented by Penny Haslam, Maryam Moshiri, Ben Thompson, Adam Parsons, Susannah Streeter, Joe Lynam, Sara Coburn or Sally Eden. News Channel updates were usually broadcast at 40 minutes past the hour between 08:00 and 23:00. The 21:40 round-up was often earlier and the 22:40 bulletin is an extended round-up of the day's business news. Until May 2009, the business updates on the BBC News Channel were broadcast from one of the London Stock Exchange's studios in central London. From then until March 2013 the bulletins were provided from the channel's studio at BBC Television Centre. The business updates were axed in March 2013 as part of the BBC's Delivering Quality First plan. But after complaints returned in November 2013. Stock market updates now only appear during the quarter-to-the-hour headlines. Rachel Horne is the main presenter from 13:30 to 18:00, with Vishala Sri-Pathma, Alice Baxter, Jamie Robertson, Aaron Heslehurst and Sally Bundock. There is normally an extended bulletin at 16:45 when the main business stories of the day are discussed on Afternoon Live. Bundock and Thompson present Business Live on weekdays at 08:30. Declan Curry presented Your Money, a weekly round-up on a Saturday morning. Rico Hizon or Sharanjit Leyl regularly presented the main business stories during the early hours of the morning from Singapore during the BBC's Asia Business Report, which is simulcast from BBC World News. Alice Baxter and Sally Bundock presented World Business Report. News presenters Sally Bundock The Briefing, Business Briefing, World Business Report, Business Live, BBC World News, The Papers David Eades The Briefing, Business Briefing, World Business Report, Business Live, BBC World News, The Papers Ben | News presenter shift after BBC News at Ten until 01:00 followed by overnight coverage beginning an hour early. Asia Business Report – Live from Singapore, the essential business news as it breaks and a look ahead to the news that will shape the business day. This was presented by whoever covered the Newsday shift. Sportsday/Sport Today – All the latest sports news and results from around the globe. World Business Report – The latest business news with informed analysis from the world's financial centres. Business Live – Sally Bundock and Ben Thompson or Tanya Beckett with the latest business news as it breaks and a look ahead to the news that will shape the business day. With the latest news from end of trading in Asia, latest from Europe, Middle East and Americas. The Papers – From around 2017, the nightly editions were usually to Clive Myrie and Martine Croxall to present lively and informed conversation about the next day's or today's headlines. Myrie has increasingly been deployed to news reporting or to coverage of flagship BBC One bulletins, while Croxall generally covered some late weekday and weekend shifts. Other News Channel presenters filled in across the week. The nightly editions are now presented by a presenter from BBC World News, and one edition simulcast on BBC World News. Croxall, and other presenters from the News Channel, do present the night-time Papers programmes as part of Saturday and Sunday evening shifts. The Sunday-morning edition continues to be presented usually by Ben Brown as part of the News Channel 09:00 to 14:00 shift. Branded programming BBC News at Nine – Live from Broadcasting House in London, an in-depth look at the morning news and briefing on the day's events. This programme included News Briefing, involving a look at top stories on the BBC News website through smartphone access, but during the COVID-19 pandemic now follows a different format involving Victoria Derbyshire. BBC News at Five – This was an hour of news live from Broadcasting House in London, usually presented by Huw Edwards or Jane Hill, with an in-depth look back at the day's national and international news, sport and weather. The new schedule under the COVID-19 pandemic involves the BBC News at One presenter continuing on air until 16:00, replacing Afternoon Live. Another presenter then takes over and this shift is extended until 18:00. In line with much branded programming, the BBC News at Five is not currently on air. Outside Source – (Monday-Thursday) Ros Atkins, Kasia Madera or Babita Sharma host live reports linking up with the BBC's global network of correspondents. (This was occasionally simulcast at 18:00 weekdays during major stories. It is now broadcast 20:00 to 22:00, the News Channel now taking both hours of the programme.) World News Today – Under COVID-19, this is effectively part of the news coverage simulcast with BBC World News during the weekends (including Friday mid-evening and the approximate half hour slot from 21:00 Saturdays and Sundays). There is also a half hour programme at midnight. A news programme for audiences who want more depth to their coverage. With a focus on the UK, Europe, Middle East and Africa, Kasia Madera, Nancy Kacungira, Lukwesa Burak and Lewis Vaughan Jones bring context and understanding to the most complex of events. It used to be broadcast at 19:00 and was also on BBC Four when Beyond 100 Days was not on air. Prime Minister's Questions – Live coverage of PMQs from the House of Commons without comment or interruption. BBC Newsroom Live – Stay up to date on the day's top stories, with the latest breaking news as it happens. Now run as a generic BBC World News bulletin during COVID-19 changes. Afternoon Live – Simon McCoy and the team with all the day's top stories, weather, business and sport and breaking news as it happens. Including news from the BBC's nations and regions, as well as the BBC's global network of correspondents. Rachel Horn/Ben Bland business This programme is currently not on air, due to the COVID-19 pandemic. If the programme returns, it appears that the business segments may not do so, as part of cuts to the news operation announced by the BBC. Other programmes include: BBC World News America – Comprehensive news and analysis with Laura Trevelyan or Katty Kay. Broadcast from the BBC's Washington D.C. studio. This programme was broadcast during a few weeks of the year when daylight savings schedules of the UK and the USA ran out of sync. It is now broadcast occasionally when BBC News at Ten is running late due to programming on BBC One and sometimes shown live when broadcasting significant events are happening in the Americas. Click – A guide to gadgets, websites, games and computer industry news. Dateline London – Foreign correspondents based in London give their views on the week's international news. HARDtalk – Stephen Sackur talks to newsmakers and personalities from across the globe. Our World – Features the BBC's news programmes on current issues around the world. The documentaries are intended to showcase BBC journalism at its best. Panorama – Current affairs programme, featuring interviews and investigative reports on a wide variety of subjects. Reporters – This programme, a showcase of reports from the BBC's global network of correspondents, occasionally airs on BBC News. The World Debate – The panels and contributing audiences discuss topical themes put to representatives from global politics, finance, business, the arts, media and other areas. The Travel Show Inside Out England – A selection of stories from the regional programmes across England, presented by Elaine Dunkley. Witness – A monthly round-up of BBC World's stories of global events told by the people who were there. Previous BBC News programming includes Head 2 Head, Your News, E24, The Record Europe, STORYFix, Politics Europeand News 24 Tonight, a weekday evening programme which ran from 2005 to 2008, providing a round up of the day's news. It also now includes Victoria Derbyshire, which ran from 2015, the cancellation of which was announced by the BBC before the COVID-19 pandemic significantly impacted the UK.Victoria Derbyshire. The programme had featured original stories, exclusive interviews, audience debate and breaking news. 2015 schedule changes As part of budget cuts, major changes to the channel were announced in late 2014/early 2015. This included axing some bulletins and replacing them with Victoria Derbyshire and BBC Business Live with Sally Bundock and Ben Thompson in the morning. Outside Source with Ros Atkins – an "interactive" show already broadcast on BBC World News – aired Mondays-Thursday at (during major stories 18:00) and 21:00 and a new edition of World News Today Friday-Sunday at 21:00 (during major stories 19:00/20:00 Monday-Friday) adding to the 19:00 edition on BBC Four. HARDtalk was moved to 20:30 in May. The 00:00 edition was replaced on Sundays–Thursday with Newsday and on Friday-Saturday a standard edition of BBC World News. BBC World News shared programming This has now been expanded by the COVID-19 crisis. For a description, see above under BBC One, BBC Two and BBC World simulcasts. The following operates as a description prior to COVID-19. Between 23:00–06:00 UK time, the channel simulcast with its sister channel, BBC World News, for the first 25 minutes of each hour with world news shown all through the simulcasts. On 1 October 2007, BBC World News started broadcasting BBC World News America and World News Today at 00:00 and 03:00 GMT respectively. World News Today was simulcast on the BBC News channel at 03:00 GMT. BBC World News America used to be aired as a reduced length, time-delayed version at 00:30 GMT, with ABC World News Tonight with David Muir also being shown at 01:30 every Tuesday-Friday. From 13 June 2011, the weekday editions of BBC News at 01:00, 02:00, 03:00 and 04:00 were replaced with Newsday. The programme acts as a morning news bulletin for the Asia-Pacific region and is broadcast as a double-headed news bulletin with Rico Hizon in Singapore and Babita Sharma in London. Asia Business Report and Sport Today are aired at the back of the first three hours of Newsday. But Newsday changed to 23:00–02:00 on BBC News a year later meaning Mike Embley presents Tuesday-Friday BBC World News 23:00–02:00 with Kasia Madera on Saturdays and Daniela Ritorto 00:00–06:00 Sunday, 02:00–05:00 Friday/Monday. BBC World News and World Business Report air at 05:00. This was previously known as The World Today, However, since November 2017 this was rebranded as The Briefing and Business Briefing on both channels and in lieu of commercials seen on the international broadcasts, the presenters gave a brief update on UK news for domestic audiences. In June 2015, BBC News began simulcasting Outside Source with Ros Atkins on Mondays-Thursday at (during major stories 18:00) / at 21:00 and a new edition of World News Today Friday-Sunday at (during major stories Monday-Friday 19:00) 21:00. Since January 2017, they began simulcasting Beyond 100 Days (previously '100 Days and 100 Days +) Monday to Thursday at 19:00, presented from London and Washington. During August, Beyond 100 Days is replaced by another edition of World News Today. Traditionally, during simulcasts in December, care has been taken to conceal the newsroom Christmas tree for international audiences. Normally between 24 and 27 December, BBC World News bulletins are shown hourly. From 2015, the 21:00 bulletin has always been an edition of World News Today, replacing Outside Source with Ros Atkins. Sports Since 5 March 2012, sports bulletins come from the BBC Sport Centre in MediaCityUK in Salford Quays, where the sports network BBC Radio 5 Live is also based. Headlines are usually provided at 15 minutes past the hour with a full bulletin after the bottom-of-the-hour headlines. There are also extended sports bulletins per day, entitled Sportsday or Sport Today (when simulcasting with BBC World News) broadcast at 00:45, 01:45, 02:45, 03:45, 13:30, 18:30, 19:30 (weekends only), 22:30 (weekdays only). Each bulletin is read by a single sports presenter, with the exception of Saturday Sportsday, which is double headed. The channel's sports bulletins (internally known as Sport 24) have always had a separate, dedicated production gallery, which is also responsible for the graphics. Bulletins during BBC Breakfast are presented by Sally Nugent or Mike Bushell, with the latter also appearing on other sports bulletins on the channel. the main sports presenters on the channel are Olly Foster, Gavin Ramjaun, Katie Gornall, Chetan Pathak, Katherine Downes, Tulsen Tollett, Lizzie Greenwood-Hughes and John Watson. Until March 2012 bulletins came from the News Channel studio at the quarter to the hour. Presenters for bulletins on the channel have included: Reshmin Chowdhury, Amanda Davies, Sean Fletcher, Matt Gooderick, Celina Hinchcliffe, Rachael Hodges, Damian Johnson, Adnan Nawaz and Olympic gold medallist turned journalist Matthew Pinsent. Business Before BBC News moved to Broadcasting House, an hourly business update was included during the weekday schedule from the BBC Business Unit. There were two shifts, from 08:30 to 14:00 and 14:00 to 23:00, presented by Penny Haslam, Maryam Moshiri, Ben Thompson, Adam Parsons, Susannah Streeter, Joe Lynam, Sara Coburn or Sally Eden. News Channel updates were usually broadcast at 40 minutes past the hour between 08:00 and 23:00. The 21:40 round-up was often earlier and the 22:40 bulletin is an extended round-up of the day's business news. Until May 2009, the business updates on the BBC News Channel were broadcast from one of the London Stock Exchange's studios in central London. From then until March 2013 the bulletins were provided from the channel's studio at BBC Television Centre. The business updates were axed in March 2013 as part of the BBC's Delivering Quality First plan. But after complaints returned in November 2013. Stock market updates now only appear during the quarter-to-the-hour headlines. Rachel Horne is the main presenter from 13:30 to 18:00, with Vishala Sri-Pathma, Alice Baxter, Jamie Robertson, Aaron Heslehurst and Sally Bundock. There is normally an extended bulletin at 16:45 when the main business stories of the day are discussed on Afternoon Live. Bundock and Thompson present Business Live on weekdays at 08:30. Declan Curry presented Your Money, a weekly round-up on a Saturday morning. Rico Hizon or Sharanjit Leyl regularly presented the main business stories during the early hours of the morning from Singapore during the BBC's Asia Business Report, which is simulcast from BBC World News. Alice Baxter and Sally Bundock presented World Business Report. News presenters Sally Bundock The Briefing, Business Briefing, World Business Report, Business Live, BBC World News, The Papers David Eades The Briefing, Business Briefing, World Business Report, Business Live, BBC World News, The Papers Ben Thompson World Business Report, Business Live, BBC News Aaron Heslehurst World Business Report, Business Live, The Papers Ben Brown BBC News, BBC Weekend News, World News Today Jane Hill BBC News, BBC News at One, BBC News at Six, BBC News at Ten, The Film Review Huw Edwards BBC News at Five, BBC News at Ten, BBC News Special, Election Night Ros Atkins Outside Source Katty Kay Beyond 100 Days,World News America & Newsday (the latter is when broadcasting from US during significant events) Christian Fraser BBC World News, BBC News, Context, The Papers Karin Giannone World News Today, Newsday, BBC World News Nancy Kacungira World News Today, BBC World News Joanna Gosling Newsroom Live, Victoria Derbyshire with Joanna Gosling, BBC News Annita McVeigh Newsroom Live, Victoria Derbyshire (Newsreader), BBC News, BBC World News Julian Worricker BBC News, Victoria Derbyshire with Julian Worricker Emily Maitlis BBC News at One, BBC News at Six, BBC News at Ten, BBC News, Newsnight, Election Night Clive Myrie BBC News at One, BBC News at Six, BBC News at Ten, BBC News, The Papers & World News Today, Beyond 100 Days Babita Sharma Newsday, BBC World News & World News Today Kasia Madera Newsday, BBC World News, BBC News & World News Today Sharanjit Leyl Newsday, BBC World News, World News Today & Asia Business Report Mike Embley BBC World News Naga Munchetty BBC World News, Breakfast, Victoria Derbyshire, The Papers Martine Croxall BBC News, The Papers, World News Today Victoria Derbyshire Victoria Derbyshire, BBC News, BBC World News, BBC News at Nine' Fiona Bruce BBC News at Six, BBC News at Ten, BBC News George Alagiah BBC News at Six, BBC News at Ten Sophie Raworth BBC News at One, BBC News at Six, BBC News at Ten, BBC News Kate Silverton BBC News at One, BBC News at Six, BBC News at Ten, BBC News, BBC Weekend News, BBC World News Reeta Chakrabarti BBC News at One, BBC News at Six, BBC News at Ten, BBC News, BBC Weekend News, Newsroom Live, Victoria Derbyshire (Newsreader) Mishal Husain BBC News at Six, BBC News at Ten, BBC News, BBC Weekend News, BBC World News, Election Night Nuala McGovern Outside Source, World News Today Alice Baxter BBC World News, World Business Report, Business Live World News Today, BBC Business, The Papers, Afternoon Live Alpa Patel BBC World News, World News Today, Newsday Matthew Amroliwala BBC News, BBC World News, BBC Weekend News Carrie Gracie BBC News, BBC News at Nine, BBC Weekend News, Afternoon Live, BBC World News, HARDtalk Relief Chris Rogers BBC News, The Papers, Newsday, BBC World News, World News Today, Our World, Inside Out England Philippa Thomas World News Today, Outside Source, BBC World News, BBC News, Reporters Tim Willcox BBC News, BBC World News & World News Today Shaun Ley BBC News, BBC Weekend News, The Papers Gavin Grey BBC News, BBC World News, The Papers, Newsday, World News Today Carole Walker BBC News, BBC Weekend News Ben Bland BBC World News, BBC News, World News Today, Newsday, The Papers, BBC Business Maryam Moshiri BBC Business Live, World News Today, BBC News, BBC World News & World News Today Tanya Beckett Business Live, World News Today James Menendez BBC World News, The Papers, World News Today Geeta Guru-Murthy BBC World News, World |
Buzzcocks, and also appeared on the topical quiz show 8 out of 10 Cats. He was also the voice behind many B&Q adverts throughout 2006/2007. On 25 May 2007, Oddie made a cameo appearance on Ronni Ancona's new comedy sketch show, Ronni Ancona & Co. Also in 2007, three artists each painted a portrait of Oddie, as part of the BBC programme Star Portraits with Rolf Harris. One of the artists, Mark Roscoe, later revealed a dislike of Oddie, claiming to have included hidden insults in his work. He hosted the genealogy-based series My Famous Family, broadcast on UKTV History in 2007. In 2008, Oddie was a guest on Jamie Oliver's television special Jamie's Fowl Dinners, talking about free-range chickens. He also appeared on Would I Lie To You? in 2011 where he revealed that he was saved from drowning by Freddy from popular children's series Rainbow and Rod, Jane and Freddy while on holiday in the Seychelles. In February 2015, Oddie appeared in The Keith Lemon Sketch Show as the narrator of the sketch Ed Sheeran Watch. He appeared as a contestant on a celebrity edition of Fifteen to One in August 2015. 2013 Australian tour Oddie undertook an Australian tour during June 2013 in all of the mainland states capital cities – Brisbane, Sydney, Melbourne, Adelaide and Perth – in a series of one-off shows, An Oldie but a Goodie. A video message from Tim Brooke-Taylor and Graeme Garden was shown during the performances. Oddie made personal appearances on both The Project and Adam Hills Tonight TV shows during the tour; he also filmed a guest-programming spot for the ABC-TV's all-night music video show Rage. Personal life Family In 1967 Oddie married Jean Hart, and from this marriage he has two daughters, one of whom is the actor Kate Hardie. In 1983 Oddie married Laura Beaumont-Giles. The couple have worked on a variety of projects for children, including film scripts, drama and comedy series, puppet shows and books. They have a daughter, Rosie, born in October 1985, and live in Hampstead, North London. Rosie Oddie is a musician, also using the name Rosie Bones. Depression and bipolar disorder Oddie experienced depression for most of his life before being diagnosed with clinical depression in 2001. In March 2009 he was reportedly admitted to Capio Nightingale psychiatric hospital in Marylebone for treatment. His then agent, David Foster, said: "Bill gets these bouts every two or three years where he gets down for about two weeks and recovers. He sometimes goes into hospital or takes a break or has a change of scenery to recharge his batteries." In January 2010 Oddie spoke to the media, revealing that he had in fact had two separate stays in different hospitals, only being discharged "in time for Christmas". He said that he was dealing with depression and bipolar disorder, describing the period as "probably the worst 12 months of my life". Oddie stated that he was planning to meet BBC executives to discuss his return to television work. His illness meant that Oddie did not appear in the 2009 and 2010 series of Springwatch, although he made a guest appearance in the penultimate episode of the latter. He subsequently said he was dismissed from Springwatch and that this had caused the depressive illness. Oddie presented the BBC Radio 4 Appeal programme on 10 August 2014 on behalf of the charity Bipolar UK. He revealed that as a consequence of his bipolar disorder he had attempted suicide during one of his depressive episodes. On the UK TV programme Who Do You Think You Are? he attributed his depression and bipolar disorder as an adult to his minimal and painful relationship with his mother. Political views Oddie supports the Green Party. In October 2014, on the BBC's Sunday Morning Live, he stated that he wanted a limit on the number of children that British families can have, saying that he was "very often ashamed" to be British, calling them "a terrible race". Honours In 2002 Oddie became the third person to decline to appear on This Is Your Life but changed his mind a few hours later. On 16 October 2003 Oddie was made an OBE for his service to Wildlife Conservation in a ceremony at Buckingham Palace. He wore a camouflage shirt and crumpled jacket to receive his medal. In June 2004 Oddie and Johnny Morris were jointly profiled in the first of a three-part BBC Two series The Way We Went Wild, about television wildlife presenters. In May 2005 he received the British Naturalists' Association's Peter Scott Memorial Award, from BNA president David Bellamy, "in recognition of his great contribution to our understanding of natural history and conservation." He is a recipient of the RSPB Medal. On 30 June 2009 he was proposed for inclusion in the Birmingham Walk of Stars, with the public invited to vote. Bibliography (incomplete list) Bill Oddie Unplucked: Columns, Blogs and Musings (Bloomsbury, 2015) Bill Oddie's Introduction to Birdwatching (Subbuteo Books, 2002) Bill Oddie's Colouring Guide to Birds (Piccolo, 1991) Bill Oddie's Little Black Bird Book Bill Oddie's Little Black Bird Book (paperback with additional material) Bill Oddie's Gone Birding The Big Bird Race (with David Tomlinson; Collins, 1983) Follow That Bird! Gripping Yarns (Christopher Helm, 2000) Bird in the Nest Bill Oddie's How to Watch Wildlife One Flew into the Cuckoos Egg (Autobiography) Bill Oddie also co-wrote the Springwatch & Autumnwatch book with Kate Humble and Simon King. Co-written with the other members of The Goodies: The Goodies File The Goodies Book of Criminal Records The Goodies Disaster Movie Co-written with Laura Beaumont: The Toilet Book (or 11 & ½ minutes a day and how not to waste them) (Methuen, 1984, ) Contributions Confessions of a Scilly Birdman, David Hunt; Croom Helm, 1985. (foreword and postscript) Birds in the Yorkshire Museum, Michael Denton; North Yorkshire County Council, 1995. (foreword) Bird Brain of Britain, Charles Gallimore & Tim Appleton; Christopher Helm, 2004. (foreword) Blokes and Birds, Stephen Moss; | My Famous Family, broadcast on UKTV History in 2007. In 2008, Oddie was a guest on Jamie Oliver's television special Jamie's Fowl Dinners, talking about free-range chickens. He also appeared on Would I Lie To You? in 2011 where he revealed that he was saved from drowning by Freddy from popular children's series Rainbow and Rod, Jane and Freddy while on holiday in the Seychelles. In February 2015, Oddie appeared in The Keith Lemon Sketch Show as the narrator of the sketch Ed Sheeran Watch. He appeared as a contestant on a celebrity edition of Fifteen to One in August 2015. 2013 Australian tour Oddie undertook an Australian tour during June 2013 in all of the mainland states capital cities – Brisbane, Sydney, Melbourne, Adelaide and Perth – in a series of one-off shows, An Oldie but a Goodie. A video message from Tim Brooke-Taylor and Graeme Garden was shown during the performances. Oddie made personal appearances on both The Project and Adam Hills Tonight TV shows during the tour; he also filmed a guest-programming spot for the ABC-TV's all-night music video show Rage. Personal life Family In 1967 Oddie married Jean Hart, and from this marriage he has two daughters, one of whom is the actor Kate Hardie. In 1983 Oddie married Laura Beaumont-Giles. The couple have worked on a variety of projects for children, including film scripts, drama and comedy series, puppet shows and books. They have a daughter, Rosie, born in October 1985, and live in Hampstead, North London. Rosie Oddie is a musician, also using the name Rosie Bones. Depression and bipolar disorder Oddie experienced depression for most of his life before being diagnosed with clinical depression in 2001. In March 2009 he was reportedly admitted to Capio Nightingale psychiatric hospital in Marylebone for treatment. His then agent, David Foster, said: "Bill gets these bouts every two or three years where he gets down for about two weeks and recovers. He sometimes goes into hospital or takes a break or has a change of scenery to recharge his batteries." In January 2010 Oddie spoke to the media, revealing that he had in fact had two separate stays in different hospitals, only being discharged "in time for Christmas". He said that he was dealing with depression and bipolar disorder, describing the period as "probably the worst 12 months of my life". Oddie stated that he was planning to meet BBC executives to discuss his return to television work. His illness meant that Oddie did not appear in the 2009 and 2010 series of Springwatch, although he made a guest appearance in the penultimate episode of the latter. He subsequently said he was dismissed from Springwatch and that this had caused the depressive illness. Oddie presented the BBC Radio 4 Appeal programme on 10 August 2014 on behalf of the charity Bipolar UK. He revealed that as a consequence of his bipolar disorder he had attempted suicide during one of his depressive episodes. On the UK TV programme Who Do You Think You Are? he attributed his depression and bipolar disorder as an adult to his minimal and painful relationship with his mother. Political views Oddie supports the Green Party. In October 2014, on the BBC's Sunday Morning Live, he stated that he wanted a limit on the number of children that British families can have, saying that he was "very often ashamed" to be British, calling them "a terrible race". Honours In 2002 Oddie became the third person to decline to appear on This Is Your Life but changed his mind a few hours later. On 16 October 2003 Oddie was made an OBE for his service to Wildlife Conservation in a ceremony at Buckingham Palace. He wore a camouflage shirt and crumpled jacket to receive his medal. In June 2004 Oddie and Johnny Morris were jointly profiled in the first of a three-part BBC Two series The Way We Went Wild, about television wildlife presenters. In May 2005 he received the British Naturalists' Association's Peter Scott Memorial Award, from BNA president David Bellamy, "in recognition of his great contribution to our understanding of natural history and conservation." He is a recipient of the RSPB Medal. On 30 June 2009 he was proposed for inclusion in the Birmingham Walk of Stars, with the public invited to vote. Bibliography (incomplete list) Bill Oddie Unplucked: Columns, Blogs and Musings (Bloomsbury, 2015) Bill Oddie's Introduction to Birdwatching (Subbuteo Books, 2002) Bill Oddie's Colouring Guide to Birds (Piccolo, 1991) Bill Oddie's Little Black Bird Book Bill Oddie's Little Black Bird Book (paperback with additional material) Bill Oddie's Gone Birding The Big Bird Race (with David Tomlinson; Collins, 1983) Follow That Bird! Gripping Yarns (Christopher Helm, 2000) Bird in the Nest Bill Oddie's How to Watch Wildlife One Flew into the Cuckoos Egg (Autobiography) Bill Oddie also co-wrote the Springwatch & Autumnwatch book with Kate Humble and Simon King. Co-written with the other members of The Goodies: The Goodies File The Goodies Book of Criminal Records The Goodies Disaster Movie Co-written with Laura Beaumont: The Toilet Book (or 11 & ½ minutes a day and how not to waste them) (Methuen, 1984, ) Contributions Confessions of a Scilly Birdman, David Hunt; Croom Helm, 1985. (foreword and postscript) Birds in the Yorkshire Museum, Michael Denton; North Yorkshire County Council, 1995. (foreword) Bird Brain of Britain, Charles Gallimore & Tim Appleton; Christopher Helm, 2004. (foreword) Blokes and Birds, Stephen Moss; New Holland Publishers. (foreword) The New Birds of the West Midlands, Graham and Janet Harrison (West Midland Bird Club, 2005) (foreword) Discography Albums Singles In popular culture In the fictional world of comedy character Alan Partridge, Oddie is an unseen presence in Alan's life, buying him dressing gowns for Christmas and being part of a radicalised RSPB. He has also been referenced, often humorously, by the hosts of Top Gear. References Sources External links Bill Oddie's family history at the BBC website for the programme Who Do You Think You Are? Bill Oddie Goes Wild – on BBC's Science and Nature website In-depth interview, The Telegraph, 28 April 2005 Gigrin Farm chapter from Gripping Yarns Oddie on UKTV 1941 births Living people Alumni of Pembroke College, |
"Automobile Row". Before the first decade of the 20th century, the area was occupied mostly by equestrian industries and was "thoroughly lifeless", but by 1907, The New York Times characterized this section of Broadway as having "almost a solid line of motor vehicle signs all the way from Times Square to Sherman Square". In the late 1900s and early 1910s, several large automobile showrooms, stores, and garages were built on Broadway, including the U.S. Rubber Company Building at 58th Street, the B.F. Goodrich showroom at 1780 Broadway (between 58th and 57th Streets), the Fisk Building at 250 West 57th Street, and the Demarest and Peerless Buildings at 224 West 57th Street. Broadway once was a two-way street for its entire length. The present status, in which it runs one-way southbound south of Columbus Circle (59th Street), came about in several stages. On June 6, 1954, Seventh Avenue became southbound and Eighth Avenue became northbound south of Broadway. None of Broadway became one-way, but the increased southbound traffic between Columbus Circle (Eighth Avenue) and Times Square (Seventh Avenue) caused the city to re-stripe that section of Broadway for four southbound and two northbound lanes. Broadway became one-way from Columbus Circle south to Herald Square (34th Street) on March 10, 1957, in conjunction with Sixth Avenue becoming one-way from Herald Square north to 59th Street and Seventh Avenue becoming one-way from 59th Street south to Times Square (where it crosses Broadway). On June 3, 1962, Broadway became one-way south of Canal Street, with Trinity Place and Church Street carrying northbound traffic. Another change was made on November 10, 1963, when Broadway became one-way southbound from Herald Square to Madison Square (23rd Street) and Union Square (14th Street) to Canal Street, and two routes – Sixth Avenue south of Herald Square and Centre Street, Lafayette Street, and Fourth Avenue south of Union Square – became one-way northbound. Finally, at the same time as Madison Avenue became one-way northbound and Fifth Avenue became one-way southbound, Broadway was made one-way southbound between Madison Square (where Fifth Avenue crosses) and Union Square on January 14, 1966, completing its conversion south of Columbus Circle. 21st century In 2001, a one-block section of Broadway between 72nd Street and 73rd Street at Verdi Square was reconfigured. Its easternmost lanes, which formerly hosted northbound traffic, were turned into a public park when a new subway entrance for the 72nd Street station was built in the exact location of these lanes. Northbound traffic on Broadway is now channeled onto Amsterdam Avenue to 73rd Street, makes a left turn on the three-lane 73rd Street, and then a right turn on Broadway shortly afterward. In August 2008, two traffic lanes from 42nd to 35th Streets were taken out of service and converted to public plazas. Additionally, bike lanes were added on Broadway from 42nd Street down to Union Square. Since May 2009, the portions of Broadway through Duffy Square, Times Square, and Herald Square have been closed entirely to automobile traffic, except for cross traffic on the Streets and Avenues, as part of a traffic and pedestrianization experiment, with the pavement reserved exclusively for walkers, cyclists, and those lounging in temporary seating placed by the city. The city decided that the experiment was successful, and decided to make the change permanent in February 2010. Though the anticipated benefits to traffic flow were not as large as hoped, pedestrian injuries dropped dramatically and foot traffic increased in the designated areas; the project was popular with both residents and businesses. The current portions converted into pedestrian plazas are between West 47th Street and West 42nd Street within Times and Duffy Squares, and between West 35th Street and West 33rd Street in the Herald Square area. Additionally, portions of Broadway in the Madison Square and Union Square have been dramatically narrowed, allowing ample pedestrian plazas to exist along the side of the road. In May 2013, the NYCDOT decided to redesign Broadway between 35th and 42nd Streets for the second time in five years, owing to poor connections between pedestrian plazas and decreased vehicular traffic. With the new redesign, the bike lane is now on the right side of the street; it was formerly on the left side adjacent to the pedestrian plazas, causing conflicts between pedestrian and bicycle traffic. In spring 2017, as part of a capital reconstruction of Worth Square, Broadway between 24th and 25th Street was converted to a "shared street" where through vehicles are banned and delivery vehicles are restricted to . Delivery vehicles go northbound from Fifth Avenue to 25th Street for that one block, reversing the direction of traffic and preventing vehicles from going south on Broadway south of 25th Street. The capital project expands on a 2008 initiative where part of the intersection of Broadway and Fifth Avenue was repurposed into a public plaza, simplifying that intersection. As part of the 2017 project, Worth Square was expanded, converting the adjoining block of Broadway into a "shared street". Route Route description Broadway runs the length of Manhattan Island, roughly parallel to the North River (the portion of the Hudson River bordering Manhattan), from Bowling Green at the south to Inwood at the northern tip of the island. South of Columbus Circle, it is a one-way southbound street. Since 2009, vehicular traffic has been banned at Times Square between 47th and 42nd Streets, and at Herald Square between 35th and 33rd Streets as part of a pilot program; the right-of-way is intact and reserved for cyclists and pedestrians. From the northern shore of Manhattan, Broadway crosses Spuyten Duyvil Creek via the Broadway Bridge and continues through Marble Hill (a discontiguous portion of the borough of Manhattan) and the Bronx into Westchester County. U.S. 9 continues to be known as Broadway until its junction with NY 117. Lower Manhattan The section of lower Broadway from its origin at Bowling Green to City Hall Park is the historical location for the city's ticker-tape parades, and is sometimes called the "Canyon of Heroes" during such events. West of Broadway, as far as Canal Street, was the city's fashionable residential area until circa 1825; landfill has more than tripled the area, and the Hudson River shore now lies far to the west, beyond Tribeca and Battery Park City. Broadway marks the boundary between Greenwich Village to the west and the East Village to the east, passing Astor Place. It is a short walk from there to New York University near Washington Square Park, which is at the foot of Fifth Avenue. A bend in front of Grace Church allegedly avoids an earlier tavern; from 10th Street it begins its long diagonal course across Manhattan, headed almost due north. Midtown Manhattan Because Broadway preceded the grid that the Commissioners' Plan of 1811 imposed on the island, Broadway crosses midtown Manhattan diagonally, intersecting with both the east–west streets and north–south avenues. Broadway's intersections with avenues, marked by "squares" (some merely triangular slivers of open space), have induced some interesting architecture, such as the Flatiron Building. At Union Square, Broadway crosses 14th Street, merges with Fourth Avenue, and continues its diagonal uptown course from the Square's northwest corner; Union Square is the only location wherein the physical section of Broadway is discontinuous in Manhattan (other portions of Broadway in Manhattan are pedestrian-only plazas). At Madison Square, the location of the Flatiron Building, Broadway crosses Fifth Avenue at 23rd Street, and is discontinuous to vehicles for a one-block stretch between 24th and 25th Streets. At Greeley Square (West 33rd Street), Broadway crosses Sixth Avenue (Avenue of the Americas), and is discontinuous to vehicles. Macy's Herald Square department store, one block north of the vehicular discontinuity, is located on the northwest corner of Broadway and West 34th Street and southwest corner of Broadway and West 35th Street; it is one of the largest | right turn on Broadway shortly afterward. In August 2008, two traffic lanes from 42nd to 35th Streets were taken out of service and converted to public plazas. Additionally, bike lanes were added on Broadway from 42nd Street down to Union Square. Since May 2009, the portions of Broadway through Duffy Square, Times Square, and Herald Square have been closed entirely to automobile traffic, except for cross traffic on the Streets and Avenues, as part of a traffic and pedestrianization experiment, with the pavement reserved exclusively for walkers, cyclists, and those lounging in temporary seating placed by the city. The city decided that the experiment was successful, and decided to make the change permanent in February 2010. Though the anticipated benefits to traffic flow were not as large as hoped, pedestrian injuries dropped dramatically and foot traffic increased in the designated areas; the project was popular with both residents and businesses. The current portions converted into pedestrian plazas are between West 47th Street and West 42nd Street within Times and Duffy Squares, and between West 35th Street and West 33rd Street in the Herald Square area. Additionally, portions of Broadway in the Madison Square and Union Square have been dramatically narrowed, allowing ample pedestrian plazas to exist along the side of the road. In May 2013, the NYCDOT decided to redesign Broadway between 35th and 42nd Streets for the second time in five years, owing to poor connections between pedestrian plazas and decreased vehicular traffic. With the new redesign, the bike lane is now on the right side of the street; it was formerly on the left side adjacent to the pedestrian plazas, causing conflicts between pedestrian and bicycle traffic. In spring 2017, as part of a capital reconstruction of Worth Square, Broadway between 24th and 25th Street was converted to a "shared street" where through vehicles are banned and delivery vehicles are restricted to . Delivery vehicles go northbound from Fifth Avenue to 25th Street for that one block, reversing the direction of traffic and preventing vehicles from going south on Broadway south of 25th Street. The capital project expands on a 2008 initiative where part of the intersection of Broadway and Fifth Avenue was repurposed into a public plaza, simplifying that intersection. As part of the 2017 project, Worth Square was expanded, converting the adjoining block of Broadway into a "shared street". Route Route description Broadway runs the length of Manhattan Island, roughly parallel to the North River (the portion of the Hudson River bordering Manhattan), from Bowling Green at the south to Inwood at the northern tip of the island. South of Columbus Circle, it is a one-way southbound street. Since 2009, vehicular traffic has been banned at Times Square between 47th and 42nd Streets, and at Herald Square between 35th and 33rd Streets as part of a pilot program; the right-of-way is intact and reserved for cyclists and pedestrians. From the northern shore of Manhattan, Broadway crosses Spuyten Duyvil Creek via the Broadway Bridge and continues through Marble Hill (a discontiguous portion of the borough of Manhattan) and the Bronx into Westchester County. U.S. 9 continues to be known as Broadway until its junction with NY 117. Lower Manhattan The section of lower Broadway from its origin at Bowling Green to City Hall Park is the historical location for the city's ticker-tape parades, and is sometimes called the "Canyon of Heroes" during such events. West of Broadway, as far as Canal Street, was the city's fashionable residential area until circa 1825; landfill has more than tripled the area, and the Hudson River shore now lies far to the west, beyond Tribeca and Battery Park City. Broadway marks the boundary between Greenwich Village to the west and the East Village to the east, passing Astor Place. It is a short walk from there to New York University near Washington Square Park, which is at the foot of Fifth Avenue. A bend in front of Grace Church allegedly avoids an earlier tavern; from 10th Street it begins its long diagonal course across Manhattan, headed almost due north. Midtown Manhattan Because Broadway preceded the grid that the Commissioners' Plan of 1811 imposed on the island, Broadway crosses midtown Manhattan diagonally, intersecting with both the east–west streets and north–south avenues. Broadway's intersections with avenues, marked by "squares" (some merely triangular slivers of open space), have induced some interesting architecture, such as the Flatiron Building. At Union Square, Broadway crosses 14th Street, merges with Fourth Avenue, and continues its diagonal uptown course from the Square's northwest corner; Union Square is the only location wherein the physical section of Broadway is discontinuous in Manhattan (other portions of Broadway in Manhattan are pedestrian-only plazas). At Madison Square, the location of the Flatiron Building, Broadway crosses Fifth Avenue at 23rd Street, and is discontinuous to vehicles for a one-block stretch between 24th and 25th Streets. At Greeley Square (West 33rd Street), Broadway crosses Sixth Avenue (Avenue of the Americas), and is discontinuous to vehicles. Macy's Herald Square department store, one block north of the vehicular discontinuity, is located on the northwest corner of Broadway and West 34th Street and southwest corner of Broadway and West 35th Street; it is one of the largest department stores in the world. One famous stretch near Times Square, where Broadway crosses Seventh Avenue in midtown Manhattan, is the home of many Broadway theatres, housing an ever-changing array of commercial, large-scale plays, particularly musicals. This area of Manhattan is often called the Theater District or the Great White Way, a nickname originating in the headline "Found on the Great White Way" in the February 3, 1902, edition of the New York Evening Telegram. The journalistic nickname was inspired by the millions of lights on theater marquees and billboard advertisements that illuminate the area. After becoming the city's de facto red-light district in the 1960s and 1970s (as can be seen in the films Taxi Driver and Midnight Cowboy), since the late 1980s Times Square has emerged as a family tourist center, in effect being Disneyfied following the company's purchase and renovation of the New Amsterdam Theatre on 42nd Street in 1993. The New York Times, from which the Square gets its name, was published at offices at 239 West 43rd Street; the paper stopped printing papers there on June 15, 2007. Upper West Side At the southwest corner of Central Park, Broadway crosses Eighth Avenue (called Central Park West north of 59th Street) at West 59th Street and Columbus Circle; on the site of the former New York Coliseum convention center is the new shopping center at the foot of the Time Warner Center, headquarters of Time Warner. From Columbus Circle northward, Broadway becomes a wide boulevard to 169th Street; it retains landscaped center islands that separate northbound from southbound traffic. The medians are a vestige of the central mall of "The Boulevard" that had become the spine of the Upper West Side, and many of these contain public seating. Broadway intersects with Columbus Avenue (known as Ninth Avenue south of West 59th Street) at West 65th and 66th Streets where the Juilliard School and Lincoln Center, both well-known performing arts landmarks, as well as the Manhattan New York Temple of The Church of Jesus Christ of Latter-day Saints are located. Between West 70th and 73rd Streets, Broadway intersects with Amsterdam Avenue (known as 10th Avenue south of West 59th Street). The wide intersection of the two thoroughfares has historically been the site of numerous traffic accidents and pedestrian casualties, partly due to the long crosswalks. Two small triangular plots of land were created at points where Broadway slices through Amsterdam Avenue. One is a tiny fenced-in patch of shrubbery and plants at West 70th Street called Sherman Square (although it and the surrounding intersection have also been known collectively as Sherman Square), and the other triangle is a lush tree-filled garden bordering Amsterdam Avenue from just above West 72nd Street to West 73rd Street. Named Verdi Square in 1921 for its monument to Italian composer Giuseppe Verdi, which was erected in 1909, this triangular sliver of public space was designated |
digital filter. Transformation of a first-order continuous-time filter It is possible to relate the coefficients of a continuous-time, analog filter with those of a similar discrete-time digital filter created through the bilinear transform process. Transforming a general, first-order continuous-time filter with the given transfer function using the bilinear transform (without prewarping any frequency specification) requires the substitution of where . However, if the frequency warping compensation as described below is used in the bilinear transform, so that both analog and digital filter gain and phase agree at frequency , then . This results in a discrete-time digital filter with coefficients expressed in terms of the coefficients of the original continuous time filter: Normally the constant term in the denominator must be normalized to 1 before deriving the corresponding difference equation. This results in The difference equation (using the Direct Form I) is Transformation of a second-order biquad A similar process can be used for a general second-order filter with the given transfer function This results in a discrete-time digital biquad filter with coefficients expressed in terms of the coefficients of the original continuous time filter: Again, the constant term in the denominator is generally normalized to 1 before deriving the corresponding difference equation. This results in The difference equation (using the Direct form I) is Frequency warping To determine the frequency response of a continuous-time filter, the transfer function is evaluated at which is on the axis. Likewise, to determine the frequency response of a discrete-time filter, the transfer function is evaluated at which is on the unit circle, . The bilinear transform maps the axis of the s-plane (of which is the domain of ) to the unit circle of the z-plane, (which is the domain of ), but it is not the same mapping which also maps the axis to the unit circle. When the actual frequency of is input to the discrete-time filter designed by use of the bilinear transform, then it is desired to know at what frequency, , for the continuous-time filter that this is mapped to. {| |- | | |- | | |- | | |- | | |- | | |- | | |} This shows that every point on the unit circle in the discrete-time filter z-plane, is mapped to a point on the axis on the continuous-time filter s-plane, . That is, the discrete-time to continuous-time frequency mapping of the bilinear transform is | essentially uses this first order approximation and substitutes into the continuous-time transfer function, That is Stability and minimum-phase property preserved A continuous-time causal filter is stable if the poles of its transfer function fall in the left half of the complex s-plane. A discrete-time causal filter is stable if the poles of its transfer function fall inside the unit circle in the complex z-plane. The bilinear transform maps the left half of the complex s-plane to the interior of the unit circle in the z-plane. Thus, filters designed in the continuous-time domain that are stable are converted to filters in the discrete-time domain that preserve that stability. Likewise, a continuous-time filter is minimum-phase if the zeros of its transfer function fall in the left half of the complex s-plane. A discrete-time filter is minimum-phase if the zeros of its transfer function fall inside the unit circle in the complex z-plane. Then the same mapping property assures that continuous-time filters that are minimum-phase are converted to discrete-time filters that preserve that property of being minimum-phase. General transformation of a continuous-time IIR filter Consider a continuous-time IIR filter of order where and are the transfer function poles and zeros in the s-plane. Let (or if using frequency warping as described below, let ). The filter's bilinear transform is obtained by substituting : where , are the z-plane pole and zero locations of the discretized filter, Example As an example take a simple low-pass RC filter. This continuous-time filter has a transfer function If we wish to implement this filter as a digital filter, we can apply the bilinear transform by substituting for the formula above; after some reworking, we get the following filter representation: {| |- | | |- | | |- | | |- | | |} The coefficients of the denominator are the 'feed-backward' coefficients and the coefficients of the numerator are the 'feed-forward' coefficients used to implement a real-time digital filter. Transformation of a first-order continuous-time filter It is possible to relate the coefficients of a continuous-time, analog filter with those of a similar discrete-time digital filter created through the bilinear transform process. Transforming a general, first-order continuous-time filter with the given transfer function using the bilinear transform (without prewarping any frequency specification) requires the substitution of where . However, if the frequency warping compensation as described below is used in the bilinear transform, so that both analog and digital filter gain and phase agree at frequency , then . This results in a discrete-time digital filter with coefficients expressed in terms of the coefficients of the original continuous time filter: Normally the constant term in the denominator must be normalized to 1 before deriving the corresponding difference equation. This results in The difference equation (using the Direct Form I) is Transformation of a second-order biquad A similar process can be used for a general second-order filter with the given transfer function This results in a discrete-time digital biquad filter with coefficients expressed in terms of the coefficients of the original continuous time filter: Again, the constant term in the denominator is generally normalized to 1 before deriving the corresponding difference equation. This results in The difference equation (using the Direct form I) is Frequency warping To determine the frequency response of a continuous-time filter, the transfer function is evaluated at which is on the axis. Likewise, to determine the frequency response of a discrete-time filter, the transfer function is evaluated at which is on the unit circle, . The bilinear transform maps the axis of the s-plane (of which is the domain of ) to the unit circle of the z-plane, (which is the domain of ), but it is not the same mapping which also maps the axis to the unit circle. When the actual frequency of is input to the discrete-time filter designed by use of the bilinear transform, then it is desired to know at what frequency, , for the continuous-time filter that this is mapped to. {| |- | | |- | | |- | | |- | | |- | | |- | | |} This shows that every point on the unit circle in the discrete-time filter z-plane, is mapped to a point on the axis on the continuous-time filter s-plane, . That is, the discrete-time to continuous-time frequency mapping of the bilinear transform is and the inverse mapping is The discrete-time filter |
landing a triple Axel combination. The free skating program was based on the film score, Napoleon, detailing various phases of a soldier's life. Boitano debuted his new programs at 1987 Skate Canada, held in the Saddledome in Calgary, Alberta, Canada, the same venue in which he would compete against Brian Orser for the Olympic title three months later. Boitano's new programs were received with standing ovations by the audience. Although Orser won the competition, Boitano skated clean, landing seven triple jumps, including a footwork section into a jump. He did however pop his planned second triple Axel. Boitano, Leaver, and Bezic were so confident about the strength of Boitano's new programs that they omitted the quadruple toe loop, which if landed, could have put him a shoulder above Orser in technical merit. The short program at the 1988 United States Figure Skating Championships proved to be a highlight. Boitano received marks of 6.0 from eight of the nine judges for presentation, the second mark. His free skate was flawed. Due to delays, he did not skate until after midnight. Still, Boitano won the competition, and went into the Olympics as the national champion (U.S.), as did Orser (Canadian). 1988 Olympics: Battle of the Brians Going into the Olympics, Boitano and Brian Orser each had won a World title and each had an excellent, balanced repertoire, with Boitano being known as the slightly better technician and Orser as the better artist. Adding to the rivalry, Boitano and Orser were both performing military-themed programs. Boitano's was to the music of Napoleon. The Battle of the Brians at the 1988 Winter Olympics was the highlight of Boitano's amateur career. Boitano and Orser were effectively tied going into the free skating portion of the event and whoever won that portion would win the event. Alexander Fadeev had won the compulsory figures section of the competition with Boitano second and Orser third. In the short program, Orser placed first and Boitano second. The free skating was, at the time, worth 50% of the score, and so Boitano's lead would not be enough to hold him in first place if he lost the free skate. Boitano skated a clean, technically excellent long program, with eight triple jumps, including two Axels, and a triple flip-triple toe loop combination. Landing his second triple Axel jump cleanly was probably a critical factor in the battle. Orser made one small mistake on a jump and omitted his planned second triple Axel. Boitano won the Battle in a 5–4 split. With his win, he became the first Olympic champion to land the full complement of six types of triple jumps. Boitano won the gold medal, wearing skates with American flag appliqués that are now part of the collections of the National Museum of American History at the Smithsonian Institution. Following the Olympics, both Orser and Boitano went to the World Championships, which Boitano won. Boitano turned professional soon after. Professional career and return to amateur standing Following the Olympics, Boitano went on to dominate competitions in the professional ranks, winning 10 straight professional competitions, including 5 consecutive World Professional Championship titles and 4 consecutive wins at the Challenge of Champions. Boitano also appeared in Carmen on Ice, for which he won an Emmy. However, Boitano wanted to return to amateur competition and make another run at the Olympics. In June 1993, the International Skating Union (ISU) introduced a clause, commonly known as the "Boitano rule," which allowed professionals to reinstate as "amateur" or "eligible" skaters. Many others joined Boitano, including 1988 bronze medalist and 1992 gold medalist Viktor Petrenko. The ISU decision was the result of Boitano's active involvement during the early 1990s, which the International Olympic Committee lifting the remaining limits on athletes' remuneration. Previously, the Committee had been accused of rejecting Western professionals, while allowing Eastern Bloc state-sponsored "amateurs" to compete. Boitano reinstated as an amateur to compete in the 1994 Winter Olympics in Lillehammer, Norway. Boitano competed at the 1994 United States Figure Skating Championships, led after the short program, but lost to Scott Davis in the long program in a 6–3 split decision. Boitano was named to the Olympic team. Going into the Olympics as a medal favorite in a strong field, Boitano missed his triple Axel combination during the short program for the first time in his career. This mistake proved extremely costly, and knocked Boitano out of medal contention. He skated a good long program and finished 6th. Boitano returned to the professional ranks afterwards. He was inducted into the World Figure Skating Hall of Fame and the United States Figure Skating Hall of Fame in 1996. Personal life In December 2013, Boitano was named to the United States delegation to the 2014 Winter Olympics in Sochi, Russia. In conjunction with that appointment, Boitano publicly came out as gay. The Sochi games and Russia have been the targets of criticism and LGBT activism because of a Russian anti-gay "propaganda" law passed in June 2013. In January 2014, he told the Associated Press that he had never wanted to come out until the delegation announcement. Boitano's older brother, Mark Boitano, is a real estate agent and former politician who served as a member of the New Mexico Senate from 1997 to 2013. Celebrity and popular culture career South Park song A caricature of Boitano as a superhero appears as a semi-recurring character in the cartoon series South Park. The film South Park: | at the 1994 Winter Olympics, where he placed sixth. Early life Brian Boitano was born in Mountain View, California, and as an adult has lived in San Francisco. Boitano is a graduate of Marian A. Peterson High School in Sunnyvale, California. He is of Italian American descent. Figure skating career Early career Brian Boitano first made his mark on the international scene when he won the bronze medal at the 1978 World Junior Figure Skating Championships, beating future rival Brian Orser for that medal. Boitano was known primarily as a jumper early in his career and he, along with several other skaters, helped push the technical envelope of men's skating. In 1982, Boitano became the first American to land a triple Axel. In 1987, he introduced his signature jump, the 'Boitano triple Lutz' in which the skater raises his left arm above his head. He attempted a quadruple jump throughout the 1986–87 season and at the 1988 World Figure Skating Championships, but did not cleanly land the jump; he double-footed the landing on two occasions. At the 1983 World Championships, he became the first skater to ever land all six triple jumps in competition. Indeed, he would eventually include and successfully land eight triple jumps in his free skate program, the maximum number possible (see Zayak rule). He would jump two flip jumps and two triple Axels to compete with his rival, Brian Orser who jumped one triple flip and one triple Axel. It was not until his failure to defend his World title in 1987 that he focused specifically on improving his artistry. Towards this end, he worked with renowned choreographer Sandra Bezic. Boitano placed second at the 1984 United States Figure Skating Championships, earning himself a trip to the 1984 Winter Olympics. He placed 5th at the Olympics, setting the stage for his success over the next four years. World Champion Following the 1984 Olympics, several skaters emerged as likely medal hopes following the retirement of Scott Hamilton. Boitano won the 1985 United States Figure Skating Championships, the first of his four titles. At the first World Championships of the post-Hamilton era in 1985, Alexander Fadeev won, with Brian Orser finishing 2nd and Boitano 3rd. He had injured tendons in his right ankle a few weeks before the 1986 U.S. Championships but went on to win his second national title. At the 1986 World Championships, Boitano took the title, while Fadeev had a disastrous free skate despite having been in an excellent position to win; Orser finished 2nd once again. During the 1986–87 season, Boitano had introduced two new elements to his programs: the 'Tano triple lutz and a quadruple toe loop, although he never succeeded in landing a clean quadruple jump in competition. The 1987 World Championships were held in Cincinnati, giving defending World champion Boitano a home-field advantage. The outcome of the event would set the tone for the 1988 Olympics. At Worlds, Boitano fell on his quadruple toe loop attempt and placed second. After losing the world title to Orser at home, Boitano and his coach Linda Leaver decided that some changes needed to be made if Boitano was to become the Olympic champion. Boitano had always been good at the technical requirements ("The first mark"), but he was weak on the artistic ("the second mark"). He was a self-described "jumping robot." In order to help his growth as an artist, he hired choreographer Sandra Bezic to choreograph his programs for the 1987–1988 Olympic season. Bezic choreographed two programs that featured clean lines and accentuated the skating abilities of the 5' 11" Boitano. The short program was based on Giacomo Meyerbeer's ballet Les Patineurs in which Boitano plays a cocky young man showing off his tricks, using movements dating back to the 19th century. In one famous moment, Boitano wipes ice shavings, also called snow, off his skate blade and tosses it over his shoulder after landing a triple Axel combination. The free skating program was based on the film score, Napoleon, detailing various phases of a soldier's life. Boitano debuted his new programs at 1987 Skate Canada, held in the Saddledome in Calgary, Alberta, Canada, the same venue in which he would compete against Brian Orser for the Olympic title three months later. Boitano's new programs were received with standing ovations by the audience. Although Orser won the competition, Boitano skated clean, landing seven triple jumps, including a footwork section into a jump. He did however pop his planned second triple Axel. Boitano, Leaver, and Bezic were so confident about the strength of Boitano's new programs that they omitted the quadruple toe loop, which if landed, could have put him a shoulder above Orser in technical merit. The short program at the 1988 United States Figure Skating Championships proved to be a highlight. Boitano received marks of 6.0 from eight of the nine judges for presentation, the second mark. His free skate was flawed. Due to delays, he did not skate until after midnight. Still, Boitano won the competition, and went into the Olympics as the national champion (U.S.), as did Orser (Canadian). 1988 Olympics: Battle of the Brians Going into the Olympics, Boitano and Brian Orser each had won a World title and each had an excellent, balanced repertoire, with Boitano being known as the slightly better technician and Orser as the better artist. Adding to the rivalry, Boitano and Orser were both performing military-themed programs. Boitano's was to the music of Napoleon. The Battle of the Brians at the 1988 Winter Olympics was the highlight of Boitano's amateur career. |
the catastrophic collapse of the towers, the phrase "a good day to bury bad news" (not actually used by Moore) has since been used to refer to other instances of attempting to hide one item of news behind a more publicised issue. Betsygate (2002), which revolved around the level of pay that Iain Duncan Smith's wife Elisabeth received as his diary secretary. In 2002, Edwina Currie revealed that she had had an affair, beginning in 1984, with John Major before he became Prime Minister of the United Kingdom. This was criticised as Major had frequently pushed his Back To Basics agenda (see above), which was taken by the media as a form of moral absolutism. The Burrell affair – allegations about the behaviour of the British Royal Family and their servants with possible constitutional implications. (2002) Ron Davies stood down from the Welsh assembly following accusations of illicit gay sex. Davies had claimed he had been badger-watching in the area. (2003) The apparent suicide of Dr. David Kelly and the Hutton Inquiry. On 17 July 2003, Kelly, an employee of the Ministry of Defence, apparently committed suicide after being misquoted by BBC journalist Andrew Gilligan as saying that Tony Blair's Labour government had knowingly "sexed up" the "September Dossier", a report into Iraq and weapons of mass destruction. The government was cleared of wrongdoing, while the BBC was strongly criticised by the subsequent inquiry, leading to the resignation of the BBC's chairman and director-general. In April 2004, Beverly Hughes was forced to resign as minister for Immigration, Citizenship and Counter Terrorism when it was shown that she had been informed of procedural improprieties concerning the granting of visas to certain categories of workers from Eastern Europe. She had earlier told the House of Commons that if she had been aware of such facts she would have done something about it. In 2005, David McLetchie, leader of the Scottish Conservatives, was forced to resign after claiming the highest taxi expenses of any MSP. These included personal journeys, journeys related solely with his second job as a solicitor, and Conservative Party business, for example travel to Conservative conferences. Conservative backbench MSP Brian Monteith had the whip withdrawn for briefing against his leader to the Scotland on Sunday newspaper. Liberal Democrats Home Affairs spokesman Mark Oaten resigned after it was revealed by the News of the World that he paid rentboys to perform sexual acts on him. David Mills financial allegations (2006). Tessa Jowell, Labour cabinet minister, was embroiled in a scandal about a property remortgage allegedly arranged to enable her husband, David Mills, to realise £350,000 from an off-shore hedge fund, money he allegedly received as a gift following testimony he had provided for Silvio Berlusconi in the 1990s. Nicknamed by the press as "Jowellgate". Cash for Honours (2006). In March 2006 it emerged that the Labour Party had borrowed millions of pounds in 2005 to help fund their general election campaign. While not illegal, on 15 March the Treasurer of the party, Jack Dromey stated publicly that he had neither knowledge of nor involvement in these loans and had only become aware when he read about it in the newspapers. A story was running at the time that Dr Chai Patel and others had been recommended for life peerages after lending the Labour party money. He called on the Electoral Commission to investigate the issue of political parties taking out loans from non-commercial sources. Following revelations about Dr Chai Patel and others who were recommended for peerages after lending the Labour party money, the Treasurer of the party, Jack Dromey said he had not been involved and did not know the party had secretly borrowed millions of pounds in 2005. He called on the Electoral Commission to investigate the issue of political parties taking out loans from non-commercial sources. Angus McNeil (2007). The married SNP MP who made the initial police complaint over the cash for honours scandal was forced to make an apology after it was revealed that in 2005 he had a "heavy petting" session with two teenage girls aged 17 and 18 in a hotel room at the same time his wife was pregnant with their third child. News of the World royal phone hacking scandal In November 2007, it emerged that more than £400,000 had been accepted by the Labour Party from one person through a series of third parties, causing the Electoral Commission to seek an explanation. Peter Watt resigned as the General Secretary of the party the day after the story broke and was quoted as saying that he knew about the arrangement but had not appreciated that he had failed to comply with the reporting requirements. On 24 January 2008, Peter Hain resigned his two cabinet posts (Secretary of State for Work and Pensions and Secretary of State for Wales) after the Electoral Commission referred donations to his Deputy Leadership campaign to the police. Derek Conway (2008). The Conservative Party MP was found to have reclaimed salaries he had paid to his two sons who had in fact not carried out the work to the extent claimed. He was ordered to repay £16,918, suspended from the House of Commons for 10 days and removed from the party whip. Cash for Influence (2009). Details of covertly recorded discussions with four Labour Party peers which their ability to influence legislation and the consultancy fees that they charged (including retainer payments of up to £120,000) were published by The Sunday Times. United Kingdom parliamentary expenses scandal (2009). Widespread actual and alleged misuse of the permitted allowances and expenses claimed by Members of Parliament and attempts by MPs and peers to exempt themselves from Freedom of Information legislation. 2010s 2010 The Iris Robinson scandal in which First Minister of Northern Ireland Peter Robinson stepped aside for six weeks in January 2010 following revelations of his wife's involvement in an extramarital affair, her attempted suicide, and allegations that he had failed to properly declare details of loans she had procured for her lover to develop a business venture. The 2010 cash for influence scandal, in which undercover reporters for the Dispatches television series posed as political lobbyists offering to pay Members of Parliament to influence policy. On 29 May 2010 Chief Secretary to the Treasury David Laws resigned from the Cabinet and was referred to the Parliamentary Commissioner for Standards after The Daily Telegraph newspaper published details of Laws claiming around £40,000 in expenses on a second home owned by a secret partner between 2004 and 2009, whilst House of Commons rules have prevented MPs from claiming second home expenses on properties owned by a partner since 2006. By resigning Laws became the shortest serving Minister in modern British political history with less than 18 days' service as a Cabinet Minister. 2011 On 14 October 2011 Secretary of State for Defence Liam Fox resigned from the Cabinet after he "mistakenly allowed the distinction between [his] personal interest and [his] government activities to become blurred" over his friendship with Adam Werrity. (He again served as a cabinet minister under Theresa May.) News International phone hacking scandal The Ed Balls document leak was exposed by the Daily Telegraph and showed that shadow chancellor Ed Balls was involved in a supposed plot known as 'Project Volvo' to oust Tony Blair as leader and replace him with Gordon Brown shortly after the 2005 election. 2012 Conservative Party 'cash for access' scandal involving Peter Cruddas and Sarah Southern, March 2012. In February 2012 Liberal Democrat MP Chris Huhne resigned from the Cabinet when he was charged with perverting the course of justice over a 2003 speeding case. His wife Vicky Pryce had claimed that she was driving the car, and accepted the licence penalty points on his behalf so that he could avoid being banned from driving. Huhne plead guilty at his trial, resigned as a member of parliament, and he and Pryce were sentenced to eight months in prison for perverting the course of justice. In April 2012, Conservative Party MP and Culture Secretary Jeremy Hunt came under pressure to resign as a result of his closeness to Rupert Murdoch's media empire and alleged corruption in dealing with Murdoch's bid for News Corporation's takeover of BSkyB. In October 2012, Andrew Mitchell resigned from his post as Chief Whip following allegations made about his conduct during an altercation with police at Downing Street on 19 September, the incident becoming known as "plebgate". 2013 In the 2013 Labour Party Falkirk candidate selection, which began following the announcement that the incumbent MP Eric Joyce was to step down at the 2015 general election, allegations were made on the significant infiltration of the selection process by the Unite trade union, the Labour Party's largest financial backer. 2014 In April 2014 Maria Miller, the Culture Secretary, resigned following pressure relating to the results of an investigation into her past expenses claims. On 20 November 2014 Emily Thornberry resigned her shadow cabinet position shortly after polls closed in the Rochester and Strood by-election. Earlier in the day, she had received criticism after tweeting a photograph of a house in the constituency adorned with three flags of St. George and the owner's white van parked outside on the driveway, under the caption "Image from #Rochester", provoking accusations of snobbery. She was criticised by fellow Labour Party MPs, including leader Ed Miliband who said her tweet conveyed a "sense of disrespect". 2015 In September 2015, Lord Ashcroft published a biography of David Cameron, which suggested that the then Prime Minister took drugs regularly and performed an "outrageous initiation ceremony" which involved inserting "a private part of his anatomy" into the mouth of a dead pig during his time in university. This became known as "piggate". It also led to questions about the Prime Minister's honesty with party donors' known tax statuses as Lord Ashcroft suggested he had openly discussed his non-domiciled status with him in 2009, earlier than previously thought. 2016 There have been several allegations of unlawful campaigning in the 2016 EU referendum, in addition to some allegations of Russian interference. Stewart Hosie, Deputy Leader of the SNP and MP for Dundee East, resigned as Deputy Leader after it was reported he had been cheating on his wife, Cabinet Secretary for Health, Wellbeing and Sport in the Scottish Government, Shona Robison MSP. He had been having an affair with Westminster journalist Serena Cowdy. 2017 In 2017 the contaminated blood scandal, in which many haemophiliacs died from infected Factor medicine, hit the headlines and Parliament | Lord Lambton sex scandal (1973): Conservatives, junior defence minister Lambton is arrested for using prostitutes and Cabinet minister Jellicoe also confesses. Labour MP John Stonehouse's faked suicide (1974) Harold Wilson's Prime Minister's Resignation Honours (known satirically as the "Lavender List") gives honours to a number of wealthy businessmen whose principles were considered antipathetic to those held by the Labour Party (May 1976) Peter Jay's appointment as British Ambassador to the US by his father in law, the then Labour Prime Minister James Callaghan. At the time Jay was a journalist with little diplomatic experience. (1976) "Rinkagate": the Thorpe affair. Liberal Party leader Jeremy Thorpe was arrested and tried for allegedly paying a hitman to murder his lover, model Norman Scott, while walking his dog on Exmoor; the hitman only shot the dog, Rinka. Thorpe was forced to resign due to his clandestine gay affairs, but was acquitted of conspiracy to murder. 1980s Joseph Kagan, Baron Kagan, earlier ennobled by the Labour Prime Minister Harold Wilson's notorious Lavender List (1976), was convicted of fraud (1980) Cecil Parkinson affair with secretary Sara Keays resulting in their child, Flora Keays (1983) Al Yamamah contract alleged to have been obtained by bribery (1985) Westland affair (1986): The Defence Secretary, Michael Heseltine resigned from his Cabinet job in a disagreement with Prime Minister Margaret Thatcher over the Westland affair. Heseltine walked out of a meeting at Number 10 as his views on the future of the Westland helicopter company were being ignored at the time. Jeffrey Archer and the prostitute allegations (1986), and his subsequent conviction for perjury (2001) Westminster cemeteries scandal (1987) Edwina Currie resigns as a junior Health minister after claiming that millions of British eggs were infected with salmonella, stating that "most of [British] egg production" was infected (1988) "Homes for votes" gerrymandering scandal (1987–1989) 1990s Arms-to-Iraq and the closely connected Iraqi Supergun affair (1990) David Mellor resignation after press disclosure of his affair with Antonia de Sancha and gratis holiday from a daughter of a PLO official (1992) Michael Mates gift of a watch ("Don't let the bastards grind you down") to Asil Nadir (1993) Monklandsgate dominated the 1994 Monklands East by-election. It mainly consisted of allegations of sectarian spending discrepancies between Protestant Airdrie and Catholic Coatbridge, fuelled by the fact that all 17 of the ruling Labour group were Roman Catholics. (1994) Back to Basics, a government policy slogan portrayed by opponents and the press as a morality campaign to compare it with a contemporaneous succession of sex scandals in John Major's government which led to the resignation of Tim Yeo and the Earl of Caithness, among others (1994) Cash-for-questions affair involving Neil Hamilton, Tim Smith and Mohamed Al-Fayed (1994) Jonathan Aitken and the Paris Ritz Hotel bill allegations, and his subsequent conviction for perjury after his failed libel action against The Guardian, resulting in Aitken being only the third person to have to resign from the Privy Council in the 20th century. (1995) Conservative MP Jerry Hayes was "outed" as a homosexual by the News of the World with the headline "TORY MP 2-TIMED WIFE WITH UNDER-AGE GAY LOVER". Hayes had met Young Conservative Paul Stone at the 1991 Conservative conference and that same evening, "committed a lewd act which was in breach of the law at the time". Stone had been 18 at the time, whilst the legal age for homosexual sex in 1991 was 21. He had previously supported Section 28 and other anti-gay legislation. (1997) Bernie Ecclestone was involved in a political scandal when it transpired he had given the Labour Party a million pound donation – which raised eyebrows when the incoming Labour government changed its policy to allow Formula One to continue being sponsored by tobacco manufacturers. The Labour Party returned the donation when the scandal came to light. (1997) Peter Mandelson, Trade and Industry Secretary, resigned after failing to disclose £373,000 loan from Paymaster General Geoffrey Robinson. (1998) Ron Davies resigned from the cabinet after being robbed by a man he met at Clapham Common (a well-known gay cruising ground) and then lying about it (1998) 2000s Officegate (2001). Henry McLeish, Labour First Minister of Scotland, failed to refund the House of Commons for income he had received from the sub-let of his constituency office in Glenrothes while still a Westminster MP. Keith Vaz, Peter Mandelson and the Hinduja brothers. Mandelson forced to resign for a second time due to misleading statements. (2001) Jo Moore, within an hour of the September 11 attacks, Moore sent an email to the press office of her department suggesting: "It's now a very good day to get out anything we want to bury. Councillors' expenses?" Although prior to the catastrophic collapse of the towers, the phrase "a good day to bury bad news" (not actually used by Moore) has since been used to refer to other instances of attempting to hide one item of news behind a more publicised issue. Betsygate (2002), which revolved around the level of pay that Iain Duncan Smith's wife Elisabeth received as his diary secretary. In 2002, Edwina Currie revealed that she had had an affair, beginning in 1984, with John Major before he became Prime Minister of the United Kingdom. This was criticised as Major had frequently pushed his Back To Basics agenda (see above), which was taken by the media as a form of moral absolutism. The Burrell affair – allegations about the behaviour of the British Royal Family and their servants with possible constitutional implications. (2002) Ron Davies stood down from the Welsh assembly following accusations of illicit gay sex. Davies had claimed he had been badger-watching in the area. (2003) The apparent suicide of Dr. David Kelly and the Hutton Inquiry. On 17 July 2003, Kelly, an employee of the Ministry of Defence, apparently committed suicide after being misquoted by BBC journalist Andrew Gilligan as saying that Tony Blair's Labour government had knowingly "sexed up" the "September Dossier", a report into Iraq and weapons of mass destruction. The government was cleared of wrongdoing, while the BBC was strongly criticised by the subsequent inquiry, leading to the resignation of the BBC's chairman and director-general. In April 2004, Beverly Hughes was forced to resign as minister for Immigration, Citizenship and Counter Terrorism when it was shown that she had been informed of procedural improprieties concerning the granting of visas to certain categories of workers from Eastern Europe. She had earlier told the House of Commons that if she had been aware of such facts she would have done something about it. In 2005, David McLetchie, leader of the Scottish Conservatives, was forced to resign after claiming the highest taxi expenses of any MSP. These included personal journeys, journeys related solely with his second job as a solicitor, and Conservative Party business, for example travel to Conservative conferences. Conservative backbench MSP Brian Monteith had the whip withdrawn for briefing against his leader to the Scotland on Sunday newspaper. Liberal Democrats Home Affairs spokesman Mark Oaten resigned after it was revealed by the News of the World that he paid rentboys to perform sexual |
windows reminiscent of portholes were replaced with larger rectangular windows that provided more interior light. A change was made to the Chrysler Industrial 318 engines with the automatic Loadflite transmissions. In 1970, the company acquired Rotax, an engine manufacturer based in Gunskirchen, Austria. In 1971, Bombardier acquired Moto-Ski. Also in 1971, Bombardier launched Operation SnoPlan, a program to promote snowmobile safety after a mounting death toll due to snowmobile accidents. In the 1970s, the company began producing Can-Am motorcycles, which included Rotax engines. In 2003, the company sold Bombardier Recreational Products to a group of investors: Bain Capital (50%), Bombardier Family (35%) and Caisse de dépôt et placement du Québec (15%) for $875 million. Divested lines of business Aviation In 1986, Bombardier acquired Canadair for C$120 million from the Government of Canada after it recorded the largest corporate loss in Canadian history. In 1989, the company acquired Short Brothers. In 1990, it acquired Learjet. In 1992, the company acquired de Havilland Canada from Boeing. In 1995, the company founded Flexjet. In December 2013, the division was sold for $195 million. On June 29, 2016, Bombardier delivered the first CSeries CS100 aircraft (now called the Airbus A220) to Swiss International Air Lines. Air Canada placed an order for the aircraft one day earlier. In April 2016, Delta Air Lines placed an order for the aircraft. On September 26, 2017, after Boeing complained that Bombardier was selling the CS100 to Delta Air Lines below cost due to subsidies from the governments of Canada and Quebec, the United States Department of Commerce proposed a 219% tariff on the aircraft. Boeing's complaint stated that the CS100 planes were being sold at US$19.6 million each, below the US$33.2 million production cost. The governments of Canada and the United Kingdom threatened to stop ordering Boeing aircraft since the company was putting aerospace jobs at risk. On January 26, 2018 the United States International Trade Commission overturned the tariffs. Boeing did not appeal. In July 2018, Airbus acquired a 50.01% stake in the CSeries for one Canadian dollar, with an option to acquire the remaining interest by 2024. Airbus built a second CSeries assembly line at its A320 assembly facility in Mobile, Alabama. In November 2018, the company announced the sale of its turboprop passenger aircraft to an affiliate of Viking Air. It also announced 5,000 layoffs. In March 2019, the company sold its Business Aircraft Training business to CAE Inc. for $645 million. The business included flight simulators and training devices for the Bombardier Learjet, Challenger, and Global product lines. On 25 June 2019, Bombardier agreed with Mitsubishi Heavy Industries to sell the CRJ programme, a deal was expected to close in early 2020 subject to regulatory approval. Bombardier will retain the Mirabel assembly facility and produce the CRJ on behalf of Mitsubishi until the current order backlog is complete. In October 2019 Bombardier announced the sale agreement of its remaining aerostructure division to US company Spirit AeroSystems. The division at time of sale involved component manufacture for new and after-market Bombardier group and Airbus group aircraft models, and also operated in aircraft maintenance, repair and overhaul. Due to how the 2020 pandemic affected the industry, the agreement was renegotiated with the sale to Spirit concluded finally in October 2020. Bombardier's former aerostructures division purchased by Spirit consisted at time of sale of operations in Belfast UK, Casablanca Morocco and Dallas USA. The 2019-20 aerostructures division sell-off was described at the time as supporting Bombardier's "strategic decision to reposition itself as a pure-play business aircraft company". In February 2020, Airbus acquired an additional 25% stake in the A220 for US$591 million. This transaction was the final step to get Bombardier Aviation out of the commercial jet industry. Bombardier Capital From 1973, when it was based in Colchester, Vermont, Bombardier Capital offered financial services such as lending and leasing. In 1997, the company began transitioning some services to Jacksonville, Florida. In 2001, it ceased taking on new consumer loans. In 2005, Bombardier sold its inventory finance division to GE Commercial Finance. Military The company acquired the rights to the Volkswagen Iltis in 1981. Production ceased in 1989. When UTDC was acquired Bombardier in 1991 several military products were added: UTDC 24M32 - HLVW military trucks based on the Steyr 91 (Percheron) MLVW military trucks based on the M35 2-1/2 ton cargo truck In 2003, the company sold its arms industry division in Canada. Military Aviation Services was sold to SPAR Aerospace. Land-based arms industry products made by Urban Transportation Development Corporation ceased operations. Public transport bus in Ireland In the late 1970s in the Republic of Ireland, CIÉ (now Bus Éireann and Dublin Bus) commissioned a range of single and double-decker buses to be designed and produced. CIÉ looked for partners to build these buses in Ireland, eventually finding two: Bombardier, and the United States-based General Automotive Corporation (GAC) from Ann Arbor, Michigan. The two companies formed a new company Bombardier Ireland Limited, 51% owned by Bombardier and 49% owned by GAC. In August 1983, Bombardier sold its shares to GAC, with | the 1970s, the company began producing Can-Am motorcycles, which included Rotax engines. In 2003, the company sold Bombardier Recreational Products to a group of investors: Bain Capital (50%), Bombardier Family (35%) and Caisse de dépôt et placement du Québec (15%) for $875 million. Divested lines of business Aviation In 1986, Bombardier acquired Canadair for C$120 million from the Government of Canada after it recorded the largest corporate loss in Canadian history. In 1989, the company acquired Short Brothers. In 1990, it acquired Learjet. In 1992, the company acquired de Havilland Canada from Boeing. In 1995, the company founded Flexjet. In December 2013, the division was sold for $195 million. On June 29, 2016, Bombardier delivered the first CSeries CS100 aircraft (now called the Airbus A220) to Swiss International Air Lines. Air Canada placed an order for the aircraft one day earlier. In April 2016, Delta Air Lines placed an order for the aircraft. On September 26, 2017, after Boeing complained that Bombardier was selling the CS100 to Delta Air Lines below cost due to subsidies from the governments of Canada and Quebec, the United States Department of Commerce proposed a 219% tariff on the aircraft. Boeing's complaint stated that the CS100 planes were being sold at US$19.6 million each, below the US$33.2 million production cost. The governments of Canada and the United Kingdom threatened to stop ordering Boeing aircraft since the company was putting aerospace jobs at risk. On January 26, 2018 the United States International Trade Commission overturned the tariffs. Boeing did not appeal. In July 2018, Airbus acquired a 50.01% stake in the CSeries for one Canadian dollar, with an option to acquire the remaining interest by 2024. Airbus built a second CSeries assembly line at its A320 assembly facility in Mobile, Alabama. In November 2018, the company announced the sale of its turboprop passenger aircraft to an affiliate of Viking Air. It also announced 5,000 layoffs. In March 2019, the company sold its Business Aircraft Training business to CAE Inc. for $645 million. The business included flight simulators and training devices for the Bombardier Learjet, Challenger, and Global product lines. On 25 June 2019, Bombardier agreed with Mitsubishi Heavy Industries to sell the CRJ programme, a deal was expected to close in early 2020 subject to regulatory approval. Bombardier will retain the Mirabel assembly facility and produce the CRJ on behalf of Mitsubishi until the current order backlog is complete. In October 2019 Bombardier announced the sale agreement of its remaining aerostructure division to US company Spirit AeroSystems. The division at time of sale involved component manufacture for new and after-market Bombardier group and Airbus group aircraft models, and also operated in aircraft maintenance, repair and overhaul. Due to how the 2020 pandemic affected the industry, the agreement was renegotiated with the sale to Spirit concluded finally in October 2020. Bombardier's former aerostructures division purchased by Spirit consisted at time of sale of operations in Belfast UK, Casablanca Morocco and Dallas USA. The 2019-20 aerostructures division sell-off was described at the time as supporting Bombardier's "strategic decision to reposition itself as a pure-play business aircraft company". In February 2020, Airbus acquired an additional 25% stake in the A220 for US$591 million. This transaction was the final step to get Bombardier Aviation out of the commercial jet industry. Bombardier Capital From 1973, when it was based in Colchester, Vermont, Bombardier Capital offered financial services such as lending and leasing. In 1997, the company began transitioning some services to Jacksonville, Florida. In 2001, it ceased taking on new consumer loans. In 2005, Bombardier sold its inventory finance division to GE Commercial Finance. Military The company acquired the rights to the Volkswagen Iltis in 1981. Production ceased in 1989. When UTDC was acquired Bombardier in 1991 several military products were added: UTDC 24M32 - HLVW military trucks based on the Steyr 91 (Percheron) MLVW military trucks based on the M35 2-1/2 ton cargo truck In 2003, the company sold its arms industry division in Canada. Military Aviation Services was sold to SPAR Aerospace. Land-based arms industry products made by Urban Transportation Development Corporation ceased operations. Public transport bus in Ireland In the late 1970s in the Republic of Ireland, CIÉ (now Bus Éireann and Dublin Bus) commissioned a range of single and double-decker buses to be designed and produced. CIÉ looked for partners to build these buses in Ireland, eventually finding two: Bombardier, and the United States-based General Automotive Corporation (GAC) from Ann Arbor, Michigan. The two companies formed a new company Bombardier Ireland Limited, 51% owned by Bombardier and 49% owned by GAC. In August 1983, Bombardier sold its shares to GAC, with the company renamed GAC Ireland Limited. The prototypes were devised in Germany and production of 51 express coaches (KE type) and 366 double-decker buses (KD type) were |
the CONTINUE command. The Sinclair QL computer, without a key, maps the function to . BBC Micro On a BBC Micro computer, the key generates a hardware reset which would normally cause a warm restart of the computer. A cold restart is triggered by pressing . If a filing system is installed, will cause the computer to search for and load or run a file called !Boot on the filing system's default device (e.g. floppy disk 0, network user BOOT). The latter two behaviours were inherited by the successor to Acorn MOS, RISC OS. These behaviours could be changed or exchanged in software, and were often used in rudimentary anti-piracy techniques. Because of the BBC Micro's near universal usage in British schools, later versions of the machine incorporated a physical lock on the Break key to stop children from intentionally resetting the computer. Modern keyboards On many modern PCs, interrupts screen output by BIOS until another key is pressed. This is effective during boot in text mode and in a DOS box in Windows safe mode with 50 lines. On early keyboards without a key (before the introduction of 101/102-key keyboards) the Pause function was assigned to , and the Break function to ; these key-combinations still work with most programs, even on modern PCs with modern keyboards. Pressing the dedicated key on 101/102-key keyboards sends the same scancodes as pressing , then , then releasing them in the reverse order would do; additionally, an E1hex prefix is sent, which enables 101/102-key-aware software to discern the two situations, while older software usually just ignores the prefix. The key is different from all other keys in that it sends no scancodes at all on release in PS/2 modes 1 or 2, so it is impossible to determine whether this key is being held down with older devices. In PS/2 mode 3 or USB HID mode, there is a release scancode, so it is possible to determine whether this key is being held down on modern computers. On modern keyboards, the key is usually labeled Pause with Break below, sometimes separated by a line: , | down a special "break" key opened the loop, forcing it into a continuous logic 0, or "spacing", condition. When this occurred, the teleprinter mechanisms continually actuated without printing anything, as the all-0s character is the non-printing NUL in both Baudot and ASCII. The resulting noise got the sending operator's attention. This practice carried over to teleprinter use on time-sharing computers. A continuous spacing (logical 0) condition violates the rule that every valid character has to end with one or more logic 1 (marking) "stop" bits. The computer (specifically the UART) recognized this as a special "break" condition and generated an interrupt that typically stopped a running program or forced the operating system to prompt for a login. Although asynchronous serial telegraphy is now rare, the key once used with terminal emulators can still be used by software for similar purposes. Sinclair On the Sinclair ZX80 and ZX81 computers, the Break is accessed by pressing . On the Sinclair ZX Spectrum it is accessed by . The Spectrum+ and later computers have a dedicated key. It does not trigger an interrupt but will halt any running BASIC program, or terminate the loading or saving of data to cassette tape. An interrupted BASIC program can usually be resumed with the CONTINUE command. The Sinclair QL computer, without a key, maps the function to . BBC Micro On a BBC Micro computer, the key generates a hardware reset which would normally cause a warm restart of the computer. A cold restart is triggered by pressing . If a filing system is installed, will cause the computer to search for and load or run a file called !Boot on the filing system's default device (e.g. floppy disk 0, network user BOOT). The latter two behaviours were inherited by the successor to Acorn MOS, RISC OS. These behaviours could be changed or exchanged in software, and were often used in rudimentary anti-piracy techniques. Because of the BBC Micro's near universal usage in British schools, later versions of the machine incorporated a physical lock on the Break key to stop children from intentionally resetting the computer. Modern keyboards On many modern PCs, interrupts screen output by BIOS until another key is pressed. This is effective during boot in text mode and in a DOS box in Windows safe mode with 50 lines. On early keyboards without a key (before the introduction of 101/102-key keyboards) the Pause function was assigned to , and the Break function to ; these key-combinations still work with most programs, even on modern PCs with modern keyboards. Pressing the dedicated key on 101/102-key keyboards sends the same scancodes as pressing |
1970s. Each wheel is separately connected to the bogie by a swing-arm axle. There is dual suspension: Primary suspension via a coil spring and damper mounted on each axle Secondary suspension via two air springs mounted on the pivot plank, this is connected to the bogie by pendulum links. A constant coach height is maintained by air valves. Locomotives Diesel and electric Modern diesel and electric locomotives are mounted on bogies. Those commonly used in the North America include Type A, Blomberg, HT-C and Flexicoil trucks. Steam On a steam locomotive, the leading and trailing wheels may be mounted on bogies like pony trucks or Bissel bogies. Articulated locomotives (e.g. Fairlie, Garratt or Mallet locomotives) have power bogies similar to those on diesel and electric locomotives. Rollbock A rollbock is a specialized type of bogie that is inserted under the wheels of a rail wagon/car, usually to convert for another track gauge. Transporter wagons carry the same concept to the level of a flatcar specialized to take other cars as its load. Archbar bogies In archbar or diamond frame bogies, the side frames are fabricated rather than cast. Tramway Modern Tram bogies are much simpler in design because of their axle load, and the tighter curves found on tramways mean tram bogies almost never have more than two axles. Furthermore, some tramways have steeper gradients and vertical, as well as horizontal, curves, which means tram bogies often need to pivot on the horizontal axis, as well. Some articulated trams have bogies located under articulations, a setup referred to as a Jacobs bogie. Often, low-floor trams are fitted with nonpivoting bogies and many tramway enthusiasts see this as a retrograde step, as it leads to more wear of both track and wheels and also significantly reduces the speed at which a tram can round a curve. Historic In the past, many different types of bogie (truck) have been used under tramcars (e.g. Brill, Peckham, maximum traction). A maximum traction truck has one driving axle with large wheels and one nondriving axle with smaller wheels. The bogie pivot is located off-centre, so more than half the weight rests on the driving axle. Hybrid systems The retractable stadium roof on Toronto's Rogers Centre used modified off-the-shelf train bogies on a circular rail. The system was chosen for its proven reliability. Rubber-tyred metro trains use a specialised version of railway bogies. Special flanged steel wheels are behind the rubber-tired running wheels, with additional horizontal guide wheels in front of and behind the running wheels, as well. The unusually large flanges on the steel wheels guide the bogie through standard railroad switches, and in addition keep the train from derailing in case the tires deflate. Variable gauge axles To overcome breaks of gauge some bogies are being fitted with variable gauge axles (VGA) so that they can operate on two different gauges. These include the SUW 2000 system from ZNTK Poznań. Cleminson system The Cleminson system is not a true bogie, but serves a similar purpose. It was based on a patent of 1883 by James Cleminson, and was once popular on narrow-gauge rolling stock, e.g. on the Isle of Man and Manx Northern Railways. The vehicle would have three axles and the outer two could pivot to adapt to curvature of the track. The pivoting was controlled by levers attached to the third (centre) axle, which could slide sideways. Tracked vehicles Some tanks and other tracked vehicles have bogies as external suspension components (see armoured fighting vehicle suspension). This type of bogie usually has two or more road wheels and some type of sprung suspension to smooth the ride across rough terrain. Bogie suspensions keep much of their components on the outside of the vehicle, saving internal space. Although vulnerable to antitank fire, they can often be repaired or replaced in the field. Articulated bogie An articulated bogie is any one of a number of bogie designs that allow railway equipment to safely turn sharp corners, while reducing or eliminating the "screeching" normally associated with metal wheels rounding a bend in the rails. There are a number of such designs, and the term is also applied to train sets that incorporate articulation in the vehicle, as opposed to the bogies themselves. If one considers a single bogie "up close", it resembles a small rail car with axles at either end. The same effect that causes the bogies to rub against the rails at longer radius causes each of the pairs of wheels to rub on the rails and cause the screeching. Articulated bogies add a second pivot point between the two axles (wheelsets) to allow them to rotate to the correct angle even in these cases. Articulated lorries (tractor-trailers) In trucking, a bogie is the subassembly of axles and wheels that supports a semi-trailer, whether permanently attached to the frame (as on a single trailer) or making up the dolly that can be hitched and unhitched as needed when hitching up a second or third semi-trailer (as when pulling doubles or triples). Bogie (aircraft) Radial steering truck Radial steering trucks, also known as radial bogies, allow the individual axles to align with curves in addition to the bogie frame as a whole pivoting. For non-radial bogies, the more axles in the assembly, the more difficulty it has negotiating curves, due to wheel flange to rail friction. For radial bogies, the wheel sets actively "steer" through curves, thus reducing wear at the wheel flange to rail interface and improving adhesion. This has been implemented both by EMD and GE. The EMD version, designated HTCR, was made standard equipment for the SD70 series, first sold in 1993. However, the HTCR in actual operation had mixed results and relatively high purchase and maintenance costs. Thus EMD introduced the HTSC truck in 2003, which basically is the HTCR stripped of radial components. GE introduced their version in 1995 as a buyer option for the AC4400CW and later Evolution Series locomotives. However it also met with limited acceptance due to relatively high purchase and maintenance costs, and customers have generally chosen GE Hi-Ad standard trucks for newer and rebuilt locomotives. Images gallery See also Articles on | are); it may be mounted on a swivel, as traditionally on a railway carriage or locomotive, additionally jointed and sprung (as in the landing gear of an airliner), or held in place by other means (centreless bogies). In Scotland, the term is used for a child’s (usually home-made) wooden cart. While bogie is the preferred spelling and first-listed variant in various dictionaries, bogey and bogy are also used. Railway A bogie in the UK, or a railroad truck, wheel truck, or simply truck in North America, is a structure underneath a railway vehicle (wagon, coach or locomotive) to which axles (and, hence, wheels) are attached through bearings. In Indian English, bogie may also refer to an entire railway carriage. In South Africa, the term bogie is often alternatively used to refer to a freight or goods wagon (shortened from bogie wagon). The first standard gauge British railway to build coaches with bogies, instead of rigidly mounted axles, was the Midland Railway in 1874. Purpose Bogies serve a number of purposes: Support of the rail vehicle body Stability on both straight and curved track Improve ride quality by absorbing vibration and minimizing the impact of centrifugal forces when the train runs on curves at high speed Minimizing generation of track irregularities and rail abrasion Usually, two bogies are fitted to each carriage, wagon or locomotive, one at each end. Another configuration is often used in articulated vehicles, which places the bogies (often Jacobs bogies) under the connection between the carriages or wagons. Most bogies have two axles, but some cars designed for heavy loads have more axles per bogie. Heavy-duty cars may have more than two bogies using span bolsters to equalize the load and connect the bogies to the cars. Usually, the train floor is at a level above the bogies, but the floor of the car may be lower between bogies, such as for a bilevel rail car to increase interior space while staying within height restrictions, or in easy-access, stepless-entry, low-floor trains. Components Key components of a bogie include: The bogie frame: This can be of inside frame type where the main frame and bearings are between the wheels, or (more commonly) of outside frame type where the main frame and bearings are outside the wheels. Suspension to absorb shocks between the bogie frame and the rail vehicle body. Common types are coil springs, leaf springs and rubber airbags. At least one wheelset, composed of an axle with bearings and a wheel at each end. The bolster, the main crossmember, connected to the bogie frame through the secondary suspension. The railway car is supported at the pivot point on the bolster. Axle box suspensions absorb shocks between the axle bearings and the bogie frame. The axle box suspension usually consists of a spring between the bogie frame and axle bearings to permit up-and-down movement, and sliders to prevent lateral movement. A more modern design uses solid rubber springs. Brake equipment: Two main types are used: brake shoes that are pressed against the tread of the wheel, and disc brakes and pads. In powered vehicles, some form of transmission, usually electrically powered traction motors with a single speed gearbox or a hydraulically powered torque converter. The connections of the bogie with the rail vehicle allow a certain degree of rotational movement around a vertical axis pivot (bolster), with side bearers preventing excessive movement. More modern, bolsterless bogie designs omit these features, instead taking advantage of the sideways movement of the suspension to permit rotational movement. Examples Commonwealth bogie The Commonwealth bogie was manufactured by the English Steel Corporation under licence from the Commonwealth Steel Company in Illinois, United States. Fitted with SKF or Timken bearings, it was introduced in the late 1950s for all BR Mark 1 vehicles. It was a heavy, cast-steel design weighing about , with sealed roller bearings on the axle ends, avoiding the need to maintain axle box oil levels. The leaf springs were replaced by coil springs (one per wheel) running vertically rather than horizontally. The advanced design gave a better ride quality than the BR1, being rated for . The side frame of the bogie was usually of bar construction, with simple horn guides attached, allowing the axle boxes vertical movements between them. The axle boxes had a cast-steel equaliser beam or bar resting on them. The bar had two steel coil springs placed on it and the bogie frame rested on the springs. The effect was to allow the bar to act as a compensating lever between the two axles and to use both springs to soften shocks from either axle. The bogie had a conventional bolster suspension with swing links carrying a spring plank. B4 bogie The B4 bogie was introduced in 1963. It was a fabricated steel design versus cast iron and was lighter than the Commonwealth, weighing in at . It also had a speed rating of . Axle to spring connection was again fitted with roller bearings. However, now two coil springs rather than one were fitted per wheel. Only a very small number of Mark 1 stock was fitted |
led to the reprieve of the so-called 'Beswick plants', for social reasons, but subsequent governments were obliged under EU rules to withdraw subsidies. Major changes resulted across Europe, including in the UK: At Consett, the closure of the British Steel works in 1980 marked the end of steel production in Derwent Valley and the sharp decline of the area. At Corby, the closure of the former Stewarts & Lloyds site in the early-1980s saw the loss of 11,000 jobs, leading to an initial unemployment rate of over 30%. In Wales, works at East Moors (Cardiff) closed. Shotton closure of the heavy end with the loss of over 6,000 jobs. In Scotland, Western Europe's largest hot strip steel mill Ravenscraig steelworks, near Motherwell, North Lanarkshire, was closed by British Steel in 1992, leading to high levels of unemployment in the area. It also led to the closure of several local support and satellite businesses, such as the nearby British Steel Clydesdale Works in Mossend, Clyde Alloy in Netherton and equipment maker Anderson Strathclyde. Demolition of the site's landmark blue gasometer in 1996, and the subsequent cleanup operation, has created the largest brownfield site in Europe. This huge area between Motherwell and Wishaw is in line to be transformed into the new town of Ravenscraig, a project partly funded by Corus. Privatisation The Conservative manifesto for the 1987 general election noted that "British Steel has more than doubled its productivity since 1979 and made a profit last year for the first time in over ten years." Following Margaret Thatcher's re-election, on 3 December 1987 the Conservative government formally announced in a statement by Kenneth Clarke, Minister of State for Trade and Industry, that it intended to privatise the British Steel Corporation. On 5 September 1988 the assets, rights and liabilities of British Steel Corporation were transferred to British Steel plc, registered under the Companies Act as company number 2280000, by the British Steel Act 1988. The government retained a special share which carried no voting rights but until 31 December 1993, permitted the government to stop any one party controlling more than 15% of the shares. British Steel employees were given a free allocation of shares, and offered two free shares for each they purchased up to £165, discounted shares up to £2,200, and priority on applying for shares up to £10,000. Dealing in shares opened on the London Stock Exchange on 5 December 1988. Post-privatisation The privatised company later merged with the Dutch steel producer Koninklijke Hoogovens to form Corus Group on 6 October 1999. Corus itself was taken over in March 2007 by the Indian steel operator Tata Steel. Chairmen Julian, Lord Melchett (1967–1973) Monty Finniston (1973–1976) Charles Villiers (1976–1980) Ian MacGregor (1980–1983) Robert Haslam (1983–1986) Robert Scholey (1986–1992) Sir Brian Moffat (1992-1999) Ian MacGregor later became famous for his role as Chairman of the National Coal Board during the UK miners' strike (1984–1985). During the strike the "Battle of Orgreave" took place at British Steel's coking plant. Sponsorships In 1971 British Steel sponsored Sir Chay Blyth in his record-making non-stop circumnavigation against the winds and currents, known as 'The Impossible Voyage'. In 1992 they sponsored the British Steel Challenge, the first of a series of 'wrong way' races for amateur crews. British Steel had agreed a sponsorship deal with Middlesbrough Football Club during the 1994–95 season, with a view to British Steel-sponsored Middlesbrough shirts making their appearance the following season. But the sponsorship deal was terminated before it commenced after it was revealed that British steel only made up a tiny fraction of steel used in construction of the stadium, and that the bulk of the steel had been imported from Germany. In popular culture The English rock band XTC mentioned British Steel in their 1979 song Making Plans for Nigel. See also British Iron and Steel Research Association References Bibliography Further reading , on nationalization 1945–50, pp 183–235 Dudley, G. F., and J. J. Richardson, eds. Politics and Steel in Britain, 1967–1988: The Life and Times of the British Steel Corporation (1990) Rhodes, Martin; Wright, Vincent. "The European Steel Unions and the Steel Crisis, 1974–84: A Study in the Demise of Traditional Unionism," British Journal of Political Science, April 1988, Vol. 18 Issue 2, pp 171–195 in JSTOR Scheuerman, William. The Steel Crisis: The Economics and Politics of a Declining Industry (1986) External links British Steel Corporation, 1988 Competition Commission report British Steel plc and C Walker & Sons (Holdings) Ltd, 1990 Competition Commission report Catalogue of the BSC archives, held at the Modern Records Centre, University of Warwick Catalogue of the BSC Department of Operational Research archives, held at the Modern Records Centre, University of Warwick Steel companies of the United Kingdom Defunct companies of the United Kingdom Former nationalised industries of the United Kingdom | in a number of depressed regions. One of the arguments made in favour of nationalisation was that it would enable steel production to be rationalised. This involved concentrating investment on major integrated plants, placed near the coast for ease of access by sea, and closing older, smaller plants, especially those that had been located inland for proximity to coal supplies. From the mid-1970s, British Steel pursued a strategy of concentrating steelmaking in five areas: South Wales, South Yorkshire, Scunthorpe, Teesside and Scotland. This policy continued following the Conservative victory at the 1979 general election. Other traditional steelmaking areas faced cutbacks. Under the Labour government of James Callaghan, a review by Lord Beswick had led to the reprieve of the so-called 'Beswick plants', for social reasons, but subsequent governments were obliged under EU rules to withdraw subsidies. Major changes resulted across Europe, including in the UK: At Consett, the closure of the British Steel works in 1980 marked the end of steel production in Derwent Valley and the sharp decline of the area. At Corby, the closure of the former Stewarts & Lloyds site in the early-1980s saw the loss of 11,000 jobs, leading to an initial unemployment rate of over 30%. In Wales, works at East Moors (Cardiff) closed. Shotton closure of the heavy end with the loss of over 6,000 jobs. In Scotland, Western Europe's largest hot strip steel mill Ravenscraig steelworks, near Motherwell, North Lanarkshire, was closed by British Steel in 1992, leading to high levels of unemployment in the area. It also led to the closure of several local support and satellite businesses, such as the nearby British Steel Clydesdale Works in Mossend, Clyde Alloy in Netherton and equipment maker Anderson Strathclyde. Demolition of the site's landmark blue gasometer in 1996, and the subsequent cleanup operation, has created the largest brownfield site in Europe. This huge area between Motherwell and Wishaw is in line to be transformed into the new town of Ravenscraig, a project partly funded by Corus. Privatisation The Conservative manifesto for the 1987 general election noted that "British Steel has more than doubled its productivity since 1979 and made a profit last year for the first time in over ten years." Following Margaret Thatcher's re-election, on 3 December 1987 the Conservative government formally announced in a statement by Kenneth Clarke, Minister of State for Trade and Industry, that it intended to privatise the British Steel Corporation. On 5 September 1988 the assets, rights and liabilities of British Steel Corporation were transferred to British Steel plc, registered under the Companies Act as company number 2280000, by the British Steel Act 1988. The government retained a special share which carried no voting rights but until 31 December 1993, permitted the government to stop any one party controlling more than 15% of the shares. British Steel employees were given a free allocation of shares, and offered two free shares for each they purchased up to £165, discounted shares up to £2,200, and priority on applying for shares up to £10,000. Dealing in shares opened on the London Stock Exchange on 5 December 1988. Post-privatisation The privatised company later merged with the Dutch steel producer Koninklijke Hoogovens to form Corus Group on 6 October 1999. Corus itself was taken over in March 2007 by the Indian steel operator Tata Steel. Chairmen Julian, Lord Melchett (1967–1973) Monty Finniston (1973–1976) Charles Villiers (1976–1980) Ian MacGregor (1980–1983) Robert Haslam (1983–1986) Robert Scholey (1986–1992) Sir Brian Moffat (1992-1999) Ian MacGregor later became famous for his role as Chairman of the National Coal Board during the UK miners' strike (1984–1985). During the strike the "Battle of Orgreave" took place at British Steel's coking plant. Sponsorships In 1971 British Steel sponsored Sir Chay Blyth in his record-making non-stop circumnavigation against the winds and currents, known as 'The Impossible Voyage'. In 1992 they sponsored the British Steel Challenge, the first of a series of 'wrong way' races for amateur crews. British Steel had agreed a sponsorship deal with Middlesbrough Football Club during the 1994–95 season, with a view to British Steel-sponsored Middlesbrough shirts making their appearance the following season. But the sponsorship deal was terminated before it commenced after it was revealed that British steel only made up a tiny fraction of steel used in construction of the |
the resulting board room clear-outs – partly due to Concert's extensive annual losses. AT&T recognized that Concert was a threat to its ambitions if left intact, and so negotiated a deal where Concert was split in two in 2001: North America and Eastern Asia went to AT&T, the rest of the world and $400M to BT. BT's remaining Concert assets were merged into its BT Ignite, later BT Global Services group. BT Ireland In 2000, BT acquired Esat Telecom Group plc, and all its subsidiary companies, and Ireland On Line. It also purchased Telenor's minority shareholding in Esat Digifone. The Esat Telecom Group was split in two with the landline and internet operations were combining with Ocean to become part of BT Ignite. Esat Group was renamed Esat BT in July 2002, and eventually BT Ireland in April 2005. Esat Digifone became part of BT Wireless, before being spun off into a separate independent company mmo2 plc (now Telefónica Europe). EsatBT installed the first DSL lines in Ireland, to try and compete heavily with former state telecoms company Eircom and operate one exchange, in Limerick. 2001 debt crisis By 2001, BT had a debt of £30 billion, much of which was acquired during the bidding round for the 3rd generation mobile telephony (commonly known as 3G) licences. It had also failed in its series of proposed global mergers, and the funds flowing from its then virtual monopoly of the UK market place had been largely removed. It was also headed by two executives who had little support from the London Stock Exchange, particularly in light of a 60% drop in share price in sixteen months. Philip Hampton joined as CFO, and in April 2001 Sir Iain Vallance was replaced as Chairman by recognised turn around expert Sir Christopher Bland. Europe's largest rights issue In May 2001 BT carried out corporate Europe's largest ever rights issue, allowing it to raise £5.9 billion. A few days before, it sold stakes in Japan Telecom, in mobile operator J-Phone Communications, and in Airtel of India to Vodafone. Sale of Yell Group and demerger of O2 In June 2001 BT's directory business was sold as Yell Group to a combination of private equity firms Apax Partners and Hicks, Muse, Tate & Furst for £2.1 billion. A demerger followed in November 2001, when the former mobile telecommunications business of BT, BT Cellnet, was hived off as a separate business named "mmO2". This included BT owned or operated networks in other countries, including BT Cellnet (UK), Esat Digifone (Ireland), and Viag Interkom (Germany). All networks now owned or operated by mmO2 (except Manx Telecom) were renamed as O2. The de-merger was accomplished via a share-swap, all British Telecommunications plc shareholders received one mmO2 plc and one BT Group plc (of which British Telecommunications is now a wholly owned subsidiary) share for each share they owned. British Telecommunications plc was de-listed on 16 November, and the two new companies started trading on 19 November. Aftermath At the end of the series of sales, in October 2001 Sir Peter Bonfield resigned, and was replaced by former Lucent CEO Ben Verwaayen. During Bonfield's tenure the share price went from £4 to £15, and back again to £5. Bonfield's salary to 31 March 2001 was a basic of £780,000 (increasing to £820,000) plus a £481,000 bonus and £50,000 of other benefits including pension. He also received a deferred bonus, payable in shares three years' later, of £481,000, and additional bonuses of £3.3 million. mmO2 plc was replaced by O2 plc in a further share-swap in 2005, and subsequently bought in an agreed takeover by Telefónica for £18 billion and delisted. In 2004, BT launched Consult 21, a consultation organisation that was to aid BT 21CN in the eventual conversion to digital telephony. In 2004, BT was awarded the contract to deliver and manage N3, a secure and fast broadband network for the NHS National Programme for IT (NPfIT) program, on behalf of the English National Health Service (NHS). In 2005 BT made a number of acquisitions. In February 2005, BT acquired Infonet (now re-branded BT Infonet), a large telecoms company based in El Segundo, California, giving BT access to new geographies. It also acquired the Italian company Albacom. Then in April 2005, it bought Radianz from Reuters (now rebranded as BT Radianz), which expanded BT's coverage and provided BT with more buying power in certain countries. In August 2006, BT acquired online electrical retailer Dabs.com for £30.6 million. The BT Home Hub manufactured by Inventel was also launched in June 2006. In October 2006, BT confirmed that it would be investing 75% of its total capital spending, put at £10 billion over five years, in its new Internet Protocol (IP) based 21st century network (21CN). Annual savings of £1 billion per annum were expected when the transition to the new network was to have been completed in 2010, with over 50% of its customers to have been transferred by 2008. That month the first customers on to 21CN was successfully tested at Adastral Park in Suffolk. 2007 to 2012 In January 2007, BT acquired Sheffield-based ISP, PlusNet plc, adding 200,000 customers. BT stated that PlusNet will continue to operate separately out of its Sheffield head-office. On 1 February 2007, BT announced agreed terms to acquire International Network Services Inc. (INS), an international provider of IT consultancy and software. In February 2007, Sir Michael Rake succeeded Sir Christopher Bland. In April that year, they acquired COMSAT International, followed in October by the acquisition of Lynx Technology. BT acquired Wire One Communications in June 2008 and folded the company into "BT Conferencing", its existing conferencing unit, as a new video business unit In July 2008, BT acquired the online business directory firm Ufindus for £20 million in order to expand its position in the local information market in GB. On 28 July 2008, BT acquired Ribbit, of Mountain View, California, "Silicon Valley's First Phone Company". Ribbit provides Adobe Flash/Flex APIs, allowing web developers to incorporate telephony features into their software as a service (SaaS) applications. In the early days of its fibre broadband rollout, BT said it would deliver fibre-to-the-premises (FTTP) to around 25% of the Country, with the rest catered for by the slower fibre-to-the-cabinet (FTTC), which uses copper wiring to deliver the final stretch of the connection. In 2014, with less than 0.7% of the company's fibre network being FTTP, BT dropped the 25% target, saying that it was "far less relevant today" because of improvements made to the headline speed of FTTC, which had doubled to 80Mbit/s since its fibre broadband rollout was first announced. To supplement FTTC, BT offered an 'FTTP on Demand' product. In January 2015, BT stopped taking orders for the on-demand product. On 1 April 2009, BT Engage IT was created from the merger of two previous BT acquisitions, Lynx Technology and Basilica. Apart from the name change not much else changed in operations for another 12 months. On 14 May 2009, BT said it was cutting up to 15,000 jobs in the coming year after it announced its results for the year to 31 March 2009. Then in July 2009, BT offered workers a long holiday for an up front sum of 25% of their annual wage or a one-off payment of £1000 if they agree to go part-time. On 6 April 2011, BT launched the first online not-for-profit fundraising service for UK charities called BT MyDonate as part of its investment to the community. The service will pass on 100% of all donations made through the site to the charity, and unlike other services which take a proportion as commission and charge charities for using their services, BT will only pass on credit/debit card charges for each donation. The service allows people to register to give money to charity or collect fundraising donations. BT developed MyDonate with the support of Cancer Research UK, Changing Faces, KidsOut, NSPCC and Women's Aid. 2013 to present In March 2013, BT was allocated 4G spectrum in the UK following an auction and assignment by Ofcom, after paying £201.5m. On 1 August 2013, BT launched its first television channels, BT Sport, to compete with rival broadcaster Sky Sports. Plans for the channels' launch came about when it was announced in June 2012 that BT had been awarded a package of broadcast rights for the Premier League from the 2013–14 to 2015–16 season, broadcasting 38 matches from each season. In February 2013, BT acquired ESPN Inc.'s UK and Ireland TV channels, continuing its expansion into sports broadcasting. ESPN America and ESPN Classic were both closed, while ESPN continued to be operated by BT. On 9 November 2013, BT announced it had acquired exclusive rights to the Champions League and Europa League for £897m, from the 2015 season, with some free games remaining including both finals. On 1 November 2014, BT created a new central business services (CBS) organisation to provide customer services and improve operational efficiency levels. On 24 November 2014, shares in BT rose considerably on the announcement that the company was in talks to buy back O2, while at the same time confirmed it was also in talks to acquire EE. BT subsequently entered into exclusive talks to buy EE for £12.5 billion on 15 December 2014 and confirmed on 5 February 2015, subject to regulatory approval. The deal will combine BT's 10 million retail customers and EE's 24.5 million direct mobile subscribers. Deutsche Telekom will own 12% of BT, while Orange S.A. will own 4%. In March 2015, launched a 4G service as BT Mobile BT Group CEO Gavin Patterson announced that BT plans to migrate all of its customers onto the IP network by 2025, switching off the company's ISDN network. On 15 January 2016, BT received final unconditional approval by the Competition and Markets Authority to acquire EE. The deal was officially completed on 29 January 2016 with Deutsche Telekom now owning 12% of BT, while Orange S.A. own 4%. On 1 February 2016, BT announced a new organisational structure that will take effect from April 2016 following the successful acquisition of EE. The EE brand, network and high street stores will be retained and will become a second consumer division, operating alongside BT Consumer. It will serve customers with mobile services, broadband and TV and will continue to deliver the Emergency Services Network contract which was awarded to EE in late 2015. There will be a new BT Business and Public Sector division that will have around £5bn of revenues and will serve small and large businesses as well as the public sector in the UK and Ireland. It will comprise the existing BT Business division along with EE's business division and those parts of BT Global Services that are UK focused. There will also be another new division; BT Wholesale and Ventures that will comprise the existing BT Wholesale division along with EE's MVNO business as well as some specialist businesses such as Fleet, Payphones and Directories. Gerry McQuade, currently Chief Sales and Marketing Officer, Business at EE, will be its CEO. On 8 June 2017, BT appointed KPMG as its new auditor to replace PwC in the wake of the fraud scandal in Italy that triggered a major profit warning earlier that year. Also in of that year, KPMG fired six US employees over a scandal that calls into question efforts to ensure that public company accounts are being properly scrutinised. On 8 July 2017, The Daily Telegraph reported that BT "has called in consultants from McKinsey to conduct a review of its businesses in the hope of saving hundreds of millions of pounds per year. The work, dubbed 'Project Novator', is understood to include a potential merger of BT's struggling global services corporate networking and IT unit with its business and public sector division". On 28 July 2017, BT announced organisational changes to "simplify its operating model, strengthen accountabilities and accelerate its transformation" and involves bringing together its BT Consumer and EE divisions into a new unified BT Consumer division that will operate across three brands – BT, EE and Plusnet. It will take effect from 1 April 2018. On 18 April 2018, BT announced further organisational changes following unification of its BT Consumer and EE divisions, and involves bringing together its BT Business and Public Sector and BT Wholesale and Ventures divisions into a new unified division known as BT Enterprise. It will also include BT's Ventures business which "acts as an incubator for potential new growth areas of the company" and will report as a single unit from 1 October 2018. In June 2021, the French telecommunications company, Altice acquired a 12% stake in BT, increasing that stake to 18% in December 2021. Operations BT Group is a holding company; the majority of its businesses and assets are held by its wholly owned subsidiary British Telecommunications plc. BT's businesses are operated under special government regulation by the British telecoms regulator Ofcom (formerly Oftel). BT has been found to have significant market power in some markets following market reviews by Ofcom. In these markets, BT is required to comply with additional obligations such as meeting reasonable requests to supply services and not to discriminate. BT runs the telephone exchanges, trunk network and local loop connections for the vast majority of British fixed-line telephones. Currently BT is responsible for approximately 28 million telephone lines in GB. Apart from KCOM Group, which serves Kingston upon Hull, BT is the only UK telecoms operator to have a Universal service Obligation, (USO) which means it must provide a fixed telephone line to any address in the UK. It is also obliged to provide public call boxes. As well as continuing to provide service in those traditional areas in which BT has an obligation to provide services or is closely regulated, BT has expanded into more profitable products and services where there is less regulation. These are principally, broadband internet service and bespoke solutions in telecommunications and information technology. Corporate affairs Buildings and facilities As BT operates in around 180 countries, it owns and leases a range of buildings and facilities in the UK and around the world. In 2001, it sold some of its UK property portfolio for £2.38 billion to Telereal Trillium in a 30-year leaseback. The deal included 6,700 properties and contributed towards alleviating its debt at the time, with the main advantage being flexibility as it allows BT to vacate property over time, so as to adapt to changing operational requirements. Headquarters Until December 2021, BT Group's world headquarters and registered office was the BT Centre, a 10-storey office building at 81 Newgate Street in the City of London, opposite St Paul's tube station. In November 2021 BT relocated to new headquarters at One Braham, a brand new 18-storey building completed earlier in 2021. Buildings and stations Some of its UK buildings and stations are: Telecommunications towers BT remains one of the largest owners of telecommunications towers in the UK and were a major node in its microwave network. Its BT Tower in London is notable for numerous reasons such as being the tallest building in the UK from its construction in the 1960s until the early 1980s, its revolving restaurant at the top known as 'Top of the Tower' in operation through the late 1960s and 1970s, and remains one of the UK's most important communications nerve centres, the heart of a vast broadcasting and communications network. It carries approximately 95% of the UK's TV content, including live broadcasts and 99% of all live football games as well as pioneering the first international HD, 3D and 4K television transmissions. | Mountain View, California, "Silicon Valley's First Phone Company". Ribbit provides Adobe Flash/Flex APIs, allowing web developers to incorporate telephony features into their software as a service (SaaS) applications. In the early days of its fibre broadband rollout, BT said it would deliver fibre-to-the-premises (FTTP) to around 25% of the Country, with the rest catered for by the slower fibre-to-the-cabinet (FTTC), which uses copper wiring to deliver the final stretch of the connection. In 2014, with less than 0.7% of the company's fibre network being FTTP, BT dropped the 25% target, saying that it was "far less relevant today" because of improvements made to the headline speed of FTTC, which had doubled to 80Mbit/s since its fibre broadband rollout was first announced. To supplement FTTC, BT offered an 'FTTP on Demand' product. In January 2015, BT stopped taking orders for the on-demand product. On 1 April 2009, BT Engage IT was created from the merger of two previous BT acquisitions, Lynx Technology and Basilica. Apart from the name change not much else changed in operations for another 12 months. On 14 May 2009, BT said it was cutting up to 15,000 jobs in the coming year after it announced its results for the year to 31 March 2009. Then in July 2009, BT offered workers a long holiday for an up front sum of 25% of their annual wage or a one-off payment of £1000 if they agree to go part-time. On 6 April 2011, BT launched the first online not-for-profit fundraising service for UK charities called BT MyDonate as part of its investment to the community. The service will pass on 100% of all donations made through the site to the charity, and unlike other services which take a proportion as commission and charge charities for using their services, BT will only pass on credit/debit card charges for each donation. The service allows people to register to give money to charity or collect fundraising donations. BT developed MyDonate with the support of Cancer Research UK, Changing Faces, KidsOut, NSPCC and Women's Aid. 2013 to present In March 2013, BT was allocated 4G spectrum in the UK following an auction and assignment by Ofcom, after paying £201.5m. On 1 August 2013, BT launched its first television channels, BT Sport, to compete with rival broadcaster Sky Sports. Plans for the channels' launch came about when it was announced in June 2012 that BT had been awarded a package of broadcast rights for the Premier League from the 2013–14 to 2015–16 season, broadcasting 38 matches from each season. In February 2013, BT acquired ESPN Inc.'s UK and Ireland TV channels, continuing its expansion into sports broadcasting. ESPN America and ESPN Classic were both closed, while ESPN continued to be operated by BT. On 9 November 2013, BT announced it had acquired exclusive rights to the Champions League and Europa League for £897m, from the 2015 season, with some free games remaining including both finals. On 1 November 2014, BT created a new central business services (CBS) organisation to provide customer services and improve operational efficiency levels. On 24 November 2014, shares in BT rose considerably on the announcement that the company was in talks to buy back O2, while at the same time confirmed it was also in talks to acquire EE. BT subsequently entered into exclusive talks to buy EE for £12.5 billion on 15 December 2014 and confirmed on 5 February 2015, subject to regulatory approval. The deal will combine BT's 10 million retail customers and EE's 24.5 million direct mobile subscribers. Deutsche Telekom will own 12% of BT, while Orange S.A. will own 4%. In March 2015, launched a 4G service as BT Mobile BT Group CEO Gavin Patterson announced that BT plans to migrate all of its customers onto the IP network by 2025, switching off the company's ISDN network. On 15 January 2016, BT received final unconditional approval by the Competition and Markets Authority to acquire EE. The deal was officially completed on 29 January 2016 with Deutsche Telekom now owning 12% of BT, while Orange S.A. own 4%. On 1 February 2016, BT announced a new organisational structure that will take effect from April 2016 following the successful acquisition of EE. The EE brand, network and high street stores will be retained and will become a second consumer division, operating alongside BT Consumer. It will serve customers with mobile services, broadband and TV and will continue to deliver the Emergency Services Network contract which was awarded to EE in late 2015. There will be a new BT Business and Public Sector division that will have around £5bn of revenues and will serve small and large businesses as well as the public sector in the UK and Ireland. It will comprise the existing BT Business division along with EE's business division and those parts of BT Global Services that are UK focused. There will also be another new division; BT Wholesale and Ventures that will comprise the existing BT Wholesale division along with EE's MVNO business as well as some specialist businesses such as Fleet, Payphones and Directories. Gerry McQuade, currently Chief Sales and Marketing Officer, Business at EE, will be its CEO. On 8 June 2017, BT appointed KPMG as its new auditor to replace PwC in the wake of the fraud scandal in Italy that triggered a major profit warning earlier that year. Also in of that year, KPMG fired six US employees over a scandal that calls into question efforts to ensure that public company accounts are being properly scrutinised. On 8 July 2017, The Daily Telegraph reported that BT "has called in consultants from McKinsey to conduct a review of its businesses in the hope of saving hundreds of millions of pounds per year. The work, dubbed 'Project Novator', is understood to include a potential merger of BT's struggling global services corporate networking and IT unit with its business and public sector division". On 28 July 2017, BT announced organisational changes to "simplify its operating model, strengthen accountabilities and accelerate its transformation" and involves bringing together its BT Consumer and EE divisions into a new unified BT Consumer division that will operate across three brands – BT, EE and Plusnet. It will take effect from 1 April 2018. On 18 April 2018, BT announced further organisational changes following unification of its BT Consumer and EE divisions, and involves bringing together its BT Business and Public Sector and BT Wholesale and Ventures divisions into a new unified division known as BT Enterprise. It will also include BT's Ventures business which "acts as an incubator for potential new growth areas of the company" and will report as a single unit from 1 October 2018. In June 2021, the French telecommunications company, Altice acquired a 12% stake in BT, increasing that stake to 18% in December 2021. Operations BT Group is a holding company; the majority of its businesses and assets are held by its wholly owned subsidiary British Telecommunications plc. BT's businesses are operated under special government regulation by the British telecoms regulator Ofcom (formerly Oftel). BT has been found to have significant market power in some markets following market reviews by Ofcom. In these markets, BT is required to comply with additional obligations such as meeting reasonable requests to supply services and not to discriminate. BT runs the telephone exchanges, trunk network and local loop connections for the vast majority of British fixed-line telephones. Currently BT is responsible for approximately 28 million telephone lines in GB. Apart from KCOM Group, which serves Kingston upon Hull, BT is the only UK telecoms operator to have a Universal service Obligation, (USO) which means it must provide a fixed telephone line to any address in the UK. It is also obliged to provide public call boxes. As well as continuing to provide service in those traditional areas in which BT has an obligation to provide services or is closely regulated, BT has expanded into more profitable products and services where there is less regulation. These are principally, broadband internet service and bespoke solutions in telecommunications and information technology. Corporate affairs Buildings and facilities As BT operates in around 180 countries, it owns and leases a range of buildings and facilities in the UK and around the world. In 2001, it sold some of its UK property portfolio for £2.38 billion to Telereal Trillium in a 30-year leaseback. The deal included 6,700 properties and contributed towards alleviating its debt at the time, with the main advantage being flexibility as it allows BT to vacate property over time, so as to adapt to changing operational requirements. Headquarters Until December 2021, BT Group's world headquarters and registered office was the BT Centre, a 10-storey office building at 81 Newgate Street in the City of London, opposite St Paul's tube station. In November 2021 BT relocated to new headquarters at One Braham, a brand new 18-storey building completed earlier in 2021. Buildings and stations Some of its UK buildings and stations are: Telecommunications towers BT remains one of the largest owners of telecommunications towers in the UK and were a major node in its microwave network. Its BT Tower in London is notable for numerous reasons such as being the tallest building in the UK from its construction in the 1960s until the early 1980s, its revolving restaurant at the top known as 'Top of the Tower' in operation through the late 1960s and 1970s, and remains one of the UK's most important communications nerve centres, the heart of a vast broadcasting and communications network. It carries approximately 95% of the UK's TV content, including live broadcasts and 99% of all live football games as well as pioneering the first international HD, 3D and 4K television transmissions. It serves media production and distribution customers around the world and as part of the Things Connected Network launched in London, it became the highest building in the world to host an Internet of things (IoT) base station in September 2016. Some of its towers are: Other Some of its other UK facilities are: Divisions BT Group is organised into the following divisions: Customer facing BT Consumer – provides retail telecoms services to consumers in the UK including: BT Broadband BT Superfast Fibre BT TV BT Sport BT Mobile BT Wi-fi BT One Phone Plusnet - internet service provider, provides mobile and fixed communications services to consumers in the UK EE – mobile network operator, provides mobile and fixed communications services to consumers in the UK BT Business and Public Sector – provides retail telecoms and IT services to businesses and the public sector in the UK and Ireland BT Global Services – provides telecoms and IT services to multinationals BT Wholesale and Ventures – provides network products and services to communications providers (CPs), voice services to UK customers via 999, 118 500 and Next Generation Text Service, services for media companies and broadcasters and its ventures side encompasses a portfolio of businesses offering a range of products and services Openreach – fenced-off wholesale division, established in 2005 following a review by Ofcom and commenced operations in 2006, employing 25,000 engineers previously employed by BT. Its purpose is to ensure that other communications providers have the same operational conditions as BT, and is responsible for the provision and repair in the "last mile" of copper wire. Internal services Technology – responsible for the innovation, design, test, build and operation of BT's global networks and systems BT Research BT's procurement arm, "BT Sourced", was established in February 2021 and is based in Dublin. Corporate governance BT's board of directors as of November 2021: BT's executive committee as of March 2018: Pension fund BT has the second largest defined benefit pension plan of any UK public company. The trustees valued the scheme at £36.7 billion at the end of 2010; an actuarial valuation valued the deficit of the scheme at £9.043 billion as of 31 December 2008. Following a change in the regulations governing inflation index linking, the deficit was estimated at £5.2 billion in November 2010. Sponsorships BT sponsored Scotland's domestic rugby union championship and cup competitions between 1999 and 2006. On 31 July 2012, it was announced that BT agreed a three-year sponsorship deal with Ulster Rugby and sees BT become the Official Communications Partner. BT's logo will appear on the Ulster Rugby shirt sleeve for all friendlies, Heineken Cup and RaboDirect Pro12 matches as well as a significant brand presence at their home ground; Ravenhill Stadium. On 29 July 2013, it was announced that BT had partnered up with Scottish Rugby Union in a four-year sponsorship deal with its two professional clubs; Edinburgh Rugby and Glasgow Warriors that will commence from August 2013. The deal involves BT Sport becoming the new shirt sponsor for both clubs as well as being promoted with BT Group at their respective home grounds; Scotstoun Stadium and Murrayfield Stadium. On 28 May 2014, it was announced that BT agreed a £20 million four-year sponsorship deal with Scottish Rugby Union which includes BT securing the naming rights for Murrayfield Stadium which becomes BT Murrayfield Stadium, become sponsor of the Scotland sevens team, become principal and exclusive sponsor of Scotland's domestic league and cup competitions from next season, taking over the role from The Royal Bank of Scotland and become sponsor of Scottish Rugby's four new academies that aims to drive forward standards for young players who |
to Charles Farquharson of Inverey, brother of John Farquharson, the "Black Colonel". The Farquharsons were Jacobite sympathisers, and James Farquharson of Balmoral was involved in both the 1715 and 1745 rebellions. He was wounded at the Battle of Falkirk in 1746. The Farquharson estates were forfeit, and passed to the Farquharsons of Auchendryne. In 1798, James Duff, 2nd Earl Fife, acquired Balmoral and leased the castle. Sir Robert Gordon, a younger brother of the 4th Earl of Aberdeen, acquired the lease in 1830. He made major alterations to the original castle at Balmoral, including baronial-style extensions that were designed by John Smith of Aberdeen. Royal acquisition Queen Victoria and Prince Albert first visited Scotland in 1842, five years after her accession to the throne and two years after their marriage. During this first visit they stayed at Edinburgh, and at Taymouth Castle in Perthshire, the home of the Marquess of Breadalbane. They returned in 1844 to stay at Blair Castle and, in 1847, when they rented Ardverikie by Loch Laggan. Frequent rain during the latter trip led Sir James Clark, the queen's doctor, to recommend Deeside instead, for its healthier climate. Sir Robert Gordon died in 1847 and his lease on Balmoral reverted to Lord Aberdeen. In February 1848 an arrangement was made—that Prince Albert would acquire the remaining part of the lease on Balmoral, together with its furniture and staff—without having seen the property first. The royal couple arrived for their first visit on 8 September 1848. Victoria found the house "small but pretty", and recorded in her diary that: "All seemed to breathe freedom and peace, and to make one forget the world and its sad turmoils". The surrounding hilly landscape reminded them of Thuringia, Albert's homeland in Germany. Quickly, the house was confirmed to be too small and, in 1848, John and William Smith were commissioned to design new offices, cottages, and other ancillary buildings. Improvements to the woodlands, gardens, and estate buildings were also being made, with the assistance of the landscape gardener, James Beattie, and possibly by the painter, James Giles. Major additions to the old house were considered in 1849, but by then negotiations were under way to purchase the estate from the trustees of the deceased Earl Fife. After seeing a corrugated iron cottage at the Great Exhibition of 1851, Prince Albert ordered a prefabricated iron building for Balmoral from E. T. Bellhouse & Co., to serve as a temporary ballroom and dining room. It was in use by 1 October 1851, and would serve as a ballroom until 1856. The sale was completed in June 1852, the price being £32,000, and Prince Albert formally took possession that autumn. The neighbouring estate of Birkhall was bought at the same time, and the lease on Abergeldie Castle secured as well. To mark the occasion, the Purchase Cairn was erected in the hills overlooking the castle, the first of many. Construction of the new house The growing family of Victoria and Albert, the need for additional staff, and the quarters required for visiting friends and official visitors such as cabinet members, however, meant that extension of the existing structure would not be sufficient and that a larger house needed to be built. In early 1852, this was commissioned from William Smith. The son of John Smith (who designed the 1830 alterations of the original castle), William Smith was the city architect of Aberdeen from 1852. On learning of the commission, William Burn sought an interview with the prince, apparently to complain that Smith previously had plagiarised his work, however, Burn was unsuccessful in depriving Smith of the appointment. William Smith's designs were amended by Prince Albert, who took a close interest in details such as turrets and windows. Construction began during summer 1853, on a site some northwest of the original building that was considered to have a better vista. Another consideration was that whilst construction was ongoing, the family would still be able to use the old house. Queen Victoria laid the foundation stone on 28 September 1853, during her annual autumn visit. By the autumn of 1855, the royal apartments were ready for occupancy, although the tower was still under construction and the servants had to be lodged in the old house. By coincidence, shortly after their arrival at the estate that autumn, news circulated about the fall of Sevastopol, ending the Crimean War, resulting in wild celebrations by royalty and locals alike. While visiting the estate shortly thereafter, Prince Frederick of Prussia asked for the hand of Princess Victoria. The new house was completed in 1856, and the old castle subsequently was demolished. By autumn 1857, a new bridge across the Dee, designed by Isambard Kingdom Brunel linking Crathie and Balmoral was finished. Balmoral Castle is built from granite quarried at Invergelder on the estate. It consists of two main blocks, each arranged around a courtyard. The southwestern block contains the main rooms, while the northeastern contains the service wings. At the southeast is an clock tower topped with turrets, one of which has a balustrade similar to a feature at Castle Fraser. Being similar in style to the demolished castle of the 1830s, the architecture of the new house is considered to be somewhat dated for its time when contrasted with the richer forms of Scots baronial being developed by William Burn and others during the 1850s. As an exercise in Scots baronial, it is sometimes described as being too ordered, pedantic, and even Germanic as a consequence of Prince Albert's influence on the design. However, the purchase of a Scottish estate by Victoria and Albert and their adoption of a Scottish architectural style was influential for the ongoing revival of Highland culture. They decorated Balmoral with tartans and attended highland games at Braemar. Queen Victoria expressed an affinity for Scotland, even professing herself to be a Jacobite. Added to the work of Sir Walter Scott, this became a major factor in promoting the adoption of Highland culture by Lowland Scots. Historian Michael Lynch comments that "the Scottishness of Balmoral helped to give the monarchy a truly British dimension for the first time". Victoria and Albert at Balmoral Even before the completion | that "the Scottishness of Balmoral helped to give the monarchy a truly British dimension for the first time". Victoria and Albert at Balmoral Even before the completion of the new house, the pattern of the life of the royal couple in the Highlands was soon established. Victoria took long walks of up to four hours daily and Albert spent many days hunting deer and game. In 1849, diarist Charles Greville described their life at Balmoral as resembling that of gentry rather than royalty. Victoria began a policy of commissioning artists to record Balmoral, its surroundings, and its staff. Over the years, numerous painters were employed at Balmoral, including Edwin and Charles Landseer, Carl Haag, William Wyld, and William Henry Fisk. The royal couple took great interest in their staff. They established a lending library. During the 1850s, new plantations were established near the house and exotic conifers were planted on the grounds. Prince Albert had an active role in these improvements, overseeing the design of parterres, the diversion of the main road north of the river via a new bridge, and plans for farm buildings. These buildings included a model dairy that he developed during 1861, the year of his death. The dairy was completed by Victoria. Subsequently, she also built several monuments to her husband on the estate. These include a pyramid-shaped cairn built a year after Albert's death, on top of Craig Lurachain. A large statue of Albert with a dog and a gun by William Theed, was inaugurated on 15 October 1867, the twenty-eighth anniversary of their engagement. Following Albert's death, Victoria spent increasing periods at Balmoral, staying for as long as four months a year during early summer and autumn. Few further changes were made to the grounds, with the exception of some alterations to mountain paths, the erection of various cairns and monuments, and the addition of some cottages (Karim Cottage and Baile na Coille) built for senior staff. It was during this period that Victoria began to depend on her servant, John Brown. He was a local ghillie from Crathie, who became one of her closest companions during her long mourning. In 1887, Balmoral Castle was the birthplace of Victoria Eugenie, a granddaughter of Queen Victoria. She was born to Princess Beatrice, the fifth daughter of Victoria and Albert. Victoria Eugenie would become the queen of Spain. In September 1896, Victoria welcomed Emperor Nicholas II of Russia and Empress Alexandra, a granddaughter of Victoria, to Balmoral. Four years later Victoria made her last visit to the estate, three months before her death on 22 January 1901. After Victoria After Victoria's death, the royal family continued to use Balmoral during annual autumn visits. George V had substantial improvements made during the 1910s and 1920s, including formal gardens to the south of the castle. During the Second World War, royal visits to Balmoral ceased. In addition, due to the enmity with Germany, Danzig Shiel, a lodge built by Victoria in Ballochbuie was renamed Garbh Allt Shiel and the "King of Prussia's Fountain" was removed from the grounds. From the 1950s, Prince Philip added herbaceous borders and a water garden. During the 1980s, new staff buildings were built close to the castle. Architecture Though called a castle, Balmoral's primary function is that of a country house. It is a "typical and rather ordinary" country house from the Victorian period. The tower and "pepper pot turrets" are characteristic features of the residence's Scottish baronial style. The seven-storey tower is an architectural feature borrowed from medieval defensive tower houses. The "pepper pot" turrets were influenced by the style of 16th-century French châteaux. Other features of the Scottish baronial style are the crow-stepped gables, dormer windows, and battlemented porte-cochère. Ownership Balmoral is a private property and, unlike the monarch's official residences, is not the property of the Crown. It originally was purchased personally by Prince Albert, rather than the queen, meaning that no revenues from the estate go to Parliament or to the public purse, as would otherwise be the case for property owned outright by the monarch in accordance with the Civil List Act 1760. Along with Sandringham House in Norfolk, ownership of Balmoral was inherited by Edward VIII on his accession in 1936. When he abdicated later the same year, however, he retained ownership of them. A financial settlement was devised, under which Balmoral and Sandringham were purchased by Edward's brother and successor to the Crown, George VI. Currently, the estate is still owned outright by the monarch, but is managed by trustees under Deeds of Nomination and Appointment. The estate Current extent and operation Balmoral Estate is within the Cairngorms National Park and is partly within the Deeside and Lochnagar National Scenic Area. The estate contains a wide variety of landscapes, from the Dee river valley to open mountains. There are seven Munros (hills in Scotland over ) within the estate, the highest being Lochnagar at . This mountain was the setting for a children's story, The Old Man of Lochnagar, told originally by Prince Charles to his younger brothers, Andrew and Edward. The story was published in 1980, with royalties accruing to The Prince's Trust. The estate also incorporates the Delnadamph Lodge estate, bought by Elizabeth II in 1978. The estate extends to Loch Muick in the southeast where an old boat house and the Royal Bothy (hunting lodge) now named Glas-allt-Shiel, built by Victoria, are located. The working estate includes grouse moors, forestry, and farmland, as well as managed herds of deer, Highland cattle, and ponies. It also offers access to the public for fishing (paid) and hiking during certain seasons. Approximately of the estate are covered by trees, with almost used for forestry that yields nearly 10,000 tonnes of wood per year. Ballochbuie Forest, one of the largest remaining areas of old Caledonian pine growth in Scotland, consists of approximately . It is managed with only minimal or no intervention. The principal mammal on the estate is the red deer with a population of 2,000 to 2,500 head. The areas of Lochnagar and Ballochbuie were designated in 1998 by the Secretary of State for Scotland as Special Protection Areas (SPA) under the European Union (EU) Birds Directive. Bird species inhabiting the moorlands include red grouse, black grouse, ptarmigan, and the capercaillie. Ballochbuie is also protected as a Special Area of Conservation by the EU Habitats Directive, as "one of the largest remaining continuous areas of native Caledonian Forest". In addition, there are four sites of special scientific interest on the estate. The royal family employs approximately 50 full-time and 50–100 part-time staff to maintain the working estate. There are approximately 150 buildings on the estate, including Birkhall, formerly home to Queen Elizabeth The Queen Mother, and used now by Prince Charles and the Duchess of Cornwall for their summer holidays. Craigowan Lodge is regularly used by the family and friends of the royal family and has also been used while Balmoral Castle was being prepared for a royal visit. Six smaller buildings on the estate are let as holiday cottages. Public access to gardens and castle grounds In 1931, the castle gardens were opened to the public for the first time and they now are open daily between April and the end of July, after which Queen Elizabeth II arrives for her annual stay. The ballroom is the only room in the castle that may be viewed by the public. Craigowan Lodge Craigowan Lodge is a seven-bedroom stone house approximately from the main castle in Balmoral. More rustic than the castle, the lodge was often |
become the regular plural, "newses" (different news items). Meanwhile, certain nouns can form doubly marked plurals with lexicalized meanings -- "child" is pluralized one time into "children" and then pluralized the second time to make "groups of children". The diminutive suffix also has the somewhat unusual property of triggering double marking of the plural: means "little child", but the doubly pluralized means "little children"; boat has a singular diminutive and a simple plural , thus its diminutive plural is the doubly pluralized . As seen elsewhere in many Celtic languages, the formation of the plural can be hard to predict, being determined by a mix of semantic, morphological and lexical factors. The most common plural marker is , with its variant ; most nouns which use this marker are inanimates, however collectives of both inanimate and animate nouns always use it as well. Most animate nouns, including trees, take a plural in . However, in some dialects, the use of this affix has become rare. Various masculine nouns including occupations as well as the word ("Englishman", plural ) take the suffix , with a range of variants including , , , and . The rare pluralizing suffixes / and are used for a few nouns. When they are appended, they also trigger a change in the vowel of the root: triggers a vowel harmony effect whereby some or all preceding vowels are changed to ( "cousin" → "cousins"; "crow" → "crows"; "'partridge" → "partridges); the changes associated with / are less predictable. Various nouns instead form their plural merely with ablaut: or in the stem being changed to : "wing" → "wings"; "tooth" → "teeth"; "rope" → "ropes". Another set of nouns have lexicalized plurals that bear little if any resemblance to their singulars. These include "girl" → , "pig" → , "cow" → , and "dog" → . In compound nouns, the head noun, which usually comes first, is pluralized. Verbal aspect Like in other Celtic languages as well as English, a variety of verbal constructions are available to express grammatical aspect, for example: showing a distinction between progressive and habitual actions: Inflected prepositions As in other modern Celtic languages, Breton pronouns are fused into preceding prepositions to produce a sort of inflected preposition. Below are some examples in Breton, Cornish, Welsh, Irish, Scottish Gaelic, and Manx, along with English translations. Note that in the examples above the Goidelic languages (Irish, Scottish Gaelic, and Manx) use the preposition meaning at to show possession, whereas the Brittonic languages use with. The Goidelic languages, however, do use the preposition with to express "belong to" (Irish , Scottish , Manx , The book belongs to me). The Welsh examples are in literary Welsh. The order and preposition may differ slightly in colloquial Welsh (Formal , North Wales , South Wales ). Initial consonant mutations Breton has four initial consonant mutations: though modern Breton lost the nasal mutation of Welsh, it also has a "hard" mutation, in which voiced stops become voiceless, and a "mixed" mutation, which is a mixture of hard and soft mutations. Word order Normal word order, like the other Insular Celtic languages, is VSO (Verb Subject Object). It is however perfectly possible to put the Subject or the Object at the beginning of the sentence. This largely depends on the focus of the speaker. The following options are possible (all with a little difference in meaning): the first places the verbal infinitive in initial position (as in (1)), followed by the auxiliary 'to do'. the second places the Auxiliary verb 'to be' in initial position (as in (2)), followed the Subject, and the construction + infinitive. At the end comes the Object. the third places the construction + infinitive in the initial position (as in (3)), followed by the Auxiliary verb , the Subject, and the Object. the fourth option places the Object in initial position (as in (4)), followed by an inflected verb, followed by the Subject. the fifth, and originally least common, places the Subject in initial position (as in (5)), followed by an inflected verb, followed by the Object, just like in English (SVO). Vocabulary Breton is far more prone to loaned vocabulary than its relatives further north; by some estimates, a full 40% of its core vocabulary consists of loans from French. Orthography The first extant Breton texts, contained in the Leyde manuscript, were written at the end of the 8th century: 50 years prior to the Strasbourg Oaths, considered to be the earliest example of French. Like many medieval orthographies, Old- and Middle Breton orthography was at first not standardised, and the spelling of a particular word varied at authors' discretion. In 1499, however, the Catholicon, was published; as the first dictionary written for both French and Breton, it became a point of reference on how to transcribe the language. The orthography presented in the Catholicon was largely similar to that of French, in particular with respect to the representation of vowels, as well as the use of both the Latinate digraph —a remnant of the sound change /kʷ/ > /k/ in Latin—and Brittonic or to represent /k/ before front vowels. As phonetic and phonological differences between the dialects began to magnify, many regions, particularly the Vannes country, began to devise their own orthographies. Many of these orthographies were more closely related to the French model, albeit with some modifications. Examples of these modifications include the replacement of Old Breton with to denote word-final /x~h/ (an evolution of Old Breton /θ/ in the Vannes dialect) and use of to denote the initial mutation of /k/ (today this mutation is written ). and thus needed another transcription. In the 1830s Jean-François Le Gonidec created a modern phonetic system for the language. During the early years of the 20th century, a group of writers known as elaborated and reformed Le Gonidec's system. They made it more suitable as a super-dialectal representation of the dialects of Cornouaille, Leon and Trégor (known as from , and in Breton). This KLT orthography was established in 1911. At the same time writers of the more divergent Vannetais dialect developed a phonetic system also based on that of Le Gonidec. Following proposals made during the 1920s, the KLT and Vannetais orthographies were merged in 1941 to create an orthographic system to represent all four dialects. This ("wholly unified") orthography was significant for the inclusion of the zh digraph, which represents a in Vannetais and corresponds to a in the KLT dialects. In 1955 François Falc'hun and the group Emgleo Breiz proposed a new orthography. It was designed to use a set of graphemes closer to the conventions of French. This ("University Orthography", known in Breton as ) was given official recognition by the French authorities as the "official orthography of Breton in French education." It was opposed in the region and today is used only by the magazine and the publishing house Emgléo Breiz. In the 1970s, a new standard orthography was devised — the or . This system is based on the derivation of the words. Today the majority of writers continue to use the Peurunvan orthography, and it is the version taught in most Breton-language schools. Alphabet Breton is written in the Latin script. Peurunvan, the most commonly used orthography, consists of the following letters: a, b, ch, c'h, d, e, f, g, h, i, j, k, l, m, n, o, p, r, s, t, u, v, w, y, z The circumflex, grave accent, trema and tilde appear on some letters. These diacritics are used in the following way: â, ê, î, ô, û, ù, ü, ñ Differences between and Both orthographies use the above alphabet, although é is used only in . Differences between the two systems are particularly noticeable in word endings. In Peurunvan, final obstruents, which are devoiced in absolute final position and voiced in sandhi before voiced sounds, are represented by a grapheme that indicates a voiceless sound. In OU they are written as voiced but represented as voiceless before suffixes: (big), (bigger). In addition, Peurunvan maintains the KLT convention, which distinguishes noun/adjective pairs by nouns written with a final voiced consonant and adjectives with a voiceless one. No distinction is made in pronunciation, e.g. Breton language vs. Breton (adj). Some examples of words in the different orthographies: Pronunciation of the Breton alphabet Notes: Vocative particle: O Brittany! Word-initially. Word-finally. Unwritten lenition of ch, c'h, f, s and spirantization of p > f . Unstressed vowels e, eu, o are pronounced in Leoneg but in the other dialects. The pronunciation appears mainly in front of clusters lc'h, rc'h (less often also before c'h), before semivowels , before other clusters beginning with r, l and before rr. Stressed long e, eu, o are realized as . In Gwenedeg velars or labialized velars are palatalized when followed by e and i: k, g, kw/kou, c'hw/c'hou, gw/gou, w/ou, sk to . Instead of also may appear. In Gwenedeg word-final g and k is palatalized to [c] after preceding i. But before a vowel other than i the digraph ni is written instead of gn, e.g. to drive', radical , 1PS preterite , 3PS preterite . But mute in words such as ha(g), he(c'h), ho(c'h), holl, hon/hor/hol. Silent in Gwenedeg and Leoneg. I is realized as when it precedes or follows a vowel (or when between vowels), but in words such as lien, liorzh, rakdiazezañ the letter i is pronounced as (in orthography ï may be used:lïen, lïorzh, rakdïazezañ). Group ilh is pronounced when it follows a vowel, following a consonant the group is pronounced [iʎ]. But before a vowel other than i li is written instead of ilh, e.g. to follow, radical , 1PS preterite , 3PS preterite . In some regions instead of may appear pronunciation . Word-finally following a cluster of unvoiced consonants. In front of k, g. The digraph ou is realized same as the letter w when preceded or followed by a vowel (or when between vowels), but in words such as Doue, douar, gouarn the digraph ou is pronounced . The digraph où marks plural ending. Its pronunciation varies throughout Brittany: rating geographically from Northwest Leon to Southeast Gwened. The letter v is usually pronounced , but word-finally (except word-final ñv) is pronounced usually as or in KLT, as in Gwenedeg and as in Goëlo. The pronunciation is retained word-finally in verbs. In words bliv, Gwiskriv, gwiv, liv, piv, riv are v is pronounced in KLT, in Gwenedeg and in Goëlo. Word-finally following r, l, n, z it is pronounced . But mute in words such as gouez, bloaz, goaz, ruziañ, kleiz, rakdïazezañ, bezañ, Roazhon, dezhañ, kouezhañ, 'z, az, ez, da'z, gwirionez, enep(g)wirionez, moneiz, falsvoneiz, karantez, kengarantez, nevez, nevezc'hanet, nadozioù, abardaez, gwez, bemdez, kriz, bleiz, morvleiz, dezhi . Z is generally mute in Kerneweg, Tregerieg and Gwenedeg, but in Leoneg z(h) is always pronounced. Used to distinguish words stêr river, hêr heir, kêr town (written also kaer) from ster sense, her bold, ker dear. Used to distinguish trôad circuit/tour from troad foot. In northern dialects (mainly in Leoneg), there is a tendency to voice c'h between vowels. Pronunciation appears also in forms of lenition of g, c'h and mixed mutation of g. The lenition of d and the spirantization of t is also transcribed as z and is most prominently pronounced although in certain regions also (for t, particularly in Cornouaille) and (in some Haut-Vannetais varieties, see note 31) occur. Pronunciation of r varies in Brittany, nowadays uvular (or ) is a standard; in Leoneg r is pronounced , in Tregerieg or , in Kerneveg and are most common, in Gwenedeg occur. In Gwenedeg unstressed e often . Lenited varieties of r, l, n may appear word-initially in case of soft mutation. In Leoneg in front of a nasal. In Leoneg w in front of e, i . In Leoneg z(h) in front of i or . In Leoneg gwr . Before a vowel. Forms of the indefinite article. A conservative realisation of the initial mutation of d and t, used in certain parts of the Vannes country. Examples Lord's Prayer Hon Tad, c'hwi hag a zo en Neñv, ra vo santelaet hoc'h anv. Ra zeuio ho Rouantelezh. Ra vo graet ho youl war an douar evel en neñv. Roit dimp hiziv bara hor bevañs. Distaolit dimp hon dleoù evel m'hor bo ivez distaolet d'hon dleourion. Ha n'hon lezit ket da vont gant an temptadur, met hon dieubit eus an Droug. Words and phrases in Breton Visitors to Brittany may encounter words and phrases (especially on signs and posters) such as the following: Language comparison Borrowing from Breton by other languages The English words and have been borrowed from | the lenition (or the "spirant mutation" in cases where the phenomenon originates from the mutation of , respectively) of the consonants and which is to be found in certain varieties of Haut-Vannetais. Most of the Breton dialects do not inherit the sound and thus it is mostly not orthographically fixed. The Peurunvan, for instance, uses for both mutations, which are regularly and more prominently pronounced in Léonais, Cornouaillais, Trégorrois and Bas-Vannetais. In traditional literature written in the Vannetais dialect, two different graphemes are employed for representing the dental fricative, depending on the scripture's historical period. There once was a time when was used to transcribe the sound, but today mostly the regular is instead used, and this practice can be traced back to at least the end of the 17th century. The area this phenomenon has been found to be evident in encompasses the towns of Pontivy and Baud and surrounding smaller villages like Cléguérec, Noyal-Pontivy, Pluméliau, St. Allouestre, St. Barthélemy, Pluvigner and also parts of Belle-Île. The only known place where the mutation occurs outside of the Vannes country is the Île de Sein, an island located off Finistère's coast. Some scholars also used as the symbol for the sound to indicate that it was rather an "infra-dental" consonant than a clear interdental, which is the sound the symbol is usually describes. Other linguists, however, did not draw that distinction, either because they identified the sound to actually be an interdental fricative (such as Roparz Hemon in his phonetic transcription of the dialect used in Pluméliau or Joseph Loth in his material about the dialect of Sauzon in Belle-Île) or due to the fact that they attached no importance to it and ascertained that their descriptions were not in need of a further clarification of the sound's phonetic realisation as it was a clearly distinguishable phoneme. Grammar Nouns Breton nouns are marked for gender and number. While Breton gender is fairly typical of gender systems across western Europe (with the exception of Basque and modern English), Breton number markers demonstrate rarer behaviors. Gender Breton has two genders: masculine () and feminine (), having largely lost its historic neuter () as has also occurred in the other Celtic languages as well as across the Romance languages. Certain suffixes (-ach/-aj, -(a)dur, -er, -lec'h, -our, -ti, -va) are masculine, while others (-enti, -er, -ez, -ezh, -ezon, -i, -eg, -ell, and the singulative -enn) are feminine. The suffix -eg can be masculine or feminine. There are certain non-determinant factors that influence gender assignment. Biological sex is applied for animate referents. Metals, time divisions (except for "hour", "night" and "week") and mountains tend to be masculine, while rivers, cities and countries tend to be feminine. However, gender assignment to certain words often varies between dialects. Number Number in Breton is primarily based on an opposition between singular and plural. However, the system is noted as full of complexities in how this distinction is realized. Although modern Breton has lost its ancestral dual number marker, relics of its use are preserved in various nouns pertaining to body parts, including the words for eyes, ears, cheeks, legs, armpits, arms, hands, knees, thighs, and wings. This is seen in a prefix (formed in , or ) that is etymologically derived from the prefixation of the number two. The dual is no longer productive, and has merely been lexicalized in these cases rather than remaining a part of Breton grammar. The (etymologically) already dual words for eyes () and ears () can be pluralized "again" to form and . Like other Brythonic languages, Breton has a singulative suffix that is used to form singulars out of collective nouns, for which the morphologically less complex form is the plural. Thus, the singulative of the collective "mice" is "mouse". However, Breton goes beyond Welsh in the complications of this system. Collectives can be pluralized to make forms which are different in meaning from the normal collective-- "fish" (singular) is pluralized to , singulativized to , referring to a single fish out of a certain group of fish, and this singulative of the plural can then be pluralized again to make , referring to a single individual fish out of a school of fish. On top of this, the formation of plurals is complicated by two different pluralizing functions. The "default" plural formation is contrasted with another formation which is said to "emphasize variety or diversity" -- thus two semantically different plurals can be formed out of : "parks" and "various different parks". Ball reports that the latter pluralizer is used only for inanimate nouns. Certain formations have been lexicalized to have meanings other than that which might be predicted solely from the morphology: "water" pluralized forms which means not "waters" but instead "rivers", while now has come to mean "running waters after a storm". Certain forms have lost the singular from their paradigm: means "news" and is not used, while has become the regular plural, "newses" (different news items). Meanwhile, certain nouns can form doubly marked plurals with lexicalized meanings -- "child" is pluralized one time into "children" and then pluralized the second time to make "groups of children". The diminutive suffix also has the somewhat unusual property of triggering double marking of the plural: means "little child", but the doubly pluralized means "little children"; boat has a singular diminutive and a simple plural , thus its diminutive plural is the doubly pluralized . As seen elsewhere in many Celtic languages, the formation of the plural can be hard to predict, being determined by a mix of semantic, morphological and lexical factors. The most common plural marker is , with its variant ; most nouns which use this marker are inanimates, however collectives of both inanimate and animate nouns always use it as well. Most animate nouns, including trees, take a plural in . However, in some dialects, the use of this affix has become rare. Various masculine nouns including occupations as well as the word ("Englishman", plural ) take the suffix , with a range of variants including , , , and . The rare pluralizing suffixes / and are used for a few nouns. When they are appended, they also trigger a change in the vowel of the root: triggers a vowel harmony effect whereby some or all preceding vowels are changed to ( "cousin" → "cousins"; "crow" → "crows"; "'partridge" → "partridges); the changes associated with / are less predictable. Various nouns instead form their plural merely with ablaut: or in the stem being changed to : "wing" → "wings"; "tooth" → "teeth"; "rope" → "ropes". Another set of nouns have lexicalized plurals that bear little if any resemblance to their singulars. These include "girl" → , "pig" → , "cow" → , and "dog" → . In compound nouns, the head noun, which usually comes first, is pluralized. Verbal aspect Like in other Celtic languages as well as English, a variety of verbal constructions are available to express grammatical aspect, for example: showing a distinction between progressive and habitual actions: Inflected prepositions As in other modern Celtic languages, Breton pronouns are fused into preceding prepositions to produce a sort of inflected preposition. Below are some examples in Breton, Cornish, Welsh, Irish, Scottish Gaelic, and Manx, along with English translations. Note that in the examples above the Goidelic languages (Irish, Scottish Gaelic, and Manx) use the preposition meaning at to show possession, whereas the Brittonic languages use with. The Goidelic languages, however, do use the preposition with to express "belong to" (Irish , Scottish , Manx , The book belongs to me). The Welsh examples are in literary Welsh. The order and preposition may differ slightly in colloquial Welsh (Formal , North Wales , South Wales ). Initial consonant mutations Breton has four initial consonant mutations: though modern Breton lost the nasal mutation of Welsh, it also has a "hard" mutation, in which voiced stops become voiceless, and a "mixed" mutation, which is a mixture of hard and soft mutations. Word order Normal word order, like the other Insular Celtic languages, is VSO (Verb Subject Object). It is however perfectly possible to put the Subject or the Object at the beginning of the sentence. This largely depends on the focus of the speaker. The following options are possible (all with a little difference in meaning): the first places the verbal infinitive in initial position (as in (1)), followed by the auxiliary 'to do'. the second places the Auxiliary verb 'to be' in initial position (as in (2)), followed the Subject, and the construction + infinitive. At the end comes the Object. the third places the construction + infinitive in the initial position (as in (3)), followed by the Auxiliary verb , the Subject, and the Object. the fourth option places the Object in initial position (as in (4)), followed by an inflected verb, followed by the Subject. the |
southeast England at the end of the second century BC and later by the Roman invasion of southern Britain beginning in AD 43. Yet there is now little doubt that the hollow-walled broch tower was purely an invention in what is now Scotland; even the kinds of pottery found inside them that most resembled south British styles were local hybrid forms. The first of the modern review articles on the subject (MacKie 1965) did not, as is commonly believed, propose that brochs were built by immigrants, but rather that a hybrid culture formed from the blending of a small number of immigrants with the native population of the Hebrides produced them in the first century BC, basing them on earlier, simpler, promontory forts. This view contrasted, for example, with that of Sir W. Lindsay Scott, who argued, following V. Gordon Childe (1935), for a wholesale migration into Atlantic Scotland of people from southwest England. MacKie's theory has fallen from favour too, mainly because starting in the 1970s there was a general move in archaeology away from 'diffusionist' explanations towards those pointing to exclusively indigenous development. Meanwhile, the increasing number – albeit still pitifully few – of radiocarbon dates for the primary use of brochs (as opposed to their later, secondary use) still suggests that most of the towers were built in the 1st centuries BC and AD. A few may be earlier, notably the one proposed for Old Scatness Broch in Shetland, where a sheep bone dating to between 390 and 200 BC has been reported. The other broch claimed to be substantially older than the 1st century BC is Crosskirk in Caithness, but a recent review of the evidence suggests that it cannot plausibly be assigned a date earlier than the 1st centuries BC/AD. Distribution The distribution of brochs is centred on northern Scotland. Caithness, Sutherland and the Northern Isles have the densest concentrations, but there are many examples in the west of Scotland and the Hebrides. Although mainly concentrated in the northern Highlands and the Islands, a few examples occur in the Borders (for example Edin's Hall Broch and Bow Castle Broch), on the west coast of Dumfries and Galloway, and near Stirling. In a sketch there appears to be a broch by the river next to Annan Castle in Dumfries and Galloway. This small group of southern brochs has never been satisfactorily explained. Purposes The original interpretation of brochs, favoured by nineteenth century antiquarians, was that they were defensive structures, places of refuge for the community and their livestock. They were sometimes regarded as the work of Danes or Picts. From the 1930s to the 1960s, archaeologists such as V. Gordon Childe and later John Hamilton regarded them as castles where local landowners held sway over a subject population. The castle theory fell from favour among Scottish archaeologists in the 1980s, due to a lack of supporting archaeological evidence. These archaeologists suggested defensibility was never a major concern in the siting of a broch, and argued that they may have been the "stately homes" of their time, objects of prestige and very visible demonstrations of superiority for important families (Armit 2003). Once again, however, there is a lack of archaeological proof for this reconstruction, and the sheer number of brochs, sometimes in places with a lack of good land, makes it problematic. Brochs' close groupings and profusion in many areas may indeed suggest that they had a primarily defensive or even offensive function. Some of them were sited beside precipitous cliffs and were protected by large ramparts, artificial or natural: a good example is at Burland near Gulberwick in Shetland, on a clifftop and cut off from the mainland by huge ditches. Often they are at key strategic points. In Shetland they sometimes cluster on each side of narrow stretches of water: the Broch | The castle theory fell from favour among Scottish archaeologists in the 1980s, due to a lack of supporting archaeological evidence. These archaeologists suggested defensibility was never a major concern in the siting of a broch, and argued that they may have been the "stately homes" of their time, objects of prestige and very visible demonstrations of superiority for important families (Armit 2003). Once again, however, there is a lack of archaeological proof for this reconstruction, and the sheer number of brochs, sometimes in places with a lack of good land, makes it problematic. Brochs' close groupings and profusion in many areas may indeed suggest that they had a primarily defensive or even offensive function. Some of them were sited beside precipitous cliffs and were protected by large ramparts, artificial or natural: a good example is at Burland near Gulberwick in Shetland, on a clifftop and cut off from the mainland by huge ditches. Often they are at key strategic points. In Shetland they sometimes cluster on each side of narrow stretches of water: the Broch of Mousa, for instance, is directly opposite another at Burraland in Sandwick. In Orkney there are more than a dozen on the facing shores of Eynhallow Sound, and many at the exits and entrances of the great harbour of Scapa Flow. In Sutherland quite a few are placed along the sides and at the mouths of deep valleys. Writing in 1956 John Stewart suggested that brochs in Shetland were forts put up by a military society to scan and protect the countryside and seas. Finally, some archaeologists consider broch sites individually, doubting that there ever was a single common purpose for which every broch was constructed. There are differences in the positions, dimensions and likely status of broch in the various areas in which brochs are found. For example, the broch "villages" which occur at a few places in Orkney have no parallel in the Western Isles. Structures Generally, brochs have a single entrance with bar-holes, door-checks and lintels. There are mural cells and there is a scarcement (ledge), perhaps for timber-framed lean-to dwellings lining the inner face of the wall. Also there is a spiral staircase winding upwards between the inner and outer wall and connecting the galleries. Brochs vary from 5 to 15 metres (16–50 ft) in internal diameter, with 3 metre (10 ft) thick walls. On average, the walls only survive to a few metres in height. There are five extant examples of towers with significantly higher walls: Dun Carloway on Lewis, Dun Telve and Dun Troddan in Glenelg, Mousa in Shetland and Dun Dornaigil in Sutherland, all of whose walls exceed 6.5 m (21 ft) in height. Mousa's walls are the best preserved and are still 13 m tall; it is not clear how many brochs originally stood so high. A frequent characteristic is that the walls are galleried: with an open space between, the outer and inner wall skins are separate but tied together with linking stone slabs; these linking slabs may in some cases have served as steps to higher floors. It is normal for there to be a cell breaking off from the passage beside the door; this is known as the guard cell. It has been found in some Shetland brochs that guard cells in entrance passageways are close to large door-check stones. Although there was much argument in the past, it is now generally accepted among some archaeologists that brochs were roofed, perhaps with a conical timber framed roof covered with a locally sourced thatch. The evidence for this assertion is still very scanty, although excavations at Dun Bharabhat, Lewis, may support it. The main difficulty with the interpretation continues to be identifying potential sources of structural timber, though bog and driftwood may have been sources. Very few of the brochs on the islands of Orkney and Shetland have cells on the ground floor. Most brochs have scarcements (ledges) which may have allowed the construction of a wooden first floor (spotted by the antiquary George Low in Shetland in 1774), and excavations at Loch na Berie on the Isle of Lewis may show signs of a further, second floor (e.g. stairs on the first floor, which head upwards). Some brochs such as Dun Dornaigil and Culswick in Shetland have unusual triangular lintels above the entrance door. As in the case of Old Scatness in Shetland (near Jarlshof) and Burroughston on Shapinsay, brochs were sometimes located close to arable land and a source of water (some have wells or natural springs rising within their central space). Sometimes, on the other hand, they were sited in wilderness areas (e.g. Levenwick and Culswick in Shetland, Castle Cole in Sutherland). Brochs are often built beside the sea (Carn Liath, Sutherland); sometimes they are on islands in lochs (e.g. Clickimin in Shetland). About 20 Orcadian broch sites include small settlements of stone buildings surrounding the main tower. Examples include Howe, near Stromness, Gurness Broch in the north west of Mainland, Orkney, Midhowe on Rousay and Lingro near Kirkwall (destroyed by a farmer in the 1980s). There are "broch village" sites in Caithness, but elsewhere they are unknown. Most |
by reprising comedy routines from the likes of Bob Newhart, Rich Little and Sid Caesar records their father would bring home. Jazz artists such as Arvell Shaw, Pee Wee Russell, Eddie Condon, and Billie Holiday were often guests in the home. With the decline of Dixieland jazz and the rise of discount record stores, in 1963, Crystal's father lost his business and died later that year at the age of 54 after suffering a heart attack. His mother died in 2001. After graduating from Long Beach High School in 1965, Crystal attended Marshall University in Huntington, West Virginia, on a baseball scholarship, having learned the game from his father, who pitched for St. John's University. Crystal never played baseball at Marshall because the program was suspended during his first year. He did not return to Marshall as a sophomore, instead deciding to stay in New York to be close to his future wife. He studied acting at HB Studio. He attended Nassau Community College with her and later transferred to New York University, where he was a film and television directing major. He graduated from NYU in 1970 with a BFA from its then School of Fine Arts. One of his instructors was Martin Scorsese, while Oliver Stone and Christopher Guest were among his classmates. Career Television Crystal returned to New York City. For four years, he was part of a comedy trio with two friends. They played colleges and coffee houses and Crystal worked as a substitute teacher on Long Island. He later became a solo act and performed regularly at The Improv and Catch a Rising Star. In 1976, Crystal appeared on an episode of All in the Family. He was on the dais for The Dean Martin Celebrity Roast of Muhammad Ali on February 19, 1976, where he did impressions of both Ali and sportscaster Howard Cosell. He was scheduled to appear on the first episode of NBC Saturday Night on October 11, 1975 (The show was later renamed Saturday Night Live on March 26, 1977), but his sketch was cut. He did perform on episode 17 of that first season, doing a monologue of an old jazz man capped by the line "Can you dig it? I knew that you could." Host Ron Nessen introduced him as "Bill Crystal". Crystal was a guest on the first and the last episode of The Tonight Show with Jay Leno, which concluded February 6, 2014, after 22 seasons on the air. Crystal also made game show appearances such as The Hollywood Squares, All Star Secrets and The $20,000 Pyramid. To this day, he holds the Pyramid franchise's record for getting his contestant partner to the top of the pyramid in winner's circle in the fastest time: 26 seconds. Crystal's earliest prominent role was as Jodie Dallas on Soap, one of the first unambiguously gay characters in the cast of an American television series. He continued in the role during the series's entire 1977–1981 run. In 1982, Billy Crystal hosted his own variety show, The Billy Crystal Comedy Hour on NBC. When Crystal arrived to shoot the fifth episode, he learned it had been canceled after only the first two aired. After hosting Saturday Night Live twice, on March 17, 1984, and the show's ninth season finale on May 5, he joined the regular cast for the 1984–85 season. His most famous recurring sketch was his parody of Fernando Lamas, a smarmy talk-show host whose catchphrase, "You look... mahvelous!", became a media sensation. Also in the 1980s, Crystal starred in an episode of Shelley Duvall's Faerie Tale Theatre as the smartest of the three little pigs. In 1996, Crystal was the guest star of the third episode of Muppets Tonight and hosted three Grammy Awards Telecasts: the 29th Grammys; the 30th Grammys; and the 31st Grammys. In 2015, Crystal co-starred alongside Josh Gad on the FX comedy series The Comedians, which ran for just one season before being canceled. Film career Crystal's first film role was in Joan Rivers' 1978 film Rabbit Test, the story of the "world's first pregnant man." Crystal appeared briefly in the Rob Reiner "rockumentary" This Is Spinal Tap (1984) as Morty The Mime, a waiter dressed as a mime at one of Spinal Tap's parties. He shared the scene with a then-unknown, non-speaking Dana Carvey, stating famously that "Mime is money." He later starred in the action comedy Running Scared (1986) and was directed by Reiner again in The Princess Bride (1987), in a comedic supporting role as "Miracle Max". Reiner got Crystal to accept the part by saying, "How would you like to play Mel Brooks?" Reiner also allowed Crystal to ad-lib, and his parting shot, "Have fun storming the castle!" is a frequently quoted line. Reiner directed Crystal for a third time in the romantic comedy When Harry Met Sally... (1989), in which Crystal starred alongside Meg Ryan and for which he was nominated for a Golden Globe. The film has since become an iconic classic for the genre and is Crystal's most celebrated film. Crystal then starred in the award-winning buddy comedy City Slickers (1991), which proved very successful both commercially and critically and for which Crystal was nominated for his second Golden Globe. The film was followed by a sequel, which was less successful. In 1992, he narrated Dr. Seuss Video Classics: Horton Hatches the Egg. The name of his company is Face Productions. Following the significant success of these films, Crystal wrote, directed, and starred in Mr. Saturday Night (1992) and Forget Paris (1995). In the former, Crystal played a serious role in aging makeup, as an egotistical comedian who reflects back on his career. Crystal starred in Woody Allen's critically acclaimed comedy ensemble film Deconstructing Harry (1997). Crystal had another success alongside Robert De Niro in Harold Ramis' mobster comedy Analyze This (1999). More recent performances include roles in America's Sweethearts (2001), the sequel Analyze That (2002), and Parental Guidance (2012). He directed the made-for-television movie 61* (2001) based on Roger Maris's and Mickey Mantle's race to break Babe Ruth's single-season home run record in 1961. This earned Crystal an Emmy nomination for Outstanding Directing for a Miniseries, Movie or a Special. Crystal was originally asked to voice Buzz Lightyear in Toy Story (1995) but turned it down, a decision he later regretted due to the popularity of the series. Crystal later went on to provide the voice of Mike Wazowski in the blockbuster Pixar film Monsters, Inc. (2001), Cars (2006), during the epilogue in the end credits, and to reprise his voice role in the prequel, Monsters University (2013). Crystal also provided the voice of Calcifer in the English version of Hayao Miyazaki's Howl's Moving Castle (2004). Albums and music career Due to the success of Crystal's standup and SNL career, in 1985, he released an album of his stand-up material titled Mahvelous!, as well as the single You Look Marvelous, which peaked at No. 58 on the Billboard Hot 100 in the US, and No. 17 in Canada. The title track You Look Marvelous would also have an accompanying music video that debuted on MTV. Both the song and video features Crystal in character as his SNL persona of talk show host Fernando Lamas. The video features Lamas cruising around in what was at the time the world's longest stretch limousine, built by custom-coach designer and builder Vini Bergeman, surrounded by models in bikinis. The album was nominated for a Grammy Award for Best Comedy Recording at the 1986 Grammy Awards. In 2013, Crystal released his autobiographical memoir Still Foolin' Em. The audiobook version was nominated for a Grammy Award for Best Spoken Word Album at the 2014 Grammy Awards. Academy Awards host Crystal hosted the Academy Awards broadcast a total of 9 times, from 1990 to 1993, 1997, 1998, 2000, 2004 and 2012. His hosting was critically praised, resulting in two Primetime Emmy Award wins for hosting and writing the 63rd Academy Awards and an Emmy win for writing the 64th Academy Awards. He returned as the host for the 2012 Oscar ceremony, after Eddie Murphy resigned from hosting. His nine times is second only to Bob Hope's 19 in most ceremonies hosted. At the 83rd Academy Awards ceremony in 2011, he appeared as a presenter for a digitally inserted Bob Hope and before doing so was given a standing ovation. Film critic Roger Ebert said when Crystal came onstage about two hours into the show, he got the first laughs of the broadcast. Crystal's hosting gigs have regularly included an introductory video segment in which he comedically inserts himself into scenes of that year's nominees in addition to a song following his opening monologue. Broadway Crystal won the 2005 Tony Award for Best Special Theatrical Event for 700 Sundays, a two-act, one-man play, which he conceived and wrote about his parents and his childhood growing up on Long Island. He toured throughout the US with the show in 2006 and then Australia in 2007. Following the initial success of the play, Crystal wrote the book 700 Sundays for Warner Books, which was published on October 31, 2005. In conjunction with the book and the play that also paid tribute to his uncle, Milt Gabler, Crystal produced two CD compilations: Billy Crystal Presents: The Milt Gabler Story, which featured his uncle's most influential recordings from Billie Holiday's "Strange Fruit" to "Rock Around the Clock" by Bill Haley & His Comets; and Billy Remembers Billie featuring Crystal's favorite Holiday recordings. In the fall of 2013, he brought the show back to Broadway for a two-month run at the Imperial Theatre. HBO filmed the January 3–4, 2014 performances for | 2014 performances for a special, which debuted on their network on April 19, 2014. Other appearances In 2014, Crystal paid tribute to his close friend Robin Williams at the 66th Primetime Emmy Awards. In his tribute he talked about their friendship, saying, "As genius as he was on stage, he was the greatest friend you could ever imagine. Supportive. Protective. Loving. It's very hard to talk about him in the past because he was so present in all of our lives. For almost 40 years, he was the brightest star in the comedy galaxy…[His] beautiful light will continue to shine on us forever. And the glow will be so bright, it'll warm your heart. It'll make your eyes glisten. And you'll think to yourselves: Robin Williams. What a concept." Crystal stated that paying tribute to Williams so publicly and so soon after Williams had died was one of "the hardest things I've had to do" and that "I was really worried that I wasn't going to get through it." Crystal soon after appeared on The View where he and Whoopi Goldberg shared stories about Williams, reminiscing about their friendship, and their collaborations together on Comic Relief. In 2016, Crystal gave one of the eulogies for Muhammad Ali at his funeral. In his remembrance of Ali, Crystal talked about his admiration for Ali as a boxer, and humanitarian. He also shared stories of their unlikely friendship after Crystal did a series of impersonations of him. Crystal stated of Ali's legacy, "Only once in a thousand years or so, do we get to hear a Mozart, or see a Picasso, or read a Shakespeare. Ali was one of them. And yet, at his heart, he was still a kid from Louisville who ran with the gods and walked with the crippled and smiled at the foolishness of it all." In the fall of 2021, Crystal reprised the role of Buddy Young Jr., in a theatrical musical staging of Mr. Saturday Night at the Barrington Stage Company in Pittsfield, MA. Filmography Crystal is known for his numerous roles in film and television. Crystal's first film appearances include SST: Death Flight (1977), Joan Rivers' Rabbit Test (1978), and Rob Reiner's This is Spinal Tap (1984). In 1987, he starred in Reiner's fantasy romance The Princess Bride as Miracle Max alongside Carol Kane and the dark comedy Throw Momma from the Train with Danny DeVito. He then starred in Reiner's classic romantic comedy film When Harry Met Sally... alongside Meg Ryan in 1989. In 1989 he produced and starred in Midnight Train to Moscow. He then executive produced and starred in the western comedy film, City Slickers (1991). He then wrote, directed and starred in the show business drama, Mr. Saturday Night in (1992), as well as in the romantic comedy Forget Paris (1995). He continued to act in films such as Kenneth Branagh's Hamlet, Woody Allen's Deconstructing Harry and the gangster comedy Analyze This with Robert De Niro. In 2001 Crystal voiced Mike Wazowski in the Pixar animated films Monsters, Inc. (2001), Cars (2006), during the epilogue in the end credits and reprised his role in Monsters University (2013). He also voiced Calcifer the Fire-Demon in Hayao Miyazaki's Howl's Moving Castle (2004). Discography Albums Mahvelous!, (A&M Records, 1985) [#65 US] Singles "You Look Marvelous", (A&M Records, 1985) [#58 US] "I Hate When That Happens", (A&M Records, 1985) "The Christmas Song", (A&M Records, 1985) Books Awards and nominations Personal life On June 4, 1970, Crystal married his high school sweetheart, Janice Goldfinger. They have two daughters: actress Jennifer and producer Lindsay, and are grandparents. They live in the Los Angeles neighborhood of Pacific Palisades, California. Crystal received an honorary Doctor of Fine Arts degree from New York University in 2016 and spoke at the commencement at Yankee Stadium. Philanthropy In 1986, Crystal started hosting Comic Relief on HBO with Robin Williams and Whoopi Goldberg. Founded by Bob Zmuda, Comic Relief raises money for homeless people in the United States. On September 6, 2005, on The Tonight Show with Jay Leno, Crystal and Jay Leno were the first celebrities to sign a Harley-Davidson motorcycle to be auctioned off for Gulf Coast relief. Crystal has participated in the Simon Wiesenthal Center Museum of Tolerance in Los Angeles. Crystal's personal history is featured in the "Finding Our Families, Finding Ourselves" exhibit in the genealogy wing of the museum. Sports On March 12, 2008, Crystal signed a one-day minor league contract to play with the New York Yankees, and was invited to the team's major league spring training. He wore uniform number 60 in honor of his upcoming 60th birthday. On March 13, in a spring training game against the Pittsburgh Pirates, Crystal led off as the designated hitter. He managed to make contact, fouling a fastball up the first base line, but was eventually struck out by Pirates pitcher Paul Maholm on six pitches and was later replaced in the batting order by Johnny Damon. He was released on March 14, his 60th birthday. Crystal's boyhood idol was Yankee Hall of Fame legend Mickey Mantle, who had signed a program for him when Crystal attended a game where Mantle had hit a home run. Years later on The Dinah Shore Show, in one of his first television appearances, Crystal met Mantle in person and had Mantle re-sign the same program. Crystal would be good friends with Mantle until Mantle's death in 1995. He and Bob Costas together wrote the eulogy Costas read at Mantle's funeral, and George Steinbrenner then invited Crystal to emcee the unveiling of Mantle's monument at Yankee Stadium. In his 2013 memoir Still Foolin' 'Em, Crystal claimed that after the ceremony, near the Yankee clubhouse, he was punched in the stomach by Joe DiMaggio, who was angry at Crystal for not having introduced him to the crowd as the "Greatest living player". Crystal also was well known for his impressions of Yankee Hall of Famer turned broadcaster Phil Rizzuto. Rizzuto, known for his quirks calling games, did not travel to Anaheim, California in 1996 to call the game for WPIX. Instead, Crystal joined the broadcasters in the booth and pretended to be Rizzuto for a few minutes during the August 31 game. Although a lifelong Yankee fan, he is a part-owner of the Arizona Diamondbacks, even earning a World Series ring in 2001 when the Diamondbacks beat his beloved Yankees. In City Slickers, Crystal wore a New York Mets baseball cap. In the 1986 film Running Scared, his character is an avid Chicago Cubs fan, wearing a Cubs' jersey in several scenes. In the 2012 film Parental Guidance, his character is the announcer for the Fresno Grizzlies, a Minor League Baseball team, who aspires to announce for their Major League affiliate, the San Francisco Giants. Crystal appeared in Ken Burns's 1994 documentary Baseball, telling personal stories about his life-long love of baseball, including meeting Casey Stengel as a child and Ted Williams as an adult. Crystal is also a longtime Los Angeles Clippers fan and season ticket holder. References External links Website for Billy Crystal's book Still Foolin' 'Em 1948 births Living people 20th-century American male actors 21st-century American male actors American comedy musicians American film producers American impressionists (entertainers) American male comedians American male film actors American male screenwriters American male singers American male television actors American male voice actors American people of Austrian-Jewish descent American people of Lithuanian-Jewish descent American people of Russian-Jewish descent Long Beach High School (New York) alumni American sketch comedians American stand-up comedians American television directors Television producers from New York (state) American television writers Audiobook narrators Arizona Diamondbacks owners Comedians from New York (state) Jewish American male comedians Jewish American male actors Jewish American writers American male television writers Mark Twain Prize recipients Marshall Thundering Herd baseball players Marshall University alumni Nassau Community College alumni New York (state) Democrats People from Long Beach, |
Ezra Newman found the axisymmetric solution for a black hole that is both rotating and electrically charged. Through the work of Werner Israel, Brandon Carter, and David Robinson the no-hair theorem emerged, stating that a stationary black hole solution is completely described by the three parameters of the Kerr–Newman metric: mass, angular momentum, and electric charge. At first, it was suspected that the strange features of the black hole solutions were pathological artifacts from the symmetry conditions imposed, and that the singularities would not appear in generic situations. This view was held in particular by Vladimir Belinsky, Isaak Khalatnikov, and Evgeny Lifshitz, who tried to prove that no singularities appear in generic solutions. However, in the late 1960s Roger Penrose and Stephen Hawking used global techniques to prove that singularities appear generically. For this work, Penrose received half of the 2020 Nobel Prize in Physics, Hawking having died in 2018. Based on observations in Greenwich and Toronto in the early 1970s, Cygnus X-1, a galactic X-ray source discovered in 1964, became the first astronomical object commonly accepted to be a black hole. Work by James Bardeen, Jacob Bekenstein, Carter, and Hawking in the early 1970s led to the formulation of black hole thermodynamics. These laws describe the behaviour of a black hole in close analogy to the laws of thermodynamics by relating mass to energy, area to entropy, and surface gravity to temperature. The analogy was completed when Hawking, in 1974, showed that quantum field theory implies that black holes should radiate like a black body with a temperature proportional to the surface gravity of the black hole, predicting the effect now known as Hawking radiation. Etymology John Michell used the term "dark star", and in the early 20th century, physicists used the term "gravitationally collapsed object". Science writer Marcia Bartusiak traces the term "black hole" to physicist Robert H. Dicke, who in the early 1960s reportedly compared the phenomenon to the Black Hole of Calcutta, notorious as a prison where people entered but never left alive. The term "black hole" was used in print by Life and Science News magazines in 1963, and by science journalist Ann Ewing in her article Black Holes' in Space", dated 18 January 1964, which was a report on a meeting of the American Association for the Advancement of Science held in Cleveland, Ohio. In December 1967, a student reportedly suggested the phrase "black hole" at a lecture by John Wheeler; Wheeler adopted the term for its brevity and "advertising value", and it quickly caught on, leading some to credit Wheeler with coining the phrase. Properties and structure The no-hair theorem postulates that, once it achieves a stable condition after formation, a black hole has only three independent physical properties: mass, electric charge, and angular momentum; the black hole is otherwise featureless. If the conjecture is true, any two black holes that share the same values for these properties, or parameters, are indistinguishable from one another. The degree to which the conjecture is true for real black holes under the laws of modern physics is currently an unsolved problem. These properties are special because they are visible from outside a black hole. For example, a charged black hole repels other like charges just like any other charged object. Similarly, the total mass inside a sphere containing a black hole can be found by using the gravitational analog of Gauss's law (through the ADM mass), far away from the black hole. Likewise, the angular momentum (or spin) can be measured from far away using frame dragging by the gravitomagnetic field, through for example the Lense–Thirring effect. When an object falls into a black hole, any information about the shape of the object or distribution of charge on it is evenly distributed along the horizon of the black hole, and is lost to outside observers. The behavior of the horizon in this situation is a dissipative system that is closely analogous to that of a conductive stretchy membrane with friction and electrical resistance—the membrane paradigm. This is different from other field theories such as electromagnetism, which do not have any friction or resistivity at the microscopic level, because they are time-reversible. Because a black hole eventually achieves a stable state with only three parameters, there is no way to avoid losing information about the initial conditions: the gravitational and electric fields of a black hole give very little information about what went in. The information that is lost includes every quantity that cannot be measured far away from the black hole horizon, including approximately conserved quantum numbers such as the total baryon number and lepton number. This behavior is so puzzling that it has been called the black hole information loss paradox. Physical properties The simplest static black holes have mass but neither electric charge nor angular momentum. These black holes are often referred to as Schwarzschild black holes after Karl Schwarzschild who discovered this solution in 1916. According to Birkhoff's theorem, it is the only vacuum solution that is spherically symmetric. This means there is no observable difference at a distance between the gravitational field of such a black hole and that of any other spherical object of the same mass. The popular notion of a black hole "sucking in everything" in its surroundings is therefore correct only near a black hole's horizon; far away, the external gravitational field is identical to that of any other body of the same mass. Solutions describing more general black holes also exist. Non-rotating charged black holes are described by the Reissner–Nordström metric, while the Kerr metric describes a non-charged rotating black hole. The most general stationary black hole solution known is the Kerr–Newman metric, which describes a black hole with both charge and angular momentum. While the mass of a black hole can take any positive value, the charge and angular momentum are constrained by the mass. The total electric charge Q and the total angular momentum J are expected to satisfy for a black hole of mass M. Black holes with the minimum possible mass satisfying this inequality are called extremal. Solutions of Einstein's equations that violate this inequality exist, but they do not possess an event horizon. These solutions have so-called naked singularities that can be observed from the outside, and hence are deemed unphysical. The cosmic censorship hypothesis rules out the formation of such singularities, when they are created through the gravitational collapse of realistic matter. This is supported by numerical simulations. Due to the relatively large strength of the electromagnetic force, black holes forming from the collapse of stars are expected to retain the nearly neutral charge of the star. Rotation, however, is expected to be a universal feature of compact astrophysical objects. The black-hole candidate binary X-ray source GRS 1915+105 appears to have an angular momentum near the maximum allowed value. That uncharged limit is allowing definition of a dimensionless spin parameter such that Black holes are commonly classified according to their mass, independent of angular momentum, J. The size of a black hole, as determined by the radius of the event horizon, or Schwarzschild radius, is proportional to the mass, M, through where r is the Schwarzschild radius and is the mass of the Sun. For a black hole with nonzero spin and/or electric charge, the radius is smaller, until an extremal black hole could have an event horizon close to Event horizon The defining feature of a black hole is the appearance of an event horizon—a boundary in spacetime through which matter and light can pass only inward towards the mass of the black hole. Nothing, not even light, can escape from inside the event horizon. The event horizon is referred to as such because if an event occurs within the boundary, information from that event cannot reach an outside observer, making it impossible to determine whether such an event occurred. As predicted by general relativity, the presence of a mass deforms spacetime in such a way that the paths taken by particles bend towards the mass. At the event horizon of a black hole, this deformation becomes so strong that there are no paths that lead away from the black hole. To a distant observer, clocks near a black hole would appear to tick more slowly than those farther away from the black hole. Due to this effect, known as gravitational time dilation, an object falling into a black hole appears to slow as it approaches the event horizon, taking an infinite time to reach it. At the same time, all processes on this object slow down, from the viewpoint of a fixed outside observer, causing any light emitted by the object to appear redder and dimmer, an effect known as gravitational redshift. Eventually, the falling object fades away until it can no longer be seen. Typically this process happens very rapidly with an object disappearing from view within less than a second. On the other hand, indestructible observers falling into a black hole do not notice any of these effects as they cross the event horizon. According to their own clocks, which appear to them to tick normally, they cross the event horizon after a finite time without noting any singular behaviour; in classical general relativity, it is impossible to determine the location of the event horizon from local observations, due to Einstein's equivalence principle. The topology of the event horizon of a black hole at equilibrium is always spherical. For non-rotating (static) black holes the geometry of the event horizon is precisely spherical, while for rotating black holes the event horizon is oblate. Singularity At the centre of a black hole, as described by general relativity, may lie a gravitational singularity, a region where the spacetime curvature becomes infinite. For a non-rotating black hole, this region takes the shape of a single point; for a rotating black hole it is smeared out to form a ring singularity that lies in the plane of rotation. In both cases, the singular region has zero volume. It can also be shown that the singular region contains all the mass of the black hole solution. The singular region can thus be thought of as having infinite density. Observers falling into a Schwarzschild black hole (i.e., non-rotating and not charged) cannot avoid being carried into the singularity once they cross the event horizon. They can prolong the experience by accelerating away to slow their descent, but only up to a limit. When they reach the singularity, they are crushed to infinite density and their mass is added to the total of the black hole. Before that happens, they will have been torn apart by the growing tidal forces in a process sometimes referred to as spaghettification or the "noodle effect". In the case of a charged (Reissner–Nordström) or rotating (Kerr) black hole, it is possible to avoid the singularity. Extending these solutions as far as possible reveals the hypothetical possibility of exiting the black hole into a different spacetime with the black hole acting as a wormhole. The possibility of traveling to another universe is, however, only theoretical since any perturbation would destroy this possibility. It also appears to be possible to follow closed timelike curves (returning to one's own past) around the Kerr singularity, which leads to problems with causality like the grandfather paradox. It is expected that none of these peculiar effects would survive in a proper quantum treatment of rotating and charged black holes. The appearance of singularities in general relativity is commonly perceived as signaling the breakdown of the theory. This breakdown, however, is expected; it occurs in a situation where quantum effects should describe these actions, due to the extremely high density and therefore particle interactions. To date, it has not been possible to combine quantum and gravitational effects into a single theory, although there exist attempts to formulate such a theory of quantum gravity. It is generally expected that such a theory will not feature any singularities. Photon sphere The photon sphere is a spherical boundary of zero thickness in which photons that move on tangents to that sphere would be trapped in a circular orbit about the black hole. For non-rotating black holes, the photon sphere has a radius 1.5 times the Schwarzschild radius. Their orbits would be dynamically unstable, hence any small perturbation, such as a particle of infalling matter, would cause an instability that would grow over time, either setting the photon on an outward trajectory causing it to escape the black hole, or on an inward spiral where it would eventually cross the event horizon. While light can still escape from the photon sphere, any light that crosses the photon sphere on an inbound trajectory will be captured by the black hole. Hence any light that reaches an outside observer from the photon sphere must have been emitted by objects between the photon sphere and the event horizon. For a Kerr black hole the radius of the photon sphere depends on the spin parameter and on the details of the photon orbit, which can be prograde (the photon rotates in the same sense of the black hole spin) or retrograde. Ergosphere Rotating black holes are surrounded by a region of spacetime in which it is impossible to stand still, called the ergosphere. This is the result of a process known as frame-dragging; general relativity predicts that any rotating mass will tend to slightly "drag" along the spacetime immediately surrounding it. Any object near the rotating mass will tend to start moving in the direction of rotation. For a rotating black hole, this effect is so strong near the event horizon that an object would have to move faster than the speed of light in the opposite direction to just stand still. The ergosphere of a black hole is a volume bounded by the black hole's event horizon and the ergosurface, which coincides with the event horizon at the poles but is at a much greater distance around the equator. Objects and radiation can escape normally from the ergosphere. Through the Penrose process, objects can emerge from the ergosphere with more energy than they entered with. The extra energy is taken from the rotational energy of the black hole. Thereby the rotation of the black hole slows down. A variation of the Penrose process in the presence of strong magnetic fields, the Blandford–Znajek process is considered a likely mechanism for the enormous luminosity and relativistic jets of quasars and other active galactic nuclei. Innermost stable circular orbit (ISCO) In Newtonian gravity, test particles can stably orbit at arbitrary distances from a central object. In general relativity, however, there exists an innermost stable circular orbit (often called the ISCO), inside of which, any infinitesimal perturbations to a circular orbit will lead to inspiral into the black hole. The location of the ISCO depends on the spin of the black hole, in the case of a Schwarzschild black hole (spin zero) is: and decreases with increasing black hole spin for particles orbiting in the same direction as the spin. Formation and evolution Given the bizarre character of black holes, it was long questioned whether such objects could actually exist in nature or whether they were merely pathological solutions to Einstein's equations. Einstein himself wrongly thought black holes would not form, because he held that the angular momentum of collapsing particles would stabilize their motion at some radius. This led the general relativity community to dismiss all results to the contrary for many years. However, a minority of relativists continued to contend that black holes were physical objects, and by the end of the 1960s, they had persuaded the majority of researchers in the field that there is no obstacle to the formation of an event horizon. Penrose demonstrated that once an event horizon forms, general relativity without quantum mechanics requires that a singularity will form within. Shortly afterwards, Hawking showed that many cosmological solutions that describe the Big Bang have singularities without scalar fields or other exotic matter (see "Penrose–Hawking singularity theorems"). The Kerr solution, the no-hair theorem, and the laws of black hole thermodynamics showed that the physical properties of black holes were simple and comprehensible, making them respectable subjects for research. Conventional black holes are formed by gravitational collapse of heavy objects such as stars, but they can also in theory be formed by other processes. Gravitational collapse Gravitational collapse occurs when an object's internal pressure is insufficient to resist the object's own gravity. For stars this usually occurs either because a star has too little "fuel" left to maintain its temperature through stellar nucleosynthesis, or because a star that would have been stable receives extra matter in a way that does not raise its core temperature. In either case the star's temperature is no longer high enough to prevent it from collapsing under its own weight. The collapse may be stopped by the degeneracy pressure of the star's constituents, allowing the condensation of matter into an exotic denser state. The result is one of the various types of compact star. Which type forms depends on the mass of the remnant of the original star left if the outer layers have been blown away (for example, in a Type II supernova). The mass of the remnant, the collapsed object that survives the explosion, can be substantially less than that of the original star. Remnants exceeding are produced by stars that were over before the collapse. If the mass of the remnant exceeds about (the Tolman–Oppenheimer–Volkoff limit), either because the original star was very heavy or because the remnant collected additional mass through accretion of matter, even the degeneracy pressure of neutrons is insufficient to stop the collapse. No known mechanism (except possibly quark degeneracy pressure, see quark star) is powerful enough to stop the implosion and the object will inevitably collapse to form a black hole. The gravitational collapse of heavy stars is assumed to be responsible for the formation of stellar mass black holes. Star formation in the early universe may have resulted in very massive stars, which upon their collapse would have produced black holes of up to . These black holes could be the seeds of the supermassive black holes found in the centres of most galaxies. It has further been suggested that massive black holes with typical masses of ~ could have formed from the direct collapse of gas clouds in the young universe. These massive objects have been proposed as the seeds that eventually formed the earliest quasars observed already at redshift . Some candidates for such objects have been found in observations of the young universe. While most of the energy released during gravitational collapse is emitted very quickly, an outside observer does not actually see the end of this process. Even though the collapse takes a finite amount of time from the reference frame of infalling matter, a distant observer would see the infalling material slow and halt just above the event horizon, due to gravitational time dilation. Light from the collapsing material takes longer and longer to reach the observer, with the light emitted just before the event horizon forms delayed an infinite amount of time. Thus the external observer never sees the formation of the event horizon; instead, the collapsing material seems to become dimmer and increasingly red-shifted, eventually fading away. Primordial black holes and the Big Bang Gravitational collapse requires great density. In the current epoch of the universe these high densities are found only in stars, but in the early universe shortly after the Big Bang densities were much greater, possibly allowing for the creation of black holes. High density alone is not enough to allow black hole formation since a uniform mass distribution will not allow the mass to bunch up. In order for primordial black holes to have formed in such a dense medium, there must have been initial density perturbations that could then grow under their own gravity. Different models for the early universe vary widely in their predictions of the scale of these fluctuations. Various models predict the creation of primordial black holes ranging in size from a Planck mass (m= ≈ ≈ ) to hundreds of thousands of solar masses. Despite the early universe being extremely dense—far denser than is usually required to form a black hole—it did not re-collapse into a black hole during the Big Bang. Models for the gravitational collapse of objects of relatively constant size, such as stars, do not necessarily apply in the same way to rapidly expanding space such as the Big Bang. High-energy collisions Gravitational collapse is not the only process that could create black holes. In principle, black holes could be formed in high-energy collisions that achieve sufficient density. As of 2002, no such events have been detected, either directly or indirectly as a deficiency of the mass balance in particle accelerator experiments. This suggests that there must be a lower limit for the mass of black holes. Theoretically, this boundary is expected to lie around the Planck mass, where quantum effects are expected to invalidate the predictions of general relativity. This would put the creation of black holes firmly out of reach of any high-energy process occurring on or near the Earth. However, certain developments in quantum gravity suggest that the minimum black hole mass could be much lower: some braneworld scenarios for example put the boundary as low as . This would make it conceivable for micro black holes to be created in the high-energy collisions that occur when cosmic rays hit the Earth's atmosphere, or possibly in the Large Hadron Collider at CERN. These theories are very speculative, and the creation of black holes in these processes is deemed unlikely by many specialists. Even if micro black holes could be formed, it is expected that they would evaporate in about 10 seconds, posing no threat to the Earth. Growth Once a black hole has formed, it can continue to grow by absorbing additional matter. Any black hole will continually absorb gas and interstellar dust from its surroundings. This growth process is one possible way through which some supermassive black holes may have been formed, although the formation of supermassive black holes is still an open field of research. A similar process has been suggested for the formation of intermediate-mass black holes found in globular clusters. Black holes can also merge with other objects such as stars or even other black holes. This is thought to have been important, especially in the early growth of supermassive black holes, which could have formed from the aggregation of many smaller objects. The process has also been proposed as the origin of some intermediate-mass black holes. Evaporation In 1974, Hawking predicted that black holes are not entirely black but emit small amounts of thermal radiation at a temperature ℏc/(8πGMk); this effect has become known as Hawking radiation. By applying quantum field theory to a static black hole background, he determined that a black hole should emit particles that display a perfect black body spectrum. Since Hawking's publication, many others have verified the result through various approaches. If Hawking's theory of black hole radiation is correct, then black holes are expected to shrink and evaporate over time as they lose mass by the emission of photons and other particles. The temperature of this thermal spectrum (Hawking temperature) is proportional to the surface gravity of the black hole, which, for a Schwarzschild black hole, is inversely proportional to the mass. Hence, large black holes emit less radiation than small black holes. A stellar black hole of has a Hawking temperature of 62 nanokelvins. This is far less than the 2.7 | accretion disc nearly edge-on, as the whole system rotated clockwise. However, the extreme gravitational lensing associated with black holes produces the illusion of a perspective that sees the accretion disc from above. In reality, most of the ring in the EHT image was created when the light emitted by the far side of the accretion disc bent around the black hole's gravity well and escaped, meaning that most of the possible perspectives on M87* can see the entire disc, even that directly behind the "shadow". In 2015, the EHT detected magnetic fields just outside the event horizon of Sagittarius A* and even discerned some of their properties. The field lines that pass through the accretion disc were a complex mixture of ordered and tangled. Theoretical studies of black holes had predicted the existence of magnetic fields. Detection of gravitational waves from merging black holes On 14 September 2015, the LIGO gravitational wave observatory made the first-ever successful direct observation of gravitational waves. The signal was consistent with theoretical predictions for the gravitational waves produced by the merger of two black holes: one with about 36 solar masses, and the other around 29 solar masses. This observation provides the most concrete evidence for the existence of black holes to date. For instance, the gravitational wave signal suggests that the separation of the two objects before the merger was just 350 km (or roughly four times the Schwarzschild radius corresponding to the inferred masses). The objects must therefore have been extremely compact, leaving black holes as the most plausible interpretation. More importantly, the signal observed by LIGO also included the start of the post-merger ringdown, the signal produced as the newly formed compact object settles down to a stationary state. Arguably, the ringdown is the most direct way of observing a black hole. From the LIGO signal, it is possible to extract the frequency and damping time of the dominant mode of the ringdown. From these, it is possible to infer the mass and angular momentum of the final object, which match independent predictions from numerical simulations of the merger. The frequency and decay time of the dominant mode are determined by the geometry of the photon sphere. Hence, observation of this mode confirms the presence of a photon sphere; however, it cannot exclude possible exotic alternatives to black holes that are compact enough to have a photon sphere. The observation also provides the first observational evidence for the existence of stellar-mass black hole binaries. Furthermore, it is the first observational evidence of stellar-mass black holes weighing 25 solar masses or more. Since then, many more gravitational wave events have been observed. Proper motions of stars orbiting Sagittarius A* The proper motions of stars near the centre of our own Milky Way provide strong observational evidence that these stars are orbiting a supermassive black hole. Since 1995, astronomers have tracked the motions of 90 stars orbiting an invisible object coincident with the radio source Sagittarius A*. By fitting their motions to Keplerian orbits, the astronomers were able to infer, in 1998, that a object must be contained in a volume with a radius of 0.02 light-years to cause the motions of those stars. Since then, one of the stars—called S2—has completed a full orbit. From the orbital data, astronomers were able to refine the calculations of the mass to and a radius of less than 0.002 light-years for the object causing the orbital motion of those stars. The upper limit on the object's size is still too large to test whether it is smaller than its Schwarzschild radius; nevertheless, these observations strongly suggest that the central object is a supermassive black hole as there are no other plausible scenarios for confining so much invisible mass into such a small volume. Additionally, there is some observational evidence that this object might possess an event horizon, a feature unique to black holes. Accretion of matter Due to conservation of angular momentum, gas falling into the gravitational well created by a massive object will typically form a disk-like structure around the object. Artists' impressions such as the accompanying representation of a black hole with corona commonly depict the black hole as if it were a flat-space body hiding the part of the disk just behind it, but in reality gravitational lensing would greatly distort the image of the accretion disk. Within such a disk, friction would cause angular momentum to be transported outward, allowing matter to fall farther inward, thus releasing potential energy and increasing the temperature of the gas. When the accreting object is a neutron star or a black hole, the gas in the inner accretion disk orbits at very high speeds because of its proximity to the compact object. The resulting friction is so significant that it heats the inner disk to temperatures at which it emits vast amounts of electromagnetic radiation (mainly X-rays). These bright X-ray sources may be detected by telescopes. This process of accretion is one of the most efficient energy-producing processes known; up to 40% of the rest mass of the accreted material can be emitted as radiation. (In nuclear fusion only about 0.7% of the rest mass will be emitted as energy.) In many cases, accretion disks are accompanied by relativistic jets that are emitted along the poles, which carry away much of the energy. The mechanism for the creation of these jets is currently not well understood, in part due to insufficient data. As such, many of the universe's more energetic phenomena have been attributed to the accretion of matter on black holes. In particular, active galactic nuclei and quasars are believed to be the accretion disks of supermassive black holes. Similarly, X-ray binaries are generally accepted to be binary star systems in which one of the two stars is a compact object accreting matter from its companion. It has also been suggested that some ultraluminous X-ray sources may be the accretion disks of intermediate-mass black holes. In November 2011 the first direct observation of a quasar accretion disk around a supermassive black hole was reported. X-ray binaries X-ray binaries are binary star systems that emit a majority of their radiation in the X-ray part of the spectrum. These X-ray emissions are generally thought to result when one of the stars (compact object) accretes matter from another (regular) star. The presence of an ordinary star in such a system provides an opportunity for studying the central object and to determine if it might be a black hole. If such a system emits signals that can be directly traced back to the compact object, it cannot be a black hole. The absence of such a signal does, however, not exclude the possibility that the compact object is a neutron star. By studying the companion star it is often possible to obtain the orbital parameters of the system and to obtain an estimate for the mass of the compact object. If this is much larger than the Tolman–Oppenheimer–Volkoff limit (the maximum mass a star can have without collapsing) then the object cannot be a neutron star and is generally expected to be a black hole. The first strong candidate for a black hole, Cygnus X-1, was discovered in this way by Charles Thomas Bolton, Louise Webster, and Paul Murdin in 1972. Some doubt, however, remained due to the uncertainties that result from the companion star being much heavier than the candidate black hole. Currently, better candidates for black holes are found in a class of X-ray binaries called soft X-ray transients. In this class of system, the companion star is of relatively low mass allowing for more accurate estimates of the black hole mass. Moreover, these systems actively emit X-rays for only several months once every 10–50 years. During the period of low X-ray emission (called quiescence), the accretion disk is extremely faint allowing detailed observation of the companion star during this period. One of the best such candidates is V404 Cygni. Quasi-periodic oscillations The X-ray emissions from accretion disks sometimes flicker at certain frequencies. These signals are called quasi-periodic oscillations and are thought to be caused by material moving along the inner edge of the accretion disk (the innermost stable circular orbit). As such their frequency is linked to the mass of the compact object. They can thus be used as an alternative way to determine the mass of candidate black holes. Galactic nuclei Astronomers use the term "active galaxy" to describe galaxies with unusual characteristics, such as unusual spectral line emission and very strong radio emission. Theoretical and observational studies have shown that the activity in these active galactic nuclei (AGN) may be explained by the presence of supermassive black holes, which can be millions of times more massive than stellar ones. The models of these AGN consist of a central black hole that may be millions or billions of times more massive than the Sun; a disk of interstellar gas and dust called an accretion disk; and two jets perpendicular to the accretion disk. Although supermassive black holes are expected to be found in most AGN, only some galaxies' nuclei have been more carefully studied in attempts to both identify and measure the actual masses of the central supermassive black hole candidates. Some of the most notable galaxies with supermassive black hole candidates include the Andromeda Galaxy, M32, M87, NGC 3115, NGC 3377, NGC 4258, NGC 4889, NGC 1277, OJ 287, APM 08279+5255 and the Sombrero Galaxy. It is now widely accepted that the centre of nearly every galaxy, not just active ones, contains a supermassive black hole. The close observational correlation between the mass of this hole and the velocity dispersion of the host galaxy's bulge, known as the M–sigma relation, strongly suggests a connection between the formation of the black hole and that of the galaxy itself. Microlensing Another way the black hole nature of an object may be tested is through observation of effects caused by a strong gravitational field in their vicinity. One such effect is gravitational lensing: The deformation of spacetime around a massive object causes light rays to be deflected, such as light passing through an optic lens. Observations have been made of weak gravitational lensing, in which light rays are deflected by only a few arcseconds. Microlensing occurs when the sources are unresolved and the observer sees a small brightening. In January 2022, astronomers reported the first possible detection of a microlensing event from an isolated black hole. Another possibility for observing gravitational lensing by a black hole would be to observe stars orbiting the black hole. There are several candidates for such an observation in orbit around Sagittarius A*. Alternatives The evidence for stellar black holes strongly relies on the existence of an upper limit for the mass of a neutron star. The size of this limit heavily depends on the assumptions made about the properties of dense matter. New exotic phases of matter could push up this bound. A phase of free quarks at high density might allow the existence of dense quark stars, and some supersymmetric models predict the existence of Q stars. Some extensions of the standard model posit the existence of preons as fundamental building blocks of quarks and leptons, which could hypothetically form preon stars. These hypothetical models could potentially explain a number of observations of stellar black hole candidates. However, it can be shown from arguments in general relativity that any such object will have a maximum mass. Since the average density of a black hole inside its Schwarzschild radius is inversely proportional to the square of its mass, supermassive black holes are much less dense than stellar black holes (the average density of a black hole is comparable to that of water). Consequently, the physics of matter forming a supermassive black hole is much better understood and the possible alternative explanations for supermassive black hole observations are much more mundane. For example, a supermassive black hole could be modelled by a large cluster of very dark objects. However, such alternatives are typically not stable enough to explain the supermassive black hole candidates. The evidence for the existence of stellar and supermassive black holes implies that in order for black holes to not form, general relativity must fail as a theory of gravity, perhaps due to the onset of quantum mechanical corrections. A much anticipated feature of a theory of quantum gravity is that it will not feature singularities or event horizons and thus black holes would not be real artifacts. For example, in the fuzzball model based on string theory, the individual states of a black hole solution do not generally have an event horizon or singularity, but for a classical/semi-classical observer the statistical average of such states appears just as an ordinary black hole as deduced from general relativity. A few theoretical objects have been conjectured to match observations of astronomical black hole candidates identically or near-identically, but which function via a different mechanism. These include the gravastar, the black star, and the dark-energy star. Open questions Entropy and thermodynamics In 1971, Hawking showed under general conditions that the total area of the event horizons of any collection of classical black holes can never decrease, even if they collide and merge. This result, now known as the second law of black hole mechanics, is remarkably similar to the second law of thermodynamics, which states that the total entropy of an isolated system can never decrease. As with classical objects at absolute zero temperature, it was assumed that black holes had zero entropy. If this were the case, the second law of thermodynamics would be violated by entropy-laden matter entering a black hole, resulting in a decrease in the total entropy of the universe. Therefore, Bekenstein proposed that a black hole should have an entropy, and that it should be proportional to its horizon area. The link with the laws of thermodynamics was further strengthened by Hawking's discovery in 1974 that quantum field theory predicts that a black hole radiates blackbody radiation at a constant temperature. This seemingly causes a violation of the second law of black hole mechanics, since the radiation will carry away energy from the black hole causing it to shrink. The radiation, however also carries away entropy, and it can be proven under general assumptions that the sum of the entropy of the matter surrounding a black hole and one quarter of the area of the horizon as measured in Planck units is in fact always increasing. This allows the formulation of the first law of black hole mechanics as an analogue of the first law of thermodynamics, with the mass acting as energy, the surface gravity as temperature and the area as entropy. One puzzling feature is that the entropy of a black hole scales with its area rather than with its volume, since entropy is normally an extensive quantity that scales linearly with the volume of the system. This odd property led Gerard 't Hooft and Leonard Susskind to propose the holographic principle, which suggests that anything that happens in a volume of spacetime can be described by data on the boundary of that volume. Although general relativity can be used to perform a semi-classical calculation of black hole entropy, this situation is theoretically unsatisfying. In statistical mechanics, entropy is understood as counting the number of microscopic configurations of a system that have the same macroscopic qualities (such as mass, charge, pressure, etc.). Without a satisfactory theory of quantum gravity, one cannot perform such a computation for black holes. Some progress has been made in various approaches to quantum gravity. In 1995, Andrew Strominger and Cumrun Vafa showed that counting the microstates of a specific supersymmetric black hole in string theory reproduced the Bekenstein–Hawking entropy. Since then, similar results have been reported for different black holes both in string theory and in other approaches to quantum gravity like loop quantum gravity. Information loss paradox Because a black hole has only a few internal parameters, most of the information about the matter that went into forming the black hole is lost. Regardless of the type of matter which goes into a black hole, it |
energy. The binding energies of all existing nuclides form what is called the nuclear band or valley of stability. For either electron or positron emission to be energetically possible, the energy release (see below) or Q value must be positive. Beta decay is a consequence of the weak force, which is characterized by relatively lengthy decay times. Nucleons are composed of up quarks and down quarks, and the weak force allows a quark to change its flavour by emission of a W boson leading to creation of an electron/antineutrino or positron/neutrino pair. For example, a neutron, composed of two down quarks and an up quark, decays to a proton composed of a down quark and two up quarks. Electron capture is sometimes included as a type of beta decay, because the basic nuclear process, mediated by the weak force, is the same. In electron capture, an inner atomic electron is captured by a proton in the nucleus, transforming it into a neutron, and an electron neutrino is released. Description The two types of beta decay are known as beta minus and beta plus. In beta minus (β−) decay, a neutron is converted to a proton, and the process creates an electron and an electron antineutrino; while in beta plus (β+) decay, a proton is converted to a neutron and the process creates a positron and an electron neutrino. β+ decay is also known as positron emission. Beta decay conserves a quantum number known as the lepton number, or the number of electrons and their associated neutrinos (other leptons are the muon and tau particles). These particles have lepton number +1, while their antiparticles have lepton number −1. Since a proton or neutron has lepton number zero, β+ decay (a positron, or antielectron) must be accompanied with an electron neutrino, while β− decay (an electron) must be accompanied by an electron antineutrino. An example of electron emission (β− decay) is the decay of carbon-14 into nitrogen-14 with a half-life of about 5,730 years: → + + In this form of decay, the original element becomes a new chemical element in a process known as nuclear transmutation. This new element has an unchanged mass number , but an atomic number that is increased by one. As in all nuclear decays, the decaying element (in this case ) is known as the parent nuclide while the resulting element (in this case ) is known as the daughter nuclide. Another example is the decay of hydrogen-3 (tritium) into helium-3 with a half-life of about 12.3 years: → + + An example of positron emission (β+ decay) is the decay of magnesium-23 into sodium-23 with a half-life of about 11.3 s: → + + β+ decay also results in nuclear transmutation, with the resulting element having an atomic number that is decreased by one. The beta spectrum, or distribution of energy values for the beta particles, is continuous. The total energy of the decay process is divided between the electron, the antineutrino, and the recoiling nuclide. In the figure to the right, an example of an electron with 0.40 MeV energy from the beta decay of 210Bi is shown. In this example, the total decay energy is 1.16 MeV, so the antineutrino has the remaining energy: . An electron at the far right of the curve would have the maximum possible kinetic energy, leaving the energy of the neutrino to be only its small rest mass. History Discovery and initial characterization Radioactivity was discovered in 1896 by Henri Becquerel in uranium, and subsequently observed by Marie and Pierre Curie in thorium and in the new elements polonium and radium. In 1899, Ernest Rutherford separated radioactive emissions into two types: alpha and beta (now beta minus), based on penetration of objects and ability to cause ionization. Alpha rays could be stopped by thin sheets of paper or aluminium, whereas beta rays could penetrate several millimetres of aluminium. In 1900, Paul Villard identified a still more penetrating type of radiation, which Rutherford identified as a fundamentally new type in 1903 and termed gamma rays. Alpha, beta, and gamma are the first three letters of the Greek alphabet. In 1900, Becquerel measured the mass-to-charge ratio () for beta particles by the method of J.J. Thomson used to study cathode rays and identify the electron. He found that for a beta particle is the same as for Thomson's electron, and therefore suggested that the beta particle is in fact an electron. In 1901, Rutherford and Frederick Soddy showed that alpha and beta radioactivity involves the transmutation of atoms into atoms of other chemical elements. In 1913, after the products of more radioactive decays were known, Soddy and Kazimierz Fajans independently proposed their radioactive displacement law, which states that beta (i.e., ) emission from one element produces another element one place to the right in the periodic table, while alpha emission produces an element two places to the left. Neutrinos The study of beta decay provided the first physical evidence for the existence of the neutrino. In both alpha and gamma decay, the resulting alpha or gamma particle has a narrow energy distribution, since the particle carries the energy from the difference between the initial and final nuclear states. However, the kinetic energy distribution, or spectrum, of beta particles measured by Lise Meitner and Otto Hahn in 1911 and by Jean Danysz in 1913 showed multiple lines on a diffuse background. These measurements offered the first hint that beta particles have a continuous spectrum. In 1914, James Chadwick used a magnetic spectrometer with one of Hans Geiger's new counters to make more accurate measurements which showed that the spectrum was continuous. The distribution of beta particle energies was in apparent contradiction to the law of conservation of energy. If beta decay were simply electron emission as assumed at the time, then the energy of the emitted electron should have a particular, well-defined value. For beta decay, however, the observed broad distribution of energies suggested that energy is lost in the beta decay process. This spectrum was puzzling for many years. A second problem is related to the conservation of angular momentum. Molecular band spectra showed that the nuclear spin of nitrogen-14 is 1 (i.e., equal to the reduced Planck constant) and more generally that the spin is integral for nuclei of even mass number and half-integral for nuclei of odd mass number. This was later explained by the proton-neutron model of the nucleus. Beta decay leaves the mass number unchanged, so the change of nuclear spin must be an integer. However, the electron spin is 1/2, hence angular momentum would not be conserved if beta decay were simply electron emission. From 1920 to 1927, Charles Drummond Ellis (along with Chadwick and colleagues) further established that the beta decay spectrum is continuous. In 1933, Ellis and Nevill Mott obtained strong evidence that the beta spectrum has an effective upper bound in energy. Niels Bohr had suggested that the beta spectrum could be explained if conservation of energy was true only in a statistical sense, thus this principle might be violated in any given decay. However, the upper bound in beta energies determined by Ellis and Mott ruled out that notion. Now, the problem of how to account for the variability of energy in known beta decay products, as well as for conservation of momentum and angular momentum in the process, became acute. In a famous letter written in 1930, Wolfgang Pauli attempted to resolve the beta-particle energy conundrum by suggesting that, in addition to electrons and protons, atomic nuclei also contained an extremely light neutral particle, which he called the neutron. He suggested that this "neutron" was also emitted during beta decay (thus accounting for the known missing energy, momentum, and angular momentum), but it had simply not yet been observed. In 1931, Enrico Fermi renamed Pauli's "neutron" the "neutrino" ('little neutral one' in Italian). In 1933, Fermi published his landmark theory for beta decay, where he applied the principles of quantum mechanics to matter particles, supposing that they can be created and annihilated, just as the light quanta in atomic transitions. Thus, according to Fermi, neutrinos are created in the beta-decay process, rather than contained in the nucleus; the same happens to electrons. The neutrino interaction with matter was so weak that detecting it proved a severe experimental challenge. Further indirect evidence of the existence of the neutrino was obtained by observing the recoil of nuclei that emitted such a particle after absorbing an electron. Neutrinos were finally detected directly in 1956 by Clyde Cowan and Frederick Reines in the Cowan–Reines neutrino experiment. The properties of neutrinos were (with a few minor modifications) as predicted by Pauli and Fermi. decay and electron capture In 1934, Frédéric and Irène Joliot-Curie bombarded aluminium with alpha particles to effect the nuclear reaction + → + , and observed that the product isotope emits a positron identical to those found in cosmic rays (discovered by Carl David Anderson in 1932). This was the first example of decay (positron emission), which they termed artificial radioactivity since is a short-lived nuclide which does not exist in nature. In recognition of their discovery the couple were awarded the Nobel Prize in Chemistry in 1935. The theory of electron capture was first discussed by Gian-Carlo Wick in a 1934 paper, and then developed by Hideki Yukawa and others. K-electron capture was first observed in 1937 by Luis Alvarez, in the nuclide 48V. Alvarez went on to study electron capture in 67Ga and other nuclides. Non-conservation of parity In 1956, Tsung-Dao Lee and Chen Ning Yang noticed that there was no evidence that parity was conserved in weak interactions, and so they postulated that this symmetry may not be preserved by the weak force. They sketched the design for an experiment for testing conservation of parity in the laboratory. Later that year, Chien-Shiung Wu and coworkers conducted the Wu experiment showing an asymmetrical beta decay of at cold temperatures that proved that parity is not conserved in beta decay. This surprising result overturned long-held assumptions about parity and the weak force. In recognition of their theoretical work, Lee and Yang were awarded the Nobel Prize for Physics in 1957. However Wu, who was female, was not awarded the Nobel prize. β− decay In decay, the weak interaction converts an atomic nucleus into a nucleus with atomic number increased by one, while emitting an electron () and an electron antineutrino (). decay generally occurs in neutron-rich nuclei. The generic equation is: → + + where and are the mass number and atomic number of the decaying nucleus, and X and X′ are the initial and final elements, respectively. Another example is when the free neutron () decays by decay into a proton (): → + + . At the fundamental level (as depicted in the Feynman diagram on the right), this is caused by the conversion of the negatively charged () down quark to the positively charged () up quark by emission of a boson; the boson subsequently decays into an electron and an electron antineutrino: → + + . β+ decay In decay, or positron emission, the weak interaction converts an atomic nucleus into a nucleus with atomic number decreased by one, while emitting a positron () and an electron neutrino (). decay generally occurs in proton-rich nuclei. The generic equation is: → + + This may be considered as the decay of a proton inside the nucleus to a neutron: p → n + + However, decay cannot occur in an isolated proton because it requires energy, due to the mass of the neutron being greater than the mass of the proton. decay can only happen inside nuclei when the daughter nucleus has a | These measurements offered the first hint that beta particles have a continuous spectrum. In 1914, James Chadwick used a magnetic spectrometer with one of Hans Geiger's new counters to make more accurate measurements which showed that the spectrum was continuous. The distribution of beta particle energies was in apparent contradiction to the law of conservation of energy. If beta decay were simply electron emission as assumed at the time, then the energy of the emitted electron should have a particular, well-defined value. For beta decay, however, the observed broad distribution of energies suggested that energy is lost in the beta decay process. This spectrum was puzzling for many years. A second problem is related to the conservation of angular momentum. Molecular band spectra showed that the nuclear spin of nitrogen-14 is 1 (i.e., equal to the reduced Planck constant) and more generally that the spin is integral for nuclei of even mass number and half-integral for nuclei of odd mass number. This was later explained by the proton-neutron model of the nucleus. Beta decay leaves the mass number unchanged, so the change of nuclear spin must be an integer. However, the electron spin is 1/2, hence angular momentum would not be conserved if beta decay were simply electron emission. From 1920 to 1927, Charles Drummond Ellis (along with Chadwick and colleagues) further established that the beta decay spectrum is continuous. In 1933, Ellis and Nevill Mott obtained strong evidence that the beta spectrum has an effective upper bound in energy. Niels Bohr had suggested that the beta spectrum could be explained if conservation of energy was true only in a statistical sense, thus this principle might be violated in any given decay. However, the upper bound in beta energies determined by Ellis and Mott ruled out that notion. Now, the problem of how to account for the variability of energy in known beta decay products, as well as for conservation of momentum and angular momentum in the process, became acute. In a famous letter written in 1930, Wolfgang Pauli attempted to resolve the beta-particle energy conundrum by suggesting that, in addition to electrons and protons, atomic nuclei also contained an extremely light neutral particle, which he called the neutron. He suggested that this "neutron" was also emitted during beta decay (thus accounting for the known missing energy, momentum, and angular momentum), but it had simply not yet been observed. In 1931, Enrico Fermi renamed Pauli's "neutron" the "neutrino" ('little neutral one' in Italian). In 1933, Fermi published his landmark theory for beta decay, where he applied the principles of quantum mechanics to matter particles, supposing that they can be created and annihilated, just as the light quanta in atomic transitions. Thus, according to Fermi, neutrinos are created in the beta-decay process, rather than contained in the nucleus; the same happens to electrons. The neutrino interaction with matter was so weak that detecting it proved a severe experimental challenge. Further indirect evidence of the existence of the neutrino was obtained by observing the recoil of nuclei that emitted such a particle after absorbing an electron. Neutrinos were finally detected directly in 1956 by Clyde Cowan and Frederick Reines in the Cowan–Reines neutrino experiment. The properties of neutrinos were (with a few minor modifications) as predicted by Pauli and Fermi. decay and electron capture In 1934, Frédéric and Irène Joliot-Curie bombarded aluminium with alpha particles to effect the nuclear reaction + → + , and observed that the product isotope emits a positron identical to those found in cosmic rays (discovered by Carl David Anderson in 1932). This was the first example of decay (positron emission), which they termed artificial radioactivity since is a short-lived nuclide which does not exist in nature. In recognition of their discovery the couple were awarded the Nobel Prize in Chemistry in 1935. The theory of electron capture was first discussed by Gian-Carlo Wick in a 1934 paper, and then developed by Hideki Yukawa and others. K-electron capture was first observed in 1937 by Luis Alvarez, in the nuclide 48V. Alvarez went on to study electron capture in 67Ga and other nuclides. Non-conservation of parity In 1956, Tsung-Dao Lee and Chen Ning Yang noticed that there was no evidence that parity was conserved in weak interactions, and so they postulated that this symmetry may not be preserved by the weak force. They sketched the design for an experiment for testing conservation of parity in the laboratory. Later that year, Chien-Shiung Wu and coworkers conducted the Wu experiment showing an asymmetrical beta decay of at cold temperatures that proved that parity is not conserved in beta decay. This surprising result overturned long-held assumptions about parity and the weak force. In recognition of their theoretical work, Lee and Yang were awarded the Nobel Prize for Physics in 1957. However Wu, who was female, was not awarded the Nobel prize. β− decay In decay, the weak interaction converts an atomic nucleus into a nucleus with atomic number increased by one, while emitting an electron () and an electron antineutrino (). decay generally occurs in neutron-rich nuclei. The generic equation is: → + + where and are the mass number and atomic number of the decaying nucleus, and X and X′ are the initial and final elements, respectively. Another example is when the free neutron () decays by decay into a proton (): → + + . At the fundamental level (as depicted in the Feynman diagram on the right), this is caused by the conversion of the negatively charged () down quark to the positively charged () up quark by emission of a boson; the boson subsequently decays into an electron and an electron antineutrino: → + + . β+ decay In decay, or positron emission, the weak interaction converts an atomic nucleus into a nucleus with atomic number decreased by one, while emitting a positron () and an electron neutrino (). decay generally occurs in proton-rich nuclei. The generic equation is: → + + This may be considered as the decay of a proton inside the nucleus to a neutron: p → n + + However, decay cannot occur in an isolated proton because it requires energy, due to the mass of the neutron being greater than the mass of the proton. decay can only happen inside nuclei when the daughter nucleus has a greater binding energy (and therefore a lower total energy) than the mother nucleus. The difference between these energies goes into the reaction of converting a proton into a neutron, a positron, and a neutrino and into the kinetic energy of these particles. This process is opposite to negative beta decay, in that the weak interaction converts a proton into a neutron by converting an up quark into a down quark resulting in the emission of a or the absorption of a . When a boson is emitted, it decays into a positron and an electron neutrino: → + + . Electron capture (K-capture) In all cases where decay (positron emission) of a nucleus is allowed energetically, so too is electron capture allowed. This is a process during which a nucleus captures one of its atomic electrons, resulting in the emission of a neutrino: + → + An example of electron capture is one of the decay modes of krypton-81 into bromine-81: + → + All emitted neutrinos are of the same energy. In proton-rich nuclei where the energy difference between the initial and final states is less than , decay is not energetically possible, and electron capture is the sole decay mode. If the captured electron comes from the innermost shell of the atom, the K-shell, which has the highest probability to interact with the nucleus, the process is called K-capture. If it comes from the L-shell, the process is called L-capture, etc. Electron capture is a competing (simultaneous) decay process for all nuclei that can undergo β+ decay. The converse, however, is not true: electron capture is the only type of decay that is allowed in proton-rich nuclides that do not have sufficient energy to emit a positron and neutrino. Nuclear transmutation If the proton and neutron are part of an atomic nucleus, the above described decay processes transmute one chemical element into another. For example: :{|border="0" |- style="height:2em;" | || || ||→ || ||+ || ||+ || ||(beta minus decay) |- style="height:2em;" | || || ||→ || ||+ || ||+ || ||(beta plus decay) |- style="height:2em;" | ||+ || ||→ || ||+ || || || ||(electron capture) |} Beta decay does not change the number () of nucleons in the nucleus, but changes only its charge . Thus the set of all nuclides with the same can be introduced; these isobaric nuclides may turn into each other via beta decay. For a given there is one that is most stable. It is said to be beta stable, because it presents a local minimum of the mass excess: if such a nucleus has numbers, the neighbour nuclei and have higher mass excess and can beta decay into , but not vice versa. For all odd mass numbers , there is only one known beta-stable isobar. For even , there are up to three different beta-stable isobars experimentally known; for example, , , and are all beta-stable. There are about 350 known beta-decay stable nuclides. Competition of beta decay types Usually unstable nuclides are clearly either "neutron rich" or "proton rich", with the former undergoing beta decay and the latter undergoing electron capture (or more rarely, due to the higher energy requirements, positron decay). However, in a few cases of odd-proton, odd-neutron radionuclides, it may be energetically favorable for the radionuclide to decay to an even-proton, even-neutron isobar either by undergoing beta-positive or beta-negative decay. An often-cited example is the single isotope (29 protons, 35 neutrons), which illustrates three types of beta decay in competition. Copper-64 has a half-life of about 12.7 hours. This isotope has one unpaired proton and one unpaired neutron, so either the proton or the neutron can decay. This particular nuclide (though not all nuclides in this situation) is almost equally likely to decay through proton decay by positron emission () or electron capture () to , as it is through neutron decay by electron emission () to . Stability of naturally occurring nuclides Most naturally occurring nuclides on earth are beta stable. Those that are not have half-lives ranging from under a second to periods of time significantly greater than the age of the universe. One common example of a long-lived isotope is the odd-proton odd-neutron nuclide , which undergoes all three types of beta decay (, and electron capture) with a half-life of . Conservation rules for beta decay Baryon number is conserved where is the number of constituent quarks, and is the number of constituent antiquarks. Beta decay just changes neutron to proton or, in the case of positive beta decay (electron capture) proton to neutron so the number of individual quarks doesn't change. It is only the baryon flavor that changes, here labelled as the isospin. Up and down quarks have total isospin and isospin projections All other quarks have . In general Lepton number is conserved so all leptons have assigned a value of +1, antileptons −1, and non-leptonic particles 0. Angular momentum For allowed decays, the net orbital angular momentum is zero, hence only spin quantum numbers are considered. The electron and antineutrino are fermions, spin-1/2 objects, therefore they may couple to total (parallel) or (anti-parallel). For forbidden decays, orbital angular momentum must also be taken into consideration. Energy release The value is defined as the total energy released in a given nuclear decay. In beta decay, is therefore also the sum of the kinetic energies of the emitted beta particle, neutrino, and recoiling nucleus. (Because of the large mass of the nucleus compared to that of the beta particle and neutrino, the kinetic energy of the recoiling nucleus can generally be neglected.) Beta particles can therefore be emitted with any kinetic energy ranging from 0 to . A typical is around 1 MeV, but can range from a few keV to a few tens of MeV. Since the rest mass of the electron is 511 keV, the most energetic beta particles are ultrarelativistic, with speeds very close to the speed of light. In the case of Re, the maximum speed of the beta particle is only 9.8% of the speed of light. The following table gives some examples: β− decay Consider the generic equation for beta decay → + + . The value for this decay is , where is the mass of the |
superiority allowed the unencumbered movement of ground forces, their unhindered assembly into concentrated attack formations, aerial reconnaissance, aerial resupply of fast moving formations and close air support at the point of attack. The Allied air forces had no close air support aircraft, training or doctrine. The Allies flew 434 French and 160 British sorties a day but methods of attacking ground targets had yet to be developed; therefore Allied aircraft caused negligible damage. Against these 600 sorties the Luftwaffe on average flew 1,500 sorties a day. On 13 May, Fliegerkorps VIII flew 1,000 sorties in support of the crossing of the Meuse. The following day the Allies made repeated attempts to destroy the German pontoon bridges, but German fighter aircraft, ground fire and Luftwaffe flak batteries with the panzer forces destroyed 56 percent of the attacking Allied aircraft while the bridges remained intact. Allied air superiority became a significant hindrance to German operations during the later years of the war. By June 1944 the Western Allies had complete control of the air over the battlefield and their fighter-bomber aircraft were very effective at attacking ground forces. On D-Day the Allies flew 14,500 sorties over the battlefield area alone, not including sorties flown over north-western Europe. Against this on 6 June the Luftwaffe flew some 300 sorties. Though German fighter presence over Normandy increased over the next days and weeks, it never approached the numbers the Allies commanded. Fighter-bomber attacks on German formations made movement during daylight almost impossible. Subsequently, shortages soon developed in food, fuel and ammunition, severely hampering the German defenders. German vehicle crews and even flak units experienced great difficulty moving during daylight. Indeed, the final German offensive operation in the west, Operation Wacht am Rhein, was planned to take place during poor weather to minimize interference by Allied aircraft. Under these conditions it was difficult for German commanders to employ the "armoured idea", if at all. Counter-tactics Blitzkrieg is vulnerable to an enemy that is robust enough to weather the shock of the attack and that does not panic at the idea of enemy formations in its rear area. This is especially true if the attacking formation lacks the reserve to keep funnelling forces into the spearhead, or lacks the mobility to provide infantry, artillery and supplies into the attack. If the defender can hold the shoulders of the breach they will have the opportunity to counter-attack into the flank of the attacker, potentially cutting off the van as happened to Kampfgruppe Peiper in the Ardennes. During the Battle of France in 1940, the 4th Armoured Division (Major-General Charles de Gaulle) and elements of the 1st Army Tank Brigade (British Expeditionary Force) made probing attacks on the German flank, pushing into the rear of the advancing armoured columns at times. This may have been a reason for Hitler to call a halt to the German advance. Those attacks combined with Maxime Weygand's Hedgehog tactic would become the major basis for responding to blitzkrieg attacks in the future: deployment in depth, permitting enemy or "shoulders" of a penetration was essential to channelling the enemy attack, and artillery, properly employed at the shoulders, could take a heavy toll of attackers. While Allied forces in 1940 lacked the experience to successfully develop these strategies, resulting in France's capitulation with heavy losses, they characterised later Allied operations. At the Battle of Kursk the Red Army employed a combination of defence in great depth, extensive minefields, and tenacious defence of breakthrough shoulders. In this way they depleted German combat power even as German forces advanced. The reverse can be seen in the Russian summer offensive of 1944, Operation Bagration, which resulted in the destruction of Army Group Center. German attempts to weather the storm and fight out of encirclements failed due to the Russian ability to continue to feed armoured units into the attack, maintaining the mobility and strength of the offensive, arriving in force deep in the rear areas, faster than the Germans could regroup. Logistics Although effective in quick campaigns against Poland and France, mobile operations could not be sustained by Germany in later years. Strategies based on manoeuvre have the inherent danger of the attacking force overextending its supply lines, and can be defeated by a determined foe who is willing and able to sacrifice territory for time in which to regroup and rearm, as the Soviets did on the Eastern Front (as opposed to, for example, the Dutch who had no territory to sacrifice). Tank and vehicle production was a constant problem for Germany; indeed, late in the war many panzer "divisions" had no more than a few dozen tanks. As the end of the war approached, Germany also experienced critical shortages in fuel and ammunition stocks as a result of Anglo-American strategic bombing and blockade. Although production of Luftwaffe fighter aircraft continued, they would be unable to fly for lack of fuel. What fuel there was went to panzer divisions, and even then they were not able to operate normally. Of those Tiger tanks lost against the United States Army, nearly half of them were abandoned for lack of fuel. Military operations Spanish Civil War German volunteers first used armour in live field-conditions during the Spanish Civil War of 1936-1939. Armour commitment consisted of Panzer Battalion 88, a force built around three companies of Panzer I tanks that functioned as a training cadre for Spain's Nationalists. The Luftwaffe deployed squadrons of fighters, dive-bombers and transport aircraft as the Condor Legion. Guderian said that the tank deployment was "on too small a scale to allow accurate assessments to be made". (The true test of his "armoured idea" would have to wait for the Second World War.) However, the Luftwaffe also provided volunteers to Spain to test both tactics and aircraft in combat, including the first combat use of the Stuka. During the war, the Condor Legion undertook the 1937 bombing of Guernica, which had a tremendous psychological effect on the populations of Europe. The results were exaggerated, and the Western Allies concluded that the "city-busting" techniques were now a part of the German way in war. The targets of the German aircraft were actually the rail lines and bridges. But lacking the ability to hit them with accuracy (only three or four Ju 87s saw action in Spain), the Luftwaffe chose a method of carpet bombing, resulting in heavy civilian casualties. Poland, 1939 Although journalists popularised the term blitzkrieg during the September 1939 invasion of Poland, historians Matthew Cooper and J. P. Harris have written that German operations during this campaign were consistent with traditional methods. The Wehrmacht strategy was more in line with Vernichtungsgedanke - a focus on envelopment to create pockets in broad-front annihilation. The German generals dispersed Panzer forces among the three German concentrations with little emphasis on independent use; they deployed tanks to create or destroy close pockets of Polish forces and to seize operational-depth terrain in support of the largely un-motorized infantry which followed. While the Wehrmacht used available models of tanks, Stuka dive-bombers and concentrated forces in the Polish campaign, the majority of the fighting involved conventional infantry and artillery warfare, and most Luftwaffe action was independent of the ground campaign. Matthew Cooper wrote that John Ellis wrote that "…there is considerable justice in Matthew Cooper's assertion that the panzer divisions were not given the kind of strategic mission that was to characterize authentic armoured blitzkrieg, and were almost always closely subordinated to the various mass infantry armies". Steven Zaloga wrote, "Whilst Western accounts of the September campaign have stressed the shock value of the panzer and Stuka attacks, they have tended to underestimate the punishing effect of German artillery on Polish units. Mobile and available in significant quantity, artillery shattered as many units as any other branch of the Wehrmacht." Low Countries and France, 1940 The German invasion of France, with subsidiary attacks on Belgium and the Netherlands, consisted of two phases, Operation Yellow (Fall Gelb) and Operation Red (Fall Rot). Yellow opened with a feint conducted against the Netherlands and Belgium by two armoured corps and paratroopers. Most of the German armoured forces were placed in Panzer Group Kleist, which attacked through the Ardennes, a lightly-defended sector that the French planned to reinforce if need be, before the Germans could bring up heavy and siege artillery. There was no time for the French to send such reinforcement, for the Germans did not wait for siege artillery but reached the Meuse and achieved a breakthrough at the Battle of Sedan in three days. Panzer Group Kleist raced to the English Channel, reaching the coast at Abbeville, and cut off the BEF, the Belgian Army and some of the best-equipped divisions of the French Army in northern France. Armoured and motorised units under Guderian, Rommel and others, advanced far beyond the marching and horse-drawn infantry divisions and far in excess of what Hitler and the German high command expected or wished. When the Allies counter-attacked at Arras using the heavily-armoured British Matilda I and Matilda II tanks, a brief panic ensued in the German High Command. Hitler halted his armoured and motorised forces outside the port of Dunkirk, which the Royal Navy had started using to evacuate the Allied forces. Hermann Göring promised that the Luftwaffe would complete the destruction of the encircled armies, but aerial operations failed to prevent the evacuation of the majority of the Allied troops. In Operation Dynamo some French and British troops escaped. Case Yellow surprised everyone, overcoming the Allies' 4,000 armoured vehicles, many of which were better than their German equivalents in armour and gun-power. The French and British frequently used their tanks in the dispersed role of infantry support rather than concentrating force at the point of attack, to create overwhelming firepower. The French armies were much reduced in strength and the confidence of their commanders shaken. With much of their own armour and heavy equipment lost in Northern France, they lacked the means to fight a mobile war. The Germans followed their initial success with Operation Red, a triple-pronged offensive. The XV Panzer Corps attacked towards Brest, XIV Panzer Corps attacked east of Paris, towards Lyon and the XIX Panzer Corps encircled the Maginot Line. The French, hard pressed to organise any sort of counter-attack, were continually ordered to form new defensive lines and found that German forces had already by-passed them and moved on. An armoured counter-attack organised by Colonel de Gaulle could not be sustained, and he had to retreat. Prior to the German offensive in May, Winston Churchill had said "Thank God for the French Army". That same French army collapsed after barely two months of fighting. This was in shocking contrast to the four years of trench warfare which French forces had engaged in during the First World War. The French president of the Ministerial Council, Reynaud, analysed the collapse in a speech on 21 May 1940: The Germans had not used paratroop attacks in France and only made one big drop in the Netherlands, to capture three bridges; some small glider-landings were conducted in Belgium to take bottle-necks on routes of advance before the arrival of the main force (the most renowned being the landing on Fort Eben-Emael in Belgium). Eastern Front, 1941–44 Use of armoured forces was crucial for both sides on the Eastern Front. Operation Barbarossa, the German invasion of the Soviet Union in June 1941, involved a number of breakthroughs and encirclements by motorised forces. Its goal - according to Führer Directive 21 (18 December 1940) - was "to destroy the Russian forces deployed in the West and to prevent their escape into the wide-open spaces of Russia". The Red Army was to be destroyed west of the Dvina and Dnieper rivers, which were about east of the Soviet border, to be followed by a mopping-up operation. The surprise attack resulted in the near annihilation of the Voyenno-Vozdushnye Sily (VVS, Soviet Air Force) by simultaneous attacks on airfields, allowing the Luftwaffe to achieve total air supremacy over all the battlefields within the first week. On the ground, four German panzer groups outflanked and encircled disorganised Red Army units, while the marching infantry completed the encirclements and defeated the trapped forces. In late July, after 2nd Panzer Group (commanded by Guderian) captured the watersheds of the Dvina and Dnieper rivers near Smolensk, the panzers had to defend the encirclement, because the marching infantry divisions remained hundreds of kilometres to the west. The Germans conquered large areas of the Soviet Union, but their failure to destroy the Red Army before the winter of 1941-1942 was a strategic failure that made German tactical superiority and territorial gains irrelevant. The Red Army had survived enormous losses and regrouped with new formations far to the rear of the front line. During the Battle of Moscow (October 1941 to January 1942), the Red Army defeated the German Army Group Center and for the first time in the war seized the strategic initiative. In the summer of 1942, Germany launched another offensive, this time focusing on Stalingrad and the Caucasus in the southern USSR. The Soviets again lost tremendous amounts of territory, only to counter-attack once more during winter. German gains were ultimately limited because Hitler diverte forces from the attack on Stalingrad and drove towards the Caucasus oilfields simultaneously. The Wehrmacht became overstretched: although winning operationally, it could not inflict a decisive defeat as the durability of the Soviet Union's manpower, resources, industrial base and aid from the Western Allies began to take effect. In July 1943 the Wehrmacht conducted Operation Zitadelle (Citadel) against a salient at Kursk which Soviet troop heavily defended. Soviet defensive tactics had by now hugely improved, particularly in the use of artillery and air support. By April 1943, the Stavka had learned of German intentions through intelligence supplied by front-line reconnaissance and Ultra intercepts. In the following months, the Red Army constructed deep defensive belts along the paths of the planned German attack. The Soviets made a concerted effort to disguise their knowledge of German plans and the extent of their own defensive preparations, and the German commanders still hoped to achieve operational surprise when the attack commenced. The Germans did not achieve surprise and were not able to outflank or break through into enemy rear-areas during the operation. Several historians assert that Operation Citadel was planned and intended to be a blitzkrieg operation. Many of the German participants who wrote about the operation after the war, including Manstein, make no mention of blitzkrieg in their accounts. In 2000, Niklas Zetterling and Anders Frankson characterised only the southern pincer of the German offensive as a "classical blitzkrieg attack". Pier Battistelli wrote that the operational planning marked a change in German offensive thinking away from blitzkrieg and that more priority was given to brute force and fire power than to speed and manoeuvre. In 1995, David Glantz stated that for the first time, blitzkrieg was defeated in summer and the opposing Soviet forces were able to mount a successful counter-offensive. The Battle of Kursk ended with two Soviet counter-offensives and the revival of deep operations. In the summer of 1944, the Red Army destroyed Army Group Centre in Operation Bagration, using combined-arms tactics for armour, infantry and air power in a coordinated strategic assault, known as deep operations, which led to an advance of in six weeks. Western Front, 1944–45 Allied armies began using combined-arms formations and deep-penetration strategies that Germany had used in the opening years of the war. Many Allied operations in the Western Desert and on the Eastern Front, relied on firepower to establish breakthroughs by fast-moving armoured units. These artillery-based tactics were also decisive in Western Front operations after 1944's Operation Overlord, and the British Commonwealth and American armies developed flexible and powerful systems for using artillery support. What the Soviets lacked in flexibility, they made up for in number of rocket launchers, guns and mortars. The Germans never achieved the kind of fire concentrations their enemies were capable of by 1944. After the Allied landings in Normandy (June 1944), the Germans began a counter-offensive to overwhelm the landing force with armoured attacks - but these failed due to a lack of co-ordination and to Allied superiority in anti-tank defence and in the air. The most notable attempt to use deep-penetration operations in Normandy was Operation Luttich at Mortain, which only hastened the Falaise Pocket and the destruction of German forces in Normandy. The Mortain counter-attack was defeated by the US 12th Army Group with little effect on its own offensive operations. The last German offensive on the Western front, the Battle of the Bulge (Operation Wacht am Rhein), was an offensive launched towards the port of Antwerp in December 1944. Launched in poor weather against a thinly-held Allied sector, it achieved surprise and initial success as Allied air-power was grounded due to cloud cover. Determined defence by US troops in places throughout the Ardennes, the lack of good roads and German supply shortages caused delays. Allied forces deployed to the flanks of the German penetration and as soon as the skies cleared, Allied aircraft returned to the battlefield. Allied counter-attacks soon forced back the Germans, who abandoned much equipment for lack of fuel. Post-war controversy Blitzkrieg had been called a Revolution in Military Affairs (RMA) but many writers and historians have concluded that the Germans did not invent a new form of warfare but applied new technologies to traditional ideas of Bewegungskrieg (manoeuvre warfare) to achieve decisive victory. Strategy In 1965, Captain Robert O'Neill, Professor of the History of War at the University of Oxford produced an example of the popular view. In Doctrine and Training in the German Army 1919–1939, O'Neill wrote Other historians wrote that blitzkrieg was an operational doctrine of the German armed forces and a strategic concept on which the leadership of Nazi Germany based its strategic and economic planning. Military planners and bureaucrats in the war economy appear rarely, if ever, to have employed the term blitzkrieg in official documents. That the German army had a "blitzkrieg doctrine" was rejected in the late 1970s by Matthew Cooper. The concept of a blitzkrieg Luftwaffe was challenged by Richard Overy in the late 1970s and by Williamson Murray in the mid-1980s. That Nazi Germany went to war on the basis of "blitzkrieg economics" was criticised by Richard Overy in the 1980s and George Raudzens described the contradictory senses in which historians have used the word. The notion of a German blitzkrieg concept or doctrine survives in popular history and many historians still support the thesis. Frieser wrote that after the failure of the Schlieffen Plan in 1914, the German army concluded that decisive battles were no longer possible in the changed conditions of the twentieth century. Frieser wrote that the Oberkommando der Wehrmacht (OKW), which was created in 1938 had intended to avoid the decisive battle concepts of its predecessors and planned for a long war of exhaustion (ermattungskrieg). It was only after the improvised plan for the Battle of France in 1940 was unexpectedly successful, that the German General Staff came to believe that vernichtungskrieg was still feasible. German thinking reverted to the possibility of a quick and decisive war for the Balkan campaign and Operation Barbarossa. Doctrine Most academic historians regard the notion of blitzkrieg as military doctrine to be a myth. Shimon Naveh wrote "The striking feature of the blitzkrieg concept is the complete absence of a coherent theory which should have served as the general cognitive basis for the actual conduct of operations". Naveh described it as an "ad hoc solution" to operational dangers, thrown together at the last moment. Overy disagreed with the idea that Hitler and the Nazi regime ever intended a blitzkrieg war, because the once popular belief that the Nazi state organised their economy to carry out its grand strategy in short campaigns was false. Hitler had intended for a rapid unlimited war to occur much later than 1939, but Germany's aggressive foreign policy forced the Nazi state into war before it was ready. Hitler and the Wehrmacht's planning in the 1930s did not reflect a blitzkrieg method but the opposite. John Harris wrote that the Wehrmacht never used the word, and it did not appear in German army or air force field manuals; the word was coined in September 1939, by a Times newspaper reporter. Harris also found no evidence that German military thinking developed a blitzkrieg mentality. Karl-Heinz Frieser and Adam Tooze reached similar conclusions to Overy and Naveh, that the notions of blitzkrieg-economy and strategy were myths. Frieser wrote that surviving German economists and General Staff officers denied that Germany went to war with a blitzkrieg strategy. Robert M. Citino argues: Historian Victor Davis Hanson states that Blitzkrieg "played on the myth of German technological superiority and industrial dominance," adding that German successes, particularly that of its Panzer divisions were "instead predicated on the poor preparation and morale of Germany's enemies." Hanson also reports that at a Munich public address in November 1941, Hitler had "disowned" the concept of Blitzkrieg by calling it an "idiotic word." Further, successful Blitzkrieg operations were predicated on superior numbers, air-support, and were only possible for short periods of time without sufficient supply lines. For all intents and purposes, Blitzkrieg ended at the Eastern Front once the German forces gave up Stalingrad, after they faced hundreds of new T-34 tanks, when the Luftwaffe became unable to assure air dominance, and following the stalemate at Kursk—to this end, Hanson concludes that German military success was not accompanied by the adequate provisioning of its troops with food and materiel far from the source of supply, which contributed to its ultimate failures. Despite its later disappointments as German troops extended their lines at too great a distance, the very specter of armoured Blitzkrieg forces initially proved victorious against Polish, Dutch, Belgian, and French armies early in the war. Economics In the 1960s, Alan Milward developed a theory of blitzkrieg economics, that Germany could not fight a long war and chose to avoid comprehensive rearmament and armed in breadth, to win quick victories. Milward described an economy positioned between a full war economy and a peacetime economy. The purpose of the blitzkrieg economy was to allow the German people to enjoy high living standards in the event of hostilities and avoid the economic hardships of the First World War. Overy wrote that blitzkrieg as a "coherent military and economic concept has proven a difficult strategy to defend in light of the evidence". Milward's theory was contrary to Hitler's and German planners' intentions. The Germans, aware of the errors of the First World War, rejected the concept of organising its economy to fight only a short war. Therefore, focus was given to the development of armament in depth for a long war, instead of armament in breadth for a short war. Hitler claimed that relying on surprise alone was "criminal" and that "we have to prepare for a long war along with surprise attack". During the winter of 1939–40, Hitler demobilised many troops from the army to return as skilled workers to factories because the war would be decided by production, not a quick "Panzer operation". In the 1930s, Hitler had ordered rearmament programs that cannot be considered limited. In November 1937 Hitler had indicated that most of the armament projects would be completed by 1943–45. The rearmament of the Kriegsmarine was to have been completed in 1949 and the Luftwaffe rearmament program was to have matured in 1942, with a force capable of strategic bombing with heavy bombers. The construction and training of motorised forces and a full mobilisation of the rail networks would not begin until 1943 and 1944 respectively. Hitler needed to avoid war until these projects were complete but his misjudgements in 1939 forced Germany into war before rearmament was complete. After the war, Albert Speer claimed that the German economy achieved greater armaments output, not because of diversions of capacity from civilian to military industry but through streamlining of the economy. Richard Overy pointed out some 23 percent of German output was military by 1939. Between 1937 and 1939, 70 percent of investment capital went into the rubber, synthetic fuel, aircraft and shipbuilding industries. Hermann Göring had consistently stated that the task of the Four Year Plan was to rearm Germany for total war. Hitler's correspondence with his economists also reveals that his intent was to wage war in 1943–1945, when the resources of central Europe had been absorbed into Nazi Germany. Living standards were not high in the late 1930s. Consumption of consumer goods had fallen from 71 percent in 1928 to 59 percent in 1938. The demands of the war economy reduced the amount of spending in non-military sectors to satisfy the demand for the armed forces. On 9 September, Göring as Head of the Reich Defence Council, called for complete "employment" of living and fighting power of the national economy for the duration of the war. Overy presents this as evidence that a "blitzkrieg economy" did not exist. Adam Tooze wrote that the German economy was being prepared for a long war. The expenditure for this war was extensive and put the economy under severe strain. The German leadership were concerned less with how to balance the civilian economy and the needs of civilian consumption but to figure out how to best prepare the economy for total war. Once war had begun, Hitler urged his economic experts to abandon caution and expend all available resources on the war effort but the expansion plans only gradually gained momentum in 1941. Tooze wrote that the huge armament plans in the pre-war period did not indicate any clear-sighted blitzkrieg economy or strategy. Heer Frieser wrote that the () was not ready for blitzkrieg at the start of the war. A blitzkrieg method called for a young, highly skilled mechanised army. In 1939–40, 45 percent of the army was 40 years old and 50 percent of the soldiers had only a few weeks' training. The German army, contrary to the blitzkrieg legend, was not fully motorised and had only 120,000 vehicles, compared to the 300,000 of the French Army. The British also had an "enviable" contingent of motorised forces. Thus, "the image of the German 'Blitzkrieg' army is a figment of propaganda imagination". During the First World War the German army used 1.4 million horses for transport and in the Second World War used 2.7 million horses; only ten percent of the army was motorised in 1940. Half of the German divisions available in 1940 were combat ready but less well-equipped than the British and French or the Imperial German Army of 1914. In the spring of 1940, the German army was semi-modern, in which a small number of well-equipped and "elite" divisions were offset by many second and third rate divisions". In 2003, John Mosier wrote that while the French soldiers in 1940 were better trained than German soldiers, as were the Americans later and that the German army was the least mechanised of the major armies, its leadership cadres were larger and better and that the high standard of leadership was the main reason for the successes of the German army in World War II, as it had been in World War I. Luftwaffe James Corum wrote that it was a myth that the Luftwaffe had a doctrine of terror bombing, in which civilians were attacked to break the will or aid the collapse of an enemy, by the Luftwaffe in Blitzkrieg operations. After the bombing of Guernica in 1937 and the Rotterdam Blitz in 1940, it was commonly assumed that terror bombing was a part of Luftwaffe doctrine. During the interwar period the Luftwaffe leadership rejected the concept of terror bombing in favour of battlefield support and interdiction operations. Corum continues: General Walther Wever compiled a doctrine known as The Conduct of the Aerial War. This document, which the Luftwaffe adopted, rejected Giulio Douhet's theory of terror bombing. Terror bombing was deemed to be "counter-productive", increasing rather than destroying the enemy's will to resist. Such bombing campaigns were regarded as diversion from the Luftwaffe's main operations; destruction of the enemy armed forces. The bombings of Guernica, Rotterdam and Warsaw were tactical missions in support of military operations and were not intended as strategic terror attacks. J. P. Harris wrote that most Luftwaffe leaders from Goering through the general staff believed (as did their counterparts in Britain and the United States) that strategic bombing was the chief mission of the air force and that given such a role, the Luftwaffe would win the next war and that The Luftwaffe did end up with an air force consisting mainly of relatively short-range aircraft, but this does not prove that the German air force was solely interested in 'tactical' bombing. It happened because the German aircraft industry lacked the experience to build a long-range bomber fleet quickly, and because Hitler was insistent on the very rapid creation of a numerically large force. It is also significant that Germany's position in the centre of Europe to a large extent obviated the need to make a clear distinction between bombers suitable only for 'tactical' and those necessary for strategic purposes in the early stages of a likely future war. Fuller and Liddell Hart British theorists John Frederick Charles Fuller and Captain Basil Henry Liddell Hart have often been associated with the development of blitzkrieg, though this is a matter of controversy. In recent years historians have uncovered that Liddell Hart distorted and falsified facts to make it appear as if his ideas were adopted. After the war Liddell Hart imposed his own perceptions, after the event, claiming that the mobile tank warfare practised by the Wehrmacht was a result of his influence. By manipulation and contrivance, Liddell Hart distorted the actual circumstances of the blitzkrieg formation, and he obscured its origins. Through his indoctrinated idealisation of an ostentatious concept, he reinforced the myth of blitzkrieg. By imposing, retrospectively, his own perceptions of mobile warfare upon the shallow concept of blitzkrieg, he "created a theoretical imbroglio that has taken 40 years to unravel." Blitzkrieg was not an official doctrine and historians in recent times have come to the conclusion that it did not exist as such. The early 1950s literature transformed blitzkrieg into a historical military doctrine, which carried the signature of Liddell Hart and Guderian. The main evidence of Liddell Hart's deceit and "tendentious" report of history can be found in his letters to Erich von Manstein, Heinz Guderian and the relatives and associates of Erwin Rommel. Liddell Hart, in letters to Guderian, "imposed his own fabricated version of blitzkrieg on the latter and compelled him to proclaim it as original formula". Kenneth Macksey found Liddell Hart's original letters to Guderian in the General's papers, requesting that Guderian | at times. This may have been a reason for Hitler to call a halt to the German advance. Those attacks combined with Maxime Weygand's Hedgehog tactic would become the major basis for responding to blitzkrieg attacks in the future: deployment in depth, permitting enemy or "shoulders" of a penetration was essential to channelling the enemy attack, and artillery, properly employed at the shoulders, could take a heavy toll of attackers. While Allied forces in 1940 lacked the experience to successfully develop these strategies, resulting in France's capitulation with heavy losses, they characterised later Allied operations. At the Battle of Kursk the Red Army employed a combination of defence in great depth, extensive minefields, and tenacious defence of breakthrough shoulders. In this way they depleted German combat power even as German forces advanced. The reverse can be seen in the Russian summer offensive of 1944, Operation Bagration, which resulted in the destruction of Army Group Center. German attempts to weather the storm and fight out of encirclements failed due to the Russian ability to continue to feed armoured units into the attack, maintaining the mobility and strength of the offensive, arriving in force deep in the rear areas, faster than the Germans could regroup. Logistics Although effective in quick campaigns against Poland and France, mobile operations could not be sustained by Germany in later years. Strategies based on manoeuvre have the inherent danger of the attacking force overextending its supply lines, and can be defeated by a determined foe who is willing and able to sacrifice territory for time in which to regroup and rearm, as the Soviets did on the Eastern Front (as opposed to, for example, the Dutch who had no territory to sacrifice). Tank and vehicle production was a constant problem for Germany; indeed, late in the war many panzer "divisions" had no more than a few dozen tanks. As the end of the war approached, Germany also experienced critical shortages in fuel and ammunition stocks as a result of Anglo-American strategic bombing and blockade. Although production of Luftwaffe fighter aircraft continued, they would be unable to fly for lack of fuel. What fuel there was went to panzer divisions, and even then they were not able to operate normally. Of those Tiger tanks lost against the United States Army, nearly half of them were abandoned for lack of fuel. Military operations Spanish Civil War German volunteers first used armour in live field-conditions during the Spanish Civil War of 1936-1939. Armour commitment consisted of Panzer Battalion 88, a force built around three companies of Panzer I tanks that functioned as a training cadre for Spain's Nationalists. The Luftwaffe deployed squadrons of fighters, dive-bombers and transport aircraft as the Condor Legion. Guderian said that the tank deployment was "on too small a scale to allow accurate assessments to be made". (The true test of his "armoured idea" would have to wait for the Second World War.) However, the Luftwaffe also provided volunteers to Spain to test both tactics and aircraft in combat, including the first combat use of the Stuka. During the war, the Condor Legion undertook the 1937 bombing of Guernica, which had a tremendous psychological effect on the populations of Europe. The results were exaggerated, and the Western Allies concluded that the "city-busting" techniques were now a part of the German way in war. The targets of the German aircraft were actually the rail lines and bridges. But lacking the ability to hit them with accuracy (only three or four Ju 87s saw action in Spain), the Luftwaffe chose a method of carpet bombing, resulting in heavy civilian casualties. Poland, 1939 Although journalists popularised the term blitzkrieg during the September 1939 invasion of Poland, historians Matthew Cooper and J. P. Harris have written that German operations during this campaign were consistent with traditional methods. The Wehrmacht strategy was more in line with Vernichtungsgedanke - a focus on envelopment to create pockets in broad-front annihilation. The German generals dispersed Panzer forces among the three German concentrations with little emphasis on independent use; they deployed tanks to create or destroy close pockets of Polish forces and to seize operational-depth terrain in support of the largely un-motorized infantry which followed. While the Wehrmacht used available models of tanks, Stuka dive-bombers and concentrated forces in the Polish campaign, the majority of the fighting involved conventional infantry and artillery warfare, and most Luftwaffe action was independent of the ground campaign. Matthew Cooper wrote that John Ellis wrote that "…there is considerable justice in Matthew Cooper's assertion that the panzer divisions were not given the kind of strategic mission that was to characterize authentic armoured blitzkrieg, and were almost always closely subordinated to the various mass infantry armies". Steven Zaloga wrote, "Whilst Western accounts of the September campaign have stressed the shock value of the panzer and Stuka attacks, they have tended to underestimate the punishing effect of German artillery on Polish units. Mobile and available in significant quantity, artillery shattered as many units as any other branch of the Wehrmacht." Low Countries and France, 1940 The German invasion of France, with subsidiary attacks on Belgium and the Netherlands, consisted of two phases, Operation Yellow (Fall Gelb) and Operation Red (Fall Rot). Yellow opened with a feint conducted against the Netherlands and Belgium by two armoured corps and paratroopers. Most of the German armoured forces were placed in Panzer Group Kleist, which attacked through the Ardennes, a lightly-defended sector that the French planned to reinforce if need be, before the Germans could bring up heavy and siege artillery. There was no time for the French to send such reinforcement, for the Germans did not wait for siege artillery but reached the Meuse and achieved a breakthrough at the Battle of Sedan in three days. Panzer Group Kleist raced to the English Channel, reaching the coast at Abbeville, and cut off the BEF, the Belgian Army and some of the best-equipped divisions of the French Army in northern France. Armoured and motorised units under Guderian, Rommel and others, advanced far beyond the marching and horse-drawn infantry divisions and far in excess of what Hitler and the German high command expected or wished. When the Allies counter-attacked at Arras using the heavily-armoured British Matilda I and Matilda II tanks, a brief panic ensued in the German High Command. Hitler halted his armoured and motorised forces outside the port of Dunkirk, which the Royal Navy had started using to evacuate the Allied forces. Hermann Göring promised that the Luftwaffe would complete the destruction of the encircled armies, but aerial operations failed to prevent the evacuation of the majority of the Allied troops. In Operation Dynamo some French and British troops escaped. Case Yellow surprised everyone, overcoming the Allies' 4,000 armoured vehicles, many of which were better than their German equivalents in armour and gun-power. The French and British frequently used their tanks in the dispersed role of infantry support rather than concentrating force at the point of attack, to create overwhelming firepower. The French armies were much reduced in strength and the confidence of their commanders shaken. With much of their own armour and heavy equipment lost in Northern France, they lacked the means to fight a mobile war. The Germans followed their initial success with Operation Red, a triple-pronged offensive. The XV Panzer Corps attacked towards Brest, XIV Panzer Corps attacked east of Paris, towards Lyon and the XIX Panzer Corps encircled the Maginot Line. The French, hard pressed to organise any sort of counter-attack, were continually ordered to form new defensive lines and found that German forces had already by-passed them and moved on. An armoured counter-attack organised by Colonel de Gaulle could not be sustained, and he had to retreat. Prior to the German offensive in May, Winston Churchill had said "Thank God for the French Army". That same French army collapsed after barely two months of fighting. This was in shocking contrast to the four years of trench warfare which French forces had engaged in during the First World War. The French president of the Ministerial Council, Reynaud, analysed the collapse in a speech on 21 May 1940: The Germans had not used paratroop attacks in France and only made one big drop in the Netherlands, to capture three bridges; some small glider-landings were conducted in Belgium to take bottle-necks on routes of advance before the arrival of the main force (the most renowned being the landing on Fort Eben-Emael in Belgium). Eastern Front, 1941–44 Use of armoured forces was crucial for both sides on the Eastern Front. Operation Barbarossa, the German invasion of the Soviet Union in June 1941, involved a number of breakthroughs and encirclements by motorised forces. Its goal - according to Führer Directive 21 (18 December 1940) - was "to destroy the Russian forces deployed in the West and to prevent their escape into the wide-open spaces of Russia". The Red Army was to be destroyed west of the Dvina and Dnieper rivers, which were about east of the Soviet border, to be followed by a mopping-up operation. The surprise attack resulted in the near annihilation of the Voyenno-Vozdushnye Sily (VVS, Soviet Air Force) by simultaneous attacks on airfields, allowing the Luftwaffe to achieve total air supremacy over all the battlefields within the first week. On the ground, four German panzer groups outflanked and encircled disorganised Red Army units, while the marching infantry completed the encirclements and defeated the trapped forces. In late July, after 2nd Panzer Group (commanded by Guderian) captured the watersheds of the Dvina and Dnieper rivers near Smolensk, the panzers had to defend the encirclement, because the marching infantry divisions remained hundreds of kilometres to the west. The Germans conquered large areas of the Soviet Union, but their failure to destroy the Red Army before the winter of 1941-1942 was a strategic failure that made German tactical superiority and territorial gains irrelevant. The Red Army had survived enormous losses and regrouped with new formations far to the rear of the front line. During the Battle of Moscow (October 1941 to January 1942), the Red Army defeated the German Army Group Center and for the first time in the war seized the strategic initiative. In the summer of 1942, Germany launched another offensive, this time focusing on Stalingrad and the Caucasus in the southern USSR. The Soviets again lost tremendous amounts of territory, only to counter-attack once more during winter. German gains were ultimately limited because Hitler diverte forces from the attack on Stalingrad and drove towards the Caucasus oilfields simultaneously. The Wehrmacht became overstretched: although winning operationally, it could not inflict a decisive defeat as the durability of the Soviet Union's manpower, resources, industrial base and aid from the Western Allies began to take effect. In July 1943 the Wehrmacht conducted Operation Zitadelle (Citadel) against a salient at Kursk which Soviet troop heavily defended. Soviet defensive tactics had by now hugely improved, particularly in the use of artillery and air support. By April 1943, the Stavka had learned of German intentions through intelligence supplied by front-line reconnaissance and Ultra intercepts. In the following months, the Red Army constructed deep defensive belts along the paths of the planned German attack. The Soviets made a concerted effort to disguise their knowledge of German plans and the extent of their own defensive preparations, and the German commanders still hoped to achieve operational surprise when the attack commenced. The Germans did not achieve surprise and were not able to outflank or break through into enemy rear-areas during the operation. Several historians assert that Operation Citadel was planned and intended to be a blitzkrieg operation. Many of the German participants who wrote about the operation after the war, including Manstein, make no mention of blitzkrieg in their accounts. In 2000, Niklas Zetterling and Anders Frankson characterised only the southern pincer of the German offensive as a "classical blitzkrieg attack". Pier Battistelli wrote that the operational planning marked a change in German offensive thinking away from blitzkrieg and that more priority was given to brute force and fire power than to speed and manoeuvre. In 1995, David Glantz stated that for the first time, blitzkrieg was defeated in summer and the opposing Soviet forces were able to mount a successful counter-offensive. The Battle of Kursk ended with two Soviet counter-offensives and the revival of deep operations. In the summer of 1944, the Red Army destroyed Army Group Centre in Operation Bagration, using combined-arms tactics for armour, infantry and air power in a coordinated strategic assault, known as deep operations, which led to an advance of in six weeks. Western Front, 1944–45 Allied armies began using combined-arms formations and deep-penetration strategies that Germany had used in the opening years of the war. Many Allied operations in the Western Desert and on the Eastern Front, relied on firepower to establish breakthroughs by fast-moving armoured units. These artillery-based tactics were also decisive in Western Front operations after 1944's Operation Overlord, and the British Commonwealth and American armies developed flexible and powerful systems for using artillery support. What the Soviets lacked in flexibility, they made up for in number of rocket launchers, guns and mortars. The Germans never achieved the kind of fire concentrations their enemies were capable of by 1944. After the Allied landings in Normandy (June 1944), the Germans began a counter-offensive to overwhelm the landing force with armoured attacks - but these failed due to a lack of co-ordination and to Allied superiority in anti-tank defence and in the air. The most notable attempt to use deep-penetration operations in Normandy was Operation Luttich at Mortain, which only hastened the Falaise Pocket and the destruction of German forces in Normandy. The Mortain counter-attack was defeated by the US 12th Army Group with little effect on its own offensive operations. The last German offensive on the Western front, the Battle of the Bulge (Operation Wacht am Rhein), was an offensive launched towards the port of Antwerp in December 1944. Launched in poor weather against a thinly-held Allied sector, it achieved surprise and initial success as Allied air-power was grounded due to cloud cover. Determined defence by US troops in places throughout the Ardennes, the lack of good roads and German supply shortages caused delays. Allied forces deployed to the flanks of the German penetration and as soon as the skies cleared, Allied aircraft returned to the battlefield. Allied counter-attacks soon forced back the Germans, who abandoned much equipment for lack of fuel. Post-war controversy Blitzkrieg had been called a Revolution in Military Affairs (RMA) but many writers and historians have concluded that the Germans did not invent a new form of warfare but applied new technologies to traditional ideas of Bewegungskrieg (manoeuvre warfare) to achieve decisive victory. Strategy In 1965, Captain Robert O'Neill, Professor of the History of War at the University of Oxford produced an example of the popular view. In Doctrine and Training in the German Army 1919–1939, O'Neill wrote Other historians wrote that blitzkrieg was an operational doctrine of the German armed forces and a strategic concept on which the leadership of Nazi Germany based its strategic and economic planning. Military planners and bureaucrats in the war economy appear rarely, if ever, to have employed the term blitzkrieg in official documents. That the German army had a "blitzkrieg doctrine" was rejected in the late 1970s by Matthew Cooper. The concept of a blitzkrieg Luftwaffe was challenged by Richard Overy in the late 1970s and by Williamson Murray in the mid-1980s. That Nazi Germany went to war on the basis of "blitzkrieg economics" was criticised by Richard Overy in the 1980s and George Raudzens described the contradictory senses in which historians have used the word. The notion of a German blitzkrieg concept or doctrine survives in popular history and many historians still support the thesis. Frieser wrote that after the failure of the Schlieffen Plan in 1914, the German army concluded that decisive battles were no longer possible in the changed conditions of the twentieth century. Frieser wrote that the Oberkommando der Wehrmacht (OKW), |
a record number of uncredited reprints, with the likes of Ivy the Terrible, Calamity James, Les Pretend also being reprinted. The second happened on 27 October 2007. The logo was still grooved, but was now back to the rounded style which it had from 1999 to 2006. It was quite similar to the original rounded logo from 1998, which was flattened the following year. The number of reprint pages was cut from 4 to 2, but more started to appear after about a month. Two new strips were also added, Johnny Bean from Happy Bunny Green and London B412. The price increased to 99p across the whole UK. The third was the least major revamp. The background was changed from one colour behind the logo and another behind the Dennis strip to one single colour or a pattern, such as red and black stripes. New fonts were being used on the front cover, and the "Pocket money price" logo had been changed to a large "WOW! 99p" which was usually placed in the top corners. No new strips were added this time, but the amount of reprints went up to 5, sometimes lowering back to 4 per week, and an extra Dennis strip was added on the inside back two pages. The fourth revamp, which happened with the issue dated 18 October 2008, is the most major revamp to date. There was a return of Billy the Cat inside, as well as a new Super School strip by Lew Stringer. The price rose to £1.25 per issue. Different characters appear on the 'O' each week in a cleaner and tidier embossed logo. New headline fonts were introduced (CCZoinks); the balloon font was also changed to Cloudsplitter by Blambot. But the main change was the paper style, which had finally changed from newsprint to a glossy paper, much in the style of the inside pages of the then companion papers Dandy Xtreme and BeanoMAX. The only difference between these paper styles is the front cover, which was thicker on the Dandy Xtreme and BeanoMAX, but the same as the pages throughout in the weekly Beano. As of late 2010, The Beano is printed by BGP and the comic is now in an A4 format. A mild revision of style accompanies this with balloon font changed to CCTimeSaleLower, an upper and lower case font and a much larger Beano logo on the cover. The font CCZoinks appears to have less prominence with CreativeBlockBold taking centre stage. The Beano Club was closed down in 2010 and its pages changed to Beano VIP with more online presence. The paper is still glossy, but the paper stock gives it a matte feel. At the start of 2011, the Beano VIP pages were dropped from the comic, but the online features remain. In the issue dated 12 October 2011, there was another revamp. The comic was expanded to 36 pages, and the paper stock was made smoother. The Number 13 and The Germs strips returned as reprints. A reader's page was also reintroduced, this time titled the Menace Gallery. After two appearances, this was renamed The Treehouse. In the issue dated 28 January 2012, The Beano cover changed. The logo was now more like the logo from 1972 to 1998, but with "The" inside the B much like later versions of the logo. The special "O"s that had appeared sometimes in the last year were also kept. The first panel of the Dennis & Gnasher strip also appeared on the cover, like from 1972 to 2008, but the "This Week in Beanotown" feature still appeared across the bottom. 2013 introduced puzzle pages, originally designed by Jamie Smart, Lew Stringer, Steve Beckett and Barrie Appleby. 75th anniversary; changes In the 75th Anniversary Special, The Beano had yet another revamp introducing celebrities as regular characters. As a result, all of the Funsize Funnies as well as the two new recently added comic strips Tricky Dicky and Big Time Charlie plus the reprinted Calamity James were all dropped. Bananaman came out of Geering reprints after being in them for over a year with Wayne Thompson reprising the role of artist after drawing him previously in The Dandy from 2010 to 2012. Roger the Dodger was taken over by Jamie Smart and Ball Boy was taken over by Alexander Matthews and completely relaunched. Nigel Auchterlounie also took over as scriptwriter of The Bash Street Kids and Bananaman, as well as now both writing and drawing The Numskulls which itself had had a huge relaunch with one-off celebrities replacing the role of Edd starting with Ant and Dec. 12-year-old artist Zoom Rockman also joined The Beano in this issue, drawing Skanky Pigeon which appeared monthly. In the issue after the 75th Anniversary Special, fourteen new comic strips joined The Beano with twelve of these becoming the new Funsize Funnies stories, all of which are parodies of either a celebrity or television show: High School Moozical, Neigh-Bours, Celebrity Believe It or Not, I Pity the School, Murs Attacks, Ashley's Banjo, Coronation Bleat, Jose's Back, Simon's Bowel, Guess Who?, Watch-Hog and Danny Diddly O'Donoghue as well as two new one-page stories to replace Tricky Dicky and Big Time Charlie: El Poco Loco and Teenage Mutant Ninja Turkeys. Stu Munro also took over as both puzzle page artist (as he did in The Dandy) and The Dandy's Madvertisements were brought back with Stu Munro once again drawing them. Since the 75th Anniversary Special revamp, The Beano has now gained Andy Fanton, from The Dandy and the original Beano artists that remain in the comic are David Sutherland, Laura Howell, Nigel Parkinson, Hunt Emerson and Barrie Appleby, as Barry Glennard and Dave Eastbury appear to have gone. Creators Chief Editor history As of 2020, there have been seven official chief editors: George Moonie (1938–1939, c. 1946–1959) Harold Cramond (1959–1984) Euan Kerr (1984–2006) Alan Digby (2006–2011) Michael Stirling (2011–2012) Craig Graham (2012–2016) John Anderson (2016–present) Temporary chief editors: Stuart Gilchrist (1939–c. 1946) stood in as editor when George Moonie joined the Navy for World War Two. Dick and Dom (2006) edited issue 3311 and chose their favourite strips from the available 2005 waiting list. Nick Park (2008) edited issue 3443 to celebrate Beano 70th anniversary. Harry Hill (published 6 March 2013) edited the 2013 Red Nose Day special. Andy Murray (28 June 2014) edited the Wimbledon special. David Walliams (2018) edited issue 3945 to celebrate the 80th anniversary. Joe Sugg (2021) edited issue 4077 for Dennis the Menace 70th anniversary. Notable artists Merchandise From the first issue, readers have received free gifts from The Beano: toy masks, sweets, posters, and toys. Originally, free gifts would be attached inside the cover or strategically on the front so that it could distract the buyer from other comics next to The Beano on the shelves, hopefully excited for the next issue after reading it and eating/playing with the toys. Gifts were intentionally sporadic, especially during the Christmas period when families' money would be saved for food and presents. Issue 90 would be the last issue with a gift (licorice "black eye") due to rationing, the next free gift being the Flying Snorter Balloon in issue 953. The most popular free gift was issue 2201's Gnasher Snapper, a prank toy that would make a bang sound when unfolded, and was re-gifted occasionally in later issues, as well as the 60th anniversary. During the 25th anniversary of Dennis the Menace, The Dennis the Menace Fan Club was formed. The fan club was instantly popular, recalls Euan Kerr in 1984; "The club enrolled over 2000 new members every week, well into the 90s[.]" Membership was 30p, and new members received a membership card full of classified communication tactics and two badges: a red one with Dennis' face on the front and a furry one of a googly-eyed Gnasher face—the latter was the most sought-after badge in the club's history. For two years, there was a tie-in agony aunt page called Dear Dennis (issue 1679–1767) where fan club members sent Dennis their problems that Dennis would reply to in the following issue; thousands of letters would arrive at DC Thomson per week and the authors of the messages would receive prizes. The club would be renamed The Beano Club, which ended in 2010, but had over 1.5 million members. A spin-off was introduced called Gnasher's Fang Club, and Gnasher would ask readers to send him stories about their pets' adventures which could be printed into the next issue. "The mailbag of little drawings of pets was several thousand per week," remembers sub-editor Morris Heggie. "And the popularity lasted and lasted." The 21st century celebrated anniversaries with more memorabilia. For The Beano 70th birthday, DC Thomson published The Beano Special Collectors Edition: 70 Years of Fun (2008), and The History of The Beano (2008) was published by Waverly Books, both documenting the magazine's history; two exhibitions at the University of Dundee (Happy Birthday, Beano!) and The Cartoon Museum (Beano and Dandy Birthday Bash!) showed the public private DC Thomson artwork and the history of the magazine. For 2018, readers could buy a box for the 80th anniversary containing posters, reprints of selected older issues, and two books updating the previous documentation of the magazine's history, as well as Minnie the Minx origins. Both anniversaries had tie-in museum exhibitions that also told their audiences the magazine's history. Limited-edition figurines from Robert Harrop were available to buy from their official website in late 2008. The 21st century also began Beano branching into different mediums: their first website, Beanotown.com, formed in 2000, and Chessington World of Adventures opened Beanoland in the same year. Both would later discontinue but Beanotown.com would be revamped as beano.com, a website full of games, Beano secrets and other activities for children. Gulliver's Travels opened the Beano 6 Super Ride in May 2021. The Beano was also the face of the United Kingdom's 2018 Summer Reading Challenge, called Mischief Makers, which included a special Dennis the Menace novel tie-in called Dennis the Menace and the Chamber of Mischief by Beano artist Nigel Auchterlounie. The Dennis the Menace Fan Club was re-launched as a phone app, rebranded as The Dennis and Gnasher Fan Club, and allowed readers free membership, printable badges, and pranks. On television, the Sky Kids show SO Beano! aired; a TV show with special guests, children presenters, and fun and games, in a similar style to Friday Download and Scrambled! Spin-off comics Comic libraries Since 1982 the comic, along with The Dandy, has also run "Comic Library" titles. Released monthly, these titles are a feature-length (usually about 64-page) adventure, featuring a character from the comic itself. They are available in A5 size only. In 1998, these were replaced by the Fun Size Beano. Fun Size Comics were discontinued in late 2010. Beano Specials The comic also ran A4-sized Beano Specials in 1987 with full coloured pages, which later were replaced by Beano Superstars which ran for 121 issues from 1992 to 2002. These were similar to the Comic Library series. Some of the last issues were printed versions of episodes from the 1996–1998 Dennis and Gnasher animated TV series. A Beano Poster Comic series was also printed in the early 1990s. The Beano Specials returned in 2003, and are now published seasonally. The issues were numbered, and the first one was a Dennis and Friends special, the last a Christmas reprint special. These were replaced by BeanoMAX in early 2007. BeanoMAX On 15 February 2007, the first issue of a monthly comic entitled BeanoMAX was published. The sister comic features many of the same characters; however, the stories in BeanoMAX are written in a longer format meant for 10- to 13-year-olds. The first issue was a Comic Relief special featuring assorted celebrity guests. The magazine has been rebranded several times since 2013, and is currently known as EPIC Magazine. Plug Plug was a comic based on the eponymous character from The Bash Street Kids that began with issue dated 24 September 1977, and is notable for being the first comic to make use of rotogravure printing. The magazine similar in style to I.P.C's Krazy which had started the previous year. It contained uncharacteristically outlandish material for D C. Thomson, as well as later including celebrity appearances in the comic. The comic revealed Plug's full name to be Percival Proudfoot Plugsley and also gave him a pet monkey by the name of Chumkee. Plug's strip was mostly drawn by Vic Neill but other artists, including Dave Gudgeon drew some later strips. Other strips included Antchester United, Violent Elizabeth, Eebagoom, Hugh's Zoo and D'ye Ken John Squeal and his Hopeless Hounds. The venture was unsuccessful, in part because the comic cost 9p, with the Beano at the time only costing 4p and most of its rivals priced similarly. It merged with The Beezer on 24 February 1979. Dennis and Gnasher The brand new Dennis and Gnasher was launched separately from The Beano in September 2009. It coincided with their new cartoon on CBBC of the same name. BeanOLD 44-page special issue 4062, with cover date 21 November 2020, during a lockdown in the COVID-19 pandemic had an eight-page adult pullout named BeanOLD, with cartoons poking fun at British politicians such as Boris Johnson and Dominic Cummings, and with appearances by Greta Thunberg, Captain Tom, and footballer Marcus Rashford. The slogan was "2020 has been tough. So tough that even grown-ups need Beano". Beano Studios In June 2016, DC Thomson launched Beano Studios, a spin-off media studio (based in both London and Dundee) with the intention of creating media appropriate for children and expanding The Beano franchise. Its introduction to the readers came in The Beano issue 3854 with a revamp of the cover's layout and the logo, removing "The" to make it coincide with the studio, and unveiling the website beano.com. Former chief-editor Michael Stirling (who stepped down in 2012) became head of the Dundee studio and the franchise's spokesman. Jodie Morris became Head of Digital Content, James Neal stood as Director of Content, Nigel Pickard joined as non-executive director and Emma Scott stood as CEO until 2020, succeeded by David Guppy. As well as expanding Beano franchise through games and merchandise, Beano.com also contains other activities and interests for children to enjoy, such as news about popular celebrities, and miscellaneous videos and articles. Neal described it as "a fun but trusted babysitter who lets the kids stay up a bit late". For parents who formerly read The Beano during childhood, Beano Studios invites them to also participate on their nostalgia, once sending a cease and desist letter to politician Jacob Rees-Mogg for copyright infringement against Walter the Softy. The website became a continuing success worldwide with over two million visitors per year, and is credited for increasing comic sales by 10% in 2018. A similar approach had been planned for years through the first website Beanotown.com, which DC Thomson hoped would attract an international audience to The Beano, especially the United States. The Guardian noted The Beano success in North America was plausible because of Chicken Run, Monty Python, and Benny Hill's American popularity. Soon after the launch announcement, Beano Studios revealed it had a new Dennis the Menace adaptation in production: a 52-episode 3D-animated cartoon for CBBC co-produced by Jellyfish Pictures and distributed by Jetpack. The new programme, Dennis & Gnasher: Unleashed!, aired on the CBBC Channel in November 2017 and became one of the most popular children's series on the channel. Jetpack sold the cartoon to over 90 territories worldwide in 2018 through television deals and streaming services, and it received an Emmy nomination for Best International Animated Program at the 2019 International Emmy Kids Awards. Chief Creative Officer Mark Talbot explained his plans to look to Hollywood for Beano branching, noting: "what's been interesting with the Americans, they don't have The Beano but what they see is the archive with over 2,000 characters and storylines sat in a warehouse in Dundee waiting to be reimagined by new writers and established writers[.]" In November 2020, Deadline reported Talbot was in the midst of pitching another adaptation of Dennis the Menace, rumoured to be about a reckless teenaged Dennis with a pilot script written by former Chilling Adventures of Sabrina writer Matthew Barry. Beano Studios and Lime Pictures announced a live-action Minnie the Minx children's programme in 2018 called The Magnificent Misadventures of Minnie, and Fox Entertainment announced a Bananaman cartoon, the second cartoon adapting the comic strip after the BBC adaptation from 1983. Reception and legacy The Beano was an instant success upon release, and became longest-running, weekly-issued comic of all time in 2018. Although interest in comic magazines dwindled, it survived surrounding setbacks. In the 1950s, it (and The Dandy) were unaffected by DC Thomson's magazine cancellations (selling over 100 million per year) that were caused by both paper rationing and public lack of interest. Alan Digby's attempt to boost sales with the 8-week "Missing Gnasher" plot in Dennis the Menace failed, but the story featured in newspapers and on radio broadcasts, causing people of all ages to contact Beano offices to voice their concerns. Roughly 31,000–41,000 copies are sold per week in the present day, but an estimated 2 billion Beano comic magazines have been sold in its lifetime. A 1997 television poll by the National Comics Awards selected it for the Best British Comic Ever award. Dennis the Menace would represent the comic when Royal Mail launched a special stamp collection in 2012, celebrating Britain's rich comic book history. The Dandy, Eagle, The Topper, Roy of the Rovers, Bunty, Buster, Valiant, Twinkle and 2000 AD were also featured. Like The Dandy, The Beano is a definitive part of British pop culture. "It's refreshing to see how the [zany] principles that made it such a hit all those years ago have remained to this day." writes Coventry Evening Telegraph. Beano annuals are the most popular Christmas annual sold, and old issues sell for thousands at auctions. Lord Snooty is often used as a pejorative in British politics. DC Thomson considers the 1950s Beano golden age possibly because of many commemorations based on the strips that first appeared from that decade: Dennis became the literal and metaphorical mascot of the magazine, his increasing popularity making him the last consistent cover star and his strips spawning three BBC animated adaptations; Minnie and the Bash Street Kids have a statue and a street named after the strip, respectively. The "anarchic" humour is credited as the key to the magazine's longevity, as well as its refusal to be condescending to its readers: "The Beano may have changed since the '30s but has always maintained its anti-authoritarian stance and steadfast refusal to treat children like idiots," theorised Morris Heggie. The magazine is cited as an inspiration to many readers. | behind the logo and another behind the Dennis strip to one single colour or a pattern, such as red and black stripes. New fonts were being used on the front cover, and the "Pocket money price" logo had been changed to a large "WOW! 99p" which was usually placed in the top corners. No new strips were added this time, but the amount of reprints went up to 5, sometimes lowering back to 4 per week, and an extra Dennis strip was added on the inside back two pages. The fourth revamp, which happened with the issue dated 18 October 2008, is the most major revamp to date. There was a return of Billy the Cat inside, as well as a new Super School strip by Lew Stringer. The price rose to £1.25 per issue. Different characters appear on the 'O' each week in a cleaner and tidier embossed logo. New headline fonts were introduced (CCZoinks); the balloon font was also changed to Cloudsplitter by Blambot. But the main change was the paper style, which had finally changed from newsprint to a glossy paper, much in the style of the inside pages of the then companion papers Dandy Xtreme and BeanoMAX. The only difference between these paper styles is the front cover, which was thicker on the Dandy Xtreme and BeanoMAX, but the same as the pages throughout in the weekly Beano. As of late 2010, The Beano is printed by BGP and the comic is now in an A4 format. A mild revision of style accompanies this with balloon font changed to CCTimeSaleLower, an upper and lower case font and a much larger Beano logo on the cover. The font CCZoinks appears to have less prominence with CreativeBlockBold taking centre stage. The Beano Club was closed down in 2010 and its pages changed to Beano VIP with more online presence. The paper is still glossy, but the paper stock gives it a matte feel. At the start of 2011, the Beano VIP pages were dropped from the comic, but the online features remain. In the issue dated 12 October 2011, there was another revamp. The comic was expanded to 36 pages, and the paper stock was made smoother. The Number 13 and The Germs strips returned as reprints. A reader's page was also reintroduced, this time titled the Menace Gallery. After two appearances, this was renamed The Treehouse. In the issue dated 28 January 2012, The Beano cover changed. The logo was now more like the logo from 1972 to 1998, but with "The" inside the B much like later versions of the logo. The special "O"s that had appeared sometimes in the last year were also kept. The first panel of the Dennis & Gnasher strip also appeared on the cover, like from 1972 to 2008, but the "This Week in Beanotown" feature still appeared across the bottom. 2013 introduced puzzle pages, originally designed by Jamie Smart, Lew Stringer, Steve Beckett and Barrie Appleby. 75th anniversary; changes In the 75th Anniversary Special, The Beano had yet another revamp introducing celebrities as regular characters. As a result, all of the Funsize Funnies as well as the two new recently added comic strips Tricky Dicky and Big Time Charlie plus the reprinted Calamity James were all dropped. Bananaman came out of Geering reprints after being in them for over a year with Wayne Thompson reprising the role of artist after drawing him previously in The Dandy from 2010 to 2012. Roger the Dodger was taken over by Jamie Smart and Ball Boy was taken over by Alexander Matthews and completely relaunched. Nigel Auchterlounie also took over as scriptwriter of The Bash Street Kids and Bananaman, as well as now both writing and drawing The Numskulls which itself had had a huge relaunch with one-off celebrities replacing the role of Edd starting with Ant and Dec. 12-year-old artist Zoom Rockman also joined The Beano in this issue, drawing Skanky Pigeon which appeared monthly. In the issue after the 75th Anniversary Special, fourteen new comic strips joined The Beano with twelve of these becoming the new Funsize Funnies stories, all of which are parodies of either a celebrity or television show: High School Moozical, Neigh-Bours, Celebrity Believe It or Not, I Pity the School, Murs Attacks, Ashley's Banjo, Coronation Bleat, Jose's Back, Simon's Bowel, Guess Who?, Watch-Hog and Danny Diddly O'Donoghue as well as two new one-page stories to replace Tricky Dicky and Big Time Charlie: El Poco Loco and Teenage Mutant Ninja Turkeys. Stu Munro also took over as both puzzle page artist (as he did in The Dandy) and The Dandy's Madvertisements were brought back with Stu Munro once again drawing them. Since the 75th Anniversary Special revamp, The Beano has now gained Andy Fanton, from The Dandy and the original Beano artists that remain in the comic are David Sutherland, Laura Howell, Nigel Parkinson, Hunt Emerson and Barrie Appleby, as Barry Glennard and Dave Eastbury appear to have gone. Creators Chief Editor history As of 2020, there have been seven official chief editors: George Moonie (1938–1939, c. 1946–1959) Harold Cramond (1959–1984) Euan Kerr (1984–2006) Alan Digby (2006–2011) Michael Stirling (2011–2012) Craig Graham (2012–2016) John Anderson (2016–present) Temporary chief editors: Stuart Gilchrist (1939–c. 1946) stood in as editor when George Moonie joined the Navy for World War Two. Dick and Dom (2006) edited issue 3311 and chose their favourite strips from the available 2005 waiting list. Nick Park (2008) edited issue 3443 to celebrate Beano 70th anniversary. Harry Hill (published 6 March 2013) edited the 2013 Red Nose Day special. Andy Murray (28 June 2014) edited the Wimbledon special. David Walliams (2018) edited issue 3945 to celebrate the 80th anniversary. Joe Sugg (2021) edited issue 4077 for Dennis the Menace 70th anniversary. Notable artists Merchandise From the first issue, readers have received free gifts from The Beano: toy masks, sweets, posters, and toys. Originally, free gifts would be attached inside the cover or strategically on the front so that it could distract the buyer from other comics next to The Beano on the shelves, hopefully excited for the next issue after reading it and eating/playing with the toys. Gifts were intentionally sporadic, especially during the Christmas period when families' money would be saved for food and presents. Issue 90 would be the last issue with a gift (licorice "black eye") due to rationing, the next free gift being the Flying Snorter Balloon in issue 953. The most popular free gift was issue 2201's Gnasher Snapper, a prank toy that would make a bang sound when unfolded, and was re-gifted occasionally in later issues, as well as the 60th anniversary. During the 25th anniversary of Dennis the Menace, The Dennis the Menace Fan Club was formed. The fan club was instantly popular, recalls Euan Kerr in 1984; "The club enrolled over 2000 new members every week, well into the 90s[.]" Membership was 30p, and new members received a membership card full of classified communication tactics and two badges: a red one with Dennis' face on the front and a furry one of a googly-eyed Gnasher face—the latter was the most sought-after badge in the club's history. For two years, there was a tie-in agony aunt page called Dear Dennis (issue 1679–1767) where fan club members sent Dennis their problems that Dennis would reply to in the following issue; thousands of letters would arrive at DC Thomson per week and the authors of the messages would receive prizes. The club would be renamed The Beano Club, which ended in 2010, but had over 1.5 million members. A spin-off was introduced called Gnasher's Fang Club, and Gnasher would ask readers to send him stories about their pets' adventures which could be printed into the next issue. "The mailbag of little drawings of pets was several thousand per week," remembers sub-editor Morris Heggie. "And the popularity lasted and lasted." The 21st century celebrated anniversaries with more memorabilia. For The Beano 70th birthday, DC Thomson published The Beano Special Collectors Edition: 70 Years of Fun (2008), and The History of The Beano (2008) was published by Waverly Books, both documenting the magazine's history; two exhibitions at the University of Dundee (Happy Birthday, Beano!) and The Cartoon Museum (Beano and Dandy Birthday Bash!) showed the public private DC Thomson artwork and the history of the magazine. For 2018, readers could buy a box for the 80th anniversary containing posters, reprints of selected older issues, and two books updating the previous documentation of the magazine's history, as well as Minnie the Minx origins. Both anniversaries had tie-in museum exhibitions that also told their audiences the magazine's history. Limited-edition figurines from Robert Harrop were available to buy from their official website in late 2008. The 21st century also began Beano branching into different mediums: their first website, Beanotown.com, formed in 2000, and Chessington World of Adventures opened Beanoland in the same year. Both would later discontinue but Beanotown.com would be revamped as beano.com, a website full of games, Beano secrets and other activities for children. Gulliver's Travels opened the Beano 6 Super Ride in May 2021. The Beano was also the face of the United Kingdom's 2018 Summer Reading Challenge, called Mischief Makers, which included a special Dennis the Menace novel tie-in called Dennis the Menace and the Chamber of Mischief by Beano artist Nigel Auchterlounie. The Dennis the Menace Fan Club was re-launched as a phone app, rebranded as The Dennis and Gnasher Fan Club, and allowed readers free membership, printable badges, and pranks. On television, the Sky Kids show SO Beano! aired; a TV show with special guests, children presenters, and fun and games, in a similar style to Friday Download and Scrambled! Spin-off comics Comic libraries Since 1982 the comic, along with The Dandy, has also run "Comic Library" titles. Released monthly, these titles are a feature-length (usually about 64-page) adventure, featuring a character from the comic itself. They are available in A5 size only. In 1998, these were replaced by the Fun Size Beano. Fun Size Comics were discontinued in late 2010. Beano Specials The comic also ran A4-sized Beano Specials in 1987 with full coloured pages, which later were replaced by Beano Superstars which ran for 121 issues from 1992 to 2002. These were similar to the Comic Library series. Some of the last issues were printed versions of episodes from the 1996–1998 Dennis and Gnasher animated TV series. A Beano Poster Comic series was also printed in the early 1990s. The Beano Specials returned in 2003, and are now published seasonally. The issues were numbered, and the first one was a Dennis and Friends special, the last a Christmas reprint special. These were replaced by BeanoMAX in early 2007. BeanoMAX On 15 February 2007, the first issue of a monthly comic entitled BeanoMAX was published. The sister comic features many of the same characters; however, the stories in BeanoMAX are written in a longer format meant for 10- to 13-year-olds. The first issue was a Comic Relief special featuring assorted celebrity guests. The magazine has been rebranded several times since 2013, and is currently known as EPIC Magazine. Plug Plug was a comic based on the eponymous character from The Bash Street Kids that began with issue dated 24 September 1977, and is notable for being the first comic to make use of rotogravure printing. The magazine similar in style to I.P.C's Krazy which had started the previous year. It contained uncharacteristically outlandish material for D C. Thomson, as well as later including celebrity appearances in the comic. The comic revealed Plug's full name to be Percival Proudfoot Plugsley and also gave him a pet monkey by the name of Chumkee. Plug's strip was mostly drawn by Vic Neill but other artists, including Dave Gudgeon drew some later strips. Other strips included Antchester United, Violent Elizabeth, Eebagoom, Hugh's Zoo and D'ye Ken John Squeal and his Hopeless Hounds. The venture was unsuccessful, in part because the comic cost 9p, with the Beano at the time only costing 4p and most of its rivals priced similarly. It merged with The Beezer on 24 February 1979. Dennis and Gnasher The brand new Dennis and Gnasher was launched separately from The Beano in September 2009. It coincided with their new cartoon on CBBC of the same name. BeanOLD 44-page special issue 4062, with cover date 21 November 2020, during a lockdown in the COVID-19 pandemic had an eight-page adult pullout named BeanOLD, with cartoons poking fun at British politicians such as Boris Johnson and Dominic Cummings, and with appearances by Greta Thunberg, Captain Tom, and footballer Marcus Rashford. The slogan was "2020 has been tough. So tough that even grown-ups need Beano". Beano Studios In June 2016, DC Thomson launched Beano Studios, a spin-off media studio (based in both London and Dundee) with the intention of creating media appropriate for children and expanding The Beano franchise. Its introduction to the readers came in The Beano issue 3854 with a revamp of the cover's layout and the logo, removing "The" to make it coincide with the studio, and unveiling the website beano.com. Former chief-editor Michael Stirling (who stepped down in 2012) became head of the Dundee studio and the franchise's spokesman. Jodie Morris became Head of Digital Content, James Neal stood as Director of Content, Nigel Pickard joined as non-executive director and Emma Scott stood as CEO until 2020, succeeded by David Guppy. As well as expanding Beano franchise through games and merchandise, Beano.com also contains other activities and interests for children to enjoy, such as news about popular celebrities, and miscellaneous videos and articles. Neal described it as "a fun but trusted babysitter who lets the kids stay up a bit late". For parents who formerly read The Beano during childhood, Beano Studios invites them to also participate on their nostalgia, once sending a cease and desist letter to politician Jacob Rees-Mogg for copyright infringement against Walter the Softy. The website became a continuing success worldwide with over two million visitors per year, and is credited for increasing comic sales by 10% in 2018. A similar approach had been planned for years through the first website Beanotown.com, which DC Thomson hoped would attract an international audience to The Beano, especially the United States. The Guardian noted The Beano success in North America was plausible because of Chicken Run, Monty Python, and Benny Hill's American popularity. Soon after the launch announcement, Beano Studios revealed it had a new Dennis the Menace adaptation in production: a 52-episode 3D-animated cartoon for CBBC co-produced by Jellyfish Pictures and distributed by Jetpack. The new programme, Dennis & Gnasher: Unleashed!, aired on the CBBC Channel in November 2017 and became one of the most popular children's series on the channel. Jetpack sold the cartoon to over 90 territories worldwide in 2018 through television deals and streaming services, and it received an Emmy nomination for Best International Animated Program at the 2019 International Emmy Kids Awards. Chief Creative Officer Mark Talbot explained his plans to look to Hollywood for Beano branching, noting: "what's been interesting with the Americans, they don't have The Beano but what they see is the archive with over 2,000 characters and storylines sat in a warehouse in Dundee waiting to be reimagined by new writers and established writers[.]" In November 2020, Deadline reported Talbot was in the midst of pitching another adaptation of Dennis the Menace, rumoured to be about a reckless teenaged Dennis with a pilot script written by former Chilling Adventures of Sabrina writer Matthew Barry. Beano Studios and Lime Pictures announced a live-action Minnie the Minx children's programme in 2018 called The Magnificent Misadventures of Minnie, and Fox Entertainment announced a Bananaman cartoon, the second cartoon adapting the comic strip after the BBC adaptation from 1983. Reception and legacy The Beano was an instant success upon release, and became longest-running, weekly-issued comic of all time in 2018. Although interest in comic magazines dwindled, it survived surrounding setbacks. In the 1950s, it (and The Dandy) were unaffected by DC Thomson's magazine cancellations (selling over 100 million per year) that were caused by both paper rationing and public lack of interest. Alan Digby's attempt to boost sales with the 8-week "Missing Gnasher" plot in Dennis the Menace failed, but the story featured in newspapers and on radio broadcasts, causing people of all ages to contact Beano offices to voice their concerns. Roughly 31,000–41,000 copies are sold per week in the present day, but an estimated 2 billion Beano comic magazines have been sold in its lifetime. A 1997 television poll by the National Comics Awards selected it for the Best British Comic Ever award. Dennis the Menace would represent the comic when Royal Mail launched a special stamp collection in 2012, celebrating Britain's rich comic book history. The Dandy, Eagle, |
honey bees. The analysis of 353 wild bee and hoverfly species across Britain from 1980 to 2013 found the insects have been lost from a quarter of the places they inhabited in 1980. Human beekeeping or apiculture (meliponiculture for stingless bees) has been practised for millennia, since at least the times of Ancient Egypt and Ancient Greece. Bees have appeared in mythology and folklore, through all phases of art and literature from ancient times to the present day, although primarily focused in the Northern Hemisphere where beekeeping is far more common. In Mesoamerica, the Mayans have practiced large-scale intensive meliponiculture since pre-Columbian times. Evolution The ancestors of bees were wasps in the family Crabronidae, which were predators of other insects. The switch from insect prey to pollen may have resulted from the consumption of prey insects which were flower visitors and were partially covered with pollen when they were fed to the wasp larvae. This same evolutionary scenario may have occurred within the vespoid wasps, where the pollen wasps evolved from predatory ancestors. The oldest non-compression bee fossil is found in New Jersey amber, Cretotrigona prisca, a corbiculate bee of Cretaceous age (~65 mya). A fossil from the early Cretaceous (~100 mya), Melittosphex burmensis, was initially considered "an extinct lineage of pollen-collecting Apoidea sister to the modern bees", but subsequent research has rejected the claim that Melittosphex is a bee, or even a member of the superfamily Apoidea to which bees belong, instead treating the lineage as incertae sedis within the Aculeata. By the Eocene (~45 mya) there was already considerable diversity among eusocial bee lineages. The highly eusocial corbiculate Apidae appeared roughly 87 Mya, and the Allodapini (within the Apidae) around 53 Mya. The Colletidae appear as fossils only from the late Oligocene (~25 Mya) to early Miocene. The Melittidae are known from Palaeomacropis eocenicus in the Early Eocene. The Megachilidae are known from trace fossils (characteristic leaf cuttings) from the Middle Eocene. The Andrenidae are known from the Eocene-Oligocene boundary, around 34 Mya, of the Florissant shale. The Halictidae first appear in the Early Eocene with species found in amber. The Stenotritidae are known from fossil brood cells of Pleistocene age. Coevolution The earliest animal-pollinated flowers were shallow, cup-shaped blooms pollinated by insects such as beetles, so the syndrome of insect pollination was well established before the first appearance of bees. The novelty is that bees are specialized as pollination agents, with behavioral and physical modifications that specifically enhance pollination, and are the most efficient pollinating insects. In a process of coevolution, flowers developed floral rewards such as nectar and longer tubes, and bees developed longer tongues to extract the nectar. Bees also developed structures known as scopal hairs and pollen baskets to collect and carry pollen. The location and type differ among and between groups of bees. Most species have scopal hairs on their hind legs or on the underside of their abdomens. Some species in the family Apidae have pollen baskets on their hind legs, while very few lack these and instead collect pollen in their crops. The appearance of these structures drove the adaptive radiation of the angiosperms, and, in turn, bees themselves. Bees coevolved not only with flowers but it is believed that some species coevolved with mites. Some provide tufts of hairs called acarinaria that appear to provide lodgings for mites; in return, it is believed that mites eat fungi that attack pollen, so the relationship in this case may be mutualistc. Phylogeny External This phylogenetic tree is based on Debevic et al, 2012, which used molecular phylogeny to demonstrate that the bees (Anthophila) arose from deep within the Crabronidae, which is therefore paraphyletic. The placement of the Heterogynaidae is uncertain. The small subfamily Mellininae was not included in this analysis. Internal This cladogram of the bee families is based on Hedtke et al., 2013, which places the former families Dasypodaidae and Meganomiidae as subfamilies inside the Melittidae. English names, where available, are given in parentheses. Characteristics Bees differ from closely related groups such as wasps by having branched or plume-like setae (hairs), combs on the forelimbs for cleaning their antennae, small anatomical differences in limb structure, and the venation of the hind wings; and in females, by having the seventh dorsal abdominal plate divided into two half-plates. Bees have the following characteristics: A pair of large compound eyes which cover much of the surface of the head. Between and above these are three small simple eyes (ocelli) which provide information on light intensity. The antennae usually have 13 segments in males and 12 in females, and are geniculate, having an elbow joint part way along. They house large numbers of sense organs that can detect touch (mechanoreceptors), smell and taste; and small, hairlike mechanoreceptors that can detect air movement so as to "hear" sounds. The mouthparts are adapted for both chewing and sucking by having both a pair of mandibles and a long proboscis for sucking up nectar. The thorax has three segments, each with a pair of robust legs, and a pair of membranous wings on the hind two segments. The front legs of corbiculate bees bear combs for cleaning the antennae, and in many species the hind legs bear pollen baskets, flattened sections with incurving hairs to secure the collected pollen. The wings are synchronised in flight, and the somewhat smaller hind wings connect to the forewings by a row of hooks along their margin which connect to a groove in the forewing. The abdomen has nine segments, the hindermost three being modified into the sting. The largest species of bee is thought to be Wallace's giant bee Megachile pluto, whose females can attain a length of . The smallest species may be dwarf stingless bees in the tribe Meliponini whose workers are less than in length. Sociality Haplodiploid breeding system According to inclusive fitness theory, organisms can gain fitness not just through increasing their own reproductive output, but also that of close relatives. In evolutionary terms, individuals should help relatives when Cost < Relatedness * Benefit. The requirements for eusociality are more easily fulfilled by haplodiploid species such as bees because of their unusual relatedness structure. In haplodiploid species, females develop from fertilized eggs and males from unfertilized eggs. Because a male is haploid (has only one copy of each gene), his daughters (which are diploid, with two copies of each gene) share 100% of his genes and 50% of their mother's. Therefore, they share 75% of their genes with each other. This mechanism of sex determination gives rise to what W. D. Hamilton termed "supersisters", more closely related to their sisters than they would be to their own offspring. Workers often do not reproduce, but they can pass on more of their genes by helping to raise their sisters (as queens) than they would by having their own offspring (each of which would only have 50% of their genes), assuming they would produce similar numbers. This unusual situation has been proposed as an explanation of the multiple (at least 9) evolutions of eusociality within Hymenoptera. Haplodiploidy is neither necessary nor sufficient for eusociality. Some eusocial species such as termites are not haplodiploid. Conversely, all bees are haplodiploid but not all are eusocial, and among eusocial species many queens mate with multiple males, creating half-sisters that share only 25% of each-other's genes. But, monogamy (queens mating singly) is the ancestral state for all eusocial species so far investigated, so it is likely that haplodiploidy contributed to the evolution of eusociality in bees. Eusociality Bees may be solitary or may live in various types of communities. Eusociality appears to have originated from at least three independent origins in halictid bees. The most advanced of these are species with eusocial colonies; these are characterised by cooperative brood care and a division of labour into reproductive and non-reproductive adults, plus overlapping generations. This division of labour creates specialized groups within eusocial societies which are called castes. In some species, groups of cohabiting females may be sisters, and if there is a division of labour within the group, they are considered semisocial. The group is called eusocial if, in addition, the group consists of a mother (the queen) and her daughters (workers). When the castes are purely behavioural alternatives, with no morphological differentiation other than size, the system is considered primitively eusocial, as in many paper wasps; when the castes are morphologically discrete, the system is considered highly eusocial. True honey bees (genus Apis, of which eight species are currently recognized) are highly eusocial, and are among the best known insects. Their colonies are established by swarms, consisting of a queen and several thousand workers. There are 29 subspecies of one of these species, Apis mellifera, native to Europe, the Middle East, and Africa. Africanized bees are a hybrid strain of A. mellifera that escaped from experiments involving crossing European and African subspecies; they are extremely defensive. Stingless bees are also highly eusocial. They practise mass provisioning, with complex nest architecture and perennial colonies also established via swarming. Many bumblebees are eusocial, similar to the eusocial Vespidae such as hornets in that the queen initiates a nest on her own rather than by swarming. Bumblebee colonies typically have from 50 to 200 bees at peak population, which occurs in mid to late summer. Nest architecture is simple, limited by the size of the pre-existing nest cavity, and colonies rarely last more than a year. In 2011, the International Union for Conservation of Nature set up the Bumblebee Specialist Group to review the threat status of all bumblebee species worldwide using the IUCN Red List criteria. There are many more species of primitively eusocial than highly eusocial bees, but they have been studied less often. Most are in the family Halictidae, or "sweat bees". Colonies are typically small, with a dozen or fewer workers, on average. Queens and workers differ only in size, if at all. Most species have a single season colony cycle, even in the tropics, and only mated females hibernate. A few species have long active seasons and attain colony sizes in the hundreds, such as Halictus hesperus. Some species are eusocial in parts of their range and solitary in others, or have a mix of eusocial and solitary nests in the same population. The orchid bees (Apidae) include some primitively eusocial species with similar biology. Some allodapine bees (Apidae) form primitively eusocial colonies, with progressive provisioning: a larva's food is supplied gradually as it develops, as is the case in honey bees and some bumblebees. Solitary and communal bees Most other bees, including familiar insects such as carpenter bees, leafcutter bees and mason bees are solitary in the sense that every female is fertile, and typically inhabits a nest she constructs herself. There is no division of labor so these nests lack queens and worker bees for these species. Solitary bees typically produce neither honey nor beeswax. Bees collect pollen to feed their young, and have the necessary adaptations to do this. However, certain wasp species such as pollen wasps have similar behaviours, and a few species of bee scavenge from carcases to feed their offspring. Solitary bees are important pollinators; they gather pollen to provision their nests with food for their brood. Often it is mixed with nectar to form a paste-like consistency. Some solitary bees have advanced types of pollen-carrying structures on their bodies. Very few species of solitary bee are being cultured for commercial pollination. Most of these species belong to a distinct set of genera which are commonly known by their nesting behavior or preferences, namely: carpenter bees, sweat bees, mason bees, plasterer bees, squash bees, dwarf carpenter bees, leafcutter bees, alkali bees and digger bees. Most solitary bees are fossorial, digging nests in the ground in a variety of soil textures and conditions, while others create nests in hollow reeds or twigs, or holes in wood. The female typically creates a compartment (a "cell") with an egg and some provisions for the resulting larva, then seals it off. A nest may consist of numerous cells. When the nest is in wood, usually the last (those closer to the entrance) contain eggs that will become males. The adult does not provide care for the brood once the egg is laid, and usually dies after making one or more nests. The males typically emerge first and are ready for mating when the females emerge. Solitary bees very unlikely to sting (only in self-defense, if ever), and some (esp. in the family Andrenidae) are stingless. While solitary, females each make individual nests. Some species, such as the European mason bee Hoplitis anthocopoides, and the Dawson's Burrowing bee, Amegilla dawsoni, are gregarious, preferring to make nests near others of the same species, and giving the appearance of being social. Large groups of solitary bee nests are called aggregations, to distinguish them from colonies. In some species, multiple females share a common nest, but each makes and provisions her own cells independently. This type of group is called "communal" and is not uncommon. The primary advantage appears to be that a nest entrance is easier to defend from predators and parasites when multiple females use that same entrance regularly. Biology Life cycle The life cycle of a bee, be it a solitary or social species, involves the laying of an egg, the development through several moults of a legless larva, a pupation stage during which the insect undergoes complete metamorphosis, followed by the emergence of a winged adult. Most solitary bees and bumble bees in temperate climates overwinter as adults or pupae and emerge in spring when increasing numbers of flowering plants come into bloom. The males usually emerge first and search for females with which to mate. The sex of a bee is determined by whether or not the egg is fertilised; after mating, a female stores the sperm, and determines which sex is required at the time each individual egg is laid, fertilised eggs producing female offspring and unfertilised eggs, males. Tropical bees may have several generations in a year and no diapause stage. The egg is generally oblong, slightly curved and tapering at one end. Solitary bees, lay each egg in a separate cell with a supply of mixed pollen and nectar next to it. This may be rolled into a pellet or placed in a pile and is known as mass provisioning. Social bee species provision progressively, that is, they feed the larva regularly while it grows. The nest varies from a hole in the ground or in wood, in solitary bees, to a substantial structure with wax combs in bumblebees and honey bees. In most species, larvae are whitish grubs, roughly oval and bluntly-pointed at both ends. They have 15 segments and spiracles in each segment for breathing. They have no legs but move within the cell, helped by tubercles on their sides. They have short horns on the head, jaws for chewing food and an appendage on either side of the mouth tipped with a bristle. There is a gland under the mouth that secretes a viscous liquid which solidifies into the silk they use to produce a cocoon. The cocoon is semi-transparent and the pupa can be seen | fossil from the early Cretaceous (~100 mya), Melittosphex burmensis, was initially considered "an extinct lineage of pollen-collecting Apoidea sister to the modern bees", but subsequent research has rejected the claim that Melittosphex is a bee, or even a member of the superfamily Apoidea to which bees belong, instead treating the lineage as incertae sedis within the Aculeata. By the Eocene (~45 mya) there was already considerable diversity among eusocial bee lineages. The highly eusocial corbiculate Apidae appeared roughly 87 Mya, and the Allodapini (within the Apidae) around 53 Mya. The Colletidae appear as fossils only from the late Oligocene (~25 Mya) to early Miocene. The Melittidae are known from Palaeomacropis eocenicus in the Early Eocene. The Megachilidae are known from trace fossils (characteristic leaf cuttings) from the Middle Eocene. The Andrenidae are known from the Eocene-Oligocene boundary, around 34 Mya, of the Florissant shale. The Halictidae first appear in the Early Eocene with species found in amber. The Stenotritidae are known from fossil brood cells of Pleistocene age. Coevolution The earliest animal-pollinated flowers were shallow, cup-shaped blooms pollinated by insects such as beetles, so the syndrome of insect pollination was well established before the first appearance of bees. The novelty is that bees are specialized as pollination agents, with behavioral and physical modifications that specifically enhance pollination, and are the most efficient pollinating insects. In a process of coevolution, flowers developed floral rewards such as nectar and longer tubes, and bees developed longer tongues to extract the nectar. Bees also developed structures known as scopal hairs and pollen baskets to collect and carry pollen. The location and type differ among and between groups of bees. Most species have scopal hairs on their hind legs or on the underside of their abdomens. Some species in the family Apidae have pollen baskets on their hind legs, while very few lack these and instead collect pollen in their crops. The appearance of these structures drove the adaptive radiation of the angiosperms, and, in turn, bees themselves. Bees coevolved not only with flowers but it is believed that some species coevolved with mites. Some provide tufts of hairs called acarinaria that appear to provide lodgings for mites; in return, it is believed that mites eat fungi that attack pollen, so the relationship in this case may be mutualistc. Phylogeny External This phylogenetic tree is based on Debevic et al, 2012, which used molecular phylogeny to demonstrate that the bees (Anthophila) arose from deep within the Crabronidae, which is therefore paraphyletic. The placement of the Heterogynaidae is uncertain. The small subfamily Mellininae was not included in this analysis. Internal This cladogram of the bee families is based on Hedtke et al., 2013, which places the former families Dasypodaidae and Meganomiidae as subfamilies inside the Melittidae. English names, where available, are given in parentheses. Characteristics Bees differ from closely related groups such as wasps by having branched or plume-like setae (hairs), combs on the forelimbs for cleaning their antennae, small anatomical differences in limb structure, and the venation of the hind wings; and in females, by having the seventh dorsal abdominal plate divided into two half-plates. Bees have the following characteristics: A pair of large compound eyes which cover much of the surface of the head. Between and above these are three small simple eyes (ocelli) which provide information on light intensity. The antennae usually have 13 segments in males and 12 in females, and are geniculate, having an elbow joint part way along. They house large numbers of sense organs that can detect touch (mechanoreceptors), smell and taste; and small, hairlike mechanoreceptors that can detect air movement so as to "hear" sounds. The mouthparts are adapted for both chewing and sucking by having both a pair of mandibles and a long proboscis for sucking up nectar. The thorax has three segments, each with a pair of robust legs, and a pair of membranous wings on the hind two segments. The front legs of corbiculate bees bear combs for cleaning the antennae, and in many species the hind legs bear pollen baskets, flattened sections with incurving hairs to secure the collected pollen. The wings are synchronised in flight, and the somewhat smaller hind wings connect to the forewings by a row of hooks along their margin which connect to a groove in the forewing. The abdomen has nine segments, the hindermost three being modified into the sting. The largest species of bee is thought to be Wallace's giant bee Megachile pluto, whose females can attain a length of . The smallest species may be dwarf stingless bees in the tribe Meliponini whose workers are less than in length. Sociality Haplodiploid breeding system According to inclusive fitness theory, organisms can gain fitness not just through increasing their own reproductive output, but also that of close relatives. In evolutionary terms, individuals should help relatives when Cost < Relatedness * Benefit. The requirements for eusociality are more easily fulfilled by haplodiploid species such as bees because of their unusual relatedness structure. In haplodiploid species, females develop from fertilized eggs and males from unfertilized eggs. Because a male is haploid (has only one copy of each gene), his daughters (which are diploid, with two copies of each gene) share 100% of his genes and 50% of their mother's. Therefore, they share 75% of their genes with each other. This mechanism of sex determination gives rise to what W. D. Hamilton termed "supersisters", more closely related to their sisters than they would be to their own offspring. Workers often do not reproduce, but they can pass on more of their genes by helping to raise their sisters (as queens) than they would by having their own offspring (each of which would only have 50% of their genes), assuming they would produce similar numbers. This unusual situation has been proposed as an explanation of the multiple (at least 9) evolutions of eusociality within Hymenoptera. Haplodiploidy is neither necessary nor sufficient for eusociality. Some eusocial species such as termites are not haplodiploid. Conversely, all bees are haplodiploid but not all are eusocial, and among eusocial species many queens mate with multiple males, creating half-sisters that share only 25% of each-other's genes. But, monogamy (queens mating singly) is the ancestral state for all eusocial species so far investigated, so it is likely that haplodiploidy contributed to the evolution of eusociality in bees. Eusociality Bees may be solitary or may live in various types of communities. Eusociality appears to have originated from at least three independent origins in halictid bees. The most advanced of these are species with eusocial colonies; these are characterised by cooperative brood care and a division of labour into reproductive and non-reproductive adults, plus overlapping generations. This division of labour creates specialized groups within eusocial societies which are called castes. In some species, groups of cohabiting females may be sisters, and if there is a division of labour within the group, they are considered semisocial. The group is called eusocial if, in addition, the group consists of a mother (the queen) and her daughters (workers). When the castes are purely behavioural alternatives, with no morphological differentiation other than size, the system is considered primitively eusocial, as in many paper wasps; when the castes are morphologically discrete, the system is considered highly eusocial. True honey bees (genus Apis, of which eight species are currently recognized) are highly eusocial, and are among the best known insects. Their colonies are established by swarms, consisting of a queen and several thousand workers. There are 29 subspecies of one of these species, Apis mellifera, native to Europe, the Middle East, and Africa. Africanized bees are a hybrid strain of A. mellifera that escaped from experiments involving crossing European and African subspecies; they are extremely defensive. Stingless bees are also highly eusocial. They practise mass provisioning, with complex nest architecture and perennial colonies also established via swarming. Many bumblebees are eusocial, similar to the eusocial Vespidae such as hornets in that the queen initiates a nest on her own rather than by swarming. Bumblebee colonies typically have from 50 to 200 bees at peak population, which occurs in mid to late summer. Nest architecture is simple, limited by the size of the pre-existing nest cavity, and colonies rarely last more than a year. In 2011, the International Union for Conservation of Nature set up the Bumblebee Specialist Group to review the threat status of all bumblebee species worldwide using the IUCN Red List criteria. There are many more species of primitively eusocial than highly eusocial bees, but they have been studied less often. Most are in the family Halictidae, or "sweat bees". Colonies are typically small, with a dozen or fewer workers, on average. Queens and workers differ only in size, if at all. Most species have a single season colony cycle, even in the tropics, and only mated females hibernate. A few species have long active seasons and attain colony sizes in the hundreds, such as Halictus hesperus. Some species are eusocial in parts of their range and solitary in others, or have a mix of eusocial and solitary nests in the same population. The orchid bees (Apidae) include some primitively eusocial species with similar biology. Some allodapine bees (Apidae) form primitively eusocial colonies, with progressive provisioning: a larva's food is supplied gradually as it develops, as is the case in honey bees and some bumblebees. Solitary and communal bees Most other bees, including familiar insects such as carpenter bees, leafcutter bees and mason bees are solitary in the sense that every female is fertile, and typically inhabits a nest she constructs herself. There is no division of labor so these nests lack queens and worker bees for these species. Solitary bees typically produce neither honey nor beeswax. Bees collect pollen to feed their young, and have the necessary adaptations to do this. However, certain wasp species such as pollen wasps have similar behaviours, and a few species of bee scavenge from carcases to feed their offspring. Solitary bees are important pollinators; they gather pollen to provision their nests with food for their brood. Often it is mixed with nectar to form a paste-like consistency. Some solitary bees have advanced types of pollen-carrying structures on their bodies. Very few species of solitary bee are |
These individuals lived between 3,500 and 5,500 years ago, after the transition to farming in southwest Europe. The results show that these early Iberian farmers are the closest ancestors to present-day Basques. The findings were published in Proceedings of the National Academy of Sciences of the United States. According to the study, the "results show that the Basques trace their ancestry to early farming groups from Iberia, which contradicts previous views of them being a remnant population that trace their ancestry to Mesolithic hunter-gatherer groups." These early Neolithic farmer ancestors of the Basques, however, additionally mixed with local southwestern hunter-gatherers, and "the proportion of hunter gatherer-related admixture into early farmers also increased over the course of two millennia." This admixed group was also found to be ancestral to other modern-day Iberian peoples, but while the Basques remained relatively isolated for millennia after this time, later migrations into Iberia led to distinct and additional admixture in all other Iberian groups. In 2019, a study was published in Science in which a more fine-tuned and deep time-transect of Iberian ancient populations including the Basque were analyzed. From their abstract, it says: "and we reveal that present-day Basques are best described as a typical Iron Age population without the admixture events that later affected the rest of Iberia." This indicates Basques were isolated from admixture with outside groups since at least 1000BC or 3000 years before the present. In Iberia, these later admixture (interbreeding) events were with central European (Celtic), eastern Mediterranean (including Roman), and northern African populations, and genomic ancestry from them are found in all or most present-day Iberian populations, except for the Basque. History Basque tribes were mentioned in Roman times by Strabo and Pliny, including the Vascones, the Aquitani, and others. There is enough evidence to support the hypothesis that at that time and later they spoke old varieties of the Basque language (see: Aquitanian language). In the Early Middle Ages the territory between the Ebro and Garonne rivers was known as Vasconia, a vaguely defined ethnic area and political entity struggling to fend off pressure from the Iberian Visigothic kingdom and Arab rule to the south, as well as the Frankish push from the north. By the turn of the first millennium, the territory of Vasconia had fragmented into different feudal regions, such as Soule and Labourd, while south of the Pyrenees the Castile, Pamplona and the Pyrenean counties of Aragon, Sobrarbe, Ribagorça (later Kingdom of Aragon), and Pallars emerged as the main regional entities with Basque population in the 9th and 10th centuries. The Kingdom of Pamplona, a central Basque realm, later known as Navarre, underwent a process of feudalization and was subject to the influence of its much larger Aragonese, Castilian and French neighbours. Castile deprived Navarre of its coastline by conquering key western territories (1199–1201), leaving the kingdom landlocked. The Basques were ravaged by the War of the Bands, bitter partisan wars between local ruling families. Weakened by the Navarrese civil war, the bulk of the realm eventually fell before the onslaught of the Spanish armies (1512–1524). However, the Navarrese territory north of the Pyrenees remained beyond the reach of an increasingly powerful Spain. Lower Navarre became a province of France in 1620. Nevertheless, the Basques enjoyed a great deal of self-government until the French Revolution (1790) and the Carlist Wars (1839, 1876), when the Basques supported heir apparent Carlos V and his descendants. On either side of the Pyrenees, the Basques lost their native institutions and laws held during the Ancien régime. Since then, despite the current limited self-governing status of the Basque Autonomous Community and Navarre as settled by the Spanish Constitution, many Basques have attempted higher degrees of self-empowerment (see Basque nationalism), sometimes by acts of violence. Labourd, Lower Navarre, and Soule were integrated into the French department system (starting 1790), with Basque efforts to establish a region-specific political-administrative entity failing to take off to date. However, in January 2017, a single agglomeration community was established for the Basque Country in France. Geography Political and administrative divisions The Basque region is divided into at least three administrative units, namely the Basque Autonomous Community and Navarre in Spain, and the arrondissement of Bayonne and the cantons of Mauléon-Licharre and Tardets-Sorholus in the département of Pyrénées Atlantiques, France. The autonomous community (a concept established in the Spanish Constitution of 1978) known as Euskal Autonomia Erkidegoa or EAE in Basque and as Comunidad Autónoma Vasca or CAV in Spanish (in English: Basque Autonomous Community or BAC), is made up of the three Spanish provinces of Álava, Biscay and Gipuzkoa. The corresponding Basque names of these territories are Araba, Bizkaia and Gipuzkoa, and their Spanish names are Álava, Vizcaya and Guipúzcoa. The BAC only includes three of the seven provinces of the currently called historical territories. It is sometimes referred to simply as "the Basque Country" (or Euskadi) by writers and public agencies only considering those three western provinces, but also on occasions merely as a convenient abbreviation when this does not lead to confusion in the context. Others reject this usage as inaccurate and are careful to specify the BAC (or an equivalent expression such as "the three provinces", up to 1978 referred to as "Provincias Vascongadas" in Spanish) when referring to this entity or region. Likewise, terms such as "the Basque Government" for "the government of the BAC" are commonly though not universally employed. In particular in common usage the French term Pays Basque ("Basque Country"), in the absence of further qualification, refers either to the whole Basque Country ("Euskal Herria" in Basque), or not infrequently to the northern (or "French") Basque Country specifically. Under Spain's present constitution, Navarre (Nafarroa in present-day Basque, Navarra historically in Spanish) constitutes a separate entity, called in present-day Basque Nafarroako Foru Erkidegoa, in Spanish Comunidad Foral de Navarra (the autonomous community of Navarre). The government of this autonomous community is the Government of Navarre. Note that in historical contexts Navarre may refer to a wider area, and that the present-day northern Basque province of Lower Navarre may also be referred to as (part of) Nafarroa, while the term "High Navarre" (Nafarroa Garaia in Basque, Alta Navarra in Spanish) is also encountered as a way of referring to the territory of the present-day autonomous community. There are three other historic provinces parts of the Basque Country: Labourd, Lower Navarre and Soule (Lapurdi, Nafarroa Beherea and Zuberoa in Basque; Labourd, Basse-Navarre and Soule in French), devoid of official status within France's present-day political and administrative territorial organization, and only minor political support to the Basque nationalists. A large number of regional and local nationalist and non-nationalist representatives have waged a campaign for years advocating for the creation of a separate Basque département, while these demands have gone unheard by the French administration. Population, main cities and languages There are 2,123,000 people living in the Basque Autonomous Community (279,000 in Alava, 1,160,000 in Biscay and 684,000 in Gipuzkoa). The most important cities in this region, which serve as the provinces' administrative centers, are Bilbao (in Biscay), San Sebastián (in Gipuzkoa) and Vitoria-Gasteiz (in Álava). The official languages are Basque and Spanish. Knowledge of Spanish is compulsory under the Spanish constitution (article no. 3), and knowledge and usage of Basque is a right under the Statute of Autonomy (article no. 6), so only knowledge of Spanish is virtually universal. Knowledge of Basque, after declining for many years during Franco's dictatorship owing to official persecution, is again on the rise due to favorable official language policies and popular support. Currently about 33 percent of the population in the Basque Autonomous Community speaks Basque. Navarre has a population of 601,000; its administrative capital and main city, also regarded by many nationalist Basques as the Basques' historical capital, is Pamplona (Iruñea in modern Basque). Only Spanish is an official language of Navarre, and the Basque language is only co-official in the province's northern region, where most Basque-speaking Navarrese are concentrated. About a quarter of a million people live in the French Basque Country. Nowadays Basque-speakers refer to this region as Iparralde (Basque for North), and to the Spanish provinces as Hegoalde (South). Much of this population lives in or near the Bayonne-Anglet-Biarritz (BAB) urban belt on the coast (in Basque these are Baiona, Angelu and Miarritze). The Basque language, which was traditionally spoken by most of the region's population outside the BAB urban zone, is today rapidly losing ground to French. The French Basque Country's lack of self-government within the French state is coupled with the absence of official status for the Basque language in the region. Attempts to introduce bilingualism in local administration have so far met direct refusal from French officials. Basque diaspora Large numbers of Basques have left the Basque Country to settle in the rest of Spain, France or other parts of the world in different historical periods, often for economic or political reasons. Historically the Basques abroad were often employed in shepherding and ranching and by maritime fisheries and merchants. Millions of Basque descendants (see Basque American and Basque Canadian) live in North America (the United States; Canada, mainly in the provinces of Newfoundland and Quebec), all over Latin America, South Africa, and Australia. Miguel de Unamuno said: "There are at least two things that clearly can be attributed to Basques: the Society of Jesus and the Republic of Chile." Chilean historian Luis Thayer Ojeda estimated that 48 percent of immigrants to Chile in the 17th and 18th centuries were Basque. Estimates range between 2.5 - 5 million Basque descendants live in Chile; the Basque have been a major if not the strongest influence in the country's cultural and economic development. Basque place names are to be found, such as Nueva Vizcaya (now Chihuahua and Durango, Mexico), Biscayne Bay (United States), and Aguereberry Point (United States). Nueva Vizcaya was the first province in the north of the Viceroyalty of New Spain (Mexico) to be explored and settled by the Spanish. It consisted mostly of the area which is today the states of Chihuahua and Durango. In Mexico most descendents of Basque emigrees are concentrated in the cities of Monterrey, Saltillo, Reynosa, Camargo, and the states of Jalisco, Durango, Nuevo León, Tamaulipas, Coahuila, and Sonora. The Basques were important in the mining industry; many were ranchers and vaqueros (cowboys), and the rest opened small shops in major cities such as Mexico City, Guadalajara and Puebla. In Guatemala, most Basques have been concentrated in Sacatepequez Department, Antigua Guatemala, Jalapa for six generations now, while some have migrated to Guatemala City. In Colombia, a large number of Basques settled mainly in Antioquia and the Coffee Axis. In 1955, Joaquín Ospina said: "Is there something more similar to the Basque people than the "antioqueños". Also, writer Arturo Escobar Uribe said in his book "Mitos de Antioquia" (Myths of Antioquia) (1950): "Antioquia, which in its clean ascendance predominates the peninsular farmer of the Basque provinces, inherited the virtues of its ancestors... Despite the predominance of the white race, its extension in the mountains... has projected over Colombia's map the prototype of its race; in Medellín with the industrial paisa, entrepreneur, strong and steady... in its towns, the adventurer, arrogant, world-explorer... Its myths, which are an evidence of their deep credulity and an indubitable proof of their Iberian ancestor, are the sequel of the conqueror's blood which runs through their veins...". Bambuco, a Colombian folk music, has Basque roots. The largest of several important Basque communities in the United States is in the area around Boise, Idaho, home to the Basque Museum and Cultural Center, host to an annual Basque festival, as well as a festival for the Basque diaspora every five years. Reno, Nevada, where the Center for Basque Studies and the Basque Studies Library are located at the University of Nevada, is another significant nucleus of Basque population. Elko, Nevada, sponsors an annual Basque festival that celebrates the dance, cuisine and cultures of the Basque peoples of Spanish, French and Mexican nationalities who have arrived in Nevada since the late 19th century. Texas has a large percentage of Hispanics descended from Basques who participated in the conquest of New Spain. Many of the original Tejanos had Basque blood, including those who fought in the Battle of the Alamo alongside many of the other Texans. Along the Mexican/Texan border, many Basque surnames can be found. The largest concentration of Basques who settled on Mexico's north-eastern "frontera", including the states of Chihuahua, Durango, Coahuila, Nuevo León, and Tamaulipas, also settled along Texas' Rio Grande from South Texas to West Texas. Many of the historic hidalgos, or noble families from this area, had gained their titles and land grants from Spain and Mexico; they still value their land. Some of North America's largest ranches, which were founded under these colonial land grants, can be found in this region. California has a major concentration of Basques, most notably in the San Joaquin Valley between Stockton, Fresno and Bakersfield. The city of Bakersfield has a large Basque community and the city has several Basque restaurants, including Noriega's which won the 2011 James Beard Foundation America's Classic Award. There is a history of Basque culture in Chino, California. In Chino, two annual Basque festivals celebrate the dance, cuisine, and culture of the peoples. The surrounding area of San Bernardino County has many Basque descendants as residents. They are mostly descendants of settlers from Spain and Mexico. These Basques in California are grouped in the group known as Californios. Basques of European Spanish-French and Latin American nationalities also settled throughout the western U.S. in states like Louisiana, New Mexico, Arizona, Utah, Colorado, Wyoming, Montana, Oregon, and Washington. Culture Language The identifying language of the Basques is called Basque or Euskara, spoken today by 25%-30% of the region's population. An idea of the central place the language has in cultural terms is given by the fact that Basques identify themselves by the term euskaldun and their country as Euskal Herria, literally "Basque speaker" and "Country of the Basque Language" respectively. The language has been made a political issue by official Spanish and French policies restricting its use either historically or currently; however, this has not stopped the teaching, speaking, writing, and cultivating of this increasingly vibrant minority language. This sense of Basque identity tied to the local language does not only exist in isolation. For many Basques, it is juxtaposed with a sense of either Spanish or French identity tied with the use of the Spanish and French languages among other Basques, especially in the French Basque Country. Regarding the Spanish Basque Country, Basques that don't have a sense of Spanish identity make up an important part of the population. As with many European states, a regional identity, be it linguistically derived or otherwise, is not mutually exclusive with the broader national one. For example, Basque rugby union player for France, Imanol Harinordoquy, has said about his national identity:I am French and Basque. There is no conflict, I am proud of both. . . . I have friends who are involved in the political side of things but that is not for me. My only interest is the culture, the Euskera language, the people, our history and ways. As a result of state language promotion, school policies, the effects of mass media and migration, today virtually all Basques (except for some children below school age) speak the official language of their state (Spanish or French). There are extremely few Basque monolingual speakers: essentially all Basque speakers are bilingual on both sides of the border. Spanish or French is typically the first language of citizens from other regions (who often feel no need to learn Basque), and Spanish or French is also the first language of many Basques, all of which maintains the dominance of the state tongues of both France and Spain. Recent Basque Government policies aim to change this pattern, as they are viewed as potential threats against mainstream usage of the minority tongue. The Basque language is thought to be a genetic language isolate in contrast with other European languages, almost all of which belong to the broad Indo-European language family. Another peculiarity of Basque is that it has been spoken continuously in situ, in and around its present territorial location, for longer than other modern European languages, which were all introduced in historic or prehistoric times through population migrations or other processes of cultural transmission. However, popular stereotypes characterizing Basque as "the oldest language in Europe" and "unique among the world's languages" may be misunderstood and lead to erroneous assumptions. Over the centuries, Basque has remained in continuous contact with neighboring western European languages with which it has come to share numerous lexical properties and typological features; it is therefore misleading to exaggerate the "outlandish" character of Basque. Basque is also a modern language, and is established as a written and printed one used in present-day forms of publication and communication, as well as a language spoken and used in a very wide range of social and cultural contexts, styles, and registers. Land and inheritance Basques have a close attachment to their home (etxe(a) 'house, home'), especially when this consists of the traditional self-sufficient, family-run farm or baserri(a). Home in this context is synonymous with family roots. Some Basque surnames were adapted from old baserri or habitation names. They typically related to a geographical orientation or other locally meaningful identifying features. Such surnames provide even those Basques whose families may have left the land generations ago with an important link to their rural family origins: Bengoetxea "the house of further down", Goikoetxea "the house above", Landaburu "top of the field", Errekondo "next to the stream", Elizalde "by the church", Mendizabal "wide hill", Usetxe "house of birds" Ibarretxe "house in the valley", Etxeberria "the new house", and so on. In contrast to surrounding regions, ancient Basque inheritance patterns, recognised in the fueros, favoured survival of the unity of inherited land holdings. In a kind of primogeniture, these usually were inherited by the eldest male or female child. As in other cultures, the fate of other family members depended on the assets of a family: wealthy Basque families tended to provide for all children in some way, while less-affluent families may have had only one asset to provide to one child. However, this heir often provided for the rest of the family (unlike in England, with strict primogeniture, where the eldest son inherited everything and often did not provide for others). Even though they were provided for in some way, younger siblings had to make much of their living by other means. Mostly after the advent of industrialisation, this system resulted in the emigration of many rural Basques to Spain, France or the Americas. Harsh by modern standards, this custom resulted in a great many enterprising figures of Basque origin who went into the world to earn their way, from Spanish conquistadors such as Lope de Aguirre and Francisco Vásquez de Coronado, to explorers, missionaries and saints of the Catholic Church, such as Francis Xavier. A widespread belief that Basque society was originally matriarchal is at odds with the current, clearly patrilineal kinship system and inheritance structures. Some scholars and commentators have attempted to reconcile these points by assuming that patrilineal kinship represents an innovation. In any case, the social position of women in both traditional and modern Basque society is somewhat better than in neighbouring cultures, and women have a substantial influence in decisions about the domestic economy. In the past, some women participated in collective magical ceremonies. They were key participants in a rich folklore, today largely forgotten. Cuisine Basque cuisine is at the heart of Basque culture, influenced by the neighboring communities and produce from the sea and the land. A 20th-century feature of Basque culture is the phenomenon of gastronomical societies (called txoko in Basque), food clubs where men gather to cook and enjoy their own food. Until recently, women were allowed entry only one day in the year. Cider houses (Sagardotegiak) are popular restaurants in Gipuzkoa open for a few months while the cider is in season. Cultural production At the end of the 20th century, despite ETA violence (ended in 2010) and the crisis of heavy industries, the Basque economic condition recovered remarkably. They emerged from the Franco regime with a revitalized language and culture. The Basque language expanded geographically led by large increases in the major urban centers of Pamplona, Bilbao, and Bayonne, where only a few decades ago the Basque language had all but disappeared. Nowadays, the number of Basque speakers is maintaining its level or increasing slightly. Music Religion Traditionally Basques have been mostly Catholics. In the 19th century and well into the 20th, Basques as a group remained notably devout and churchgoing. In recent years church attendance has fallen off, as in most of Western Europe. The region has been a source of missionaries like Francis Xavier and Michel Garicoïts. Ignatius Loyola, founder of the Society of Jesus, was a Basque. California Franciscan Fermín Lasuén was | a more fine-tuned and deep time-transect of Iberian ancient populations including the Basque were analyzed. From their abstract, it says: "and we reveal that present-day Basques are best described as a typical Iron Age population without the admixture events that later affected the rest of Iberia." This indicates Basques were isolated from admixture with outside groups since at least 1000BC or 3000 years before the present. In Iberia, these later admixture (interbreeding) events were with central European (Celtic), eastern Mediterranean (including Roman), and northern African populations, and genomic ancestry from them are found in all or most present-day Iberian populations, except for the Basque. History Basque tribes were mentioned in Roman times by Strabo and Pliny, including the Vascones, the Aquitani, and others. There is enough evidence to support the hypothesis that at that time and later they spoke old varieties of the Basque language (see: Aquitanian language). In the Early Middle Ages the territory between the Ebro and Garonne rivers was known as Vasconia, a vaguely defined ethnic area and political entity struggling to fend off pressure from the Iberian Visigothic kingdom and Arab rule to the south, as well as the Frankish push from the north. By the turn of the first millennium, the territory of Vasconia had fragmented into different feudal regions, such as Soule and Labourd, while south of the Pyrenees the Castile, Pamplona and the Pyrenean counties of Aragon, Sobrarbe, Ribagorça (later Kingdom of Aragon), and Pallars emerged as the main regional entities with Basque population in the 9th and 10th centuries. The Kingdom of Pamplona, a central Basque realm, later known as Navarre, underwent a process of feudalization and was subject to the influence of its much larger Aragonese, Castilian and French neighbours. Castile deprived Navarre of its coastline by conquering key western territories (1199–1201), leaving the kingdom landlocked. The Basques were ravaged by the War of the Bands, bitter partisan wars between local ruling families. Weakened by the Navarrese civil war, the bulk of the realm eventually fell before the onslaught of the Spanish armies (1512–1524). However, the Navarrese territory north of the Pyrenees remained beyond the reach of an increasingly powerful Spain. Lower Navarre became a province of France in 1620. Nevertheless, the Basques enjoyed a great deal of self-government until the French Revolution (1790) and the Carlist Wars (1839, 1876), when the Basques supported heir apparent Carlos V and his descendants. On either side of the Pyrenees, the Basques lost their native institutions and laws held during the Ancien régime. Since then, despite the current limited self-governing status of the Basque Autonomous Community and Navarre as settled by the Spanish Constitution, many Basques have attempted higher degrees of self-empowerment (see Basque nationalism), sometimes by acts of violence. Labourd, Lower Navarre, and Soule were integrated into the French department system (starting 1790), with Basque efforts to establish a region-specific political-administrative entity failing to take off to date. However, in January 2017, a single agglomeration community was established for the Basque Country in France. Geography Political and administrative divisions The Basque region is divided into at least three administrative units, namely the Basque Autonomous Community and Navarre in Spain, and the arrondissement of Bayonne and the cantons of Mauléon-Licharre and Tardets-Sorholus in the département of Pyrénées Atlantiques, France. The autonomous community (a concept established in the Spanish Constitution of 1978) known as Euskal Autonomia Erkidegoa or EAE in Basque and as Comunidad Autónoma Vasca or CAV in Spanish (in English: Basque Autonomous Community or BAC), is made up of the three Spanish provinces of Álava, Biscay and Gipuzkoa. The corresponding Basque names of these territories are Araba, Bizkaia and Gipuzkoa, and their Spanish names are Álava, Vizcaya and Guipúzcoa. The BAC only includes three of the seven provinces of the currently called historical territories. It is sometimes referred to simply as "the Basque Country" (or Euskadi) by writers and public agencies only considering those three western provinces, but also on occasions merely as a convenient abbreviation when this does not lead to confusion in the context. Others reject this usage as inaccurate and are careful to specify the BAC (or an equivalent expression such as "the three provinces", up to 1978 referred to as "Provincias Vascongadas" in Spanish) when referring to this entity or region. Likewise, terms such as "the Basque Government" for "the government of the BAC" are commonly though not universally employed. In particular in common usage the French term Pays Basque ("Basque Country"), in the absence of further qualification, refers either to the whole Basque Country ("Euskal Herria" in Basque), or not infrequently to the northern (or "French") Basque Country specifically. Under Spain's present constitution, Navarre (Nafarroa in present-day Basque, Navarra historically in Spanish) constitutes a separate entity, called in present-day Basque Nafarroako Foru Erkidegoa, in Spanish Comunidad Foral de Navarra (the autonomous community of Navarre). The government of this autonomous community is the Government of Navarre. Note that in historical contexts Navarre may refer to a wider area, and that the present-day northern Basque province of Lower Navarre may also be referred to as (part of) Nafarroa, while the term "High Navarre" (Nafarroa Garaia in Basque, Alta Navarra in Spanish) is also encountered as a way of referring to the territory of the present-day autonomous community. There are three other historic provinces parts of the Basque Country: Labourd, Lower Navarre and Soule (Lapurdi, Nafarroa Beherea and Zuberoa in Basque; Labourd, Basse-Navarre and Soule in French), devoid of official status within France's present-day political and administrative territorial organization, and only minor political support to the Basque nationalists. A large number of regional and local nationalist and non-nationalist representatives have waged a campaign for years advocating for the creation of a separate Basque département, while these demands have gone unheard by the French administration. Population, main cities and languages There are 2,123,000 people living in the Basque Autonomous Community (279,000 in Alava, 1,160,000 in Biscay and 684,000 in Gipuzkoa). The most important cities in this region, which serve as the provinces' administrative centers, are Bilbao (in Biscay), San Sebastián (in Gipuzkoa) and Vitoria-Gasteiz (in Álava). The official languages are Basque and Spanish. Knowledge of Spanish is compulsory under the Spanish constitution (article no. 3), and knowledge and usage of Basque is a right under the Statute of Autonomy (article no. 6), so only knowledge of Spanish is virtually universal. Knowledge of Basque, after declining for many years during Franco's dictatorship owing to official persecution, is again on the rise due to favorable official language policies and popular support. Currently about 33 percent of the population in the Basque Autonomous Community speaks Basque. Navarre has a population of 601,000; its administrative capital and main city, also regarded by many nationalist Basques as the Basques' historical capital, is Pamplona (Iruñea in modern Basque). Only Spanish is an official language of Navarre, and the Basque language is only co-official in the province's northern region, where most Basque-speaking Navarrese are concentrated. About a quarter of a million people live in the French Basque Country. Nowadays Basque-speakers refer to this region as Iparralde (Basque for North), and to the Spanish provinces as Hegoalde (South). Much of this population lives in or near the Bayonne-Anglet-Biarritz (BAB) urban belt on the coast (in Basque these are Baiona, Angelu and Miarritze). The Basque language, which was traditionally spoken by most of the region's population outside the BAB urban zone, is today rapidly losing ground to French. The French Basque Country's lack of self-government within the French state is coupled with the absence of official status for the Basque language in the region. Attempts to introduce bilingualism in local administration have so far met direct refusal from French officials. Basque diaspora Large numbers of Basques have left the Basque Country to settle in the rest of Spain, France or other parts of the world in different historical periods, often for economic or political reasons. Historically the Basques abroad were often employed in shepherding and ranching and by maritime fisheries and merchants. Millions of Basque descendants (see Basque American and Basque Canadian) live in North America (the United States; Canada, mainly in the provinces of Newfoundland and Quebec), all over Latin America, South Africa, and Australia. Miguel de Unamuno said: "There are at least two things that clearly can be attributed to Basques: the Society of Jesus and the Republic of Chile." Chilean historian Luis Thayer Ojeda estimated that 48 percent of immigrants to Chile in the 17th and 18th centuries were Basque. Estimates range between 2.5 - 5 million Basque descendants live in Chile; the Basque have been a major if not the strongest influence in the country's cultural and economic development. Basque place names are to be found, such as Nueva Vizcaya (now Chihuahua and Durango, Mexico), Biscayne Bay (United States), and Aguereberry Point (United States). Nueva Vizcaya was the first province in the north of the Viceroyalty of New Spain (Mexico) to be explored and settled by the Spanish. It consisted mostly of the area which is today the states of Chihuahua and Durango. In Mexico most descendents of Basque emigrees are concentrated in the cities of Monterrey, Saltillo, Reynosa, Camargo, and the states of Jalisco, Durango, Nuevo León, Tamaulipas, Coahuila, and Sonora. The Basques were important in the mining industry; many were ranchers and vaqueros (cowboys), and the rest opened small shops in major cities such as Mexico City, Guadalajara and Puebla. In Guatemala, most Basques have been concentrated in Sacatepequez Department, Antigua Guatemala, Jalapa for six generations now, while some have migrated to Guatemala City. In Colombia, a large number of Basques settled mainly in Antioquia and the Coffee Axis. In 1955, Joaquín Ospina said: "Is there something more similar to the Basque people than the "antioqueños". Also, writer Arturo Escobar Uribe said in his book "Mitos de Antioquia" (Myths of Antioquia) (1950): "Antioquia, which in its clean ascendance predominates the peninsular farmer of the Basque provinces, inherited the virtues of its ancestors... Despite the predominance of the white race, its extension in the mountains... has projected over Colombia's map the prototype of its race; in Medellín with the industrial paisa, entrepreneur, strong and steady... in its towns, the adventurer, arrogant, world-explorer... Its myths, which are an evidence of their deep credulity and an indubitable proof of their Iberian ancestor, are the sequel of the conqueror's blood which runs through their veins...". Bambuco, a Colombian folk music, has Basque roots. The largest of several important Basque communities in the United States is in the area around Boise, Idaho, home to the Basque Museum and Cultural Center, host to an annual Basque festival, as well as a festival for the Basque diaspora every five years. Reno, Nevada, where the Center for Basque Studies and the Basque Studies Library are located at the University of Nevada, is another significant nucleus of Basque population. Elko, Nevada, sponsors an annual Basque festival that celebrates the dance, cuisine and cultures of the Basque peoples of Spanish, French and Mexican nationalities who have arrived in Nevada since the late 19th century. Texas has a large percentage of Hispanics descended from Basques who participated in the conquest of New Spain. Many of the original Tejanos had Basque blood, including those who fought in the Battle of the Alamo alongside many of the other Texans. Along the Mexican/Texan border, many Basque surnames can be found. The largest concentration of Basques who settled on Mexico's north-eastern "frontera", including the states of Chihuahua, Durango, Coahuila, Nuevo León, and Tamaulipas, also settled along Texas' Rio Grande from South Texas to West Texas. Many of the historic hidalgos, or noble families from this area, had gained their titles and land grants from Spain and Mexico; they still value their land. Some of North America's largest ranches, which were founded under these colonial land grants, can be found in this region. California has a major concentration of Basques, most notably in the San Joaquin Valley between Stockton, Fresno and Bakersfield. The city of Bakersfield has a large Basque community and the city has several Basque restaurants, including Noriega's which won the 2011 James Beard Foundation America's Classic Award. There is a history of Basque culture in Chino, California. In Chino, two annual Basque festivals celebrate the dance, cuisine, and culture of the peoples. The surrounding area of San Bernardino County has many Basque descendants as residents. They are mostly descendants of settlers from Spain and Mexico. These Basques in California are grouped in the group known as Californios. Basques of European Spanish-French and Latin American nationalities also settled throughout the western U.S. in states like Louisiana, New Mexico, Arizona, Utah, Colorado, Wyoming, Montana, Oregon, and Washington. Culture Language The identifying language of the Basques is called Basque or Euskara, spoken today by 25%-30% of the region's population. An idea of the central place the language has in cultural terms is given by the fact that Basques identify themselves by the term euskaldun and their country as Euskal Herria, literally "Basque speaker" and "Country of the Basque Language" respectively. The language has been made a political issue by official Spanish and French policies restricting its use either historically or currently; however, this has not stopped the teaching, speaking, writing, and cultivating of this increasingly vibrant minority language. This sense of Basque identity tied to the local language does not only exist in isolation. For many Basques, it is juxtaposed with a sense of either Spanish or French identity tied with the use of the Spanish and French languages among other Basques, especially in the French Basque Country. Regarding the Spanish Basque Country, Basques that don't have a sense of Spanish identity make up an important part of the population. As with many European states, a regional identity, be it linguistically derived or otherwise, is not mutually exclusive with the broader national one. For example, Basque rugby union player for France, Imanol Harinordoquy, has said about his national identity:I am French and Basque. There is no conflict, I am proud of both. . . . I have friends who are involved in the political side of things but that is not for me. My only interest is the culture, the Euskera language, the people, our history and ways. As a result of state language promotion, school policies, the effects of mass media and migration, today virtually all Basques (except for some children below school age) speak the official language of their state (Spanish or French). There are extremely few Basque monolingual speakers: essentially all Basque speakers are bilingual on both sides of the border. Spanish or French is typically the first language of citizens from other regions (who often feel no need to learn Basque), and Spanish or French is also the first language of many Basques, all of which maintains the dominance of the state tongues of both France and Spain. Recent Basque Government policies aim to change this pattern, as they are viewed as potential threats against mainstream usage of the minority tongue. The Basque language is thought to be a genetic language isolate in contrast with other European languages, almost all of which belong to the broad Indo-European language family. Another peculiarity of Basque is that it has been spoken continuously in situ, in and around its present territorial location, for longer than other modern European languages, which were all introduced in historic or prehistoric times through population migrations or other processes of cultural transmission. However, popular stereotypes characterizing Basque as "the oldest language in Europe" and "unique among the world's languages" may be misunderstood and lead to erroneous assumptions. Over the centuries, Basque has remained in continuous contact with neighboring western European languages with which it has come to share numerous lexical properties and typological features; it is therefore misleading to exaggerate the "outlandish" character of Basque. Basque is also a modern language, and is established as a written and printed one used in present-day forms of publication and communication, as well as a language spoken and used in a very wide range of social and cultural contexts, styles, and registers. Land and inheritance Basques have a close attachment to their home (etxe(a) 'house, home'), especially when this consists of the traditional self-sufficient, family-run farm or baserri(a). Home in this context is synonymous with family roots. Some Basque surnames were adapted from old baserri or habitation names. They typically related to a geographical orientation or other locally meaningful identifying features. Such surnames provide even those Basques whose families may have left the land generations ago with an important link to their rural family origins: Bengoetxea "the house of further down", Goikoetxea "the house above", Landaburu "top of the field", Errekondo "next to the stream", Elizalde "by the church", Mendizabal "wide hill", Usetxe "house of birds" Ibarretxe "house in the valley", Etxeberria "the new house", and so on. In contrast to surrounding regions, ancient Basque inheritance patterns, recognised in the fueros, favoured survival of the unity of inherited land holdings. In a kind of primogeniture, these usually were inherited by the eldest male or female child. As in other cultures, the fate of other family members depended on the assets of a family: wealthy Basque families tended to provide for all children in some way, while less-affluent families may have had only one asset to provide to one child. However, this heir often provided for the rest of the family (unlike in England, with strict primogeniture, where the eldest son inherited everything and often did not provide for others). Even though they were provided for in some way, younger siblings had to make much of their living by other means. Mostly after the advent of industrialisation, this system resulted in the emigration of many rural Basques to Spain, France or the Americas. Harsh by modern standards, this custom resulted in a great many enterprising figures of Basque origin who went into the world to earn their way, from Spanish conquistadors such as Lope de Aguirre and Francisco Vásquez de Coronado, to explorers, missionaries and saints of the Catholic Church, such as Francis Xavier. A widespread belief that Basque society was originally matriarchal is at odds with the current, clearly patrilineal kinship system and inheritance structures. Some scholars and commentators have attempted to reconcile these points by assuming that patrilineal kinship represents an innovation. In any case, the social position of women in both traditional and modern Basque society is somewhat better than in neighbouring cultures, and women have a substantial influence in decisions about the domestic economy. In the past, some women participated in collective magical ceremonies. They were key participants in a rich folklore, today largely forgotten. Cuisine Basque cuisine is at the heart of Basque culture, influenced by the neighboring communities and produce from the sea and the land. A 20th-century feature of Basque culture is the phenomenon of gastronomical societies (called txoko in Basque), food clubs where men gather to cook and enjoy their own food. Until recently, women were allowed entry only one day in the year. Cider houses (Sagardotegiak) are popular restaurants in Gipuzkoa open for a few months while the cider is in season. Cultural production At the end of the 20th century, despite ETA violence (ended in 2010) and the crisis of heavy industries, the Basque economic condition recovered remarkably. They emerged from the Franco regime with a revitalized language and culture. The Basque language expanded geographically led by large increases in the major urban centers of Pamplona, Bilbao, and Bayonne, where only a few decades ago the Basque language had all but disappeared. Nowadays, the number of Basque speakers is maintaining its level or increasing slightly. Music Religion Traditionally Basques have been mostly Catholics. In the 19th century and well into the 20th, Basques as a group remained notably devout and churchgoing. In recent years church attendance has fallen off, as in most of Western Europe. The region has been a source of missionaries like Francis Xavier and Michel Garicoïts. Ignatius Loyola, founder of the Society of Jesus, was a Basque. California Franciscan Fermín Lasuén was born in Vitoria. Lasuén was the successor to Franciscan Padre Junípero Serra and founded 9 of the 21 extant California |
The Blot, a 1921 silent film Another name of a trick-taking card game Belot Blot (Transformers), a character from the Transformers franchise Ink blots, as used in the Rorschach test Blot (1994 film), a 1994 film See also "Hefja Blot", a song by Danheim for his album Friðr "Blotjarl", a song by ]]Danheim]] and Heldom for his album Skapanir "Vetrnátta Blot", a song by ]]Danheim]] and Heldom for his album Skapanir Phantom Blot, a character made by the Walt Disney Company Saint-Rémy-de-Blot, commune in the Puy-de-Dôme department in Auvergne in central France The Blot on the Shield, 1915 short film directed by B. Reeves Eason | name of a trick-taking card game Belot Blot (Transformers), a character from the Transformers franchise Ink blots, as used in the Rorschach test Blot (1994 film), a 1994 film See also "Hefja Blot", a song by Danheim for his album Friðr "Blotjarl", a song by ]]Danheim]] and Heldom for his album Skapanir "Vetrnátta Blot", a song by ]]Danheim]] and Heldom for his album Skapanir Phantom Blot, a character made |
Single-entry system The primary bookkeeping record in single-entry bookkeeping is the cash book, which is similar to a checking account register (in UK: cheque account, current account), except all entries are allocated among several categories of income and expense accounts. Separate account records are maintained for petty cash, accounts payable and accounts receivable, and other relevant transactions such as inventory and travel expenses. To save time and avoid the errors of manual calculations, single-entry bookkeeping can be done today with do-it-yourself bookkeeping software. Double-entry system A double-entry bookkeeping system is a set of rules for recording financial information in a financial accounting system in which every transaction or event changes at least two different nominal ledger accounts. Daybooks A daybook is a descriptive and chronological (diary-like) record of day-to-day financial transactions; it is also called a book of original entry. The daybook's details must be transcribed formally into journals to enable posting to ledgers. Daybooks include: Sales daybook, for recording sales invoices. Sales credits daybook, for recording sales credit notes. Purchases daybook, for recording purchase invoices. Purchases debits daybook, for recording purchase debit notes. Cash daybook, usually known as the cash book, for recording all monies received and all monies paid out. It may be split into two daybooks: a receipts daybook documenting every money-amount received, and a payments daybook recording every payment made. General Journal daybook, for recording journal entries. Petty cash book A petty cash book is a record of small-value purchases before they are later transferred to the ledger and final accounts; it is maintained by a petty or junior cashier. This type of cash book usually uses the imprest system: a certain amount of money is provided to the petty cashier by the senior cashier. This money is to cater for minor expenditures (hospitality, minor stationery, casual postage, and so on) and is reimbursed periodically on satisfactory explanation of how it was spent. And also the balance of petty cash book is Asset. Journals Journals are recorded in the general journal daybook. A journal is a formal and chronological record of financial transactions before their values are accounted for in the general ledger as debits and credits. A company can maintain one journal for all transactions, or keep several journals based on similar activity (e.g., sales, cash receipts, revenue, etc.), making transactions easier to summarize and reference later. For every debit journal entry recorded, there must be an equivalent credit journal entry to maintain a balanced accounting equation. Ledgers A ledger is a record of accounts. The ledger is a permanent summary of all amounts entered in supporting Journals which list individual transactions by date. These accounts are recorded separately, showing their beginning/ending balance. A journal lists financial transactions in chronological order, without showing their balance but showing how much is going to be charged in each account. A ledger takes each financial transaction from the journal and records it into the corresponding account for every transaction listed. The ledger also sums up the total of every account, which is transferred into the balance sheet and the income statement. There are three different kinds of ledgers that deal with book-keeping: Sales ledger, which deals mostly with the accounts receivable account. This ledger consists of the records of the financial transactions made by customers to the business. Purchase ledger is the record of the purchasing transactions a company does; it goes hand in hand with the Accounts Payable account. Abbreviations used in bookkeeping A/c – Account Acc – Account A/R – Accounts receivable A/P – Accounts payable B/S – Balance sheet c/d – Carried down b/d – Brought down c/f – Carried forward b/f – Brought forward Dr – Debit side of a ledger. "Dr" stands for "Debit register" Cr – Credit side of a ledger. "Cr" stands for "Credit register" G/L – General ledger; (or N/L – nominal ledger) PL – Profit and loss; (or I/S – income statement) P/L - Purchase Ledger (Accounts payable) P/R - Payroll PP&E – Property, plant and equipment S/L - Sales Ledger (Accounts | a posting, the debits of the posting equal the credits of the posting. If the two totals do not agree, an error has been made, either in the journals or during the posting process. The error must be located and rectified, and the totals of the debit column and the credit column recalculated to check for agreement before any further processing can take place. Once the accounts balance, the accountant makes a number of adjustments and changes the balance amounts of some of the accounts. These adjustments must still obey the double-entry rule: for example, the inventory account and asset account might be changed to bring them into line with the actual numbers counted during a stocktake. At the same time, the expense account associated with usage of inventory is adjusted by an equal and opposite amount. Other adjustments such as posting depreciation and prepayments are also done at this time. This results in a listing called the adjusted trial balance. It is the accounts in this list, and their corresponding debit or credit balances, that are used to prepare the financial statements. Finally financial statements are drawn from the trial balance, which may include: the income statement, also known as the statement of financial results, profit and loss account, or P&L the balance sheet, also known as the statement of financial position the cash flow statement the statement of changes in equity, also known as the statement of total recognised gains and losses Single-entry system The primary bookkeeping record in single-entry bookkeeping is the cash book, which is similar to a checking account register (in UK: cheque account, current account), except all entries are allocated among several categories of income and expense accounts. Separate account records are maintained for petty cash, accounts payable and accounts receivable, and other relevant transactions such as inventory and travel expenses. To save time and avoid the errors of manual calculations, single-entry bookkeeping can be done today with do-it-yourself bookkeeping software. Double-entry system A double-entry bookkeeping system is a set of rules for recording financial information in a financial accounting system in which every transaction or event changes at least two different nominal ledger accounts. Daybooks A daybook is a descriptive and chronological (diary-like) record of day-to-day financial transactions; it is also called a book of original entry. The daybook's details must be transcribed formally into journals to enable posting to ledgers. Daybooks include: Sales daybook, for recording sales invoices. Sales credits daybook, for recording sales credit notes. Purchases daybook, for recording purchase invoices. Purchases debits daybook, for recording purchase debit notes. Cash daybook, usually known as the cash book, for recording all monies received and all monies paid out. It may be split into two daybooks: a receipts daybook documenting every money-amount received, and a payments daybook recording every payment made. General Journal daybook, for recording journal entries. Petty cash book A petty cash book is a record of small-value purchases before they are later transferred to the ledger and final accounts; it is maintained by a petty or junior cashier. This type of cash book usually uses the imprest system: a certain amount of money is provided to the petty cashier by the senior cashier. This money is to cater for minor expenditures (hospitality, minor stationery, casual postage, and so on) and is reimbursed periodically on satisfactory explanation of how it was spent. And also the balance of petty cash book is Asset. Journals Journals are recorded in the general journal daybook. A journal is a formal and chronological record of financial transactions before their values are accounted for in the general ledger as debits and credits. A company can maintain one journal for all transactions, or keep several journals based on similar activity (e.g., sales, cash receipts, revenue, etc.), making transactions easier to summarize and reference later. For every debit journal entry recorded, there must be an equivalent credit journal entry to maintain a balanced accounting equation. Ledgers A ledger is a record of accounts. The ledger is a permanent summary of all amounts entered in supporting Journals which list individual transactions by date. These accounts are recorded separately, showing their beginning/ending balance. A journal lists financial transactions in chronological order, without showing their balance but showing how much is going to be charged in each account. A ledger takes each financial transaction from the journal and records it into the corresponding account for every transaction listed. The ledger also sums up the total of every account, which is transferred into the balance sheet and the income statement. There are three different kinds of ledgers that deal with book-keeping: Sales ledger, which deals mostly with the accounts receivable account. This ledger consists of the records of the financial transactions made by customers to the business. Purchase ledger is the record of the purchasing transactions a company does; it goes hand in hand with the Accounts Payable account. Abbreviations used in bookkeeping A/c – Account Acc – Account A/R – Accounts receivable A/P – Accounts payable B/S – Balance sheet c/d – Carried down b/d – Brought down c/f – Carried forward b/f – Brought forward Dr – Debit side of a ledger. "Dr" stands for "Debit register" Cr – Credit side of a ledger. "Cr" stands for "Credit register" G/L – General ledger; (or N/L – nominal ledger) PL – Profit and loss; (or I/S – income statement) P/L - Purchase Ledger (Accounts payable) P/R - Payroll PP&E – Property, plant and equipment S/L - Sales Ledger (Accounts receivable) TB – Trial Balance GST – Goods and services tax SGST- State goods & service tax CGST- Central goods & service tax IGST- integrated goods & service tax VAT – Value added tax CST – Central sale tax TDS – Tax deducted at source AMT – Alternate minimum tax EBITDA – Earnings before interest, taxes, depreciation and amortisation EBDTA – Earnings before depreciation, taxes and amortisation EBT – Earnings before tax EAT |
curve, called an offset or parallel curve in mathematics (lying "parallel" to the original curve, like the offset between rails in a railroad track), cannot be exactly formed by a Bézier curve (except in some trivial cases). In general, the two-sided offset curve of a cubic Bézier is a 10th-order algebraic curve and more generally for a Bézier of degree n the two-sided offset curve is an algebraic curve of degree 4n−2. However, there are heuristic methods that usually give an adequate approximation for practical purposes. In the field of vector graphics, painting two symmetrically distanced offset curves is called stroking (the Bézier curve or in general a path of several Bézier segments). The conversion from offset curves to filled Bézier contours is of practical importance in converting fonts defined in Metafont, which allows stroking of Bézier curves, to the more widely used PostScript type 1 fonts, which only allow (for efficiency purposes) the mathematically simpler operation of filling a contour defined by (non-self-intersecting) Bézier curves. Degree elevation A Bézier curve of degree n can be converted into a Bézier curve of degree n + 1 with the same shape. This is useful if software supports Bézier curves only of specific degree. For example, systems that can only work with cubic Bézier curves can implicitly work with quadratic curves by using their equivalent cubic representation. To do degree elevation, we use the equality Each component is multiplied by (1 − t) and t, thus increasing a degree by one, without changing the value. Here is the example of increasing degree from 2 to 3. For arbitrary n we use equalities Therefore: introducing arbitrary and . Therefore, new control points are Repeated degree elevation The concept of degree elevation can be repeated on a control polygon R to get a sequence of control polygons R, R1, R2, and so on. After r degree elevations, the polygon Rr has the vertices P0,r, P1,r, P2,r, ..., Pn+r,r given by It can also be shown that for the underlying Bézier curve B, Rational Bézier curves The rational Bézier curve adds adjustable weights to provide closer approximations to arbitrary shapes. The numerator is a weighted Bernstein-form Bézier curve and the denominator is a weighted sum of Bernstein polynomials. Rational Bézier curves can, among other uses, be used to represent segments of conic sections exactly, including circular arcs. Given n + 1 control points P0, ..., Pn, the rational Bézier curve can be described by or simply The expression can be extended by using number systems besides reals for the weights. In the complex plane the points {1}, {-1}, and {1} with weights {}, {1}, and {} generate a full circle with radius one. For curves with points and weights on a circle, the weights can be scaled without changing the curve's shape. Scaling the central weight of the above curve by 1.35508 gives a more uniform parameterization. Applications Computer graphics Bézier curves are widely used in computer graphics to model smooth curves. As the curve is completely contained in the convex hull of its control points, the points can be graphically displayed and used to manipulate the curve intuitively. Affine transformations such as translation and rotation can be applied on the curve by applying the respective transform on the control points of the curve. Quadratic and cubic Bézier curves are most common. Higher degree curves are more computationally expensive to evaluate. When more complex shapes are needed, low order Bézier curves are patched together, producing a composite Bézier curve. A composite Bézier curve is commonly referred to as a "path" in vector graphics languages (like PostScript), vector graphics standards (like SVG) and vector graphics programs (like Artline, Timeworks Publisher, Adobe Illustrator, CorelDraw, Inkscape, and Allegro). In order to join Bézier curves into a composite Bézier curve without kinks, a property called G1 continuous, it suffices to force the control point at which two constituent Bézier curves meet to lie on the line defined by the two control points on either side. The simplest method for scan converting (rasterizing) a Bézier curve is to evaluate it at many closely spaced points and scan convert the approximating sequence of line segments. However, this does not guarantee that the rasterized output looks sufficiently smooth, because the points may be spaced too far apart. Conversely it may generate too many points in areas where the curve is close to linear. A common adaptive method is recursive subdivision, in which a curve's control points are checked to see if the curve approximates a straight line to within a small tolerance. If not, the curve is subdivided parametrically into two segments, 0 ≤ t ≤ 0.5 and 0.5 ≤ t ≤ 1, and the same procedure is applied recursively to each half. There are also forward differencing methods, but great care must be taken to analyse error propagation. Analytical methods where a Bézier is intersected with each scan line involve finding roots of cubic polynomials (for cubic Béziers) and dealing with multiple roots, so they are not often used in practice. The rasterisation algorithm used in Metafont is based on discretising the curve, so that it is approximated by a sequence of "rook moves" that are purely vertical or purely horizontal, along the pixel boundaries. To that end, the plane is first split into eight 45° sectors (by the coordinate axes and the two lines ), then the curve is decomposed into smaller segments such that the direction of a curve segment stays within one sector; since the curve velocity is a second degree polynomial, finding the values where it is parallel | to join Bézier curves into a composite Bézier curve without kinks, a property called G1 continuous, it suffices to force the control point at which two constituent Bézier curves meet to lie on the line defined by the two control points on either side. The simplest method for scan converting (rasterizing) a Bézier curve is to evaluate it at many closely spaced points and scan convert the approximating sequence of line segments. However, this does not guarantee that the rasterized output looks sufficiently smooth, because the points may be spaced too far apart. Conversely it may generate too many points in areas where the curve is close to linear. A common adaptive method is recursive subdivision, in which a curve's control points are checked to see if the curve approximates a straight line to within a small tolerance. If not, the curve is subdivided parametrically into two segments, 0 ≤ t ≤ 0.5 and 0.5 ≤ t ≤ 1, and the same procedure is applied recursively to each half. There are also forward differencing methods, but great care must be taken to analyse error propagation. Analytical methods where a Bézier is intersected with each scan line involve finding roots of cubic polynomials (for cubic Béziers) and dealing with multiple roots, so they are not often used in practice. The rasterisation algorithm used in Metafont is based on discretising the curve, so that it is approximated by a sequence of "rook moves" that are purely vertical or purely horizontal, along the pixel boundaries. To that end, the plane is first split into eight 45° sectors (by the coordinate axes and the two lines ), then the curve is decomposed into smaller segments such that the direction of a curve segment stays within one sector; since the curve velocity is a second degree polynomial, finding the values where it is parallel to one of these lines can be done by solving quadratic equations. Within each segment, either horizontal or vertical movement dominates, and the total number of steps in either direction can be read off from the endpoint coordinates; in for example the 0–45° sector horizontal movement to the right dominates, so it only remains to decide between which steps to the right the curve should make a step up. There is also a modified curve form of Bresenham's line drawing algorithm by Zingl that performs this rasterization by subdividing the curve into rational pieces and calculating the error at each pixel location such that it either travels at a 45° angle or straight depending on compounding error as it iterates through the curve. This reduces the next step calculation to a series of integer additions and subtractions. Animation In animation applications, such as Adobe Flash and Synfig, Bézier curves are used to outline, for example, movement. Users outline the wanted path in Bézier curves, and the application creates the needed frames for the object to move along the path. In 3D animation, Bézier curves are often used to define 3D paths as well as 2D curves for keyframe interpolation. Bézier curves are now very frequently used to control the animation easing in CSS, JavaScript, JavaFx and Flutter SDK. Fonts TrueType fonts use composite Bézier curves composed of quadratic Bézier curves. Other languages and imaging tools (such as PostScript, Asymptote, Metafont, and SVG) use composite Béziers composed of cubic Bézier curves for drawing curved shapes. OpenType fonts can use either kind of curve, depending on which font technology underlies the OpenType wrapper. The internal rendering of all Bézier curves in font or vector graphics renderers will split them recursively up to the point where the curve is flat enough to be drawn as a series of linear or circular segments. The exact splitting algorithm is implementation dependent, only the flatness criteria must be respected to reach the necessary precision and to avoid non-monotonic local changes of curvature. The "smooth curve" feature of charts in Microsoft Excel also uses this algorithm. Because arcs of circles and ellipses cannot be exactly represented by Bézier curves, they are first approximated by Bézier curves, which are in turn approximated by arcs of circles. This is inefficient as there exists also approximations of all Bézier curves using arcs of circles or ellipses, which can be rendered incrementally with arbitrary precision. Another approach, used by modern hardware graphics adapters with accelerated geometry, can convert exactly all Bézier and conic curves (or surfaces) into NURBS, that can be rendered incrementally without first splitting the curve recursively to reach the necessary flatness condition. This approach also allows preserving the curve definition under all linear or perspective 2D and 3D transforms and projections. Font engines, like FreeType, draw the font's curves (and lines) on a pixellated surface using a process known as font rasterization. Robotics Bézier curves can be used in robotics to produce trajectories of an end-effector due to the virtue of the control polygon’s ability to give a clear indication of whether the path is colliding with any nearby obstacle or object. Furthermore, joint space trajectories can be accurately differentiated using Bézier curves. Consequently, the derivatives of joint space trajectories are used in the calculation of the dynamics and control effort (torque profiles) of the robotic manipulator. See also Bézier surface B-spline GEM/4 & GEM/5 Hermite curve NURBS String art – Bézier curves are also formed by many common forms of string art, where |
algebra is , the space of (complex-valued) continuous functions on a locally compact (Hausdorff) space that vanish at infinity. is unital if and only if X is compact. The complex conjugation being an involution, is in fact a C*-algebra. More generally, every C*-algebra is a Banach algebra by definition. The set of real (or complex) numbers is a Banach algebra with norm given by the absolute value. The set of all real or complex n-by-n matrices becomes a unital Banach algebra if we equip it with a sub-multiplicative matrix norm. Take the Banach space Rn (or Cn) with norm ||x|| = max |xi| and define multiplication componentwise: (x1,...,xn)(y1,...,yn) = (x1y1,...,xnyn). The quaternions form a 4-dimensional real Banach algebra, with the norm being given by the absolute value of quaternions. The algebra of all bounded real- or complex-valued functions defined on some set (with pointwise multiplication and the supremum norm) is a unital Banach algebra. The algebra of all bounded continuous real- or complex-valued functions on some locally compact space (again with pointwise operations and supremum norm) is a Banach algebra. The algebra of all continuous linear operators on a Banach space E (with functional composition as multiplication and the operator norm as norm) is a unital Banach algebra. The set of all compact operators on E is a Banach algebra and closed ideal. It is without identity if . If G is a locally compact Hausdorff topological group and μ is its Haar measure, then the Banach space L1(G) of all μ-integrable functions on G becomes a Banach algebra under the convolution xy(g) = ∫ x(h) y(h−1g) dμ(h) for x, y in L1(G). Uniform algebra: A Banach algebra that is a subalgebra of the complex algebra C(X) with the supremum norm and that contains the constants and separates the points of X (which must be a compact Hausdorff space). Natural Banach function algebra: A uniform algebra all of whose characters are evaluations at points of X. C*-algebra: A Banach algebra that is a closed *-subalgebra of the algebra of bounded operators on some Hilbert space. Measure algebra: A Banach algebra consisting of all Radon measures on some locally compact group, where the product of two measures is given by convolution of measures. Counterexamples The algebra of the quaternions is a real Banach algebra, but it is not a complex algebra (and hence not a complex Banach algebra) for the simple reason that the center of the quaternions is the real numbers, which cannot contain a copy of the complex numbers. Properties Several elementary functions that are defined via power series may be defined in any unital Banach algebra; examples include the exponential function and the trigonometric functions, and more generally any entire function. (In particular, the exponential map can be used to define abstract index groups.) The formula for the geometric series remains valid in general unital Banach algebras. The binomial theorem also holds for two commuting elements of a Banach algebra. The set of invertible elements in any unital Banach algebra is an open set, and the inversion operation on this set is continuous, (and hence is a homeomorphism) so that it forms a topological group under multiplication. If a Banach algebra has unit 1, then 1 cannot be a commutator; i.e., for any x, y ∈ A. This is because xy and yx have the same spectrum except possibly 0. The various algebras of functions given in the examples above have very different properties from standard examples of algebras such as the reals. For example: Every real Banach algebra that is a division algebra is isomorphic to the reals, the complexes, or the quaternions. Hence, the only complex Banach algebra that is a division algebra is the complexes. (This is known as the Gelfand–Mazur theorem.) Every unital real Banach algebra with no zero divisors, and in which every principal ideal is closed, is isomorphic to the reals, the complexes, or the quaternions. Every commutative real unital Noetherian Banach algebra with no zero divisors is isomorphic to the real or complex numbers. Every commutative real unital Noetherian Banach algebra (possibly having zero divisors) is finite-dimensional. Permanently singular elements in Banach algebras are topological divisors of zero, i.e., considering extensions B of Banach algebras A some elements that are singular in the given algebra A have a multiplicative inverse element in a Banach algebra extension B. Topological divisors of zero in A are permanently singular in any Banach extension B of A. Spectral theory Unital Banach algebras over the complex field provide a general setting to develop spectral theory. The spectrum of an element x ∈ A, denoted by , consists of all those complex scalars λ such that x − λ1 is not invertible in A. The spectrum of any element x is a closed subset of the closed disc in C with | by the norm. The norm is required to satisfy This ensures that the multiplication operation is continuous. A Banach algebra is called unital if it has an identity element for the multiplication whose norm is 1, and commutative if its multiplication is commutative. Any Banach algebra (whether it has an identity element or not) can be embedded isometrically into a unital Banach algebra so as to form a closed ideal of . Often one assumes a priori that the algebra under consideration is unital: for one can develop much of the theory by considering and then applying the outcome in the original algebra. However, this is not the case all the time. For example, one cannot define all the trigonometric functions in a Banach algebra without identity. The theory of real Banach algebras can be very different from the theory of complex Banach algebras. For example, the spectrum of an element of a nontrivial complex Banach algebra can never be empty, whereas in a real Banach algebra it could be empty for some elements. Banach algebras can also be defined over fields of p-adic numbers. This is part of p-adic analysis. Examples The prototypical example of a Banach algebra is , the space of (complex-valued) continuous functions on a locally compact (Hausdorff) space that vanish at infinity. is unital if and only if X is compact. The complex conjugation being an involution, is in fact a C*-algebra. More generally, every C*-algebra is a Banach algebra by definition. The set of real (or complex) numbers is a Banach algebra with norm given by the absolute value. The set of all real or complex n-by-n matrices becomes a unital Banach algebra if we equip it with a sub-multiplicative matrix norm. Take the Banach space Rn (or Cn) with norm ||x|| = max |xi| and define multiplication componentwise: (x1,...,xn)(y1,...,yn) = (x1y1,...,xnyn). The quaternions form a 4-dimensional real Banach algebra, with the norm being given by the absolute value of quaternions. The algebra of all bounded real- or complex-valued functions defined on some set (with pointwise multiplication and the supremum norm) is a unital Banach algebra. The algebra of all bounded continuous real- or complex-valued functions on some locally compact space (again with pointwise operations and supremum norm) is a Banach algebra. The algebra of all continuous linear operators on a Banach space E (with functional composition as multiplication and the operator norm as norm) is a unital Banach algebra. The set of all compact operators on E is a Banach algebra and closed ideal. It is without identity if . If G is a locally compact Hausdorff topological group and μ is its Haar measure, then the Banach space L1(G) of all μ-integrable functions on G becomes a Banach algebra under the convolution xy(g) = ∫ x(h) y(h−1g) dμ(h) for x, y in L1(G). Uniform algebra: A Banach algebra that is a subalgebra of the complex algebra C(X) with the supremum norm and that contains the constants and separates the points of X (which must be a compact Hausdorff space). Natural Banach function algebra: A uniform algebra all of whose characters are evaluations at points of X. C*-algebra: A Banach algebra that is a closed *-subalgebra of the algebra of bounded operators on some Hilbert space. Measure algebra: A Banach algebra consisting of all Radon measures on some locally compact group, where the product of two measures is given by convolution of measures. Counterexamples The algebra of the quaternions is a real Banach algebra, but it is not a complex algebra (and hence not a complex Banach algebra) for the simple reason that the center of the quaternions is the real numbers, which cannot contain a copy of the complex numbers. Properties Several elementary functions that are defined via power series may be defined in any unital Banach algebra; examples include the exponential function and the trigonometric functions, and more generally any entire function. (In particular, the exponential map can be used to define abstract index groups.) The formula for the geometric series remains valid in general unital Banach algebras. The binomial theorem also holds for two commuting elements of a Banach algebra. The set of invertible elements in any unital Banach algebra is an open set, and the inversion operation on this set is continuous, (and hence is a homeomorphism) so that it forms a topological group under multiplication. If a Banach algebra has unit 1, then 1 cannot be a commutator; i.e., for any x, y ∈ A. This is because xy and yx have the same spectrum except possibly 0. The various algebras of functions given in the examples above have very different properties from standard examples of algebras such as the reals. For example: Every real Banach algebra that is a division algebra is isomorphic to the reals, the complexes, or the quaternions. Hence, the only complex Banach algebra that is a division algebra is the complexes. (This is known |
October 1949, Ivinskaya was arrested at her apartment by the KGB. Ivinskaya relates in her memoirs that, when the agents burst into her apartment, she was at her typewriter working on translations of the Korean poet Won Tu-Son. Her apartment was ransacked and all items connected with Pasternak were piled up in her presence. Ivinskaya was taken to the Lubyanka Prison and repeatedly interrogated, where she refused to say anything incriminating about Pasternak. At the time, she was pregnant with Pasternak's child and had a miscarriage early in her ten-year sentence in the GULAG. Upon learning of his mistress' arrest, Pasternak telephoned Liuisa Popova and asked her to come at once to Gogol Boulevard. She found him sitting on a bench near the Palace of Soviets Metro Station. Weeping, Pasternak told her, "Everything is finished now. They've taken her away from me and I'll never see her again. It's like death, even worse." According to Ivinskaya, "After this, in conversation with people he scarcely knew, he always referred to Stalin as a 'murderer.' Talking with people in the offices of literary periodicals, he often asked: 'When will there be an end to this freedom for lackeys who happily walk over corpses to further their own interests?' He spent a good deal of time with Akhmatova—who in those years was given a very wide berth by most of the people who knew her. He worked intensively on the second part of Doctor Zhivago." In a 1958 letter to a friend in West Germany, Pasternak wrote, "She was put in jail on my account, as the person considered by the secret police to be closest to me, and they hoped that by means of a gruelling interrogation and threats they could extract enough evidence from her to put me on trial. I owe my life, and the fact that they did not touch me in those years, to her heroism and endurance." Translating Goethe Pasternak's translation of the first part of Faust led him to be attacked in the August 1950 edition of Novy Mir. The critic accused Pasternak of distorting Goethe's "progressive" meanings to support "the reactionary theory of 'pure art'", as well as introducing aesthetic and individualist values. In a subsequent letter to the daughter of Marina Tsvetaeva, Pasternak explained that the attack was motivated by the fact that the supernatural elements of the play, which Novy Mir considered, "irrational," had been translated as Goethe had written them. Pasternak further declared that, despite the attacks on his translation, his contract for the second part had not been revoked. Khrushchev thaw When Stalin died of a stroke on 5 March 1953, Ivinskaya was still imprisoned in the Gulag, and Pasternak was in Moscow. Across the nation, there were waves of panic, confusion, and public displays of grief. Pasternak wrote, "Men who are not free... always idealize their bondage." After her release, Pasternak's relationship with Ivinskaya picked up where it had left off. Soon after he confided in her, "For so long we were ruled over by a madman and a murderer, and now by a fool and a pig. The madman had his occasional flights of fancy, he had an intuitive feeling for certain things, despite his wild obscurantism. Now we are ruled over by mediocrities." During this period, Pasternak delighted in reading a clandestine copy of George Orwell's Animal Farm in English. In conversation with Ivinskaya, Pasternak explained that the pig dictator Napoleon, in the novel, "vividly reminded" him of Soviet Premier Nikita Khrushchev. Doctor Zhivago Although it contains passages written in the 1910s and 1920s, Doctor Zhivago was not completed until 1955. Pasternak submitted the novel to Novy Mir in 1956, which refused publication due to its rejection of socialist realism. The author, like his protagonist Yuri Zhivago, showed more concern for the welfare of individual characters than for the "progress" of society. Censors also regarded some passages as anti-Soviet, especially the novel's criticisms of Stalinism, Collectivisation, the Great Purge, and the Gulag. Pasternak's fortunes were soon to change, however. In March 1956, the Italian Communist Party sent a journalist, Sergio D'Angelo, to work in the Soviet Union, and his status as a journalist as well as his membership in the Italian Communist Party allowed him to have access to various aspects of the cultural life in Moscow at the time. A Milan publisher, the communist Giangiacomo Feltrinelli, had also given him a commission to find new works of Soviet literature that would be appealing to Western audiences, and upon learning of Doctor Zhivagos existence, D'Angelo travelled immediately to Peredelkino and offered to submit Pasternak's novel to Feltrinelli's company for publication. At first Pasternak was stunned. Then he brought the manuscript from his study and told D'Angelo with a laugh, "You are hereby invited to watch me face the firing squad." According to Lazar Fleishman, Pasternak was aware that he was taking a huge risk. No Soviet author had attempted to deal with Western publishers since the 1920s, when such behavior led the Soviet State to declare war on Boris Pilnyak and Evgeny Zamyatin. Pasternak, however, believed that Feltrinelli's Communist affiliation would not only guarantee publication, but might even force the Soviet State to publish the novel in Russia. In a rare moment of agreement, both Olga Ivinskaya and Zinaida Pasternak were horrified by the submission of Doctor Zhivago to a Western publishing house. Pasternak, however, refused to change his mind and informed an emissary from Feltrinelli that he was prepared to undergo any sacrifice in order to see Doctor Zhivago published. In 1957, Feltrinelli announced that the novel would be published by his company. Despite repeated demands from visiting Soviet emissaries, Feltrinelli refused to cancel or delay publication. According to Ivinskaya, "He did not believe that we would ever publish the manuscript here and felt he had no right to withhold a masterpiece from the world – this would be an even greater crime." The Soviet government forced Pasternak to cable the publisher to withdraw the manuscript, but he sent separate, secret letters advising Feltrinelli to ignore the telegrams. Helped considerably by the Soviet campaign against the novel (as well as by the U.S. Central Intelligence Agency's secret purchase of hundreds of copies of the book as it came off the presses around the world – see "Nobel Prize" section below), Doctor Zhivago became an instant sensation throughout the non-Communist world upon its release in November 1957. In the State of Israel, however, Pasternak's novel was sharply criticized for its assimilationist views towards the Jewish people. When informed of this, Pasternak responded, "No matter. I am above race..." According to Lazar Fleishman, Pasternak had written the disputed passages prior to Israeli independence. At the time, Pasternak had also been regularly attending Russian Orthodox Divine Liturgy. Therefore, he believed that Soviet Jews converting to Christianity was preferable to assimilating into atheism and Stalinism. The first English translation of Doctor Zhivago was hastily produced by Max Hayward and Manya Harari in order to coincide with overwhelming public demand. It was released in August 1958, and remained the only edition available for more than fifty years. Between 1958 and 1959, the English language edition spent 26 weeks at the top of The New York Times''' bestseller list. Ivinskaya's daughter Irina circulated typed copies of the novel in Samizdat. Although no Soviet critics had read the banned novel, Doctor Zhivago was pilloried in the State-owned press. Similar attacks led to a humorous Russian saying, "I haven't read Pasternak, but I condemn him". During the aftermath of the Second World War, Pasternak had composed a series of poems on Gospel themes. According to Ivinskaya, Pasternak had regarded Stalin as a "giant of the pre-Christian era." Therefore, Pasternak's decision to write Christian poetry was "a form of protest." On 9 September 1958, the Literary Gazette critic Viktor Pertsov retaliated by denouncing "the decadent religious poetry of Pasternak, which reeks of mothballs from the Symbolist suitcase of 1908–10 manufacture." Furthermore, the author received much hate mail from Communists both at home and abroad. According to Ivinskaya, Pasternak continued to receive such letters for the remainder of his life. In a letter written to his sister Josephine, however, Pasternak recalled the words of his friend Ekaterina Krashennikova upon reading Doctor Zhivago. She had said, "Don't forget yourself to the point of believing that it was you who wrote this work. It was the Russian people and their sufferings who created it. Thank God for having expressed it through your pen." Nobel Prize According to Yevgeni Borisovich Pasternak, "Rumors that Pasternak was to receive the Nobel Prize started right after the end of World War II. According to the former Nobel Committee head Lars Gyllensten, his nomination was discussed every year from 1946 to 1950, then again in 1957 (it was finally awarded in 1958). Pasternak guessed at this from the growing waves of criticism in USSR. Sometimes he had to justify his European fame: 'According to the Union of Soviet Writers, some literature circles of the West see unusual importance in my work, not matching its modesty and low productivity…' Meanwhile, Pasternak wrote to Renate Schweitzer and his sister, Lydia Pasternak Slater. In both letters, the author expressed hope that he would be passed over by the Nobel Committee in favour of Alberto Moravia. Pasternak wrote that he was wracked with torments and anxieties at the thought of placing his loved ones in danger. On 23 October 1958, Boris Pasternak was announced as the winner of the Nobel Prize. The citation credited Pasternak's contribution to Russian lyric poetry and for his role in "continuing the great Russian epic tradition." On 25 October, Pasternak sent a telegram to the Swedish Academy: "Infinitely grateful, touched, proud, surprised, overwhelmed." That same day, the Literary Institute in Moscow demanded that all its students sign a petition denouncing Pasternak and his novel. They were further ordered to join a "spontaneous" demonstration demanding Pasternak's exile from the Soviet Union. Also on that day, the Literary Gazette published a letter which was sent to B. Pasternak in September 1956 by the editors of the Soviet literary journal Novy Mir to justify their rejection of Doctor Zhivago. In publishing this letter the Soviet authorities wished to justify the measures they had taken against the author and his work. On 26 October, the Literary Gazette ran an article by David Zaslavski entitled, Reactionary Propaganda Uproar over a Literary Weed. According to Solomon Volkov: Furthermore, Pasternak was informed that, if he traveled to Stockholm to collect his Nobel Medal, he would be refused re-entry to the Soviet Union. As a result, on 29 October Pasternak sent a second telegram to the Nobel Committee: "In view of the meaning given the award by the society in which I live, I must renounce this undeserved distinction which has been conferred on me. Please do not take my voluntary renunciation amiss." The Swedish Academy announced: "This refusal, of course, in no way alters the validity of the award. There remains only for the Academy, however, to announce with regret that the presentation of the Prize cannot take place." According to Yevgenii Pasternak, "I couldn't recognize my father when I saw him that evening. Pale, lifeless face, tired painful eyes, and only speaking about the same thing: 'Now it all doesn’t matter, I declined the Prize. Deportation plans Despite his decision to decline the award, the Soviet Union of Writers continued to demonise Pasternak in the State-owned press. Furthermore, he was threatened at the very least with formal exile to the West. In response, Pasternak wrote directly to Soviet Premier Nikita Khrushchev, In The Oak and the Calf, Alexander Solzhenitsyn sharply criticized Pasternak, both for declining the Nobel Prize and for sending such a letter to Khrushchev. In her own memoirs, Olga Ivinskaya blames herself for pressuring her lover into making both decisions. According to Yevgenii Pasternak, "She accused herself bitterly for persuading Pasternak to decline the Prize. After all that had happened, open shadowing, friends turning away, Pasternak's suicidal condition at the time, one can... understand her: the memory of Stalin's camps was too fresh, [and] she tried to protect him." On 31 October 1958, the Union of Soviet Writers held a trial behind closed doors. According to the meeting minutes, Pasternak was denounced as an internal emigré and a Fascist fifth columnist. Afterwards, the attendees announced that Pasternak had been expelled from the Union. They further signed a petition to the Politburo, demanding that Pasternak be stripped of his Soviet citizenship and exiled to "his Capitalist paradise." According to Yevgenii Pasternak, however, author Konstantin Paustovsky refused to attend the meeting. Yevgeny Yevtushenko did attend, but walked out in disgust. According to Yevgenii Pasternak, his father would have been exiled had it not been for Indian Prime Minister Jawaharlal Nehru, who telephoned Khrushchev and threatened to organize a Committee for Pasternak's protection. It is possible that the 1958 Nobel Prize prevented Pasternak's imprisonment due to the Soviet State's fear of international protests. Yevgenii Pasternak believes, however, that the resulting persecution fatally weakened his father's health. Meanwhile, Bill Mauldin produced a cartoon about Pasternak that won the 1959 Pulitzer Prize for Editorial Cartooning. The cartoon depicts Pasternak as a GULAG inmate splitting trees in the snow, saying to another inmate: "I won the Nobel Prize for Literature. What was your crime?" Last years Pasternak's post-Zhivago poetry probes the universal questions of love, immortality, and reconciliation with God.Conference set on Doctor Zhivago writer (Stanford Report, 28 April 2004) Boris Pasternak wrote his last complete book, When the Weather Clears, in 1959. According to Ivinskaya, Pasternak continued to stick to his daily writing schedule even during the controversy over Doctor Zhivago. He also continued translating the writings of Juliusz Słowacki and Pedro Calderón de la Barca. In his work on Calderon, Pasternak received the discreet support of Nikolai Mikhailovich Liubimov, a senior figure in the Party's literary apparatus. Ivinskaya describes Liubimov as, "a shrewd and enlightened person who understood very well that all the mudslinging and commotion over the novel would be forgotten, but that there would always be a Pasternak." In a letter to his sisters in Oxford, England, Pasternak claimed to have finished translating one of Calderon's plays in less than a week. During the summer of 1959, Pasternak began writing The Blind Beauty, a trilogy of stage plays set before and after Alexander II's abolition of serfdom in Russia. In an interview with Olga Carlisle from The Paris Review, Pasternak enthusiastically described the play's plot and characters. He informed Olga Carlisle that, at the end of The Blind Beauty, he wished to depict "the birth of an enlightened and affluent middle class, open to occidental influences, progressive, intelligent, artistic". However, Pasternak fell ill with terminal lung cancer before he could complete the first play of the trilogy. "Unique Days" "Unique Days" was the last poem Pasternak wrote. Death Boris Pasternak died of lung cancer in his dacha in Peredelkino on the evening of 30 May 1960. He first summoned his sons, and in their presence said, "Who will suffer most because of my death? Who will suffer most? Only Oliusha will, and I haven't had time to do anything for her. The worst thing is that she will suffer." Pasternak's last words were, "I can't hear very well. And there's a mist in front of my eyes. But it will go away, won't it? Don't forget to open the window tomorrow." Shortly before his death, a priest of the Russian Orthodox Church had given Pasternak the last rites. Later, in the strictest secrecy, a Russian Orthodox funeral liturgy, or Panikhida, was offered in the family's dacha. Funeral demonstration Despite only a small notice appearing in the Literary Gazette, handwritten notices carrying the date and time of the funeral were posted throughout the Moscow subway system. As a result, thousands of admirers braved Militia and KGB surveillance to attend Pasternak's funeral in Peredelkino. Before Pasternak's civil funeral, Ivinskaya had a conversation with Konstantin Paustovsky. According to her, Then, in the presence of a large number of foreign journalists, the body of Pasternak was removed to the cemetery. According to Ivinskaya, To the horror of the assembled Party officials, however, someone with "a young and deeply anguished voice" began reciting Pasternak's banned poem Hamlet. According to Ivinskaya, The final speaker at the graveside service said, As the spectators cheered, the bells of Peredelkino's Church of the Transfiguration began to toll. Written prayers for the dead were then placed upon Pasternak's forehead and the coffin was closed and buried. Pasternak's gravesite would go on to become a major shrine for members of the Soviet dissident movement. Modern research about the CIA role in the 1958 Nobel Award Writer and Radio Liberty journalist Ivan Tolstoy wrote the book The Laundered Novel: Doctor Zhivago between the KGB and the CIA, published in Russia in December 2008. Ivan Tolstoy said in his book the British MI6 and the American CIA allegedly lent a hand to ensure that Doctor Zhivago was submitted to the Nobel Committee in the original Russian. According to Tolstoy, this was allegedly done so that Pasternak could win the Nobel Prize and harm the international credibility of the Soviet Union. He repeats and elaborates upon Feltrinelli's claims | was largely composed of anti-communist emigres. In 1932 Pasternak fell in love with Zinaida Neuhaus, the wife of the Russian pianist Heinrich Neuhaus. They both got divorces and married two years later. He continued to change his poetry, simplifying his style and language through the years, as expressed in his next book, Early Trains (1943). Stalin Epigram In April 1934 Osip Mandelstam recited his "Stalin Epigram" to Pasternak. After listening, Pasternak told Mandelstam: "I didn't hear this, you didn't recite it to me, because, you know, very strange and terrible things are happening now: they've begun to pick people up. I'm afraid the walls have ears and perhaps even these benches on the boulevard here may be able to listen and tell tales. So let's make out that I heard nothing." On the night of 14 May 1934, Mandelstam was arrested at his home based on a warrant signed by NKVD boss Genrikh Yagoda. Devastated, Pasternak went immediately to the offices of Izvestia and begged Nikolai Bukharin to intercede on Mandelstam's behalf. Soon after his meeting with Bukharin, the telephone rang in Pasternak's Moscow apartment. A voice from the Kremlin said, "Comrade Stalin wishes to speak with you." According to Ivinskaya, Pasternak was struck dumb. "He was totally unprepared for such a conversation. But then he heard his voice, the voice of Stalin, coming over the line. The Leader addressed him in a rather bluff uncouth fashion, using the familiar thou form: 'Tell me, what are they saying in your literary circles about the arrest of Mandelstam?'" Flustered, Pasternak denied that there was any discussion or that there were any literary circles left in Soviet Russia. Stalin went on to ask him for his own opinion of Mandelstam. In an "eager fumbling manner" Pasternak explained that he and Mandelstam each had a completely different philosophy about poetry. Stalin finally said, in a mocking tone of voice: "I see, you just aren't able to stick up for a comrade", and put down the receiver. Great Purge According to Pasternak, during the 1937 show trial of General Iona Yakir and Marshal Mikhail Tukhachevsky, the Union of Soviet Writers requested all members to add their names to a statement supporting the death penalty for the defendants. Pasternak refused to sign, even after leadership of the Union visited and threatened him. Soon after, Pasternak appealed directly to Stalin, describing his family's strong Tolstoyan convictions and putting his own life at Stalin's disposal; he said that he could not stand as a self-appointed judge of life and death. Pasternak was certain that he would be arrested, but instead Stalin is said to have crossed Pasternak's name off an execution list, reportedly declaring, "Do not touch this cloud dweller" (or, in another version, "Leave that holy fool alone!"). Pasternak's close friend Titsian Tabidze did fall victim to the Great Purge. In an autobiographical essay published in the 1950s, Pasternak described the execution of Tabidze and the suicides of Marina Tsvetaeva and Paolo Iashvili as the greatest heartbreaks of his life. Ivinskaya wrote, "I believe that between Stalin and Pasternak there was an incredible, silent duel." World War II When the Luftwaffe began bombing Moscow, Pasternak immediately began to serve as a fire warden on the roof of the writer's building on Lavrushinski Street. According to Ivinskaya, he repeatedly helped to dispose of German bombs which fell on it. In 1943, Pasternak was finally granted permission to visit the soldiers at the front. He bore it well, considering the hardships of the journey (he had a weak leg from an old injury), and he wanted to go to the most dangerous places. He read his poetry and talked extensively with the active and injured troops. With the end of the war in 1945, the Soviet people expected to see the end of the devastation of Nazism, and hoped for the end of Stalin's purges. But sealed trains began carrying large numbers of prisoners to the Soviet Gulags. Some were Nazi collaborators who had fought under General Andrey Vlasov, but most were ordinary Soviet officers and men. Pasternak watched as ex-POWs were directly transferred from Nazi Germany to Soviet concentration camps. White emigres who had returned due to pledges of amnesty were also sent directly to the Gulag, as were Jews from the Anti-Fascist Committee and other organizations. Many thousands of innocent people were incarcerated in connection with the Leningrad affair and the so-called doctors' plot, while whole ethnic groups were deported to Siberia. Pasternak later said, "If, in a bad dream, we had seen all the horrors in store for us after the war, we should not have been sorry to see Stalin fall, together with Hitler. Then, an end to the war in favour of our allies, civilized countries with democratic traditions, would have meant a hundred times less suffering for our people than that which Stalin again inflicted on it after his victory." Olga Ivinskaya In October 1946, the twice married Pasternak met Olga Ivinskaya, a 34 year old single mother employed by Novy Mir. Deeply moved by her resemblance to his first love Ida Vysotskaya, Pasternak gave Ivinskaya several volumes of his poetry and literary translations. Although Pasternak never left his wife Zinaida, he started an extramarital relationship with Ivinskaya that would last for the remainder of Pasternak's life. Ivinskaya later recalled, "He phoned almost every day and, instinctively fearing to meet or talk with him, yet dying of happiness, I would stammer out that I was "busy today." But almost every afternoon, toward the end of working hours, he came in person to the office and often walked with me through the streets, boulevards, and squares all the way home to Potapov Street. 'Shall I make you a present of this square?' he would ask." She gave him the phone number of her neighbour Olga Volkova who resided below. In the evenings, Pasternak would phone and Volkova would signal by Olga banging on the water pipe which connected their apartments. When they first met, Pasternak was translating the verse of the Hungarian national poet, Sándor Petőfi. Pasternak gave his lover a book of Petőfi with the inscription, "Petőfi served as a code in May and June 1947, and my close translations of his lyrics are an expression, adapted to the requirements of the text, of my feelings and thoughts for you and about you. In memory of it all, B.P., 13 May 1948." Pasternak later noted on a photograph of himself, "Petőfi is magnificent with his descriptive lyrics and picture of nature, but you are better still. I worked on him a good deal in 1947 and 1948, when I first came to know you. Thank you for your help. I was translating both of you." Ivinskaya would later describe the Petőfi translations as, "a first declaration of love." According to Ivinskaya, Zinaida Pasternak was infuriated by her husband's infidelity. Once, when his younger son Leonid fell seriously ill, Zinaida extracted a promise from her husband, as they stood by the boy's sickbed, that he would end his affair with Ivinskaya. Pasternak asked Luisa Popova, a mutual friend, to tell Ivinskaya about his promise. Popova told him that he must do it himself. Soon after, Ivinskaya happened to be ill at Popova's apartment, when suddenly Zinaida Pasternak arrived and confronted her. Ivinskaya later recalled, In 1948, Pasternak advised Ivinskaya to resign her job at Novy Mir, which was becoming extremely difficult due to their relationship. In the aftermath, Pasternak began to instruct her in translating poetry. In time, they began to refer to her apartment on Potapov Street as, "Our Shop." On the evening of 6 October 1949, Ivinskaya was arrested at her apartment by the KGB. Ivinskaya relates in her memoirs that, when the agents burst into her apartment, she was at her typewriter working on translations of the Korean poet Won Tu-Son. Her apartment was ransacked and all items connected with Pasternak were piled up in her presence. Ivinskaya was taken to the Lubyanka Prison and repeatedly interrogated, where she refused to say anything incriminating about Pasternak. At the time, she was pregnant with Pasternak's child and had a miscarriage early in her ten-year sentence in the GULAG. Upon learning of his mistress' arrest, Pasternak telephoned Liuisa Popova and asked her to come at once to Gogol Boulevard. She found him sitting on a bench near the Palace of Soviets Metro Station. Weeping, Pasternak told her, "Everything is finished now. They've taken her away from me and I'll never see her again. It's like death, even worse." According to Ivinskaya, "After this, in conversation with people he scarcely knew, he always referred to Stalin as a 'murderer.' Talking with people in the offices of literary periodicals, he often asked: 'When will there be an end to this freedom for lackeys who happily walk over corpses to further their own interests?' He spent a good deal of time with Akhmatova—who in those years was given a very wide berth by most of the people who knew her. He worked intensively on the second part of Doctor Zhivago." In a 1958 letter to a friend in West Germany, Pasternak wrote, "She was put in jail on my account, as the person considered by the secret police to be closest to me, and they hoped that by means of a gruelling interrogation and threats they could extract enough evidence from her to put me on trial. I owe my life, and the fact that they did not touch me in those years, to her heroism and endurance." Translating Goethe Pasternak's translation of the first part of Faust led him to be attacked in the August 1950 edition of Novy Mir. The critic accused Pasternak of distorting Goethe's "progressive" meanings to support "the reactionary theory of 'pure art'", as well as introducing aesthetic and individualist values. In a subsequent letter to the daughter of Marina Tsvetaeva, Pasternak explained that the attack was motivated by the fact that the supernatural elements of the play, which Novy Mir considered, "irrational," had been translated as Goethe had written them. Pasternak further declared that, despite the attacks on his translation, his contract for the second part had not been revoked. Khrushchev thaw When Stalin died of a stroke on 5 March 1953, Ivinskaya was still imprisoned in the Gulag, and Pasternak was in Moscow. Across the nation, there were waves of panic, confusion, and public displays of grief. Pasternak wrote, "Men who are not free... always idealize their bondage." After her release, Pasternak's relationship with Ivinskaya picked up where it had left off. Soon after he confided in her, "For so long we were ruled over by a madman and a murderer, and now by a fool and a pig. The madman had his occasional flights of fancy, he had an intuitive feeling for certain things, despite his wild obscurantism. Now we are ruled over by mediocrities." During this period, Pasternak delighted in reading a clandestine copy of George Orwell's Animal Farm in English. In conversation with Ivinskaya, Pasternak explained that the pig dictator Napoleon, in the novel, "vividly reminded" him of Soviet Premier Nikita Khrushchev. Doctor Zhivago Although it contains passages written in the 1910s and 1920s, Doctor Zhivago was not completed until 1955. Pasternak submitted the novel to Novy Mir in 1956, which refused publication due to its rejection of socialist realism. The author, like his protagonist Yuri Zhivago, showed more concern for the welfare of individual characters than for the "progress" of society. Censors also regarded some passages as anti-Soviet, especially the novel's criticisms of Stalinism, Collectivisation, the Great Purge, and the Gulag. Pasternak's fortunes were soon to change, however. In March 1956, the Italian Communist Party sent a journalist, Sergio D'Angelo, to work in the Soviet Union, and his status as a journalist as well as his membership in the Italian Communist Party allowed him to have access to various aspects of the cultural life in Moscow at the time. A Milan publisher, the communist Giangiacomo Feltrinelli, had also given him a commission to find new works of Soviet literature that would be appealing to Western audiences, and upon learning of Doctor Zhivagos existence, D'Angelo travelled immediately to Peredelkino and offered to submit Pasternak's novel to Feltrinelli's company for publication. At first Pasternak was stunned. Then he brought the manuscript from his study and told D'Angelo with a laugh, "You are hereby invited to watch me face the firing squad." According to Lazar Fleishman, Pasternak was aware that he was taking a huge risk. No Soviet author had attempted to deal with Western publishers since the 1920s, when such behavior led the Soviet State to declare war on Boris Pilnyak and Evgeny Zamyatin. Pasternak, however, believed that Feltrinelli's Communist affiliation would not only guarantee publication, but might even force the Soviet State to publish the novel in Russia. In a rare moment of agreement, both Olga Ivinskaya and Zinaida Pasternak were horrified by the submission of Doctor Zhivago to a Western publishing house. Pasternak, however, refused to change his mind and informed an emissary from Feltrinelli that he was prepared to undergo any sacrifice in order to see Doctor Zhivago published. In 1957, Feltrinelli announced that the novel would be published by his company. Despite repeated demands from visiting Soviet emissaries, Feltrinelli refused to cancel or delay publication. According to Ivinskaya, "He did not believe that we would ever publish the manuscript here and felt he had no right to withhold a masterpiece from the world – this would be an even greater crime." The Soviet government forced Pasternak to cable the publisher to withdraw the manuscript, but he sent separate, secret letters advising Feltrinelli to ignore the telegrams. Helped considerably by the Soviet campaign against the novel (as well as by the U.S. Central Intelligence Agency's secret purchase of hundreds of copies of the book as it came off the presses around the world – see "Nobel Prize" section below), Doctor Zhivago became an instant sensation throughout the non-Communist world upon its release in November 1957. In the State of Israel, however, Pasternak's novel was sharply criticized for its assimilationist views towards the Jewish people. When informed of this, Pasternak responded, "No matter. I am above race..." According to Lazar Fleishman, Pasternak had written the disputed passages prior to Israeli independence. At the time, Pasternak had also been regularly attending Russian Orthodox Divine Liturgy. Therefore, he believed that Soviet Jews converting to Christianity was preferable to assimilating into atheism and Stalinism. The first English translation of Doctor Zhivago was hastily produced by Max Hayward and Manya Harari in order to coincide with overwhelming public demand. It was released in August 1958, and remained the only edition available for more than fifty years. Between 1958 and 1959, the English language edition spent 26 weeks at the top of The New York Times''' bestseller list. Ivinskaya's daughter Irina circulated typed copies of the novel in Samizdat. Although no Soviet critics had read the banned novel, Doctor Zhivago was pilloried in the State-owned press. Similar attacks led to a humorous Russian saying, "I haven't read Pasternak, but I condemn him". During the aftermath of the Second World War, Pasternak had composed a series of poems on Gospel themes. According to Ivinskaya, Pasternak had regarded Stalin as a "giant of the pre-Christian era." Therefore, Pasternak's decision to write Christian poetry was "a form of protest." On 9 September 1958, the Literary Gazette critic Viktor Pertsov retaliated by denouncing "the decadent religious poetry of Pasternak, which reeks of mothballs from the Symbolist suitcase of 1908–10 manufacture." Furthermore, the author received much hate mail from Communists both at home and abroad. According to Ivinskaya, Pasternak continued to receive such letters for the remainder of his life. In a letter written to his sister Josephine, however, Pasternak recalled the words of his friend Ekaterina Krashennikova upon reading Doctor Zhivago. She had said, "Don't forget yourself to the point of believing that it was you who wrote this work. It was the Russian people and their sufferings who created it. Thank God for having expressed it through your pen." Nobel Prize According to Yevgeni Borisovich Pasternak, "Rumors that Pasternak was to receive the Nobel Prize started right after the end of World War II. According to the former Nobel Committee head Lars Gyllensten, his nomination was discussed every year from 1946 to 1950, then again in 1957 (it was finally awarded in 1958). Pasternak guessed at this from the growing waves of criticism in USSR. Sometimes he had to justify his European fame: 'According to the Union of Soviet Writers, some literature circles of the West see unusual importance in my work, not matching its modesty and low productivity…' Meanwhile, Pasternak wrote to Renate Schweitzer and his sister, Lydia Pasternak Slater. In both letters, the author expressed hope that he would be passed over by the Nobel Committee in favour of Alberto Moravia. Pasternak wrote that he was wracked with torments and anxieties at the thought of placing his loved ones in danger. On 23 October 1958, Boris Pasternak was announced as the winner of the Nobel Prize. The citation credited Pasternak's contribution to Russian lyric poetry and for his role in "continuing the great Russian epic tradition." On 25 October, Pasternak sent a telegram to the Swedish Academy: "Infinitely grateful, touched, proud, surprised, overwhelmed." That same day, the Literary Institute in Moscow demanded that all its students sign a petition denouncing Pasternak and his novel. They were further ordered to join a "spontaneous" demonstration demanding Pasternak's exile from the Soviet Union. Also on that day, the Literary Gazette published a letter which was sent to B. Pasternak in September 1956 by the editors of the Soviet literary journal Novy Mir to justify their rejection of Doctor Zhivago. In publishing this letter the Soviet authorities wished to justify the measures they had taken against the author and his work. On 26 October, the Literary Gazette ran an article by David Zaslavski entitled, Reactionary Propaganda Uproar over a Literary Weed. According to Solomon Volkov: Furthermore, Pasternak was informed that, if he traveled to Stockholm to collect his Nobel Medal, he would be refused re-entry to the Soviet Union. As a result, on 29 October Pasternak sent a second telegram to the Nobel Committee: "In view of the meaning given the award by the society in which I live, I must renounce this undeserved distinction which has been conferred on me. Please do not take my voluntary renunciation amiss." The Swedish Academy announced: "This refusal, of course, in no way alters the validity of the award. There remains only for the Academy, however, to announce with regret that the presentation of the Prize cannot take place." According to Yevgenii Pasternak, "I couldn't recognize my father when I saw him that evening. Pale, lifeless face, tired painful eyes, and only speaking about the same thing: 'Now it all doesn’t matter, I declined the Prize. Deportation plans Despite his decision to decline the award, the Soviet Union of Writers continued to demonise Pasternak in the State-owned press. Furthermore, he was threatened at the very least with formal exile to the West. In response, Pasternak wrote directly to Soviet Premier Nikita Khrushchev, In The Oak and the Calf, Alexander Solzhenitsyn |
by induction using () or by Zeckendorf's representation. A combinatorial proof is given below. Multisections of sums For integers s and t such that series multisection gives the following identity for the sum of binomial coefficients: For small , these series have particularly nice forms; for example, Partial sums Although there is no closed formula for partial sums of binomial coefficients, one can again use () and induction to show that for , with special case for n > 0. This latter result is also a special case of the result from the theory of finite differences that for any polynomial P(x) of degree less than n, Differentiating () k times and setting x = −1 yields this for , when 0 ≤ k < n, and the general case follows by taking linear combinations of these. When P(x) is of degree less than or equal to n, where is the coefficient of degree n in P(x). More generally for (), where m and d are complex numbers. This follows immediately applying () to the polynomial instead of , and observing that still has degree less than or equal to n, and that its coefficient of degree n is dnan. The series is convergent for k ≥ 2. This formula is used in the analysis of the German tank problem. It follows from which is proved by induction on M. Identities with combinatorial proofs Many identities involving binomial coefficients can be proved by combinatorial means. For example, for nonnegative integers , the identity (which reduces to () when q = 1) can be given a double counting proof, as follows. The left side counts the number of ways of selecting a subset of [n] = {1, 2, …, n} with at least q elements, and marking q elements among those selected. The right side counts the same thing, because there are ways of choosing a set of q elements to mark, and to choose which of the remaining elements of [n] also belong to the subset. In Pascal's identity both sides count the number of k-element subsets of [n]: the two terms on the right side group them into those that contain element n and those that do not. The identity () also has a combinatorial proof. The identity reads Suppose you have empty squares arranged in a row and you want to mark (select) n of them. There are ways to do this. On the other hand, you may select your n squares by selecting k squares from among the first n and squares from the remaining n squares; any k from 0 to n will work. This gives Now apply () to get the result. If one denotes by the sequence of Fibonacci numbers, indexed so that , then the identity has the following combinatorial proof. One may show by induction that counts the number of ways that a strip of squares may be covered by and tiles. On the other hand, if such a tiling uses exactly of the tiles, then it uses of the tiles, and so uses tiles total. There are ways to order these tiles, and so summing this coefficient over all possible values of gives the identity. Sum of coefficients row The number of k-combinations for all k, , is the sum of the nth row (counting from 0) of the binomial coefficients. These combinations are enumerated by the 1 digits of the set of base 2 numbers counting from 0 to , where each digit position is an item from the set of n. Dixon's identity Dixon's identity is or, more generally, where a, b, and c are non-negative integers. Continuous identities Certain trigonometric integrals have values expressible in terms of binomial coefficients: For any These can be proved by using Euler's formula to convert trigonometric functions to complex exponentials, expanding using the binomial theorem, and integrating term by term. Congruences If n is prime, then for every k with More generally, this remains true if n is any number and k is such that all the numbers between 1 and k are coprime to n. Indeed, we have Generating functions Ordinary generating functions For a fixed , the ordinary generating function of the sequence is For a fixed , the ordinary generating function of the sequence is The bivariate generating function of the binomial coefficients is A symmetric bivariate generating function of the binomial coefficients is which is the same as the previous generating function after the substitution . Exponential generating function A symmetric exponential bivariate generating function of the binomial coefficients is: Divisibility properties In 1852, Kummer proved that if m and n are nonnegative integers and p is a prime number, then the largest power of p dividing equals pc, where c is the number of carries when m and n are added in base p. Equivalently, the exponent of a prime p in equals the number of nonnegative integers j such that the fractional part of k/pj is greater than the fractional part of n/pj. It can be deduced from this that is divisible by n/gcd(n,k). In particular therefore it follows that p divides for all positive integers r and s such that . However this is not true of higher powers of p: for example 9 does not divide . A somewhat surprising result by David Singmaster (1974) is that any integer divides almost all binomial coefficients. More precisely, fix an integer d and let f(N) denote the number of binomial coefficients with n < N such that d divides . Then Since the number of binomial coefficients with n < N is N(N + 1) / 2, this implies that the density of binomial coefficients divisible by d goes to 1. Binomial coefficients have divisibility properties related to least common multiples of consecutive integers. For example: divides . is a multiple of . Another fact: An integer is prime if and only if all the intermediate binomial coefficients are divisible by n. Proof: When p is prime, p divides for all because is a natural number and p divides the numerator but not the denominator. When n is composite, let p be the smallest prime factor of n and let . Then and otherwise the numerator has to be divisible by , this can only be the case when is divisible by p. But n is divisible by p, so p does not divide and because p is prime, we know that p does not divide and so the numerator cannot be divisible by n. Bounds and asymptotic formulas The following bounds for hold for all values of n and k such that : The first inequality follows from the fact that and each of these terms in this product is . A similar argument can be made to show the second inequality. The final strict inequality is equivalent to , that is clear since the RHS is a term of the exponential series . From the divisibility properties we can infer that where both equalities can be achieved. The following bounds are useful in information theory: where is the binary entropy function. It can be further tightened to: for all Both and large Stirling's approximation yields the following approximation, valid when both tend to infinity: Because the inequality forms of Stirling's formula also bound the factorials, slight variants on the above asymptotic approximation give exact bounds. In particular, when is sufficiently large, one has and and, more generally, for and , If n is large and k is linear in n, various precise asymptotic estimates exist for the binomial coefficient . For example, if then where d = n − 2k. much larger than If is large and is (that is, if ), then where again is the little o notation. Sums of binomial coefficients A simple and rough upper bound for the sum of binomial coefficients can be obtained using the binomial theorem: More precise bounds are given by valid for all integers with . Generalized binomial coefficients The infinite product formula for the Gamma function also gives an expression for binomial coefficients which yields the asymptotic formulas as . This asymptotic behaviour is contained in the approximation as well. (Here is the k-th harmonic number and is the Euler–Mascheroni constant.) Further, the asymptotic formula hold true, whenever and for some complex number . Generalizations Generalization to multinomials Binomial coefficients can be generalized to multinomial coefficients defined to be the number: where While the binomial coefficients represent the coefficients of (x+y)n, the multinomial coefficients represent the coefficients of the polynomial The case r = 2 gives binomial coefficients: The combinatorial interpretation of multinomial coefficients is distribution of n distinguishable elements over r (distinguishable) containers, each containing exactly ki elements, where i is the index of the container. Multinomial coefficients have many properties similar to those of binomial coefficients, for example the recurrence relation: and symmetry: where is a permutation of (1, 2, …, r). Taylor series Using Stirling numbers of the first kind the series expansion around any arbitrarily chosen point is Binomial coefficient with The definition of the binomial coefficients can be extended to the case where is real and is integer. In particular, the following identity holds for any non-negative integer : This shows up when expanding into a power series using the Newton binomial series : Products of binomial coefficients One can express the product of two binomial coefficients as a linear combination of binomial coefficients: where the connection coefficients are multinomial coefficients. In terms of labelled combinatorial objects, the connection coefficients represent the number of ways to assign labels to a pair of labelled combinatorial objects—of weight m and n respectively—that have had their first k labels identified, or glued together to get a new labelled combinatorial object of weight . (That is, to separate the labels into three portions to apply to the glued part, the unglued part of the first object, and the unglued part of the second object.) In this regard, binomial coefficients are to exponential generating series what falling factorials are to ordinary generating series. The product of all binomial coefficients in the nth row of the Pascal triangle is given by the formula: Partial fraction decomposition The partial fraction decomposition of the reciprocal is given by Newton's binomial series Newton's binomial series, named after Sir Isaac Newton, is a generalization of the binomial theorem to infinite series: The identity can be obtained by showing that both sides satisfy the differential equation {{math|1=(1 + z) f'''(z) = α f(z)}}. The radius of convergence of this series is 1. An alternative expression is where the identity is applied. Multiset (rising) binomial coefficient Binomial coefficients count subsets of prescribed size from a given set. A related combinatorial problem is to count multisets of prescribed size with elements drawn from a given set, that is, to count the number of ways to select a certain number of elements from a given set with the possibility of selecting the same element repeatedly. The resulting numbers are called multiset coefficients; the number of ways to "multichoose" (i.e., choose with replacement) k items from an n element set is denoted . To avoid ambiguity and confusion with n's main denotation in this article, let and . Multiset coefficients may be expressed in terms of binomial coefficients by the rule One possible alternative characterization of this identity is as follows: We may define the falling factorial as and the corresponding rising factorial | group (since "i" is already chosen to fill one spot in every group, we need only choose from the remaining ) and (b) all the k-groupings that don't include "i"; this enumerates all the possible k-combinations of n elements. It also follows from tracing the contributions to Xk in . As there is zero or in , one might extend the definition beyond the above boundaries to include when either or . This recursive formula then allows the construction of Pascal's triangle, surrounded by white spaces where the zeros, or the trivial coefficients, would be. Multiplicative formula A more efficient method to compute individual binomial coefficients is given by the formula where the numerator of the first fraction is expressed as a falling factorial power. This formula is easiest to understand for the combinatorial interpretation of binomial coefficients. The numerator gives the number of ways to select a sequence of k distinct objects, retaining the order of selection, from a set of n objects. The denominator counts the number of distinct sequences that define the same k-combination when order is disregarded. Due to the symmetry of the binomial coefficient with regard to k and , calculation may be optimised by setting the upper limit of the product above to the smaller of k and . Factorial formula Finally, though computationally unsuitable, there is the compact form, often used in proofs and derivations, which makes repeated use of the familiar factorial function: where n! denotes the factorial of n. This formula follows from the multiplicative formula above by multiplying numerator and denominator by ; as a consequence it involves many factors common to numerator and denominator. It is less practical for explicit computation (in the case that k is small and n is large) unless common factors are first cancelled (in particular since factorial values grow very rapidly). The formula does exhibit a symmetry that is less evident from the multiplicative formula (though it is from the definitions) which leads to a more efficient multiplicative computational routine. Using the falling factorial notation, Generalization and connection to the binomial series The multiplicative formula allows the definition of binomial coefficients to be extended by replacing n by an arbitrary number α (negative, real, complex) or even an element of any commutative ring in which all positive integers are invertible: With this definition one has a generalization of the binomial formula (with one of the variables set to 1), which justifies still calling the binomial coefficients: This formula is valid for all complex numbers α and X with |X| < 1. It can also be interpreted as an identity of formal power series in X, where it actually can serve as definition of arbitrary powers of power series with constant coefficient equal to 1; the point is that with this definition all identities hold that one expects for exponentiation, notably If α is a nonnegative integer n, then all terms with are zero, and the infinite series becomes a finite sum, thereby recovering the binomial formula. However, for other values of α, including negative integers and rational numbers, the series is really infinite. Pascal's triangle Pascal's rule is the important recurrence relation which can be used to prove by mathematical induction that is a natural number for all integer n ≥ 0 and all integer k, a fact that is not immediately obvious from formula (1). To the left and right of Pascal's triangle, the entries (shown as blanks) are all zero. Pascal's rule also gives rise to Pascal's triangle: Row number contains the numbers for . It is constructed by first placing 1s in the outermost positions, and then filling each inner position with the sum of the two numbers directly above. This method allows the quick calculation of binomial coefficients without the need for fractions or multiplications. For instance, by looking at row number 5 of the triangle, one can quickly read off that Combinatorics and statistics Binomial coefficients are of importance in combinatorics, because they provide ready formulas for certain frequent counting problems: There are ways to choose k elements from a set of n elements. See Combination. There are ways to choose k elements from a set of n elements if repetitions are allowed. See Multiset. There are strings containing k ones and n zeros. There are strings consisting of k ones and n zeros such that no two ones are adjacent. The Catalan numbers are The binomial distribution in statistics is Binomial coefficients as polynomials For any nonnegative integer k, the expression can be simplified and defined as a polynomial divided by : this presents a polynomial in t with rational coefficients. As such, it can be evaluated at any real or complex number t to define binomial coefficients with such first arguments. These "generalized binomial coefficients" appear in Newton's generalized binomial theorem. For each k, the polynomial can be characterized as the unique degree k polynomial satisfying and . Its coefficients are expressible in terms of Stirling numbers of the first kind: The derivative of can be calculated by logarithmic differentiation: This can cause a problem when evaluated at integers from to , but using identities below we can compute the derivative as: Binomial coefficients as a basis for the space of polynomials Over any field of characteristic 0 (that is, any field that contains the rational numbers), each polynomial p(t) of degree at most d is uniquely expressible as a linear combination of binomial coefficients. The coefficient ak is the kth difference of the sequence p(0), p(1), ..., p(k). Explicitly, Integer-valued polynomials Each polynomial is integer-valued: it has an integer value at all integer inputs . (One way to prove this is by induction on k, using Pascal's identity.) Therefore, any integer linear combination of binomial coefficient polynomials is integer-valued too. Conversely, () shows that any integer-valued polynomial is an integer linear combination of these binomial coefficient polynomials. More generally, for any subring R of a characteristic 0 field K, a polynomial in K[t] takes values in R at all integers if and only if it is an R-linear combination of binomial coefficient polynomials. Example The integer-valued polynomial can be rewritten as Identities involving binomial coefficients The factorial formula facilitates relating nearby binomial coefficients. For instance, if k is a positive integer and n is arbitrary, then and, with a little more work, Moreover, the following may be useful: For constant n, we have the following recurrence: Sums of the binomial coefficients The formula says the elements in the th row of Pascal's triangle always add up to 2 raised to the th power. This is obtained from the binomial theorem () by setting x = 1 and y = 1. The formula also has a natural combinatorial interpretation: the left side sums the number of subsets of {1, …, n} of sizes k = 0, 1, …, n, giving the total number of subsets. (That is, the left side counts the power set of {1, …, n}.) However, these subsets can also be generated by successively choosing or excluding each element 1, …, n; the n independent binary choices (bit-strings) allow a total of choices. The left and right sides are two ways to count the same collection of subsets, so they are equal. The formulas and follow from the binomial theorem after differentiating with respect to (twice for the latter) and then substituting . The Chu–Vandermonde identity, which holds for any complex-values m and n and any non-negative integer k, is and can be found by examination of the coefficient of in the expansion of using equation (). When , equation () reduces to equation (). In |
Pearl Harbor Day, 1985. They have two daughters, Chandler and Haviland. Peitso-Holbrook's novels have been nominated for both Edgar Awards and Agatha Awards. She is currently an assistant professor in literacy education at Georgia State University. The family lives in the Atlanta area. In October 1989, Holbrook began his second strip, Safe Havens, and his third strip, Kevin and Kell was launched in September 1995. Comic strips Every week Holbrook writes the story line for the next three weeks for one of his strips and draws the next three weeks' worth of strips for another. In 2010, characters from On the Fastrack and Safe Havens began appearing in both strips. On the Fastrack - About the misadventures at Fastrack, Inc., On the Fastrack has been distributed by King Features Syndicate since 1984. It now appears in 75 newspapers nationwide. Safe Havens - Initially about a day care center, this strip evolved into the adventures of Samantha Argus and her friends and is now syndicated nationally to over 50 newspapers. Kevin and Kell - Originally an online-only strip but was also published in the Atlanta Journal-Constitution for some years, Kevin and Kell centers on the mixed marriage between a rabbit, Kevin and a grey wolf, Kell Dewclaw. The plot revolves around species-related humor, satire, and interpersonal conflict. Duel In The Somme - Holbrook illustrated a story by Ben Bova | Schulz. Following his advice and encouragement, Holbrook created a strip in the fall of that year about a college graduate working in a rundown diner. It did not stir syndicate interest, but what he learned on the strip helped him when he created On the Fastrack. Eleven days before On the Fastrack made its syndicated debut (March 19, 1984), Holbrook met Teri Peitso on a blind date. They were married on Pearl Harbor Day, 1985. They have two daughters, Chandler and Haviland. Peitso-Holbrook's novels have been nominated for both Edgar Awards and Agatha Awards. She is currently an assistant professor in literacy education at Georgia State University. The family lives in the Atlanta area. In October 1989, Holbrook began his second strip, Safe Havens, and his third strip, Kevin and Kell was launched in September 1995. Comic strips Every week Holbrook writes the story line for the next three weeks for one of his strips |
Princess (1995–1999). He played Sam Axe on the USA Network series Burn Notice (2007–2013) and reprised his role as Ash Williams on the Starz series Ash vs. Evil Dead (2015–2018). Campbell started his directing career with Fanalysis (2002) and A Community Speaks (2004), and then with the horror comedy feature films Man with the Screaming Brain (2005) and My Name Is Bruce (2007), the latter being a spoof of his career. He can also be seen as the role of the father in The Escort (2015). Early life Campbell was born in Royal Oak, Michigan, to Joanne Louise (née Pickens), a homemaker, and Charles Newton Campbell, who worked in advertising for 35 years in roles ranging from traveling billboard inspector to company vice-president, later teaching at nine colleges as an adjunct professor, and was also an actor and director in local theater. Campbell has an older brother, Don, and an older half-brother, Michael Rendine. He is of Scottish and English descent. Career Early years Campbell began acting as a teenager and soon began making short Super 8 movies with friends. After he met Sam Raimi in Wylie E. Groves High School, the two became very good friends and started making movies together. Campbell would go on to attend Western Michigan University while he continued to work on his acting career. Campbell and Raimi collaborated on a 30-minute Super 8 version of the first Evil Dead film, titled Within the Woods, which was initially used to attract investors. Major film roles A few years later, Campbell and Raimi got together with family and friends and began work on The Evil Dead. While starring in the lead role, Campbell also worked behind the camera, receiving a "co-executive producer" credit. Raimi wrote, directed and edited, while fellow Michigander Rob Tapert was producer. Following an endorsement by horror writer Stephen King, the film slowly began to receive distribution. Four years following its original release, it became the number one movie in the UK. It then received distribution in the United States, spawning two sequels: Evil Dead II and Army of Darkness. Campbell was also drawn in the Marvel Zombie comics as his character, Ash Williams. He is featured in five comics, all in the series Marvel Zombies vs. Army of Darkness. In them, he fights alongside the Marvel heroes against the heroes and people who have turned into zombies (deadites) while in search of the Necronomicon (Book of the Names of the Dead). He has appeared in many of Raimi's films outside of the Evil Dead series, notably having cameos in the director's Spider-Man film series. Campbell also joined the cast in Raimi's Darkman and The Quick and the Dead, though having no actual screen time in the latter film's theatrical cut. Campbell often takes on quirky roles, such as Elvis Presley in the film Bubba Ho-Tep. Along with Bubba Ho-Tep, he played a supporting role in Maniac Cop and Maniac Cop 2, and spoofed his career in the self-directed My Name is Bruce. Other mainstream films for Campbell include supporting or featured roles in the Coen Brothers film The Hudsucker Proxy, the Michael Crichton adaptation Congo, the film version of McHale's Navy, Escape From L.A. (the sequel to John Carpenter's Escape From New York), the Jim Carrey drama The Majestic and the 2005 Disney film Sky High. Campbell had a starring voice role in the hit 2009 animated adaptation of the children's book Cloudy with a Chance of Meatballs, and a supporting voice role in Pixar's Cars 2. Campbell produced the remake of The Evil Dead, along with Raimi and Rob Tapert. Campbell appeared with the expectation he would reprise that role in Army of Darkness 2. Television roles Outside of film, Campbell has appeared in a number of television series. He starred in The Adventures of Brisco County, Jr. a boisterous science fiction comedy western created by Jeffrey Boam and Carlton Cuse that ran for one season. He played a lawyer turned bounty hunter who was trying to hunt down John Bly, the man who killed his father. He starred | which was initially used to attract investors. Major film roles A few years later, Campbell and Raimi got together with family and friends and began work on The Evil Dead. While starring in the lead role, Campbell also worked behind the camera, receiving a "co-executive producer" credit. Raimi wrote, directed and edited, while fellow Michigander Rob Tapert was producer. Following an endorsement by horror writer Stephen King, the film slowly began to receive distribution. Four years following its original release, it became the number one movie in the UK. It then received distribution in the United States, spawning two sequels: Evil Dead II and Army of Darkness. Campbell was also drawn in the Marvel Zombie comics as his character, Ash Williams. He is featured in five comics, all in the series Marvel Zombies vs. Army of Darkness. In them, he fights alongside the Marvel heroes against the heroes and people who have turned into zombies (deadites) while in search of the Necronomicon (Book of the Names of the Dead). He has appeared in many of Raimi's films outside of the Evil Dead series, notably having cameos in the director's Spider-Man film series. Campbell also joined the cast in Raimi's Darkman and The Quick and the Dead, though having no actual screen time in the latter film's theatrical cut. Campbell often takes on quirky roles, such as Elvis Presley in the film Bubba Ho-Tep. Along with Bubba Ho-Tep, he played a supporting role in Maniac Cop and Maniac Cop 2, and spoofed his career in the self-directed My Name is Bruce. Other mainstream films for Campbell include supporting or featured roles in the Coen Brothers film The Hudsucker Proxy, the Michael Crichton adaptation Congo, the film version of McHale's Navy, Escape From L.A. (the sequel to John Carpenter's Escape From New York), the Jim Carrey drama The Majestic and the 2005 Disney film Sky High. Campbell had a starring voice role in the hit 2009 animated adaptation of the children's book Cloudy with a Chance of Meatballs, and a supporting voice role in Pixar's Cars 2. Campbell produced the remake of The Evil Dead, along with Raimi and Rob Tapert. Campbell appeared with the expectation he would reprise that role in Army of Darkness 2. Television roles Outside of film, Campbell has appeared in a number of television series. He starred in The Adventures of Brisco County, Jr. a boisterous science fiction comedy western created by Jeffrey Boam and Carlton Cuse that ran for one season. He played a lawyer turned bounty hunter who was trying to hunt down John Bly, the man who killed his father. He starred in the television series Jack of All Trades, set on a fictional island occupied by the French in 1801. Campbell was also credited as co-executive producer, among others. The show was directed by Eric Gruendemann, and was produced by various people, including Sam Raimi. The show aired for two seasons, from 2000 to 2001. He had a recurring role as "Bill Church Jr." based upon the character of Morgan Edge from the Superman comics on Lois & Clark: The New Adventures of Superman. From 1996 to 1997, Campbell was a recurring guest star on the show Ellen as Ed Billik, who becomes Ellen's boss when she sells her bookstore in season four. He is also known for his supporting role as the recurring character Autolycus ("King of Thieves") on both Hercules: The Legendary Journeys and Xena: Warrior Princess, which reunited him with producer Rob Tapert. Campbell played Hercules/Xena series producer Tapert in two episodes of Hercules set in the present. He directed a number of episodes of Hercules and Xena, including the Hercules series finale. Campbell also landed the lead role of race car driver Hank Cooper in the Disney made-for-television remake of The Love Bug. Campbell made a critically acclaimed dramatic guest role as a grief-stricken detective seeking revenge for his father's murder in a two-part episode of the fourth season of Homicide: Life on the Street. Campbell later played the part of a bigamous demon in The X-Files episode "Terms of Endearment". He also starred as Agent Jackman in the episode "Witch Way Now?" of the WB series Charmed, as well as playing a state police officer in an episode of the short-lived series American Gothic titled "Meet the Beetles". Campbell co-starred on the television series Burn Notice, which aired from 2007 to 2013 on USA Network. He portrayed Sam Axe, a beer-chugging, former Navy SEAL now working as an unlicensed private investigator and occasional mercenary with his old friend Michael Westen, the show's main character. When working undercover, his character frequently used the alias Chuck Finley, which Bruce later revealed was the name of one of his father's old co-workers. Campbell was the star of a 2011 Burn Notice made-for-television prequel focusing on Sam's Navy SEAL career, titled Burn Notice: The Fall of Sam Axe. In 2014, Campbell played Santa Claus in an episode of The Librarians. Campbell played Ronald Reagan in season 2 of the FX original series Fargo. More recently Campbell reprised his role as Ashley "Ash" Williams in Ash vs Evil Dead, a series based upon the Evil Dead franchise that launched his career. Ash vs Evil Dead began airing on Starz on October 31, 2015, and was renewed by the cable channel for second and third seasons, before being cancelled. In January 2019, Travel Channel announced a reboot of the Ripley's Believe It or Not! reality series, with Bruce Campbell serving as host and executive producer. The 10-episode season debuted |
the ninety-two elected hereditary peers that were allowed to remain in the House of Lords after the passing of the House of Lords Act 1999. the title is held by his son, the fifth Baron, who succeeded in 2005 and was elected to the House of Lords in 2009. Coat of arms The heraldic blazon for the coat of arms of the family is: Or, | hereditary peers that were allowed to remain in the House of Lords after the passing of the House of Lords Act 1999. the title is held by his son, the fifth Baron, who succeeded in 2005 and was elected to the House of Lords in 2009. Coat of arms The heraldic blazon for the coat of arms of the family is: Or, a saltire gules, |
That and Busted. 2000s: Backstreet Boys, NSYNC, Westlife, Jonas Brothers and F4 With the continued success of Backstreet Boys and *NSYNC, American and British groups like 98 Degrees, Westlife, O-Town, A1, Blue, and Busted gained quick popularity both domestically and internationally. International boy bands would also occasionally spring up, such as the Moldovan band O-Zone (better known today as an Internet meme), and Overground. American Christian boy band Plus One also enjoyed brief remarkable success during this time. At the height of boy band popularity in North America, MTV created their own parody boyband, 2gether. Like the Monkees in the 1960s, they were a manufactured act composed of actors. 2gether played off of the idea that every successful boy band must have five distinct personality types: the bad boy, the shy one, the young one, the older brother type, and a heart throb. Since 2001, the dominance of traditional boy bands on pop charts began to fade in the western hemisphere, although Gil Kaufman of MTV has described "new boy bands" that are "more likely to resemble My Chemical Romance, Sum 41, and Simple Plan. In 2001, Taiwanese boy band F4 (called JVKV since 2007) blew up big as a result of the success of their TV drama Meteor Garden. According to Forbes, F4 has sold 3.5 million copies of their first two albums all over Asia as of July 2003. With their success, many other Taiwanese boy bands emerged around this time, such as 5566 and Fahrenheit. In South Korea, Shinhwa also spread hallyu wave throughout Asia such as Japan, Thailand, Singapore, Taiwan, Hong Kong and China. Also in 2001, a new all-male pop band and dance group boyband hailing from Japan called Exile debuted under Avex Group's label Rhythm Zone with 14 members, putting them on par with Super Junior, a South Korean boy band, who had 13 members at its peak. Japanese boy band Arashi has sold over 30 million copies of their records since their first release in 1999. They had the yearly best-selling single in Japan in 2008 and 2009. In 2003 SMAP released the single "Sekai ni Hitotsu Dake no Hana" that has become the third best-selling single ever in Japan, with over 3 million copies sold. In North America, the Jonas Brothers rose to fame from promotion on the Disney Channel in 2008. Other boy bands like JLS and Mindless Behavior also emerged and experienced remarkable success around this time. However, apart from them, boy bands have not seen the commercial boom experienced in the genre from the mid to late nineties in North America. The mid 2000s, especially the United Kingdom and the rest of Europe, saw the continued longevity of nineties boy bands such as Backstreet Boys and Westlife (before they disbanded in 2012), and the successful comeback of Take That in 2005, Boyzone in 2007, and New Kids on the Block in 2008. Some sections of the press have referred to these acts, particularly those who have reformed after a previous split, such as Take That, Boyzone, and 98 Degrees, as 'man bands'. 2010s and early 2020s: Big Time Rush, One Direction and rise of K-pop In the early 2010s, there was somewhat of a resurgence of boy band popularity in countries where the trend had not maintained, with the emergence of new boy bands like Big Time Rush, The Wanted, and One Direction and the formation of supergroup NKOTBSB which comprised members of New Kids on the Block and Backstreet Boys. NKOTBSB's success inspired boy bands who were fairly popular during the 1990s and 2000s to make a comeback, such as A1, Blue, 98 Degrees, Five, 911, and O-Town. Like 2gether and The Monkees, Big Time Rush was a manufactured act created for a television show. One Direction were often credited as sparking a resurgence in the popularity and interest boy bands alongside being credited with forming part of a new "British Invasion" in the United States. Their Where We Are Tour was the highest-grossing tour by a vocal group in history and after the release of their fourth album, Four, they became the only group in the 58-year history of the Billboard 200 to have their first four albums debut at number one. In Southeast Asia, local boy bands also emerged as a result of the continued success of Korean and Japanese boy bands such as SMAP, Sechs Kies, Shinhwa, TVXQ!, Arashi, Exile, Super Junior, Big Bang, SHINee, Exo, and BTS. One of the boy bands who emerged as a result of Hallyu (Korean wave) is Indonesia's SM*SH who enjoyed prominent success domestically. In the Philippines, a major boy band has been formed by bringing the first reality boy band search of the country called Pinoy Boyband Superstar which held mid 2016, after all the series of auditions, rigorous training and competition, the winners formed as a group called Boyband PH a five-piece Pinoy boy band which managed by Star Magic. In South Korea, boy bands have been commercially successful. On the Gaon Music Chart year-end albums chart of 2016, nine of the top 10 and 17 of the top 20 albums are by boy bands or by subunits/members of boy bands. BTS' Map of the Soul: 7 is the best-selling album of all time in South Korea, with more than 4.4 million copies sold, and Exo's XOXO became the first album released since 2001 to sell more than 1 million copies. As of 2021, boy bands such as Seventeen, NCT and NCT 127 have also become regular million-sellers. In 2013 Billboard started covering music releases in K-pop, though K-pop had been entering the charts as early as 2009, signifying the growth of the hallyu wave in America. By 2017, BTS crossed into the international music market, furthering the Korean Wave in the United States and becoming the first Korean group to receive a certification by the Recording Industry Association of America (RIAA) with their single "Mic Drop". The band is the first Korean act to top the U.S. Billboard 200 with their studio album Love Yourself: Tear (2018) and have since hit the top of the U.S. charts with their albums Love Yourself: Answer (2018), Map of the Soul: Persona (2019), Map of the Soul: 7 (2020) and Be (2020). Love Yourself: Answer also broke South Korea's Gaon Album Chart's all-time monthly record previously set by Love Yourself: Tear and became the first Korean album certified Gold in the United States. SuperM later became the first K-pop group to debut at No. 1 in the U.S. Billboard 200. In Japan, Arashi continue to be very successful, being the best-selling music artist in Japan from 2013 through 2017 by value of sales and also having the yearly best-selling album in the country in 2010, 2011, 2013, 2015 and 2016. | thereby creating Boyzone in 1993. Let Loose (formed in 1993), MN8 and 911 (formed in 1995), and Damage (formed in 1996) were also successful boy bands in Britain; however, by the late 1990s all these bands had run their course and split up. All these artists were very successful on both the singles and albums charts domestically and internationally; however, with the emergence of Britpop and the commercial co-option of indie rock, many boy bands were ridiculed by the British music press as having no artistic credibility, although some, such as East 17 and Take That, did write most of their own material. The media attention was then placed on the "Battle of Britpop", and the bands Oasis and Blur replaced the importance and rivalry of Take That and East 17 as the two new biggest bands in Britain. However, boy bands continued to find success in the late 1990s, such as Five, Another Level, Point Break and Westlife. In 1995 successful German music manager Frank Farian, who had been manager of Boney M and Milli Vanilli, put together Latin American band No Mercy who scored a few worldwide hits during the mid-90s. Although being American and the sons of Tito Jackson, a member of The Jackson 5, 3T had several hits singles across Europe in the mid-1990s, despite limited success in the US, and finished the second biggest selling act of 1996 in Europe behind the Spice Girls. With the success of North American boy bands like New Kids on the Block in East Asia, Japanese entertainment company Johnny & Associates formed SMAP in 1992. The group enjoyed tremendous success, selling over 35 million records. It paved the way for more Asian boy bands such as Arashi. In the early 1990s in North America, with New Kids on the Block's continued success and Color Me Badd also having success, boy bands became a continued staple of the Billboard charts. Continuing this success in the mid-1990s, most prominent boy bands were African American and had R&B and gospel elements, such as the groups All-4-One (formed in 1993) and Boyz II Men (formed in 1988). Boyz II Men are also the most successful boy band act on the U.S. Hot 100 as well as the Australian Singles Chart. Although they had success on the Billboard charts, they were not marketed towards youth but more towards adults. It was not until 1997 and the change to pop-oriented groups such as Backstreet Boys, 98 Degrees, NSYNC, The Moffatts, and Hanson that boy bands exploded commercially and dominated the market in the United States. This late 1990s marked the height of boy band popularity in North America, which has not been seen since. Arguably the most successful boy band manager from the U.S. was Lou Pearlman, who founded commercially successful acts such as the Backstreet Boys in 1993, NSYNC and LFO in 1995, O-Town in 2000, and US5 in 2005. Backstreet Boys and NSYNC became the two biggest boy bands in the late 1990s until the early 2000s, and Backstreet Boys went on to become the best-selling boy band in history with over 100 million records sold. In the late 1990s in the UK, producer Simon Cowell (noted in the U.S. for the American Idol/X Factor franchise) is also known for having managed British boyband Five (formed in 1997) and Irish boyband Westlife (formed in 1998). Westlife was created by Irishman Louis Walsh as a replacement for Boyzone and was initially managed by a former member of the band Ronan Keating. Westlife would eventually overtake Take That in number one's tally in the UK although Take That's overall UK sales are still higher. In 2012, the Official Charts Company revealed the biggest selling singles artists in British music chart history with Take That placed 15th overall and the highest selling boyband act (9.3 million), followed by Boyzone at 29 (7.1 million) and Westlife at 34 (6.8 million). Even though Cowell is known to have managed several successful boy bands, he is also infamous for passing on signing two of the biggest boybands to emerge from the 1990s and 2000s, Take That and Busted. 2000s: Backstreet Boys, NSYNC, Westlife, Jonas Brothers and F4 With the continued success of Backstreet Boys and *NSYNC, American and British groups like 98 Degrees, Westlife, O-Town, A1, Blue, and Busted gained quick popularity both domestically and internationally. International boy bands would also occasionally spring up, such as the Moldovan band O-Zone (better known today as an Internet meme), and Overground. American Christian boy band Plus One also enjoyed brief remarkable success during this time. At the height of boy band popularity in North America, MTV created their own parody boyband, 2gether. Like the Monkees in the 1960s, they were a manufactured act composed of actors. 2gether played off of the idea that every successful boy band must have five distinct personality types: the bad boy, the shy one, the young one, the older brother type, and a heart throb. Since 2001, the dominance of traditional boy bands on pop charts began to fade in the western hemisphere, although Gil Kaufman of MTV has described "new boy bands" that are "more likely to resemble My Chemical Romance, Sum 41, and Simple Plan. In 2001, Taiwanese boy band F4 (called JVKV since 2007) blew up big as a result of the success of their TV drama Meteor Garden. According to Forbes, F4 has sold 3.5 million copies of their first two albums all over Asia as of July 2003. With their success, many other Taiwanese boy bands emerged around this time, such as 5566 and Fahrenheit. In South Korea, Shinhwa also spread hallyu wave throughout Asia such as Japan, Thailand, Singapore, Taiwan, Hong Kong and China. Also in 2001, a new all-male pop band and dance group boyband hailing from Japan called Exile debuted under Avex Group's label Rhythm Zone with 14 members, putting them on par with Super Junior, a South Korean boy band, who had 13 members at its peak. Japanese boy band Arashi has sold over 30 million copies of their records since their first release in 1999. They had the yearly best-selling single in Japan in 2008 and 2009. In 2003 SMAP released the single "Sekai ni Hitotsu Dake no Hana" that has become the third best-selling single ever in Japan, with over 3 million copies sold. In North America, the Jonas Brothers rose to fame from promotion on the Disney Channel in 2008. Other boy bands like JLS and Mindless Behavior also emerged and experienced remarkable success around this time. However, apart from them, boy bands have not seen the commercial boom experienced in the genre from the mid to late nineties in North America. The mid 2000s, especially the United Kingdom and the rest of Europe, saw the continued longevity of nineties boy bands such as Backstreet Boys and Westlife (before they disbanded in 2012), and the successful comeback of Take That in 2005, Boyzone in 2007, and New Kids on the Block in 2008. Some sections of the press have referred to these acts, particularly those who have reformed after a previous split, such as Take That, Boyzone, and 98 Degrees, as 'man bands'. 2010s and early 2020s: Big Time Rush, One Direction and rise of K-pop In the early 2010s, there was somewhat of a resurgence of boy band popularity in countries where the trend had not maintained, with the emergence of new boy bands like Big Time Rush, The Wanted, and One Direction and the formation of supergroup NKOTBSB which comprised members of New Kids on the Block and Backstreet Boys. NKOTBSB's success inspired boy bands who were fairly popular during the 1990s and 2000s to make a comeback, such as A1, Blue, 98 Degrees, |
block to read, until the final level, known as the leaf level, identifies a record in the main database. Instead of 150 milliseconds, we need only 30 milliseconds to get the record. The auxiliary indices have turned the search problem from a binary search requiring roughly disk reads to one requiring only disk reads where is the blocking factor (the number of entries per block: entries per block in our example; reads). In practice, if the main database is being frequently searched, the aux-aux index and much of the aux index may reside in a disk cache, so they would not incur a disk read. The B-tree remains the standard index implementation in almost all relational databases, and many nonrelational databases use them too. Insertions and deletions If the database does not change, then compiling the index is simple to do, and the index need never be changed. If there are changes, then managing the database and its index becomes more complicated. Deleting records from a database is relatively easy. The index can stay the same, and the record can just be marked as deleted. The database remains in sorted order. If there are a large number of deletions, then searching and storage become less efficient. Insertions can be very slow in a sorted sequential file because room for the inserted record must be made. Inserting a record before the first record requires shifting all of the records down one. Such an operation is just too expensive to be practical. One solution is to leave some spaces. Instead of densely packing all the records in a block, the block can have some free space to allow for subsequent insertions. Those spaces would be marked as if they were "deleted" records. Both insertions and deletions are fast as long as space is available on a block. If an insertion won't fit on the block, then some free space on some nearby block must be found and the auxiliary indices adjusted. The hope is that enough space is available nearby, such that a lot of blocks do not need to be reorganized. Alternatively, some out-of-sequence disk blocks may be used. Advantages of B-tree usage for databases The B-tree uses all of the ideas described above. In particular, a B-tree: keeps keys in sorted order for sequential traversing uses a hierarchical index to minimize the number of disk reads uses partially full blocks to speed up insertions and deletions keeps the index balanced with a recursive algorithm In addition, a B-tree minimizes waste by making sure the interior nodes are at least half full. A B-tree can handle an arbitrary number of insertions and deletions. Best case and worst case heights Let be the height of the classic B-tree (see for the tree height definition). Let be the number of entries in the tree. Let m be the maximum number of children a node can have. Each node can have at most keys. It can be shown (by induction for example) that a B-tree of height h with all its nodes completely filled has entries. Hence, the best case height (i.e. the minimum height) of a B-tree is: Let be the minimum number of children an internal (non-root) node can have. For an ordinary B-tree, Comer (1979) and Cormen et al. (2001) give the worst case height (the maximum height) of a B-tree as Algorithms Search Searching is similar to searching a binary search tree. Starting at the root, the tree is recursively traversed from top to bottom. At each level, the search reduces its field of view to the child pointer (subtree) whose range includes the search value. A subtree's range is defined by the values, or keys, contained in its parent node. These limiting values are also known as separation values. Binary search is typically (but not necessarily) used within nodes to find the separation values and child tree of interest. Insertion All insertions start at a leaf node. To insert a new element, search the tree to find the leaf node where the new element should be added. Insert the new element into that node with the following steps: If the node contains fewer than the maximum allowed number of elements, then there is room for the new element. Insert the new element in the node, keeping the node's elements ordered. Otherwise the node is full, evenly split it into two nodes so: A single median is chosen from among the leaf's elements and the new element. Values less than the median are put in the new left node and values greater than the median are put in the new right node, with the median acting as a separation value. The separation value is inserted in the node's parent, which may cause it to be split, and so on. If the node has no parent (i.e., the node was the root), create a new root above this node (increasing the height of the tree). If the splitting goes all the way up to the root, it creates a new root with a single separator value and two children, which is why the lower bound on the size of internal nodes does not apply to the root. The maximum number of elements per node is U−1. When a node is split, one element moves to the parent, but one element is added. So, it must be possible to divide the maximum number U−1 of elements into two legal nodes. If this number is odd, then U=2L and one of the new nodes contains (U−2)/2 = L−1 elements, and hence is a legal node, and the other contains one more element, and hence it is legal too. If U−1 is even, then U=2L−1, so there are 2L−2 elements in the node. Half of this number is L−1, which is the minimum number of elements allowed per node. An alternative algorithm supports a single pass down the tree from the root to the node where the insertion will take place, splitting any full nodes encountered on the way preemptively. This prevents the need to recall the parent nodes into memory, which may be expensive if the nodes are on secondary storage. However, to use this algorithm, we must be able to send one element to the parent and split the remaining U−2 elements into two legal nodes, without adding a new element. This requires U = 2L rather than U = 2L−1, which accounts for why some textbooks impose this requirement in defining B-trees. Deletion There are two popular strategies for deletion from a B-tree. Locate and delete the item, then restructure the tree to retain its invariants, OR Do a single pass down the tree, but before entering (visiting) a node, restructure the tree so that once the key to be deleted is encountered, it can be deleted without triggering the need for any further restructuring The algorithm below uses the former strategy. There are two special cases to consider when deleting an element: The element in an internal node is a separator for its child nodes Deleting an element may put its node under the minimum number of elements and children The procedures for these cases are in order below. Deletion from a leaf node Search for the value to delete. If the value is in a leaf node, simply delete it from the node. If underflow happens, rebalance the tree as described in section "Rebalancing after deletion" below. Deletion from an internal node Each element in an internal node acts as a separation value for two subtrees, therefore we need to find a replacement for separation. Note that the largest element in the left subtree is still less than the separator. Likewise, the smallest element in the right subtree is still greater than the separator. Both of those elements are in leaf nodes, and either one can be the new separator for the two subtrees. Algorithmically described below: Choose a new separator (either the largest element in the left subtree or the smallest element in the right subtree), remove it from the leaf node it is in, and replace the element to be deleted with the new separator. The previous step deleted an element (the new separator) from a leaf node. If that leaf node is now deficient (has fewer than the required number of nodes), then rebalance the tree starting from the leaf node. Rebalancing after deletion Rebalancing starts from a leaf and proceeds toward the root until the tree is balanced. If deleting an element from a node has brought it under the minimum size, then some elements must be redistributed to bring all nodes up to the minimum. Usually, the redistribution involves moving an element from a sibling node that has more than the minimum number of nodes. That redistribution operation is called a rotation. If no sibling can spare an element, then the deficient node must be merged with a sibling. The merge causes the parent to lose a separator element, so the parent may become deficient and need rebalancing. The merging and rebalancing may continue all the way to the root. Since the minimum element count doesn't apply to the root, making the root be the only deficient node is not a problem. The algorithm to rebalance the tree is as follows: If the deficient node's right sibling exists and has more than the minimum number of elements, then rotate left Copy the separator from the parent to the end of the deficient node (the separator moves down; the deficient node now has the minimum number of elements) Replace the separator in the parent with the first element of the right sibling (right sibling loses one node but still has at least the minimum number of elements) The tree is now balanced Otherwise, if the deficient node's left sibling exists and has more than the minimum number of elements, then rotate right Copy the separator from the parent to the start of the deficient node (the separator moves down; deficient node now has the minimum number of elements) Replace the separator in the parent with the last element of the left sibling (left sibling loses one node but still has at least the minimum number of elements) The tree is now balanced Otherwise, if both immediate siblings have only the minimum number of elements, then merge with a sibling sandwiching their separator taken off from their parent Copy the separator to the end of the left node (the left node may be the deficient node or it may be the sibling with the minimum number of elements) Move all elements from the right node to the left node (the left node now has the maximum number of elements, and the right node – empty) Remove the separator from the parent along with its empty right child (the parent loses an element) If the parent is the root and now has no elements, then free it and make the merged node the new root (tree becomes shallower) Otherwise, if the parent has fewer than the required number of elements, then rebalance the parent Note: The rebalancing operations are different for B+ trees (e.g., rotation is different because parent has copy of the key) and B*-tree (e.g., three siblings are merged into two siblings). Sequential access While freshly loaded databases tend to have good sequential behavior, this behavior becomes increasingly difficult to maintain as a database grows, resulting in more random I/O and performance challenges. Initial construction A common special case is adding a large amount of pre-sorted data into an initially empty B-tree. While it is quite possible to simply perform a series of successive inserts, inserting sorted data results in a tree composed almost entirely of half-full nodes. Instead, a special "bulk loading" algorithm can be used to produce a more efficient tree with a higher branching factor. When the input is sorted, all insertions are at the rightmost edge of the tree, and in particular any time a node is split, we are guaranteed that no more insertions will take place in the left half. When bulk loading, we take advantage of this, and instead of splitting overfull nodes evenly, split them as unevenly as possible: leave the left node completely full and create a right node with zero keys and one child (in violation of the usual B-tree rules). At the end of bulk loading, the tree is composed almost entirely of completely full nodes; only the rightmost node on each level may be less than full. Because those nodes may also be less than half full, to re-establish the normal B-tree rules, combine such nodes with their (guaranteed full) left siblings and divide the keys to produce two nodes at least half full. The only node which lacks a full left sibling is the root, which is permitted to be less than half full. In filesystems In addition to its use in databases, the B-tree (or ) is also used in filesystems to allow quick random access to an arbitrary block in a particular file. The basic problem is turning the file block address into a disk block (or perhaps to a cylinder-head-sector) address. Some operating systems require the user to allocate the maximum size of the file when the file is created. The file can then be allocated as contiguous disk blocks. In that case, to convert the file block address into a disk block address, the operating system simply adds the file block address to the address of the first disk block constituting the file. The scheme is simple, but the file cannot exceed its created size. Other operating systems allow a file to grow. The resulting disk blocks may not be contiguous, so mapping logical blocks to physical blocks is more involved. MS-DOS, for example, used a simple File Allocation Table (FAT). The FAT has an entry for each disk block, and that entry identifies whether its block is used by a file and if so, which block (if any) is the next disk block of the same file. So, the allocation of each file is represented as a linked list in the table. In order to find the disk address of file block , the operating system (or disk utility) must sequentially follow the file's linked list in the FAT. Worse, to find a free disk block, it must sequentially scan the FAT. For MS-DOS, that was not a huge penalty because the disks and files were small and the FAT had few entries and relatively short file chains. In the FAT12 filesystem (used on floppy disks and early hard disks), there were no more than 4,080 entries, and the FAT would usually be resident in memory. As disks got bigger, the FAT architecture began to confront penalties. On a large disk using FAT, it may be necessary to perform disk reads to learn the disk location of a file block to be read or written. TOPS-20 (and possibly TENEX) used a 0 to 2 level tree that has similarities to a B-tree. A disk block was 512 36-bit words. If the file fit in a 512 (29) word block, then the file directory would point to that physical disk block. If the file fit in 218 words, then the directory would point to an aux index; the 512 words of that index would either be NULL (the block isn't allocated) or point to the physical address of the block. If the file fit in 227 words, then the directory would point to a block holding an aux-aux index; each entry would either be NULL or point to an aux index. Consequently, the physical disk block for a 227 word file could be located in two disk reads and read on the third. Apple's filesystem HFS+, Microsoft's NTFS, AIX (jfs2) and some Linux filesystems, such as btrfs and Ext4, use B-trees. B*-trees are used in the HFS and Reiser4 file systems. DragonFly BSD's HAMMER file system uses a modified B+-tree. Performance A B-tree grows slower with growing data amount, than the linearity of a linked list. Compared to a skip list, both structures have the same performance, but the B-tree scales better for growing n. A T-tree, for main memory database systems, is similar but more compact. Variations Access concurrency Lehman and Yao showed that all the read locks could be avoided (and thus concurrent access greatly improved) by linking the tree blocks at each level together with a "next" pointer. This results in a tree structure where both insertion and search operations descend from the root to the leaf. Write locks are only required as a tree block is modified. This maximizes access concurrency by multiple users, an important consideration for databases and/or other B-tree-based ISAM storage methods. The cost associated with this improvement is that empty pages cannot be removed from the btree during normal operations. (However, see for various strategies to implement node merging, and source code at.) United States Patent 5283894, granted in 1994, appears to show a way to use a 'Meta Access Method' to allow concurrent B+ tree access and modification without locks. The technique accesses the tree 'upwards' for both searches and updates by means of additional in-memory indexes that point at the blocks in each level in the block cache. No reorganization for deletes is needed and there are no 'next' pointers in each block as in Lehman and Yao. Parallel algorithms Since B-trees are similar in structure to red-black trees, parallel algorithms for red-black trees can be applied to B-trees as well. See also B+ tree R-tree Red–black tree 2–3 tree 2–3–4 tree Notes References General . . Chapter 18: B-Trees. . Section 6.2.4: Multiway | only 2 or 3 child nodes. Each internal node of a B-tree contains a number of keys. The keys act as separation values which divide its subtrees. For example, if an internal node has 3 child nodes (or subtrees) then it must have 2 keys: and . All values in the leftmost subtree will be less than , all values in the middle subtree will be between and , and all values in the rightmost subtree will be greater than . Usually, the number of keys is chosen to vary between and , where is the minimum number of keys, and is the minimum degree or branching factor of the tree. In practice, the keys take up the most space in a node. The factor of 2 will guarantee that nodes can be split or combined. If an internal node has keys, then adding a key to that node can be accomplished by splitting the hypothetical key node into two key nodes and moving the key that would have been in the middle to the parent node. Each split node has the required minimum number of keys. Similarly, if an internal node and its neighbor each have keys, then a key may be deleted from the internal node by combining it with its neighbor. Deleting the key would make the internal node have keys; joining the neighbor would add keys plus one more key brought down from the neighbor's parent. The result is an entirely full node of keys. The number of branches (or child nodes) from a node will be one more than the number of keys stored in the node. In a 2–3 B-tree, the internal nodes will store either one key (with two child nodes) or two keys (with three child nodes). A B-tree is sometimes described with the parameters — or simply with the highest branching order, . A B-tree is kept balanced after insertion by splitting a would-be overfilled node, of keys, into two -key siblings and inserting the mid-value key into the parent. Depth only increases when the root is split, maintaining balance. Similarly, a B-tree is kept balanced after deletion by merging or redistributing keys among siblings to maintain the -key minimum for non-root nodes. A merger reduces the number of keys in the parent potentially forcing it to merge or redistribute keys with its siblings, and so on. The only change in depth occurs when the root has two children, of and (transitionally) keys, in which case the two siblings and parent are merged, reducing the depth by one. This depth will increase slowly as elements are added to the tree, but an increase in the overall depth is infrequent, and results in all leaf nodes being one more node farther away from the root. B-trees have substantial advantages over alternative implementations when the time to access the data of a node greatly exceeds the time spent processing that data, because then the cost of accessing the node may be amortized over multiple operations within the node. This usually occurs when the node data are in secondary storage such as disk drives. By maximizing the number of keys within each internal node, the height of the tree decreases and the number of expensive node accesses is reduced. In addition, rebalancing of the tree occurs less often. The maximum number of child nodes depends on the information that must be stored for each child node and the size of a full disk block or an analogous size in secondary storage. While 2–3 B-trees are easier to explain, practical B-trees using secondary storage need a large number of child nodes to improve performance. Variants The term B-tree may refer to a specific design or it may refer to a general class of designs. In the narrow sense, a B-tree stores keys in its internal nodes but need not store those keys in the records at the leaves. The general class includes variations such as the B+ tree, the B* tree and the B*+ tree. In the B+ tree, copies of the keys are stored in the internal nodes; the keys and records are stored in leaves; in addition, a leaf node may include a pointer to the next leaf node to speed sequential access. The B* tree balances more neighboring internal nodes to keep the internal nodes more densely packed. This variant ensures non-root nodes are at least 2/3 full instead of 1/2. As the most costly part of operation of inserting the node in B-tree is splitting the node, B*-trees are created to postpone splitting operation as long as they can. To maintain this, instead of immediately splitting up a node when it gets full, its keys are shared with a node next to it. This spill operation is less costly to do than split, because it requires only shifting the keys between existing nodes, not allocating memory for a new one. For inserting, first it is checked whether the node has some free space in it, and if so, the new key is just inserted in the node. However, if the node is full (it has keys, where is the order of the tree as maximum number of pointers to subtrees from one node), it needs to be checked whether the right sibling exists and has some free space. If the right sibling has keys, then keys are redistributed between the two sibling nodes as evenly as possible. For this purpose, keys from the current node, the new key inserted, one key from the parent node and keys from the sibling node are seen as an ordered array of keys. The array becomes split by half, so that lowest keys stay in the current node, the next (middle) key is inserted in the parent and the rest go to the right sibling. (The newly inserted key might end up in any of the three places.) The situation when right sibling is full, and left isn't is analogous. When both the sibling nodes are full, then the two nodes (current node and a sibling) are split into three and one more key is shifted up the tree, to the parent node. If the parent is full, then spill/split operation propagates towards the root node. Deleting nodes is somewhat more complex than inserting however. The B*+ tree combines the main B+ tree and B* tree features together. B-trees can be turned into order statistic trees to allow rapid searches for the Nth record in key order, or counting the number of records between any two records, and various other related operations. B-tree usage in databases Time to search a sorted file Usually, sorting and searching algorithms have been characterized by the number of comparison operations that must be performed using order notation. A binary search of a sorted table with records, for example, can be done in roughly comparisons. If the table had 1,000,000 records, then a specific record could be located with at most 20 comparisons: . Large databases have historically been kept on disk drives. The time to read a record on a disk drive far exceeds the time needed to compare keys once the record is available. The time to read a record from a disk drive involves a seek time and a rotational delay. The seek time may be 0 to 20 or more milliseconds, and the rotational delay averages about half the rotation period. For a 7200 RPM drive, the rotation period is 8.33 milliseconds. For a drive such as the Seagate ST3500320NS, the track-to-track seek time is 0.8 milliseconds and the average reading seek time is 8.5 milliseconds. For simplicity, assume reading from disk takes about 10 milliseconds. Naively, then, the time to locate one record out of a million would take 20 disk reads times 10 milliseconds per disk read, which is 0.2 seconds. The time won't be that bad because individual records are grouped together in a disk block. A disk block might be 16 kilobytes. If each record is 160 bytes, then 100 records could be stored in each block. The disk read time above was actually for an entire block. Once the disk head is in position, one or more disk blocks can be read with little delay. With 100 records per block, the last 6 or so comparisons don't need to do any disk reads—the comparisons are all within the last disk block read. To speed the search further, the first 13 to 14 comparisons (which each required a disk access) must be sped up. An index speeds the search A B-tree index creates a multi-level tree structure that breaks a database down into fixed-size blocks or pages. Each level of this tree can be used to link those pages via an address location, allowing one page (known as a node, or internal page) to refer to another with leaf pages at the lowest level. One page is typically the starting point of the tree, or the "root". This is where the search for a particular key would begin, traversing a path that terminates in a leaf. Most pages in this structure will be leaf pages which ultimately refer to specific table rows. A significant improvement in performance can be made with a B-tree index. Because each node (or internal page) can have more than two children, a B-tree index will usually have a shorter height (the distance from the root to the farthest leaf) than a Binary Search Tree. In the example above, initial disk reads narrowed the search range by a factor of two. That can be improved substantially by creating an auxiliary index that contains the first record in each disk block (sometimes called a sparse index). This auxiliary index would be 1% of the size of the original database, but it can be searched more quickly. Finding an entry in the auxiliary index would tell us which block to search in the main database; after searching the auxiliary index, we would have to search only that one block of the main database—at a cost of one more disk read. The index would hold 10,000 entries, so it would take at most 14 comparisons. Like the main database, the last six or so comparisons in the auxiliary index would be on the same disk block. The index could be searched in about eight disk reads, and the desired record could be accessed in 9 disk reads. The trick of creating an auxiliary index can be repeated to make an auxiliary index to the auxiliary index. That would make an aux-aux index that would need only 100 entries and would fit in one disk block. Instead of reading 14 disk blocks to find the desired record, we only need to read 3 blocks. This blocking is the core idea behind the creation of the B-tree, where the disk blocks fill-out a hierarchy of levels to make up the index. Reading and searching the first (and only) block of the aux-aux index which is the root of the tree identifies the relevant block in aux-index in the level below. Reading and searching that aux-index block identifies the relevant block to read, until the final level, known as the leaf level, identifies a record in the main database. Instead of 150 milliseconds, we need only 30 milliseconds to get the record. The auxiliary indices have turned the search problem from a binary search requiring roughly disk reads to one requiring only disk reads where is the blocking factor (the number of entries per block: entries per block in our example; reads). In practice, if the main database is being frequently searched, the aux-aux index and much of the aux index may reside in a disk cache, so they would not incur a disk read. The B-tree remains the standard index implementation in almost all relational databases, and many nonrelational databases use them too. Insertions and deletions If the database does not change, then compiling the index is simple to do, and the index need never be changed. If there are changes, then managing the database and its index becomes more complicated. Deleting records from a database is relatively easy. The index can stay the same, and the record can just be marked as deleted. The database remains in sorted order. If there are a large number of deletions, then searching and storage become less efficient. Insertions can be very slow in a sorted sequential file because room for the inserted record must be made. Inserting a record before the first record requires shifting all of the records down one. Such an operation is just too expensive to be practical. One solution is to leave some spaces. Instead of densely packing all the records in a block, the block can have some free space to allow for subsequent insertions. Those spaces would be marked as if they were "deleted" records. Both insertions and deletions are fast as long as space is available on a block. If an insertion won't fit on the block, then some free space on some nearby block must be found and the auxiliary indices adjusted. The hope is that enough space is available nearby, such that a lot of blocks do not need to be reorganized. Alternatively, some out-of-sequence disk blocks may be used. Advantages of B-tree usage for databases The B-tree uses all of the ideas described above. In particular, a B-tree: keeps keys in sorted order for sequential traversing uses a hierarchical index to minimize the number of disk reads uses partially full blocks to speed up insertions and deletions keeps the index balanced with a recursive algorithm In addition, a B-tree minimizes waste by making sure the interior nodes are at least half full. A B-tree can handle an arbitrary number of insertions and deletions. Best case and worst case heights Let be the height of the classic B-tree (see for the tree height definition). Let be the number of entries in the tree. Let m be the maximum number of children a node can have. Each node can have at most keys. It can be shown (by induction for example) that a B-tree of height h with all its nodes completely filled has entries. Hence, the best case height (i.e. the minimum height) of a B-tree is: Let be the minimum number of children an internal (non-root) node can have. For an ordinary B-tree, Comer (1979) and Cormen et al. (2001) give the worst case height (the maximum height) of a B-tree as Algorithms Search Searching is similar to searching a binary search tree. Starting at the root, the tree is recursively traversed from top to bottom. At each level, the search reduces its field of view to the child pointer (subtree) whose range includes the search value. A subtree's range is defined by the values, or keys, contained in its parent node. These limiting values are also known as separation values. Binary search is typically (but not necessarily) used within nodes to find the separation values and child tree of interest. Insertion All insertions start at a leaf node. To insert a new element, search the tree to find the leaf node where the new element should be added. Insert the new element into that node with the following steps: If the node contains fewer than the maximum allowed number of elements, then there is room for the new element. Insert the new element in the node, keeping the node's elements ordered. Otherwise the node is full, evenly split it into two nodes so: A single median is chosen from among the leaf's elements and the new element. Values less than the median are put in the new left node and values greater than the median are put in the new right node, with the median acting as a separation value. The separation value is inserted in the node's parent, which may cause it to be split, and so on. If the node has no parent (i.e., the node was the root), create a new root above this node (increasing the height of the tree). If the splitting goes all the way up to the root, it creates a new root with a single separator value and two children, which is why the lower bound |
trustees planned to demolish these houses and to build around the west, north and east sides of the museum new galleries that would completely fill the block on which the museum stands. The architect Sir John James Burnet was petitioned to put forward ambitious long-term plans to extend the building on all three sides. Most of the houses in Montague Place were knocked down a few years after the sale. Of this grand plan only the Edward VII galleries in the centre of the North Front were ever constructed, these were built 1906–14 to the design by J.J. Burnet, and opened by King George V and Queen Mary in 1914. They now house the museum's collections of Prints and Drawings and Oriental Antiquities. There was not enough money to put up more new buildings, and so the houses in the other streets are nearly all still standing. The Duveen Gallery, sited to the west of the Egyptian, Greek & Assyrian sculpture galleries, was designed to house the Elgin Marbles by the American Beaux-Arts architect John Russell Pope. Although completed in 1938, it was hit by a bomb in 1940 and remained semi-derelict for 22 years, before reopening in 1962. Other areas damaged during World War II bombing included: in September 1940 two unexploded bombs hit the Edward VII galleries, the King's Library received a direct hit from a high explosive bomb, incendiaries fell on the dome of the Round Reading Room but did little damage; on the night of 10 to 11 May 1941 several incendiaries fell on the south-west corner of the museum, destroying the book stack and 150,000 books in the courtyard and the galleries around the top of the Great Staircase – this damage was not fully repaired until the early 1960s. The Queen Elizabeth II Great Court is a covered square at the centre of the British Museum designed by the engineers Buro Happold and the architects Foster and Partners. The Great Court opened in December 2000 and is the largest covered square in Europe. The roof is a glass and steel construction, built by an Austrian steelwork company, with 1,656 uniquely shaped panes of glass. At the centre of the Great Court is the Reading Room vacated by the British Library, its functions now moved to St Pancras. The Reading Room is open to any member of the public who wishes to read there. Today, the British Museum has grown to become one of the largest museums in the world, covering an area of over 92,000 m2 (990,000 sq. ft). In addition to 21,600 m2 (232,000 sq. ft) of on-site storage space, and 9,400 m2 (101,000 sq. ft) of external storage space. Altogether the British Museum showcases on public display less than 1% of its entire collection, approximately 50,000 items. There are nearly one hundred galleries open to the public, representing of exhibition space, although the less popular ones have restricted opening times. However, the lack of a large temporary exhibition space has led to the £135 million World Conservation and Exhibition Centre to provide one and to concentrate all the museum's conservation facilities into one Conservation Centre. This project was announced in July 2007, with the architects Rogers Stirk Harbour and Partners. It was granted planning permission in December 2009 and was completed in time for the Viking exhibition in March 2014. Blythe House in West Kensington is used by the museum for off-site storage of small and medium-sized artefacts, and Franks House in East London is used for storage and work on the "Early Prehistory" – Palaeolithic and Mesolithic – and some other collections. Departments Department of Egypt and Sudan The British Museum houses the world's largest and most comprehensive collection of Egyptian antiquities (with over 100,000 pieces) outside the Egyptian Museum in Cairo. A collection of immense importance for its range and quality, it includes objects of all periods from virtually every site of importance in Egypt and the Sudan. Together, they illustrate every aspect of the cultures of the Nile Valley (including Nubia), from the Predynastic Neolithic period (c. 10,000 BC) through Coptic (Christian) times (12th century AD), and up to the present day, a time-span over 11,000 years. Egyptian antiquities have formed part of the British Museum collection ever since its foundation in 1753 after receiving 160 Egyptian objects from Sir Hans Sloane. After the defeat of the French forces under Napoleon at the Battle of the Nile in 1801, the Egyptian antiquities collected were confiscated by the British army and presented to the British Museum in 1803. These works, which included the famed Rosetta Stone, were the first important group of large sculptures to be acquired by the museum. Thereafter, the UK appointed Henry Salt as consul in Egypt who amassed a huge collection of antiquities, some of which were assembled and transported with great ingenuity by the famous Italian explorer Giovanni Belzoni. Most of the antiquities Salt collected were purchased by the British Museum and the Musée du Louvre. By 1866 the collection consisted of some 10,000 objects. Antiquities from excavations started to come to the museum in the latter part of the 19th century as a result of the work of the Egypt Exploration Fund under the efforts of E.A. Wallis Budge. Over the years more than 11,000 objects came from this source, including pieces from Amarna, Bubastis and Deir el-Bahari. Other organisations and individuals also excavated and donated objects to the British Museum, including Flinders Petrie's Egypt Research Account and the British School of Archaeology in Egypt, as well as the University of Oxford Expedition to Kawa and Faras in Sudan. Active support by the museum for excavations in Egypt continued to result in important acquisitions throughout the 20th century until changes in antiquities laws in Egypt led to the suspension of policies allowing finds to be exported, although divisions still continue in Sudan. The British Museum conducted its own excavations in Egypt where it received divisions of finds, including Asyut (1907), Mostagedda and Matmar (1920s), Ashmunein (1980s) and sites in Sudan such as Soba, Kawa and the Northern Dongola Reach (1990s). The size of the Egyptian collections now stand at over 110,000 objects. In autumn 2001 the eight million objects forming the museum's permanent collection were further expanded by the addition of six million objects from the Wendorf Collection of Egyptian and Sudanese Prehistory. These were donated by Professor Fred Wendorf of Southern Methodist University in Texas, and comprise the entire collection of artefacts and environmental remains from his excavations at Prehistoric sites in the Sahara Desert between 1963 and 1997. Other fieldwork collections have recently come from Dietrich and Rosemarie Klemm (University of Munich) and William Adams (University of Kentucky). The seven permanent Egyptian galleries at the British Museum, which include its largest exhibition space (Room 4, for monumental sculpture), can display only 4% of its Egyptian holdings. The second-floor galleries have a selection of the museum's collection of 140 mummies and coffins, the largest outside Cairo. A high proportion of the collection comes from tombs or contexts associated with the cult of the dead, and it is these pieces, in particular the mummies, that remain among the most eagerly sought-after exhibits by visitors to the museum. Highlights of the collections include: Predynastic and Early Dynastic period (c. 6000 BC – c.2690 BC) Mummy of Ginger and five other individuals from Gebelein, (c.3400 BC) Flint knife with an ivory handle (known as the Pit-Rivers Knife), Sheikh Hamada, Egypt (c.3100 BC) The Battlefield Palette and Hunters Palette, two cosmetic palettes with complex decorative schemes, (c.3100 BC) Ivory statuette of a king, from the early temple at Abydos, Egypt (c.3000 BC) King Den's sandal label from Abydos, mid-1st Dynasty (c.2985 BC) Stela of King Peribsen, Abydos (c.2720–2710 BC) Old Kingdom (2690–2181 BC) Artefacts from the tomb of King Khasekhemwy from the 2nd Dynasty (2690 BC) Granite statue of Ankhwa, the shipbuilder, Saqqara, Egypt, 3rd Dynasty, (c.2650 BC) Several of the original casing stones from the Great Pyramid of Giza, one of the Seven Wonders of the Ancient World, (c.2570 BC) Statue of Nenkheftka from Deshasha, 4th Dynasty (2500 BC) Limestone false door of Ptahshepses, Saqqara (2440 BC) Abusir Papyri, some of the oldest papyri from ancient Egypt, Abusir (2400 BC) Wooden tomb statue of Tjeti, 5th to 6th Dynasty (about 2345–2181 BC) Middle Kingdom (2134–1690 BC) Inner and outer coffin of Sebekhetepi, Beni Hasan, (about 2125–1795 BC) Quartzite statue of Ankhrekhu, 12th Dynasty (1985–1795 BC) Limestone stela of Heqaib, Abydos, Egypt, 12th Dynasty, (1990–1750 BC) Block statue and stela of Sahathor, 12th Dynasty, reign of Amenemhat II, (1922–1878 BC) Limestone statue and stelae from the offering chapel of Inyotef, Abydos, 12th Dynasty (c.1920 BC) Stela of Samontu, Abydos, (1910 BC) Reliefs from the tomb of Djehutyhotep, Deir-el-Bersha, (1878–1855 BC) Three Granite statues of Senwosret III, Deir el-Bahri, (1850 BC) Statue of Rehuankh, Abydos, (1850–1830 BC) Colossal head of Amenemhat III, Bubastis, (1800 BC) Stela of Nebipusenwosret, Abydos, (1800 BC) Second Intermediate Period (1650–1550 BC) Coffin of King Nubkheperre Intef, Thebes, (1570 BC) The famous Rhind Mathematical Papyrus, an early example of Ancient Egyptian mathematics, Thebes, (1550 BC) New Kingdom (1549–1069 BC) Schist head of Pharaoh Hatshepsut or her successor Tuthmosis III (1480 BC) Statue of Senenmut with Princess Neferure on his lap, Karnak, (1470 BC) Block statue of Sennefer, Western Thebes, (1430 BC) Twenty Sekhmet statues from the Temple of Mut, Thebes, (1400 BC) Fragment of the beard of the Great Sphinx of Giza, (14th century BC) Pair of granite monumental lion statues from Soleb in Sudan, (1370 BC) Hoard of silver bullion from El-Amarna, (1352-1336 BC) Colossal head from a statue of Amenhotep III, (1350 BC) Colossal limestone bust of Amenhotep III, (1350 BC) Amarna Tablets, 99 out of 382 tablets found, second greatest collection in the world after the Vorderasiatisches Museum, Berlin (203 tablets), (1350 BC) Stela of Horemheb from his tomb at Saqqara, (1330 BC) London Medical Papyrus with 61 medical and magical treatments, (1300 BC) Papyrus of Ani, one of the finest extant Book of the Dead from antiquity, Thebes, (1275 BC) List of the kings of Egypt from the Temple of Ramesses II, (1250 BC) Statue of Khaemwaset, son of Ramses II, Abydos, (1250 BC) The Great Harris Papyrus, the longest surviving papyrus from antiquity, Thebes, (1200 BC) D'Orbiney Papyrus with the Tale of Two Brothers, (1200–1194 BC) Seated statue of Seti II, Temple of Mut, Karnak, (1200–1194 BC) Face from the sarcophagus of Ramses VI, Valley of the Kings, (1140 BC) Book of the Dead of Nedjmet with painted offering-vignettes and columns of Hieroglyphic text, Deir el-Bahari, (1070 BC) Third Intermediate Period (1069–664 BC) Pair of gold bracelets that belonged to General Nemareth, son of Shoshenq I, Sais, (940 BC) Colossal column capital of Hathor from Bubastis, 22nd Dynasty, (922–887 BC) Statue of the Nile god Hapy, Karnak, (c.900 BC) Mummy case and coffin of Nesperennub, Thebes, (c.800 BC) Shabaka Stone from Memphis, Egypt, 25th Dynasty (around 700 BC) Coffin of king Menkaure, Giza, (700–600 BC) One of the three statues of Amun in the form of a ram protecting King Taharqo, Kawa, (683 BC) Inner and outer coffins of the priest Hor, Deir el-Bahari, Thebes, 25th Dynasty, (about 680 BC) Granite statue of the Sphinx of Taharqo, (680 BC) Late Period (664–332 BC) Saite Sarcophagus of Sasobek, the vizier (prime minister) of the northern part of Egypt in the reign of Psammetichus I (664–610 BC) Sarcophagus lid of Sasobek, (630 BC) Bronze figure of Isis and Horus, North Saqqara, Egypt (600 BC) Sarcophagus of Hapmen, Cairo, 26th Dynasty or later, (600–300 BC) Kneeling statue of Wahibre, from near Lake Mariout, (530 BC) Sarcophagus of Ankhnesneferibre, (525 BC) Torso of Nectanebo I, (380–362 BC) Obelisks and sarcophagus of Pharaoh Nectanebo II, (360–343 BC) Sarcophagus of Nectanebo II, Alexandria, (360–343 BC) Ptolemaic dynasty (305–30 BC) The famous Rosetta Stone, trilingual stela that unlocked the ancient Egyptian civilisation (196 BC) Naos or temple shrine of Ptolemy VIII from Philae, (150 BC) Giant sculpture of a scarab beetle, (32–30 BC) Fragment of a basalt Egyptian-style statue of Ptolemy I Soter, (305–283 BC) Mummy of Hornedjitef (inner coffin), Thebes, (3rd century BC) Wall from a chapel of Queen Shanakdakhete, Meroë, (c.150 BC) Shrine of Ptolemy VII, Philae (c.150 BC) Roman Period (30 BC-641 AD) Schist head of a young man, Alexandria, (after 30 BC) The Meriotic Hamadab Stela from the Kingdom of Kush found near the ancient site of Meroë in Sudan, 24 BC Lid of the coffin of Soter and Cleopatra from Qurna, Thebes, (early 2nd century AD) Mummy of a youth with a portrait of the deceased, Hawara, (100–200 AD) Over 30 Fayum mummy portraits from Hawara and other sites in Fayum, (40–250 AD) Bronze lamp and patera from the X-group tombs, Qasr Ibrim, (1st–6th centuries AD) Coptic wall painting of the martyrdom of saints, Wadi Sarga, (6th century AD) Department of Greece and Rome The British Museum has one of the world's largest and most comprehensive collections of antiquities from the Classical world, with over 100,000 objects. These mostly range in date from the beginning of the Greek Bronze Age (about 3200 BC) to the establishment of Christianity as the official religion of the Roman Empire, with the Edict of Milan under the reign of the Roman emperor Constantine I in 313 AD. Archaeology was in its infancy during the nineteenth century and many pioneering individuals began excavating sites across the Classical world, chief among them for the museum were Charles Newton, John Turtle Wood, Robert Murdoch Smith and Charles Fellows. The Greek objects originate from across the Ancient Greek world, from the mainland of Greece and the Aegean Islands, to neighbouring lands in Asia Minor and Egypt in the eastern Mediterranean and as far as the western lands of Magna Graecia that include Sicily and southern Italy. The Cycladic, Minoan and Mycenaean cultures are represented, and the Greek collection includes important sculpture from the Parthenon in Athens, as well as elements of two of the Seven Wonders of the Ancient World, the Mausoleum at Halicarnassus and the Temple of Artemis at Ephesos. Beginning from the early Bronze Age, the department also houses one of the widest-ranging collections of Italic and Etruscan antiquities outside Italy, as well as extensive groups of material from Cyprus and non-Greek colonies in Lycia and Caria on Asia Minor. There is some material from the Roman Republic, but the collection's strength is in its comprehensive array of objects from across the Roman Empire, with the exception of Britain (which is the mainstay of the Department of Prehistory and Europe). The collections of ancient jewellery and bronzes, Greek vases (many from graves in southern Italy that were once part of Sir William Hamilton's and Chevalier Durand's collections), Roman glass including the famous Cameo glass Portland Vase, Roman gold glass (the second largest collection after the Vatican Museums), Roman mosaics from Carthage and Utica in North Africa that were excavated by Nathan Davis, and silver hoards from Roman Gaul (some of which were bequeathed by the philanthropist and museum trustee Richard Payne Knight), are particularly important. Cypriot antiquities are strong too and have benefited from the purchase of Sir Robert Hamilton Lang's collection as well as the bequest of Emma Turner in 1892, which funded many excavations on the island. Roman sculptures (many of which are copies of Greek originals) are particularly well represented by the Townley collection as well as residual sculptures from the famous Farnese collection. Objects from the Department of Greece and Rome are located throughout the museum, although many of the architectural monuments are to be found on the ground floor, with connecting galleries from Gallery 5 to Gallery 23. On the upper floor, there are galleries devoted to smaller material from ancient Italy, Greece, Cyprus and the Roman Empire. Highlights of the collections include: Temple of Hephaestus Marble coffer frame and coffer from the colonnade, (449–415 BC) Parthenon The Parthenon Marbles (Elgin Marbles), (447–438 BC) Propylaea Capital and column drum, (437–432 BC) Erechtheion A surviving column and architectural fittings, (420–415 BC) One of six remaining Caryatids, (415 BC) Temple of Athena Nike Surviving frieze slabs and capital, (427–424 BC) Choragic Monument of Thrasyllos Statue of Dionysos, (270 BC) Tower of the Winds Marble Corinthian capital, (50 BC) Temple of Poseidon, Sounion Fluted column base, (444-440 BC) Temple of Nemesis, Rhamnus Head from the statue of Nemesis, (430-420 BC) Temple of Bassae Twenty-three surviving blocks of the frieze from the interior of the temple, (420–400 BC) Sanctuary of Apollo at Daphni Fluted columns, column bases and ionic capitals, (399–301 BC) Temple of Athena Polias, Priene Sculptural coffers from the temple ceiling, (350-325 BC) Ionic capitals, architraves and antae, (350-325 BC) Marble torso of a charioteer, (320-300 BC) Mausoleum at Halicarnassus Two colossal free-standing figures identified as Maussollos and his wife Artemisia, (c. 350 BC) Part of an impressive horse from the chariot group adorning the summit of the Mausoleum, (c. 350 BC) The Amazonomachy frieze – A long section of relief frieze showing the battle between Greeks and Amazons, (c. 350 BC) Temple of Artemis in Ephesus One of the sculptured column bases, (340–320 BC) Part of the Ionic frieze situated above the colonnade, (330–300 BC) Knidos in Asia Minor Demeter of Knidos, (350 BC) Lion of Knidos, (350–200 BC) Xanthos in Asia Minor Lion Tomb, (550–500 BC) Harpy Tomb, (480–470 BC) Nereid Monument, partial reconstruction of a large and elaborate Lykian tomb, (390–380 BC) Tomb of Merehi, (390–350 BC) Tomb of Payava, (375–350 BC) Bilingual Decree of Pixodaros, (340 BC) Temple of Zeus, Salamis in Cyprus Marble capital with caryatid figure standing between winged bulls, (300-250 BC) Wider collection Prehistoric Greece and Italy (3300 BC – 8th century BC) Over thirty Cycladic figures from islands in the Aegean Sea, many collected by James Theodore Bent, Greece, (3300–2000 BC) A large Gaudo culture askos from Paestum, southern Italy, (2800–2400 BC) Kythnos Hoard of wood working metal tools from the island of Naxos, Greece, (2700–2200 BC) Two pottery kernos from Phylakopi in Melos, Greece (2300–2000 BC) Material from the Palace of Knossos including a huge pottery storage jar, some donated by Sir Arthur Evans, Crete, Greece, (1900–1100 BC) The Minoan gold treasure from Aegina, northern Aegean, Greece, (1850–1550 BC) Artefacts from the Psychro Cave in Crete, including two serpentine libation tables, (1700–1450 BC) Bronze Minoan Bull-leaper from Rethymnon, Crete, (1600–1450 BC) Segments of the columns and architraves from the Treasury of Atreus, Peloponnese, Greece, (1350–1250 BC) Ivory game board found at Enkomi, Cyprus, (12th century BC) Nuragic hoard of bronze artefacts found at Santa Maria in Paulis, Cagliari, Sardinia, (1100–900 BC) Elgin Amphora, highly decorated pottery vase attributed to the Dipylon Master, Athens, Greece, (8th century BC) Votive offerings from the Sanctuary of Artemis Orthia at Sparta, (8th century BC) Etruscan (8th century BC – 1st century BC) Gold jewellery and other rich artefacts from the Castellani and Galeassi Tombs in Palestrina, central Italy, (8th–6th centuries BC) Ornate gold fibula with granulated parade of animals from the Bernardini Tomb, Cerveteri, (675–650 BC) Various objects including two small terracotta statues from the "Tomb of the five chairs" in Cerveteri (625–600 BC) Gold libation bowl from Sant'Angelo Muxaro, Sicily, (600 BC) Contents of the Isis tomb and François Tomb, Vulci, (570–560 BC) Painted terracotta plaques (the so-called Boccanera Plaques) from a tomb in Cerveteri, (560–550 BC) Decorated silver panels from Castel San Marino, near Perugia (540–520 BC) Statuette of a bronze votive figure from Pizzidimonte, near Prato, Italy (500–480 BC) Bronze helmet with inscription commemorating the Battle of Cumae, Olympia, Greece, (480 BC) Bronze votive statuettes from the Lake of the Idols, Monte Falterona, (420–400 BC) Part of a symposium set of bronze vessels from the tomb of Larth Metie, Bolsena, Italy, (400-300 BC) Exquisite gold ear-ring with female head pendant, one of a pair from Perugia, (300–200 BC) Oscan Tablet, one of the most important inscriptions in the Oscan language, (300–100 BC) Hoard of gold jewelry from Sant'Eufemia Lamezia, southern Italy, (340–330 BC) Latian bronze figure from the Sanctuary of Diana, Lake Nemi, Latium, (200–100 BC) Sarcophagus of Seianti Hanunia Tlesnasa from Chiusi, (150–140 BC) Ancient Greece (8th century BC – 4th century AD) Orientalising gold jewelry from the Camirus cemetery in Rhodes, (700–600 BC) Foot from the colossal Kouros of Apollo, Delos, (600-500 BC) Group of life-size archaic statues from the Sacred Way at Didyma, western Turkey, (600–580 BC) Bronze statuette of a rider and horse from Armento, southern Italy (550 BC) Bronze head of an axe from San Sosti, southern Italy, (520 BC) Statue of a nude standing youth from Marion, Cyprus, (520–510 BC) Large terracotta sarcophagus and lid with painted scenes from Klazomenai, western Turkey, (510–480 BC) Two bronze tablets in the Locrian Greek dialect from Galaxidi, central Greece, (500-475 BC) Fragments from a large bronze equestrian statue of the Taranto Rider, southern Italy, (480–460 BC) Chatsworth Apollo Head, Tamassos, Cyprus (460 BC) Statue of recumbent bull from the Dipylon Cemetery, Athens (4th century BC) Hoard of gold jewelry from Avola, Sicily, (370–300 BC) Dedicatory Inscription by Alexander the Great from Priene in Turkey (330 BC) Head from the colossal statue of the Asclepius of Milos, Greece, (325–300 BC) Braganza Brooch, Ornamental gold fibula reflecting Celtic and Greek influences (3rd century BC) Hoard of silver patera from Èze, southeastern France, (3rd century BC) Gold tablet from an Orphic sanctuary in southern Italy (3rd–2nd centuries BC) Marble relief of the Apotheosis of Homer from Bovillae, central Italy, (221–205 BC) Bronze sculpture of a Greek poet known as the Arundel Head, western Turkey, (2nd–1st centuries BC) Remains of the Scylla monument at Bargylia, south west Anatolia, Turkey, (200–150 BC) Bronze head and hand of the statue of Aphrodite of Satala (1st century BC) Bronze statuettes from Paramythia (2nd century AD) Large statue of Europa sitting on the back of a bull from the amphitheatre at Gortyna, Crete, (100 BC) Ancient Rome (1st century BC – 4th century AD) Pair of engraved oval agate plaques depicting Livia as Diana and Octavian as Mercury, (Rome, 30-25 BC) Guildford Puteal from Corinth, Greece (30–10 BC) Bronze head of Augustus from Meroë in Sudan (27–25 BC) Cameo glass Portland Vase, the most famous glass vessel from ancient Rome, (1–25 AD) Silver Warren Cup with homoerotic scenes, found near Jerusalem, (5–15 AD) Gladius of Mainz (or "Sword of Tiberius") and Blacas Cameo, depicting Roman emperors in triumph (15 AD) Horse trappings in decorated silver-plated bronze from Xanten, Germany (1st century AD) Pair of carved fluorite cups known as the Barber Cup and Crawford Cup (100 AD) Athlete statue, "Vaison Diadumenos", from an ancient Roman city in southern France (118–138 AD) A hoard of silver votive plaques dedicated to the Roman God Jupiter Dolichenus, discovered in Heddernheim, near Frankfurt, Germany, (1st–2nd centuries AD) Discus-thrower (Discobolos) and Bronze Head of Hypnos from Civitella d'Arna, Italy, (1st–2nd centuries AD) Part of a large wooden wheel for draining a copper mine in Huelva, southern Spain, (1st–2nd centuries AD) Capitals from some of the pilasters of the Pantheon, Rome, (126 AD) Colossal marble head of Faustina the Elder, wife of the Roman emperor Antoninus Pius from Sardis, western Turkey, (140 AD) Marble throne from the prohedria of the Panathenaic Stadium, Athens, (140–143 AD) Hoard of jewellery from a tomb in the vicinity of Miletopolis, Turkey, (175–180 AD) Inscribed marble base of the Roman Consul Tiberius Claudius Candidus, unearthed in Tarragona, Spain (195–199 AD) Jennings Dog, a statue of a Molossian guard dog, central Italy, (2nd century AD) Segment of a decorated marble balustrade from the Colosseum, Rome, Italy, (2nd century AD) Politarch inscription from the Vardar Gate, Thessaloniki, Greece, (2nd century AD) Various silver treasures found at Arcisate, Beaurains, Boscoreale, Bursa, Chaourse, Caubiac, Chatuzange, Conimbriga, Mâcon and Revel-Tourdan (1st–3rd century AD) Votive statue of Apollo of Cyrene, Libya (2nd century AD) Uerdingen Hoard found near Düsseldorf in Germany (2nd–3rd centuries AD) The collection encompasses architectural, sculptural and epigraphic items from many other sites across the classical world including Amathus, Atripalda, Aphrodisias, Delos, Iasos, Idalion, Lindus, Kalymnos, Kerch, Rhamnous, Salamis, Sestos, Sounion, Tomis and Thessanoloki. Department of the Middle East With a collection numbering some 330,000 works, the British Museum possesses the world's largest and most important collection of Mesopotamian antiquities outside Iraq. A collection of immense importance, the holdings of Assyrian sculpture, Babylonian and Sumerian antiquities are among the most comprehensive in the world with entire suites of rooms panelled in alabaster Assyrian palace reliefs from Nimrud, Nineveh and Khorsabad. The collections represent the civilisations of the ancient Near East and its adjacent areas. These cover Mesopotamia, Persia, the Arabian Peninsula, Anatolia, the Caucasus, parts of Central Asia, Syria, the Holy Land and Phoenician settlements in the western Mediterranean from the prehistoric period and include objects from the 7th century. The first significant addition of Mesopotamian objects was from the collection of Claudius James Rich in 1825. The collection was later dramatically enlarged by the excavations of A. H. Layard at the Assyrian sites of Nimrud and Nineveh between 1845 and 1851. At Nimrud, Layard discovered the North-West Palace of Ashurnasirpal II, as well as three other palaces and various temples. He later uncovered the Palace of Sennacherib at Nineveh with 'no less than seventy-one halls'. As a result, a large numbers of Lamassus, palace reliefs, stelae, including the Black Obelisk of Shalmaneser III, were brought to the British Museum. Layard's work was continued by his assistant, Hormuzd Rassam and in 1852–1854 he went on to discover the North Palace of Ashurbanipal at Nineveh with many magnificent reliefs, including the famous Lion Hunt of Ashurbanipal and Lachish reliefs. He also discovered the Royal Library of Ashurbanipal, a large collection of cuneiform tablets of enormous importance that today number around 130,000 pieces. W. K. Loftus excavated in Nimrud between 1850 and 1855 and found a remarkable hoard of ivories in the Burnt Palace. Between 1878 and 1882 Rassam greatly improved the museum's holdings with exquisite objects including the Cyrus Cylinder from Babylon, the bronze gates from Balawat, important objects from Sippar, and a fine collection of Urartian bronzes from Toprakkale including a copper figurine of a winged, human-headed bull. In the early 20th century excavations were carried out at Carchemish, Turkey by D. G. Hogarth and Leonard Woolley, the latter assisted by T. E. Lawrence. The Mesopotamian collections were greatly augmented by excavations in southern Iraq after the First World War. From Tell al-Ubaid came the bronze furnishings of a Sumerian temple, including life-sized lions and a panel featuring the lion-headed eagle Indugud found by H. R. Hall in 1919–24. Woolley went on to excavate Ur between 1922 and 1934, discovering the 'Royal Cemeteries' of the 3rd millennium BC. Some of the masterpieces include the 'Standard of Ur', the 'Ram in a Thicket', the 'Royal Game of Ur', and two bull-headed lyres. The department also has three diorite statues of the ruler Gudea from the ancient state of Lagash and a series of limestone kudurru or boundary stones from different locations across ancient Mesopotamia. Although the collections centre on Mesopotamia, most of the surrounding areas are well represented. The Achaemenid collection was enhanced with the addition of the Oxus Treasure in 1897 and objects excavated by the German scholar Ernst Herzfeld and the Hungarian-British explorer Sir Aurel Stein. Reliefs and sculptures from the site of Persepolis were donated by Sir Gore Ouseley in 1825 and the 5th Earl of Aberdeen in 1861 and the museum received part of a pot-hoard of jewellery from Pasargadae as the division of finds in 1963 and part of the Ziwiye hoard in 1971. A large column base from the One Hundred Column Hall at Persepolis was acquired in exchange from the Oriental Institute, Chicago. Moreover, the museum has been able to acquire one of the greatest assemblages of Achaemenid silverware in the world. The later Sasanian Empire is also well represented by ornate silver plates and cups, many representing ruling monarchs hunting lions and deer. Phoenician antiquities come from across the region, but the Tharros collection from Sardinia and the large number of Phoenician stelae from Carthage and Maghrawa are outstanding. The number of Phoenician inscriptions from sites across Cyprus is also considerable, and include artefacts found at the Kition necropolis (with the two Kition Tariffs having the longest Phoenician inscription discovered on the island), the Idalion temple site and two bilingual pedestals found at Tamassos. Another often overlooked highlight is Yemeni antiquities, the finest collection outside that country. Furthermore, the museum has a representative collection of Dilmun and Parthian material excavated from various burial mounds at the ancient sites of A'ali and Shakhura (that included a Roman ribbed glass bowl) in Bahrain. From the modern state of Syria come almost forty funerary busts from Palmyra and a group of stone reliefs from the excavations of Max von Oppenheim at Tell Halaf that was purchased in 1920. More material followed from the excavations of Max Mallowan at Chagar Bazar and Tell Brak in 1935–1938 and from Woolley at Alalakh in the years just before and after the Second World War. Mallowan returned with his wife Agatha Christie to carry out further digs at Nimrud in the postwar period which secured many important artefacts for the museum. The collection of Palestinian material was strengthened by the work of Kathleen Kenyon at Tell es-Sultan (Jericho) in the 1950s and the acquisition in 1980 of around 17,000 objects found at Lachish by the Wellcome-Marston expedition of 1932–1938. Archaeological digs are still taking place where permitted in the Middle East, and, depending on the country, the museum continues to receive a share of the finds from sites such as Tell es Sa'idiyeh in Jordan. The museum's collection of Islamic art, including archaeological material, numbers about 40,000 objects, one of the largest of its kind in the world. As such, it contains a broad range of pottery, paintings, tiles, metalwork, glass, seals, and inscriptions from across the Islamic world, from Spain in the west to India in the east. It is particularly famous for its collection of Iznik ceramics (the largest in the world), its large number of mosque lamps including one from the Dome of the Rock, mediaeval metalwork such as the Vaso Vescovali with its depictions of the Zodiac, a fine selection of astrolabes, and Mughal paintings and precious artwork including a large jade terrapin made for the emperor Jahangir. Thousands of objects were excavated after the war by professional archaeologists at Iranian sites such as Siraf by David Whitehouse and Alamut Castle by Peter Willey. The collection was augmented in 1983 by the Godman bequest of Iznik, Hispano-Moresque and early Iranian pottery. Artefacts from the Islamic world are on display in Gallery 34 of the museum. A representative selection from the Department of Middle East, including the most important pieces, are on display in 13 galleries throughout the museum and total some 4,500 objects. A whole suite of rooms on the ground floor display the sculptured reliefs from the Assyrian palaces at Nineveh, Nimrud and Khorsabad, while 8 galleries on the upper floor hold smaller material from ancient sites across the Middle East. The remainder form the study collection which ranges in size from beads to large sculptures. They include approximately 130,000 cuneiform tablets from Mesopotamia. Highlights of the collections include: Nimrud: Assyrian palace reliefs from: The North-West Palace of Ashurnasirpal II, (883–859 BC) Palace of Adad-nirari III, (811–783 BC) The Sharrat-Niphi Temple, (c. 9th century BC) Temple of Ninurta, (c. 9th century BC) South-East Palace ('Burnt Palace'), (8th–7th century BC) Central- Palace of Tiglath-Pileser III, (745–727 BC) South-West Palace of Esarhaddon, (681–669 BC) The Nabu Temple (Ezida), (c. 7th century BC) Sculptures and inscriptions: Pair of Human Headed Lamassu Lions, (883–859 BC) Human Headed Lamassu Bull, sister piece in The Metropolitan Museum of Art, (883–859 BC) Human Headed Lamassu Lion, sister piece in the Metropolitan Museum of Art, (883–859 BC) Colossal Statue of a Lion, (883–859 BC) Foundation tablet of Ashurnasirpal II from the Temple of Ishtar, (875–865 BC) Rassam Obelisk of Ashurnasirpal II, (873–859 BC) Stela and Statue of King Ashurnasirpal II, (883–859 BC) The Black Obelisk of Shalmaneser III, (858–824 BC) Stela of Shamshi-Adad V, (824–811 BC) Rare Head of Human Headed 'Lamassu', recovered from the North-West Palace, (811–783 BC) Pair of statues of attendant god dedicated to Nabu by Adad-Nirari III and Sammuramat, (810–800 BC) Bilingual Assyrian lion weights with both cuneiform and Phoenician inscriptions, (800–700 BC) Large sculpture of a male bearded head from a Lamassu with inscription dedicated to Esarhaddon, (670 BC) Nineveh: Assyrian palace reliefs and sculptures from: South-West Palace of Sennacherib, (705–681 BC) North-Palace of Ashurbanipal, (c. 645 BC), including the Lion Hunt of Ashurbanipal and Lachish relief The famous Garden Party Relief, (645 BC) Statue of a nude woman, (11th century BC) Broken Obelisk of Ashur-bel-kala, the earliest known Assyrian obelisk, (11th century BC) White Obelisk of Ashurnasirpal I, (1050–1031 BC) Royal Library of Ashurbanipal: A large collection of cuneiform tablets of enormous importance, approximately 22,000 inscribed clay tablets, (7th century BC) The Flood Tablet, relating part of the famous Epic of Gilgamesh, (7th century BC) Taylor Prism, hexagonal clay foundation record, (691 BC) Rassam cylinder with ten faces, that describes the military campaigns of king Ashurbanipal, (643 BC) Other Mesopotamian sites: Khorsabad and Balawat: Alabaster bas-reliefs from the Palace of Sargon II, (710–705 BC) Pair of Human Headed Winged Lamassu Bulls, (710–705 BC) The Balawat Gates of Shalmaneser III, (860 BC) Ur: The Standard of Ur with depictions of war and peace, (2600 BC) Queen's Lyre and gold drinking cup from Queen Puabi's tomb, (2600 BC) The Ram in a Thicket, one of pair, the other is in Philadelphia, (2600–2400 BC) The Royal Game of Ur, an ancient game board, (2600–2400 BC) Wider collection: Plastered human skull from Jericho, a very early form of portraiture, Palestine, (7000–6000 BC) Tell Brak Head, one of the oldest portrait busts from the Middle East, north east Syria, (3500–3300 BC) Uruk Trough, one of the earliest surviving works of narrative relief sculpture from the Middle East, southern Iraq, (3300–3000 BC) Pair of inscribed stone objects known as the Blau Monuments from Uruk, Iraq, (3100–2700 BC) Hoard of Bronze Age gold jewellery found at the Canaanite site of Tell el-Ajjul in Gaza, (1750–1550 BC) Statue of Idrimi from the ancient city of Alalakh, southern Turkey, (1600 BC) Bronze bowl and ivory cosmetic box in the shape of a fish from Tell es-Sa'idiyeh, Jordan, (1250–1150 BC) Group of 16 stone reliefs from the palace of King Kapara at Tell Halaf, northern Syria, (10th century BC) Tablet of Shamash, depicting the sun-god Shamash, from Sippar, Iraq, (early 9th century BC) Hittite lion head from the monument to King Katuwa at Carchemish, southern Turkey, (9th century BC) Two large Assyrian stelae from Kurkh, southern Turkey, (850 BC) Seated statue of Kidudu or guardian spirit from the Assyrian city of Assur under Shalmaneser III, Iraq, (835 BC) Basalt bowl with engraved inscription in Hieroglyphic Luwian found at Babylon, southern Iraq, (8th century BC) Shebna Inscription from Siloam near Jerusalem, (7th century BC) Group of 4 bronze shields with inscription of king Rusa III from the temple of Khaldi at the Urartian fortress of Toprakkale, eastern Turkey, (650 BC) East India House Inscription from Babylon, Iraq, (604–562 BC) Lachish Letters, group of ostraka written in alphabetic Hebrew from Lachish, Israel, (586 BC) Cylinder of Nabonidus, foundation cylinder of King Nabonidus, Sippar, Iraq, (555–540 BC) The famous Oxus Treasure, the largest ancient Persian hoard of gold artefacts, (550–330 BC) Jar of Xerxes I, alabaster alabastron with quadrilingual signature of Achaemenid ruler Xerxes I, found in the ruins of the Mausoleum of Halicarnassus, Turkey, (486–465 BC) Idalion Bilingual, bilingual Cypriot-Phoenician inscription, key to the decipherment of the Cypriot syllabary, Idalion, Cyprus, (388 BC) Punic-Libyan Inscription from the Mausoleum of Ateban, key to the decipherment of the Numidian language, Dougga, Tunisia, (146 BC) Amran Tablets found near Sana'a, Yemen, (1st century BC) One of the pottery storage jars containing the Dead Sea Scrolls found in a cave near Qumran, Jordan, (4 BC – 68 AD) Two limestone ossuaries from caves in Jerusalem, (1st century AD) Fragment of a carved basalt architrave depicting a lion's head from the Temple of Garni, Armenia, (1st century AD) Group of boulders with Safaitic inscriptions from Jordan/Syria, one of which was donated by Gertrude Bell, (1st–2nd centuries AD) Parthian dynasty gold belt-buckle with central repoussé figure of eagle with outstretched wings from Nihavand, Iran, (1st–3rd centuries AD) Silver bowl from Khwarezm depicting a four-armed goddess seated on a lion, Kazakhstan, (658 AD) One of the rare Hedwig glasses, originating from the Middle East or Norman Sicily, (10th–12th centuries AD) Hoard of Seljuq artefacts from Hamadan including gold cup, silver gilt belt fittings and dress accessories, Iran, (11th–12th centuries) Islamic brass ewers with engraved decoration and inlaid with silver and copper from Herat, Afghanistan and Mosul, Iraq (12th–13th centuries AD) Department of Prints and Drawings The Department of Prints and Drawings holds the national collection of Western prints and drawings. It ranks as one of the largest and best print room collections in existence alongside the Albertina in Vienna, the Paris collections and the Hermitage. The holdings are easily accessible to the general public in the Study Room, unlike many such collections. The department also has its own exhibition gallery in Room 90, where the displays and exhibitions change several times a year. Since its foundation in 1808, the prints and drawings collection has grown to international renown as one of the richest and most representative collections in the world. There are approximately 50,000 drawings and over two million prints. The collection of drawings covers the period from the 14th century to the present, and includes many works of the highest quality by the leading artists of the European schools. The collection of prints covers the tradition of fine printmaking from its beginnings in the 15th century up to the present, with near complete holdings of most of the great names before the 19th century. Key benefactors to the department have been Clayton Mordaunt Cracherode, Richard Payne Knight, John Malcolm, Campbell Dodgson, César Mange de Hauke and Tomás Harris. There are groups of drawings by Leonardo da Vinci, Raphael, Michelangelo, (including his only surviving full-scale cartoon), Dürer (a collection of 138 drawings is one of the finest in existence), Peter Paul Rubens, Rembrandt, Claude and Watteau, and largely complete collections of the works of all the great printmakers including Dürer (99 engravings, 6 etchings and most of his 346 woodcuts), Rembrandt and Goya. More than 30,000 British drawings and watercolours include important examples of work by Hogarth, Sandby, Turner, Girtin, Constable, Cotman, Cox, Gillray, Rowlandson, Towne and Cruikshank, as well as all the great Victorians. The collection contains the unique set of watercolours by the pioneering colonist John White, the first British artist in America and first European to paint Native Americans. There are about a million British prints including more than 20,000 satires and outstanding collections of works by William Blake and Thomas Bewick.. The great eleven volume Catalogue of Political and Personal Satires Preserved in the Department of Prints and Drawings in the British Museum compiled between 1870 and 1954 is the definitive reference work for the study of British Satirical prints. Over 500,000 objects from the department are now on the online collection database, many with high-quality images. A 2011 donation of £1 million enabled the museum to acquire a complete set of Pablo Picasso's Vollard Suite. Department of Britain, Europe and Prehistory The Department of Britain, Europe and Prehistory is responsible for collections that cover a vast expanse of time and geography. It includes some of the earliest objects made by humans in east Africa over 2 million years ago, as well as Prehistoric and neolithic objects from other parts of the world; and the art and archaeology of Europe from the earliest times to the present day. Archeological excavation of prehistoric material took off and expanded considerably in the twentieth century and the department now has literally millions of objects from the Paleolithic and Mesolithic periods throughout the world, as well as from the Neolithic, Bronze Age and Iron Age in Europe. Stone Age material from Africa has been donated by famous archaeologists such as Louis and Mary Leakey, and Gertrude Caton–Thompson. Paleolithic objects from the Sturge, Christy and Lartet collections include some of the earliest works of art from Europe. Many Bronze Age objects from across Europe were added during the nineteenth century, often from large collections built up by excavators and scholars such as Greenwell in Britain, Tobin and Cooke in Ireland, Lukis and de la Grancière in Brittany, Worsaae in Denmark, Siret at El Argar in Spain, and Klemm and Edelmann in Germany. A representative selection of Iron Age artefacts from Hallstatt were acquired as a result of the Evans/Lubbock excavations and from Giubiasco in Ticino through the Swiss National Museum. In addition, the British Museum's collections covering the period AD 300 to 1100 are among the largest and most comprehensive in the world, extending from Spain to the Black Sea and from North Africa to Scandinavia; a representative selection of these has recently been redisplayed in a newly refurbished gallery. Important collections include Latvian, Norwegian, Gotlandic and Merovingian material from Johann Karl Bähr, Alfred Heneage Cocks, Sir James Curle and Philippe Delamain respectively. However, the undoubted highlight from the early mediaeval period is the magnificent items from the Sutton Hoo royal grave, generously donated to the nation by the landowner Edith Pretty. The late mediaeval collection includes a large number of seal-dies from across Europe, the most famous of which include those from the Town of Boppard in Germany, Isabella of Hainault from her tomb in Notre Dame Cathedral, Paris, Inchaffray Abbey in Scotland and Robert Fitzwalter, one of the Barons who led the revolt against King John in England. There is also a large collection of medieval signet rings, prominent among them is the gold signet ring belonging to Jean III de Grailly who fought in the Hundred Years' War, as well as those of Mary, Queen of Scots and Richard I of England. Other groups of artifacts represented in the department include the national collection of (c.100) icon paintings, most of which originate from the Byzantine Empire and Russia, and over 40 mediaeval astrolabes from across Europe and the Middle East. The department also includes the national collection of horology with one of the most wide-ranging assemblage of clocks, watches and other timepieces in Europe, with masterpieces from every period in the development of time-keeping. Choice horological pieces came from the Morgan and Ilbert collections. The department is also responsible for the curation of Romano-British objects – the museum has by far the most extensive such collection in Britain and one of the most representative regional collections in Europe outside Italy. It is particularly famous for the large number of late Roman silver treasures, many of which were found in East Anglia, the most important of which is the Mildenhall Treasure. The museum purchased many Roman-British objects from the antiquarian Charles Roach Smith in 1856. These quickly formed the nucleus of the collection. The department also includes ethnographic material from across Europe including a collection of Bulgarian costumes and shadow puppets from Greece and Turkey. A particular highlight are the three Sámi drums from northern Sweden of which only about 70 are extant. Objects from the Department of Britain, Europe and Prehistory are mostly found on the upper floor of the museum, with a suite of galleries numbered from 38 to 51. Most of the collection is stored in its archive facilities, where it is available for research and study. Highlights of the collections include: Stone Age (c. 3.4 million years BC – c. 2000 BC) Palaeolithic material from across Africa, particularly Olduvai, Kalambo Falls, Olorgesailie and Cape Flats, (1.8 million BC onwards) One of the 11 leaf-shaped points found near Volgu, Saône-et-Loire, France and estimated to be 16,000 years old Ice Age art from France including the Wolverine pendant of Les Eyzies, Montastruc decorated stone and Baton fragment, (c. 12–11,000 BC) Ice Age art from Britain including the decorated jaw from Kendrick and Robin Hood Cave Horse, (11,500–10,000 BC) Rare mesolithic artefacts from the site of Star Carr in Yorkshire, northern England, (8770–8460 BC) Terracotta figurine from Vinča, Serbia, (5200–4900 BC) Callaïs bead jewellery from Lannec-er-Ro'h, intact schist bracelet from Le Lizo, Carnac and triangular pendant from Mané-er-Hroëk, Morbihan, Brittany, western France, (5000–4300 BC) Polished jade axe produced in the Italian Alps and found in Canterbury, Kent, southeast England, (4500–4000 BC) Section of the Sweet Track, an ancient timber causeway from the Somerset Levels, England, (3807/6 BC) Small collection of Neolithic | Tablet, one of the most important inscriptions in the Oscan language, (300–100 BC) Hoard of gold jewelry from Sant'Eufemia Lamezia, southern Italy, (340–330 BC) Latian bronze figure from the Sanctuary of Diana, Lake Nemi, Latium, (200–100 BC) Sarcophagus of Seianti Hanunia Tlesnasa from Chiusi, (150–140 BC) Ancient Greece (8th century BC – 4th century AD) Orientalising gold jewelry from the Camirus cemetery in Rhodes, (700–600 BC) Foot from the colossal Kouros of Apollo, Delos, (600-500 BC) Group of life-size archaic statues from the Sacred Way at Didyma, western Turkey, (600–580 BC) Bronze statuette of a rider and horse from Armento, southern Italy (550 BC) Bronze head of an axe from San Sosti, southern Italy, (520 BC) Statue of a nude standing youth from Marion, Cyprus, (520–510 BC) Large terracotta sarcophagus and lid with painted scenes from Klazomenai, western Turkey, (510–480 BC) Two bronze tablets in the Locrian Greek dialect from Galaxidi, central Greece, (500-475 BC) Fragments from a large bronze equestrian statue of the Taranto Rider, southern Italy, (480–460 BC) Chatsworth Apollo Head, Tamassos, Cyprus (460 BC) Statue of recumbent bull from the Dipylon Cemetery, Athens (4th century BC) Hoard of gold jewelry from Avola, Sicily, (370–300 BC) Dedicatory Inscription by Alexander the Great from Priene in Turkey (330 BC) Head from the colossal statue of the Asclepius of Milos, Greece, (325–300 BC) Braganza Brooch, Ornamental gold fibula reflecting Celtic and Greek influences (3rd century BC) Hoard of silver patera from Èze, southeastern France, (3rd century BC) Gold tablet from an Orphic sanctuary in southern Italy (3rd–2nd centuries BC) Marble relief of the Apotheosis of Homer from Bovillae, central Italy, (221–205 BC) Bronze sculpture of a Greek poet known as the Arundel Head, western Turkey, (2nd–1st centuries BC) Remains of the Scylla monument at Bargylia, south west Anatolia, Turkey, (200–150 BC) Bronze head and hand of the statue of Aphrodite of Satala (1st century BC) Bronze statuettes from Paramythia (2nd century AD) Large statue of Europa sitting on the back of a bull from the amphitheatre at Gortyna, Crete, (100 BC) Ancient Rome (1st century BC – 4th century AD) Pair of engraved oval agate plaques depicting Livia as Diana and Octavian as Mercury, (Rome, 30-25 BC) Guildford Puteal from Corinth, Greece (30–10 BC) Bronze head of Augustus from Meroë in Sudan (27–25 BC) Cameo glass Portland Vase, the most famous glass vessel from ancient Rome, (1–25 AD) Silver Warren Cup with homoerotic scenes, found near Jerusalem, (5–15 AD) Gladius of Mainz (or "Sword of Tiberius") and Blacas Cameo, depicting Roman emperors in triumph (15 AD) Horse trappings in decorated silver-plated bronze from Xanten, Germany (1st century AD) Pair of carved fluorite cups known as the Barber Cup and Crawford Cup (100 AD) Athlete statue, "Vaison Diadumenos", from an ancient Roman city in southern France (118–138 AD) A hoard of silver votive plaques dedicated to the Roman God Jupiter Dolichenus, discovered in Heddernheim, near Frankfurt, Germany, (1st–2nd centuries AD) Discus-thrower (Discobolos) and Bronze Head of Hypnos from Civitella d'Arna, Italy, (1st–2nd centuries AD) Part of a large wooden wheel for draining a copper mine in Huelva, southern Spain, (1st–2nd centuries AD) Capitals from some of the pilasters of the Pantheon, Rome, (126 AD) Colossal marble head of Faustina the Elder, wife of the Roman emperor Antoninus Pius from Sardis, western Turkey, (140 AD) Marble throne from the prohedria of the Panathenaic Stadium, Athens, (140–143 AD) Hoard of jewellery from a tomb in the vicinity of Miletopolis, Turkey, (175–180 AD) Inscribed marble base of the Roman Consul Tiberius Claudius Candidus, unearthed in Tarragona, Spain (195–199 AD) Jennings Dog, a statue of a Molossian guard dog, central Italy, (2nd century AD) Segment of a decorated marble balustrade from the Colosseum, Rome, Italy, (2nd century AD) Politarch inscription from the Vardar Gate, Thessaloniki, Greece, (2nd century AD) Various silver treasures found at Arcisate, Beaurains, Boscoreale, Bursa, Chaourse, Caubiac, Chatuzange, Conimbriga, Mâcon and Revel-Tourdan (1st–3rd century AD) Votive statue of Apollo of Cyrene, Libya (2nd century AD) Uerdingen Hoard found near Düsseldorf in Germany (2nd–3rd centuries AD) The collection encompasses architectural, sculptural and epigraphic items from many other sites across the classical world including Amathus, Atripalda, Aphrodisias, Delos, Iasos, Idalion, Lindus, Kalymnos, Kerch, Rhamnous, Salamis, Sestos, Sounion, Tomis and Thessanoloki. Department of the Middle East With a collection numbering some 330,000 works, the British Museum possesses the world's largest and most important collection of Mesopotamian antiquities outside Iraq. A collection of immense importance, the holdings of Assyrian sculpture, Babylonian and Sumerian antiquities are among the most comprehensive in the world with entire suites of rooms panelled in alabaster Assyrian palace reliefs from Nimrud, Nineveh and Khorsabad. The collections represent the civilisations of the ancient Near East and its adjacent areas. These cover Mesopotamia, Persia, the Arabian Peninsula, Anatolia, the Caucasus, parts of Central Asia, Syria, the Holy Land and Phoenician settlements in the western Mediterranean from the prehistoric period and include objects from the 7th century. The first significant addition of Mesopotamian objects was from the collection of Claudius James Rich in 1825. The collection was later dramatically enlarged by the excavations of A. H. Layard at the Assyrian sites of Nimrud and Nineveh between 1845 and 1851. At Nimrud, Layard discovered the North-West Palace of Ashurnasirpal II, as well as three other palaces and various temples. He later uncovered the Palace of Sennacherib at Nineveh with 'no less than seventy-one halls'. As a result, a large numbers of Lamassus, palace reliefs, stelae, including the Black Obelisk of Shalmaneser III, were brought to the British Museum. Layard's work was continued by his assistant, Hormuzd Rassam and in 1852–1854 he went on to discover the North Palace of Ashurbanipal at Nineveh with many magnificent reliefs, including the famous Lion Hunt of Ashurbanipal and Lachish reliefs. He also discovered the Royal Library of Ashurbanipal, a large collection of cuneiform tablets of enormous importance that today number around 130,000 pieces. W. K. Loftus excavated in Nimrud between 1850 and 1855 and found a remarkable hoard of ivories in the Burnt Palace. Between 1878 and 1882 Rassam greatly improved the museum's holdings with exquisite objects including the Cyrus Cylinder from Babylon, the bronze gates from Balawat, important objects from Sippar, and a fine collection of Urartian bronzes from Toprakkale including a copper figurine of a winged, human-headed bull. In the early 20th century excavations were carried out at Carchemish, Turkey by D. G. Hogarth and Leonard Woolley, the latter assisted by T. E. Lawrence. The Mesopotamian collections were greatly augmented by excavations in southern Iraq after the First World War. From Tell al-Ubaid came the bronze furnishings of a Sumerian temple, including life-sized lions and a panel featuring the lion-headed eagle Indugud found by H. R. Hall in 1919–24. Woolley went on to excavate Ur between 1922 and 1934, discovering the 'Royal Cemeteries' of the 3rd millennium BC. Some of the masterpieces include the 'Standard of Ur', the 'Ram in a Thicket', the 'Royal Game of Ur', and two bull-headed lyres. The department also has three diorite statues of the ruler Gudea from the ancient state of Lagash and a series of limestone kudurru or boundary stones from different locations across ancient Mesopotamia. Although the collections centre on Mesopotamia, most of the surrounding areas are well represented. The Achaemenid collection was enhanced with the addition of the Oxus Treasure in 1897 and objects excavated by the German scholar Ernst Herzfeld and the Hungarian-British explorer Sir Aurel Stein. Reliefs and sculptures from the site of Persepolis were donated by Sir Gore Ouseley in 1825 and the 5th Earl of Aberdeen in 1861 and the museum received part of a pot-hoard of jewellery from Pasargadae as the division of finds in 1963 and part of the Ziwiye hoard in 1971. A large column base from the One Hundred Column Hall at Persepolis was acquired in exchange from the Oriental Institute, Chicago. Moreover, the museum has been able to acquire one of the greatest assemblages of Achaemenid silverware in the world. The later Sasanian Empire is also well represented by ornate silver plates and cups, many representing ruling monarchs hunting lions and deer. Phoenician antiquities come from across the region, but the Tharros collection from Sardinia and the large number of Phoenician stelae from Carthage and Maghrawa are outstanding. The number of Phoenician inscriptions from sites across Cyprus is also considerable, and include artefacts found at the Kition necropolis (with the two Kition Tariffs having the longest Phoenician inscription discovered on the island), the Idalion temple site and two bilingual pedestals found at Tamassos. Another often overlooked highlight is Yemeni antiquities, the finest collection outside that country. Furthermore, the museum has a representative collection of Dilmun and Parthian material excavated from various burial mounds at the ancient sites of A'ali and Shakhura (that included a Roman ribbed glass bowl) in Bahrain. From the modern state of Syria come almost forty funerary busts from Palmyra and a group of stone reliefs from the excavations of Max von Oppenheim at Tell Halaf that was purchased in 1920. More material followed from the excavations of Max Mallowan at Chagar Bazar and Tell Brak in 1935–1938 and from Woolley at Alalakh in the years just before and after the Second World War. Mallowan returned with his wife Agatha Christie to carry out further digs at Nimrud in the postwar period which secured many important artefacts for the museum. The collection of Palestinian material was strengthened by the work of Kathleen Kenyon at Tell es-Sultan (Jericho) in the 1950s and the acquisition in 1980 of around 17,000 objects found at Lachish by the Wellcome-Marston expedition of 1932–1938. Archaeological digs are still taking place where permitted in the Middle East, and, depending on the country, the museum continues to receive a share of the finds from sites such as Tell es Sa'idiyeh in Jordan. The museum's collection of Islamic art, including archaeological material, numbers about 40,000 objects, one of the largest of its kind in the world. As such, it contains a broad range of pottery, paintings, tiles, metalwork, glass, seals, and inscriptions from across the Islamic world, from Spain in the west to India in the east. It is particularly famous for its collection of Iznik ceramics (the largest in the world), its large number of mosque lamps including one from the Dome of the Rock, mediaeval metalwork such as the Vaso Vescovali with its depictions of the Zodiac, a fine selection of astrolabes, and Mughal paintings and precious artwork including a large jade terrapin made for the emperor Jahangir. Thousands of objects were excavated after the war by professional archaeologists at Iranian sites such as Siraf by David Whitehouse and Alamut Castle by Peter Willey. The collection was augmented in 1983 by the Godman bequest of Iznik, Hispano-Moresque and early Iranian pottery. Artefacts from the Islamic world are on display in Gallery 34 of the museum. A representative selection from the Department of Middle East, including the most important pieces, are on display in 13 galleries throughout the museum and total some 4,500 objects. A whole suite of rooms on the ground floor display the sculptured reliefs from the Assyrian palaces at Nineveh, Nimrud and Khorsabad, while 8 galleries on the upper floor hold smaller material from ancient sites across the Middle East. The remainder form the study collection which ranges in size from beads to large sculptures. They include approximately 130,000 cuneiform tablets from Mesopotamia. Highlights of the collections include: Nimrud: Assyrian palace reliefs from: The North-West Palace of Ashurnasirpal II, (883–859 BC) Palace of Adad-nirari III, (811–783 BC) The Sharrat-Niphi Temple, (c. 9th century BC) Temple of Ninurta, (c. 9th century BC) South-East Palace ('Burnt Palace'), (8th–7th century BC) Central- Palace of Tiglath-Pileser III, (745–727 BC) South-West Palace of Esarhaddon, (681–669 BC) The Nabu Temple (Ezida), (c. 7th century BC) Sculptures and inscriptions: Pair of Human Headed Lamassu Lions, (883–859 BC) Human Headed Lamassu Bull, sister piece in The Metropolitan Museum of Art, (883–859 BC) Human Headed Lamassu Lion, sister piece in the Metropolitan Museum of Art, (883–859 BC) Colossal Statue of a Lion, (883–859 BC) Foundation tablet of Ashurnasirpal II from the Temple of Ishtar, (875–865 BC) Rassam Obelisk of Ashurnasirpal II, (873–859 BC) Stela and Statue of King Ashurnasirpal II, (883–859 BC) The Black Obelisk of Shalmaneser III, (858–824 BC) Stela of Shamshi-Adad V, (824–811 BC) Rare Head of Human Headed 'Lamassu', recovered from the North-West Palace, (811–783 BC) Pair of statues of attendant god dedicated to Nabu by Adad-Nirari III and Sammuramat, (810–800 BC) Bilingual Assyrian lion weights with both cuneiform and Phoenician inscriptions, (800–700 BC) Large sculpture of a male bearded head from a Lamassu with inscription dedicated to Esarhaddon, (670 BC) Nineveh: Assyrian palace reliefs and sculptures from: South-West Palace of Sennacherib, (705–681 BC) North-Palace of Ashurbanipal, (c. 645 BC), including the Lion Hunt of Ashurbanipal and Lachish relief The famous Garden Party Relief, (645 BC) Statue of a nude woman, (11th century BC) Broken Obelisk of Ashur-bel-kala, the earliest known Assyrian obelisk, (11th century BC) White Obelisk of Ashurnasirpal I, (1050–1031 BC) Royal Library of Ashurbanipal: A large collection of cuneiform tablets of enormous importance, approximately 22,000 inscribed clay tablets, (7th century BC) The Flood Tablet, relating part of the famous Epic of Gilgamesh, (7th century BC) Taylor Prism, hexagonal clay foundation record, (691 BC) Rassam cylinder with ten faces, that describes the military campaigns of king Ashurbanipal, (643 BC) Other Mesopotamian sites: Khorsabad and Balawat: Alabaster bas-reliefs from the Palace of Sargon II, (710–705 BC) Pair of Human Headed Winged Lamassu Bulls, (710–705 BC) The Balawat Gates of Shalmaneser III, (860 BC) Ur: The Standard of Ur with depictions of war and peace, (2600 BC) Queen's Lyre and gold drinking cup from Queen Puabi's tomb, (2600 BC) The Ram in a Thicket, one of pair, the other is in Philadelphia, (2600–2400 BC) The Royal Game of Ur, an ancient game board, (2600–2400 BC) Wider collection: Plastered human skull from Jericho, a very early form of portraiture, Palestine, (7000–6000 BC) Tell Brak Head, one of the oldest portrait busts from the Middle East, north east Syria, (3500–3300 BC) Uruk Trough, one of the earliest surviving works of narrative relief sculpture from the Middle East, southern Iraq, (3300–3000 BC) Pair of inscribed stone objects known as the Blau Monuments from Uruk, Iraq, (3100–2700 BC) Hoard of Bronze Age gold jewellery found at the Canaanite site of Tell el-Ajjul in Gaza, (1750–1550 BC) Statue of Idrimi from the ancient city of Alalakh, southern Turkey, (1600 BC) Bronze bowl and ivory cosmetic box in the shape of a fish from Tell es-Sa'idiyeh, Jordan, (1250–1150 BC) Group of 16 stone reliefs from the palace of King Kapara at Tell Halaf, northern Syria, (10th century BC) Tablet of Shamash, depicting the sun-god Shamash, from Sippar, Iraq, (early 9th century BC) Hittite lion head from the monument to King Katuwa at Carchemish, southern Turkey, (9th century BC) Two large Assyrian stelae from Kurkh, southern Turkey, (850 BC) Seated statue of Kidudu or guardian spirit from the Assyrian city of Assur under Shalmaneser III, Iraq, (835 BC) Basalt bowl with engraved inscription in Hieroglyphic Luwian found at Babylon, southern Iraq, (8th century BC) Shebna Inscription from Siloam near Jerusalem, (7th century BC) Group of 4 bronze shields with inscription of king Rusa III from the temple of Khaldi at the Urartian fortress of Toprakkale, eastern Turkey, (650 BC) East India House Inscription from Babylon, Iraq, (604–562 BC) Lachish Letters, group of ostraka written in alphabetic Hebrew from Lachish, Israel, (586 BC) Cylinder of Nabonidus, foundation cylinder of King Nabonidus, Sippar, Iraq, (555–540 BC) The famous Oxus Treasure, the largest ancient Persian hoard of gold artefacts, (550–330 BC) Jar of Xerxes I, alabaster alabastron with quadrilingual signature of Achaemenid ruler Xerxes I, found in the ruins of the Mausoleum of Halicarnassus, Turkey, (486–465 BC) Idalion Bilingual, bilingual Cypriot-Phoenician inscription, key to the decipherment of the Cypriot syllabary, Idalion, Cyprus, (388 BC) Punic-Libyan Inscription from the Mausoleum of Ateban, key to the decipherment of the Numidian language, Dougga, Tunisia, (146 BC) Amran Tablets found near Sana'a, Yemen, (1st century BC) One of the pottery storage jars containing the Dead Sea Scrolls found in a cave near Qumran, Jordan, (4 BC – 68 AD) Two limestone ossuaries from caves in Jerusalem, (1st century AD) Fragment of a carved basalt architrave depicting a lion's head from the Temple of Garni, Armenia, (1st century AD) Group of boulders with Safaitic inscriptions from Jordan/Syria, one of which was donated by Gertrude Bell, (1st–2nd centuries AD) Parthian dynasty gold belt-buckle with central repoussé figure of eagle with outstretched wings from Nihavand, Iran, (1st–3rd centuries AD) Silver bowl from Khwarezm depicting a four-armed goddess seated on a lion, Kazakhstan, (658 AD) One of the rare Hedwig glasses, originating from the Middle East or Norman Sicily, (10th–12th centuries AD) Hoard of Seljuq artefacts from Hamadan including gold cup, silver gilt belt fittings and dress accessories, Iran, (11th–12th centuries) Islamic brass ewers with engraved decoration and inlaid with silver and copper from Herat, Afghanistan and Mosul, Iraq (12th–13th centuries AD) Department of Prints and Drawings The Department of Prints and Drawings holds the national collection of Western prints and drawings. It ranks as one of the largest and best print room collections in existence alongside the Albertina in Vienna, the Paris collections and the Hermitage. The holdings are easily accessible to the general public in the Study Room, unlike many such collections. The department also has its own exhibition gallery in Room 90, where the displays and exhibitions change several times a year. Since its foundation in 1808, the prints and drawings collection has grown to international renown as one of the richest and most representative collections in the world. There are approximately 50,000 drawings and over two million prints. The collection of drawings covers the period from the 14th century to the present, and includes many works of the highest quality by the leading artists of the European schools. The collection of prints covers the tradition of fine printmaking from its beginnings in the 15th century up to the present, with near complete holdings of most of the great names before the 19th century. Key benefactors to the department have been Clayton Mordaunt Cracherode, Richard Payne Knight, John Malcolm, Campbell Dodgson, César Mange de Hauke and Tomás Harris. There are groups of drawings by Leonardo da Vinci, Raphael, Michelangelo, (including his only surviving full-scale cartoon), Dürer (a collection of 138 drawings is one of the finest in existence), Peter Paul Rubens, Rembrandt, Claude and Watteau, and largely complete collections of the works of all the great printmakers including Dürer (99 engravings, 6 etchings and most of his 346 woodcuts), Rembrandt and Goya. More than 30,000 British drawings and watercolours include important examples of work by Hogarth, Sandby, Turner, Girtin, Constable, Cotman, Cox, Gillray, Rowlandson, Towne and Cruikshank, as well as all the great Victorians. The collection contains the unique set of watercolours by the pioneering colonist John White, the first British artist in America and first European to paint Native Americans. There are about a million British prints including more than 20,000 satires and outstanding collections of works by William Blake and Thomas Bewick.. The great eleven volume Catalogue of Political and Personal Satires Preserved in the Department of Prints and Drawings in the British Museum compiled between 1870 and 1954 is the definitive reference work for the study of British Satirical prints. Over 500,000 objects from the department are now on the online collection database, many with high-quality images. A 2011 donation of £1 million enabled the museum to acquire a complete set of Pablo Picasso's Vollard Suite. Department of Britain, Europe and Prehistory The Department of Britain, Europe and Prehistory is responsible for collections that cover a vast expanse of time and geography. It includes some of the earliest objects made by humans in east Africa over 2 million years ago, as well as Prehistoric and neolithic objects from other parts of the world; and the art and archaeology of Europe from the earliest times to the present day. Archeological excavation of prehistoric material took off and expanded considerably in the twentieth century and the department now has literally millions of objects from the Paleolithic and Mesolithic periods throughout the world, as well as from the Neolithic, Bronze Age and Iron Age in Europe. Stone Age material from Africa has been donated by famous archaeologists such as Louis and Mary Leakey, and Gertrude Caton–Thompson. Paleolithic objects from the Sturge, Christy and Lartet collections include some of the earliest works of art from Europe. Many Bronze Age objects from across Europe were added during the nineteenth century, often from large collections built up by excavators and scholars such as Greenwell in Britain, Tobin and Cooke in Ireland, Lukis and de la Grancière in Brittany, Worsaae in Denmark, Siret at El Argar in Spain, and Klemm and Edelmann in Germany. A representative selection of Iron Age artefacts from Hallstatt were acquired as a result of the Evans/Lubbock excavations and from Giubiasco in Ticino through the Swiss National Museum. In addition, the British Museum's collections covering the period AD 300 to 1100 are among the largest and most comprehensive in the world, extending from Spain to the Black Sea and from North Africa to Scandinavia; a representative selection of these has recently been redisplayed in a newly refurbished gallery. Important collections include Latvian, Norwegian, Gotlandic and Merovingian material from Johann Karl Bähr, Alfred Heneage Cocks, Sir James Curle and Philippe Delamain respectively. However, the undoubted highlight from the early mediaeval period is the magnificent items from the Sutton Hoo royal grave, generously donated to the nation by the landowner Edith Pretty. The late mediaeval collection includes a large number of seal-dies from across Europe, the most famous of which include those from the Town of Boppard in Germany, Isabella of Hainault from her tomb in Notre Dame Cathedral, Paris, Inchaffray Abbey in Scotland and Robert Fitzwalter, one of the Barons who led the revolt against King John in England. There is also a large collection of medieval signet rings, prominent among them is the gold signet ring belonging to Jean III de Grailly who fought in the Hundred Years' War, as well as those of Mary, Queen of Scots and Richard I of England. Other groups of artifacts represented in the department include the national collection of (c.100) icon paintings, most of which originate from the Byzantine Empire and Russia, and over 40 mediaeval astrolabes from across Europe and the Middle East. The department also includes the national collection of horology with one of the most wide-ranging assemblage of clocks, watches and other timepieces in Europe, with masterpieces from every period in the development of time-keeping. Choice horological pieces came from the Morgan and Ilbert collections. The department is also responsible for the curation of Romano-British objects – the museum has by far the most extensive such collection in Britain and one of the most representative regional collections in Europe outside Italy. It is particularly famous for the large number of late Roman silver treasures, many of which were found in East Anglia, the most important of which is the Mildenhall Treasure. The museum purchased many Roman-British objects from the antiquarian Charles Roach Smith in 1856. These quickly formed the nucleus of the collection. The department also includes ethnographic material from across Europe including a collection of Bulgarian costumes and shadow puppets from Greece and Turkey. A particular highlight are the three Sámi drums from northern Sweden of which only about 70 are extant. Objects from the Department of Britain, Europe and Prehistory are mostly found on the upper floor of the museum, with a suite of galleries numbered from 38 to 51. Most of the collection is stored in its archive facilities, where it is available for research and study. Highlights of the collections include: Stone Age (c. 3.4 million years BC – c. 2000 BC) Palaeolithic material from across Africa, particularly Olduvai, Kalambo Falls, Olorgesailie and Cape Flats, (1.8 million BC onwards) One of the 11 leaf-shaped points found near Volgu, Saône-et-Loire, France and estimated to be 16,000 years old Ice Age art from France including the Wolverine pendant of Les Eyzies, Montastruc decorated stone and Baton fragment, (c. 12–11,000 BC) Ice Age art from Britain including the decorated jaw from Kendrick and Robin Hood Cave Horse, (11,500–10,000 BC) Rare mesolithic artefacts from the site of Star Carr in Yorkshire, northern England, (8770–8460 BC) Terracotta figurine from Vinča, Serbia, (5200–4900 BC) Callaïs bead jewellery from Lannec-er-Ro'h, intact schist bracelet from Le Lizo, Carnac and triangular pendant from Mané-er-Hroëk, Morbihan, Brittany, western France, (5000–4300 BC) Polished jade axe produced in the Italian Alps and found in Canterbury, Kent, southeast England, (4500–4000 BC) Section of the Sweet Track, an ancient timber causeway from the Somerset Levels, England, (3807/6 BC) Small collection of Neolithic finds including a necklace of flat bone beads from Skara Brae, Orkneys, northern Scotland, (3180–2500 BC) Representative sample of artefacts (sherds, vessels, etc.) from the megalithic site of Tarxien, Malta, (3150–2500 BC) A number of carved stone balls from Scotland, Ireland and northern England, (3200–2500 BC) The three Folkton Drums, made from chalk and found in Yorkshire, northern England, (2600–2100 BC) Bronze Age (c. 3300 BC – c. 600 BC) Jet beaded necklace from Melfort in Argyll, Scotland, (c. 3000 BC) Gold lunula from Blessington, Ireland, one of nine from Ireland, Wales and Cornwall, (2400–2000 BC) Early Bronze Age hoards from Barnack, Driffield, Sewell and Snowshill in England, Arraiolos and Vendas Novas in Iberia and Auvernier, Biecz and Neunheilingen in central Europe (2280–1500 BC) Contents of the Rillaton Barrow including a gold cup, and the related Ringlemere Cup, England, (1700–1500 BC) Bronze Age hoards from Forró, Paks-Dunaföldvár, Szőny and Zsujta in Hungary, (1600–1000 BC) Large ceremonial swords or dirks from Oxborough and Beaune, western Europe, (1450–1300 BC) Eight bronze shields including those from Moel Hebog and Rhyd-y-gors, Wales and Athenry, County Galway, Ireland, (12th–10th centuries BC) Gold hoards from Morvah and Towednack in Cornwall, Milton Keynes in Buckinghamshire and Mooghaun in Ireland, (1150–750 BC) Gold bowl with intricate repoussé decoration from Leer, Lower Saxony, northern Germany, (1100-800 BC) Dunaverney flesh-hook found near Ballymoney, Northern Ireland and part of the Dowris Hoard from County Offaly, Ireland, (1050–900 BC & 900–600 BC) Late Bronze Age gold hoards from Abia de la Obispalía and Mérida, Spain and an intricate gold collar from Sintra, Portugal, (10th–8th centuries BC) Part of a copper alloy lur from Årslev on the island of Funen, Denmark, one of only about 40 extant and the Dunmanway Horn from County Cork, Ireland (900–750 BC) Gold bowl with embossed ornament and fluted wire handle from Angyalföld, Budapest, Hungary, (800-600 BC) Iron Age (c. 600 BC – c. 1st century AD) Basse Yutz Flagons, a pair of bronze drinking vessels from Moselle, eastern France, (5th century BC) Morel collection of La Tène material from eastern France, including the Somme-Bionne chariot burial and the Prunay Vase, (450-300BC) Important finds from the River Thames including the Battersea, Chertsey and Wandsworth shields and Waterloo Helmet, as well as the Witham Shield from Lincolnshire, eastern England, (350–50 BC) Pair of gold collars called the Orense Torcs from northwest Spain, (300–150 BC) Arras culture items from chariot burials in the Lady's Barrow near Market Weighton and Wetwang Slack, Yorkshire, (300 BC – 100 BC) Other gold neck collars including the Ipswich Hoard and the Sedgeford Torc, England, (200–50 BC) Winchester Hoard of gold jewellery from southern England and the Great Torc from Snettisham in Norfolk, East Anglia, (100 BC) Eight out of about thirty extant intact Celtic bronze mirrors with La Tène decoration including those from Aston, Chettle, Desborough, Holcombe and St Keverne in England, (100 BC – 100 AD) Cordoba and Arcillera Treasures, two silver Celtic hoards from Spain, (100–20 BC) Lindow Man found by accident in a peat bog in Cheshire, England, (1st century AD) Stanwick Hoard of horse and chariot fittings and the Meyrick Helmet, northern England, (1st century AD) La Tène silver hinged brooch from Székesfehérvár, Hungary, (1–100 AD) Lochar Moss Torc and two pairs of massive bronze armlets from Muthill and Strathdon, Scotland, (50–200 AD) Romano-British (43 AD – 410 AD) Tombstone of Roman procurator Gaius Julius Alpinus Classicianus from London, (1st century) Ribbed glass bowl found in a grave at Radnage, Buckinghamshire, (1st century) Ribchester, Guisborough and Witcham helmets once worn by Roman cavalry in Britain, (1st–2nd centuries) Elaborate gold bracelets and ring found near Rhayader, central Wales, (1st–2nd centuries) Bronze heads of the Roman emperors Hadrian and Claudius, found in London and Suffolk, (1st–2nd centuries) Vindolanda Tablets, important historical documents found near Hadrian's Wall in Northumberland, (1st–2nd centuries) Head of Mercury from Roman-Celtic Temple at Uley, Gloucestershire and limestone head from Towcester, Northamptonshire (2nd–4th centuries) Wall-paintings and sculptures from the Roman Villa at Lullingstone, Kent, south east England, 1st–4th centuries) Capheaton and Backworth treasures, remnants of two important hoards from northern England, (2nd–3rd centuries) Stony Stratford Hoard of copper headdresses, fibulae and silver votive plaques, central England, (3rd century) Square silver dish from Mileham in Norfolk, (4th century) Gold jewellery deposited at the site of Newgrange, Ireland, (4th century) Thetford Hoard, late Roman jewellery from eastern England, (4th century) Early Mediaeval (c. 4th century AD – c. 1000 AD) Largitio silver dish of the emperor Licinius found at Niš, Serbia and hexagonal gold coin-set pendant of Constantine the Great, (Early 4th century AD) Two wooden ship figureheads dredged from the River Scheldt at Moerzeke and Appels, Belgium, (4th-6th centuries) Part of the Asyut, Domagnano, Artres, Sutri, Bergamo and Belluno Treasures, (4th–7th centuries) Lycurgus Cup, a unique figurative glass cage cup, and the Byzantine Archangel ivory panel, (4th–6th centuries) Three large Ogham stones from the Roofs More Rath, County Cork, Ireland, (5th–7th centuries) The Sutton Hoo treasure, |
German ethnic origin in Maribor, Slovenia during a protest Bloody Sunday (1920), a day of violence in Dublin during the Irish War of Independence Bloody Sunday (1921), a day of violence in Belfast during the Irish War of Independence Bloody Sunday (Bolzano), a 1921 day of unrest instigated by fascists in Bolzano Bloody Sunday (1923), a day of police violence during a steelworkers' strike for union recognition in Sydney, Cape Breton Island, Nova Scotia Bloody Sunday (1926), a day of violence in Alsace Altona Bloody Sunday, a 1932 confrontation among the Sturmabteilung and Schutzstaffel, the police, and Communist Party supporters in Altona, Hamburg Bloody Sunday (1938), police violence against unemployment protesters in Vancouver, British Columbia, Canada Bloody Sunday (1939) or Bromberg Bloody Sunday, events in Bydgoszcz, Poland, at the onset of World War II Stanislawow Ghetto massacre or Bloody Sunday, a 1941 massacre of Jews before the Stanisławów Ghetto announcement Volhynian Bloody Sunday, a 1943 massacre of ethnic Poles by OUN-UPA nationalists Bloody Sunday (1965), violent suppression of a civil rights march by state and local | (1923), a day of police violence during a steelworkers' strike for union recognition in Sydney, Cape Breton Island, Nova Scotia Bloody Sunday (1926), a day of violence in Alsace Altona Bloody Sunday, a 1932 confrontation among the Sturmabteilung and Schutzstaffel, the police, and Communist Party supporters in Altona, Hamburg Bloody Sunday (1938), police violence against unemployment protesters in Vancouver, British Columbia, Canada Bloody Sunday (1939) or Bromberg Bloody Sunday, events in Bydgoszcz, Poland, at the onset of World War II Stanislawow Ghetto massacre or Bloody Sunday, a 1941 massacre of Jews before the Stanisławów Ghetto announcement Volhynian Bloody Sunday, a 1943 massacre of ethnic Poles by OUN-UPA nationalists Bloody Sunday (1965), violent suppression of a civil rights march by state and local law enforcement in Selma, Alabama Bloody Sunday (1969), violence after a protest in Taksim Square, Istanbul, Turkey Bloody Sunday (1972), a massacre |
each is a positive integer known as a binomial coefficient. (When an exponent is zero, the corresponding power expression is taken to be 1 and this multiplicative factor is often omitted from the term. Hence one often sees the right hand side written as .) This formula is also referred to as the binomial formula or the binomial identity. Using summation notation, it can be written as The final expression follows from the previous one by the symmetry of and in the first expression, and by comparison it follows that the sequence of binomial coefficients in the formula is symmetrical. A simple variant of the binomial formula is obtained by substituting for , so that it involves only a single variable. In this form, the formula reads or equivalently or more explicitly Examples Here are the first few cases of the binomial theorem: In general, for the expansion of on the right side in the th row (numbered so that the top row is the 0th row): the exponents of in the terms are (the last term implicitly contains ); the exponents of in the terms are (the first term implicitly contains ); the coefficients form the th row of Pascal's triangle; before combining like terms, there are terms in the expansion (not shown); after combining like terms, there are terms, and their coefficients sum to . An example illustrating the last two points: with . A simple example with a specific positive value of : A simple example with a specific negative value of : Geometric explanation For positive values of and , the binomial theorem with is the geometrically evident fact that a square of side can be cut into a square of side , a square of side , and two rectangles with sides and . With , the theorem states that a cube of side can be cut into a cube of side , a cube of side , three rectangular boxes, and three rectangular boxes. In calculus, this picture also gives a geometric proof of the derivative if one sets and interpreting as an infinitesimal change in , then this picture shows the infinitesimal change in the volume of an -dimensional hypercube, where the coefficient of the linear term (in ) is the area of the faces, each of dimension : Substituting this into the definition of the derivative via a difference quotient and taking limits means that the higher order terms, and higher, become negligible, and yields the formula interpreted as "the infinitesimal rate of change in volume of an -cube as side length varies is the area of of its -dimensional faces". If one integrates this picture, which corresponds to applying the fundamental theorem of calculus, one obtains Cavalieri's quadrature formula, the integral – see proof of Cavalieri's quadrature formula for details. Binomial coefficients The coefficients that appear in the binomial expansion are called binomial coefficients. These are usually written and pronounced " choose ". Formulae The coefficient of is given by the formula which is defined in terms of the factorial function . Equivalently, this formula can be written with factors in both the numerator and denominator of the fraction. Although this formula involves a fraction, the binomial coefficient is actually an integer. Combinatorial interpretation The binomial coefficient can be interpreted as the number of ways to choose elements from an -element set. This is related to binomials for the following reason: if we write as a product then, according to the distributive law, there will be one term in the expansion for each choice of either or from each of the binomials of the product. For example, there will only be one term , corresponding to choosing from each binomial. However, there will be several terms of the form , one for each way of choosing exactly two binomials to contribute a . Therefore, after combining like terms, the coefficient of will be equal to the number of ways to choose exactly elements from an -element set. Proofs Combinatorial proof Example The coefficient of in equals because there are three strings of length 3 with exactly two s, namely, corresponding to the three 2-element subsets of , namely, where each subset specifies the positions of the in a corresponding string. General case Expanding yields the sum of the products of the form where each is or . Rearranging factors shows that each product equals for some between and . For a given , the following are proved equal in succession: the number of copies of in the expansion the number of -character strings having in exactly positions the number of -element subsets of either by definition, or by a short combinatorial argument if one is defining as This proves the binomial theorem. Inductive proof Induction | -element set. Therefore is often pronounced as " choose ". History Special cases of the binomial theorem were known since at least the 4th century BC when Greek mathematician Euclid mentioned the special case of the binomial theorem for exponent . There is evidence that the binomial theorem for cubes was known by the 6th century AD in India. Binomial coefficients, as combinatorial quantities expressing the number of ways of selecting objects out of without replacement, were of interest to ancient Indian mathematicians. The earliest known reference to this combinatorial problem is the Chandaḥśāstra by the Indian lyricist Pingala (c. 200 BC), which contains a method for its solution. The commentator Halayudha from the 10th century AD explains this method using what is now known as Pascal's triangle. By the 6th century AD, the Indian mathematicians probably knew how to express this as a quotient , and a clear statement of this rule can be found in the 12th century text Lilavati by Bhaskara. The first formulation of the binomial theorem and the table of binomial coefficients, to our knowledge, can be found in a work by Al-Karaji, quoted by Al-Samaw'al in his "al-Bahir". Al-Karaji described the triangular pattern of the binomial coefficients and also provided a mathematical proof of both the binomial theorem and Pascal's triangle, using an early form of mathematical induction. The Persian poet and mathematician Omar Khayyam was probably familiar with the formula to higher orders, although many of his mathematical works are lost. The binomial expansions of small degrees were known in the 13th century mathematical works of Yang Hui and also Chu Shih-Chieh. Yang Hui attributes the method to a much earlier 11th century text of Jia Xian, although those writings are now also lost. In 1544, Michael Stifel introduced the term "binomial coefficient" and showed how to use them to express in terms of , via "Pascal's triangle". Blaise Pascal studied the eponymous triangle comprehensively in his Traité du triangle arithmétique. However, the pattern of numbers was already known to the European mathematicians of the late Renaissance, including Stifel, Niccolò Fontana Tartaglia, and Simon Stevin. Isaac Newton is generally credited with the generalized binomial theorem, valid for any rational exponent. Statement According to the theorem, it is possible to expand any nonnegative power of into a sum of the form where is an integer and each is a positive integer known as a binomial coefficient. (When an exponent is zero, the corresponding power expression is taken to be 1 and this multiplicative factor is often omitted from the term. Hence one often sees the right hand side written as .) This formula is also referred to as the binomial formula or the binomial identity. Using summation notation, it can be written as The final expression follows from the previous one by the symmetry of and in the first expression, and by comparison it follows that the sequence of binomial coefficients in the formula is symmetrical. A simple variant of the binomial formula is obtained by substituting for , so that it involves only a single variable. In this form, the formula reads or equivalently or more explicitly Examples Here are the first few cases of the binomial theorem: In general, for the expansion of on the right side in the th row (numbered so that the top row is the 0th row): the exponents of in the terms are (the last term implicitly contains ); the exponents of in the terms are (the first term implicitly contains ); the coefficients form the th row of Pascal's triangle; before combining like terms, there are terms in the expansion (not shown); after combining like terms, there are terms, and their coefficients sum to . An example illustrating the last two points: with . A simple example with a specific positive value of : A simple example with a specific negative value of : Geometric explanation For positive values of and , the binomial theorem with is the geometrically evident fact that a square of side can be cut into a square of side , a square of side , and two rectangles with sides and . With , the theorem states that a cube of side can be cut into a cube of side , a cube of side , three rectangular boxes, and three rectangular boxes. In calculus, this picture also gives a geometric proof of the derivative if one sets and interpreting as an infinitesimal change in , then this picture shows the infinitesimal change in the volume of an -dimensional hypercube, where the coefficient of the linear term (in ) is the area of the faces, each of dimension : Substituting this into the definition of the derivative via a difference quotient and taking limits means that the higher order terms, and higher, become negligible, and yields the formula interpreted as "the infinitesimal rate of change in volume of an -cube as side length varies is the area of of its -dimensional faces". If one integrates this picture, which corresponds to applying the fundamental theorem of calculus, one obtains Cavalieri's quadrature formula, the integral – see proof of Cavalieri's quadrature formula for details. Binomial coefficients The coefficients that appear in the binomial expansion are called binomial coefficients. These are usually written and pronounced " choose ". Formulae The coefficient of is given by the formula which is defined in terms of the factorial function . Equivalently, this formula can be written with factors in both the numerator and denominator of the fraction. Although this formula involves a fraction, the binomial coefficient is actually an integer. Combinatorial interpretation The binomial coefficient can be interpreted as the number of ways to choose elements from an -element set. This is related to binomials for the following reason: if we write as a product then, according to the distributive law, there will be one term in the expansion for each choice of either or from each of the binomials of the product. For example, there will only be one term , corresponding to choosing from each binomial. However, there will be several terms of the form , one for each way of choosing exactly two binomials to contribute a . Therefore, after combining like terms, the coefficient of will be equal to the number of ways to choose exactly elements from an -element set. Proofs Combinatorial proof Example The coefficient of in equals because there are three strings of length 3 with exactly two s, namely, corresponding to the |
Places Balboa, Cauca, a town and municipality in Colombia Balboa, León, a Spanish village and municipality Balboa, Panama, a port city in Panama Balboa District, a district of Panamá Province in Panama Balboa, Risaralda, a town and municipality in Colombia Balboa (Los Angeles Metro station), a station on the Los Angeles Metro Orange Line Balboa (lunar crater), a lunar crater that is located near the western limb of the Moon Balboa High School (California), an American public high school of San Francisco, California Balboa Island, Newport Beach, California, a harborside community in Newport Beach Balboa Park (disambiguation), any of several Balboa Peninsula, Newport Beach, California, a neighborhood of the city of Newport Beach Naval Medical Center San Diego, a US Navy medical | of several Balboa Peninsula, Newport Beach, California, a neighborhood of the city of Newport Beach Naval Medical Center San Diego, a US Navy medical treatment facility informally known as "Balboa Hospital" People Vasco Núñez de Balboa (c. 1475 – 1519), a Spanish explorer, governor, and conquistador Javier Balboa (born 1985), Equatoguinean football midfielder Marcelo Balboa (born 1967), American former soccer defender Entertainment Balboa (dance), a close embrace style of swing dancing Balboa (band), a hardcore band from Philadelphia Balboa County, a fictional county setting for the Veronica Mars television series Rocky Balboa, protagonist of the Rocky film series Balboa, the merged tribe name in Survivor: Pearl Islands Balboa, a probe featured in Alien Planet Other uses Balboa (bug), a genus of dirt-colored seed bugs Balboa Line, a former train route in California, U.S. Panamanian balboa, the official currency of Panama See also |
the event, mentioning how early the shoppers began queuing up, and showing video of shoppers queuing and later leaving with their purchased items. Many retailers have implemented practices aimed at managing large numbers of shoppers. They may limit entrances, restrict the number of patrons in a store at a time, provide tickets to people at the head of the queue to guarantee them a hot ticket item, or canvass queued-up shoppers to inform them of inventory limitations. In some areas of Canada, particularly in Atlantic Canada and parts of Northern Ontario, most retailers are prohibited from opening on Boxing Day, either by provincial law or by municipal bylaw, or by informal agreement among major retailers, in order to provide a day of relaxation following Christmas Day. In these areas, sales otherwise scheduled for 26 December are moved to the 27th. The city council of Greater Sudbury, Ontario, which was the largest city in Canada to maintain this restriction as of the early 2010s, formally repealed its store hours bylaw on 9 December 2014. While Boxing Day is 26 December, many retailers will run the sales for several days before or after 26 December, often up to New Year's Eve, branding it as "Boxing Week". Notably, in the recession of late 2008, a record number of retailers held early promotions due to a weak economy. In 2009, many retailers with both online and High Street stores launched their online sales on Christmas Eve and their High Street sales on Boxing Day. Comparisons to Black Friday In terms of seasonal or holiday shopping traditions, Boxing Day sales have been compared to the U.S. phenomenon of Black Friday sales - Black Friday being the Friday following the American Thanksgiving holiday in late-November. In the late-2000s, when the Canadian and U.S. dollar were near parity, Canadian retailers began to hold Black Friday promotions to attract consumers who would otherwise travel across the border to visit U.S. stores. This may have been a contributory factor, since 2013, in a relative decline of traditional Canadian Boxing Day sales, when compared to sales on Black Friday. The traditional Boxing Day sales in the UK were never as large an event as the Black Friday sales are in the United States. However, many British retailers began to see an opportunity to import the Black Friday tradition into the UK, not to replace Boxing Day sales, but as an addition to their overall seasonal promotions. However, Black Friday and Boxing Day are close enough together so that spending in one sale was likely to affect spending in the other. Ultimately, the result was a marked decline in traditional Boxing Day sales in the UK. The change was initially facilitated, although not necessarily by design, by the fact that many retailers had American ownership, such as Amazon. This phenomenon was furthered by a general decline in traditional high-street shopping, and a growing online marketplace, which is more internationalist by nature. This led, in 2015, with November retail sales in the UK overtaking sales in December for the first time. In 2019, a retail analysis firm estimated that there was a 9.8% drop in British store traffic on Boxing Day in comparison to 2018 (the largest year-over-year drop since 2010), citing several factors, such as the weather, the increased prominence of online shopping, uncertainties in the wake of the general election, and the growing prominence of Black Friday sales. Boxing Day sales are not a prominent tradition in the United States, although many retailers often begin after-Christmas sales that day. It is typically the earliest starting day after Christmas for people to return unwanted gifts for exchanges or refunds, and to redeem gift cards. Sport In the United Kingdom, it is traditional for all top-tier football leagues in England, Scotland, and Northern Ireland – the Premier League, the Scottish Premiership, and the NIFL Premiership – and the lower ones, as well as the rugby leagues, to hold a full programme of football matches on Boxing Day. Originally, matches on Boxing Day were played against local rivals to avoid teams and their fans having to travel a long distance to an away game on the day after Christmas Day. Prior to the formation of leagues, a number of traditional rugby union fixtures took place on Boxing Day each year, notably Llanelli v London Welsh and Leicester v The Barbarians. In Italy, Boxing Day football was played for the first time in the 2018/19 Serie A season. The experiment was successful, with Italian stadiums 69% full on average – more than any other matchday in December 2018. In rugby | when the entire island was part of the United Kingdom, the Bank Holidays Act 1871 established the feast day of Saint Stephen as a non-moveable public holiday on 26 December. Following partition in 1920, Northern Ireland reverted to the British name, Boxing Day. In County Donegal, particularly in East Donegal and Inishowen, the day is also popularly known as Boxing Day. In New Zealand, Boxing Day is a statutory holiday. On these holidays, people who must work receive times their salaries and a day in lieu is provided to employees who work. In Nigeria, Boxing Day is a public holiday for working people and students. When it falls on a Saturday or Sunday, there is always a holiday on Monday. In Scotland, Boxing Day has been specified as an additional bank holiday since 1974, by royal proclamation under the Banking and Financial Dealings Act 1971. In Singapore, Boxing Day was a public holiday for working people and students; when it fell on a Saturday or Sunday, there was a holiday on Monday. However, in recent years this tradition has ceased in Singapore. In South Africa, the Day of Goodwill, which falls on 26 December, is a public holiday. In Trinidad and Tobago, Boxing Day is a public holiday. In the UK, 26 December (unless it is a Sunday) has been a bank holiday since 1871. When 26 December falls on a Saturday, the associated public holiday is on the following Monday. When 26 December falls on a Sunday, the public holiday is the following Tuesday, Monday being the public holiday associated with Christmas Day. In the British overseas territory of Bermuda, the costumed Gombey dancers perform throughout the mid-Atlantic island on Boxing Day, a tradition believed to date back to the 18th century when slaves were permitted to gather at Christmastime. In Massachusetts, Governor William F. Weld declared in 1996 that every 26 December is Boxing Day, in response to the efforts of a coalition of British citizens to "transport the English tradition to the United States", but not an employee holiday. Shopping In the UK, Canada, Australia, Trinidad and Tobago, and New Zealand, Boxing Day is primarily known as a shopping holiday. Boxing Day sales are common and shops often allow dramatic price reductions. For many merchants, Boxing Day has become the day of the year with the greatest revenue. In the UK, it was estimated in 2009 that up to 12 million shoppers appeared at the sales (a rise of almost 20% compared to 2008, although this was also affected by the fact that the VAT was about to revert to 17.5% from 1 January, following the temporary reduction to 15%). Many retailers open very early (typically 5 am or even earlier) and offer doorbuster deals and loss leaders to draw people to their stores. It is not uncommon for long queues to form early in the morning of 26 December, hours before the opening of shops holding the big sales, especially at big-box consumer electronics retailers. Many stores have a limited quantity of big draw or deeply discounted items. Because of the shoulder-to-shoulder crowds, many choose to stay at home and avoid the hectic shopping experience. Local media often covers the event, mentioning how early the shoppers began queuing up, and showing video of shoppers queuing and later leaving with their purchased items. Many retailers have implemented practices aimed at managing large numbers of shoppers. They may limit entrances, restrict the number of patrons in a store at a time, provide tickets to people at the head of the queue to guarantee them a hot ticket item, or canvass queued-up shoppers to inform them of inventory limitations. In some areas of Canada, particularly in Atlantic Canada and parts of Northern Ontario, most retailers are prohibited from opening on Boxing Day, either by provincial law or by municipal bylaw, or by informal agreement among major retailers, in order to provide a day of relaxation following Christmas Day. In these areas, sales otherwise scheduled for 26 December are moved to the 27th. The city council of Greater Sudbury, Ontario, which was the largest city in Canada to maintain this restriction as of the early 2010s, formally repealed its store hours bylaw on 9 December 2014. While Boxing Day is 26 December, many retailers will run the sales for several days before or after 26 December, often up to New Year's Eve, branding it as "Boxing Week". Notably, in the recession of late 2008, a record number of retailers held early promotions due to a weak economy. In 2009, many retailers with both online and High Street stores launched their online sales on Christmas Eve and their High Street sales on Boxing Day. Comparisons to Black Friday In terms of seasonal or holiday shopping traditions, Boxing Day sales have been compared to the U.S. phenomenon of Black Friday sales - Black Friday being the Friday following the American Thanksgiving holiday in late-November. In the late-2000s, when the Canadian and U.S. dollar were near parity, Canadian retailers began to hold Black Friday promotions to attract consumers who would otherwise travel across the border to visit U.S. stores. This may have been a contributory factor, since 2013, in a relative decline of traditional Canadian Boxing Day sales, when compared to sales on Black Friday. The traditional Boxing Day sales in the UK were never as large an event as the Black Friday sales are in the United States. However, many British retailers began to see an opportunity to import the Black Friday tradition into the UK, not to replace Boxing Day sales, but as an addition to their overall seasonal promotions. However, Black Friday and Boxing Day are close enough together so that spending in one sale was likely to affect spending in the other. Ultimately, the result was a marked decline in traditional Boxing Day sales in the UK. The change was initially facilitated, although not necessarily by design, by the fact that many retailers had American ownership, such as Amazon. This phenomenon was furthered by a general decline in traditional high-street shopping, and a growing online marketplace, which is more internationalist by nature. This led, in 2015, with November retail sales in the UK overtaking sales in December for the first time. In 2019, a retail analysis firm estimated that there was a 9.8% drop in British store traffic on Boxing Day in comparison to 2018 (the largest year-over-year drop since 2010), citing several factors, such as the weather, the increased prominence of online shopping, uncertainties in the wake of the general election, and the growing prominence of Black Friday sales. Boxing Day sales are not a prominent tradition in the United States, although many retailers often begin after-Christmas sales that day. It is typically the earliest starting day after Christmas for people to return unwanted gifts for exchanges or refunds, and to redeem gift cards. Sport In the United Kingdom, it is traditional for all top-tier football leagues in England, Scotland, and Northern Ireland – the Premier League, the Scottish Premiership, and the NIFL Premiership – and the lower ones, as well as the rugby leagues, to hold a full programme of football matches on Boxing Day. Originally, matches on Boxing Day were played against local rivals to avoid teams and their fans having to travel a long distance to an away game on the day after Christmas Day. Prior to the formation of leagues, a number of traditional rugby union fixtures took place on Boxing Day each year, notably Llanelli v London Welsh and Leicester v The Barbarians. In Italy, Boxing Day football was played for the first time in the 2018/19 Serie A season. The experiment was successful, with Italian stadiums 69% full on average – more than any other matchday in December 2018. In rugby league, festive fixtures were a staple of the traditional winter season. Since the transition to a summer season in the 1990s, no |
1876, Robert Sandeman negotiated the Treaty of Kalat, which brought the Khan's territories, including Kharan, Makran, and Las Bela, under British protection, even though they remained independent princely states. After the Second Afghan War was ended by the Treaty of Gandamak in May 1879, the Afghan Emir ceded the districts of Quetta, Pishin, Harnai, Sibi and Thal Chotiali to British control. On 1 April 1883, the British took control of the Bolan Pass, south-east of Quetta, from the Khan of Kalat. In 1887, small additional areas of Balochistan were declared British territory. In 1893, Sir Mortimer Durand negotiated an agreement with the Amir of Afghanistan, Abdur Rahman Khan, to fix the Durand Line running from Chitral to Balochistan as the boundary between the Emirate of Afghanistan and British-controlled areas. Two devastating earthquakes occurred in Balochistan during British colonial rule: the 1935 Quetta earthquake, which devastated Quetta, and the 1945 Balochistan earthquake with its epicentre in the Makran region. During the time of the Indian independence movement, "three pro-Congress parties were still active in Balochistan's politics", such as the Anjuman-i-Watan Baluchistan, which favoured a united India and opposed its partition. After independence In British-ruled Colonial India, Baluchistan contained a Chief Commissioner's province and princely states (including Kalat, Makran, Las Bela and Kharan) that became a part of Pakistan. The province's Shahi Jirga (the grand council of tribal elders) and the non-official members of the Quetta Municipality, according to the Pakistani narrative, agreed to join Pakistan unanimously on 29 June 1947; however, the Shahi Jirga was stripped of its members from the Kalat State prior to the vote. The then-president of the Baluchistan Muslim League, Qazi Muhammad Isa, informed Muhammad Ali Jinnah that "Shahi Jirga in no way represents the popular wishes of the masses" and that members of the Kalat State were "excluded from voting; only representatives from the British part of the province voted and the British part included the leased areas of Quetta, Nasirabad Tehsil, Nushki and Bolan Agency." Following the referendum, on 22 June 1947 the Khan of Kalat received a letter from members of the Shahi Jirga, as well as sardars from the leased areas of Baluchistan, stating that they, "as a part of the Baloch nation, were a part of the Kalat state too" and that if the question of Baluchistan's accession to Pakistan arise, "they should be deemed part of the Kalat state rather than (British) Balochistan". This has brought into question whether an actual vote took place in the town hall "and that the announcement in favour of accession was secured through sheer manipulation." Political scientist Salman Rafi Sheikh, in locating the origins of the insurgency in Balochistan, says "that Balochistan's accession to Pakistan was, as against the officially projected narrative, not based upon consensus, nor was support for Pakistan overwhelming. What this manipulation indicates is that even before formally becoming a part of Pakistan, Balochistan had fallen a prey to political victimization." Initially aspiring for independence, the Khan of Kalat finally acceded to Pakistan on 27 March 1948 after period of negotiations with Pakistan. The signing of the Instrument of Accession by Ahmad Yar Khan led his brother, Prince Abdul Karim, to revolt against his brother's decision due to their family rift. in July 1948. Princes Agha Abdul Karim Baloch and Muhammad Rahim refused to lay down arms, leading the Dosht-e Jhalawan in unconventional attacks on the army until 1950. The Prince indulged in Terror activities without any assistance from others. Jinnah and his successors allowed Yar Khan to retain his title until the province's dissolution in 1955. Insurgencies by Baloch nationalists took place in 1948, 1958–59, 1962–63 and 1973–77, with a new ongoing insurgency by autonomy-seeking Baloch groups since 2003. While many Baloch support the demand for autonomy, the majority are not interested in seceding from Pakistan. At a press conference on 8 June 2015 in Quetta, Balochistan's Home Minister Sarfraz Bugti accused India's prime minister Narendra Modi of openly supporting terrorism. Bugti implicated India's Research and Analysis Wing (RAW) of being responsible for recent attacks at military bases in Smangli and Khalid, and for subverting the China–Pakistan Economic Corridor (CPEC) agreement. Gwadar, a region of Balochistan was a Colony of Oman for more than a century and in the 1960s, Pakistan took over the land. Many people in this region are therefore Omani. Geography Balochistan is situated in the southwest of Pakistan and covers an area of . It is Pakistan's largest province by area, constituting 44% of Pakistan's total landmass. The province is bordered by Afghanistan to the north and north-west, Iran to the south-west, Punjab and Sindh, and Khyber Pakhtunkhwa and the Federally Administered Tribal Areas to the north-east. To the south lies the Arabian Sea. Balochistan is located on the south-eastern part of the Iranian plateau. It borders the geopolitical regions of the Middle East and Southwest Asia, Central Asia and South Asia. Balochistan lies at the mouth of the Strait of Hormuz and provides the shortest route from seaports to Central Asia. Its geographical location has placed the otherwise desolate region in the scope of competing for global interests for all of recorded history. The capital city Quetta is located in a densely populated portion of the Sulaiman Mountains in the northeast of the province. It is situated in a river valley near the Bolan Pass, which has been used as the route of choice from the coast to Central Asia, entering through Afghanistan's Kandahar region. The British and other historic empires have crossed the region to invade Afghanistan by this route. Balochistan is rich in exhaustible and renewable resources; it is the second major supplier of natural gas in Pakistan. The province's renewable and human resource potential has not been systematically measured or exploited due to pressures from within and without Pakistan. Local inhabitants have chosen to live in towns and have relied on sustainable water sources for thousands of years. Climate The climate of the upper highlands is characterised by very cold winters and hot summers. In the lower highlands, winters vary from extremely cold in northern districts Ziarat, Quetta, Kalat, Muslim Baagh and Khanozai, where temperatures can drop to , to milder conditions closer to the Makran coast. Winters are mild on the plains, with temperatures never falling below freezing point. Summers are hot and dry, especially in the arid zones of Chagai and Kharan districts. The plains are also very hot in summer, with temperatures reaching . The record highest temperature, , was recorded in Sibi on 26 May 2010, exceeding the previous record, . Other hot areas include Turbat and Dalbandin. The desert climate is characterised by hot and very arid conditions. Occasionally, strong windstorms make these areas very inhospitable. Education The literacy rate of the province in 2017 was 43.6%, an increase from 24.8% in 1998. Medical colleges Bolan University of Medical & Health Sciences Makran Medical College Engineering universities Balochistan University of Engineering and Technology, Khuzdar Balochistan University of Information Technology, Engineering and Management Sciences, Quetta General universities University of Balochistan, Quetta Al-Hamd Islamic University, Quetta Sardar Bahadur Khan Women's University, Quetta Lasbela University of Agriculture, Water and Marine Sciences, Lasbela University of Turbat, Turbat University of Loralai, Loralai Economy The economy of Balochistan is largely based upon the production of natural gas, coal and other minerals. Balochistan has been called a "neglected province where a majority of population lacks amenities". Since the mid-1970s the province's share of Pakistan's GDP has dropped from 4.9 to 3.7%, and as of 2007 it had the highest poverty rate and infant and maternal mortality rate, and the lowest literacy rate in the country, factors some allege have contributed to the insurgency. However, in 7th NFC awards, Punjab province and Federal contributed to increase Baluchistan share more than its entitled population based share. In Balochistan poverty is increasing. In 2001–2002 poverty incidences were at 48% and by 2005–2006 these were at 50.9%. According to a report on Dawn, the rate of multidimensional poverty in Balochistan had risen to 71% by 2016. Though the province remains largely underdeveloped, several major development projects, including the construction of a new deep sea port at the strategically important town of Gwadar, are in progress in Balochistan. The port is projected to be the hub of an energy and trade corridor to and from China and the Central Asian republics. The Mirani Dam on the Dasht River, west of Turbat in the Makran Division, is being built to provide water to expand agricultural land use by where it would otherwise be unsustainable. In the district Lasbela, there is an oil refinery owned by Byco International Incorporated (BII), which is capable of processing 120,000 barrels of oil per day. A power station is located adjacent to the refinery. Several cement plants and a marble factory are also located there. One of the world's largest ship breaking yards is located on the coast. Natural resource extraction Balochistan's share of Pakistan's national income has historically ranged between 3.7% to 4.9%. Since 1972, | Sibi and Thal Chotiali to British control. On 1 April 1883, the British took control of the Bolan Pass, south-east of Quetta, from the Khan of Kalat. In 1887, small additional areas of Balochistan were declared British territory. In 1893, Sir Mortimer Durand negotiated an agreement with the Amir of Afghanistan, Abdur Rahman Khan, to fix the Durand Line running from Chitral to Balochistan as the boundary between the Emirate of Afghanistan and British-controlled areas. Two devastating earthquakes occurred in Balochistan during British colonial rule: the 1935 Quetta earthquake, which devastated Quetta, and the 1945 Balochistan earthquake with its epicentre in the Makran region. During the time of the Indian independence movement, "three pro-Congress parties were still active in Balochistan's politics", such as the Anjuman-i-Watan Baluchistan, which favoured a united India and opposed its partition. After independence In British-ruled Colonial India, Baluchistan contained a Chief Commissioner's province and princely states (including Kalat, Makran, Las Bela and Kharan) that became a part of Pakistan. The province's Shahi Jirga (the grand council of tribal elders) and the non-official members of the Quetta Municipality, according to the Pakistani narrative, agreed to join Pakistan unanimously on 29 June 1947; however, the Shahi Jirga was stripped of its members from the Kalat State prior to the vote. The then-president of the Baluchistan Muslim League, Qazi Muhammad Isa, informed Muhammad Ali Jinnah that "Shahi Jirga in no way represents the popular wishes of the masses" and that members of the Kalat State were "excluded from voting; only representatives from the British part of the province voted and the British part included the leased areas of Quetta, Nasirabad Tehsil, Nushki and Bolan Agency." Following the referendum, on 22 June 1947 the Khan of Kalat received a letter from members of the Shahi Jirga, as well as sardars from the leased areas of Baluchistan, stating that they, "as a part of the Baloch nation, were a part of the Kalat state too" and that if the question of Baluchistan's accession to Pakistan arise, "they should be deemed part of the Kalat state rather than (British) Balochistan". This has brought into question whether an actual vote took place in the town hall "and that the announcement in favour of accession was secured through sheer manipulation." Political scientist Salman Rafi Sheikh, in locating the origins of the insurgency in Balochistan, says "that Balochistan's accession to Pakistan was, as against the officially projected narrative, not based upon consensus, nor was support for Pakistan overwhelming. What this manipulation indicates is that even before formally becoming a part of Pakistan, Balochistan had fallen a prey to political victimization." Initially aspiring for independence, the Khan of Kalat finally acceded to Pakistan on 27 March 1948 after period of negotiations with Pakistan. The signing of the Instrument of Accession by Ahmad Yar Khan led his brother, Prince Abdul Karim, to revolt against his brother's decision due to their family rift. in July 1948. Princes Agha Abdul Karim Baloch and Muhammad Rahim refused to lay down arms, leading the Dosht-e Jhalawan in unconventional attacks on the army until 1950. The Prince indulged in Terror activities without any assistance from others. Jinnah and his successors allowed Yar Khan to retain his title until the province's dissolution in 1955. Insurgencies by Baloch nationalists took place in 1948, 1958–59, 1962–63 and 1973–77, with a new ongoing insurgency by autonomy-seeking Baloch groups since 2003. While many Baloch support the demand for autonomy, the majority are not interested in seceding from Pakistan. At a press conference on 8 June 2015 in Quetta, Balochistan's Home Minister Sarfraz Bugti accused India's prime minister Narendra Modi of openly supporting terrorism. Bugti implicated India's Research and Analysis Wing (RAW) of being responsible for recent attacks at military bases in Smangli and Khalid, and for subverting the China–Pakistan Economic Corridor (CPEC) agreement. Gwadar, a region of Balochistan was a Colony of Oman for more than a century and in the 1960s, Pakistan took over the land. Many people in this region are therefore Omani. Geography Balochistan is situated in the southwest of Pakistan and covers an area of . It is Pakistan's largest province by area, constituting 44% of Pakistan's total landmass. The province is bordered by Afghanistan to the north and north-west, Iran to the south-west, Punjab and Sindh, and Khyber Pakhtunkhwa and the Federally Administered Tribal Areas to the north-east. To the south lies the Arabian Sea. Balochistan is located on the south-eastern part of the Iranian plateau. It borders the geopolitical regions of the Middle East and Southwest Asia, Central Asia and South Asia. Balochistan lies at the mouth of the Strait of Hormuz and provides the shortest route from seaports to Central Asia. Its geographical location has placed the otherwise desolate region in the scope of competing for global interests for all of recorded history. The capital city Quetta is located in a densely populated portion of the Sulaiman Mountains in the northeast of the province. It is situated in a river valley near the Bolan Pass, which has been used as the route of choice from the coast to Central Asia, entering through Afghanistan's Kandahar region. The British and other historic empires have crossed the region to invade Afghanistan by this route. Balochistan is rich in exhaustible and renewable resources; it is the second major supplier of natural gas in Pakistan. The province's renewable and human resource potential has not been systematically measured or exploited due to pressures from within and without Pakistan. Local inhabitants have chosen to live in towns and have relied on sustainable water sources for thousands of years. Climate The climate of the upper highlands is characterised by very cold winters and hot summers. In the lower highlands, winters vary from extremely cold in northern districts Ziarat, Quetta, Kalat, Muslim Baagh and Khanozai, where temperatures can drop to , to milder conditions closer to the Makran coast. Winters are mild on the plains, with temperatures never falling below freezing point. Summers are hot and dry, especially in the arid zones of Chagai and Kharan districts. The plains are also very hot in summer, with temperatures reaching . The record highest temperature, , was recorded in Sibi on 26 May 2010, exceeding the previous record, . Other hot areas include Turbat and Dalbandin. The desert climate is characterised by hot and very arid conditions. Occasionally, strong windstorms make these areas very inhospitable. Education The literacy rate of the province in 2017 was 43.6%, an increase from 24.8% in 1998. Medical colleges Bolan University of Medical & Health Sciences Makran Medical College Engineering universities Balochistan University of Engineering and Technology, Khuzdar Balochistan University of Information Technology, Engineering and Management Sciences, Quetta General universities University of Balochistan, Quetta Al-Hamd Islamic University, Quetta Sardar Bahadur Khan Women's University, Quetta Lasbela University of Agriculture, Water and Marine Sciences, Lasbela University of Turbat, Turbat University of Loralai, Loralai Economy The economy of Balochistan is largely based upon the production of natural gas, coal and other minerals. Balochistan has been called a "neglected province where a majority of population lacks amenities". Since the mid-1970s the province's share of Pakistan's GDP has dropped from 4.9 to 3.7%, and as of 2007 it had the highest poverty rate and infant and maternal mortality rate, and the lowest literacy rate in the country, factors some allege have contributed to the insurgency. However, in 7th NFC awards, Punjab province and Federal contributed to increase Baluchistan share more than its entitled population based share. In Balochistan poverty is increasing. In 2001–2002 poverty incidences were at 48% and by 2005–2006 these were at 50.9%. According to a report on Dawn, the rate of multidimensional poverty in Balochistan had risen to 71% by 2016. Though the province remains largely underdeveloped, several major development projects, including the construction of a new deep sea port at the strategically important town of Gwadar, are in progress in Balochistan. The port is projected to be the hub of an energy and trade corridor to and from China and the Central Asian republics. The Mirani Dam on the Dasht River, west of Turbat in the Makran Division, is being built to provide water to expand agricultural land use by where it would otherwise be unsustainable. In the district Lasbela, there is an oil refinery owned by Byco International Incorporated (BII), which is capable of processing 120,000 barrels of oil per day. A power station is located adjacent to the refinery. Several cement plants and a marble factory are also located there. One of the world's largest ship breaking yards is located on the coast. Natural resource extraction Balochistan's share of Pakistan's national income has historically ranged between 3.7% to 4.9%. Since 1972, Balochistan's gross income has grown in size by 2.7 times. Outside Quetta, the resource extraction infrastructure of the province is gradually developing but still lags far behind other parts of Pakistan. The agreements for royalty rights and ownership of mineral rights were reached during a period of unprecedented natural disasters, economic, social, political, and cultural unrest in Pakistan. The negotiations were widely considered to be insufficiently transparent. Culture Tourism Balochistan has much tourist potential, though the province has seen little of it. There are many tourism-worthy sites |
small executive committee to run the club. Tweed then took steps to increase his income: he used his law firm to extort money, which was then disguised as legal services; he had himself appointed deputy street commissioner – a position with considerable access to city contractors and funding; he bought the New-York Printing Company, which became the city's official printer, and the city's stationery supplier, the Manufacturing Stationers' Company, and had both companies begin to overcharge the city government for their goods and services. Among other legal services he provided, he accepted almost $100,000 from the Erie Railroad in return for favors. He also became one of the largest owners of real estate in the city. He also started to form what became known as the "Tweed Ring", by having his friends elected to office: George G. Barnard was elected Recorder of New York City; Peter B. Sweeny was elected New York County District Attorney; and Richard B. Connolly was elected City Comptroller. Other judicial members of the Tweed ring included Albert Cardozo, John McCunn, and John K. Hackett. When Grand Sachem Isaac Fowler, who had produced the $2,500 to buy off the Republican Voorhis on the Board of Supervisors, was found to have stolen $150,000 in post office receipts, the responsibility for Fowler's arrest was given to Isaiah Rynders, another Tammany operative who was serving as a United States marshal at the time. Rynders made enough ruckus upon entering the hotel where Fowler was staying that Fowler was able to escape to Mexico. With his new position and wealth came a change in style: Tweed began to favor wearing a large diamond in his shirtfront – a habit that Thomas Nast used to great effect in his attacks on Tweed in Harper's Weekly beginning in 1869 – and he bought a brownstone to live in at 41 West 36th Street, then a very fashionable area. He invested his now considerable illegal income in real estate, so that by the late 1860s he ranked among the biggest landowners in New York City. Tweed was a member of the New York State Senate (4th D.) from 1868 to 1873, sitting in the 91st, 92nd, 93rd and 94th New York State Legislatures, but not taking his seat in the 95th and 96th New York State Legislatures. While serving in the State Senate, he split his time between Albany, New York and New York City. While in Albany, he stayed in a suite of seven rooms in Delevan House. Accompanying him in his rooms were his favorite canaries. Guests are presumed to have included members of the Black Horse Cavalry, thirty state legislators whose votes were up for sale. In the Senate he helped financiers Jay Gould and Big Jim Fisk to take control of the Erie Railroad from Cornelius Vanderbilt by arranging for legislation that legitimized fake Erie stock certificates that Gould and Fisk had issued. In return, Tweed received a large block of stock and was made a director of the company. Corruption After the election of 1869, Tweed took control of the New York City government. His protégé, John T. Hoffman, the former mayor of the city, won election as governor, and Tweed garnered the support of good-government reformers like Peter Cooper and the Union League Club, by proposing a new city charter which returned power to City Hall at the expense of the Republican-inspired state commissions. The new charter passed, thanks in part to $600,000 in bribes Tweed paid to Republicans, and was signed into law by Hoffman in 1870. Mandated new elections allowed Tammany to take over the city's Common Council when they won all fifteen aldermanic contests. The new charter put control of the city's finances in the hands of a Board of Audit, which consisted of Tweed, who was Commissioner of Public Works, Mayor A. Oakey Hall and Comptroller Richard "Slippery Dick" Connolly, both Tammany men. Hall also appointed other Tweed associates to high offices – such as Peter B. Sweeny, who took over the Department of Public Parks – providing what became known as the Tweed Ring with even firmer control of the New York City government and enabling them to defraud the taxpayers of many more millions of dollars. In the words of Albert Bigelow Paine, "their methods were curiously simple and primitive. There were no skilful manipulations of figures, making detection difficult ... Connolly, as Controller, had charge of the books, and declined to show them. With his fellows, he also 'controlled' the courts and most of the bar." Crucially, the new city charter allowed the Board of Audit to issue bonds for debt in order to finance opportunistic capital expenditures the city otherwise could not afford. This ability to float debt was enabled by Tweed's guidance and passage of the Adjusted Claims Act in 1868. Contractors working for the city – "Ring favorites, most of them – were told to multiply the amount of each bill by five, or ten, or a hundred, after which, with Mayor Hall's 'O. K.' and Connolly's endorsement, it was paid ... through a go-between, who cashed the check, settled the original bill and divided the remainder ... between Tweed, Sweeny, Connolly and Hall". For example, the construction cost of the New York County Courthouse, begun in 1861, grew to nearly $13 million—about $178 million in 2017 dollars, and nearly twice the cost of the Alaska Purchase in 1867. "A carpenter was paid $360,751 (roughly $4.9 million today) for one month's labor in a building with very little woodwork ... a plasterer got $133,187 ($1.82 million) for two days' work". Tweed bought a marble quarry in Sheffield, Massachusetts, to provide much of the marble for the courthouse at great profit to himself. After the Tweed Charter to reorganize the city's government was passed in 1870, four commissioners for the construction of the New York County Courthouse were appointed. The commission never held a meeting, though each commissioner received a 20% kickback from the bills for the supplies. Tweed and his friends also garnered huge profits from the development of the Upper East Side, especially Yorkville and Harlem. They would buy up undeveloped property, then use the resources of the city to improve the area – for instance by installing pipes to bring in water from the Croton Aqueduct – thus increasing the value of the land, after which they sold and took their profits. The focus on the east side also slowed down the development of the west side, the topography of which made it more expensive to improve. The ring also took their usual percentage of padded contracts, as well as raking off money from property taxes. Despite the corruption of Tweed and Tammany Hall, they did accomplish the development of upper Manhattan, though at the cost of tripling the city's bond debt to almost $90 million. During the Tweed era, the proposal to build a suspension bridge between New York and Brooklyn, then an independent city, was floated by Brooklyn-boosters, who saw the ferry connections as a bottleneck to Brooklyn's further development. In order to ensure that the Brooklyn Bridge project would go forward, State Senator Henry Cruse Murphy approached Tweed to find out whether New York's aldermen would approve the proposal. Tweed's response was that $60,000 for the aldermen would close the deal, and contractor William C. Kingsley put up the cash, which was delivered in a carpet bag. Tweed and two others from Tammany also received over half the private stock of the Bridge Company, the charter of which specified that only private stockholders had voting rights, so that even though the cities of Brooklyn and Manhattan put up most of the money, they essentially had no control over the project. Tweed bought a mansion on Fifth Avenue and 43rd Street, and stabled his horses, carriages and sleighs on 40th Street. By 1871, he was a member of the board of directors of not only the Erie Railroad and the Brooklyn Bridge Company, but also the Third Avenue Railway Company and the Harlem Gas Light Company. He was president of the Guardian Savings Banks and he and his confederates set up the Tenth National Bank to better control their fortunes. Scandal Tweed's downfall began in 1871. James Watson, who was a county auditor in Comptroller Dick Connolly's office and who also held and recorded the ring's books, died a week after his head was smashed by a horse in a sleigh accident on January 21, 1871. Although Tweed guarded Watson's estate in the week prior to Watson's death, and although another ring member attempted to destroy Watson's records, a replacement auditor, Matthew O'Rourke, associated with former sheriff James O'Brien provided city accounts to O'Brien. The Orange riot of 1871 in the summer of that year did not help the ring's popularity. The riot was prompted after Tammany Hall banned a parade of Irish Protestants celebrating a historical victory against Catholicism, namely the Battle of the Boyne. The parade was banned because of a riot the previous year in which eight people died when a crowd of Irish Catholic laborers attacked the paraders. Under strong pressure from the newspapers and the Protestant elite of the city, Tammany reversed course, and the march was allowed to proceed, with protection from city policemen and state militia. The result was an even larger riot in which over 60 people were killed and more than 150 injured. Although Tammany's electoral power base was largely centered in the Irish immigrant population, it also needed both the city's general population and elite to acquiesce in its rule, and this was conditional on the machine's ability to control the actions of its people. The July riot showed that this capability was not nearly as strong as had been supposed. Tweed had for months been under attack from The New York Times and Thomas Nast, the cartoonist from Harper's Weekly – regarding Nast's cartoons, Tweed reportedly said, "Stop them damned pictures. I don't care so much what the papers say about me. My constituents don't know how to read, but they can't help seeing them damned pictures!" – but their campaign had only limited success in gaining traction. They were able to force an examination of the city's books, but the blue-ribbon commission of six businessmen appointed by Mayor A. Oakey Hall, a Tammany man, which included John Jacob Astor III, banker Moses Taylor and others who benefited from Tammany's actions, found that the books had been "faithfully kept", letting the air out of the effort to dethrone Tweed. The response to the Orange riot changed everything, and only days afterwards the Times/Nast campaign began to garner popular support. More important, the Times started to receive inside information from County Sheriff James O'Brien, whose support for Tweed had fluctuated during Tammany's reign. O'Brien had tried to blackmail Tammany by threatening to expose the ring's embezzlement to the press, and when this failed he provided the evidence he had collected to the Times. Shortly afterward, county auditor Matthew J. O'Rourke supplied additional details to the Times, which was reportedly offered $5 million to not publish the evidence. The Times also obtained the accounts of the recently deceased James Watson, who was the Tweed Ring's bookkeeper, and these were published daily, culminating in a special four-page supplement on July 29 headlined "Gigantic Frauds of the Ring Exposed". In August, Tweed began to transfer ownership in his real-estate empire and other investments to his family members. The exposé provoked an international crisis of confidence in New York City's finances, and, in particular, in its ability to repay its debts. European investors were heavily positioned in the city's bonds and were already nervous about its management – only the reputations of the underwriters were preventing a run on the city's securities. New York's financial and business community knew that if the city's credit were to collapse, it could potentially bring down every bank in the city with it. Thus, the city's elite met at Cooper Union in September to discuss political reform: but for the first time, the conversation included not only the usual reformers, but also Democratic bigwigs such as Samuel J. Tilden, who had been thrust aside by Tammany. The consensus was that the "wisest and best citizens" should take over the governance of the city and attempt to restore investor confidence. The result was the formation of the Executive Committee of Citizens and Taxpayers for Financial Reform of the city (also known as "the Committee of Seventy"), which attacked Tammany by cutting off the city's funding. Property owners refused to pay their municipal taxes, and a judge – Tweed's old friend George Barnard – enjoined the city Comptroller from issuing bonds or spending money. Unpaid workers turned against Tweed, marching to City Hall demanding to be paid. Tweed doled out some funds from his own purse – $50,000 – but it was not sufficient to end the crisis, and Tammany began to lose its essential base. Shortly thereafter, the Comptroller resigned, appointing Andrew Haswell Green, an associate of Tilden, as his replacement. Green loosened the purse strings again, allowing city departments not under Tammany control to borrow money to operate. Green and Tilden had the city's records closely examined, and discovered money that went directly from city contractors into Tweed's pocket. The following day, they had Tweed arrested. Imprisonment, escape, and death Tweed was released on $1 million bail, and Tammany set to work to recover its position through the ballot box. Tweed was re-elected to the state senate in November 1871, due to his personal popularity and largesse in his district, but in general Tammany did not do well, and the members of the Tweed Ring began to flee the jurisdiction, many going overseas. Tweed was re-arrested, forced to resign his city positions, and was replaced as Tammany's leader. Once again, he was released on bail – $8 million this time – but Tweed's supporters, such as Jay Gould, felt the repercussions of his fall from power. Tweed's first trial, in January 1873, ended when the jury was unable to deliver a verdict. Tweed's defense counsel included David Dudley Field II and Elihu Root. His retrial in November resulted in convictions on 204 of 220 counts, a fine of $12,750 (the equivalent of $ today) and a prison sentence of 12 years; a higher court, however, reduced Tweed's sentence to one year. After his release from The Tombs prison, New York State filed a civil suit against Tweed, attempting to recover $6 million in embezzled funds. Unable to put up the $3 million bail, Tweed was locked up in the Ludlow Street Jail, although he was allowed home visits. During one of these on December 4, 1875, Tweed escaped and fled to Spain, where he worked as a common seaman on a Spanish ship. The U.S. government discovered his whereabouts and arranged for his | records, a replacement auditor, Matthew O'Rourke, associated with former sheriff James O'Brien provided city accounts to O'Brien. The Orange riot of 1871 in the summer of that year did not help the ring's popularity. The riot was prompted after Tammany Hall banned a parade of Irish Protestants celebrating a historical victory against Catholicism, namely the Battle of the Boyne. The parade was banned because of a riot the previous year in which eight people died when a crowd of Irish Catholic laborers attacked the paraders. Under strong pressure from the newspapers and the Protestant elite of the city, Tammany reversed course, and the march was allowed to proceed, with protection from city policemen and state militia. The result was an even larger riot in which over 60 people were killed and more than 150 injured. Although Tammany's electoral power base was largely centered in the Irish immigrant population, it also needed both the city's general population and elite to acquiesce in its rule, and this was conditional on the machine's ability to control the actions of its people. The July riot showed that this capability was not nearly as strong as had been supposed. Tweed had for months been under attack from The New York Times and Thomas Nast, the cartoonist from Harper's Weekly – regarding Nast's cartoons, Tweed reportedly said, "Stop them damned pictures. I don't care so much what the papers say about me. My constituents don't know how to read, but they can't help seeing them damned pictures!" – but their campaign had only limited success in gaining traction. They were able to force an examination of the city's books, but the blue-ribbon commission of six businessmen appointed by Mayor A. Oakey Hall, a Tammany man, which included John Jacob Astor III, banker Moses Taylor and others who benefited from Tammany's actions, found that the books had been "faithfully kept", letting the air out of the effort to dethrone Tweed. The response to the Orange riot changed everything, and only days afterwards the Times/Nast campaign began to garner popular support. More important, the Times started to receive inside information from County Sheriff James O'Brien, whose support for Tweed had fluctuated during Tammany's reign. O'Brien had tried to blackmail Tammany by threatening to expose the ring's embezzlement to the press, and when this failed he provided the evidence he had collected to the Times. Shortly afterward, county auditor Matthew J. O'Rourke supplied additional details to the Times, which was reportedly offered $5 million to not publish the evidence. The Times also obtained the accounts of the recently deceased James Watson, who was the Tweed Ring's bookkeeper, and these were published daily, culminating in a special four-page supplement on July 29 headlined "Gigantic Frauds of the Ring Exposed". In August, Tweed began to transfer ownership in his real-estate empire and other investments to his family members. The exposé provoked an international crisis of confidence in New York City's finances, and, in particular, in its ability to repay its debts. European investors were heavily positioned in the city's bonds and were already nervous about its management – only the reputations of the underwriters were preventing a run on the city's securities. New York's financial and business community knew that if the city's credit were to collapse, it could potentially bring down every bank in the city with it. Thus, the city's elite met at Cooper Union in September to discuss political reform: but for the first time, the conversation included not only the usual reformers, but also Democratic bigwigs such as Samuel J. Tilden, who had been thrust aside by Tammany. The consensus was that the "wisest and best citizens" should take over the governance of the city and attempt to restore investor confidence. The result was the formation of the Executive Committee of Citizens and Taxpayers for Financial Reform of the city (also known as "the Committee of Seventy"), which attacked Tammany by cutting off the city's funding. Property owners refused to pay their municipal taxes, and a judge – Tweed's old friend George Barnard – enjoined the city Comptroller from issuing bonds or spending money. Unpaid workers turned against Tweed, marching to City Hall demanding to be paid. Tweed doled out some funds from his own purse – $50,000 – but it was not sufficient to end the crisis, and Tammany began to lose its essential base. Shortly thereafter, the Comptroller resigned, appointing Andrew Haswell Green, an associate of Tilden, as his replacement. Green loosened the purse strings again, allowing city departments not under Tammany control to borrow money to operate. Green and Tilden had the city's records closely examined, and discovered money that went directly from city contractors into Tweed's pocket. The following day, they had Tweed arrested. Imprisonment, escape, and death Tweed was released on $1 million bail, and Tammany set to work to recover its position through the ballot box. Tweed was re-elected to the state senate in November 1871, due to his personal popularity and largesse in his district, but in general Tammany did not do well, and the members of the Tweed Ring began to flee the jurisdiction, many going overseas. Tweed was re-arrested, forced to resign his city positions, and was replaced as Tammany's leader. Once again, he was released on bail – $8 million this time – but Tweed's supporters, such as Jay Gould, felt the repercussions of his fall from power. Tweed's first trial, in January 1873, ended when the jury was unable to deliver a verdict. Tweed's defense counsel included David Dudley Field II and Elihu Root. His retrial in November resulted in convictions on 204 of 220 counts, a fine of $12,750 (the equivalent of $ today) and a prison sentence of 12 years; a higher court, however, reduced Tweed's sentence to one year. After his release from The Tombs prison, New York State filed a civil suit against Tweed, attempting to recover $6 million in embezzled funds. Unable to put up the $3 million bail, Tweed was locked up in the Ludlow Street Jail, although he was allowed home visits. During one of these on December 4, 1875, Tweed escaped and fled to Spain, where he worked as a common seaman on a Spanish ship. The U.S. government discovered his whereabouts and arranged for his arrest once he reached the Spanish border; he was recognized from Nast's political cartoons. He was turned over to an American warship, the , which delivered him to authorities in New York City on November 23, 1876, and he was returned to prison. Desperate and broken, Tweed now agreed to testify about the inner workings of the Tweed Ring to a special committee set up by the Board of Aldermen in return for his release, but after he did so, Tilden, now governor of New York, refused to abide by the agreement, and Tweed remained incarcerated. He died in the Ludlow Street Jail on April 12, 1878, from severe pneumonia, and was buried in Brooklyn's Green-Wood Cemetery. Mayor Smith Ely would not allow the flag at City Hall to be flown at half staff. Evaluations According to Tweed biographer Kenneth D. Ackerman:It's hard not to admire the skill behind Tweed's system ... The Tweed ring at its height was an engineering marvel, strong and solid, strategically deployed to control key power points: the courts, the legislature, the treasury and the ballot box. Its frauds had a grandeur of scale and an elegance of structure: money-laundering, profit sharing and organization. A minority view that Tweed was mostly innocent is presented in a scholarly biography by history professor Leo Hershkowitz. He states:Except for Tweed’s own very questionable "confession," there really was no evidence of a "Tweed Ring," no direct evidence of Tweed’s thievery, no evidence, excepting the testimony of the informer contractors, of "wholesale" plunder by Tweed....[Instead there was] a conspiracy of self-justification of the corruption of the law by the upholders of that law, of a venal irresponsible press and a citizenry delighting in the exorcism of witchery. In depictions of Tweed and the Tammany Hall organization, most historians have emphasized the thievery and conspiratorial nature of Boss Tweed, along with lining his own pockets and those of his friends and allies. The theme is that the sins of corruption so violated American standards of political rectitude that they far overshadow Tweed's positive contributions to New York City. Although he held numerous important public offices and was one of a handful of senior leaders of Tammany Hall, as well as the state legislature and the state Democratic Party, Tweed was never the sole "boss" of New York City. He shared control of the city with numerous less famous people, such as the villains depicted in Nast's famous circle of guilt cartoon shown above. Seymour J. Mandelbaum has argued that, apart from the corruption he engaged in, Tweed was a modernizer who prefigured certain elements of the Progressive Era in terms of more efficient city management. Much of the money he siphoned off from the city treasury went to needy constituents who appreciated the free food at Christmas time and remembered it at the next election, and to precinct workers who provided the muscle of his machine. As a legislator he worked to expand and strengthen welfare programs, especially those by private charities, schools, and hospitals. With a base in the Irish Catholic community, he opposed efforts of Protestants to require the reading of the King James Bible in public schools, which was done deliberately to keep out Catholics. He facilitated the founding of the New York Public Library, even though one of its founders, Samuel Tilden, was Tweed's sworn enemy in the Democratic Party. Tweed recognized that the support of his constituency was necessary for him to remain in power, and as a consequence he used the machinery of the city's government to provide numerous social services, including building more orphanages, almshouses and public baths. Tweed also fought for the New York State Legislature to donate to private charities of all religious denominations, and subsidize Catholic schools and hospitals. From 1869 to 1871, under Tweed's influence, the state of New York spent more on charities than for the entire time period from 1852 to 1868 combined. Tweed also pushed through funding for a teachers college and prohibition of corporal punishment in schools, as well as salary increases for school teachers. During Tweed's regime, the main business thoroughfare Broadway was widened between 34th Street and 59th Street, land was secured for the Metropolitan Museum of Art, and the Upper East Side and Upper West Side were developed and provided the necessary infrastructure – all to the benefit of the purses of the Tweed Ring, but also, ultimately, to the benefit of the people of the city. Hershkowitz blames the implications of Thomas Nast in Harper's Weekly and the editors of The New York Times, which both had ties to the Republican party. In part, the campaign against Tweed diverted public attention from Republican scandals such as the Whiskey Ring. Tweed himself wanted no particular recognition of his achievements, such as they were. When it was proposed, in March 1871, when he was at the height of his power, that a statue be erected in his honor, he declared: "Statues are not erected to living men ... I claim to be a live man, and hope (Divine Providence permitting) to survive in all my vigor, politically and physically, some years to come." One of Tweed's unwanted legacies is that he has become "the archetype of the bloated, rapacious, corrupt city boss". Middle name Tweed never signed his name with anything other than a plain "M.", and his middle name is often mistakenly listed as "Marcy". His actual middle name was "Magear", his mother's maiden name. Tweed's son's name was William Magear Tweed Jr. Confusion derived from a Nast cartoon with a picture of Tweed supplemented with a quote from William L. Marcy, the former governor of New York. In popular culture Arthur Train featured Tweed in his 1940 novel of life in Gilded Age New York, Tassels On Her Boots. Tweed is portrayed as having contempt for the people he rules, at one point saying that once he would have been a Baron, with a castle, levying tribute on the people. But now, "'Boss', they call me - and they are glad to have me." In 1945, Tweed was portrayed by Noah Beery Sr. in the Broadway production of Up in Central Park, a musical comedy with music by Sigmund Romberg. The role was played by Malcolm Lee Beggs for a revival in 1947. In the 1948 film version, Tweed is played by Vincent Price. On the 1963–1964 CBS TV series The Great Adventure, which presented one-hour dramatizations of the lives of historical figures, Edward Andrews portrayed Tweed in the episode "The Man Who Stole New York City", about the campaign by The New York Times to bring down Tweed. The episode aired on December 13, 1963. In John Varley's 1977 science-fiction novel, The Ophiuchi Hotline, a |
little conflict between the students and locals despite their vastly differing lifestyles. However, a knife-incident in 1991 led to an article in Redbrick warning students not to live in the area. In July 2005, Balsall Heath was hit by a tornado, which devastated many buildings around Church Road and Ladypool Road. Birmingham City Council offered loans to those who would otherwise be unable to repair their properties, and the area has now made a full recovery. Red light era Street prostitution first appeared in Balsall Heath during the 1950s. Property values fell, attracting Birmingham's poorer migrants. By the 1970s, the area was notorious for street robberies and drug dealing. Cheddar Road was the centre of a red-light district worked by 450 women. About half of the 50 houses on this road had prostitutes advertising themselves in the windows, similar to Amsterdam. It was labelled Britain's busiest cul-de-sac. This period of the area's history is depicted in the 1980 film Prostitute. In 1986, an organisation called ANAWIM was formed by the Sisters of Charity to provide outreach support to the prostitutes. In September 1992, a report was published encouraging the formation of a zone of tolerance towards prostitution in Balsall Heath. This was opposed by residents and a local police inspector. In the following year Samo Paull, a woman working as a prostitute, was abducted from Balsall Heath and murdered. In 1994, residents began to organise street patrols forcing the prostitutes and street criminals out of the area. These patrols had the qualified support of the police but were regarded as vigilantes by some. There was an immediate two-thirds reduction in street and window prostitution. By November 1995, they had been almost completely eliminated. The area has enjoyed a slow revival. House prices are now similar | move into private lodgings in Balsall Heath. Today, Balsall Heath has one of the largest Muslim communities in Birmingham. It is also home to diverse communities from across the Commonwealth. By the 1980s, many of Balsall Heath's houses were in a dilapidated condition; some still lacked bathrooms or indoor toilets. The local council considered demolishing these properties but chose to refurbish them as part of an urban renewal scheme. Most of these Victorian terraces still exist and, along with more modern social housing, characterise the area today. The area's traditional 'brick' pavements were replaced at this time by the more modern and conventional paving slabs. Balsall Heath's low rents also attracted a bohemian student population. Its proximity to the University of Birmingham, the city centre and the "trendy" area of Moseley were all contributing factors. There was little conflict between the students and locals despite their vastly differing lifestyles. However, a knife-incident in 1991 led to an article in Redbrick warning students not to live in the area. In July 2005, Balsall Heath was hit by a tornado, which devastated many buildings around Church Road and Ladypool Road. Birmingham City Council offered loans to those who would otherwise be unable to repair their properties, and the area has now made a full recovery. Red light era Street prostitution first appeared in Balsall Heath during the 1950s. Property values fell, attracting Birmingham's poorer migrants. By the 1970s, the area was notorious for street robberies and drug dealing. Cheddar Road was the centre of a red-light district worked by 450 women. About half of the 50 houses on this road had prostitutes advertising themselves in the windows, similar to Amsterdam. It was labelled Britain's busiest cul-de-sac. This period of the area's history is depicted in the 1980 film Prostitute. In 1986, an organisation called ANAWIM was formed by the Sisters of Charity to provide outreach support to the prostitutes. In September 1992, a report was published encouraging the formation of a zone of tolerance towards prostitution in Balsall Heath. This was opposed by residents and a local police inspector. In the following year Samo Paull, a woman working as a prostitute, was abducted from Balsall Heath and murdered. In 1994, residents began to organise street patrols forcing the prostitutes and street criminals out of the area. These patrols had the qualified support of the police but |
Banco Hipotecario Franco Argentino, and a subsidiary in Brazil in 1905, and by 1910, they reportedly controlled 80% of Argentine cereal exports (Argentina was, by then, the world's third-largest grain exporter).<ref>Rock, David. Argentina: 1516-1982. University of California Press, 1987. p.172</ref> They later established paint manufacturer Alba (1925), chemical and fertilizer maker Compañía Química, and textile maker Grafa (1932), among others; by the late 1920s, the company's annual export receipts alone reached US$300 million.INDEC: Comercio exterior The company inaugurated its neo-gothic Buenos Aires headquarters on Leandro Alem Avenue, designed by local architect Pablo Naeff, in 1926. Bunge & Born's near-monopoly on cereal and flour exports ended with populist President Juan Perón's 1946 establishment of the IAPI, a state agricultural purchasing and export agent. The company responded by extending its reach into the country fast-growing retail processed foods market, and though its prominence as the nation's chief exporter was partly restored by Perón's 1955 ousting and the IAPI's liquidation, its focus remained domestic over the next three decades. A privately held company, Bunge & Born did not release periodical financial statements, though it did report US$2bn in gross receipts in 1962; by then it had become a leader in commodity futures trading, operating 110 offices worldwide. The Bunge, Born, Hirsch, Engels and De La Tour families remained the company's chief stock-holders, and by extension, leaders in the domestic textile, paint, chemical, fertilizer, and food processing industries. On September 19, 1974, however, the consortium was shaken by the kidnapping of siblings Jorge and Juan Born by the far-left terrorist group, Montoneros. The Born brothers were kept in a known Argentine State Intelligence safehouse for nine months until their June 1975 release, something made possible without public suspicion of outside involvement by the agency's numerous contacts inside the Montoneros (including the leader, Mario Firmenich). Freed for a US$60 million ransom (the largest on record at that time), the ordeal triggered the company headquarters' relocation to São Paulo, Brazil, and contributed to the March 1976 coup. Retaining their Argentine interests (44 companies, by the 1980s), the families continued to suffer from ongoing disputes, and in 1987, CEO Mario Hirsch died suddenly. The election of Carlos Menem to the Argentine Presidency in May 1989, however, resulted in an agreement between the President-elect and Jorge Born that gave the | the nation's chief exporter was partly restored by Perón's 1955 ousting and the IAPI's liquidation, its focus remained domestic over the next three decades. A privately held company, Bunge & Born did not release periodical financial statements, though it did report US$2bn in gross receipts in 1962; by then it had become a leader in commodity futures trading, operating 110 offices worldwide. The Bunge, Born, Hirsch, Engels and De La Tour families remained the company's chief stock-holders, and by extension, leaders in the domestic textile, paint, chemical, fertilizer, and food processing industries. On September 19, 1974, however, the consortium was shaken by the kidnapping of siblings Jorge and Juan Born by the far-left terrorist group, Montoneros. The Born brothers were kept in a known Argentine State Intelligence safehouse for nine months until their June 1975 release, something made possible without public suspicion of outside involvement by the agency's numerous contacts inside the Montoneros (including the leader, Mario Firmenich). Freed for a US$60 million ransom (the largest on record at that time), the ordeal triggered the company headquarters' relocation to São Paulo, Brazil, and contributed to the March 1976 coup. Retaining their Argentine interests (44 companies, by the 1980s), the families continued to suffer from ongoing disputes, and in 1987, CEO Mario Hirsch died suddenly. The election of Carlos Menem to the Argentine Presidency in May 1989, however, resulted in an |
York City. It was first popularized in the 1920s by John J. Fitz Gerald, a sports writer for the New York Morning Telegraph. Its popularity since the 1970s is due in part to a promotional campaign by the New York tourist authorities. Origin of the name Although the history of Big Apple was once thought a mystery, a clearer picture of the term's history has emerged due to the work of historian Barry Popik, and Gerald Cohen of the Missouri University of Science and Technology. A number of false theories had previously existed, including a claim that the term derived from a woman named Eve who ran a brothel in the city. This was subsequently exposed as a hoax. The earliest known usage of "big apple" appears in the book The Wayfarer in New York (1909), in which Edward Sandford Martin writes: Kansas is apt to see in New York a greedy city ... It inclines to think that the big apple gets a disproportionate share of the national sap. William Safire considered this the coinage, but because the phrase is not quoted in the text, it is likely that it was used as a metaphor, and not as a nickname for the city. Horse racing origin The Big Apple was popularized as a name for New York City by John J. Fitz Gerald in a number of horse-racing articles for the New York Morning Telegraph in the 1920s. The earliest of these was a casual reference on 3 May 1921: Fitz Gerald referred to the "big apple" frequently thereafter. He explained his use in a column dated February 18, 1924, under the headline "Around the Big Apple": Fitz Gerald reportedly first heard "The Big Apple" used to describe New York's racetracks by two African American stable hands at the New Orleans Fair Grounds. Using racing records, Popik traced that conversation to January 1920. In recognition of Fitz Gerald's role in promulgating "The Big Apple" as a nickname for New York City, in 1997 Mayor Rudy Giuliani signed legislation designating as "Big Apple Corner" the southwest corner of West 54th Street and Broadway, the corner on which John J. Fitz Gerald lived from 1934 to 1963. The Hotel Ameritania also once had a plaque which was installed in 1996, according to Popik, but it was removed during renovations to the building and was lost. Evidence can also be found in the Chicago Defender, an African-American newspaper that had a national circulation. Writing for the Defender on September 16, 1922, "Ragtime" Billy Tucker used the name "big apple" to refer to New York in a non-horse-racing context: Tucker had also earlier used | of [them] seized that old phrase the Big Apple to remind people of when New York had been a strong and powerful city and might become that again," according to the official Manhattan Borough Historian, Dr. Robert Snyder. It was then that the New York Convention and Visitors Bureau – now NYC & Company, New York City's official marketing and tourism organization) – with the help of the Ogilvy & Mather advertising firm, began to promote the city's "Big Apple" nickname to tourists, under the leadership of its president, Charles Gillett. The campaign was a success, and the nickname has remained popular since then. Today the name is used exclusively to refer to New York City, and is used with regularity by journalists and news headline writers across the English-speaking world. In popular culture The term "big apple" was used by Frank Sinatra in conversation with opera singer Dorothy Kirsten on an episode of the NBC radio program Light Up Time on March 28, 1950. The Big Apple Circus was founded in Manhattan in 1977. The New York Mets baseball team have featured a "Home Run Apple" that rises whenever a Mets player hits a home run. It has become a symbol of the Mets baseball team, recognized throughout Major League Baseball as an iconic feature of the Mets' stadiums. It first appeared in Shea Stadium, and the original can still be seen on display at Citi Field, outside the Jackie Robinson Rotunda. Citi Field now uses a new apple, one that is much larger than original. Uses of the term abound elsewhere in the names of cultural products and events in or concerning New York, including the Big Apple Anime Fest, the Big Apple Circus, the Big Apple Theater |
day. Corbett was released in an exchange in November 1864 and was admitted to the Army hospital in Annapolis, Maryland where he was treated for scurvy, malnutrition and exposure. On his return to his company, he was promoted to sergeant. Corbett later testified for the prosecution in the trial of the commandant of Andersonville, Captain Henry Wirz. Pursuit of John Wilkes Booth On April 24, 1865, Corbett's regiment was sent to apprehend John Wilkes Booth, the assassin of President Abraham Lincoln, whom Booth fatally shot on April 14, 1865. On April 26, the regiment surrounded Booth and one of his accomplices, David Herold, in a tobacco barn on the Virginia farm of Richard Garrett. Herold surrendered, but Booth refused and cried out, "I will not be taken alive!". The barn was set on fire in an attempt to force him out into the open, but Booth remained inside. Corbett was positioned near a large crack in the barn wall. Shooting Booth In an 1878 interview, Corbett claimed that he saw Booth aim his carbine, prompting him to shoot Booth with his Colt revolver despite Secretary of War Edwin M. Stanton's orders that Booth be captured alive. The bullet struck Booth in the back of the head behind his left ear, passed through his neck, and out into the barn. A low scream of pain like that produced by a sudden throttling came from the assassin, and he pitched headlong to the floor. Corbett and the other soldiers would note a sense of poetic, or cosmic, justice in that Lincoln and Booth were each shot around the same spot of the head. And the damage to Booth was no less severe than that to Lincoln: the bullet had pierced three vertebrae and partially severed his spinal cord, paralyzing him. Their conditions were different as well, as Mary Clemmer Ames summed it up, "The balls entered the skull of each at nearly the same spot, but the trifling difference made an immeasurable difference in the sufferings of the two. Mr. Lincoln was unconscious of all pain, while his assassin suffered as exquisite agony as if he had been broken on a wheel." Death of Booth In a weak voice, Booth asked for water and Lt. Colonel Everton Conger and Colonel Lafayette C. Baker gave it to him. A soldier poured water into his mouth, which he immediately spat out, unable to swallow. The bullet wound prevented him from swallowing any of the liquid. Booth asked them to roll him over and turn him facedown. Conger thought it a bad idea. Then at least turn me on my side, the assassin pleaded. They did, but Conger saw that the move did not relieve Booth's suffering. Baker noticed it, too: "He seemed to suffer extreme pain whenever he was moved...and would several times repeat, ‘Kill me.’" At sunrise, Booth remained in agonizing pain. His pulse weakening as his breathing became more labored and irregular. In agony, unable to move his limbs, he asked a soldier to lift his hands before his face and whispered as he gazed at them, "Useless ... Useless." These were his last words. A few minutes later, Booth began gasping for air as his throat continued to swell, then there was a shiver and a gurgle and his body shuddered, before Booth died from asphyxia. He died two hours after Corbett shot him. Conger initially thought Booth had shot himself. After realizing Booth had been shot by someone else, Conger and Lt. Doherty asked which officer had shot Booth. Corbett stepped forward and admitted he was the shooter. When asked why he had violated orders, Corbett replied, "Providence directed me". Court-martial He was immediately arrested and was accompanied by Lt. Doherty to the War Department in Washington, D.C. to be court-martialed. When questioned by Secretary Edwin Stanton about Booth's capture and shooting, both Doherty and Corbett himself agreed that Corbett had, in fact, disobeyed orders not to shoot. However, Corbett maintained that he believed Booth had intended to shoot his way out of the barn and that he acted in self-defense. He told Stanton, "...Booth would have killed me if I had not shot first. I think I did right." Corbett maintained that he didn't intend to kill Booth, but merely wanted to inflict a disabling wound, but either his aim slipped or Booth moved at the moment Corbett pulled the trigger. Stanton paused and then stated, "The rebel is dead. The patriot lives; he has spared the country expense, continued excitement and trouble. Discharge the patriot." Upon leaving the War Department, Corbett was greeted by a cheering crowd. As he made his way to Mathew Brady's studio to have his official portrait taken, the crowd followed him asking for autographs and requesting that he tell them about shooting Booth. Corbett told the crowd: Contradictions Eyewitnesses to Booth's shooting contradicted Corbett's | violations of God's word. In one instance, he verbally reprimanded Colonel Daniel Butterfield for using profanity and taking the Lord's name in vain. He was sent to the guardhouse for several days but refused to apologize for his insubordination. Due to his continued disruptive behavior and refusal to take orders, Corbett was court-martialed and sentenced to be shot. His sentence was eventually reduced and he was discharged in August 1863. Corbett re-enlisted later that month as a private in Company L, 16th New York Cavalry Regiment. On June 24, 1864, he was captured by Confederate Colonel John S. Mosby's men in Culpeper, Virginia and held prisoner at Andersonville prison for five months. While on the way to Andersonville, the following incident happened, told by a fellow prisoner of Corbett's named William Collins: At Macon there were about a thousand prisoners who had arrived ahead of us. The train we were on unloaded our thousand making 2000 in all. We were taken to an old pasture or common near the railroad tracks where a furrow was ploughed around it for a deadline. There was a small stream of water close to the guard line and the prisoners made a rush for it, most of them had no water for many hours, but the guards kept them back. One of the more venturesome than the rest got through the line and attempted to fill his canteen. He was immediately shot in the arm with buckshot by one of the guards. He was pushed back among our men and laid under a tree. The wounded man was suffering greatly and called for water to ease his pain, but none had any in his canteen. Boston Corbett stepped out of the ranks, having been unable to stand silent any longer. He crossed the deadline, filled his canteen in the stream and gave the wounded man a drink. The guards continually threatened him with death, but Corbett ignored them and went about his business. Despite their threats he returned unharmed and rejoined the ranks of prisoners. The cheers of the soldiers at this brave deed could have been heard one mile away, but Corbett seemed to think it was not out of the ordinary. It was the bravest deed that I had seen during the war. We arrived at Andersonville prison the next day. Corbett was released in an exchange in November 1864 and was admitted to the Army hospital in Annapolis, Maryland where he was treated for scurvy, malnutrition and exposure. On his return to his company, he was promoted to sergeant. Corbett later testified for the prosecution in the trial of the commandant of Andersonville, Captain Henry Wirz. Pursuit of John Wilkes Booth On April 24, 1865, Corbett's regiment was sent to apprehend John Wilkes Booth, the assassin of President Abraham Lincoln, whom Booth fatally shot on April 14, 1865. On April 26, the regiment surrounded Booth and one of his accomplices, David Herold, in a tobacco barn on the Virginia farm of Richard Garrett. Herold surrendered, but Booth refused and cried out, "I will not be taken alive!". The barn was set on fire in an attempt to force him out into the open, but Booth remained inside. Corbett was positioned near a large crack in the barn wall. Shooting Booth In an 1878 interview, Corbett claimed that he saw Booth aim his carbine, prompting him to shoot Booth with his Colt revolver despite Secretary of War Edwin M. Stanton's orders that Booth be captured alive. The bullet struck Booth in the back of the head behind his left ear, passed through his neck, and out into the barn. A low scream of pain like that produced by a sudden throttling came from the assassin, and he pitched headlong to the floor. Corbett and the other soldiers would note a sense of poetic, or cosmic, justice in that Lincoln and Booth were each shot around the same spot of the head. And the damage to Booth was no less severe than that to Lincoln: the bullet had pierced three vertebrae and partially severed his spinal cord, paralyzing him. Their conditions were different as well, as Mary Clemmer Ames summed it up, "The balls entered the skull of each at nearly the same spot, but the trifling difference made an immeasurable difference in the sufferings of the two. Mr. Lincoln was unconscious of all pain, while his assassin suffered as exquisite agony as if he had been broken on a wheel." Death of Booth In a weak voice, Booth asked for water and Lt. Colonel Everton Conger and Colonel Lafayette C. Baker gave it to him. A soldier poured water into his mouth, which he immediately spat out, unable to swallow. The bullet wound prevented him from swallowing any of the liquid. Booth asked them to roll him over and turn him facedown. Conger thought it a bad idea. Then at least turn me on my side, the assassin pleaded. They did, but Conger saw that the move did not relieve Booth's suffering. |
i, u and ə, but the last one has partially sub-phonemic status, since it is predictable based on the syllable structure in certain languages. Vowel length and stress are generally not phonemic. Tuareg and Ghadames, however, have both the long vowels a, i, u, e, o and the short vowels ə and ă (also transcribed as ä/æ). For Proto-Berber, the short vowels /a/, /i/, /u/ and the long vowels /aa/, /ii/, /uu/, /ee/ are reconstructed, whereas /oo/ probably was not in the protolanguage. Concerning syllable structures, Tuareg permits almost only V, VC, CV, CVC, but many northern dialects may have more complex consonant clusters as well. The accent is so far under-researched, as the only detailed analysis is the one offered by Heath 2005 for Tuareg. Morphology The morphology of Berber is fusional, which is reflected especially in the frequent use of apophony. The base is the root, which consists of a sequence of mostly three, less frequently one, two or four consonants. It contains exclusively lexical information, whereas grammatical information is provided to a significant degree by their vocalisation. Nominal morphology The Berber noun distinguishes a masculine and a feminine grammatical gender and the grammatical numbers singular and plural. Similarly to the case system of other languages, the Berber noun has two so-called statuses: Status absolutus and Status annexus. These are sometimes also called 'accusative case' (or 'absolutive case') and 'nominative case' respectively. Number, gender and status are marked in most nouns by prefixes, which have the following forms in Kabyle: Status absolutus is used as a citation form and extracted topic, as well as a direct object, somewhat similarly to the absolutive case of other languages. Status annexus is used as the subject of a verbal clause and as the object of a preposition (for more information see the section on syntax). This type of system is sometimes also referred to as a marked nominative system. It is present in most Berber languages, although some peripheral varieties (Eastern Berber, Western Berber, some Zenati languages) have recently lost the nominative and thereby the status distinction. Attributive relations between noun phrases are expressed with the preposition ‘’n’’ (Kabyle:) afus n wə-rgaz “the hand of the man “. N is often used with personal pronouns as well: akal-n-sən “your land“. The feminine can be additionally marked by a suffix ’t: Shilha a-ɣyul “donkey“ – ta-ɣyul-t “she-donkey“. Plural forms have additional possibilities of expression. Besides the suffix -ăn/-ən (Kabyle a-rgaz “man“ – i-rgaz-ən “men“), apophony plays a role as well. The last vowel of a word is changed to a, the first one sometimes to u (Kabyle a-ɣɣul “donkey“ (singular) – i-ɣɣal “donkey“ (Plural)). Pronominal morphology The personal pronouns of Berber can be divided into two main groups: free forms and clitics, the latter being further classified according to their syntactic function. The following example forms are taken from Tahaggart, a dialect of Tuareg. Especially the plural of the absolutive pronouns can be very different in the other languages: Absolutive pronouns are used emphatically and occur especially clause-initially. The object pronouns appear as clitics in verbal complexes (see below). Besides objects (e.g. Kabyle: iuɣa-t "he brought him"), they can express the subjects of existential predicates (Kabyle: hat-t "he is here") and of some predicative adjectives like 'be good' and 'be bad' (Kabyle: d ir-it wəɣru-agi, "this bread is bad"). This, along with the use of nouns in the absolutive status in the same constructions (Tamazight: hak argaz "here is the man"), has been described by some linguists as an element of Split-S alignment and is found in all Berber languages except for the isolated Eastern Berber. The “prepositional“ pronouns are suffixed to prepositions as their objects: ɣur-i “with me“. They can occur with certain restrictions as suffixed possessive pronouns, for example Tuareg ma-s “his/her mother“, Kabyle aḫḫam-is “his/her house“. However, they are mostly connected – just like nouns – by means of the preposition n, cf. Kabyle akal-n-sən “their land“. Verbal morphology Stem formation From the verbal root, which consists mostly of two or three consonants, different stems can be derived, on the one hand, for the purposes of conjugation, and on the other for derivation. Most Berber languages have four stems, which express different aspects: aorist intensive aorist (has frequentative and durative meaning) perfect negative perfect (negated form of the perfect) In different dialects of Tuareg, there are more stems, whose number varies between the dialects. The following two stems are present in all forms of Tuareg: resultative perfect (expresses the results of a past action) negative intensive aorist (negated form of the intensive aorist) The stems are formed mostly by apophony only, as shown by the following examples from Shawiya: In certain verbs, vowel alternation occurs within the same aspect: ufi-ɣ “I found“ beside y-ufa “he found“. Apart from that, the Berber languages have a system of verbal derivation inherited from the Proto-Afroasiatic, mostly operating with affixes (examples from Tuareg): Conjugation The conjugation of the verb takes place principally via personal prefixes, partly supplemented by suffixes. The personal affixes are identical for all verb stems - the aspects are distinguished exclusively by the verb stem. The conjugation of the aorist stem of əkkəs “remove“ in Tuareg is as follows: In Kabyle and Tuareg, the perfect of verbs that express a quality is conjugated with suffixes: By means of pre- or postverbal clitics, more temporal or modal differences can be expressed (examples from Shilha): Present with ar: ur-ar-yaf non-present-he finds “he doesn’t find“ Perfect with əlli: ríɣ-əlli “I wanted“ The imperative corresponds in singular to the verbal stem of the aorist and therefore functions as the citation form of the verb: əkkəs “remove“ (Tuareg). Besides, an imperative of the intensive stem can be formed. In the plural, the imperative contains an affix, which agrees with the gender of the addressee: əkkəs-ăt “remove“ (masculine), əkkəs-măt “remove“ (feminine). Active participles can be formed from several aspect stems and partly inflect in number and gender. This is mostly achieved as the conjugational form of the corresponding of the third person is provided with suffixes; in Tuareg, additional apophonic markers occur. The participles are used in relative clauses, whose subject is identical to the external antecedent: Kabyle ikšəm wərgaz “the man has entered“ (normal verb clause) > argaz ikšəm-ən “the man that has entered“ (relative clause). Deverbal nouns Deverbal nouns can be formed by the superimposition of a series vowel on the consonant root, as shown by the following examples from Tuareg: əddăh “pound“ – t-idhăw-t “pounding“ əggəš “enter“ – ugəš “entering“ sarad “wash“ − asirəd “washing“ ibhaw “be grey“ − abhaw “grey“ durhən “to desire“ − derhan “a desire“ Prefixes can also participate in the formation of deverbal nouns. The prefix am-, em- occurs very often with that function: em-ăsăww “drinker; source“ – əsəw “to drink“ am-idi “friend“ – idaw “accompany“ em-ăls “clothing“ − əls “wear (clothing)“ Numerals Modern northern Berber languages use mostly numerals borrowed from Arabic, whereas the originally Berber forms are being replaced. In Shilha, they are as follows: They agree in gender with their antecedent; the feminine forms are derived with the suffix -t: ya-t “one (fem.)“, sn-at “two (fem.)“, smmus-t “five (fem.)“. There are deviations from that system in different Berber languages; the most important one is the system based on the numeral “five“ of e.g. Nafusi: ufəs “hand; five“, ufəs d sən “a hand and two“ = “seven“, okkos n ifəssən “four hands“ = “twenty“. Syntax Verbal clause Word order Clauses whose predicate is a finite verb form usually have the word order Verb – Subject – Object (VSO): All constituents besides the predicate can be placed in the beginning of the sentence as topics; in such cases, they are represented in the sentence through resumptive pronouns. In thematised position, nouns are in status absolutus and personal pronouns are in the absolutive form: Verbal clitics Before or after the conjugated verb, a chain of several clitics can occur. The following morphemes can occur in it: Negation particle wăr, wər, ur (depending on the language) different aspectual or modal particles such as ad, a (depending on the language) Object pronouns in the order indirect object pronouns – direct object pronouns Distance morphemes The directional morphemes d and n represent a special feature of Berber. Whereas d expresses proximity or direction towards the speaker (ventive), n stands for distance or movement away from the speaker. Examples of verbal complexes from Tuareg: Nominal sentence Noun and prepositional phrases can form the predicate of a clause in the Berber languages, e.g. (Tamazight) ism-ns Muha “his name is Muha“, (Kabyle) ɣur-i lbhaim “with me is livestock“ = “I have livestock“. In certain dialects, however, the use of the copula d is obligatory: Kabyle ntta d aqbaili. “He is a Kabyle“. In nominal sentences, the subject, too, is in status absolutus. Lexicon Above all in the area of basic lexicon, the Berber languages are very similar. However, especially the household-related vocabulary in sedentary tribes is different from the one found in nomadic ones: whereas Tahaggart has only two or three designations for species of palm tree, other languages may have as many as 200 similar words. In contrast, Tahaggart has a rich vocabulary for the description of camels. Above all the northern Berber languages have replaced a great part of the inherited vocabulary with Arabic loans. On the one hand, the words and expressions connected to Islam were borrowed, e.g. Shilha bismillah “in the name of Allah“ < Classical Arabic bi-smi-llāhi, Tuareg ta-mejjīda “mosque“ (Arabic masjid); on the other, Berber adopted cultural concepts such as Kabyle ssuq “market“ from Arabic as-sūq, tamdint “town“ < Arabisch madīna. Even expressions such as the Arabic greeting as-salāmu ʿalaikum “Peace be upon you!“ were adopted (Tuareg salāmu ɣlīkum). The Berber languages often have original Berber designations besides the Arabic loans; for instance, both the inherited word ataram and the loan lɣərb (Arabic al-ġarb) coexist in Kabyle. In more recent times, European languages have also had some influence on Berber, so that words such as “internet“ were adopted in it (Kabyle intərnət). Population The exact population of Berber speakers is hard to ascertain, since most North African countries do not | Amazigh. As the higher status of Modern Standard Arabic grew, so did the relation between the male population and the language, as well as the female population and the lower status language Amazigh. Women became the main carriers of the Amazigh language as the lower-status language in the country. On 17 June 2011 King Mohammed VI announced in a speech of new constitutional reform that "Tamazight" became an official language of Morocco alongside Arabic and will be used in all the administrations in the future. On 30 April 2012 Fatima Chahou, alias Tabaamrant, former singer and member of the Moroccan House of Representatives, became the first person to ask questions and discuss the minister's answer in Tamazight inside the Parliament of Morocco. Algeria recognized Berber as a "national language" in 2002, though not as an official one. However, on 7 February 2016 the Algerian parliament recognised Berber languages as having official status along with Arabic. Although regional councils in Libya's Nafusa Mountains affiliated with the National Transitional Council reportedly use the Berber language of Nafusi and have called for it to be granted co-official status with Arabic in a prospective new constitution, it does not have official status in Libya as in Morocco and Algeria. As areas of Libya south and west of Tripoli such as the Nafusa Mountains were taken from the control of Gaddafi government forces in early summer 2011, Berber workshops and exhibitions sprang up to share and spread the Tamazight culture and language. In Mali and Niger, there are a few schools that teach partially in Tuareg languages. Phonology Although the sound system of the different Berber languages displays basic similarities, the reconstruction of the Proto-Berber sound inventory is made difficult by sound changes that are hard to retrace and a severely bewildering diversity of allophones. One characteristic of the Berber languages, as well as of other Afroasiatic languages, is the presence of pharyngealized consonants. The existence of phonemic gemination, accompanied by fortis articulation, is typically Afroasiatic, too. However, some caution is advised in making such parallels, with the influence of Arabic on Berber languages. As such, the phonemes //, and , three typically Afroasiatic consonants, were borrowed from Arabic and can't be reconstructed for Proto-Berber. Most consonant phonemes could also occur as geminates, and the place and manner of articulation of the geminate allophone partially diverged. For example, ‘’qq’’ was the geminated version of γ. The following consonant phonemes are postulated for Proto-Berber by Maarten Kossmann (in Kossmann's transcription): Most northern Berber languages have the four vowels a, i, u and ə, but the last one has partially sub-phonemic status, since it is predictable based on the syllable structure in certain languages. Vowel length and stress are generally not phonemic. Tuareg and Ghadames, however, have both the long vowels a, i, u, e, o and the short vowels ə and ă (also transcribed as ä/æ). For Proto-Berber, the short vowels /a/, /i/, /u/ and the long vowels /aa/, /ii/, /uu/, /ee/ are reconstructed, whereas /oo/ probably was not in the protolanguage. Concerning syllable structures, Tuareg permits almost only V, VC, CV, CVC, but many northern dialects may have more complex consonant clusters as well. The accent is so far under-researched, as the only detailed analysis is the one offered by Heath 2005 for Tuareg. Morphology The morphology of Berber is fusional, which is reflected especially in the frequent use of apophony. The base is the root, which consists of a sequence of mostly three, less frequently one, two or four consonants. It contains exclusively lexical information, whereas grammatical information is provided to a significant degree by their vocalisation. Nominal morphology The Berber noun distinguishes a masculine and a feminine grammatical gender and the grammatical numbers singular and plural. Similarly to the case system of other languages, the Berber noun has two so-called statuses: Status absolutus and Status annexus. These are sometimes also called 'accusative case' (or 'absolutive case') and 'nominative case' respectively. Number, gender and status are marked in most nouns by prefixes, which have the following forms in Kabyle: Status absolutus is used as a citation form and extracted topic, as well as a direct object, somewhat similarly to the absolutive case of other languages. Status annexus is used as the subject of a verbal clause and as the object of a preposition (for more information see the section on syntax). This type of system is sometimes also referred to as a marked nominative system. It is present in most Berber languages, although some peripheral varieties (Eastern Berber, Western Berber, some Zenati languages) have recently lost the nominative and thereby the status distinction. Attributive relations between noun phrases are expressed with the preposition ‘’n’’ (Kabyle:) afus n wə-rgaz “the hand of the man “. N is often used with personal pronouns as well: akal-n-sən “your land“. The feminine can be additionally marked by a suffix ’t: Shilha a-ɣyul “donkey“ – ta-ɣyul-t “she-donkey“. Plural forms have additional possibilities of expression. Besides the suffix -ăn/-ən (Kabyle a-rgaz “man“ – i-rgaz-ən “men“), apophony plays a role as well. The last vowel of a word is changed to a, the first one sometimes to u (Kabyle a-ɣɣul “donkey“ (singular) – i-ɣɣal “donkey“ (Plural)). Pronominal morphology The personal pronouns of Berber can be divided into two main groups: free forms and clitics, the latter being further classified according to their syntactic function. The following example forms are taken from Tahaggart, a dialect of Tuareg. Especially the plural of the absolutive pronouns can be very different in the other languages: Absolutive pronouns are used emphatically and occur especially clause-initially. The object pronouns appear as clitics in verbal complexes (see below). Besides objects (e.g. Kabyle: iuɣa-t "he brought him"), they can express the subjects of existential predicates (Kabyle: hat-t "he is here") and of some predicative adjectives like 'be good' and 'be bad' (Kabyle: d ir-it wəɣru-agi, "this bread is bad"). This, along with the use of nouns in the absolutive status in the same constructions (Tamazight: hak argaz "here is the man"), has been described by some linguists as an element of Split-S alignment and is found in all Berber languages except for the isolated Eastern Berber. The “prepositional“ pronouns are suffixed to prepositions as their objects: ɣur-i “with me“. They can occur with certain restrictions as suffixed possessive pronouns, for example Tuareg ma-s “his/her mother“, Kabyle aḫḫam-is “his/her house“. However, they are mostly connected – just like nouns – by means of the preposition n, cf. Kabyle akal-n-sən “their land“. Verbal morphology Stem formation From the verbal root, which consists mostly of two or three consonants, different stems can be derived, on the one hand, for the purposes of conjugation, and on the other for derivation. Most Berber languages have four stems, which express different aspects: aorist intensive aorist (has frequentative and durative meaning) perfect negative perfect (negated form of the perfect) In different dialects of Tuareg, there are more stems, whose number varies between the dialects. The following two stems are present in all forms of Tuareg: resultative perfect (expresses the results of a past action) negative intensive aorist (negated form of the intensive aorist) The stems are formed mostly by apophony only, as shown by the following examples from Shawiya: In certain verbs, vowel alternation occurs within the same aspect: ufi-ɣ “I found“ beside y-ufa “he found“. Apart from that, the Berber languages have a system of verbal derivation inherited from the Proto-Afroasiatic, mostly operating with affixes (examples from Tuareg): Conjugation The conjugation of the verb takes place principally via personal prefixes, partly supplemented by suffixes. The personal affixes are identical for all verb stems - the aspects are distinguished exclusively by the verb stem. The conjugation of the aorist stem of əkkəs “remove“ in Tuareg is as follows: In Kabyle and Tuareg, the perfect of verbs that express a quality is conjugated with suffixes: By means of pre- or postverbal clitics, more temporal or modal differences can be expressed (examples from Shilha): Present with ar: ur-ar-yaf non-present-he finds “he doesn’t find“ Perfect with əlli: ríɣ-əlli “I wanted“ The imperative corresponds in singular to the verbal stem of the aorist and therefore functions as the citation form of the verb: əkkəs “remove“ (Tuareg). Besides, an imperative of the intensive stem can be formed. In the plural, the imperative contains an affix, which agrees with the gender of the addressee: əkkəs-ăt “remove“ (masculine), əkkəs-măt “remove“ (feminine). Active participles can be formed from several aspect stems and partly inflect in number and gender. This is mostly achieved as the conjugational form of the corresponding of the third person is provided with suffixes; in Tuareg, additional apophonic markers occur. The participles are used in relative clauses, whose subject is identical to the external antecedent: Kabyle ikšəm wərgaz “the man has entered“ (normal verb clause) > argaz ikšəm-ən “the man that has entered“ (relative clause). Deverbal nouns Deverbal nouns can be formed by the superimposition of a series vowel on the consonant root, as shown by the following examples from Tuareg: əddăh “pound“ – t-idhăw-t “pounding“ əggəš “enter“ – ugəš “entering“ sarad “wash“ − asirəd “washing“ ibhaw “be grey“ − abhaw “grey“ durhən “to desire“ − derhan “a desire“ Prefixes can also participate in the formation of deverbal nouns. The prefix am-, em- occurs very often with that function: em-ăsăww “drinker; source“ – əsəw “to drink“ am-idi “friend“ – idaw “accompany“ em-ăls “clothing“ − əls “wear (clothing)“ Numerals Modern northern Berber languages use mostly numerals borrowed from Arabic, whereas the originally Berber forms are being replaced. In Shilha, they are as follows: They agree in gender with their antecedent; the feminine forms are derived with the suffix -t: ya-t “one (fem.)“, sn-at “two (fem.)“, smmus-t “five (fem.)“. There are deviations from that system in different Berber languages; the most important one is the system based on the numeral “five“ of e.g. Nafusi: ufəs “hand; five“, ufəs d sən “a hand and two“ = “seven“, okkos n ifəssən “four hands“ = “twenty“. Syntax Verbal clause Word order Clauses whose predicate is a finite verb form usually have the word order Verb – Subject – Object (VSO): All constituents besides the predicate can be placed in the beginning of the sentence as topics; in such cases, they are represented in the sentence through resumptive pronouns. In thematised position, nouns are in status absolutus and personal pronouns are in the absolutive form: Verbal clitics Before or after the conjugated verb, a chain of several clitics can occur. The following morphemes can occur in it: Negation particle wăr, wər, ur (depending on the language) different aspectual or modal particles such as ad, a (depending on the language) Object pronouns in the order indirect object pronouns – direct object pronouns Distance morphemes The directional morphemes d and n represent a special feature of Berber. Whereas d expresses proximity or direction towards the speaker (ventive), n stands for distance or movement away from the speaker. Examples of verbal complexes from Tuareg: Nominal sentence Noun and prepositional phrases can form the predicate of a clause in the Berber languages, e.g. (Tamazight) ism-ns Muha “his name is Muha“, (Kabyle) ɣur-i lbhaim “with me is livestock“ = “I have livestock“. In certain dialects, however, the use of the copula d is obligatory: Kabyle ntta d aqbaili. “He is a Kabyle“. In nominal sentences, the subject, too, is in status absolutus. Lexicon Above all in the area of basic lexicon, the Berber languages are very similar. However, especially the household-related vocabulary in sedentary tribes is different from the one found in nomadic ones: whereas Tahaggart has only two or three designations for species of palm tree, other languages may have as many as 200 similar words. In contrast, Tahaggart has a rich vocabulary for the description of camels. Above all the northern Berber languages have replaced a great part of the inherited vocabulary with Arabic loans. On the one hand, the words and expressions connected to Islam were borrowed, e.g. Shilha bismillah “in the name of Allah“ < Classical Arabic bi-smi-llāhi, Tuareg ta-mejjīda “mosque“ (Arabic masjid); on the other, Berber adopted cultural concepts such as Kabyle ssuq “market“ from Arabic as-sūq, tamdint “town“ < Arabisch madīna. Even expressions such as the Arabic greeting as-salāmu ʿalaikum “Peace be upon you!“ were adopted (Tuareg salāmu ɣlīkum). The Berber languages often have original Berber designations besides the Arabic loans; for instance, both the inherited word ataram and the loan lɣərb (Arabic al-ġarb) coexist in Kabyle. In more recent times, European languages have also had some influence on Berber, so that words such as “internet“ were adopted in it (Kabyle intərnət). Population The exact population of Berber speakers is hard to ascertain, since most North African countries do not record language data in their censuses. Ethnologue provides a useful academic starting point; however, its bibliographic references are very inadequate, and it rates its own accuracy at only B-C for the area. Early colonial censuses may provide better documented figures for some countries; however, these are also very much out of date. Few census figures are available; all countries (Algeria and Morocco included) do not count Berber languages. The 1972 Niger census reported Tuareg, with other languages, at 127,000 speakers. Population shifts in location and number, effects of urbanization and education in other languages, etc., make estimates difficult. In 1952, André Basset (LLB.4) estimated the number of Berberophones at 5,500,000. Between 1968 and 1978 estimates ranged from eight to thirteen million (as reported by Galand, LELB 56, pp. 107, 123–25); Voegelin and Voegelin (1977, p. 297) call eight million a conservative estimate. In 2006, Salem Chaker estimated that the Berberophone populations of Kabylie and the three Moroccan groups numbered more than one million each; and that in Algeria, 9,650,000, or one out of five Algerians, speak a Berber language (Chaker 1984, pp. 8–9). Morocco: In 1960, the first census after Moroccan independence was held. It claimed that 32 percent of Moroccans spoke Berber, including bi-, tri- and quadrilingual people. A 2007 estimate put the number of Amazigh speakers in Morocco at 7.5 million. Ethnologue also put the Berber-speaking population at roughly 7.5 million, divided into three main dialects. Riffian: 1.3 million Shilha: 3.9 million Central Atlas Tamazight: 2.3 million A survey included in the official Moroccan census of 2004 and published by several Moroccan newspapers gave the following figures: 34 percent of people in rural regions were first language Berber speakers and 21 percent in urban zones were; the national average was be 28.4 percent or 8.52 million. The division of Moroccan Berber languages into three groups, as used by Ethnologue, is common in linguistic publications, but is significantly complicated by the presence of local differences: Shilha is subdivided into Shilha of the Draa River valley, Tasusit (the language of the Souss) and several other mountain languages. Moreover, linguistic boundaries are blurred, such that certain languages cannot accurately be described as either Central Morocco Tamazight (spoken in the central and eastern Atlas area) or Shilha. Algeria: In 1906, the total population speaking Berber languages in Algeria (excluding the thinly populated Sahara region) was estimated at 1,305,730 out of 4,447,149, i.e. 29 percent. (Doutté & Gautier, Enquête sur la dispersion de la langue berbère en Algérie, faite par l'ordre de M. le Gouverneur Général, Alger 1913.) The 1911 census, however, found 1,084,702 speakers out of 4,740,526, i.e. 23 percent; Doutté & Gautier suggest that this was the result of a serious undercounting of Shawiya in areas of widespread bilingualism. A trend was noted for Berber groups surrounded by Arabic (as in the city of Blida) to adopt Arabic, while Arabic speakers surrounded by Berber (as in Sikh ou Meddour near the city of Tizi Ouzou) tended to adopt Berber. In 1952, André Basset estimated that about a third of Algeria's population spoke Berber. According to historian Charles-Robert Ageron in 1886, Algeria had around 1.2 million Berber speakers and 1.1 million Arab speakers. The Algerian census of 1966 found 2,297,997 out of 12,096,347 Algerians, or 19 percent, to speak "Berber". In 1980, Salem Chaker estimated that "in Algeria, 3,650,000, or one out of five Algerians, speak a Berber language" (Chaker 1984, pp. 8–9). According to Ethnologue, more recent estimates include 14 percent (corresponding to the total figures it gives for each Berber language added together, 4 million) and (by deduction from its Algerian Arabic figures) 29 percent (Hunter 1996). Most of these are accounted for by three languages (percentages based on historical population data from appropriate dates): Kabyle: 2,540,000 or 9 percent (Ethnologue, 1995); 6,000,000 or 20 percent (Ethnologue, 1998). Mainly in Algiers, Béjaïa, Tizi Ouzou, Bouïra, Sétif and Boumerdès. Shawiya: ~2 million or 8.5 percent of the population as of 2005. Mainly in Batna, Khenchela, Sétif, Souk Ahras, Oum El Bouaghi and Tébessa. Shenwa: 56,300 speakers according to an estimate, in the Dahra Range region, more |
proceedings in relation to the credit company. Insolvency Provisions Act, credit organizations used in conjunction with the provisions of the Bankruptcy Act. Bankruptcy law provides for the following stages of insolvency proceedings: Monitoring procedure or Supervision (nablyudeniye); The economic recovery (finansovoe ozdorovleniye); External control (vneshneye upravleniye); Liquidation (konkursnoye proizvodstvo) and Amicable Agreement (mirovoye soglasheniye). The main face of the bankruptcy process is the insolvency officer (trustee in bankruptcy, bankruptcy manager). At various stages of bankruptcy, he must be determined: the temporary officer in Monitoring procedure, external manager in External control, the receiver or administrative officer in The economic recovery, the liquidator. During the bankruptcy trustee in bankruptcy (insolvency officer) has a decisive influence on the movement of assets (property) of the debtor - the debtor and has a key influence on the economic and legal aspects of its operations. South Africa Switzerland Under Swiss law, bankruptcy can be a consequence of insolvency. It is a court-ordered form of debt enforcement proceedings that applies, in general, to registered commercial entities only. In a bankruptcy, all assets of the debtor are liquidated under the administration of the creditors, although the law provides for debt restructuring options similar to those under Chapter 11 of the U.S. Bankruptcy code. Sweden In Sweden, bankruptcy (Swedish: konkurs) is a formal process that may involve a company or individual. It is not the same as insolvency, which is inability to pay debts that should have been paid. A creditor or the company itself can apply for bankruptcy. An external bankruptcy manager takes over the company or the assets of the person, and tries to sell as much as possible. A person or a company in bankruptcy can not access its assets (with some exceptions). The formal bankruptcy process is rarely carried out for individuals. Creditors can claim money through the Enforcement Administration anyway, and creditors do not usually benefit from the bankruptcy of individuals because there are costs of a bankruptcy manager which has priority. Unpaid debts remain after bankruptcy for individuals. People who are deeply in debt can obtain a debt arrangement procedure (Swedish: skuldsanering). On application, they obtain a payment plan under which they pay as much as they can for five years, and then all remaining debts are cancelled. Debts that derive from a ban on business operations (issued by court, commonly for tax fraud or fraudulent business practices) or owed to a crime victim as compensation for damages, are exempted from this—and, as before this process was introduced in 2006, remain lifelong. Debts that have not been claimed during a 3-10 year period are cancelled. Often crime victims stop their claims after a few years since criminals often do not have job incomes and might be hard to locate, while banks make sure their claims are not cancelled. The most common reasons for personal insolvency in Sweden are illness, unemployment, divorce or company bankruptcy. For companies, formal bankruptcy is a normal effect of insolvency, even if there is a reconstruction mechanism where the company can be given time to solve its situation, e.g. by finding an investor. The formal bankruptcy involves contracting a bankruptcy manager, who makes certain that assets are sold and money divided by the priority the law claims, and no other way. Banks have such a priority. After a finished bankruptcy for a company, it is terminated. The activities might continue in a new company which has bought important assets from the bankrupted company. United Arab Emirates The United Arab Emirates Bankruptcy Law came into force on 29 December 2016, and created a single law governing bankruptcy procedures, which had previously been spread across multiple sources. There are two court procedures: first, a procedure for a company that is not yet insolvent, known as a protective composition, and second, a formal bankruptcy that is split into a rescue process (similar to protective composition) or liquidation. Directors of a company can be held personally liable for its debts. The Bankruptcy Law does not apply to government bodies, or to companies trading in free zones such as the Dubai International Financial Centre or the Abu Dhabi Global Market, which have their own insolvency laws. United Kingdom Bankruptcy in the United Kingdom (in a strict legal sense) relates only to individuals (including sole proprietors) and partnerships. Companies and other corporations enter into differently named legal insolvency procedures: liquidation and administration (administration order and administrative receivership). However, the term 'bankruptcy' is often used when referring to companies in the media and in general conversation. Bankruptcy in Scotland is referred to as sequestration. To apply for bankruptcy in Scotland, an individual must have more than £1,500 of debt. A trustee in bankruptcy must be either an Official Receiver (a civil servant) or a licensed insolvency practitioner. Current law in England and Wales derives in large part from the Insolvency Act 1986. Following the introduction of the Enterprise Act 2002, a UK bankruptcy now normally last no longer than 12 months, and may be less if the Official Receiver files in court a certificate that investigations are complete. It was expected that the UK Government's liberalization of the UK bankruptcy regime would increase the number of bankruptcy cases; initially, cases increased, as the Insolvency Service statistics appear to bear out. Since 2009, the introduction of the Debt Relief Order has resulted in a dramatic fall in bankruptcies, the latest estimates for year 2014/15 being significantly less than 30,000 cases. Pensions The UK bankruptcy law was changed in May 2000, effective May 29, 2000. Debtors may now retain occupational pensions while in bankruptcy, except in rare cases. Proposed reform The Government have updated legislation (2016) to streamline the application process for UK bankruptcy. UK residents now need to apply online for bankruptcy - there is an upfront fee of £680. The process for residents of Northern Ireland differs - applicants must follow the older process of applying through the courts. United States Bankruptcy in the United States is a matter placed under federal jurisdiction by the United States Constitution (in Article 1, Section 8, Clause 4), which empowers Congress to enact "uniform Laws on the subject of Bankruptcies throughout the United States". Congress has enacted statutes governing bankruptcy, primarily in the form of the Bankruptcy Code, located at Title 11 of the United States Code. A debtor declares bankruptcy to obtain relief from debt, and this is normally accomplished either through a discharge of the debt or through a restructuring of the debt. When a debtor files a voluntary petition, their bankruptcy case commences. Debts and exemptions While bankruptcy cases are always filed in United States Bankruptcy Court (an adjunct to the U.S. District Courts), bankruptcy cases, particularly with respect to the validity of claims and exemptions, are often dependent upon State law. A Bankruptcy Exemption defines the property a debtor may retain and preserve through bankruptcy. Certain real and personal property can be exempted on "Schedule C" of a debtor's bankruptcy forms, and effectively be taken outside the debtor's bankruptcy estate. Bankruptcy exemptions are available only to individuals filing bankruptcy. There are two alternative systems that can be used to "exempt" property from a bankruptcy estate, federal exemptions (available in some states but not all), and state exemptions (which vary widely between states). For example, Maryland and Virginia, which are adjoining states, have different personal exemption amounts that cannot be seized for payment of debts. This amount is the first $6,000 in property or cash in Maryland, but normally only the first $5,000 in Virginia. State law therefore plays a major role in many bankruptcy cases, such that there may be significant differences in the outcome of a bankruptcy case depending upon the state in which it is filed. After a bankruptcy petition is filed, the court schedules a hearing called a 341 meeting or meeting of creditors, at which the bankruptcy trustee and creditors review the petitioner's petition and supporting schedules, question the petitioner, and can challenge exemptions they believe are improper. Chapters There are six types of bankruptcy under the Bankruptcy Code, located at Title 11 of the United States Code: Chapter 7: basic liquidation for individuals and businesses; also known as straight bankruptcy; it is the simplest and quickest form of bankruptcy available Chapter 9: municipal bankruptcy; a federal mechanism for the resolution of municipal debts Chapter 11: rehabilitation or reorganization, used primarily by business debtors but sometimes by individuals with substantial debts and assets; known as corporate bankruptcy, it is a form of corporate financial reorganization that typically allows companies to continue to function while they follow debt repayment plans Chapter 12: rehabilitation for family farmers and fishermen; Chapter 13: rehabilitation with a payment plan for individuals with a regular source of income; enables individuals with regular income to develop a plan to repay all or part of their debts; also known as Wage Earner Bankruptcy Chapter 15: ancillary and other international cases; provides a mechanism for dealing with bankruptcy debtors and helps foreign debtors clear debts An important feature applicable to all types of bankruptcy filings is the automatic stay. The automatic stay means that the mere request for bankruptcy protection automatically halts most lawsuits, repossessions, foreclosures, evictions, garnishments, attachments, utility shut-offs, and debt collection activity. The most common types of personal bankruptcy for individuals are Chapter 7 and Chapter 13. Chapter 7, known as a "straight bankruptcy", involves the discharge of certain debts without repayment. Chapter 13 involves a plan of repayment of debts over a period of years. Whether a person qualifies for Chapter 7 or Chapter 13 is in part determined by income. As many as 65% of all US consumer bankruptcy filings are Chapter 7 cases. Before a consumer may obtain bankruptcy relief under either Chapter 7 or Chapter 13, the debtor is to undertake credit counseling with approved counseling agencies prior to filing a bankruptcy petition and to undertake education in personal financial management from approved agencies prior to being granted a discharge of debts under either Chapter 7 or Chapter 13. Some studies of the operation of the credit counseling requirement suggest that it provides little benefit to debtors who receive the counseling because the only realistic option for many is to seek relief under the Bankruptcy Code. Corporations and other business forms normally file under Chapters 7 or 11. Chapter 7 Often called "straight bankruptcy" or "simple bankruptcy", a Chapter 7 bankruptcy potentially allows debtors to eliminate most or all of their debts over a period of as little as three or four months. In a typical consumer bankruptcy, the only debts that survive a Chapter 7 are student loans, child support obligations, some tax bills, and criminal fines. Credit cards, pay day loans, personal loans, medical bills, and just about all other bills are discharged. In Chapter 7, a debtor surrenders non-exempt property to a bankruptcy trustee, who then liquidates the property and distributes the proceeds to the debtor's unsecured creditors. In exchange, the debtor is entitled to a discharge of some debt. However, the debtor is not granted a discharge if guilty of certain types of inappropriate behavior (e.g., concealing records relating to financial condition) and certain debts (e.g., spousal and child support and most student loans). Some taxes are not discharged even though the debtor is generally discharged from debt. Many individuals in financial distress own only exempt property (e.g., clothes, household goods, an older car, or the tools of their trade or profession) and do not have to surrender any property to the trustee. The amount of property that a debtor may exempt varies from state to state (as noted above, Virginia and Maryland have a $1,000 difference.) Chapter 7 relief is available only once in any eight-year period. Generally, the rights of secured creditors to their collateral continues, even though their debt is discharged. For example, absent some arrangement by a debtor to surrender a car or "reaffirm" a debt, the creditor with a security interest in the debtor's car may repossess the car even if the debt to the creditor is discharged. Ninety-one percent of US individuals who petition for relief under Chapter 7 hire an attorney to file their petitions. The typical cost of an attorney is $1,170.00. Alternatives to filing with an attorney are: filing pro se, hiring a non-lawyer petition preparer, or using online software to generate the petition. To be eligible to file a consumer bankruptcy under Chapter 7, a debtor must qualify under a statutory "means test". The means test was intended to make it more difficult for a significant number of financially distressed individual debtors whose debts are primarily consumer debts to qualify for relief under Chapter 7 of the Bankruptcy Code. The "means test" is employed in cases where an individual with primarily consumer debts has more than the average annual income for a household of equivalent size, computed over a 180-day period prior to filing. If the individual must "take" the "means test", their average monthly income over this 180-day period is reduced by a series of allowances for living expenses and secured debt payments in a very complex calculation that may or may not accurately reflect that individual's actual monthly budget. If the results of the means test show no disposable income (or in some cases a very small amount) then the individual qualifies for Chapter 7 relief. An individual who fails the means test will have their Chapter 7 case dismissed, or may have to convert the case to a Chapter 13 bankruptcy. If a debtor does not qualify for relief under Chapter 7 of the Bankruptcy Code, either because of the Means Test or because Chapter 7 does not provide a permanent solution to delinquent payments for secured debts, such as mortgages or vehicle loans, the debtor may still seek relief under Chapter 13 of the Code. Generally, a trustee sells most of the debtor's assets to pay off creditors. However, certain debtor assets will be protected to some extent by bankruptcy exemptions. These include Social Security payments, unemployment compensation, limited equity in a home, car, or truck, household goods and appliances, trade tools, and books. However, these exemptions vary from state to state. Chapter 11 In Chapter 11 bankruptcy, the debtor retains ownership and control of assets and is re-termed a debtor in possession (DIP). The debtor in possession runs the day-to-day operations of the business while creditors and the debtor work with the Bankruptcy Court in order to negotiate and complete a plan. Upon meeting certain requirements (e.g., fairness among creditors, priority of certain creditors) creditors are permitted to vote on the proposed plan. If a plan is confirmed, the debtor continues to operate and pay debts under the terms of the confirmed plan. If a specified majority of creditors do not vote to confirm a plan, additional requirements may be imposed by the court in order to confirm the plan. Debtors filing for Chapter 11 protection a second time are known informally as "Chapter 22" filers. In a corporate or business bankruptcy, an indebted company is typically recapitalized so that it emerges from bankruptcy with more equity and less debt, with potential for dispute over the valuation of the reorganized business. Chapter 13 In Chapter 13, debtors retain ownership and possession of all their assets but must devote some portion of future income to repaying creditors, generally over three to five years. The amount of payment and period of the repayment plan depend upon a variety of factors, including the value of the debtor's property and the amount of a debtor's income and expenses. Under this chapter, the debtor can propose a repayment plan in which to pay creditors over three to five years. If the monthly income is less than the state's median income, the plan is for three years, unless the court finds "just cause" to extend the plan for a longer period. If the debtor's monthly income is greater than the median income for individuals in the debtor's state, the plan must generally be for five years. A plan cannot exceed the five-year limit. Relief under Chapter 13 is available only to individuals with regular income whose debts do not exceed prescribed limits. If the debtor is an individual or a sole proprietor, the debtor is allowed to file for a Chapter 13 bankruptcy to repay all or part of the debts. Secured creditors may be entitled to greater payment than unsecured creditors. In contrast to Chapter 7, the debtor in Chapter 13 may keep all property, whether or not exempt. If the plan appears feasible and if the debtor complies with all the other requirements, the bankruptcy court typically confirms the plan and the debtor and creditors are bound by its terms. Creditors have no say in the formulation of the plan, other than to object to it, if appropriate, on the grounds that it does not comply with one of the Code's statutory requirements. Generally, the debtor makes payments to a trustee who disburses the funds in accordance with the terms of the confirmed plan. When the debtor completes payments pursuant to the terms of the plan, the court formally grant the debtor a discharge of the debts provided for in the plan. However, if the debtor fails to make the agreed upon payments or fails to seek or gain court approval of a modified plan, a bankruptcy court will normally dismiss the case on the motion of the trustee. After a dismissal, creditors may resume pursuit of state law remedies to recover the unpaid debt. Europe In 2004, the number of insolvencies reached record highs in many European countries. In France, company insolvencies rose by more than 4%, in Austria by more than 10%, and in Greece by more than 20%. The increase in the number of insolvencies, however, does not indicate the total financial impact of insolvencies in each country because there is no indication of the size of each case. An increase in the number of bankruptcy cases does not necessarily entail an increase in bad debt write-off rates for the economy as a whole. Bankruptcy statistics are also a trailing indicator. There is | an independent third party who monitors the individual's ongoing business and decides about financial matters during the period of the schuldsanering. The individual can travel out of the country freely after the judge's decision on the case. Russia Federal Law No. 127-FZ "On Insolvency (Bankruptcy)" dated 26 October 2002 (as amended) (the "Bankruptcy Act"), replacing the previous law in 1998, to better address the above problems and a broader failure of the action. Russian insolvency law is intended for a wide range of borrowers: individuals and companies of all sizes, with the exception of state-owned enterprises, government agencies, political parties and religious organizations. There are also special rules for insurance companies, professional participants of the securities market, agricultural organizations and other special laws for financial institutions and companies in the natural monopolies in the energy industry. Federal Law No. 40-FZ "On Insolvency (Bankruptcy)" dated 25 February 1999 (as amended) (the "Insolvency Law of Credit Institutions") contains special provisions in relation to the opening of insolvency proceedings in relation to the credit company. Insolvency Provisions Act, credit organizations used in conjunction with the provisions of the Bankruptcy Act. Bankruptcy law provides for the following stages of insolvency proceedings: Monitoring procedure or Supervision (nablyudeniye); The economic recovery (finansovoe ozdorovleniye); External control (vneshneye upravleniye); Liquidation (konkursnoye proizvodstvo) and Amicable Agreement (mirovoye soglasheniye). The main face of the bankruptcy process is the insolvency officer (trustee in bankruptcy, bankruptcy manager). At various stages of bankruptcy, he must be determined: the temporary officer in Monitoring procedure, external manager in External control, the receiver or administrative officer in The economic recovery, the liquidator. During the bankruptcy trustee in bankruptcy (insolvency officer) has a decisive influence on the movement of assets (property) of the debtor - the debtor and has a key influence on the economic and legal aspects of its operations. South Africa Switzerland Under Swiss law, bankruptcy can be a consequence of insolvency. It is a court-ordered form of debt enforcement proceedings that applies, in general, to registered commercial entities only. In a bankruptcy, all assets of the debtor are liquidated under the administration of the creditors, although the law provides for debt restructuring options similar to those under Chapter 11 of the U.S. Bankruptcy code. Sweden In Sweden, bankruptcy (Swedish: konkurs) is a formal process that may involve a company or individual. It is not the same as insolvency, which is inability to pay debts that should have been paid. A creditor or the company itself can apply for bankruptcy. An external bankruptcy manager takes over the company or the assets of the person, and tries to sell as much as possible. A person or a company in bankruptcy can not access its assets (with some exceptions). The formal bankruptcy process is rarely carried out for individuals. Creditors can claim money through the Enforcement Administration anyway, and creditors do not usually benefit from the bankruptcy of individuals because there are costs of a bankruptcy manager which has priority. Unpaid debts remain after bankruptcy for individuals. People who are deeply in debt can obtain a debt arrangement procedure (Swedish: skuldsanering). On application, they obtain a payment plan under which they pay as much as they can for five years, and then all remaining debts are cancelled. Debts that derive from a ban on business operations (issued by court, commonly for tax fraud or fraudulent business practices) or owed to a crime victim as compensation for damages, are exempted from this—and, as before this process was introduced in 2006, remain lifelong. Debts that have not been claimed during a 3-10 year period are cancelled. Often crime victims stop their claims after a few years since criminals often do not have job incomes and might be hard to locate, while banks make sure their claims are not cancelled. The most common reasons for personal insolvency in Sweden are illness, unemployment, divorce or company bankruptcy. For companies, formal bankruptcy is a normal effect of insolvency, even if there is a reconstruction mechanism where the company can be given time to solve its situation, e.g. by finding an investor. The formal bankruptcy involves contracting a bankruptcy manager, who makes certain that assets are sold and money divided by the priority the law claims, and no other way. Banks have such a priority. After a finished bankruptcy for a company, it is terminated. The activities might continue in a new company which has bought important assets from the bankrupted company. United Arab Emirates The United Arab Emirates Bankruptcy Law came into force on 29 December 2016, and created a single law governing bankruptcy procedures, which had previously been spread across multiple sources. There are two court procedures: first, a procedure for a company that is not yet insolvent, known as a protective composition, and second, a formal bankruptcy that is split into a rescue process (similar to protective composition) or liquidation. Directors of a company can be held personally liable for its debts. The Bankruptcy Law does not apply to government bodies, or to companies trading in free zones such as the Dubai International Financial Centre or the Abu Dhabi Global Market, which have their own insolvency laws. United Kingdom Bankruptcy in the United Kingdom (in a strict legal sense) relates only to individuals (including sole proprietors) and partnerships. Companies and other corporations enter into differently named legal insolvency procedures: liquidation and administration (administration order and administrative receivership). However, the term 'bankruptcy' is often used when referring to companies in the media and in general conversation. Bankruptcy in Scotland is referred to as sequestration. To apply for bankruptcy in Scotland, an individual must have more than £1,500 of debt. A trustee in bankruptcy must be either an Official Receiver (a civil servant) or a licensed insolvency practitioner. Current law in England and Wales derives in large part from the Insolvency Act 1986. Following the introduction of the Enterprise Act 2002, a UK bankruptcy now normally last no longer than 12 months, and may be less if the Official Receiver files in court a certificate that investigations are complete. It was expected that the UK Government's liberalization of the UK bankruptcy regime would increase the number of bankruptcy cases; initially, cases increased, as the Insolvency Service statistics appear to bear out. Since 2009, the introduction of the Debt Relief Order has resulted in a dramatic fall in bankruptcies, the latest estimates for year 2014/15 being significantly less than 30,000 cases. Pensions The UK bankruptcy law was changed in May 2000, effective May 29, 2000. Debtors may now retain occupational pensions while in bankruptcy, except in rare cases. Proposed reform The Government have updated legislation (2016) to streamline the application process for UK bankruptcy. UK residents now need to apply online for bankruptcy - there is an upfront fee of £680. The process for residents of Northern Ireland differs - applicants must follow the older process of applying through the courts. United States Bankruptcy in the United States is a matter placed under federal jurisdiction by the United States Constitution (in Article 1, Section 8, Clause 4), which empowers Congress to enact "uniform Laws on the subject of Bankruptcies throughout the United States". Congress has enacted statutes governing bankruptcy, primarily in the form of the Bankruptcy Code, located at Title 11 of the United States Code. A debtor declares bankruptcy to obtain relief from debt, and this is normally accomplished either through a discharge of the debt or through a restructuring of the debt. When a debtor files a voluntary petition, their bankruptcy case commences. Debts and exemptions While bankruptcy cases are always filed in United States Bankruptcy Court (an adjunct to the U.S. District Courts), bankruptcy cases, particularly with respect to the validity of claims and exemptions, are often dependent upon State law. A Bankruptcy Exemption defines the property a debtor may retain and preserve through bankruptcy. Certain real and personal property can be exempted on "Schedule C" of a debtor's bankruptcy forms, and effectively be taken outside the debtor's bankruptcy estate. Bankruptcy exemptions are available only to individuals filing bankruptcy. There are two alternative systems that can be used to "exempt" property from a bankruptcy estate, federal exemptions (available in some states but not all), and state exemptions (which vary widely between states). For example, Maryland and Virginia, which are adjoining states, have different personal exemption amounts that cannot be seized for payment of debts. This amount is the first $6,000 in property or cash in Maryland, but normally only the first $5,000 in Virginia. State law therefore plays a major role in many bankruptcy cases, such that there may be significant differences in the outcome of a bankruptcy case depending upon the state in which it is filed. After a bankruptcy petition is filed, the court schedules a hearing called a 341 meeting or meeting of creditors, at which the bankruptcy trustee and creditors review the petitioner's petition and supporting schedules, question the petitioner, and can challenge exemptions they believe are improper. Chapters There are six types of bankruptcy under the Bankruptcy Code, located at Title 11 of the United States Code: Chapter 7: basic liquidation for individuals and businesses; also known as straight bankruptcy; it is the simplest and quickest form of bankruptcy available Chapter 9: municipal bankruptcy; a federal mechanism for the resolution of municipal debts Chapter 11: rehabilitation or reorganization, used primarily by business debtors but sometimes by individuals with substantial debts and assets; known as corporate bankruptcy, it is a form of corporate financial reorganization that typically allows companies to continue to function while they follow debt repayment plans Chapter 12: rehabilitation for family farmers and fishermen; Chapter 13: rehabilitation with a payment plan for individuals with a regular source of income; enables individuals with regular income to develop a plan to repay all or part of their debts; also known as Wage Earner Bankruptcy Chapter 15: ancillary and other international cases; provides a mechanism for dealing with bankruptcy debtors and helps foreign debtors clear debts An important feature applicable to all types of bankruptcy filings is the automatic stay. The automatic stay means that the mere request for bankruptcy protection automatically halts most lawsuits, repossessions, foreclosures, evictions, garnishments, attachments, utility shut-offs, and debt collection activity. The most common types of personal bankruptcy for individuals are Chapter 7 and Chapter 13. Chapter 7, known as a "straight bankruptcy", involves the discharge of certain debts without repayment. Chapter 13 involves a plan of repayment of debts over a period of years. Whether a person qualifies for Chapter 7 or Chapter 13 is in part determined by income. As many as 65% of all US consumer bankruptcy filings are Chapter 7 cases. Before a consumer may obtain bankruptcy relief under either Chapter 7 or Chapter 13, the debtor is to undertake credit counseling with approved counseling agencies prior to filing a bankruptcy petition and to undertake education in personal financial management from approved agencies prior to being granted a discharge of debts under either Chapter 7 or Chapter 13. Some studies of the operation of the credit counseling requirement suggest that it provides little benefit to debtors who receive the counseling because the only realistic option for many is to seek relief under the Bankruptcy Code. Corporations and other business forms normally file under Chapters 7 or 11. Chapter 7 Often called "straight bankruptcy" or "simple bankruptcy", a Chapter 7 bankruptcy potentially allows debtors to eliminate most or all of their debts over a period of as little as three or four months. In a typical consumer bankruptcy, the only debts that survive a Chapter 7 are student loans, child support obligations, some tax bills, and criminal fines. Credit cards, pay day loans, personal loans, medical bills, and just about all other bills are discharged. In Chapter 7, a debtor surrenders non-exempt property to a bankruptcy trustee, who then liquidates the property and distributes the proceeds to the debtor's unsecured creditors. In exchange, the debtor is entitled to a discharge of some debt. However, the debtor is not granted a discharge if guilty of certain types of inappropriate behavior (e.g., concealing records relating to financial condition) and certain debts (e.g., spousal and child support and most student loans). Some taxes are not discharged even though the debtor is generally discharged from debt. Many individuals in financial distress own only exempt property (e.g., clothes, household goods, an older car, or the tools of their trade or profession) and do not have to surrender any property to the trustee. The amount of property that a debtor may exempt varies from state to state (as noted above, Virginia and Maryland have a $1,000 difference.) Chapter 7 relief is available only once in any eight-year period. Generally, the rights of secured creditors to their collateral continues, even though their debt is discharged. For example, absent some arrangement by a debtor to surrender a car or "reaffirm" a debt, the creditor with a security interest in the debtor's car may repossess the car even if the debt to the creditor is discharged. Ninety-one percent of US individuals who petition for relief under Chapter 7 hire an attorney to file their petitions. The typical cost of an attorney is $1,170.00. Alternatives to filing with an attorney are: filing pro se, hiring a non-lawyer petition preparer, or using online software to generate the petition. To be eligible to file a consumer bankruptcy under Chapter 7, a debtor must qualify under a statutory "means test". The means test was intended to make it more difficult for a significant number of financially distressed individual debtors whose debts are primarily consumer debts to qualify for relief under Chapter 7 of the Bankruptcy Code. The "means test" is employed in cases where an individual with primarily consumer debts has more than the average annual income for a household of equivalent size, computed over a 180-day period prior to filing. If the individual must "take" the "means test", their average monthly income over this 180-day period is reduced by a series of |
a settlement: Blissymbolic Communication International now claims an exclusive license from Bliss, for the use and publication of Blissymbols for persons with communication, language, and learning difficulties. The Blissymbol method has been used in Canada, Sweden, and a few other countries. Practitioners of Blissymbolics (that is, speech and language therapists and users) maintain that some users who have learned to communicate with Blissymbolics find it easier to learn to read and write traditional orthography in the local spoken language than do users who did not know Blissymbolics. The speech question Unlike similar constructed languages like aUI, Blissymbolics was conceived as a purely visual, speech-less language, on the premise that "interlinguistic communication is mainly carried on by reading and writing". Nevertheless, Bliss suggested that a set of international words could be adopted, so that "a kind of spoken language could be established – as a travelling aid only". (1965, p. 89–90). Whether Blissymbolics constitutes an unspoken language is a controversial question, whatever its practical utility may be. Some linguists, such as John DeFrancis and J. Marshall Unger have argued that genuine ideographic writing systems with the same capacities as natural languages do not exist. Semantics Bliss' concern about semantics finds an early referent in John Locke, whose Essay Concerning Human Understanding prevented people from those "vague and insignificant forms of speech" that may give the impression of being deep learning. Another vital referent is Leibniz’s project of an ideographic language called "universal character", based on the principles of Chinese characters. It would contain small figures representing "visible things by their lines, and the invisible, by the visible which accompany them", as well as adding "certain additional marks, suitable to make understood the flexions and the particles." (1965, p. 569). Bliss stated that his own work was an attempt to take up the thread of Leibniz's project. Finally there is a strong influence by the work The Meaning of Meaning (1923) by C. K. Ogden and I. A. Richards, which was considered a standard work on semantics. Bliss found especially useful their "triangle of reference": the physical thing or "referent" that we perceive would be represented at the right vertex; the meaning that we know by experience (our implicit definition of the thing), at the top vertex; and the physical word that we speak or symbol we write, at the left vertex. The reversed process would happen when we read or listen to words: from the words, we recall meanings, related to referents which may be real things or unreal "fictions". Bliss was particularly concerned with political propaganda, whose discourses would tend to contain words that correspond to unreal or ambiguous referents. Grammar The grammar of Blissymbols is based on a certain interpretation of nature, dividing it into matter (material things), energy (actions), and human values (mental evaluations). In an ordinary language, these would give place respectively to nouns, verbs, and adjectives. In Blissymbols, they are marked respectively by a small square symbol, a small cone symbol, and a small V or inverted cone. These symbols may be placed above any other symbol, turning it respectively into a "thing", an "action", and an "evaluation": When a symbol is not marked by any of the three grammar symbols (square, cone, inverted cone), it may refer to a non-material thing, a grammatical particle, etc. Examples The symbol above represents the expression "world language", which was a first tentative name for Blissymbols. It combines the symbol for "writing tool" or "pen" (a line inclined, as a pen being used) with the symbol for "world", which in its turn combines "ground" or "earth" (a horizontal line below) and its counterpart derivate "sky" (a horizontal line above). Thus the world would be seen as "what is among the ground and the sky", and "Blissymbols" would be seen as "the writing tool to express the world". This is clearly distinct from the symbol of "language", which is a combination of "mouth" and "ear". Thus natural languages are mainly oral, while Blissymbols is just a writing system dealing with semantics, not phonetics. The 900 individual symbols of the system are called "Bliss-characters"; these may be "ideographic" – representing abstract concepts, "pictographic" – a direct representation of objects, or "composite" – in which two or more existing Bliss-characters have been superimposed to represent a | a way that Bliss would later criticize as a "misinterpretation". For example, they might interpret a tomato as a vegetable —according to the English definition of tomato— even though the ideal Blissymbol of vegetable was restricted by Bliss to just vegetables growing underground. Eventually the OCCC staff modified and adapted Bliss's system in order to make it serve as a bridge to English. (2009, p. 189) Bliss' complaints about his symbols "being abused" by the OCCC became so intense that the director of the OCCC told Bliss, on his 1974 visit, never to come back. In spite of this, in 1975 Bliss granted an exclusive world license, for use with disabled children, to the new Blissymbolics Communication Foundation directed by Shirley McNaughton (later called Blissymbolics Communication International, BCI). Nevertheless, in 1977 Bliss claimed that this agreement was violated so that he was deprived of effective control of his symbol system. According to Okrent (2009, p. 190), there was a final period of conflict, as Bliss would make continuous criticisms to McNaughton often followed by apologies. Bliss finally brought his lawyers back to the OCCC, and both parts reached a settlement: Blissymbolic Communication International now claims an exclusive license from Bliss, for the use and publication of Blissymbols for persons with communication, language, and learning difficulties. The Blissymbol method has been used in Canada, Sweden, and a few other countries. Practitioners of Blissymbolics (that is, speech and language therapists and users) maintain that some users who have learned to communicate with Blissymbolics find it easier to learn to read and write traditional orthography in the local spoken language than do users who did not know Blissymbolics. The speech question Unlike similar constructed languages like aUI, Blissymbolics was conceived as a purely visual, speech-less language, on the premise that "interlinguistic communication is mainly carried on by reading and writing". Nevertheless, Bliss suggested that a set of international words could be adopted, so that "a kind of spoken language could be established – as a travelling aid only". (1965, p. 89–90). Whether Blissymbolics constitutes an unspoken language is a controversial question, whatever its practical utility may be. Some linguists, such as John DeFrancis and J. Marshall Unger have argued that genuine ideographic writing systems with the same capacities as natural languages do not exist. Semantics Bliss' concern about semantics finds an early referent in John Locke, whose Essay Concerning Human Understanding prevented people from those "vague and insignificant forms of speech" that may give the impression of being deep learning. Another vital referent is Leibniz’s project of an ideographic language called "universal character", based on the principles of Chinese characters. It would contain small figures representing "visible things by their lines, and the invisible, by the visible which accompany them", as well as adding "certain additional marks, suitable to make understood the flexions and the particles." (1965, p. 569). Bliss stated that his own work was an attempt to take up the thread of Leibniz's project. Finally there is a strong influence by the work The Meaning of Meaning (1923) by C. K. Ogden and I. A. Richards, which was considered a standard work on semantics. Bliss found especially useful their "triangle of reference": the physical thing or "referent" that we perceive would be represented at the right vertex; the meaning that we know by experience (our implicit definition of the thing), at the top vertex; and the physical word that we speak or symbol we write, at the left vertex. The reversed process would happen when we read or listen to words: from the words, we recall meanings, related to referents which may be real things or unreal "fictions". Bliss was particularly concerned with political propaganda, whose discourses would tend to contain words that correspond to unreal or ambiguous referents. Grammar The grammar of Blissymbols is based on a certain interpretation of nature, dividing it into matter (material things), energy (actions), and human values (mental evaluations). In an ordinary language, these would give place respectively to nouns, verbs, and adjectives. In Blissymbols, they are marked respectively by a small square symbol, a small cone symbol, and a small V or inverted cone. These symbols may be placed above any other symbol, turning it respectively into a "thing", an "action", and an "evaluation": When a symbol is not marked by any of the three grammar symbols (square, cone, inverted cone), it may refer to a non-material thing, a grammatical particle, etc. Examples The symbol above represents the expression "world language", which was a first tentative name for Blissymbols. It combines the symbol for |
derived several properties of the function. The definition may be extended to non-integer orders by one of Schläfli's integrals, for : Relation to hypergeometric series The Bessel functions can be expressed in terms of the generalized hypergeometric series as This expression is related to the development of Bessel functions in terms of the Bessel–Clifford function. Relation to Laguerre polynomials In terms of the Laguerre polynomials and arbitrarily chosen parameter , the Bessel function can be expressed as Bessel functions of the second kind: The Bessel functions of the second kind, denoted by , occasionally denoted instead by , are solutions of the Bessel differential equation that have a singularity at the origin () and are multivalued. These are sometimes called Weber functions, as they were introduced by , and also Neumann functions after Carl Neumann. For non-integer , is related to by In the case of integer order , the function is defined by taking the limit as a non-integer tends to : If is a nonnegative integer, we have the series where is the digamma function, the logarithmic derivative of the gamma function. There is also a corresponding integral formula (for ): is necessary as the second linearly independent solution of the Bessel's equation when is an integer. But has more meaning than that. It can be considered as a "natural" partner of . See also the subsection on Hankel functions below. When is an integer, moreover, as was similarly the case for the functions of the first kind, the following relationship is valid: Both and are holomorphic functions of on the complex plane cut along the negative real axis. When is an integer, the Bessel functions are entire functions of . If is held fixed at a non-zero value, then the Bessel functions are entire functions of . The Bessel functions of the second kind when is an integer is an example of the second kind of solution in Fuchs's theorem. Hankel functions: , Another important formulation of the two linearly independent solutions to Bessel's equation are the Hankel functions of the first and second kind, and , defined as where is the imaginary unit. These linear combinations are also known as Bessel functions of the third kind; they are two linearly independent solutions of Bessel's differential equation. They are named after Hermann Hankel. These forms of linear combination satisfy numerous simple-looking properties, like asymptotic formulae or integral representations. Here, "simple" means an appearance of a factor of the form . For real where , are real-valued, the Bessel functions of the first and second kind are the real and imaginary parts, respectively, of the first Hankel function and the real and negative imaginary parts of the second Hankel function. Thus, the above formulae are analogs of Euler's formula, substituting , for and , for , , as explicitly shown in the asymptotic expansion. The Hankel functions are used to express outward- and inward-propagating cylindrical-wave solutions of the cylindrical wave equation, respectively (or vice versa, depending on the sign convention for the frequency). Using the previous relationships, they can be expressed as If is an integer, the limit has to be calculated. The following relationships are valid, whether is an integer or not: In particular, if with a nonnegative integer, the above relations imply directly that These are useful in developing the spherical Bessel functions (see below). The Hankel functions admit the following integral representations for : where the integration limits indicate integration along a contour that can be chosen as follows: from to 0 along the negative real axis, from 0 to along the imaginary axis, and from to along a contour parallel to the real axis. Modified Bessel functions: , The Bessel functions are valid even for complex arguments , and an important special case is that of a purely imaginary argument. In this case, the solutions to the Bessel equation are called the modified Bessel functions (or occasionally the hyperbolic Bessel functions) of the first and second kind and are defined as when is not an integer; when is an integer, then the limit is used. These are chosen to be real-valued for real and positive arguments . The series expansion for is thus similar to that for , but without the alternating factor. can be expressed in terms of Hankel functions: We can express the first and second Bessel functions in terms of the modified Bessel functions (these are valid if ): and are the two linearly independent solutions to the modified Bessel's equation: Unlike the ordinary Bessel functions, which are oscillating as functions of a real argument, and are exponentially growing and decaying functions respectively. Like the ordinary Bessel function , the function goes to zero at for and is finite at for . Analogously, diverges at with the singularity being of logarithmic type for , and otherwise. Two integral formulas for the modified Bessel functions are (for ): Bessel functions can be described as Fourier transforms of powers of quadratic functions. For example: It can be proven by showing equality to the above integral definition for . This is done by integrating a closed curve in the first quadrant of the complex plane. Modified Bessel functions and can be represented in terms of rapidly convergent integrals The modified Bessel function is useful to represent the Laplace distribution as an Exponential-scale mixture of normal distributions. The modified Bessel function of the second kind has also been called by the following names (now rare): Basset function after Alfred Barnard Basset Modified Bessel function of the third kind Modified Hankel function Macdonald function after Hector Munro Macdonald Spherical Bessel functions: , When solving the Helmholtz equation in spherical coordinates by separation of variables, the radial equation has the form The two linearly independent solutions to this equation are called the spherical Bessel functions and , and are related to the ordinary Bessel functions and by is also denoted or ; some authors call these functions the spherical Neumann functions. From the relations to the ordinary Bessel functions it is directly seen that: The spherical Bessel functions can also be written as (Rayleigh's formulas) The zeroth spherical Bessel function is also known as the (unnormalized) sinc function. The first few spherical Bessel functions are: and Generating function The spherical Bessel functions have the generating functions Differential relations In the following, is any of , , , for Spherical Hankel functions: , There are also spherical analogues of the Hankel functions: In fact, there are simple closed-form expressions for the Bessel functions of half-integer order in terms of the standard trigonometric functions, and therefore for the spherical Bessel functions. In particular, for non-negative integers : and is the complex-conjugate of this (for real ). It follows, for example, that and , and so on. The spherical Hankel functions appear in problems involving spherical wave propagation, for example in the multipole expansion of the electromagnetic field. Riccati–Bessel functions: , , , Riccati–Bessel functions only slightly differ from spherical | the second kind, denoted by , occasionally denoted instead by , are solutions of the Bessel differential equation that have a singularity at the origin () and are multivalued. These are sometimes called Weber functions, as they were introduced by , and also Neumann functions after Carl Neumann. For non-integer , is related to by In the case of integer order , the function is defined by taking the limit as a non-integer tends to : If is a nonnegative integer, we have the series where is the digamma function, the logarithmic derivative of the gamma function. There is also a corresponding integral formula (for ): is necessary as the second linearly independent solution of the Bessel's equation when is an integer. But has more meaning than that. It can be considered as a "natural" partner of . See also the subsection on Hankel functions below. When is an integer, moreover, as was similarly the case for the functions of the first kind, the following relationship is valid: Both and are holomorphic functions of on the complex plane cut along the negative real axis. When is an integer, the Bessel functions are entire functions of . If is held fixed at a non-zero value, then the Bessel functions are entire functions of . The Bessel functions of the second kind when is an integer is an example of the second kind of solution in Fuchs's theorem. Hankel functions: , Another important formulation of the two linearly independent solutions to Bessel's equation are the Hankel functions of the first and second kind, and , defined as where is the imaginary unit. These linear combinations are also known as Bessel functions of the third kind; they are two linearly independent solutions of Bessel's differential equation. They are named after Hermann Hankel. These forms of linear combination satisfy numerous simple-looking properties, like asymptotic formulae or integral representations. Here, "simple" means an appearance of a factor of the form . For real where , are real-valued, the Bessel functions of the first and second kind are the real and imaginary parts, respectively, of the first Hankel function and the real and negative imaginary parts of the second Hankel function. Thus, the above formulae are analogs of Euler's formula, substituting , for and , for , , as explicitly shown in the asymptotic expansion. The Hankel functions are used to express outward- and inward-propagating cylindrical-wave solutions of the cylindrical wave equation, respectively (or vice versa, depending on the sign convention for the frequency). Using the previous relationships, they can be expressed as If is an integer, the limit has to be calculated. The following relationships are valid, whether is an integer or not: In particular, if with a nonnegative integer, the above relations imply directly that These are useful in developing the spherical Bessel functions (see below). The Hankel functions admit the following integral representations for : where the integration limits indicate integration along a contour that can be chosen as follows: from to 0 along the negative real axis, from 0 to along the imaginary axis, and from to along a contour parallel to the real axis. Modified Bessel functions: , The Bessel functions are valid even for complex arguments , and an important special case is that of a purely imaginary argument. In this case, the solutions to the Bessel equation are called the modified Bessel functions (or occasionally the hyperbolic Bessel functions) of the first and second kind and are defined as when is not an integer; when is an integer, then the limit is used. These are chosen to be real-valued for real and positive arguments . The series expansion for is thus similar to that for , but without the alternating factor. can be expressed in terms of Hankel functions: We can express the first and second Bessel functions in terms of the modified Bessel functions (these are valid if ): and are the two linearly independent solutions to the modified Bessel's equation: Unlike the ordinary Bessel functions, which are oscillating as functions of a real argument, and are exponentially growing and decaying functions respectively. Like the ordinary Bessel function , the function goes to zero at for and is finite at for . Analogously, diverges at with the singularity being of logarithmic type for , and otherwise. Two integral formulas for the modified Bessel functions are (for ): Bessel functions can be described as Fourier transforms of powers of quadratic functions. For example: It can be proven by showing equality to the above integral definition for . This is done by integrating a closed curve in the first quadrant of the complex plane. Modified Bessel functions and can be represented in terms of rapidly convergent integrals The modified Bessel function is useful to represent the Laplace distribution as an Exponential-scale mixture of normal distributions. The modified Bessel function of the second kind has also been called by the following names (now rare): Basset function after Alfred Barnard Basset Modified Bessel function of the third kind Modified Hankel function Macdonald function after Hector Munro Macdonald Spherical Bessel functions: , When solving the Helmholtz equation in spherical coordinates by separation of variables, the radial equation has the form The two linearly independent solutions to this equation are called the spherical Bessel functions and , and are related to the ordinary Bessel functions and by is also denoted or ; some authors call these functions the spherical Neumann functions. From the relations to the ordinary Bessel functions it is directly seen that: The spherical Bessel functions can also be written as (Rayleigh's formulas) The zeroth spherical Bessel function is also known as the (unnormalized) sinc function. The first few spherical Bessel functions are: and Generating function The spherical Bessel functions have the generating functions Differential relations In the following, is any of , , , for Spherical Hankel functions: , There are also spherical analogues of the Hankel functions: In fact, there are simple closed-form expressions for the Bessel functions of half-integer order in terms of the standard trigonometric functions, and therefore for the spherical Bessel functions. In particular, for non-negative integers : and is the complex-conjugate of this (for real ). It follows, for example, that and , and so on. The spherical Hankel functions appear in problems involving spherical wave propagation, for example in the multipole expansion of the electromagnetic field. Riccati–Bessel functions: , , , Riccati–Bessel functions only slightly differ from spherical Bessel functions: They satisfy the differential equation For example, this kind of differential equation appears in quantum mechanics while solving the radial component of the Schrödinger's equation with hypothetical cylindrical infinite potential barrier. This differential equation, and the Riccati–Bessel solutions, also arises in the problem of scattering of electromagnetic waves by a sphere, known as Mie scattering after the first published solution by Mie (1908). See e.g., Du (2004) for recent developments and references. Following Debye (1909), the notation , is sometimes used instead of , . Asymptotic forms The Bessel functions have the following asymptotic forms. For small arguments , one obtains, when is not a negative integer: When is a negative integer, we have For the Bessel function of the second kind we have three cases: where is the Euler–Mascheroni constant (0.5772...). For large real arguments , one cannot write a true asymptotic form for Bessel functions of the first and second kind (unless is half-integer) because they have zeros all the way out to infinity, which would have to be matched exactly by any asymptotic expansion. However, for a given value of one can write an equation containing a term of order : (For the last terms in these formulas drop out completely; see the spherical Bessel functions above.) Even though these equations are true, better approximations may be available for complex . For example, when is near the negative real line is approximated better by than by The asymptotic forms for the Hankel functions are: These can be extended to other values of using equations relating and to and . It is interesting that although the Bessel function of the first kind is the average of the two Hankel functions, is not asymptotic to the average of these two asymptotic forms when is negative (because one or the other will not be correct there, depending on the used). But the asymptotic forms for the Hankel functions permit us to write asymptotic forms for the Bessel functions of first and second kinds for complex (non-real) so long as goes to infinity at a constant phase angle (using the square root having positive real part): For the modified Bessel functions, Hankel developed asymptotic (large argument) expansions as well: There is also the asymptotic form (for |
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(Elfenbein 1993). Stress Stress in Brahui follows a quantity-based pattern, occurring either on the first long vowel or diphthong, or on the first syllable if all vowels are short. Orthography Perso-Arabic script Brahui is the only Dravidian language which is not known to have been written in a Brahmi-based script; instead, it has been written in the Arabic script since the second half of the 20th century. In Iran, Afghanistan and Pakistan, an Urdu based Nastaʿlīq script is used in writing: Latin script More recently, a Roman-based orthography named Brolikva (an abbreviation of Brahui Roman Likvar) was developed by the Brahui Language Board of the University of Balochistan in Quetta and adopted by the newspaper Talár. Below is the new promoted Bráhuí Báşágal Brolikva orthography: The letters with diacritics are the long vowels, post-alveolar and retroflex consonants, the voiced velar fricative and the voiceless lateral fricative. Endangerment According to a 2009 UNESCO report, Brahui is one of the 27 languages of Pakistan that are facing the danger of extinction. They classify it in "unsafe" status, the least endangered level out of the five levels of concern (Unsafe, Definitely Endangered, Severely Endangered, Critically Endangered and Extinct). Publications Talár is the first daily newspaper in the Brahui language. It uses the new Roman orthography and is "an attempt to standardize and develop [the] Brahui language to meet the requirements of modern political, social and scientific discourse." References Sources Bray, Denys. The Brahui Language, an Old Dravidian Language Spoken in Parts of Baluchistan and Sind: Grammar. Gian Publishing House, 1986. External links Online Brahui Dictionary Handbook of the Birouhi language By Allâh Baksh (1877) Brahui Language Board | no important dialectal differences. Jhalawani (southern, centered on Khuzdar) and Sarawani (northern, centered on Kalat) dialects are distinguished by the pronunciation of *h, which is retained only in the north (Elfenbein 1997). Brahui has been influenced by the Iranian languages spoken in the area, including Persian, Balochi and Pashto. Phonology Brahui vowels show a partial length distinction between long and diphthongs and short . Brahui consonants show patterns of retroflexion but lack the aspiration distinctions found in surrounding languages and include several fricatives such as the voiceless lateral fricative , a sound not otherwise found in the region. Consonants are also very similar to those of Balochi, but Brahui has more fricatives and nasals (Elfenbein 1993). Stress Stress in Brahui follows a quantity-based pattern, occurring either on the first long vowel or diphthong, or on the first syllable if all vowels are short. Orthography Perso-Arabic script Brahui is the only Dravidian language which is not known to have been written in a Brahmi-based script; instead, it has been written in the Arabic script since the second half of the 20th century. In Iran, Afghanistan and Pakistan, an Urdu based Nastaʿlīq script is used in writing: Latin script More recently, a Roman-based orthography named Brolikva (an abbreviation of Brahui Roman Likvar) was developed by the Brahui Language Board of the University of Balochistan in Quetta and adopted by the newspaper Talár. Below is the new promoted Bráhuí Báşágal Brolikva orthography: The letters with diacritics are the long vowels, post-alveolar and retroflex consonants, the voiced velar fricative and the voiceless lateral fricative. Endangerment According to a 2009 UNESCO report, Brahui is one of the 27 languages of Pakistan that are facing the danger of extinction. They classify it in "unsafe" status, the |
DB for storage). There is third party support for PL/SQL in Berkeley DB via a commercial product named Metatranz StepSqlite. A program accessing the database is free to decide how the data is to be stored in a record. Berkeley DB puts no constraints on the record's data. The record and its key can both be up to four gigabytes long. Despite having a simple architecture, Berkeley DB supports many advanced database features such as ACID transactions, fine-grained locking, hot backups and replication. Oracle Corporation use of name "Berkeley DB" The name "Berkeley DB" is used by Oracle Corporation for three different products, two of which are not BDB: Berkeley DB, the C database library that is the subject of this article Berkeley DB Java Edition, a pure Java library whose design is modelled after the C library but is otherwise unrelated Berkeley DB XML, a C++ program that supports XQuery, and which includes a legacy version of the C database library Programs that use Berkeley DB Berkeley DB provides the underlying storage and retrieval system of several LDAP servers, database systems, and other proprietary and free/open source applications. BDB was once very widespread, but usage dropped steeply from 2013 (see licensing section). Notable software that still uses Berkeley DB for data storage include: Bitcoin Core – The first implementation of the Bitcoin cryptocurrency retains use of 2009 Berkeley DB 4.8 for one feature Bogofilter – A free/open source spam filter that saves its wordlists using Berkeley DB by default Citadel – A free/open source groupware platform that keeps all of its data stores, including the message base, in Berkeley DB. Citadel is licensed under the GPLv3 which is compatible with Oracle BDB licensing Sendmail – A free/open source MTA for Linux/Unix systems no longer in widespread use Spamassassin – A free/open source anti-spam application Licensing Berkeley DB V2.0 and higher is available under a dual license: Oracle commercial license with professional support Open source license Berkeley DB and Berkeley DB XML V2.0 - V6.0.19 is licensed under the Sleepycat License V6.0.20 and newer is licensed under the GNU AGPL v3. The switch to AGPL has caused major Linux distributions such as Debian to completely phase out their use of Berkeley DB, with a preference for Lightning Memory-Mapped Database (LMDB). The rationale is that having commercial users use AGPL code would be unacceptable, as they would be forced to provide their source code to users by a simple software upgrade. References External links Oracle Berkeley DB Oracle Berkeley DB Downloads Oracle Berkeley DB Documentation Oracle Berkeley DB Licensing Information Licensing pitfalls for Oracle Technology Products Oracle Licensing Knowledge Net The Berkeley DB Book by Himanshu Yadava Launchpad.net Berkeley DB at Launchpad Database engines Database-related software for Linux Embedded databases Free database management systems Free software programmed in C Key-value | multi-replica database. This is called the "High Availability" (HA) feature set. Berkeley DB's evolution has sometimes led to minor API changes or log format changes, but very rarely have database formats changed. Berkeley DB HA supports online upgrades from one version to the next by maintaining the ability to read and apply the prior release's log records. The FreeBSD and OpenBSD operating systems continue to use Berkeley DB 1.8x for compatibility reasons; Linux-based operating systems commonly include several versions to accommodate for applications still using older interfaces/files. Starting with the 6.0.21 (Oracle 12c) release, all Berkeley DB products are licensed under the GNU AGPL. Previously, Berkeley DB was redistributed under the 4-clause BSD license (before version 2.0), and the Sleepycat Public License, which is an OSI-approved open-source license as well as an FSF-approved free software license. The product ships with complete source code, build script, test suite, and documentation. The comprehensive feature along with the licensing terms have led to its use in a multitude of free and open-source software. Those who do not wish to abide by the terms of the GNU AGPL, or use an older version with the Sleepycat Public License, have the option of purchasing another proprietary license for redistribution from Oracle Corporation. This technique is called dual licensing. Berkeley DB includes compatibility interfaces for some historic Unix database libraries: dbm, ndbm and hsearch (a System V and POSIX library for creating in-memory hash tables). Architecture Berkeley DB has an architecture notably simpler than that of other database systems like relational database management systems. For example, like SQLite, it is not based on a server/client model, and does not provide support for network access programs access the database using in-process API calls. Oracle added support for SQL in 11g R2 release based on the popular SQLite API by including a version of SQLite in Berkeley DB (it uses Berkeley DB for storage). There is third party support |
in the theory of computing. Nevertheless, as of 2007, heuristic SAT-algorithms are able to solve problem instances involving tens of thousands of variables and formulas consisting of millions of symbols, which is sufficient for many practical SAT problems from, e.g., artificial intelligence, circuit design, and automatic theorem proving. Definitions A propositional logic formula, also called Boolean expression, is built from variables, operators AND (conjunction, also denoted by ∧), OR (disjunction, ∨), NOT (negation, ¬), and parentheses. A formula is said to be satisfiable if it can be made TRUE by assigning appropriate logical values (i.e. TRUE, FALSE) to its variables. The Boolean satisfiability problem (SAT) is, given a formula, to check whether it is satisfiable. This decision problem is of central importance in many areas of computer science, including theoretical computer science, complexity theory, algorithmics, cryptography and artificial intelligence. Conjunctive normal form A literal is either a variable, called positive literal, or the negation of a variable, called negative literal. A clause is a disjunction of literals (or a single literal). A clause is called a Horn clause if it contains at most one positive literal. A formula is in conjunctive normal form (CNF) if it is a conjunction of clauses (or a single clause). For example, is a positive literal, is a negative literal, is a clause. The formula is in conjunctive normal form; its first and third clauses are Horn clauses, but its second clause is not. The formula is satisfiable, by choosing x1 = FALSE, x2 = FALSE, and x3 arbitrarily, since (FALSE ∨ ¬FALSE) ∧ (¬FALSE ∨ FALSE ∨ x3) ∧ ¬FALSE evaluates to (FALSE ∨ TRUE) ∧ (TRUE ∨ FALSE ∨ x3) ∧ TRUE, and in turn to TRUE ∧ TRUE ∧ TRUE (i.e. to TRUE). In contrast, the CNF formula a ∧ ¬a, consisting of two clauses of one literal, is unsatisfiable, since for a=TRUE or a=FALSE it evaluates to TRUE ∧ ¬TRUE (i.e., FALSE) or FALSE ∧ ¬FALSE (i.e., again FALSE), respectively. For some versions of the SAT problem, it is useful to define the notion of a generalized conjunctive normal form formula, viz. as a conjunction of arbitrarily many generalized clauses, the latter being of the form for some Boolean function R and (ordinary) literals . Different sets of allowed boolean functions lead to different problem versions. As an example, R(¬x,a,b) is a generalized clause, and R(¬x,a,b) ∧ R(b,y,c) ∧ R(c,d,¬z) is a generalized conjunctive normal form. This formula is used below, with R being the ternary operator that is TRUE just when exactly one of its arguments is. Using the laws of Boolean algebra, every propositional logic formula can be transformed into an equivalent conjunctive normal form, which may, however, be exponentially longer. For example, transforming the formula (x1∧y1) ∨ (x2∧y2) ∨ ... ∨ (xn∧yn) into conjunctive normal form yields ; while the former is a disjunction of n conjunctions of 2 variables, the latter consists of 2n clauses of n variables. Complexity SAT was the first known NP-complete problem, as proved by Stephen Cook at the University of Toronto in 1971 and independently by Leonid Levin at the National Academy of Sciences in 1973. Until that time, the concept of an NP-complete problem did not even exist. The proof shows how every decision problem in the complexity class NP can be reduced to the SAT problem for CNF formulas, sometimes called CNFSAT. A useful property of Cook's reduction is that it preserves the number of accepting answers. For example, deciding whether a given graph has a 3-coloring is another problem in NP; if a graph has 17 valid 3-colorings, the SAT formula produced by the Cook–Levin reduction will have 17 satisfying assignments. NP-completeness only refers to the run-time of the worst case instances. Many of the instances that occur in practical applications can be solved much more quickly. See Algorithms for solving SAT below. 3-satisfiability Like the satisfiability problem for arbitrary formulas, determining the satisfiability of a formula in conjunctive normal form where each clause is limited to at most three literals is NP-complete also; this problem is called 3-SAT, 3CNFSAT, or 3-satisfiability. To reduce the unrestricted SAT problem to 3-SAT, transform each clause to a conjunction of clauses where are fresh variables not occurring elsewhere. Although the two formulas are not logically equivalent, they are equisatisfiable. The formula resulting from transforming all clauses is at most 3 times as long as its original, i.e. the length growth is polynomial. 3-SAT is one of Karp's 21 NP-complete problems, and it is used as a starting point for proving that other problems are also NP-hard. This is done by polynomial-time reduction from 3-SAT to the other problem. An example of a problem where this method has been used is the clique problem: given a CNF formula consisting of c clauses, the corresponding graph consists of a vertex for each literal, and an edge between each two non-contradicting literals from different clauses, cf. picture. The graph has a c-clique if and only if the formula is satisfiable. There is a simple randomized algorithm due to Schöning (1999) that runs in time (4/3)n where n is the number of variables in the 3-SAT proposition, and succeeds with high probability to correctly decide 3-SAT. The exponential time hypothesis asserts that no algorithm can solve 3-SAT (or indeed k-SAT for any ) in time (i.e., fundamentally faster than exponential in n). Selman, Mitchell, and Levesque (1996) give empirical data on the difficulty of randomly generated 3-SAT formulas, depending on their size parameters. Difficulty is measured in number recursive calls made by a DPLL algorithm. 3-satisfiability can be generalized to k-satisfiability (k-SAT, also k-CNF-SAT), when formulas in CNF are considered with each clause containing up to k literals. However, since for any k ≥ 3, this problem can neither be easier than 3-SAT nor harder than SAT, and the latter two are NP-complete, so must be k-SAT. Some authors restrict k-SAT to CNF formulas with exactly k literals. This doesn't lead to a different complexity class either, as each clause with j < k literals can be padded with fixed dummy variables to . After padding all clauses, 2k-1 extra clauses have to be appended to ensure that only can lead to a satisfying assignment. Since k doesn't depend on the formula length, the extra clauses lead to a constant increase in length. For the same reason, it does not matter whether duplicate literals are allowed in clauses, as in . Special cases of SAT Conjunctive normal form Conjunctive normal form (in particular with 3 literals per clause) is often considered the canonical representation for SAT formulas. As shown above, the general SAT problem reduces to 3-SAT, the problem of determining satisfiability for formulas in this form. Disjunctive normal form SAT is trivial if the formulas are restricted to those in disjunctive normal form, that is, they are a disjunction of conjunctions of literals. Such a formula is indeed satisfiable if and only if at least one of its conjunctions is satisfiable, and a conjunction is satisfiable if and only if it does not contain both x and NOT x for some variable x. This can be checked in linear time. Furthermore, if they are restricted to being in full disjunctive normal form, in which every variable appears exactly once in every conjunction, they can be checked in constant time (each conjunction represents one satisfying assignment). But it can take exponential time and space to convert a general SAT problem to disjunctive normal form; for an example exchange "∧" and "∨" in the above exponential blow-up example for conjunctive normal forms. Exactly-1 3-satisfiability A variant of the 3-satisfiability problem is the one-in-three 3-SAT (also known variously as 1-in-3-SAT and exactly-1 3-SAT). Given a conjunctive normal form with three literals per clause, the problem is to determine whether there exists a truth assignment to the variables so that each clause has exactly one TRUE literal (and thus exactly two FALSE literals). In contrast, ordinary 3-SAT requires that every clause has at least one TRUE literal. Formally, a one-in-three 3-SAT problem is given as a generalized conjunctive normal form with all generalized clauses using a ternary operator R that is TRUE just if exactly one of its arguments is. When all literals of a one-in-three 3-SAT formula are positive, the satisfiability problem is called one-in-three positive 3-SAT. One-in-three 3-SAT, together with its positive case, is listed as NP-complete problem "LO4" in the standard reference, Computers and Intractability: A Guide to the Theory of NP-Completeness by Michael R. Garey and David S. Johnson. One-in-three 3-SAT was proved to be NP-complete by Thomas Jerome Schaefer as a special case of Schaefer's dichotomy theorem, which asserts that any problem generalizing Boolean satisfiability in a certain way is either in the class P or is NP-complete. Schaefer gives a construction allowing an easy polynomial-time reduction from 3-SAT to one-in-three 3-SAT. Let "(x or y or z)" be a clause in a 3CNF formula. Add six fresh boolean variables a, b, c, d, e, and f, to be used to simulate this clause and no other. Then the formula R(x,a,d) ∧ R(y,b,d) ∧ R(a,b,e) ∧ R(c,d,f) ∧ R(z,c,FALSE) is satisfiable by some setting of the fresh variables if and only if at least one of x, y, or z is TRUE, see picture (left). Thus any 3-SAT instance with m clauses and n variables may be converted into an equisatisfiable one-in-three 3-SAT instance with 5m clauses and n+6m variables. Another reduction involves only four fresh variables and three clauses: R(¬x,a,b) ∧ R(b,y,c) ∧ R(c,d,¬z), see picture (right). Not-all-equal 3-satisfiability Another variant is the not-all-equal 3-satisfiability problem (also called NAE3SAT). Given a conjunctive normal form with three literals per clause, the problem is to determine if an assignment to the variables exists such that in no clause all three literals have the same truth value. This problem is NP-complete, too, even if no negation symbols are admitted, by Schaefer's dichotomy theorem. Linear SAT A 3-SAT formula is Linear SAT (LSAT) if each clause (viewed as a set of literals) intersects at most one other clause, and, moreover, if two clauses intersect, then they have exactly one literal in common. An LSAT formula can be depicted as a set of disjoint semi-closed intervals on a line. Deciding whether an LSAT formula is satisfiable or not is NP-complete. 2-satisfiability SAT is easier if the number of literals in a clause is limited to at most 2, in which case the problem is called 2-SAT. This problem can be solved in polynomial time, and in fact is complete for the complexity class NL. If additionally all OR operations in literals are changed to XOR operations, the result is called exclusive-or 2-satisfiability, which is a problem complete for the complexity class SL = L. Horn-satisfiability The problem of deciding the satisfiability of a given conjunction of Horn clauses is | function expressed by the formula is FALSE for all possible variable assignments and the formula is unsatisfiable. For example, the formula "a AND NOT b" is satisfiable because one can find the values a = TRUE and b = FALSE, which make (a AND NOT b) = TRUE. In contrast, "a AND NOT a" is unsatisfiable. SAT is the first problem that was proven to be NP-complete; see Cook–Levin theorem. This means that all problems in the complexity class NP, which includes a wide range of natural decision and optimization problems, are at most as difficult to solve as SAT. There is no known algorithm that efficiently solves each SAT problem, and it is generally believed that no such algorithm exists; yet this belief has not been proven mathematically, and resolving the question of whether SAT has a polynomial-time algorithm is equivalent to the P versus NP problem, which is a famous open problem in the theory of computing. Nevertheless, as of 2007, heuristic SAT-algorithms are able to solve problem instances involving tens of thousands of variables and formulas consisting of millions of symbols, which is sufficient for many practical SAT problems from, e.g., artificial intelligence, circuit design, and automatic theorem proving. Definitions A propositional logic formula, also called Boolean expression, is built from variables, operators AND (conjunction, also denoted by ∧), OR (disjunction, ∨), NOT (negation, ¬), and parentheses. A formula is said to be satisfiable if it can be made TRUE by assigning appropriate logical values (i.e. TRUE, FALSE) to its variables. The Boolean satisfiability problem (SAT) is, given a formula, to check whether it is satisfiable. This decision problem is of central importance in many areas of computer science, including theoretical computer science, complexity theory, algorithmics, cryptography and artificial intelligence. Conjunctive normal form A literal is either a variable, called positive literal, or the negation of a variable, called negative literal. A clause is a disjunction of literals (or a single literal). A clause is called a Horn clause if it contains at most one positive literal. A formula is in conjunctive normal form (CNF) if it is a conjunction of clauses (or a single clause). For example, is a positive literal, is a negative literal, is a clause. The formula is in conjunctive normal form; its first and third clauses are Horn clauses, but its second clause is not. The formula is satisfiable, by choosing x1 = FALSE, x2 = FALSE, and x3 arbitrarily, since (FALSE ∨ ¬FALSE) ∧ (¬FALSE ∨ FALSE ∨ x3) ∧ ¬FALSE evaluates to (FALSE ∨ TRUE) ∧ (TRUE ∨ FALSE ∨ x3) ∧ TRUE, and in turn to TRUE ∧ TRUE ∧ TRUE (i.e. to TRUE). In contrast, the CNF formula a ∧ ¬a, consisting of two clauses of one literal, is unsatisfiable, since for a=TRUE or a=FALSE it evaluates to TRUE ∧ ¬TRUE (i.e., FALSE) or FALSE ∧ ¬FALSE (i.e., again FALSE), respectively. For some versions of the SAT problem, it is useful to define the notion of a generalized conjunctive normal form formula, viz. as a conjunction of arbitrarily many generalized clauses, the latter being of the form for some Boolean function R and (ordinary) literals . Different sets of allowed boolean functions lead to different problem versions. As an example, R(¬x,a,b) is a generalized clause, and R(¬x,a,b) ∧ R(b,y,c) ∧ R(c,d,¬z) is a generalized conjunctive normal form. This formula is used below, with R being the ternary operator that is TRUE just when exactly one of its arguments is. Using the laws of Boolean algebra, every propositional logic formula can be transformed into an equivalent conjunctive normal form, which may, however, be exponentially longer. For example, transforming the formula (x1∧y1) ∨ (x2∧y2) ∨ ... ∨ (xn∧yn) into conjunctive normal form yields ; while the former is a disjunction of n conjunctions of 2 variables, the latter consists of 2n clauses of n variables. Complexity SAT was the first known NP-complete problem, as proved by Stephen Cook at the University of Toronto in 1971 and independently by Leonid Levin at the National Academy of Sciences in 1973. Until that time, the concept of an NP-complete problem did not even exist. The proof shows how every decision problem in the complexity class NP can be reduced to the SAT problem for CNF formulas, sometimes called CNFSAT. A useful property of Cook's reduction is that it preserves the number of accepting answers. For example, deciding whether a given graph has a 3-coloring is another problem in NP; if a graph has 17 valid 3-colorings, the SAT formula produced by the Cook–Levin reduction will have 17 satisfying assignments. NP-completeness only refers to the run-time of the worst case instances. Many of the instances that occur in practical applications can be solved much more quickly. See Algorithms for solving SAT below. 3-satisfiability Like the satisfiability problem for arbitrary formulas, determining the satisfiability of a formula in conjunctive normal form where each clause is limited to at most three literals is NP-complete also; this problem is called 3-SAT, 3CNFSAT, or 3-satisfiability. To reduce the unrestricted SAT problem to 3-SAT, transform each clause to a conjunction of clauses where are fresh variables not occurring elsewhere. Although the two formulas are not logically equivalent, they are equisatisfiable. The formula resulting from transforming all clauses is at most 3 times as long as its original, i.e. the length growth is polynomial. 3-SAT is one of Karp's 21 NP-complete problems, and it is used as a starting point for proving that other problems are also NP-hard. This is done by polynomial-time reduction from 3-SAT to the other problem. An example of a problem where this method has been used is the clique problem: given a CNF formula consisting of c clauses, the corresponding graph consists of a vertex for each literal, and an edge between each two non-contradicting literals from different clauses, cf. picture. The graph has a c-clique if and only if the formula is satisfiable. There is a simple randomized algorithm due to Schöning (1999) that runs in time (4/3)n where n is the number of variables in the 3-SAT proposition, and succeeds with high probability to correctly decide 3-SAT. The exponential time hypothesis asserts that no algorithm can solve 3-SAT (or indeed k-SAT for any ) in time (i.e., fundamentally faster than exponential in n). Selman, Mitchell, and Levesque (1996) give empirical data on the difficulty of randomly generated 3-SAT formulas, depending on their size parameters. Difficulty is measured in number recursive calls made by a DPLL algorithm. 3-satisfiability can be generalized to k-satisfiability (k-SAT, also k-CNF-SAT), when formulas in CNF are considered with each clause containing up to k literals. However, since for any k ≥ 3, this problem can neither be easier than 3-SAT nor harder than SAT, and the latter two are NP-complete, so must be k-SAT. Some authors restrict k-SAT to CNF formulas with exactly k literals. This doesn't lead to a different complexity class either, as each clause with j < k literals can be padded with fixed dummy variables to . After padding all clauses, 2k-1 extra clauses have to be appended to ensure that only can lead to a satisfying assignment. Since k doesn't depend on the formula length, the extra clauses lead to a constant increase in length. For the same reason, it does not matter whether duplicate literals are allowed in clauses, as in . Special cases of SAT Conjunctive normal form Conjunctive normal form (in particular with 3 literals per clause) is often considered the canonical representation for SAT formulas. As shown above, the general SAT problem reduces to 3-SAT, the problem of determining satisfiability for formulas in this form. Disjunctive normal form SAT is trivial if the formulas are restricted to those in disjunctive normal form, that is, they are a disjunction of conjunctions of literals. Such a formula is indeed satisfiable if and only if at least one of its conjunctions is satisfiable, and a conjunction is satisfiable if and only if it does not contain both x and NOT x for some variable x. This can be checked in linear time. Furthermore, if they are restricted to being in full disjunctive normal form, in which every variable appears exactly once in every conjunction, they can be checked in |
college, and by the early 1930s, he had publicly stated his opposition to holding regional accreditation. Jones and the college were criticized for this stance, and academic recognition, as well as student and faculty recruitment, were hindered. In 1944, Jones wrote to John Walvoord of Dallas Theological Seminary that while the university had "no objection to educational work highly standardized…. We, however, cannot conscientiously let some group of educational experts or some committee of experts who may have a behavioristic or atheistic slant on education control or even influence the administrative policies of our college." Five years later, Jones reflected that "it cost us something to stay out of an association, but we stayed out. We have lived up to our convictions." In any case, lack of accreditation seems to have made little difference during the post-war period, when the university more than doubled in size. Because graduates did not have the benefit of accredited degrees, the faculty felt an increased responsibility to prepare their students. Early in the history of the college, there had been some hesitancy on the part of other institutions to accept BJU credits at face value, but by the 1960s, BJU alumni were being accepted by most of the major graduate and professional schools in the United States. Undoubtedly helpful was that some of the university's strongest programs were in the areas of music, speech, and art, disciplines in which ability could be measured by audition or portfolio rather than through paper qualifications. Nevertheless, by the early 2000s, the university quietly reexamined its position on accreditation as degree mills proliferated and some government agencies, such as local police departments, began excluding BJU graduates on the grounds that the university did not appear on appropriate federal lists. In 2004, the university began the process of joining the Transnational Association of Christian Colleges and Schools. Candidate status—effectively, accreditation—was obtained in April 2005, and full membership in the Association was conferred in November 2006. In December 2011, BJU announced its intention to apply for regional accreditation with the Southern Association of Colleges and Schools (SACSCOC), and it received that accreditation in 2017. In 2014, the Educate to Career College Ranking Index listed BJU as 15th in the nation by economic value. In 2017, Schools.com rated BJU as #2 in Best Four-Year College in South Carolina; Niche.com rated it #3 Best Private College in South Carolina; and Christian University Online rated it #3 Most Affordable Christian College in the U.S. In 2017, US News ranked BJU as #61 (tie) in Regional Universities South and #7 in Best Value Schools. Political involvement As a twelve-year-old, Bob Jones Sr. made a twenty-minute speech in defense of the Populist Party. Jones was a friend and admirer of William Jennings Bryan but also campaigned throughout the South for Herbert Hoover (and against Al Smith) during the 1928 presidential election. Even the authorized history of BJU notes that both Bob Jones Sr. and Bob Jones Jr. "played political hardball" when dealing with the three municipalities in which the school was successively located. For instance, in 1962, Bob Jones Sr. warned the Greenville City Council that he had "four hundred votes in his pocket and in any election he would have control over who would be elected." Bob Jones Sr.'s April 17, 1960, Easter Sunday sermon, broadcast on the radio, entitled "Is Segregation Scriptural?" served as the university position paper on race in the 60s, 70s and 80s. The transcript was sent in pamphlet form in fund-raising letters and sold in the university bookstore. In the sermon, Jones states "If you are against segregation and against racial separation, then you are against God Almighty." The school began a long history of supporting politicians who were considered aligned with racial segregation. Republican Party ties From nearly the inception of Bob Jones College, a majority of students and faculty were from the northern United States, where there was a larger ratio of Republicans to Democrats than in the South (which was solidly Democratic). Therefore, almost from its founding year, BJU had a larger portion of Republicans than the surrounding community. After South Carolina Senator Strom Thurmond switched his allegiance to the Republican Party in 1964, BJU faculty members became increasingly influential in the new state Republican party, and BJU alumni were elected to local political and party offices. In 1976, candidates supported by BJU faculty and alumni captured the local Republican party with unfortunate short-term political consequences, but by 1980 the religious right and the "country club" Republicans had joined forces. From then on, most Republican candidates for local and statewide offices sought the endorsement of Bob Jones III and greeted faculty/staff voters at the University Dining Common. National Republicans soon followed. Ronald Reagan spoke at the school in 1980, although the Joneses supported his opponent, John Connally, in the South Carolina primary. Later, Bob Jones III denounced Reagan as "a traitor to God's people" for choosing George H. W. Bush—whom Jones called a "devil"—as his vice president. Even later, Jones III shook Bush's hand and thanked him for being a good president. In the 1990s, other Republicans such as Dan Quayle, Pat Buchanan, Phil Gramm, Bob Dole, and Alan Keyes also spoke at BJU. Democrats were rarely invited to speak at the university, in part because they took political and social positions (especially support for abortion rights) opposed by the Religious Right. 2000 election On February 2, 2000, then Texas Governor George W. Bush, as a candidate for president, spoke during school's chapel hour. Bush gave a standard stump speech, making no specific reference to the university. His political opponents quickly noted his non-mention of the university's ban on interracial dating. During the Michigan primary, Bush was also criticized for not stating his opposition to the university's anti-Catholicism. The McCain campaign targeted Catholics with "Catholic Voter Alert" phone calls, reminding voters of Bush's visit to BJU. New York Republican congressman Peter King, who was supporting John McCain in the presidential primary, called Bush a tool of "anti-Catholic bigoted forces", after the visit. King described BJU as "an institution that is notorious in Ireland for awarding an honorary doctorate to Northern Ireland's tempestuous Protestant leader, Ian Paisley." Bush denied that he either knew of or approved what he regarded as BJU's intolerant policies. On February 26, Bush issued a formal letter of apology to Cardinal John Joseph O'Connor of New York for failing to denounce Bob Jones University's history of anti-Catholic statements. At a news conference following the letter's release, Bush said, "I make no excuses. I had an opportunity and I missed it. I regret that....I wish I had gotten up then and seized the moment to set a tone, a tone that I had set in Texas, a positive and inclusive tone." Also during the 2000 Republican primary campaign in South Carolina, Richard Hand, a BJU professor, spread a false e-mail rumor that John McCain had fathered an illegitimate child. The McCains have an adopted daughter from Bangladesh, and later push polling also implied that the child was biracial. Withdrawal from politics Although the March 2007 issue of Foreign Policy listed BJU as one of "The World's Most Controversial Religious Sites" because of its past influence on American politics, BJU has seen little political controversy since Stephen Jones became president. When asked by a Newsweek reporter if he wished to play a political role, Stephen Jones replied, "It would not be my choice." Further, when asked if he felt ideologically closer to his father's engagement with politics or to other evangelicals who have tried to avoid civic involvement, he answered, "The gospel is for individuals. The main message we have is to individuals. We're not here to save the culture." In a 2005 Washington Post interview, Jones dodged political questions and even admitted that he was embarrassed by "some of the more vitriolic comments" made by his predecessors. "I don't want to get specific," he said, "But there were things said back then that I wouldn't say today." In October 2007 when Bob Jones III, as "a private citizen," endorsed Mitt Romney for the Republican nomination for president, Stephen Jones made it clear that he wished "to stay out of politics" and that neither he nor the university had endorsed anyone. Despite a hotly contested South Carolina primary, none of the candidates appeared on the platform of BJU's Founders' Memorial Amphitorium during the 2008 election cycle. In April 2008 Stephen Jones told a reporter, "I don't think I have a political bone in my body." Renewed political engagement In 2015 BJU reemerged as campaign stop of significance for conservative Republicans. Ben Carson and Ted Cruz held large on-campus rallies on two successive days in November; and BJU president Steve Pettit met with Marco Rubio, Rick Perry, Mike Huckabee, and Scott Walker. Jeb Bush, Carson, Cruz, and Rubio also appeared at a 2016 Republican presidential forum at BJU. Chip Felkel, a Greenville Republican consultant, noted that some of the candidates closely identified "with the folks at Bob Jones. So it makes sense for them to want to be there." Nevertheless, unlike BJU's earlier periods of political involvement, Pettit did not endorse a candidate. According to Furman University political science professor Jim Guth, because Greenville has | rallies on two successive days in November; and BJU president Steve Pettit met with Marco Rubio, Rick Perry, Mike Huckabee, and Scott Walker. Jeb Bush, Carson, Cruz, and Rubio also appeared at a 2016 Republican presidential forum at BJU. Chip Felkel, a Greenville Republican consultant, noted that some of the candidates closely identified "with the folks at Bob Jones. So it makes sense for them to want to be there." Nevertheless, unlike BJU's earlier periods of political involvement, Pettit did not endorse a candidate. According to Furman University political science professor Jim Guth, because Greenville has grown so much recently, it is unlikely BJU will ever again have the same political influence it had between the 1960s and the 1980s. Nevertheless, about a quarter of all BJU graduates continue to live in the Upstate, and as long-time mayor Knox White has said, "The alumni have had a big impact on every profession and walk of life in Greenville." Campus The university occupies 205 acres at the eastern city limit of Greenville. The institution moved into its initial 25 buildings during the 1947–48 school year, and later buildings were also faced with the light yellow brick chosen for the originals. Museum and gallery Bob Jones Jr. was a connoisseur of European art and began collecting after World War II on about $30,000 a year authorized by the University Board of Directors. Jones first concentrated on the Italian Baroque, a style then out of favor and relatively inexpensive in the years immediately following the war. Fifty years after the opening of the gallery, the BJU collection included more than 400 European paintings from the 14th to through the 19th centuries (mostly pre-19th century), period furniture, and a notable collection of Russian icons. The museum also includes a variety of Holy Land antiquities collected in the early 20th century by missionaries Frank and Barbara Bowen. Not surprisingly, the gallery is especially strong in Baroque paintings and includes notable works by Rubens, Tintoretto, Veronese, Cranach, Gerard David, Murillo, Mattia Preti, Ribera, van Dyck, and Gustave Doré. Included in the Museum & Gallery collection are seven very large canvases, part of a series by Benjamin West painted for George III, called "The Progress of Revealed Religion", which are displayed in the War Memorial Chapel. (Baroque art was created during—and often for—the Counter-Reformation and so, ironically, BJU has been criticized by some other fundamentalists for promoting "false Catholic doctrine" through its art gallery.) After the death of Bob Jones Jr., Erin Jones, the wife of BJU president Stephen Jones, became director. According to David Steel, curator of European art at the North Carolina Museum of Art, Erin Jones "brought that museum into the modern era", employing "a top-notch curator, John Nolan", and following "best practices in conservation and restoration". The museum now regularly cooperates with other institutions, lending works for outside shows such as a Rembrandt exhibit in 2011. Each Easter season, the university and the Museum & Gallery present the Living Gallery, a series of tableaux vivants recreating noted works of religious art using live models disguised as part of two-dimensional paintings. In 2008, the BJU Museum & Gallery opened a satellite location, the Museum & Gallery at Heritage Green near downtown Greenville, which featured rotating exhibitions from the main museum as well as interactive children's activities. In February 2017, the Museum & Gallery closed both locations permanently. In 2018, the museum announced that a new home would be built at a yet undetermined located off the BJU campus. Library The Mack Library (named for John Sephus Mack) holds a collection of more than 300,000 books and includes seating for 1,200 as well as a computer lab and a computer classroom. (Its ancillary, a music library, is included in the Gustafson Fine Arts Center.) Mack Library's Special Collections includes an American Hymnody Collection of about 700 titles. The "Jerusalem Chamber" is a replica of the room in Westminster Abbey in which work on the King James Version of the Bible was conducted, and it displays a collection of rare Bibles. An adjoining Memorabilia Room commemorates the life of Bob Jones Sr. and the history of the university. The library's Fundamentalism File collects periodical articles and ephemera about social and religious matters of interest to evangelicals and fundamentalists. The university Archives holds copies of all university publications, oral histories of faculty and staff members, surviving remnants of university correspondence, and pictures and artifacts related to the Jones family and the history of the university. Ancillary ministries Unusual Films Both Bob Jones Sr. and Bob Jones Jr. believed that film could be an excellent medium for mass evangelism, and in 1950, the university established Unusual Films within the School of Fine Arts. (The studio name derives from a former BJU promotional slogan, "The World's Most Unusual University".) Bob Jones Jr. selected a speech teacher, Katherine Stenholm, as the first director. Although she had no experience in cinema, she took summer courses at the University of Southern California and received personal instruction from Hollywood specialists, such as Rudolph Sternad. Unusual Films has produced seven feature-length films, each with an evangelistic emphasis: Wine of Morning, Red Runs the River, Flame in the Wind, Sheffey, Beyond the Night, The Printing, and Milltown Pride. Wine of Morning (1955), based on a novel by Bob Jones Jr., represented the United States at the Cannes Film Festival. The first four films are historical dramas set, respectively, in the time of Christ, the U.S. Civil War, 16th-century Spain, and the late 19th-century South—the latter a fictionalized treatment of the life of Methodist evangelist, Robert Sayers Sheffey. Beyond the Night closely follows an actual 20th-century missionary saga in Central Africa, and The Printing uses composite characters to portray the persecution of believers in the former Soviet Union. According to The Dove Foundation, The Printing "no doubt will urge Christian believers everywhere to appreciate the freedoms they enjoy. It is inspiring!" In 1999, Unusual Films began producing feature films for children, including The Treasure Map, Project Dinosaur, and Appalachian Trial. They also released a short animated film for children, The Golden Rom. Unusual Films returned to their customary format in 2011 with their release of Milltown Pride, a historical film set in 1920s upstate South Carolina. Unusual Films also maintains a student film production program. The Cinema Production program is designed to give professional training in all facets of motion picture production. This training combines classroom instruction with hands-on experience in a variety of areas including directing, editing, and cinematography. Before graduation, seniors produce their own high-definition short film which they write, direct, and edit. BJU Press BJU Press originated from the need for textbooks for the burgeoning Christian school movement, and today it is the largest book publisher in South Carolina. The press publishes a full range of K–12 textbooks. More than a million pre-college students around the world use BJU textbooks, and the press has about 2,500 titles in print. BJU Press also offers distance learning courses online, via DVD, and via hard drive. Another ancillary, the Academy of Home Education, is a "service organization for homeschooling families" that maintains student records, administers achievement testing, and issues high school diplomas. The press sold its music division, SoundForth, to Lorenz Publishing on October 1, 2012. Pre-college programs The university operates Bob Jones Academy, which enrolls students from preschool through 12th grade. With about 1500 students, it is the largest K–12 private school in the Carolinas and one of the largest in the Southeast. Controversies Sexual abuse reports In December 2011, in response to accusations of mishandling of student reports of sexual abuse (most of which had occurred in their home churches when the students were minors) and a concurrent reporting issue at a church pastored by a university board member, the BJU board of trustees hired an independent ombudsman, GRACE (Godly Response to Abuse in the Christian Environment), to investigate. Released in December 2014, the GRACE report suggested that BJU had discouraged students from reporting past sexual abuse, and though the university declined to implement many of the report's recommendations, President Steve Pettit formally apologized "to those who felt they did not receive from us genuine love, compassion, understanding, and support after suffering sexual abuse or assault". The university's mishandling of sexual abuse in the past came into light again in August 2020 when a student filed a lawsuit against Bob Jones University and Furman University alleging both administrations ignored the sexual assault report and expelled the student for consuming alcohol, which is against the Student Code of Conduct handbook. Racial policies and ban on interracial dating Although BJU had admitted Asian students and other ethnic groups from its inception, it did not enroll African or African-American students until 1971. From 1971 to 1975, BJU admitted only married Black people, although the Internal Revenue Service (IRS) had already determined in 1970 that "private schools with racially discriminatory admissions policies" were not entitled to federal tax exemption. In 1975, the University Board of Trustees authorized a change in policy to admit Black students, a move that occurred shortly before the announcement of the Supreme Court decision in Runyon v. McCrary (427 U.S. 160 [1976]), which prohibited racial exclusion in private schools. However, in May of that year, BJU expanded rules against interracial dating and marriage. In 1976, the Internal Revenue Service revoked the university's tax exemption retroactively to December 1, 1970, on grounds that it was practicing racial discrimination. The case eventually was heard by the U.S. Supreme Court in 1982. After BJU lost the decision in Bob Jones University v. United States (461 U.S. 574)[1983], the university chose to maintain its interracial dating policy and pay a million dollars in back taxes. The year following the Court decision, contributions to the university declined by 13 percent. In 2000, following a media uproar prompted by the visit of presidential candidate George W. Bush to the university, Bob Jones III dropped the university's interracial dating rule, announcing the change on CNN's Larry King Live. In the same year, Bob Jones III drew criticism when he reposted a letter on the university's web page referring to Mormons and Catholics as being members of "cults which call themselves Christian". In 2005, Stephen Jones, great-grandson of the founder, became BJU's president on the same day that he received his Ph.D. from the school. Bob Jones III then took the title Chancellor. In 2008, the university declared itself "profoundly sorry" for having allowed "institutional policies to remain in place that were racially hurtful". That year BJU enrolled students from fifty states and nearly fifty countries, representing diverse ethnicities and cultures, and the BJU administration declared itself "committed to maintaining on the campus the racial and cultural diversity and harmony characteristic of the true Church of Jesus Christ throughout the world". In his first meeting with the university cabinet in 2014, the fifth president Steve Pettit said he believed it was appropriate for BJU to regain its tax-exempt status because BJU no longer held its earlier positions about race. "The Bible is clear," said Pettit, "We are made of one blood." By February 17, 2017, the IRS website had listed the university as a 501(c)(3) organization, and by May of the same year, BJU had forged a working relationship with Greenville's Phillis Wheatley Center. In 2017, 9% of the student body was "from the American minority population". Student life Religious atmosphere Religion is a major aspect of life and curriculum at BJU. The BJU Creed, written in 1927 by journalist and prohibitionist Sam Small, is recited by students and faculty four days a week at chapel services. The university also encourages church planting in areas of the United States "in great need of fundamental churches", and it has provided financial and logistical assistance to ministerial graduates in starting more than a hundred new churches. Bob Jones III has also encouraged non-ministerial students to put their career plans on hold for two or three years to provide lay leadership for small churches. Students of various majors participate in Missions Advance (formerly Mission Prayer Band), an organization that prays for missionaries and attempts to stimulate campus interest in world evangelism. During summers and Christmas breaks, about 150 students participate in teams that use their musical, language, trade, and aviation skills to promote Christian missions around the world. Although a separate nonprofit corporation, Gospel Fellowship Association, an organization founded by Bob Jones Sr. and associated with BJU, is one of the largest fundamentalist mission boards in the country. Through its "Timothy Fund", the university also sponsors international students who are training for the ministry. The university requires use of the King James Version (KJV) of the Bible in its services and classrooms, but it does not hold that the KJV is the only acceptable English translation or that it has the same authority as the original Hebrew and Greek manuscripts. The university's position has been criticized by some other fundamentalists, including fellow conservative university Pensacola Christian College, which in 1998 produced a widely distributed videotape which argued that this "defiling leaven in fundamentalism" was passed from the 19th-century Princeton theologian Benjamin B. Warfield (1851–1921) through Charles Brokenshire (1885–1954) to current BJU faculty members and graduates. Rules of conduct Strict rules govern student life at BJU. Some of these are based directly on the university's interpretation of the Bible. For instance, the 2015–16 Student Handbook states, "Students are to avoid any types of entertainment that could be considered immodest or that contain profanity, scatological realism, sexual perversion, erotic realism, lurid violence, occultism and false philosophical or religious assumptions." Grounds for immediate dismissal include stealing, immorality (including sexual relations between unmarried students), possession of hard-core pornography, use of alcohol or drugs, and participating in a public demonstration for a cause the university opposes. Similar "moral failures" are grounds for terminating the employment of faculty and staff. In 1998, a homosexual alumnus was threatened with arrest if he visited the campus. For years, male students were required to wear slacks, dress shirts and ties on campus during the day. This requirement has since been loosened; men are allowed the option of wearing polo shirts or dress shirts on weekdays until 5 pm, and are no longer required to wear ties. Effective in 2018, women are no longer required to wear skirts or dresses and can now wear pants. They are also required to attend chapel four days a week, as well as at least two services per week at an approved "local fundamental church". Other rules are not based on a specific biblical passage. For instance, the Handbook notes that "there is no specific Bible command that says, 'Thou shalt not be late to class', but a student who wishes to display orderliness and concern for others will not come in late to the distraction of the teacher and other students." In 2008 a campus spokesman also said that one goal of the dress code was "to teach our young people to dress professionally" on campus while giving them "the ability to...choose within the biblically accepted options of dress" when they were off campus. Additional rules include the requirement that resident hall students abide by a campus curfew of 11:00 pm, with lights out at midnight. Students are forbidden to go to movie theaters while in residence, however, they may watch movies rated G or PG while in the residence halls. Students may not listen to most contemporary popular music. Male students with upperclassman privileges and graduate students may have facial hair that is fully grown in prior to the start of the semester, neatly trimmed and well maintained at approximately ½ inch or less. Women are expected to dress modestly and wear dresses or skirts that come to the knee to class and religious services. Extracurriculars After BJU abandoned intercollegiate sports in 1933, its intramural sports program included competition in soccer, basketball, softball, volleyball, tennis, badminton, flag football, table tennis, racquetball, and water polo. The university also competed in intercollegiate debate within the National Educational Debate Association, in intercollegiate mock trial and computer science competitions, and participated at South Carolina Student Legislature. In 2012, BJU joined Division I of National Christian College Athletic Association (NCCAA) and in 2014 participated in intercollegiate soccer, basketball, cross-country, and golf. |
Raj in India The East India Company drove the expansion of the British Empire in Asia. The Company's army had first joined forces with the Royal Navy during the Seven Years' War, and the two continued to co-operate in arenas outside India: the eviction of the French from Egypt (1799), the capture of Java from the Netherlands (1811), the acquisition of Penang Island (1786), Singapore (1819) and Malacca (1824), and the defeat of Burma (1826). From its base in India, the Company had been engaged in an increasingly profitable opium export trade to China since the 1730s. This trade, illegal since it was outlawed by China in 1729, helped reverse the trade imbalances resulting from the British imports of tea, which saw large outflows of silver from Britain to China. In 1839, the confiscation by the Chinese authorities at Canton of 20,000 chests of opium led Britain to attack China in the First Opium War, and resulted in the seizure by Britain of Hong Kong Island, at that time a minor settlement, and other Treaty Ports including Shanghai. During the late 18th and early 19th centuries, the British Crown began to assume an increasingly large role in the affairs of the Company. A series of Acts of Parliament were passed, including the Regulating Act of 1773, Pitt's India Act of 1784 and the Charter Act of 1813 which regulated the Company's affairs and established the sovereignty of the Crown over the territories that it had acquired. The Company's eventual end was precipitated by the Indian Rebellion in 1857, a conflict that had begun with the mutiny of sepoys, Indian troops under British officers and discipline. The rebellion took six months to suppress, with heavy loss of life on both sides. The following year the British government dissolved the Company and assumed direct control over India through the Government of India Act 1858, establishing the British Raj, where an appointed governor-general administered India and Queen Victoria was crowned the Empress of India. India became the empire's most valuable possession, "the Jewel in the Crown", and was the most important source of Britain's strength. A series of serious crop failures in the late 19th century led to widespread famines on the subcontinent in which it is estimated that over 15 million people died. The East India Company had failed to implement any coordinated policy to deal with the famines during its period of rule. Later, under direct British rule, commissions were set up after each famine to investigate the causes and implement new policies, which took until the early 1900s to have an effect. Rivalry with Russia During the 19th century, Britain and the Russian Empire vied to fill the power vacuums that had been left by the declining Ottoman Empire, Qajar dynasty and Qing dynasty. This rivalry in Central Asia came to be known as the "Great Game". As far as Britain was concerned, defeats inflicted by Russia on Persia and Turkey demonstrated its imperial ambitions and capabilities and stoked fears in Britain of an overland invasion of India. In 1839, Britain moved to pre-empt this by invading Afghanistan, but the First Anglo-Afghan War was a disaster for Britain. When Russia invaded the Turkish Balkans in 1853, fears of Russian dominance in the Mediterranean and the Middle East led Britain and France to invade the Crimean Peninsula to destroy Russian naval capabilities. The ensuing Crimean War (1854–1856), which involved new techniques of modern warfare, was the only global war fought between Britain and another imperial power during the Pax Britannica and was a resounding defeat for Russia. The situation remained unresolved in Central Asia for two more decades, with Britain annexing Baluchistan in 1876 and Russia annexing Kirghizia, Kazakhstan, and Turkmenistan. For a while, it appeared that another war would be inevitable, but the two countries reached an agreement on their respective spheres of influence in the region in 1878 and on all outstanding matters in 1907 with the signing of the Anglo-Russian Entente. The destruction of the Russian Navy by the Japanese at the Battle of Port Arthur during the Russo-Japanese War of 1904–1905 limited its threat to the British. Cape to Cairo The Dutch East India Company had founded the Cape Colony on the southern tip of Africa in 1652 as a way station for its ships travelling to and from its colonies in the East Indies. Britain formally acquired the colony, and its large Afrikaner (or Boer) population in 1806, having occupied it in 1795 to prevent its falling into French hands during the Flanders Campaign. British immigration began to rise after 1820, and pushed thousands of Boers, resentful of British rule, northwards to found their own—mostly short-lived—independent republics, during the Great Trek of the late 1830s and early 1840s. In the process the Voortrekkers clashed repeatedly with the British, who had their own agenda with regard to colonial expansion in South Africa and to the various native African polities, including those of the Sotho and the Zulu nations. Eventually, the Boers established two republics that had a longer lifespan: the South African Republic or Transvaal Republic (1852–1877; 1881–1902) and the Orange Free State (1854–1902). In 1902 Britain occupied both republics, concluding a treaty with the two Boer Republics following the Second Boer War (1899–1902). In 1869 the Suez Canal opened under Napoleon III, linking the Mediterranean with the Indian Ocean. Initially the Canal was opposed by the British; but once opened, its strategic value was quickly recognised and became the "jugular vein of the Empire". In 1875, the Conservative government of Benjamin Disraeli bought the indebted Egyptian ruler Isma'il Pasha's 44 per cent shareholding in the Suez Canal for £4 million (equivalent to £ in ). Although this did not grant outright control of the strategic waterway, it did give Britain leverage. Joint Anglo-French financial control over Egypt ended in outright British occupation in 1882. Although Britain controlled Egypt into the 20th century, it was officially part of the Ottoman Empire and not part of the British Empire. The French were still majority shareholders and attempted to weaken the British position, but a compromise was reached with the 1888 Convention of Constantinople, which made the Canal officially neutral territory. With competitive French, Belgian and Portuguese activity in the lower Congo River region undermining orderly colonisation of tropical Africa, the Berlin Conference of 1884–85 was held to regulate the competition between the European powers in what was called the "Scramble for Africa" by defining "effective occupation" as the criterion for international recognition of territorial claims. The scramble continued into the 1890s, and caused Britain to reconsider its decision in 1885 to withdraw from Sudan. A joint force of British and Egyptian troops defeated the Mahdist Army in 1896 and rebuffed an attempted French invasion at Fashoda in 1898. Sudan was nominally made an Anglo-Egyptian condominium, but a British colony in reality. British gains in Southern and East Africa prompted Cecil Rhodes, pioneer of British expansion in Southern Africa, to urge a "Cape to Cairo" railway linking the strategically important Suez Canal to the mineral-rich south of the continent. During the 1880s and 1890s, Rhodes, with his privately owned British South Africa Company, occupied and annexed territories named after him, Rhodesia. Changing status of the white colonies The path to independence for the white colonies of the British Empire began with the 1839 Durham Report, which proposed unification and self-government for Upper and Lower Canada, as a solution to political unrest which had erupted in armed rebellions in 1837. This began with the passing of the Act of Union in 1840, which created the Province of Canada. Responsible government was first granted to Nova Scotia in 1848, and was soon extended to the other British North American colonies. With the passage of the British North America Act, 1867 by the British Parliament, the Province of Canada, New Brunswick and Nova Scotia were formed into Canada, a confederation enjoying full self-government with the exception of international relations. Australia and New Zealand achieved similar levels of self-government after 1900, with the Australian colonies federating in 1901. The term "dominion status" was officially introduced at the 1907 Imperial Conference. The last decades of the 19th century saw concerted political campaigns for Irish home rule. Ireland had been united with Britain into the United Kingdom of Great Britain and Ireland with the Act of Union 1800 after the Irish Rebellion of 1798, and had suffered a severe famine between 1845 and 1852. Home rule was supported by the British Prime minister, William Gladstone, who hoped that Ireland might follow in Canada's footsteps as a Dominion within the empire, but his 1886 Home Rule bill was defeated in Parliament. Although the bill, if passed, would have granted Ireland less autonomy within the UK than the Canadian provinces had within their own federation, many MPs feared that a partially independent Ireland might pose a security threat to Great Britain or mark the beginning of the break-up of the empire. A second Home Rule bill was defeated for similar reasons. A third bill was passed by Parliament in 1914, but not implemented because of the outbreak of the First World War leading to the 1916 Easter Rising. World wars (1914–1945) By the turn of the 20th century, fears had begun to grow in Britain that it would no longer be able to defend the metropole and the entirety of the empire while at the same time maintaining the policy of "splendid isolation". Germany was rapidly rising as a military and industrial power and was now seen as the most likely opponent in any future war. Recognising that it was overstretched in the Pacific and threatened at home by the Imperial German Navy, Britain formed an alliance with Japan in 1902 and with its old enemies France and Russia in 1904 and 1907, respectively. First World War Britain's fears of war with Germany were realised in 1914 with the outbreak of the First World War. Britain quickly invaded and occupied most of Germany's overseas colonies in Africa. In the Pacific, Australia and New Zealand occupied German New Guinea and German Samoa respectively. Plans for a post-war division of the Ottoman Empire, which had joined the war on Germany's side, were secretly drawn up by Britain and France under the 1916 Sykes–Picot Agreement. This agreement was not divulged to the Sharif of Mecca, who the British had been encouraging to launch an Arab revolt against their Ottoman rulers, giving the impression that Britain was supporting the creation of an independent Arab state. The British declaration of war on Germany and its allies committed the colonies and Dominions, which provided invaluable military, financial and material support. Over 2.5 million men served in the armies of the Dominions, as well as many thousands of volunteers from the Crown colonies. The contributions of Australian and New Zealand troops during the 1915 Gallipoli Campaign against the Ottoman Empire had a great impact on the national consciousness at home and marked a watershed in the transition of Australia and New Zealand from colonies to nations in their own right. The countries continue to commemorate this occasion on Anzac Day. Canadians viewed the Battle of Vimy Ridge in a similar light. The important contribution of the Dominions to the war effort was recognised in 1917 by the British Prime Minister David Lloyd George when he invited each of the Dominion Prime Ministers to join an Imperial War Cabinet to co-ordinate imperial policy. Under the terms of the concluding Treaty of Versailles signed in 1919, the empire reached its greatest extent with the addition of and 13 million new subjects. The colonies of Germany and the Ottoman Empire were distributed to the Allied powers as League of Nations mandates. Britain gained control of Palestine, Transjordan, Iraq, parts of Cameroon and Togoland, and Tanganyika. The Dominions themselves acquired mandates of their own: the Union of South Africa gained South West Africa (modern-day Namibia), Australia gained New Guinea, and New Zealand Western Samoa. Nauru was made a combined mandate of Britain and the two Pacific Dominions. Inter-war period The changing world order that the war had brought about, in particular the growth of the United States and Japan as naval powers, and the rise of independence movements in India and Ireland, caused a major reassessment of British imperial policy. Forced to choose between alignment with the United States or Japan, Britain opted not to renew its Japanese alliance and instead signed the 1922 Washington Naval Treaty, where Britain accepted naval parity with the United States. This decision was the source of much debate in Britain during the 1930s as militaristic governments took hold in Germany and Japan helped in part by the Great Depression, for it was feared that the empire could not survive a simultaneous attack by both nations. The issue of the empire's security was a serious concern in Britain, as it was vital to the British economy. In 1919, the frustrations caused by delays to Irish home rule led the MPs of Sinn Féin, a pro-independence party that had won a majority of the Irish seats in the 1918 British general election, to establish an independent parliament in Dublin, at which Irish independence was declared. The Irish Republican Army simultaneously began a guerrilla war against the British administration. The Irish War of Independence ended in 1921 with a stalemate and the signing of the Anglo-Irish Treaty, creating the Irish Free State, a Dominion within the British Empire, with effective internal independence but still constitutionally linked with the British Crown. Northern Ireland, consisting of six of the 32 Irish counties which had been established as a devolved region under the 1920 Government of Ireland Act, immediately exercised its option under the treaty to retain its existing status within the United Kingdom. A similar struggle began in India when the Government of India Act 1919 failed to satisfy the demand for independence. Concerns over communist and foreign plots following the Ghadar conspiracy ensured that war-time strictures were renewed by the Rowlatt Acts. This led to tension, particularly in the Punjab region, where repressive measures culminated in the Amritsar Massacre. In Britain, public opinion was divided over the morality of the massacre, between those who saw it as having saved India from anarchy, and those who viewed it with revulsion. The non-cooperation movement was called off in March 1922 following the Chauri Chaura incident, and discontent continued to simmer for the next 25 years. In 1922, Egypt, which had been declared a British protectorate at the outbreak of the First World War, was granted formal independence, though it continued to be a British client state until 1954. British troops remained stationed in Egypt until the signing of the Anglo-Egyptian Treaty in 1936, under which it was agreed that the troops would withdraw but continue to occupy and defend the Suez Canal zone. In return, Egypt was assisted in joining the League of Nations. Iraq, a British mandate since 1920, gained membership of the League in its own right after achieving independence from Britain in 1932. In Palestine, Britain was presented with the problem of mediating between the Arabs and increasing numbers of Jews. The Balfour Declaration, which had been incorporated into the terms of the mandate, stated that a national home for the Jewish people would be established in Palestine, and Jewish immigration allowed up to a limit that would be determined by the mandatory power. This led to increasing conflict with the Arab population, who openly revolted in 1936. As the threat of war with Germany increased during the 1930s, Britain judged the support of Arabs as more important than the establishment of a Jewish homeland, and shifted to a pro-Arab stance, limiting Jewish immigration and in turn triggering a Jewish insurgency. The right of the Dominions to set their own foreign policy, independent of Britain, was recognised at the 1923 Imperial Conference. Britain's request for military assistance from the Dominions at the outbreak of the Chanak Crisis the previous year had been turned down by Canada and South Africa, and Canada had refused to be bound by the 1923 Treaty of Lausanne. After pressure from the Irish Free State and South Africa, the 1926 Imperial Conference issued the Balfour Declaration of 1926, declaring the Dominions to be "autonomous Communities within the British Empire, equal in status, in no way subordinate one to another" within a "British Commonwealth of Nations". This declaration was given legal substance under the 1931 Statute of Westminster. The parliaments of Canada, Australia, New Zealand, the Union of South Africa, the Irish Free State and Newfoundland were now independent of British legislative control, they could nullify British laws and Britain could no longer pass laws for them without their consent. Newfoundland reverted to colonial status in 1933, suffering from financial difficulties during the Great Depression. In 1937 the Irish Free State introduced a republican constitution renaming itself Ireland. Second World War Britain's declaration of war against Nazi Germany in September 1939 included the Crown colonies and India but did not automatically commit the Dominions of Australia, Canada, New Zealand, Newfoundland and South Africa. All soon declared war on Germany. While Britain continued to regard Ireland as still within the British Commonwealth, Ireland chose to remain legally neutral throughout the war. After the Fall of France in June 1940, Britain and the empire stood alone against Germany, until the German invasion of Greece on 7 April 1941. British Prime Minister Winston Churchill successfully lobbied President Franklin D. Roosevelt for military aid from the United States, but Roosevelt was not yet ready to ask Congress to commit the country to war. In August 1941, Churchill and Roosevelt met and signed the Atlantic Charter, which included the statement that "the rights of all peoples to choose the form of government under which they live" should be respected. This wording was ambiguous as to whether it referred to European countries invaded by Germany and Italy, or the peoples colonised by European nations, and would later be interpreted differently by the British, Americans, and nationalist movements. For Churchill, the entry of the United States into the war was the "greatest joy". He felt that Britain was now assured of victory, but failed to recognise that the "many disasters, immeasurable costs and tribulations [which he knew] lay ahead" in December 1941 would have permanent consequences for the future of the empire. The manner in which British forces were rapidly defeated in the Far East irreversibly harmed Britain's standing and prestige as an imperial power, including, particularly, the Fall of Singapore, which had previously been hailed as an impregnable fortress and the eastern equivalent of Gibraltar. The realisation that Britain could not defend its entire empire pushed Australia and New Zealand, which now appeared threatened by Japanese forces, into closer ties with the United States and, ultimately, the 1951 ANZUS Pact. The war weakened the empire in other ways: undermining Britain's control of politics in India, inflicting long term economic damage, and irrevocably changing geopolitics by pushing the Soviet Union and the United States to the centre of the global stage. Decolonisation and decline (1945–1997) Though Britain and the empire emerged victorious from the Second World War, the effects of the conflict were profound, both at home and abroad. Much of Europe, a continent that had dominated the world for several centuries, was in ruins, and host to the armies of the United States and the Soviet Union, who now held the balance of global power. Britain was left essentially bankrupt, with insolvency only averted in 1946 after the negotiation of a $US 4.33 billion loan from the United States, the last installment of which was repaid in 2006. At the same time, anti-colonial movements were on the rise in the colonies of European nations. The situation was complicated further by the increasing Cold War rivalry of the United States and the Soviet Union. In principle, both nations were opposed to European colonialism. In practice, American anti-communism prevailed over anti-imperialism, and therefore the United States supported the continued existence of the British Empire to keep Communist expansion in check. At first British politicians believed it would be possible to maintain Britain's role as a world power at the head of a re-imagined Commonwealth, but by 1960 they were forced to recognise that there was an irresistible "wind of change" blowing. Their priorities changed to maintaining an extensive zone of British influence and ensuring that stable, non-Communist governments were established in former colonies. In this context, while other European powers such as France and Portugal waged costly and unsuccessful wars to keep their empires intact, Britain generally adopted a policy of peaceful disengagement from its colonies. In reality, this was rarely peaceable or altruistic. Between 1945 and 1965, the number of people under British rule outside the UK itself fell from 700 million to 5 million, 3 million of whom were in Hong Kong. Initial disengagement The pro-decolonisation Labour government, elected at the 1945 general election and led by Clement Attlee, moved quickly to tackle the most pressing issue facing the empire: Indian independence. India's two major political parties—the Indian National Congress (led by Mahatma Gandhi) and the Muslim League (led by Muhammad Ali Jinnah)—had been campaigning for independence for decades, but disagreed as to how it should be implemented. Congress favoured a unified secular Indian state, whereas the League, fearing domination by the Hindu majority, desired a separate Islamic state for Muslim-majority regions. Increasing civil unrest and the mutiny of the Royal Indian Navy during 1946 led Attlee to promise independence no later than 30 June 1948. When the urgency of the situation and risk of civil war became apparent, the newly appointed (and last) Viceroy, Lord Mountbatten, hastily brought forward the date to 15 August 1947. The borders drawn by the British to broadly partition India into Hindu and Muslim areas left tens of millions as minorities in the newly independent states of India and Pakistan. Millions of Muslims crossed from India to Pakistan and Hindus vice versa, and violence between the two communities cost hundreds of thousands of lives. Burma, which had been administered as part of the British Raj, and Sri Lanka gained their independence the following year in 1948. India, Pakistan and Sri Lanka became members of the Commonwealth, while Burma chose not to join. The British Mandate in Palestine, where an Arab majority lived alongside a Jewish minority, presented the British with a similar problem to that of India. The matter was complicated by large numbers of Jewish refugees seeking to be admitted to Palestine following the Holocaust, while Arabs were opposed to the creation of a Jewish state. Frustrated by the intractability of the problem, attacks by Jewish paramilitary organisations and the increasing cost of maintaining its military presence, Britain announced in 1947 that it would withdraw in 1948 and leave the matter to the United Nations to solve. The UN General Assembly subsequently voted for a plan to partition Palestine into a Jewish and an Arab state. It was immediately followed by the outbreak of a civil war between the Arabs and Jews of Palestine, and British forces withdrew amid the fighting. The British Mandate for Palestine officially terminated at midnight on 15 May 1948 as the State of Israel declared independence and the 1948 Arab-Israeli War broke out, during which the territory of the former Mandate was partitioned between Israel and the surrounding Arab states. Amid the fighting, British forces continued to withdraw from Israel, with the last British troops departing from Haifa on 30 June 1948. Following the surrender of Japan in the Second World War, anti-Japanese resistance movements in Malaya turned their attention towards the British, who had moved to quickly retake control of the colony, valuing it as a source of rubber and tin. The fact that the guerrillas were primarily Malayan-Chinese Communists meant that the British attempt to quell the uprising was supported by the Muslim Malay majority, on the understanding that once the insurgency had been quelled, independence would be granted. The Malayan Emergency, as it was called, began in 1948 and lasted until 1960, but by 1957, Britain felt confident enough to grant independence to the Federation of Malaya within the Commonwealth. In 1963, the 11 states of the federation together with Singapore, Sarawak and North Borneo joined to form Malaysia, but in 1965 Chinese-majority Singapore was expelled from the union following tensions between the Malay and Chinese populations and became an independent city-state. Brunei, which had been a British protectorate since 1888, declined to join the union. Suez and its aftermath In 1951, the Conservative Party returned to power in Britain, under the leadership of Winston Churchill. Churchill and the Conservatives believed that Britain's position as a world power relied on the continued existence of the empire, with the base at the Suez Canal allowing Britain to maintain its pre-eminent position in the Middle East in spite of the loss of India. Churchill could not ignore Gamal Abdul Nasser's new revolutionary government of Egypt that had taken power in 1952, and the following year it was agreed that British troops would withdraw from the Suez Canal zone and that Sudan would be granted self-determination by 1955, with independence to follow. Sudan was granted independence on 1 January 1956. In July 1956, Nasser unilaterally nationalised the Suez Canal. The response of Anthony Eden, who had succeeded Churchill as Prime Minister, was to collude with France to engineer an Israeli attack on Egypt that would give Britain and France an excuse to intervene militarily and retake the canal. Eden infuriated US President Dwight D. Eisenhower by his lack of consultation, and Eisenhower refused to back the invasion. Another of Eisenhower's concerns was the possibility of a wider war with the Soviet Union after it threatened to intervene on the Egyptian side. Eisenhower applied financial leverage by threatening to sell US reserves of the British pound and thereby precipitate a collapse of the British currency. Though the invasion force was militarily successful in its objectives, UN intervention and US pressure forced Britain into a humiliating withdrawal of its forces, and Eden resigned. The Suez Crisis very publicly exposed Britain's limitations to the world and confirmed Britain's decline on the world stage and its end as a first-rate power, demonstrating that henceforth it could no longer act without at least the acquiescence, if not the full support, of the United States. The events at Suez wounded British national pride, leading one Member of Parliament (MP) to describe it as "Britain's Waterloo" and another to suggest that the country had become an "American satellite". Margaret Thatcher later described the mindset she believed had befallen Britain's political leaders after Suez where they "went from believing that Britain could do anything to an almost neurotic belief that Britain could do nothing", from which Britain did not recover until the successful recapture of the Falkland Islands from Argentina in 1982. While the Suez Crisis caused British power in the Middle East to weaken, it did not collapse. Britain again deployed its armed forces to the region, intervening in Oman (1957), Jordan (1958) and Kuwait (1961), though on these occasions with American approval, as the new Prime Minister Harold Macmillan's foreign policy was to remain firmly aligned with the United States. Although Britain granted Kuwait independence in 1961, it continued to maintain a military presence in the Middle East for another decade. On 16 January 1968, a few weeks after the devaluation of the pound, Prime Minister Harold Wilson and his Defence Secretary Denis Healey announced that British troops would be withdrawn from major military bases East of Suez, which included the ones in the Middle East, and primarily from Malaysia and Singapore by the end of 1971, instead of 1975 as earlier planned. By that time over 50,000 British military personnel were still stationed in the Far East, including 30,000 in Singapore. The British granted independence to the Maldives in 1965 but continued to station a garrison there until 1976, withdrew from Aden in 1967, and granted independence to Bahrain, Qatar, and the United Arab Emirates in 1971. Wind of change Macmillan gave a speech in Cape Town, South Africa in February 1960 where he spoke of "the wind of change blowing through this continent". Macmillan wished to avoid the same kind of colonial war that France was fighting in Algeria, and under his premiership decolonisation proceeded rapidly. To the three colonies that had been granted independence in the 1950s—Sudan, the Gold Coast and Malaya—were added nearly ten times that number during the 1960s. Britain's remaining colonies in Africa, except for self-governing Southern Rhodesia, were all granted independence by 1968. British withdrawal from the southern and eastern parts of Africa was not a peaceful process. Kenyan independence was preceded by the eight-year Mau Mau uprising, in which tens of thousands of suspected rebels were interned by the colonial government in detention camps. In Rhodesia, the 1965 Unilateral Declaration of Independence by the white minority resulted in a civil war that lasted until the Lancaster House Agreement of 1979, which set the terms for recognised independence in 1980, as the new nation of Zimbabwe. In Cyprus, a guerrilla war waged by the Greek Cypriot organisation EOKA against British rule, was ended in 1959 by the London and Zürich Agreements, which resulted in Cyprus being granted independence in 1960. The UK retained the military bases of Akrotiri and Dhekelia as sovereign base areas. The Mediterranean colony of Malta was amicably granted independence from the UK in 1964 and became the country of Malta, though the idea had been raised in 1955 of integration with Britain. Most of the UK's Caribbean territories achieved independence after the departure in 1961 and 1962 of Jamaica and Trinidad from the West Indies Federation, established in 1958 in an attempt to unite the British Caribbean colonies under one government, but which collapsed following the loss of its two | countries of continental Europe. The Napoleonic Wars were therefore ones in which Britain invested large amounts of capital and resources to win. French ports were blockaded by the Royal Navy, which won a decisive victory over a Franco-Spanish fleet at Trafalgar in 1805. Overseas colonies were attacked and occupied, including those of the Netherlands, which was annexed by Napoleon in 1810. France was finally defeated by a coalition of European armies in 1815. Britain was again the beneficiary of peace treaties: France ceded the Ionian Islands, Malta (which it had occupied in 1797 and 1798 respectively), Mauritius, St Lucia, the Seychelles, and Tobago; Spain ceded Trinidad; the Netherlands ceded Guyana and the Cape Colony. Britain returned Guadeloupe, Martinique, French Guiana, and Réunion to France, and Java and Suriname to the Netherlands, while gaining control of Ceylon (1795–1815) and Heligoland. Abolition of slavery With the advent of the Industrial Revolution, goods produced by slavery became less important to the British economy. Added to this was the cost of suppressing regular slave rebellions. With support from the British abolitionist movement, Parliament enacted the Slave Trade Act in 1807, which abolished the slave trade in the empire. In 1808, Sierra Leone Colony was designated an official British colony for freed slaves. Parliamentary reform in 1832 saw the influence of the West India Committee decline. The Slavery Abolition Act, passed the following year, abolished slavery in the British Empire on 1 August 1834, finally bringing the Empire into line with the law in the UK (with the exception of the territories administered by the East India Company and Ceylon, where slavery was ended in 1844). Under the Act, slaves were granted full emancipation after a period of four to six years of "apprenticeship". Facing further opposition from abolitionists, the apprenticeship system was abolished in 1838. The British government compensated slave-owners. Britain's imperial century (1815–1914) Between 1815 and 1914, a period referred to as Britain's "imperial century" by some historians, around of territory and roughly 400 million people were added to the British Empire. Victory over Napoleon left Britain without any serious international rival, other than Russia in Central Asia. Unchallenged at sea, Britain adopted the role of global policeman, a state of affairs later known as the Pax Britannica, and a foreign policy of "splendid isolation". Alongside the formal control it exerted over its own colonies, Britain's dominant position in world trade meant that it effectively controlled the economies of many countries, such as China, Argentina and Siam, which has been described by some historians as an "Informal Empire". British imperial strength was underpinned by the steamship and the telegraph, new technologies invented in the second half of the 19th century, allowing it to control and defend the empire. By 1902, the British Empire was linked together by a network of telegraph cables, called the All Red Line. East India Company rule and the British Raj in India The East India Company drove the expansion of the British Empire in Asia. The Company's army had first joined forces with the Royal Navy during the Seven Years' War, and the two continued to co-operate in arenas outside India: the eviction of the French from Egypt (1799), the capture of Java from the Netherlands (1811), the acquisition of Penang Island (1786), Singapore (1819) and Malacca (1824), and the defeat of Burma (1826). From its base in India, the Company had been engaged in an increasingly profitable opium export trade to China since the 1730s. This trade, illegal since it was outlawed by China in 1729, helped reverse the trade imbalances resulting from the British imports of tea, which saw large outflows of silver from Britain to China. In 1839, the confiscation by the Chinese authorities at Canton of 20,000 chests of opium led Britain to attack China in the First Opium War, and resulted in the seizure by Britain of Hong Kong Island, at that time a minor settlement, and other Treaty Ports including Shanghai. During the late 18th and early 19th centuries, the British Crown began to assume an increasingly large role in the affairs of the Company. A series of Acts of Parliament were passed, including the Regulating Act of 1773, Pitt's India Act of 1784 and the Charter Act of 1813 which regulated the Company's affairs and established the sovereignty of the Crown over the territories that it had acquired. The Company's eventual end was precipitated by the Indian Rebellion in 1857, a conflict that had begun with the mutiny of sepoys, Indian troops under British officers and discipline. The rebellion took six months to suppress, with heavy loss of life on both sides. The following year the British government dissolved the Company and assumed direct control over India through the Government of India Act 1858, establishing the British Raj, where an appointed governor-general administered India and Queen Victoria was crowned the Empress of India. India became the empire's most valuable possession, "the Jewel in the Crown", and was the most important source of Britain's strength. A series of serious crop failures in the late 19th century led to widespread famines on the subcontinent in which it is estimated that over 15 million people died. The East India Company had failed to implement any coordinated policy to deal with the famines during its period of rule. Later, under direct British rule, commissions were set up after each famine to investigate the causes and implement new policies, which took until the early 1900s to have an effect. Rivalry with Russia During the 19th century, Britain and the Russian Empire vied to fill the power vacuums that had been left by the declining Ottoman Empire, Qajar dynasty and Qing dynasty. This rivalry in Central Asia came to be known as the "Great Game". As far as Britain was concerned, defeats inflicted by Russia on Persia and Turkey demonstrated its imperial ambitions and capabilities and stoked fears in Britain of an overland invasion of India. In 1839, Britain moved to pre-empt this by invading Afghanistan, but the First Anglo-Afghan War was a disaster for Britain. When Russia invaded the Turkish Balkans in 1853, fears of Russian dominance in the Mediterranean and the Middle East led Britain and France to invade the Crimean Peninsula to destroy Russian naval capabilities. The ensuing Crimean War (1854–1856), which involved new techniques of modern warfare, was the only global war fought between Britain and another imperial power during the Pax Britannica and was a resounding defeat for Russia. The situation remained unresolved in Central Asia for two more decades, with Britain annexing Baluchistan in 1876 and Russia annexing Kirghizia, Kazakhstan, and Turkmenistan. For a while, it appeared that another war would be inevitable, but the two countries reached an agreement on their respective spheres of influence in the region in 1878 and on all outstanding matters in 1907 with the signing of the Anglo-Russian Entente. The destruction of the Russian Navy by the Japanese at the Battle of Port Arthur during the Russo-Japanese War of 1904–1905 limited its threat to the British. Cape to Cairo The Dutch East India Company had founded the Cape Colony on the southern tip of Africa in 1652 as a way station for its ships travelling to and from its colonies in the East Indies. Britain formally acquired the colony, and its large Afrikaner (or Boer) population in 1806, having occupied it in 1795 to prevent its falling into French hands during the Flanders Campaign. British immigration began to rise after 1820, and pushed thousands of Boers, resentful of British rule, northwards to found their own—mostly short-lived—independent republics, during the Great Trek of the late 1830s and early 1840s. In the process the Voortrekkers clashed repeatedly with the British, who had their own agenda with regard to colonial expansion in South Africa and to the various native African polities, including those of the Sotho and the Zulu nations. Eventually, the Boers established two republics that had a longer lifespan: the South African Republic or Transvaal Republic (1852–1877; 1881–1902) and the Orange Free State (1854–1902). In 1902 Britain occupied both republics, concluding a treaty with the two Boer Republics following the Second Boer War (1899–1902). In 1869 the Suez Canal opened under Napoleon III, linking the Mediterranean with the Indian Ocean. Initially the Canal was opposed by the British; but once opened, its strategic value was quickly recognised and became the "jugular vein of the Empire". In 1875, the Conservative government of Benjamin Disraeli bought the indebted Egyptian ruler Isma'il Pasha's 44 per cent shareholding in the Suez Canal for £4 million (equivalent to £ in ). Although this did not grant outright control of the strategic waterway, it did give Britain leverage. Joint Anglo-French financial control over Egypt ended in outright British occupation in 1882. Although Britain controlled Egypt into the 20th century, it was officially part of the Ottoman Empire and not part of the British Empire. The French were still majority shareholders and attempted to weaken the British position, but a compromise was reached with the 1888 Convention of Constantinople, which made the Canal officially neutral territory. With competitive French, Belgian and Portuguese activity in the lower Congo River region undermining orderly colonisation of tropical Africa, the Berlin Conference of 1884–85 was held to regulate the competition between the European powers in what was called the "Scramble for Africa" by defining "effective occupation" as the criterion for international recognition of territorial claims. The scramble continued into the 1890s, and caused Britain to reconsider its decision in 1885 to withdraw from Sudan. A joint force of British and Egyptian troops defeated the Mahdist Army in 1896 and rebuffed an attempted French invasion at Fashoda in 1898. Sudan was nominally made an Anglo-Egyptian condominium, but a British colony in reality. British gains in Southern and East Africa prompted Cecil Rhodes, pioneer of British expansion in Southern Africa, to urge a "Cape to Cairo" railway linking the strategically important Suez Canal to the mineral-rich south of the continent. During the 1880s and 1890s, Rhodes, with his privately owned British South Africa Company, occupied and annexed territories named after him, Rhodesia. Changing status of the white colonies The path to independence for the white colonies of the British Empire began with the 1839 Durham Report, which proposed unification and self-government for Upper and Lower Canada, as a solution to political unrest which had erupted in armed rebellions in 1837. This began with the passing of the Act of Union in 1840, which created the Province of Canada. Responsible government was first granted to Nova Scotia in 1848, and was soon extended to the other British North American colonies. With the passage of the British North America Act, 1867 by the British Parliament, the Province of Canada, New Brunswick and Nova Scotia were formed into Canada, a confederation enjoying full self-government with the exception of international relations. Australia and New Zealand achieved similar levels of self-government after 1900, with the Australian colonies federating in 1901. The term "dominion status" was officially introduced at the 1907 Imperial Conference. The last decades of the 19th century saw concerted political campaigns for Irish home rule. Ireland had been united with Britain into the United Kingdom of Great Britain and Ireland with the Act of Union 1800 after the Irish Rebellion of 1798, and had suffered a severe famine between 1845 and 1852. Home rule was supported by the British Prime minister, William Gladstone, who hoped that Ireland might follow in Canada's footsteps as a Dominion within the empire, but his 1886 Home Rule bill was defeated in Parliament. Although the bill, if passed, would have granted Ireland less autonomy within the UK than the Canadian provinces had within their own federation, many MPs feared that a partially independent Ireland might pose a security threat to Great Britain or mark the beginning of the break-up of the empire. A second Home Rule bill was defeated for similar reasons. A third bill was passed by Parliament in 1914, but not implemented because of the outbreak of the First World War leading to the 1916 Easter Rising. World wars (1914–1945) By the turn of the 20th century, fears had begun to grow in Britain that it would no longer be able to defend the metropole and the entirety of the empire while at the same time maintaining the policy of "splendid isolation". Germany was rapidly rising as a military and industrial power and was now seen as the most likely opponent in any future war. Recognising that it was overstretched in the Pacific and threatened at home by the Imperial German Navy, Britain formed an alliance with Japan in 1902 and with its old enemies France and Russia in 1904 and 1907, respectively. First World War Britain's fears of war with Germany were realised in 1914 with the outbreak of the First World War. Britain quickly invaded and occupied most of Germany's overseas colonies in Africa. In the Pacific, Australia and New Zealand occupied German New Guinea and German Samoa respectively. Plans for a post-war division of the Ottoman Empire, which had joined the war on Germany's side, were secretly drawn up by Britain and France under the 1916 Sykes–Picot Agreement. This agreement was not divulged to the Sharif of Mecca, who the British had been encouraging to launch an Arab revolt against their Ottoman rulers, giving the impression that Britain was supporting the creation of an independent Arab state. The British declaration of war on Germany and its allies committed the colonies and Dominions, which provided invaluable military, financial and material support. Over 2.5 million men served in the armies of the Dominions, as well as many thousands of volunteers from the Crown colonies. The contributions of Australian and New Zealand troops during the 1915 Gallipoli Campaign against the Ottoman Empire had a great impact on the national consciousness at home and marked a watershed in the transition of Australia and New Zealand from colonies to nations in their own right. The countries continue to commemorate this occasion on Anzac Day. Canadians viewed the Battle of Vimy Ridge in a similar light. The important contribution of the Dominions to the war effort was recognised in 1917 by the British Prime Minister David Lloyd George when he invited each of the Dominion Prime Ministers to join an Imperial War Cabinet to co-ordinate imperial policy. Under the terms of the concluding Treaty of Versailles signed in 1919, the empire reached its greatest extent with the addition of and 13 million new subjects. The colonies of Germany and the Ottoman Empire were distributed to the Allied powers as League of Nations mandates. Britain gained control of Palestine, Transjordan, Iraq, parts of Cameroon and Togoland, and Tanganyika. The Dominions themselves acquired mandates of their own: the Union of South Africa gained South West Africa (modern-day Namibia), Australia gained New Guinea, and New Zealand Western Samoa. Nauru was made a combined mandate of Britain and the two Pacific Dominions. Inter-war period The changing world order that the war had brought about, in particular the growth of the United States and Japan as naval powers, and the rise of independence movements in India and Ireland, caused a major reassessment of British imperial policy. Forced to choose between alignment with the United States or Japan, Britain opted not to renew its Japanese alliance and instead signed the 1922 Washington Naval Treaty, where Britain accepted naval parity with the United States. This decision was the source of much debate in Britain during the 1930s as militaristic governments took hold in Germany and Japan helped in part by the Great Depression, for it was feared that the empire could not survive a simultaneous attack by both nations. The issue of the empire's security was a serious concern in Britain, as it was vital to the British economy. In 1919, the frustrations caused by delays to Irish home rule led the MPs of Sinn Féin, a pro-independence party that had won a majority of the Irish seats in the 1918 British general election, to establish an independent parliament in Dublin, at which Irish independence was declared. The Irish Republican Army simultaneously began a guerrilla war against the British administration. The Irish War of Independence ended in 1921 with a stalemate and the signing of the Anglo-Irish Treaty, creating the Irish Free State, a Dominion within the British Empire, with effective internal independence but still constitutionally linked with the British Crown. Northern Ireland, consisting of six of the 32 Irish counties which had been established as a devolved region under the 1920 Government of Ireland Act, immediately exercised its option under the treaty to retain its existing status within the United Kingdom. A similar struggle began in India when the Government of India Act 1919 failed to satisfy the demand for independence. Concerns over communist and foreign plots following the Ghadar conspiracy ensured that war-time strictures were renewed by the Rowlatt Acts. This led to tension, particularly in the Punjab region, where repressive measures culminated in the Amritsar Massacre. In Britain, public opinion was divided over the morality of the massacre, between those who saw it as having saved India from anarchy, and those who viewed it with revulsion. The non-cooperation movement was called off in March 1922 following the Chauri Chaura incident, and discontent continued to simmer for the next 25 years. In 1922, Egypt, which had been declared a British protectorate at the outbreak of the First World War, was granted formal independence, though it continued to be a British client state until 1954. British troops remained stationed in Egypt until the signing of the Anglo-Egyptian Treaty in 1936, under which it was agreed that the troops would withdraw but continue to occupy and defend the Suez Canal zone. In return, Egypt was assisted in joining the League of Nations. Iraq, a British mandate since 1920, gained membership of the League in its own right after achieving independence from Britain in 1932. In Palestine, Britain was presented with the problem of mediating between the Arabs and increasing numbers of Jews. The Balfour Declaration, which had been incorporated into the terms of the mandate, stated that a national home for the Jewish people would be established in Palestine, and Jewish immigration allowed up to a limit that would be determined by the mandatory power. This led to increasing conflict with the Arab population, who openly revolted in 1936. As the threat of war with Germany increased during the 1930s, Britain judged the support of Arabs as more important than the establishment of a Jewish homeland, and shifted to a pro-Arab stance, limiting Jewish immigration and in turn triggering a Jewish insurgency. The right of the Dominions to set their own foreign policy, independent of Britain, was recognised at the 1923 Imperial Conference. Britain's request for military assistance from the Dominions at the outbreak of the Chanak Crisis the previous year had been turned down by Canada and South Africa, and Canada had refused to be bound by the 1923 Treaty of Lausanne. After pressure from the Irish Free State and South Africa, the 1926 Imperial Conference issued the Balfour Declaration of 1926, declaring the Dominions to be "autonomous Communities within the British Empire, equal in status, in no way subordinate one to another" within a "British Commonwealth of Nations". This declaration was given legal substance under the 1931 Statute of Westminster. The parliaments of Canada, Australia, New Zealand, the Union of South Africa, the Irish Free State and Newfoundland were now independent of British legislative control, they could nullify British laws and Britain could no longer pass laws for them without their consent. Newfoundland reverted to colonial status in 1933, suffering from financial difficulties during the Great Depression. In 1937 the Irish Free State introduced a republican constitution renaming itself Ireland. Second World War Britain's declaration of war against Nazi Germany in September 1939 included the Crown colonies and India but did not automatically commit the Dominions of Australia, Canada, New Zealand, Newfoundland and South Africa. All soon declared war on Germany. While Britain continued to regard Ireland as still within the British Commonwealth, Ireland chose to remain legally neutral throughout the war. After the Fall of France in June 1940, Britain and the empire stood alone against Germany, until the German invasion of Greece on 7 April 1941. British Prime Minister Winston Churchill successfully lobbied President Franklin D. Roosevelt for military aid from the United States, but Roosevelt was not yet ready to ask Congress to commit the country to war. In August 1941, Churchill and Roosevelt met and signed the Atlantic Charter, which included the statement that "the rights of all peoples to choose the form of government under which they live" should be respected. This wording was ambiguous as to whether it referred to European countries invaded by Germany and Italy, or the peoples colonised by European nations, and would later be interpreted differently by the British, Americans, and nationalist movements. For Churchill, the entry of the United States into the war was the "greatest joy". He felt that Britain was now assured of victory, but failed to recognise that the "many disasters, immeasurable costs and tribulations [which he knew] lay ahead" in December 1941 would have permanent consequences for the future of the empire. The manner in which British forces were rapidly defeated in the Far East irreversibly harmed Britain's standing and prestige as an imperial power, including, particularly, the Fall of Singapore, which had previously been hailed as an impregnable fortress and the eastern equivalent of Gibraltar. The realisation that Britain could not defend its entire empire pushed Australia and New Zealand, which now appeared threatened by Japanese forces, into closer ties with the United States and, ultimately, the 1951 ANZUS Pact. The war weakened the empire in other ways: undermining Britain's control of politics in India, inflicting long term economic damage, and irrevocably changing geopolitics by pushing the Soviet Union and the United States to the centre of the global stage. Decolonisation and decline (1945–1997) Though Britain and the empire emerged victorious from the Second World War, the effects of the conflict were profound, both at home and abroad. Much of Europe, a continent that had dominated the world for several centuries, was in ruins, and host to the armies of the United |
with low body temperature. Holden died in 1981 and Niven in 1983, so this would never come to pass. A number of filmmakers were attached to Mankiewicz' script, including Ivan Reitman and Joe Dante. Reitman wanted to cast Bill Murray as Batman and Eddie Murphy as Robin. Nine rewrites were performed by nine separate writers. Most of them were based on Strange Apparitions. However, it was Mankiewicz's script that was still being used to guide the project. Due to the work they did together with the film Swamp Thing (1982), Wes Craven was among the directors that Melniker and Uslan considered while looking for a director. After the financial success of Pee-wee's Big Adventure (1985), Warner Bros. hired Tim Burton to direct Batman. Burton had then-girlfriend Julie Hickson write a new 30-page film treatment, feeling the previous script by Mankiewicz was campy. The success of The Dark Knight Returns and the graphic novel Batman: The Killing Joke rekindled Warner Bros.' interest in a film adaptation. Burton was initially not a comic book fan, but he was impressed by the dark and serious tone found in both The Dark Knight Returns and The Killing Joke. Warner Bros. enlisted the aid of Englehart to write a new treatment in March 1986. Like Mankiewicz's script, it was based on his own Strange Apparitions, and included Silver St. Cloud, Dick Grayson, the Joker and Rupert Thorne, as well as a cameo appearance by the Penguin. Warner Bros. was impressed, but Englehart felt there were too many characters. He removed the Penguin and Dick Grayson in his second treatment, finishing in May 1986. Burton approached Sam Hamm, a comic book fan, to write the screenplay. Hamm decided not to use an origin story, feeling that flashbacks would be more suitable and that "unlocking the mystery" would become part of the storyline. He reasoned, "You totally destroy your credibility if you show the literal process by which Bruce Wayne becomes Batman." Hamm replaced Silver St. Cloud with Vicki Vale and Rupert Thorne with his own creation, Carl Grissom. He completed his script in October 1986, which demoted Dick Grayson to a cameo rather than a supporting character. One scene in Hamm's script had a young James Gordon on duty the night of the murder of Bruce Wayne's parents. When Hamm's script was rewritten, the scene was deleted, reducing it to a photo in the Gotham Globe newspaper seen in the film. Warner Bros. was less willing to move forward on development, despite their enthusiasm for Hamm's script, which Kane greeted with positive feedback. Hamm's script was then bootlegged at various comic book stores in the United States. Batman was finally given the greenlight to commence pre-production in April 1988, after the success of Burton's Beetlejuice (1988). When comic book fans found out about Burton directing the film with Michael Keaton starring in the lead role, controversy arose over the tone and direction Batman was going in. Hamm explained, "They hear Tim Burton's name and they think of Pee-wee's Big Adventure. They hear Keaton's name and they think of any number of Michael Keaton comedies. You think of the 1960s version of Batman, and it was the complete opposite of our film. We tried to market it with a typical dark and serious tone, but the fans didn't believe us." To combat negative reports on the film's production, Kane was hired as creative consultant. Batman's co-creator, Bill Finger, was uncredited at the time of the film's release and his name was not added to any Batman-related media until 2016. Casting Parallel to the Superman casting, a who's who of Hollywood top stars were considered for the role of Batman, including Mel Gibson, Kevin Costner, Charlie Sheen, Tom Selleck, Bill Murray, Harrison Ford and Dennis Quaid. Burton was pressured by Warner Bros. to cast an obvious action movie star, and had approached Pierce Brosnan, but he had no interest in playing a comic book character. Burton was originally interested in casting an unknown actor, Willem Dafoe, who was falsely reported to be considered for the Joker, but had actually been considered for Batman early in development. Producer Jon Peters suggested Michael Keaton, arguing he had the right "edgy, tormented quality" after having seen his dramatic performance in Clean and Sober. Having directed Keaton in Beetlejuice, Burton agreed. Keaton's casting caused a controversy among comic book fans, with 50,000 protest letters sent to Warner Bros. offices. Kane, Hamm, and Uslan also heavily questioned the casting. "Obviously there was a negative response from the comic book people. I think they thought we were going to make it like the 1960s TV series, and make it campy, because they thought of Michael Keaton from Mr. Mom and Night Shift and stuff like that." Keaton studied The Dark Knight Returns for inspiration. Tim Curry, David Bowie, John Lithgow, Brad Dourif, Ray Liotta and James Woods were considered for the Joker. Lithgow, during his audition, attempted to talk Burton out of casting him, a decision he would later publicly regret, stating, "I didn't realize it was such a big deal." Burton wanted to cast John Glover, but the studio insisted on using a movie star. Robin Williams lobbied hard for the part. Jack Nicholson had been the studio's top choice since 1980. Peters approached Nicholson as far back as 1986, during filming of The Witches of Eastwick; unlike Keaton, he was a popular choice for his role. Nicholson had what was known as an "off-the-clock" agreement. His contract specified the number of hours he was entitled to have off each day, from the time he left the set to the time he reported back for filming, as well as being off for Los Angeles Lakers home games. Nicholson demanded that all of his scenes be shot in a three-week block, but the schedule lapsed into 106 days. He reduced his standard $10 million fee to $6 million in exchange for a cut of the film's earnings (including associated merchandise), which led to remuneration in excess of $50 million—biographer Marc Eliot reports that Nicholson may have received as much as $90 million. He also demanded top billing on promotional materials. Sean Young was originally cast as Vicki Vale, but was injured in a horse-riding accident prior to commencement of filming. Young's departure necessitated an urgent search for an actress who, besides being right for the part, could commit to the film at very short notice. Peters suggested Kim Basinger: she was able to join the production immediately and was cast. As a fan of Michael Gough's work in various Hammer Film Productions, Burton cast Gough as Bruce Wayne's mysterious butler, Alfred. Robert Wuhl was cast as reporter Alexander Knox. His character was originally supposed to die by the Joker's poison gas in the climax, but the filmmakers "liked [my] character so much," Wuhl said, "that they decided to let me live." Burton chose Billy Dee Williams as Harvey Dent because he wanted to include the villain Two-Face in a future film using the concept of an African-American Two-Face for the black and white concept, but Tommy Lee Jones was later cast in the role for Batman Forever, which disappointed Williams. Nicholson convinced the filmmakers to cast his close friend Tracey Walter as the Joker's henchman, Bob. Irish child actor Ricky Addison Reed was cast as Dick Grayson before the character was removed by Warren Skarren for the revised shooting script. The rest of the cast included Pat Hingle as Commissioner Gordon, Jerry Hall as Alicia, Lee Wallace as Mayor Borg, William Hootkins as Lt. Eckhardt, and Jack Palance as crime boss Carl Grissom. Design Burton had been impressed with the design of Neil Jordan's The Company of Wolves (1984), but was unable to hire its production designer Anton Furst for Beetlejuice as Furst had instead committed to Jordan's London-filmed ghost comedy High Spirits (1988), a choice he later regretted. A year later Burton successfully hired Furst for Batman, and they enjoyed working with each other. "I don't think I've ever felt so naturally in tune with a director," Furst said. "Conceptually, spiritually, visually, or artistically. There was never any problem because we never fought over anything. Texture, attitude and feelings are what Burton is a master at." Furst and the art department deliberately mixed clashing architectural styles to "make Gotham City the ugliest and bleakest metropolis imaginable". Furst continued, "[W]e imagined what New York City might have become without a planning commission. A city run by crime, with a riot of architectural styles. An essay in ugliness. As if hell erupted through the pavement and kept on going". The 1985 film Brazil by Terry Gilliam was also a notable influence upon the film's production design, as both Burton and Furst studied it as a reference. Black and white charcoal drawings of key locations and sets were created by Furst's longtime draftsman, Nigel Phelps. Derek Meddings served as the visual effects supervisor, overseeing the miniatures and animation. Conceptual illustrator Julian Caldow designed the Batmobile, Batwing and assorted bat-gadgets that were later constructed by prop builder John Evans. Keith Short sculpted the final body of the 1989 Batmobile, adding two Browning machine guns. On designing the Batmobile, Furst explained, "We looked at jet aircraft components, we looked at war machines, we looked at all sorts of things. In the end, we went into pure expressionism, taking the Salt Flat Racers of the 30s and the Sting Ray macho machines of the 50s". The car was built upon a Chevrolet Impala when previous development with a Jaguar and Ford Mustang failed. The car itself was later purchased by standup comedian/ventriloquist Jeff Dunham, who had it outfitted with a Corvette engine to make it street legal. Costume designer Bob Ringwood turned down the chance to work on Licence to Kill in favor of Batman. Ringwood found it difficult designing the Batsuit because "the image of Batman in the comics is this huge, big six-foot-four hunk with a dimpled chin. Michael Keaton is a guy with average build", he stated. "The problem was to make somebody who was average-sized and ordinary-looking into this bigger-than-life creature." Burton commented, "Michael is a bit claustrophobic, which made it worse for him. The costume put him in a dark, Batman-like mood though, so he was able to use it to his advantage". Burton's idea was to use an all-black suit, and was met with positive feedback by Bob Kane. Vin Burnham was tasked with sculpting the Batsuit, in association with Alli Eynon. Jon Peters wanted to use a Nike product placement with the Batsuit. Ringwood studied over 200 comic book issues for inspiration. 28 sculpted latex designs were created; 25 different cape looks and 6 different heads were made, accumulating a total cost of $250,000. Comic book fans initially expressed negative feedback against the Batsuit. Burton opted not to use tights, spandex, or underpants as seen in the comic book, feeling it was not intimidating. Prosthetic makeup designer Nick Dudman used acrylic-based makeup paint called PAX for Nicholson's chalk-white face. Part of Nicholson's contract was approval over the makeup designer. Filming The filmmakers considered filming Batman entirely on the Warner Bros. backlot in Burbank, California, but media interest in the film made them change the location. It was shot at Pinewood Studios in England from October 10, 1988 to February 14, 1989 with 80 days of main shooting and 86 days of second unit shooting. 18 sound stages were used, with 7 stages occupied, including the 51 acre backlot for the Gotham City set, one of the biggest ever built at the studio. Locations included Knebworth House and Hatfield House doubling for Wayne Manor, plus Acton Lane Power Station and Little Barford Power Station. The original production budget escalated from $30 million to $48 million. Filming was highly secretive. The unit publicist was offered and refused £10,000 for the first pictures of Jack Nicholson as the Joker. The police were later called in when two reels of footage (about 20 minutes' worth) were stolen. With various problems during filming, Burton called it "Torture. The worst period of my life!" Hamm was not allowed to perform rewrites during the 1988 Writers Guild of America strike. Warren Skaaren, who had also worked on Burton's Beetlejuice, did rewrites. Jonathan Gems and Charles McKeown rewrote the script during filming. Only Skaaren received screenplay credit with Hamm. Hamm criticized the rewrites, but blamed the changes on Warner Bros. Burton explained, "I don't understand why that became such a problem. We started out with a script that everyone liked, although we recognized it needed a little work." Dick Grayson appeared in the shooting script but was deleted, as the filmmakers felt he was irrelevant to the plot; Kane supported this decision. Keaton used his comedic experience for scenes such as Bruce and Vicki's Wayne Manor dinner. He called himself a "logic freak" and was concerned that Batman's secret identity would in reality be fairly easy to uncover. Keaton discussed ideas with Burton to better disguise the character, including the | the Joker, having Batman inadvertently cause gangster Jack Napier to fall into Axis Chemical acid, triggering his transformation into the psychopathic Joker. Numerous A-list actors were considered for the role of Batman before Keaton was cast. Keaton's casting was controversial since, by 1988, he had become typecast as a comedic actor and many observers doubted he could portray a serious role. Nicholson accepted the role of the Joker under strict conditions that dictated top billing, a portion of the film's earnings (including associated merchandise), and his own shooting schedule. Filming took place at Pinewood Studios from October 1988 to January 1989. The budget escalated from $30 million to $48 million, while the 1988 Writers Guild of America strike forced Hamm to drop out. Warren Skaaren did rewrites, with additional uncredited drafts done by Charles McKeown and Jonathan Gems. Batman was both critically and financially successful, earning over $400 million in box office totals. It was the fifth-highest-grossing film in history at the time of its release. The film received several Saturn Award nominations and a Golden Globe nomination for Nicholson's performance, and won the Academy Award for Best Art Direction. It also inspired the equally successful Batman: The Animated Series, paving the way for the DC Animated Universe, and has influenced Hollywood's modern marketing and development techniques of the superhero film genre. The film was followed by three sequels: Batman Returns (1992), with both Burton and Keaton returning; Batman Forever (1995) which had Val Kilmer as Batman, and Batman & Robin (1997), which had George Clooney in the title role. Plot As Gotham City approaches its bicentennial, Mayor Borg orders district attorney Harvey Dent and police Commissioner Gordon to make the city safer by incarcerating mob boss Carl Grissom. Meanwhile, reporter Alexander Knox and photojournalist Vicki Vale investigate sightings of a masked vigilante called "Batman" who is targeting the city's criminals. Both attend a fundraiser hosted by billionaire industrialist Bruce Wayne, who is secretly Batman, having chosen this path after witnessing a mugger murder his parents when he was a child. During the event, Bruce becomes infatuated with Vale, but interrupts their meeting to secretly pursue Gordon when he leaves on police business. Grissom sends his sociopathic second-in-command Jack Napier to raid Axis Chemicals to retrieve incriminating evidence, though it is a cover to have Napier murdered for sleeping with his mistress Alicia Hunt. Although corrupt police lieutenant Max Eckhardt arranges the hit on Napier by conducting an unauthorized police operation, Gordon arrives, takes command, and orders officers to capture Napier alive as a potential witness. Batman also arrives to catch Napier, who kills Eckhardt as revenge for double-crossing him. During a scuffle with Batman, Napier topples off a catwalk and falls into a vat of acidic chemicals. Although presumed dead, Napier survives with various disfigurements including chalk white skin and emerald green hair and nails. He undergoes surgery from a surgeon to repair the damage, but ends up with a rictus grin. Driven insane by his new appearance, Napier, now calling himself "the Joker", kills Grissom at his estate, massacres Grissom's associates and takes over his operations. Batman researches a way to stop the Joker from terrorizing Gotham with hygiene products laced with "Smylex" – a deadly chemical which causes victims to literally die laughing with the same maniacal grin as the Joker. The Joker soon becomes obsessed with Vicki and lures her to the Gotham Museum of Art, where his henchmen destroy the works of art within. Batman arrives and rescues Vicki before taking her to his Batcave, providing her with all of his research on Smylex that will allow the city's residents to escape the toxin. Conflicted with his love for her, Bruce visits her apartment intending to reveal his secret identity, only for the Joker to interrupt the meeting. The Joker confronts Bruce with the question "Have you ever danced with the devil in the pale moonlight?" which the latter recalls being used by the mugger who killed his parents. The Joker then shoots Bruce, but he survives thanks to a serving tray hidden underneath his shirt, and escapes while the Joker is distracted. At the Batcave, Bruce reminisces on his parents' murder, and realizes that the Joker was their killer. Vicki is taken to the Batcave by Bruce's butler, Alfred, who had been coaxing the relationship between the pair to bring out Bruce's human side. After exposing his secret to Vicki, Bruce reveals he cannot focus on their relationship with the Joker on the loose, and departs to destroy the Axis plant used to create Smylex. Meanwhile, the Joker lures Gotham's citizens to a parade with the promise of free money, in order to dose them with Smylex gas held within giant parade balloons. Batman foils his plan by using his Batwing to remove the balloons, but the Joker shoots him down. The Batwing crashes in front of a cathedral, and the Joker takes Vicki hostage within it. Batman pursues the Joker to the top of the cathedral, and in the ensuing fight, he reveals that he knows Napier killed his parents and, thus, indirectly created Batman before the latter created the Joker, leading the Joker to realize Batman is Bruce. The Joker eventually pulls Batman and Vicki over the balcony of the cathedral, leaving them hanging while he attempts to escape by calling in a helicopter piloted by his goons, who throw down a ladder for him to climb. However, Batman uses a grappling hook to attach the Joker's leg to a gargoyle. Unable to bear its immense weight, the Joker falls to his death while Batman and Vicki make it to safety. Sometime later, Gordon announces that the police have arrested all of the Joker's men and unveils the Bat-Signal. Dent reads a note from Batman, promising that he will defend Gotham should crime strike again, and asks them to use the Bat-Signal to summon him in times of need. Alfred takes Vicki to Wayne Manor, explaining that Bruce will be a little late. She responds that she is not surprised, as Batman looks at the signal's projection from a rooftop, standing watch over the city. Cast Jack Nicholson as Jack Napier / the Joker Michael Keaton as Bruce Wayne / Batman Kim Basinger as Vicki Vale Robert Wuhl as Alexander Knox Pat Hingle as Commissioner Gordon Billy Dee Williams as Harvey Dent Michael Gough as Alfred Pennyworth Jack Palance as Carl Grissom Jerry Hall as Alicia Hunt Tracey Walter as Bob the Goon Lee Wallace as Mayor Borg William Hootkins as Lt. Max Eckhardt Hugo E. Blick as Young Jack Napier Charles Roskilly as Young Bruce Wayne David Baxt as Thomas Wayne Sharon Holm as Martha Wayne Garrick Hagon as Tourist Dad Liza Ross as Tourist Mom Adrian Meyers as Tourist Son Production Development In the late 1970s, Batman's popularity was waning. CBS was interested in producing a Batman in Outer Space film. Producers Benjamin Melniker and Michael E. Uslan purchased the film rights of Batman from DC Comics on October 3, 1979. It was Uslan's wish "to make the definitive, dark, serious version of Batman, the way Bob Kane and Bill Finger had envisioned him in 1939. A creature of the night; stalking criminals in the shadows." Richard Maibaum was approached to write a script with Guy Hamilton to direct, but the two turned down the offer. Uslan was unsuccessful with pitching Batman to various movie studios because they wanted the film to be similar to the campy 1960s television series. Columbia Pictures and United Artists were among those to turn down the film. A disappointed Uslan then wrote a script titled Return of the Batman to give the film industry a better idea of his vision for the film. Uslan later compared its dark tone to that of the successful four-part comic book The Dark Knight Returns, which his script pre-dated by six years. In November 1979, producers Jon Peters and Peter Guber joined the project. Melniker and Uslan became executive producers. The four felt it was best to pattern the film's development after that of Superman (1978). Uslan, Melniker and Guber pitched Batman to Universal Pictures, but the studio turned it down. Though no movie studios were yet involved, the project was publicly announced with a budget of $15 million in July 1980 at the Comic Art Convention in New York. Warner Bros., the studio behind the successful Superman film franchise, decided to also accept and produce Batman. Tom Mankiewicz completed a script titled The Batman in June 1983, focusing on Batman and Dick Grayson's origins, with the Joker and Rupert Thorne as villains, and Silver St. Cloud as the romantic interest. Mankiewicz took inspiration from the limited series Batman: Strange Apparitions, written by Steve Englehart. Comic book artist Marshall Rogers, who worked with Englehart on Strange Apparitions, was hired for concept art. The Batman was then announced in late 1983 for a mid-1985 release date on a budget of $20 million. Originally, Mankiewicz had wanted an unknown actor for Batman, William Holden for James Gordon, David Niven as Alfred Pennyworth, and Peter O'Toole as the Penguin, whom Mankiewicz wanted to portray as a mobster with low body temperature. Holden died in 1981 and Niven in 1983, so this would never come to pass. A number of filmmakers were attached to Mankiewicz' script, including Ivan Reitman and Joe Dante. Reitman wanted to cast Bill Murray as Batman and Eddie Murphy as Robin. Nine rewrites were performed by nine separate writers. Most of them were based on Strange Apparitions. However, it was Mankiewicz's script that was still being used to guide the project. Due to the work they did together with the film Swamp Thing (1982), Wes Craven was among the directors that Melniker and Uslan considered while looking for a director. After the financial success of Pee-wee's Big Adventure (1985), Warner Bros. hired Tim Burton to direct Batman. Burton had then-girlfriend Julie Hickson write a new 30-page film treatment, feeling the previous script by Mankiewicz was campy. The success of The Dark Knight Returns and the graphic novel Batman: The Killing Joke rekindled Warner Bros.' interest in a film adaptation. Burton was initially not a comic book fan, but he was impressed by the dark and serious tone found in both The Dark Knight Returns and The Killing Joke. Warner Bros. enlisted the aid of Englehart to write a new treatment in March 1986. Like Mankiewicz's script, it was based on his own Strange Apparitions, and included Silver St. Cloud, Dick Grayson, the Joker and Rupert Thorne, as well as a cameo appearance by the Penguin. Warner Bros. was impressed, but Englehart felt there were too many characters. He removed the Penguin and Dick Grayson in his second treatment, finishing in May 1986. Burton approached Sam Hamm, a comic book fan, to write the screenplay. Hamm decided not to use an origin story, feeling that flashbacks would be more suitable and that "unlocking the mystery" would become part of the storyline. He reasoned, "You totally destroy your credibility if you show the literal process by which Bruce Wayne becomes Batman." Hamm replaced Silver St. Cloud with Vicki Vale and Rupert Thorne with his own creation, Carl Grissom. He completed his script in October 1986, which demoted Dick Grayson to a cameo rather than a supporting character. One scene in Hamm's script had a young James Gordon on duty the night of the murder of Bruce Wayne's parents. When Hamm's script was rewritten, the scene was deleted, reducing it to a photo in the Gotham Globe newspaper seen in the film. Warner Bros. was less willing to move forward on development, despite their enthusiasm for Hamm's script, which Kane greeted with positive feedback. Hamm's script was then bootlegged at various comic book stores in the United States. Batman was finally given the greenlight to commence pre-production in April 1988, after the success of Burton's Beetlejuice (1988). When comic book fans found out about Burton directing the film with Michael Keaton starring in the lead role, controversy arose over the tone and direction Batman was going in. Hamm explained, "They hear Tim Burton's name and they think of Pee-wee's Big Adventure. They hear Keaton's name and they think of any number of Michael Keaton comedies. You think of the 1960s version of Batman, and it was the complete opposite of our film. We tried to market it with a typical dark and serious tone, but the fans didn't believe us." To combat negative reports on the film's production, Kane was hired as creative consultant. Batman's co-creator, Bill Finger, was uncredited at the time of the film's release and his name was not added to any Batman-related media until 2016. Casting Parallel to the Superman casting, a who's who of Hollywood top stars were considered for the role of Batman, including Mel Gibson, Kevin Costner, Charlie Sheen, Tom Selleck, Bill Murray, Harrison Ford and Dennis Quaid. Burton was pressured by Warner Bros. to cast an obvious action movie star, and had approached Pierce Brosnan, but he had no interest in playing a comic book character. Burton was originally interested in casting an unknown actor, Willem Dafoe, who was falsely reported to be considered for the Joker, but had actually been considered for Batman early in development. Producer Jon Peters suggested Michael Keaton, arguing he had the right "edgy, tormented quality" after having seen his dramatic performance in Clean and Sober. Having directed Keaton in Beetlejuice, Burton agreed. Keaton's casting caused a controversy among comic book fans, with 50,000 protest letters sent to Warner Bros. offices. Kane, Hamm, and Uslan also heavily questioned the casting. "Obviously there was a negative response from the comic book people. I think they thought we were going to make it like the 1960s TV series, and make it campy, because they thought of Michael Keaton from Mr. Mom and Night Shift and stuff like that." Keaton studied The Dark Knight Returns for inspiration. Tim Curry, David Bowie, John Lithgow, Brad Dourif, Ray Liotta and James Woods were considered for the Joker. Lithgow, during his audition, attempted to talk Burton out of casting him, a decision he would later publicly regret, stating, "I didn't realize it was such a big deal." Burton wanted to cast John Glover, but the studio insisted on using a movie star. Robin Williams lobbied hard for the part. Jack Nicholson had been the studio's top choice since 1980. Peters approached Nicholson as far back as 1986, during filming of The Witches of Eastwick; unlike Keaton, he was a popular choice for his role. Nicholson had what was known as an "off-the-clock" agreement. His contract specified the number of hours he was entitled to have off each day, from the time he left the set to the time he reported back for filming, as well as being off for Los Angeles Lakers home games. Nicholson demanded that all of his scenes be shot in a three-week block, but the schedule lapsed into 106 days. He reduced his standard $10 million fee to $6 million in exchange for a cut of the film's earnings (including associated merchandise), which led to remuneration in excess of $50 million—biographer Marc Eliot reports that Nicholson may have received as much as $90 million. He also demanded top billing on promotional materials. Sean Young was originally cast as Vicki Vale, but was injured in a horse-riding accident prior to commencement of filming. Young's departure necessitated an urgent search for an actress who, besides being right for the part, could commit to the film at very short notice. Peters suggested Kim Basinger: she was able to join the production immediately and was cast. As a fan of Michael Gough's work in various Hammer Film Productions, Burton cast Gough as Bruce Wayne's mysterious butler, Alfred. Robert Wuhl was cast as reporter Alexander Knox. His character was originally supposed to die by the Joker's poison gas in the climax, but the filmmakers "liked [my] character so much," Wuhl said, "that they decided to let me live." Burton chose Billy Dee Williams as Harvey Dent because he wanted to include the villain Two-Face in a future film using the concept of an African-American Two-Face for the black and white concept, but Tommy Lee Jones was later cast in the role for Batman Forever, which disappointed Williams. Nicholson convinced the filmmakers to cast his close friend Tracey Walter as the Joker's henchman, Bob. Irish child actor Ricky Addison Reed was cast as Dick Grayson before the character was removed by Warren Skarren for the revised shooting script. The rest of the cast included Pat Hingle as Commissioner Gordon, Jerry Hall as Alicia, Lee Wallace as Mayor Borg, William Hootkins as Lt. Eckhardt, and Jack Palance as crime boss Carl Grissom. Design Burton had been impressed with the design of Neil Jordan's The Company of Wolves (1984), but was unable to hire its production designer Anton Furst for Beetlejuice as Furst had instead committed to Jordan's London-filmed ghost comedy High Spirits (1988), a choice he later regretted. A year later Burton successfully hired Furst for |
to find out that his "true love" Miss Kitka is actually Catwoman when her mask falls off. Commodore Schmidlapp accidentally breaks the vials containing the powdered Council members and sneezes on them, scattering the dust. Batman sets to work, constructing an elaborate Super Molecular Dust Separator to filter the mingled dust. Robin asks him whether it might be in the world's best interests for them to alter the dust samples, so that humans can no longer harm one another. In response, Batman says that they cannot do so, reminding Robin of the fate of the Penguin's henchmen and their tainted rehydration, and can only hope for people in general to learn to live together peacefully on their own. With the world watching, the Security Council is re-hydrated. All of the members are restored alive and well, but continue to squabble amongst themselves, totally oblivious of their surroundings; however, each of them now speaks the language and displays the stereotypical mannerisms of a nation other than their own. Batman quietly expresses his sincere hope to Robin that this "strange mixing of minds" does more good than harm. The duo quietly leaves United World Headquarters by climbing out of the window and descending on their batropes. Cast Adam West as Bruce Wayne / Batman Burt Ward as Dick Grayson / Robin Lee Meriwether as The Catwoman Cesar Romero as The Joker Burgess Meredith as The Penguin Frank Gorshin as The Riddler Alan Napier as Alfred Neil Hamilton as Commissioner Gordon Stafford Repp as Chief O'Hara Madge Blake as Aunt Harriet Reginald Denny as Commodore Schmidlapp Milton Frome as Vice Admiral Fangschleister Gil Perkins as Bluebeard Dick Crockett as Morgan George Sawaya as Quetch Van Williams (uncredited voice) as President Lyndon B. Johnson The film includes most members of the original TV cast: the actors for Batman, Robin, Alfred, Gordon, O'Hara, Aunt Harriet, the Joker, the Penguin, and the Riddler all reprised their roles. Though Julie Newmar had at this point played Catwoman in two episodes of season one in the TV series, she had other commitments at that time and was replaced by Lee Meriwether in the film. According to the Biography special Catwoman: Her Many Lives, aired on July 20, 2004, Newmar was unable to reprise her role because of a back injury. Catwoman was nonetheless played by Newmar once again in the following eleven episodes of season two of the series; Eartha Kitt would then play Catwoman in three episodes of season three. Jack LaLanne has a cameo as a man on a rooftop with bikini-clad women. Production William Dozier wanted to make a big-screen film to generate interest in his proposed Batman television series by having the feature in theaters while the first season of the series was rolling before the cameras. The studio, 20th Century Fox, refused because it would have to cover the entire cost of a movie, while it would only have to share the cost of a TV series (a much less risky proposition). The studio acquiesced after a 1965 screening of Columbia Pictures's 1943 The Batman serial in New York City renewed interest in the character and after the television series became phenomenally successful. The project was announced in a March 26, 1966, issue of Variety magazine. The film features many characters from the show. It was written by series writer Lorenzo Semple Jr. and directed by Leslie H. Martinson, who had directed a pair of the television series season one episodes: "The Penguin Goes Straight" and "Not Yet, He Ain't". Semple Jr. completed the screenplay in 10 days. Principal photography began on April 28, 1966, and concluded within 28 days, with a further three days to complete second-unit photography. Tone and themes Even though it is often described (like many contemporary shows) as a parody of a popular comic-book character, some commentators believe that its comedy is not so tightly confined. They felt the film's depiction of the Caped Crusader "captured the feel of the contemporary comics perfectly". The film was made at a time when "the Batman of the Golden Age comics was already essentially neutered". Certain elements verge into direct parody of the history of Batman. The movie, like the TV series, is strongly influenced by the comparatively obscure 1940s serials of Batman, such as the escapes done almost out of luck. The penchant for giving devices a "Bat-" prefix and the dramatic use of stylized title cards during fight scenes acknowledge some of the conventions that the character had accumulated in various media. However, the majority of Batman's campier moments can be read as a broader parody on contemporary mid-1960s culture in general. Furthermore, the movie represented Batman's first major foray into Cold War issues paying heavy attention to Polaris Missiles, war surplus submarines and taking a poke at the Pentagon. The inclusion of a glory-hunting presidential character and the unfavorable portrayal of Security Council Members marked Batman's first attempts to poke fun at domestic and international politics. Vehicles Besides the Batmobile, other vehicles used by The Dynamic Duo include: Batcycle with side car Batboat, provided by Glastron Batcopter Of the three new Batvehicles which first appeared in the Batman film, only the Batcycle properly crossed over into the TV series as the budgetary limits of the TV series precluded the full use of the others. While the Batcopter and Batboat from the movie appeared briefly in episodes (including a use of the Batboat in the conclusion of the first post-film two-parter: "Walk the Straight and Narrow"), they primarily did so in the form of stock-footage scenes from the film intercut into the series. Music Nelson Riddle's original score to Batman the Movie was released in 2010 by La-La Land Records and Fox Music. The album contains the entire score as heard in the film in chronological order as well as an unreleased cue. This limited edition includes a lavishly illustrated color booklet which features exclusive liner notes by Brian Baterwhite. This Limited Edition was of 2000 units. It was newly re-issued in 2016. While the program and master of this release is identical to the 2010 release, this reissue features all-new exclusive liner notes by John Takis and art | Cesar Romero as The Joker Burgess Meredith as The Penguin Frank Gorshin as The Riddler Alan Napier as Alfred Neil Hamilton as Commissioner Gordon Stafford Repp as Chief O'Hara Madge Blake as Aunt Harriet Reginald Denny as Commodore Schmidlapp Milton Frome as Vice Admiral Fangschleister Gil Perkins as Bluebeard Dick Crockett as Morgan George Sawaya as Quetch Van Williams (uncredited voice) as President Lyndon B. Johnson The film includes most members of the original TV cast: the actors for Batman, Robin, Alfred, Gordon, O'Hara, Aunt Harriet, the Joker, the Penguin, and the Riddler all reprised their roles. Though Julie Newmar had at this point played Catwoman in two episodes of season one in the TV series, she had other commitments at that time and was replaced by Lee Meriwether in the film. According to the Biography special Catwoman: Her Many Lives, aired on July 20, 2004, Newmar was unable to reprise her role because of a back injury. Catwoman was nonetheless played by Newmar once again in the following eleven episodes of season two of the series; Eartha Kitt would then play Catwoman in three episodes of season three. Jack LaLanne has a cameo as a man on a rooftop with bikini-clad women. Production William Dozier wanted to make a big-screen film to generate interest in his proposed Batman television series by having the feature in theaters while the first season of the series was rolling before the cameras. The studio, 20th Century Fox, refused because it would have to cover the entire cost of a movie, while it would only have to share the cost of a TV series (a much less risky proposition). The studio acquiesced after a 1965 screening of Columbia Pictures's 1943 The Batman serial in New York City renewed interest in the character and after the television series became phenomenally successful. The project was announced in a March 26, 1966, issue of Variety magazine. The film features many characters from the show. It was written by series writer Lorenzo Semple Jr. and directed by Leslie H. Martinson, who had directed a pair of the television series season one episodes: "The Penguin Goes Straight" and "Not Yet, He Ain't". Semple Jr. completed the screenplay in 10 days. Principal photography began on April 28, 1966, and concluded within 28 days, with a further three days to complete second-unit photography. Tone and themes Even though it is often described (like many contemporary shows) as a parody of a popular comic-book character, some commentators believe that its comedy is not so tightly confined. They felt the film's depiction of the Caped Crusader "captured the feel of the contemporary comics perfectly". The film was made at a time when "the Batman of the Golden Age comics was already essentially neutered". Certain elements verge into direct parody of the history of Batman. The movie, like the TV series, is strongly influenced by the comparatively obscure 1940s serials of Batman, such as the escapes done almost out of luck. The penchant for giving devices a "Bat-" prefix and the dramatic use of stylized title cards during fight scenes acknowledge some of the conventions that the character had accumulated in various media. However, the majority of Batman's campier moments can be read as a broader parody on contemporary mid-1960s culture in general. Furthermore, the movie represented Batman's first major foray into Cold War issues paying heavy attention to Polaris Missiles, war surplus submarines and taking a poke at the Pentagon. The inclusion of a glory-hunting presidential character and the unfavorable portrayal of Security Council Members marked Batman's first attempts to poke fun at domestic and international politics. Vehicles Besides the Batmobile, other vehicles used by The Dynamic Duo include: Batcycle with side car Batboat, provided by Glastron Batcopter Of the three new Batvehicles which first appeared in the Batman film, only the Batcycle properly crossed over into the TV series as the budgetary limits of the TV series precluded the full use of the others. While the Batcopter and Batboat from the movie appeared briefly in episodes (including a use of the |
Awakenings). Welch blended "Fascist architecture with World's fair architecture" for Gotham City. He also studied Russian architecture and German Expressionism. An iron maiden was used for Bruce Wayne's entry into the Batcave. Stan Winston, who worked with Burton on Edward Scissorhands, designed Danny DeVito's prosthetic makeup, which took two hours to apply. DeVito had to put a combination of mouthwash and red/green food coloring in his mouth "to create a grotesque texture of some weird ooze." More than 60 latex Catsuits were created for the six-month shoot at $1,000 each. The initial concept for the design came from Tim Burton, who envisioned a stuffed cat with its stitches coming apart at the seams. The prototype was created around a body cast of Pfeiffer so that it would fit her exactly, and painted with white silicone rubber to imitate stitches. It was extremely tight and very laborious to put on – Michelle Pfeiffer had to be covered in talcum powder to squeeze into the costume, which was in turn brushed with liquid silicone on every take to give it shine. Pfeiffer might wear the suit for 12 to 14 hours at a time, except lunch breaks when it was removed, which was her only opportunity to use the bathroom during the workday. The Batsuit was updated, which was made out of a thinner, slightly more flexible foam rubber material than the suit from Batman, and the logo was changed to better reflect how it looked in the comics. The new bat-suit also had a zipper for urination and the upper body build did not look like a muscular physique. DeVito was uncomfortable with his costume, but this made it easy for him to get into character. J. P. Morgan's wardrobe was used for inspiration on Max Shreck's costume design. The bats were entirely composed of computer-generated imagery since it was decided directing real bats on set would be problematic. The Penguin's "bird army" was a combination of CGI, robotic creatures, men in suits and even real penguins. Robotic penguin puppets were commissioned by Stan Winston. In total 30 African penguins and 12 king penguins were used. A miniature effect was used for the exteriors of the Cobblepot Mansion in the opening scene and for Wayne Manor. The same method was used for the Bat Ski-boat and the exterior shots of the Gotham Zoo. Music and sound Danny Elfman had great enthusiasm for returning because "I didn't have to prove myself from the first film. I remember Jon Peters was very skeptical at first to hire me." Elfman's work schedule was 12 hours a day, 7 days a week. "When completing this movie I realized it was something of a film score and an opera. It was 95 minutes long, twice the amount of the average film score." Burton allowed Elfman to be more artistic with the sequel score, such as the "scraping" on violins for the cat themes. Under the pressure of finishing the score, however, the relationship between the two strained, which – along with further "creative differences" on The Nightmare Before Christmas – led Burton to use Howard Shore to score his next film Ed Wood. The musician co-orchestrated "Face to Face", which was written and performed by Siouxsie and the Banshees. The song can be heard in one scene during the film and during the end credits. Burton had requested Siouxsie and the Banshees for the title track, commenting: "I've always been a fan – Siouxsie is one of very few women who can create a realistic primal cat sound." It was the first film to be announced as released with Dolby SR-D technology (later known as Dolby Digital). Release Box office Batman Returns was released in America on June 19, 1992. It grossed $2 million from Thursday night previews before grossing $45.69 million in 2,644 theaters on its opening weekend. This was the highest opening weekend in 1992 and the highest opening weekend of any film up to that point. The film also set the opening weekend record in the United Kingdom with a gross of £2,774,796 (including £248,350 of previews). It was the first film in the UK to gross £1 million in a day (Saturday, July 11). The film went on to gross $162.9 million in the United States and Canada, and $104.0 million in foreign countries, coming to a worldwide total of $266.8 million. Batman Returns was the third highest-grossing film in America of 1992, and sixth highest in worldwide totals. Critical response Though criticized by some for being too dark and violent, Batman Returns received mostly positive reviews. On Rotten Tomatoes, the film has an approval rating of 80% based on 83 reviews, with an average rating of 6.73/10. The site's critical consensus reads, "Director Tim Burton's dark, brooding atmosphere, Michael Keaton's work as the tormented hero, and the flawless casting of Danny DeVito as The Penguin, and Christopher Walken as, well, Christopher Walken make the sequel better than the first." Audiences polled by CinemaScore gave the film an average grade of "B" on an A+ to F scale. Janet Maslin in The New York Times thought that "Mr. Burton creates a wicked world of misfits, all of them rendered with the mixture of horror, sympathy and playfulness that has become this director's hallmark." She described Michael Keaton as showing "appropriate earnestness", Danny DeVito as "conveying verve", Christopher Walken as "wonderfully debonair", Michelle Pfeiffer as "captivating... fierce, seductive", Bo Welch's production design as "dazzling", Stefan Czapsky's cinematography as "crisp", and Daniel Waters's screenplay as "sharp". Peter Travers in Rolling Stone wrote: "Burton uses the summer's most explosively entertaining movie to lead us back into the liberating darkness of dreams." He praised the performances: "Pfeiffer gives this feminist avenger a tough core of intelligence and wit; she's a classic dazzler... Michael Keaton's manic-depressive hero remains a remarkably rich creation. And Danny DeVito's mutant Penguin—a balloon-bellied Richard III with a kingdom of sewer freaks—is as hilariously warped as Jack Nicholson's Joker and even quicker with the quips." Desson Howe in The Washington Post wrote: "Director Burton not only re-creates his one-of-a-kind atmosphere, he one-ups it, even two-ups it. He's best at evoking the psycho-murky worlds in which his characters reside. The Penguin holds court in a penguin-crowded, Phantom of the Opera-like sewer home. Keaton hides in a castlelike mansion, which perfectly mirrors its owner's inner remoteness. Comic strip purists will probably never be happy with a Batman movie. But Returns comes closer than ever to Bob Kane's dark, original strip, which began in 1939." He described Walken as "engaging", DeVito as "exquisite" and Pfeiffer as "deliciously purry." Todd McCarthy in Variety wrote that "the real accomplishment of the film lies in the amazing physical realization of an imaginative universe. Where Burton's ideas end and those of his collaborators begin is impossible to know, but the result is a seamless, utterly consistent universe full of nasty notions about societal deterioration, greed and other base impulses." He praised the contributions of Stan Winston, Danny Elfman, Bo Welch and cinematographer Stefan Czapsky, and in terms of performances, opined that "the deck is stacked entirely in favor of the villains", calling DeVito "fascinating" and Pfeiffer "very tasty." Conversely, Roger Ebert of the Chicago Sun-Times gave the film two stars out of four, writing: "I give the movie a negative review, and yet I don't think it's a bad movie; it's more misguided, made with great creativity, but denying us what we more or less deserve from a Batman story. No matter how hard you try, superheroes and film noir don't go together; the very essence of noir is that there are no more heroes." He compared the Penguin negatively with the Joker of the first film, writing that "the Penguin is a curiously meager and depressing creature; I pitied him, but did not fear him or find him funny. The genius of Danny DeVito is all but swallowed up in the paraphernalia of the role." Jonathan Rosenbaum called DeVito "a pale substitute for Jack Nicholson from the first film" and felt that "there's no suspense in Batman Returns whatsoever". Batman comic book artist Alex Ross was quoted as saying: "They made up a fictional character that's not in Batman's universe and suddenly he becomes the most exciting character in the film? Well, sorry but that's what you get when you cast Christopher Walken in a role." Ty Burr in Entertainment Weekly gave the film a B-; he wrote that "Burton still hasn't figured out how to tell a coherent story: He's more interested in fashioning pretty beads than in putting them on a string.... Yet for all the wintry weirdness, there's more going on under the surface of this movie than in the original. No wonder some people felt burned by Batman Returns: Tim Burton just may have created the first blockbuster art film." A "parental backlash" criticized Batman Returns with violence and sexual references that were inappropriate for children despite being rated PG-13. McDonald's shut down their Happy Meal promotion for the film. Burton responded, "I like Batman Returns better than the first one. There was this big backlash that it was too dark, but I found this movie much less dark." Accolades The film is recognized by American Film Institute in these lists: 2003: AFI's 100 Years...100 Heroes & Villains: Catwoman (Selina Kyle) – Nominated Villain The Penguin (Oswald Cobblepot) – Nominated Villain It was part of Empire's 500 Greatest Films in 2008 at number 401. Legacy Unproduced Catwoman spin-off Batman Returns would be the last film in the Warner Bros. Batman film series that featured Burton and Michael Keaton as director and leading actor. With Batman Forever, Warner Bros. decided to go in a "lighter" direction to be more mainstream in the process of a family film. Burton had no interest in returning to direct a sequel, but was credited as producer. With Warner Bros. moving on development for Batman Forever in June 1993, a Catwoman spin-off was announced. Michelle Pfeiffer was to reprise her role, with the character not to appear in Forever because of her own spin-off. Burton became attached as director, while producer Denise Di Novi and writer Daniel Waters also returned. In January 1994, Burton was unsure of his plans to direct Catwoman or an adaptation of "The Fall of the House of Usher". On June 6, 1995, Waters turned in his Catwoman script to Warner Bros., the same day Batman Forever was released. Burton was still being courted to direct. Waters joked, "Turning it in the day Batman Forever opened may not have been my best logistical move, in that it's the celebration of the fun-for-the-whole-family Batman. Catwoman is definitely not a fun-for-the-whole-family script." In an August 1995 interview, Pfeiffer re-iterated her interest in the spin-off, but explained her priorities would be challenged as a mother and commitments to other projects. The film labored in development hell for years, with Pfeiffer replaced by Ashley Judd. The film ended up becoming the critically panned Catwoman (2004), starring Halle Berry. Comic book continuation In March 2016, artist Joe Quinones revealed several art designs he and Kate Leth had created to pitch a comic book continuation set in the Batman '89 universe to DC Comics. The pitch, which was rejected, would have included the story of Billy Dee Williams' Harvey Dent turning into Two-Face as well as the inclusion of characters such as Batgirl in a story that took place after the events of Batman Returns. In 2021, DC announced it would be releasing a comic book continuation of the Batman '89 film. The series would be written by Sam Hamm and illustrated by Joe Quinones. Set after Batman Returns, the comic's synopsis revealed that it would include the return of Selina Kyle/Catwoman, an introduction of a new Robin as well as tell the transformation of Williams' Harvey Dent into Two-Face. In March 2016, Quinones revealed several art designs he and Leth had created for a pitch of a comic book continuation of Batman Returns to DC Comics. The pitch, which ignored the subsequent films in the series, would have included the story of the film series' version of Harvey Dent turning into Two-Face as well as the inclusion of characters such as Batgirl, Harley Quinn, and Poison Ivy. The pitch was initially rejected by DC. In February 2021, DC announced that it would be releasing a digital-first comic book continuation of Batman Returns entitled Batman '89 (similar to Batman '66) and ignore the events of the subsequent two films. The series will be written by Sam Hamm and illustrated by Joe Quinones. The comic will include the return of Catwoman while also introducing a new version of Robin and showing the transformation of Harvey Dent into Two-Face. The comic debuted its | a group of cats unintentionally revive her and vows revenge, taking up the mantle of Catwoman. Oswald makes his presence known by rescuing the mayor's baby from a staged kidnapping attempt, and requests to be allowed into the Hall of Records to find his parents. Batman's alter-ego, Bruce Wayne, voices his suspicions about Oswald's true motives, and investigates his background and connection to the Red Triangle Gang, discovering that the troupe had been shut down years ago due to children going missing during their performances and the disappearance of one specific member before interrogation, whom Bruce suspects to be Oswald. During a meeting with Shreck to voice his own opposition to the power plant, Bruce meets Selina and the two become attracted to one another. In order to remove his enemies, Shreck pushes for Oswald to run for mayor and discredit the current mayor by having the Red Triangle Gang wreak havoc on the city. Batman intervenes and meets Catwoman as she attempts to sabotage one of Shreck's businesses; the two fight and injure each other before Catwoman escapes. She swears revenge on Batman by allying with Oswald, who also plans to kill Batman as part of his own schemes. As Bruce and Selina begin a romantic relationship, Oswald abducts Gotham's Ice Princess and kills her, framing Batman for the act, as well as causing the Batmobile to rampage throughout Gotham before Batman narrowly manages to regain control and escape the authorities. When Catwoman rejects his advances, Oswald breaks off their partnership and attempts to kill her, but she survives after falling into a greenhouse. During the chase, Batman records Oswald's disparaging remarks about the people of Gotham and later plays them during his next speech, destroying his image and forcing him to return to the sewer, where he renounces his humanity and reveals his plan to abduct and kill all of Gotham's firstborn sons as revenge for what his parents did to him. At a charity ball hosted by Shreck, Bruce and Selina meet and discover each other's secret identities. The Penguin appears and reveals his plan, intending to take Shreck's son Chip with him, but Shreck gives himself up in his son's stead. Batman foils the kidnappings and heads for the Penguin's lair. The Penguin attempts to have his army of penguins bomb the city and kill everyone in Gotham, though Batman and his butler, Alfred, jam the signal and order the penguins to return to the sewer. Batman arrives and confronts the Penguin. In the ensuing fight, the Penguin falls through a window into the sewer's toxic water after accidentally launching the bombs on the zoo. Shreck escapes but is confronted by Catwoman, who intends to kill him. Batman pleads for Selina to stop, unmasking himself in the process. Shreck draws a gun and shoots them both, but Selina survives and electrocutes herself and Shreck with a stun gun, causing a massive explosion. Bruce, who was wearing body armor, finds Shreck's remains but Selina is nowhere to be found. The Penguin emerges from the water and tries to shoot Bruce from behind, but dies from his injuries and from the toxic sewage before his penguin family lays his body to rest in the water. In the aftermath, as Alfred drives him home, Bruce sees Selina's silhouette in an alley but only finds her cat as a farewell gift, who he decides to take home with him. The Bat-Signal appears in the sky as Catwoman, who survived, watches. Cast Michael Keaton as Bruce Wayne / Batman: A wealthy industrialist who duly works as Gotham City's premier masked vigilante. Bruce struggles with his dual identity as he becomes romantically involved with Selina Kyle, alias Catwoman. Keaton earned $10 million for reprising his role as the Caped Crusader as director Tim Burton thought that Keaton deserved it. Keaton was replaced by Val Kilmer and George Clooney in Batman Forever and Batman & Robin, respectively. Danny DeVito as Oswald Cobblepot / The Penguin: A psychopathic, deformed man abandoned by his parents when he was a baby. Raised by penguins of an abandoned zoo, he returns for revenge thirty-three years later as leader of the Red Triangle Circus Gang after being cheated by businessman Max Shreck. DeVito was suggested for the role by his friend Jack Nicholson after the financial success of the first film, in which Nicholson played the Joker. According to DeVito, "It was four-and-a-half hours of makeup and getting into the costume. We got it down to three hours by the end of the shoot". Dustin Hoffman was originally the first choice to play the Penguin, but he declined. Apart from Hoffman, Marlon Brando, John Candy, Bob Hoskins, Ralph Waite, Dean Martin, Dudley Moore, Alan Rickman, John Goodman, Phil Collins, Charles Grodin, Christopher Lee, Joe Pesci, Ray Liotta, Gabriel Byrne, Alex Rocco and Christopher Lloyd were all considered for the part before DeVito got it. Michelle Pfeiffer as Selina Kyle / Catwoman: A secretary who becomes an undead criminal after being killed by her boss Max Shreck, who later decides to try everything to kill her. She is held as a femme fatale in most of the film. According to Pfeiffer, she felt devastated after Annette Bening was cast as Catwoman. However, Bening became pregnant, allowing Pfeiffer to get the role. Pfeiffer's $3 million salary was $2 million more than was offered to Bening. To prepare for the role, Pfeiffer attended kickboxing classes and practised handling a whip (during which she accidentally cut her teacher's chin). According to Robert Wuhl, who portrayed Alexander Knox in Batman, Pfeiffer was considered to play Vicki Vale in the first film, but did not get the role since Michael Keaton objected due to his past relationship with Pfeiffer. Other actresses who were also considered for the role include Susan Sarandon, Meryl Streep (who was considered "too old" by Burton), Brooke Shields (whom Burton considered "not bankable"), Demi Moore, Nicole Kidman (who ended up playing Dr. Chase Meridian in Batman Forever), Sean Young (who had initially been cast as Vicki Vale in the first film before having to drop out after a horse riding injury), Jodie Foster, Geena Davis, Sigourney Weaver, Lena Olin, singer Madonna, Raquel Welch, Cher, Ellen Barkin, Jennifer Jason Leigh, Lorraine Bracco, Bridget Fonda and Jennifer Beals. Christopher Walken as Max Shreck: A wealthy businessman and industrialist known as "The Santa Claus of Gotham". He is obsessed with building a power chemical plant in Gotham City, but when both Bruce Wayne and the Mayor of Gotham City deny his idea, he decides to help Oswald Cobblepot to become the new mayor of Gotham City for his plans. Apart from being the father of Chip Shreck and presumably killing his wife to gain her money, Shreck is also the former employer of Selina Kyle, who wants to kill him following his attempt to kill her. The character was created by writer Daniel Waters and named in-joke after the late German actor Max Schreck, who starred as Count Orlock in Nosferatu. Apart from this, Shreck fulfils what would have been Harvey Dent's role with his Two-Face persona slowly surfacing if Billy Dee Williams had not opted out of this film. Singer David Bowie, who was previously considered to play the Joker in the first film, was in contention for the role of Shreck, but he declined in order to appear in David Lynch's Twin Peaks: Fire Walk with Me. According to casting director Marion Dougherty, Burton was initially hesitant to cast Walken as Shreck, on the basis that the actor scared him. Michael Gough as Alfred Pennyworth: The Wayne family's butler and Batman's accomplice, who has helped and raised him since his parents' death. Along with Pat Hingle, Gough was one of the few actors who appeared in all four films of the initial Batman film series. Pat Hingle as Commissioner James Gordon: Commissioner of the Police Department of Gotham City. Along with Michael Gough, Hingle was one of the few actors who appeared in all four films of the initial Batman film series. Michael Murphy as The Mayor: The unnamed mayor of Gotham City, though the novelization gives him the name Roscoe Jenkins. He does not like Max Shreck's idea to build a nuclear power plant in Gotham City. His son is later kidnapped by the Red Triangle Circus Gang, only to be "saved" by the Penguin. Vincent Schiavelli as The Organ Grinder: A member of the Red Triangle Circus Gang and the Penguin's right-hand man. He carries an organ grinder as his main weapon. He survives all three attacks on Gotham City, but is captured and presumably interrogated by Batman during the Penguin's final attempt to take over Gotham City. Schiavelli had previously co-starred with DeVito in several episodes of the sitcom Taxi, and the two later co-starred again in 1999's Man on the Moon. Andrew Bryniarski as Charles "Chip" Shreck: Son of Max Shreck and his late wife. Apart from being the heir of Max's business, he is brave enough to do everything he can to defend his father, such as ordering him to flee as he helps other Gotham City residents to restrain members of the Red Triangle Circus Gang. Cristi Conaway as The Ice Princess: A Christmas-themed beauty queen and model of Gotham City. Rick Zumwalt as The Tattooed Strongman: A member of the Red Triangle Circus Gang. He survives the first attack on Gotham City, but is killed during the second attack by one of his bombs when Batman throws him into a hole before the explosion. Anna Katarina as The Poodle Lady: A member of the Red Triangle Circus Gang. She survives all three attacks on Gotham City, but she runs away along with her poodle, and the rest of her teammates to escape from Batman during the third attack, abandoning The Penguin. Paul Reubens as Tucker Cobblepot: The father of Oswald Cobblepot and husband of Esther Cobblepot. He and his wife abandoned their son by throwing him into Gotham City's park river after realizing that he could be a danger to society after he killed their cat. Burgess Meredith, the actor who played the Penguin in the 1960s Batman TV series, was originally asked to play Tucker, but he declined due to his health problems which culminated with his death in 1997. Reubens later reprised his role as the Penguin's father in the 2016 second season of the television series Gotham, though named Elijah Van Dahl and set in a different continuity. Diane Salinger as Esther Cobblepot: The mother of Oswald Cobblepot and wife of Tucker Cobblepot. She and her husband abandoned their son by throwing him into Gotham City's park river after realizing that he could be a danger to society after he killed their cat. Doug Jones as the Thin Clown: A member of The Penguin's gang. Production Development After the success of Batman, Warner Bros. planned for a sequel to start filming in May 1990 at Pinewood Studios. Sets from the previous film were stored at a cost of $250,000. Tim Burton originally did not want to direct another film in the franchise. "I will return if the sequel offers something new and exciting", he said in 1989. "Otherwise it's a most-dumbfounded idea." Burton decided to direct Edward Scissorhands for 20th Century Fox. Sam Hamm delivered the first two drafts of the script, while Bob Kane was brought back as a creative consultant. Bill Finger, co-creator of Batman, the Penguin, and Catwoman, was uncredited at the time of the film's release and his name was not added to any Batman related media until 2016. Hamm's script had the Penguin and Catwoman going after hidden treasure. Burton was impressed with Daniel Waters's work on Heathers; Burton originally brought Waters aboard on a sequel to Beetlejuice. Burton then negotiated with Warner Bros. for the first film's producers Jon Peters and Peter Guber to become executive producers, joining Benjamin Melniker and Michael E. Uslan. Denise Di Novi and Burton became the film's top billed producers, with Larry Franco replacing Chris Kenny as |
while many other villains saw them from their cells. The scene was not included in the final film. Filming The original start date was August 1996, but principal photography did not begin until September 12, 1996. Batman & Robin finished filming in late January 1997, two weeks ahead of the shooting schedule. The film was mostly shot at Warner Bros. Studios in Burbank, California. When comparing work on Batman Forever, O'Donnell explained, "It just felt like everything got a little soft the second time. On Batman Forever, I felt like I was making a movie. The second time, I felt like I was making a kid's toy commercial." He also complained of the Robin costume, saying it was more involved and uncomfortable than the one he wore in Batman Forever, with a glued-on mask which caused sweat to pool on his face. According to John Glover, who played Dr. Jason Woodrue, "Joel [Schumacher] would sit on a crane with a megaphone and yell before each take, 'Remember, everyone, this is a cartoon'. It was hard to act because that kind of set the tone for the film." Production designer Barbara Ling admitted her influences for the Gotham City design came from "neon-ridden Tokyo and the Machine Age. Gotham is like a World's fair on ecstasy." Rhythm and Hues and Pacific Data Images created the visual effects sequences, with John Dykstra and Andrew Adamson credited as the visual effects supervisors. O'Donnell said that despite hanging out with Schwarzenegger a lot off set and during promotion for the film, they never worked a single day together; this was achieved with stand-ins when one of the actors was not available. Stunt coordinator Alex Field taught Silverstone to ride a motorcycle so that she could play Batgirl. Music Like Batman Forever, the original score for the film was written by Elliot Goldenthal. The soundtrack featured a variety of genres by various bands and performers, showcasing alternative rock on the lead single "The End Is the Beginning Is the End" by The Smashing Pumpkins, on the Goo Goo Dolls' contribution, "Lazy Eye" and with R.E.M.'s song "Revolution". R&B singer R. Kelly also wrote "Gotham City" for the soundtrack, which became the other song featured in the end credits, as well as one of the singles, reaching the top 10 in the United States and in the UK. Eric Benét and Meshell Ndegeocello also contributed R&B songs. Also included was the top 5-second single, "Look into My Eyes" by the hip hop group Bone Thugs-n-Harmony. Other songs featured included electronic dance elements, including those by Moloko and Arkarna. The soundtrack was released on May 27, 1997, more than two weeks before the film's American premiere. "The End Is the Beginning Is the End" by The Smashing Pumpkins, won a Grammy Award for Best Hard Rock Performance at the 40th Annual Grammy Awards. Marketing The Batman & Robin film trailer debuted on the February 19, 1997 episode of Entertainment Tonight. Warner Bros. spent $125 million to market and promote the film, in addition to its $160 million production budget. The studio also reportedly included toy companies in pre-production meetings, including the design of concept art and character illustrations. Director Joel Schumacher criticized Warner Bros.' strategy for Batman & Robin as being overtly "toyetic". Several Six Flags amusement parks introduced new roller coasters themed to the film. Batman & Robin: The Chiller opened at Six Flags Great Adventure in 1997, and Mr. Freeze opened at both Six Flags Over Texas and Six Flags St. Louis in 1998. Taco Bell featured a promotional campaign including collectible cups and a contest with a replica of the film's Batmobile as a grand prize. A junior novelization of the screenplay, written by Alan Grant, was published along with the release of the film in 1997. Reception Box office Batman & Robin was released on June 20, 1997 in North America, earning $42,872,605 in its opening weekend, making it the third-highest opening weekend of 1997. The film declined by 63% in its second week. Batman & Robin faced early competition with Face/Off, Hercules, and Men in Black. Schumacher blamed it on yellow journalism started by Harry Knowles of Ain't It Cool News and other film websites such as Dark Horizons. The film went on to gross $107.3 million in North America and $130.9 million internationally, coming to a worldwide total of $238.2 million. Warner Bros. acknowledged Batman & Robins shortcomings in the domestic market but pointed out success in other markets. Critical response Batman & Robin would go down in history as one of the worst superhero films of all time. On review aggregation website Rotten Tomatoes Batman & Robin has an approval rating of 12%, based on 93 reviews, with an average rating of 3.8/10. The site's critical consensus reads, "Joel Schumacher's tongue-in-cheek attitude hits an unbearable limit in Batman & Robin, resulting in a frantic and mindless movie that's too jokey to care much for." On Metacritic, the film has an average score of 28 out of 100, based on reviews from 21 critics, indicating "generally unfavorable reviews". Audiences polled by CinemaScore gave the film an average grade of "C+" on an A+ to F scale. Schumacher and producer Peter MacGregor-Scott blamed the negative reception of Batman & Robin on Warner Bros.' decision to fast track production. "There was a lot of pressure from Warner Bros. to make Batman & Robin more family-friendly," Schumacher explained. "We decided to do a less depressing Batman movie, and less torture and more heroic. I know I have been criticized a lot for this, but I didn't see the harm in that approach at all." Upon release, the film received near unanimous negative reviews. Roger Ebert of the Chicago Sun-Times criticized the toyetic approach and Mr. Freeze's one-liner jokes in his "thumbs down" review of the film. Ebert’s partner Gene Siskel who gave positive reviews to the previous Batman films, has also gave this film a thumbs down and was the last Batman movie he reviewed before his death in 1999. Kenneth Turan of the Los Angeles Times believed the film "killed" the Batman film series. Desson Howe of The Washington Post disapproved of Schumacher's direction and Akiva Goldsman's script, as well as the returning costume design from the first film. Mick LaSalle, writing in the San Francisco Chronicle, said, "George Clooney is the big zero of the film, and should go down in history as the George Lazenby of the series." However, Janet Maslin of The New York Times gave a more positive review, and praised Uma Thurman's performance. Andrew Johnston, writing in Time Out New York, remarked, "It's hard to tell who B&R is intended for. Anyone who knows the character from the comics or the superb animated show on Fox will be alienated. And though Schumacher treats the Adam West version as gospel, that show's campy humor is completely incompatible with these production values." Many observers thought Schumacher added possible homoerotic innuendo in the storyline. James Berardinelli questioned the "random amount [sic] of rubber nipples and camera angle close-ups of the Dynamic Duo's butts and Bat-crotches." Similar to Batman Forever, this primarily included the decision to add nipples and enlarged codpieces to the Batman and Robin suits. Schumacher stated, "I had no idea that putting nipples on the Batsuit and Robin suit were going to spark international headlines. The bodies of the suits come from ancient Greek statues, which display perfect bodies. They are anatomically correct." Chris O'Donnell, who portrayed Robin, felt "it wasn't so much the nipples that bothered me. It was the codpiece. The press obviously played it up and made it a big deal, especially with Joel directing. I didn't think twice about the controversy, but going back and looking and seeing some of the pictures, it was very unusual." Clooney himself has spoken critically of the film, saying in 2005, "I think we might have killed the franchise", and called it "a waste of money". In 2015, while promoting Disney's Tomorrowland at New York Comic-Con, Clooney said that he had met former Batman actor Adam West and apologized to him. Furthermore, when asked during a 2015 interview on The Graham Norton Show about whether he had ever have to apologize for Batman & Robin, Clooney responded, "I always apologize for Batman & Robin". In his book Batman: the Complete History, Les Daniels analyzed the film's relatively strong performance internationally: "nuances of languages or personality were likely to be lost in translation and admittedly eye-popping spectacle seemed sufficient." Accolades Batman & Robin was nominated for the Saturn Award for Best Fantasy Film, as well as Best Make-up and Best Costume. Alicia Silverstone won the Razzie Award for Worst Supporting Actress. Other nominations at the Razzie Awards included Schumacher (Worst Director), George Clooney and Chris O'Donnell (Worst Screen Couple), Akiva Goldsman (Worst Screenplay), both Chris O'Donnell and Arnold Schwarzenegger (Worst Supporting Actor), Uma Thurman (Worst Supporting Actress), as well as Billy Corgan (Worst Song for "The End Is the Beginning Is the End"). Batman & Robin also received nominations for Worst Picture, Worst Remake or Sequel and Worst Reckless Disregard for Human Life and Public Property. Ultimately, out of 11 nominations, Batman & Robin garnered only one Razzie Award. At the Stinkers Bad Movie Awards, the film garnered five nominations, of which it won four: Worst Picture, Worst Director (Joel Schumacher), Worst Supporting Actress (Alicia Silverstone), and Worst Screenplay for a Film Grossing More Than $100M Worldwide Using Hollywood Math. However, it lost Worst Sequel to Speed 2: Cruise Control. Later, the Stinkers Bad Movie Awards unveiled their "100 Years, 100 Stinkers" list which "honored" the 100 worst films of the 20th century. Batman and Robin managed to rank as the #3 worst film of the century, behind Wild Wild West at #2 and Battlefield Earth at #1. Post-release Cancelled sequel During the filming of Batman & Robin, Warner Bros. was impressed with the dailies, prompting them to immediately hire Joel Schumacher to return as director for a fifth film. However, writer Akiva | Akiva Goldsman to reprise their duties the following August, and decided it was best to fast-track production for a June 1997 target release date, which is a break from the usual 3-year gap between films. Schumacher wanted to homage both the broad camp style of the 1960s television series and the work of Dick Sprang. The storyline of Batman & Robin was conceived by Schumacher and Goldsman during pre-production on A Time to Kill. Portions of Mr. Freeze's backstory were based on the Batman: The Animated Series episode "Heart of Ice", written by Paul Dini. Goldsman, however, expressed concerns about the script during pre-production discussions with Schumacher. While Chris O'Donnell reprises the role of Robin, Val Kilmer decided not to reprise the role of Batman from Batman Forever. Schumacher admitted he had difficulty working with Kilmer on Forever. "He sort of quit," Schumacher said, "and we sort of fired him." Schumacher would later go on to say that Kilmer wanted to work on The Island of Dr. Moreau because Marlon Brando was cast in the film. Kilmer said he was not aware of the fast-track production and was already committed to The Saint (1997). David Duchovny claims he was considered for the role of Batman, but he joked the reason they did not cast him because his nose was too big. Schumacher originally had a strong interest in casting William Baldwin in Kilmer's place, but George Clooney was cast instead. Schumacher believed Clooney could provide a lighter interpretation of the character than Michael Keaton (in Batman and Batman Returns) and Kilmer. The shooting schedule allowed Clooney to simultaneously work on ER without any scheduling conflicts. In the documentary Shadows of the Bat: The Cinematic Saga of The Dark Knight, Schumacher said he was given the mandate by the studio to make the film even more "toyetic" even when compared to Batman Forever. Ed Harris, Anthony Hopkins, and Patrick Stewart were considered for the role of Mr. Freeze, before the script was rewritten to accommodate Arnold Schwarzenegger's casting. Schumacher decided that Mr. Freeze must be "big and strong like he was chiseled out of a glacier". Schwarzenegger was paid a $25 million salary for the role. Mr. Freeze's armor was made by armorer Terry English, who estimated the costume cost some $1.5 million to develop and make. To prepare for the role, Schwarzenegger wore a bald cap after declining to shave his head and wore a blue LED in his mouth. His prosthetic makeup and wardrobe took six hours to apply each day. Thurman took the role of Poison Ivy because she liked the femme fatale characterization of the character. Alicia Silverstone was the only choice for the role of Batgirl. According to Schumacher, during the scene in which the costumes of the Riddler and Two-Face are seen, he originally planned to put Poison Ivy and Mr. Freeze escaping from Arkham Asylum while many other villains saw them from their cells. The scene was not included in the final film. Filming The original start date was August 1996, but principal photography did not begin until September 12, 1996. Batman & Robin finished filming in late January 1997, two weeks ahead of the shooting schedule. The film was mostly shot at Warner Bros. Studios in Burbank, California. When comparing work on Batman Forever, O'Donnell explained, "It just felt like everything got a little soft the second time. On Batman Forever, I felt like I was making a movie. The second time, I felt like I was making a kid's toy commercial." He also complained of the Robin costume, saying it was more involved and uncomfortable than the one he wore in Batman Forever, with a glued-on mask which caused sweat to pool on his face. According to John Glover, who played Dr. Jason Woodrue, "Joel [Schumacher] would sit on a crane with a megaphone and yell before each take, 'Remember, everyone, this is a cartoon'. It was hard to act because that kind of set the tone for the film." Production designer Barbara Ling admitted her influences for the Gotham City design came from "neon-ridden Tokyo and the Machine Age. Gotham is like a World's fair on ecstasy." Rhythm and Hues and Pacific Data Images created the visual effects sequences, with John Dykstra and Andrew Adamson credited as the visual effects supervisors. O'Donnell said that despite hanging out with Schwarzenegger a lot off set and during promotion for the film, they never worked a single day together; this was achieved with stand-ins when one of the actors was not available. Stunt coordinator Alex Field taught Silverstone to ride a motorcycle so that she could play Batgirl. Music Like Batman Forever, the original score for the film was written by Elliot Goldenthal. The soundtrack featured a variety of genres by various bands and performers, showcasing alternative rock on the lead single "The End Is the Beginning Is the End" by The Smashing Pumpkins, on the Goo Goo Dolls' contribution, "Lazy Eye" and with R.E.M.'s song "Revolution". R&B singer R. Kelly also wrote "Gotham City" for the soundtrack, which became the other song featured in the end credits, as well as one of the singles, reaching the top 10 in the United States and in the UK. Eric Benét and Meshell Ndegeocello also contributed R&B songs. Also included was the top 5-second single, "Look into My Eyes" by the hip hop group Bone Thugs-n-Harmony. Other songs featured included electronic dance elements, including those by Moloko and Arkarna. The soundtrack was released on May 27, 1997, more than two weeks before the film's American premiere. "The End Is the Beginning Is the End" by The Smashing Pumpkins, won a Grammy Award for Best Hard Rock Performance at the 40th Annual Grammy Awards. Marketing The Batman & Robin film trailer debuted on the February 19, 1997 episode of Entertainment Tonight. Warner Bros. spent $125 million to market and promote the film, in addition to its $160 million production budget. The studio also reportedly included toy companies in pre-production meetings, including the design of concept art and character illustrations. Director Joel Schumacher criticized Warner Bros.' strategy for Batman & Robin as being overtly "toyetic". Several Six Flags amusement parks introduced new roller coasters themed to the film. Batman & Robin: The Chiller opened at Six Flags Great Adventure in 1997, and Mr. Freeze opened at both Six Flags Over Texas and Six Flags St. Louis in 1998. Taco Bell featured a promotional campaign including collectible cups and a contest with a replica of the film's Batmobile as a grand prize. A junior novelization of the screenplay, written by Alan Grant, was published along with the release of the film in 1997. Reception Box office Batman & Robin was released on June 20, 1997 in North America, earning $42,872,605 in its opening weekend, making it the third-highest opening weekend of 1997. The film declined by 63% in its second week. Batman & Robin faced early competition with Face/Off, Hercules, and Men in Black. Schumacher blamed it on yellow journalism started by Harry Knowles of Ain't It Cool News and other film websites such as Dark Horizons. The film went on to gross $107.3 million in North America and $130.9 million internationally, coming to a worldwide total of $238.2 million. Warner Bros. acknowledged Batman & Robins shortcomings in the domestic market but pointed out success in other markets. Critical response Batman & Robin would go down in history as one of the worst superhero films of all time. On review aggregation website Rotten Tomatoes Batman & Robin has an approval rating of 12%, based on 93 reviews, with an average rating of 3.8/10. The site's critical consensus reads, "Joel Schumacher's tongue-in-cheek attitude hits an unbearable limit in Batman & Robin, resulting in a frantic and mindless movie that's too jokey to care much for." On Metacritic, the film has an average score of 28 out of 100, based on reviews from 21 critics, indicating "generally unfavorable reviews". Audiences polled by CinemaScore gave the film an average grade of "C+" on an A+ to F scale. Schumacher and producer Peter MacGregor-Scott blamed the negative reception of Batman & Robin on Warner Bros.' decision to fast track production. "There was a lot of pressure from Warner Bros. to make Batman & Robin more family-friendly," Schumacher explained. "We decided to do a less depressing Batman movie, and less torture and more heroic. I know I have been criticized a lot for this, but I didn't see the harm in that approach at all." Upon release, the film received near unanimous negative reviews. Roger Ebert of the Chicago Sun-Times criticized the toyetic approach and Mr. Freeze's one-liner jokes in his "thumbs down" review of the film. Ebert’s partner Gene Siskel who gave positive reviews to the previous Batman films, has also gave this film a thumbs down and was the last Batman movie he reviewed before his death in 1999. Kenneth Turan of the Los Angeles Times believed the film "killed" the Batman film series. Desson Howe of The Washington Post disapproved of Schumacher's direction and Akiva Goldsman's script, as well as the returning costume design from the first film. Mick LaSalle, writing in the San Francisco Chronicle, said, "George Clooney is the big zero of the film, and should go down in history as the George Lazenby of the series." However, Janet Maslin of The New York Times gave a more positive review, and praised Uma Thurman's performance. Andrew Johnston, writing in Time Out New York, remarked, "It's hard to tell who B&R is intended for. Anyone who knows the character from the comics or the superb animated show on Fox will be alienated. And though Schumacher treats the Adam West version as gospel, that show's campy humor is completely incompatible with these production values." Many observers thought Schumacher added possible homoerotic innuendo in the storyline. James Berardinelli questioned the "random amount [sic] of rubber nipples and camera angle close-ups of the Dynamic Duo's butts and Bat-crotches." Similar to Batman Forever, this primarily included the decision to add nipples and enlarged codpieces to the Batman and Robin suits. Schumacher stated, "I had no idea that putting nipples on the Batsuit and Robin suit were going to spark international headlines. The bodies of the suits come from ancient Greek statues, which display perfect bodies. They are anatomically correct." Chris O'Donnell, who portrayed Robin, felt "it wasn't so much the nipples that bothered me. It was the codpiece. The press obviously played it up and made it a big deal, especially with Joel directing. I didn't think twice about the controversy, but going back and looking and seeing some of the pictures, it was very unusual." Clooney himself has spoken critically of the film, saying in 2005, "I think we might have killed the franchise", and called it "a waste of money". In 2015, while promoting Disney's Tomorrowland at New York Comic-Con, Clooney said that he had met former Batman actor Adam West and apologized to him. Furthermore, when asked during a 2015 interview on The Graham Norton Show about whether he had ever have to apologize for Batman & Robin, Clooney responded, "I always apologize for Batman & Robin". In his book Batman: the Complete History, Les Daniels analyzed the film's relatively strong performance internationally: "nuances of languages or personality were likely to be lost in translation and admittedly eye-popping spectacle seemed sufficient." Accolades Batman & Robin was nominated for the Saturn Award for Best Fantasy Film, as well as Best Make-up and Best Costume. Alicia Silverstone won the Razzie Award for Worst Supporting Actress. Other nominations at the Razzie Awards included Schumacher (Worst Director), George Clooney and Chris O'Donnell (Worst Screen Couple), Akiva Goldsman (Worst Screenplay), both Chris O'Donnell and Arnold Schwarzenegger (Worst Supporting Actor), Uma Thurman (Worst Supporting Actress), |
United States Senate and self-admitted Batman fan Patrick Leahy makes an uncredited appearance as himself. Production Development Batman Returns was released in 1992 with financial success and generally favorable reviews from critics, but Warner Bros. was disappointed with its box office run, having made $150 million less than the first film. After Batman Returns was deemed too dark and inappropriate for children, with McDonald's even shutting down their Happy Meal tie-in, Warner Bros. decided that this was the primary cause of the film's financial results and asked Burton to step down in favor of another director; while Sam Raimi and John McTiernan were considered, Joel Schumacher was selected by Warner Bros. after his job in The Client and approved by Burton. Husband-and-wife screenwriting couple Lee and Janet Scott-Batchler were brought on to write the script, and agreed with Burton that "the key element to Batman is his duality. And it's not just that Batman is Bruce Wayne." Their original script introduced a psychotic Riddler with a pet rat accompanying him. The story elements and much of the dialogue still remained in the finished film, though Schumacher felt it could be "lighte[ne]d down". Keaton initially approved the selection of Schumacher as director and planned on reprising his role as Batman from the first two films. Schumacher claims he originally had in mind an adaptation of Frank Miller's Batman: Year One and Keaton claimed that he was enthusiastic about the idea. Warner Bros. rejected the idea as they wanted a sequel, not a prequel, though Schumacher was able to include very brief events in Bruce Wayne's childhood with some events of the comic The Dark Knight Returns. Akiva Goldsman, who worked with Schumacher on The Client, was brought in to rewrite the script, deleting the initial idea of bringing in the Scarecrow as a villain with Riddler, and the return of Catwoman. Burton, who now was more interested in directing Ed Wood, later reflected he was taken aback by some of the focus group meetings for Batman Forever, a title he hated. Producer Peter MacGregor-Scott represented the studio's aim in making a film for the MTV Generation with full merchandising appeal. Casting Production went on fast track with Rene Russo cast as Chase Meridian but Keaton decided not to reprise Batman because he did not like the direction the series was headed in and rejected the script. Keaton also wanted to pursue "more interesting roles", turning down $15 million. A decision was made to go with a younger actor for Bruce Wayne, and an offer was made to Ethan Hawke, who turned it down but eventually regretted the decision. Schumacher had seen Val Kilmer in Tombstone, but was also interested in Keanu Reeves, Alec and William Baldwin, Dean Cain, Tom Hanks, Kurt Russell, Ralph Fiennes (who would later voice Alfred Pennyworth in The Lego Batman Movie), Daniel Day-Lewis and Johnny Depp. Cain was scrapped as he was well known for starring in the TV series Lois & Clark: The New Adventures of Superman. Kilmer, who as a child visited the studios where the 1960s series was recorded and shortly before had visited a bat cave in Africa, was contacted by his agent for the role. Kilmer signed on without reading the script or knowing who the director was. With Kilmer's casting, Warner Bros. dropped Russo, considering her too old to be paired with Kilmer. Sandra Bullock, Robin Wright, Jeanne Tripplehorn and Linda Hamilton were all considered for the role, which was eventually recast with Nicole Kidman. Billy Dee Williams took the role of Harvey Dent in Batman on the possibility of portraying Two-Face in a sequel, but Schumacher cast Tommy Lee Jones in the role, although Al Pacino, Clint Eastwood, Martin Sheen and Robert De Niro were considered, after working with him on The Client. Jones was reluctant to accept the role, but did so at his son's insistence. Robin Williams was in discussions to be the Riddler at one point but the role was eventually given to Jim Carrey with Williams only finding out in the trades. In a 2003 interview, Schumacher said Michael Jackson lobbied hard for the role, but was turned down before Jim Carrey was cast. Other actors considered were John Malkovich, Brad Dourif (considered before by Burton to portray Scarecrow, and was his original choice to portray The Joker, before being rejected by the Studio), Kelsey Grammer, Micky Dolenz, Matthew Broderick, Phil Hartman, Steve Martin, Adam Sandler and Rob Schneider. Mark Hamill was going to get the role, but had to turn it down due to contract issues, especially with Batman: The Animated Series (being The Joker's voice). Robin appeared in the shooting script for Batman Returns but was deleted due to the use of too many characters. Marlon Wayans had been cast in the role, and signed for a potential sequel, but when Schumacher took over, he decided to open up casting to other actors. Leonardo DiCaprio was considered, but decided not to pursue the role after a meeting with Schumacher. Matt Damon, Corey Haim, Corey Feldman, Mark Wahlberg, Michael Worth, Danny Dyer, Toby Stephens, Ewan McGregor, Jude Law, Alan Cumming, Christian Bale (who would later starred as Batman/Bruce Wayne in The Dark Knight trilogy), and Scott Speedman were considered also. Chris O'Donnell was cast and Mitch Gaylord served as his stunt double, and also portrayed Mitch Grayson, Dick's older brother, created for the film. Schumacher attempted to create a cameo role for Bono as his MacPhisto character, but both came to agree it was not suitable for the film. Filming Principal photography began on September 24, 1994, and wrapped on March 5, 1995. Schumacher hired Barbara Ling for production design, claiming that the film needed a "force" and good design. Ling could "advance on it". Schumacher wanted a design in no way connected to the previous films, and instead inspired by the images from the Batman comic books seen in the 1940s/early 1950s and New York City architecture in the 1930s, with a combination of modern Tokyo. He also wanted a "city with personality," with more statues, as well as various amounts of neon. Schumacher had problems with Kilmer, whom he described as "childish and impossible," reporting that he fought with various crewmen, and refused to speak to Schumacher for two weeks after the director told him to stop being rude. Schumacher also mentioned Tommy Lee Jones as a source of trouble: "Jim Carrey was a gentleman, and Tommy Lee was threatened by him. I'm tired of defending overpaid, overprivileged actors. I pray I don't work with them again." Carrey later acknowledged Jones was not friendly to him, telling him once off-set during the production, "I hate you. I really don't like you ... I cannot sanction your buffoonery." Design and effects Rick Baker designed the prosthetic makeup. John Dykstra, Andrew Adamson, and Jim Rygiel served as visual effects supervisors, with Pacific Data Images also contributing to visual effects work. PDI provided a computer-generated Batman for complicated stunts. For the costume design, producer Peter MacGregor-Scott claimed that 146 workers were at one point working together. Batman's costume was redesigned along the lines of a more "MTV organic, and edgier feel" to the suit. Sound editing and mixing was supervised by Bruce Stambler and John Levesque, which included trips to caves to record bat sounds. A new Batmobile was designed for Batman Forever, with two cars being constructed, one for stunt purposes and one for close-ups. Swiss surrealist painter H. R. Giger provided his version for the Batmobile but it was considered too sinister for the film. The film used some motion capture for certain special effects. Warner Bros had acquired motion capture technology from arcade video game company Acclaim Entertainment for use in the film's production. Deleted scenes Batman Forever went through a few major edits before its release. Originally darker than the final product, the film's original length was closer to 2 hours and 40 minutes, according to Schumacher. There was talk of an extended cut being released to DVD for the film's 10th anniversary in 2005. While all four previous Batman films were given special-edition DVD releases on the same day as the Batman Begins DVD release, none of them were given extended cuts, although some scenes were in a deleted scenes section in the special features. Music Elliot Goldenthal was hired by Schumacher to | Bruce Wayne (Batman's civilian identity), with an invention that can beam television signals directly into a person's brain. Bruce rejects the device, concerned the technology could manipulate minds. After killing his supervisor and staging it as a suicide, Nygma resigns and plots revenge against Bruce, sending him riddles; criminal psychologist Dr. Chase Meridian diagnoses him as psychotic. Bruce attends a Haly's Circus event with Chase; Two-Face hijacks the event and threatens to detonate a bomb unless Batman surrenders. 17-year old acrobat Dick Grayson, the youngest member of the Flying Graysons, manages to throw the bomb into the river, but Two-Face kills his family. Bruce persuades the orphaned Dick to live at Wayne Manor as his ward, and Dick discovers Bruce is Batman. Determined to avenge his family, Dick demands to join Batman in crime-fighting, hoping to kill Two-Face, but Bruce refuses. Nygma, inspired by Two-Face, adopts a criminal persona, the Riddler, and allies with Two-Face. They commit a series of robberies to finance Nygma's new company and mass-produce his brainwave device, the "Box", which steals information from users' minds and transfers it to Nygma's, which makes him smarter in the process. At a party hosted by Nygma, Batman pursues Two-Face and is almost killed but is saved by Dick. Batman visits Chase, who explains that she has fallen in love with Bruce. He reveals to her his secret identity. The Riddler and Two-Face, having discovered Bruce's secret through the Box, blow up the Batcave, shooting Bruce and kidnapping Chase. As Bruce recovers, he and his butler, Alfred, deduce that Nygma is the Riddler. Bruce finally accepts Dick as Batman's partner, "Robin." At the villain's lair, Robin almost kills Two-Face but spares him, who holds him at gunpoint. The Riddler reveals that Chase and Robin are bound and gagged in tubes above a deadly drop, giving Batman the chance to save only one. Batman destroys the Riddler's brainwave receiver with a Batarang, draining the Riddler's mind and allowing Batman to rescue both. Two-Face corners them and determines their fate by flipping a coin, but Batman throws a handful of identical coins in the air, causing Two-Face to stumble in confusion and fall to his death. Committed to Arkham Asylum, Nygma now exclaims that he is Batman, which leads Chase to remark that he is truly insane. Bruce resumes his crusade as Batman, with Robin as his partner. Cast Val Kilmer as Bruce Wayne / Batman: After coming across the journal of his father, Wayne starts questioning his act of vengeance. He struggles with his dual identity as a crime fighter, becoming romantically involved with Dr. Chase Meridian. Tommy Lee Jones as Harvey Dent / Two-Face: Formerly the good district attorney of Gotham City. Half of Harvey's face is scarred and his brain is also damaged with acid during the conviction of a crime boss. Driven insane, he becomes the criminal Two-Face. Jim Carrey as Edward Nygma / The Riddler: A former Wayne Enterprises employee, Edward resigns after his newest invention is personally rejected by Bruce Wayne. He becomes the villainous Riddler, leaving riddles and puzzles at scenes of crime. Nicole Kidman as Dr. Chase Meridian: A psychologist and love interest of Bruce Wayne. Chase is fascinated by the dual nature of Batman. She's held as a damsel in distress in the climax. Chris O'Donnell as Dick Grayson / Robin: Once a circus acrobat, Dick is taken in by Bruce after Two-Face murders his parents and brother at a circus event. Bruce is reminded when his parents were murdered when he sees the same vengeance in Dick, and decides to take him in as his ward. He eventually discovers the Batcave and learns Bruce's secret identity. In his wake, he becomes the crime fighting partner, Robin. Michael Gough as Alfred Pennyworth: The Wayne family's faithful butler and Bruce's confidant. Alfred also befriends the young Dick Grayson. Pat Hingle as James Gordon: The police commissioner of Gotham City. George Wallace as The Mayor: The mayor of Gotham City. Drew Barrymore as Sugar: Two-Face's "good" blonde assistant. Wears a white corset bodysuit. She shows more of a sweet attitude more than she shows a sinister side to her. Debi Mazar as Spice: Two-Face's "bad" assistant. She is clad in a black leather corset with fishnet stockings on her legs and black leather gloves and appears as of a dominatrix. She wears her brunette hair up with red highlights. Shows a twisted sense of humor and vile nature. Ed Begley Jr. as Fred Stickley: Edward Nygma's ill-tempered supervisor at Wayne Enterprises. After Stickley discovers the true nature of Nygma's invention, Nygma kills him and makes it look like suicide. Begley was uncredited for this role. Ofer Samra as Harvey's Thug Elizabeth Sanders as Gossip Gerty: Gotham's top gossip columnist. René Auberjonois as Dr. Burton: Head Doctor of Arkham Asylum. Larry A. Lee as John Grayson: Dick Grayson's father and leader of the Flying Graysons. Glory Fioramonti as Mary Grayson: Dick Grayson's mother. En Vogue as girls on the corner who are hoping to see Batman. Joe Grifasi as Hawkins: A bank guard and Two-Face's hostage during the opening scene. Michael Paul Chan as Assistant #1 Jon Favreau as Assistant #2 Additionally, President pro tempore of the United States Senate and self-admitted Batman fan Patrick Leahy makes an uncredited appearance as himself. Production Development Batman Returns was released in 1992 with financial success and generally favorable reviews from critics, but Warner Bros. was disappointed with its box office run, having made $150 million less than the first film. After Batman Returns was deemed too dark and inappropriate for children, with McDonald's even shutting down their Happy Meal tie-in, Warner Bros. decided that this was the primary cause of the film's financial results and asked Burton to step down in favor of another director; while Sam Raimi and John McTiernan were considered, Joel Schumacher was selected by Warner Bros. after his job in The Client and approved by Burton. Husband-and-wife screenwriting couple Lee and Janet Scott-Batchler were brought on to write the script, and agreed with Burton that "the key element to Batman is his duality. And it's not just that Batman is Bruce Wayne." Their original script introduced a psychotic Riddler with a pet rat accompanying him. The story elements and much of the dialogue still remained in the finished film, though Schumacher felt it could be "lighte[ne]d down". Keaton initially approved the selection of Schumacher as director and planned on reprising his role as Batman from the first two films. Schumacher claims he originally had in mind an adaptation of Frank Miller's Batman: Year One and Keaton claimed that he was enthusiastic about the idea. Warner Bros. rejected the idea as they wanted a sequel, not a prequel, though Schumacher was able to include very brief events in Bruce Wayne's childhood with some events of the comic The Dark Knight Returns. Akiva Goldsman, who worked with Schumacher on The Client, was brought in to rewrite the script, deleting the initial idea of bringing in the Scarecrow as a villain with Riddler, and the return of Catwoman. Burton, who now was more interested in directing Ed Wood, later reflected he was taken aback by some of the focus group meetings for Batman Forever, a title he hated. Producer Peter MacGregor-Scott represented the studio's aim in making a film for the MTV Generation with full merchandising appeal. Casting Production went on fast track with Rene Russo cast as Chase Meridian but Keaton decided not to reprise Batman because he did not like the direction the series was headed in and rejected the script. Keaton also wanted to pursue "more interesting roles", turning down $15 million. A decision was made to go with a younger actor for Bruce Wayne, and an offer was made to Ethan Hawke, who turned it down but eventually regretted the decision. Schumacher had seen Val Kilmer in Tombstone, but was also interested in Keanu Reeves, Alec and William Baldwin, Dean Cain, Tom Hanks, Kurt Russell, Ralph Fiennes (who would later voice Alfred Pennyworth in The Lego Batman Movie), Daniel Day-Lewis and Johnny Depp. Cain was scrapped as he was well known for starring in the TV series Lois & Clark: The New Adventures of Superman. Kilmer, who as a child visited the studios where the 1960s series was recorded and shortly before had visited a bat cave in Africa, was contacted by his agent for the role. Kilmer signed on without reading the script or knowing who the director was. With Kilmer's casting, Warner Bros. dropped Russo, considering her too old to be paired with Kilmer. Sandra Bullock, Robin Wright, Jeanne Tripplehorn and Linda Hamilton were all considered for the role, which was eventually recast with Nicole Kidman. Billy Dee Williams took the role of Harvey Dent in Batman on the possibility of portraying Two-Face in a sequel, but Schumacher cast Tommy Lee Jones in the role, although Al Pacino, Clint Eastwood, Martin Sheen and Robert De Niro were considered, after working with him on The Client. Jones was reluctant to accept the role, but did so at his son's insistence. Robin Williams was in discussions to be the Riddler at one point but the role was eventually given to Jim Carrey with Williams only finding out in the trades. In a 2003 interview, Schumacher said Michael Jackson lobbied hard for the role, but was turned down before Jim Carrey was cast. Other actors considered were John Malkovich, Brad Dourif (considered before by Burton to portray Scarecrow, and was his original choice to portray The Joker, before being rejected by the Studio), Kelsey Grammer, Micky Dolenz, Matthew Broderick, Phil Hartman, Steve Martin, Adam Sandler and Rob Schneider. Mark Hamill was going to get the role, but had to turn it down due to contract issues, especially with Batman: The Animated Series (being The Joker's voice). Robin appeared in the shooting script for Batman Returns but was deleted due to the use of too many characters. Marlon Wayans had been cast in the role, and signed for a potential sequel, but when Schumacher took over, he decided to open up casting to other actors. Leonardo DiCaprio was considered, but decided not to pursue the role after a meeting with Schumacher. Matt Damon, Corey Haim, Corey Feldman, Mark Wahlberg, Michael Worth, Danny Dyer, Toby Stephens, Ewan McGregor, Jude Law, Alan Cumming, Christian Bale (who would later starred as Batman/Bruce Wayne in The Dark Knight trilogy), and Scott Speedman were considered also. Chris O'Donnell was cast and Mitch Gaylord served as his stunt double, and also portrayed Mitch Grayson, Dick's older brother, created for the film. Schumacher attempted to create a cameo role for Bono as his MacPhisto character, but both came to agree it was not suitable for the film. Filming Principal photography began on September 24, 1994, and wrapped on March 5, 1995. Schumacher hired Barbara Ling for production design, claiming that the film needed a "force" and good design. Ling could "advance on it". Schumacher wanted a design in no way connected to the previous films, and instead inspired by the images from the Batman comic books seen in the 1940s/early 1950s and New York City architecture in the 1930s, with a combination of modern Tokyo. He also wanted a "city with personality," with more statues, as well as various amounts of neon. Schumacher had problems with Kilmer, whom he described as "childish and impossible," reporting that he fought with various crewmen, and refused to speak to Schumacher for two weeks after the director told him to stop being rude. Schumacher also mentioned Tommy Lee Jones as a source of trouble: "Jim Carrey was a gentleman, and Tommy Lee was threatened by him. I'm tired of defending overpaid, overprivileged actors. I pray I don't work with them again." Carrey later acknowledged Jones was not friendly to him, telling him |
recently transferred Gotham police detective James Gordon – eventually building towards their first encounter and their eventual alliance against Gotham's criminal underworld. Publication history Development In an effort to resolve continuity errors in the DC Universe, Marv Wolfman and George Pérez produced the 12-issue limited series Crisis on Infinite Earths. Wolfman's plans for the DC Universe after Crisis on Infinite Earths included relaunching every DC comic with a new first issue. During the production of Crisis on Infinite Earths, Frank Miller was the writer of Marvel Comics' Daredevil. He collaborated with artist David Mazzucchelli to produce Daredevil: Born Again together which was critically acclaimed. Miller worked for DC and produced the influential four-issue limited series Batman: The Dark Knight (1986). Editor Dennis O'Neil also moved to work for DC. The contract Miller signed to produce Dark Knight also required him to write a revamped Batman origin story. Miller's past projects overwhelmed him since he had to handle both writing and illustration duties simultaneously. For Year One, he simply wrote the story and the script, with Mazzucchelli signed on to provide the artwork. Mazzucchelli's wife Richmond Lewis was responsible for coloring, Todd Klein was the story's letterer, and O'Neil edited the issues. According to O'Neil, the contract Miller and Mazzucchelli signed to produce Year One in the ongoing Batman series guaranteed publication within 6 months. Year One was originally conceived as a graphic novel. O'Neil, who had been asked to edit several issues of Batman, was friends with Miller and was able to learn of the story. Reflecting on poor sales of Batman, O'Neil caught Miller one day while on a walk in Los Angeles and convinced him and Mazzucchelli to serialize the story in the ongoing series. Miller was initially reluctant; he felt this would be hard because he had to ensure the story stayed canonical to the DC Universe, something he did not have to worry about when writing Dark Knight. In addition, Miller's pacing would have to be altered because of ongoing series' relatively small page counts. O'Neil reasoned that Crisis on Infinite Earths had completely remade the DC Universe, so Miller would be able to have the same creative freedom that Dark Knight provided. He also reassured Miller that he and Mazzucchelli "weren’t going to lose anything" by serializing it. Miller has said he kept Bob Kane and Bill Finger's basic story for Year One but expanded it. In writing the story, Miller looked for parts of Batman's origin that were never explored. He left the core elements, such as the murder of Bruce's parents, intact, but reduced them to brief flashbacks. Bruce's globe-trotting adventures were removed, as Miller found them uninteresting. Rather than portraying Batman as a larger-than-life icon as he had in Dark Knight, Miller chose to characterize Batman in Year One as an average, inexperienced man trying to make a change in society because Miller believed a superhero is least interesting when most effective. Examples of this include Batman underestimating his opponents, getting shot by police, and his costume being too big. The story's violence was kept street-level and gritty, emphasizing noir and realism. In illustrating, Mazzucchelli sought to make Year One look grimy, dark, and muted. His interpretation of Gotham City was designed to symbolize corruption, featuring muddy colors that gave the impression of the city being dirty and needing a hero. The newsprint paper used in Batman was unable to reproduce the bright coloring and visual effects of The Dark Knight, so Mazzucchelli took on Year One with a more grounded and darker approach. Publication In accordance with Wolfman's plans, O'Neil initially saw "Year One" as the start of the second volume of Batman and expected the first part to be its first issue. However, Miller rejected this idea. He explained: "I don't need to slash through continuity with as sharp a blade as I thought. Doing the Dark Knight has shown me there's been enough good material ... I didn't feel that fleshing out an unknown part of Batman's history justified wiping out 50 years of [adventures]." Thus, the four "Year One" issues bear no continuity to past issues of Batman. Collected editions According to Mazzucchelli, Year One was designed to be a graphic novel without advertisement pages. In 1988, DC finally published a trade paperback () and a hardcover (), containing 96 pages long. In her coloring for the graphic novel, Lewis had to utilize a different color palette in order to match the visual quality printed on the paper since the four-issue comic books were originally printed on newsprint paper. One version of trade paperback was published by Warner Books () and another was published by Titan Books (). In 1989, Longmeadow Press published The Complete Frank Miller Batman with Year One, Wanted: Santa Claus - Dead or Alive! and The Dark Knight Returns as contents of the book. DC released a hardcover () and a trade paperback () "deluxe edition" of Year One to coincide with the release of Batman Begins in April 2005. This release includes introductions by Miller and Mazzucchelli, the original penciled artwork, promotional and unseen Batman art, Lewis's color samples, some pages of the original script, and a new introduction by O'Neil at the back dust jacket cover for a total of 144 pages. Mazzucchelli and Chip Kidd collaborated to design the cover of the book. New versions of this edition were released in 2012 () and 2017 (). Mazzucchelli stated that DC released the 2012 deluxe edition without his acknowledgement and involvement. He received a copy of the book from DC and personally inspected it which he cited there were a few things that he did not approve in the design: artworks were recolored via digital software, pages were printed on different paper material, and a different artwork was used as the front dust jacket cover. Mazzucchelli described the 2012 deluxe edition basically ruined all the efforts he put in making the 2005 deluxe edition. The 2017 deluxe edition was released with the same paper quality and coloring as the Absolute Edition Book One. To celebrate Batman's 75th anniversary in November 2014, DC released a sample of Year One as a part of its DC Comics Essentials line of promotional comics. In 2015, a special package was released that contained the story and its film adaptation (). In November 2016, DC released a 288-page Absolute Edition () of Year One. This edition comes in a slipcase with two hardcover books. Book One features a whole new scanning from the original sketches by Mazzucchelli and remastered coloring by Lewis while Book Two features scans using pages from the original Year One comic books that were released back in 1987. Both books contain over 60 pages of bonus materials, including Miller's complete scripts specifically found in Book Two. The Batman Box Set () is set to be released in March 2022, collecting the trade paperback version of Year One, The Long Halloween, and Ego and Other Tails with Jim Lee designs the art of the slipcase. Director Matt Reeves cited these graphic novels are the major influences for him to make his Batman movie. Plot summary Billionaire Bruce Wayne returns home to Gotham City after 12 years abroad, training for his eventual one-man war on crime. James Gordon moves to Gotham City with his wife, Barbara Gordon, after a transfer from Chicago. Both are swiftly acquainted with the corruption and violent atmosphere of the city. Gordon is assigned to be the partner of Det. Arnold John Flass. He witnesses his partner's cruel methods in stopping a crime and assaulting a teen for fun. Gordon tries to focus on purging corruption from the Gotham City Police Department, but several officers led by Flass beat him on the orders from his corrupt superior, Commissioner Gillian Loeb, with Flass personally threatens Gordon's pregnant wife. In revenge, the recovering Gordon tracks Flass down, beats him, and leaves him naked and handcuffed in the snow. Bruce believes he is still unprepared to fight against crime despite having the skills he learnt from abroad. He goes in disguise on a surveillance mission in Gotham's red-light district, but he refuses a proposition from teenage prostitute Holly Robinson. He is reluctantly drawn into a brawl with her pimp and several prostitutes, including dominatrix Selina Kyle. Two police officers shoot him on sight and take him away in their squad car. Bruce breaks free and flees from the scene as soon as possible. He reaches Wayne Manor barely alive and sits before his father's bust, requesting guidance in his war against crime. A bat suddenly crashes through a window and settles on the bust, giving him the inspiration to become the Batman. Bruce quickly rings up his butler Alfred Pennyworth to patch up his injuries and proposes the idea of saving Gotham as Batman. Gordon becomes a minor celebrity for a brave act of saving a group of orphans from a man who has a record of insanity. Bruce strikes as Batman for the first time; crime and corruption significantly decline after a few months of efforts. He even goes after Flass, who is in the middle of accepting a bribe from Jefferson Skeevers, a drug dealer of Carmine Falcone. Batman interrupts a dinner party held at the mansion of Gotham's mayor and he announces that every attendees shall be brought to justice for their crimes someday. Loeb is infuriated by Batman's threatening message, ordering Gordon to arrest him by any means necessary. While Gordon tries in vain to catch Batman, assistant District Attorney Harvey Dent immediately becomes Batman's first ally and Dent conceals this secret from Gordon. GCPD Sergeant Sarah Essen suggests to Gordon that Bruce Wayne could be a Batman suspect. The pair come across a runaway truck that nearly hits an old lady with Batman managing to save the lady while Gordon is momentarily dazed after stopping the truck. Essen holds Batman at gunpoint, but Batman disarms her and flees to an abandoned building. Loeb orders a bomb dropped on the building. Batman is caught in the explosion and survives by hiding himself in the fortified basement, but is forced to abandon his utility belt as it catches fire. A SWAT team led by a trigger-happy commander, Branden, is sent in with the order to kill any survivors left in the building. Being cornered into a disadvantaged situation with a few gadgets left at his disposal, Batman uses a signal device to attract bats from the Batcave to create his only route for escaping. The swarm of bats cause chaos in the crowd of witnesses, Batman beats the SWAT team into submission and then escapes. After witnessing Batman in action, Selina is inspired to begin a life of crime by donning a costume of her own. Gordon and Essen resume their investigation into Batman. Essen's intuition leads her to believe that Bruce is indeed Batman. They both have a brief affair together; after two months of dating Essen learns Gordon is going to be a father of Barbara's unborn child. She chooses to leave Gotham to avoid damaging the relationship. Gordon is left alone to investigate | Batman art, Lewis's color samples, some pages of the original script, and a new introduction by O'Neil at the back dust jacket cover for a total of 144 pages. Mazzucchelli and Chip Kidd collaborated to design the cover of the book. New versions of this edition were released in 2012 () and 2017 (). Mazzucchelli stated that DC released the 2012 deluxe edition without his acknowledgement and involvement. He received a copy of the book from DC and personally inspected it which he cited there were a few things that he did not approve in the design: artworks were recolored via digital software, pages were printed on different paper material, and a different artwork was used as the front dust jacket cover. Mazzucchelli described the 2012 deluxe edition basically ruined all the efforts he put in making the 2005 deluxe edition. The 2017 deluxe edition was released with the same paper quality and coloring as the Absolute Edition Book One. To celebrate Batman's 75th anniversary in November 2014, DC released a sample of Year One as a part of its DC Comics Essentials line of promotional comics. In 2015, a special package was released that contained the story and its film adaptation (). In November 2016, DC released a 288-page Absolute Edition () of Year One. This edition comes in a slipcase with two hardcover books. Book One features a whole new scanning from the original sketches by Mazzucchelli and remastered coloring by Lewis while Book Two features scans using pages from the original Year One comic books that were released back in 1987. Both books contain over 60 pages of bonus materials, including Miller's complete scripts specifically found in Book Two. The Batman Box Set () is set to be released in March 2022, collecting the trade paperback version of Year One, The Long Halloween, and Ego and Other Tails with Jim Lee designs the art of the slipcase. Director Matt Reeves cited these graphic novels are the major influences for him to make his Batman movie. Plot summary Billionaire Bruce Wayne returns home to Gotham City after 12 years abroad, training for his eventual one-man war on crime. James Gordon moves to Gotham City with his wife, Barbara Gordon, after a transfer from Chicago. Both are swiftly acquainted with the corruption and violent atmosphere of the city. Gordon is assigned to be the partner of Det. Arnold John Flass. He witnesses his partner's cruel methods in stopping a crime and assaulting a teen for fun. Gordon tries to focus on purging corruption from the Gotham City Police Department, but several officers led by Flass beat him on the orders from his corrupt superior, Commissioner Gillian Loeb, with Flass personally threatens Gordon's pregnant wife. In revenge, the recovering Gordon tracks Flass down, beats him, and leaves him naked and handcuffed in the snow. Bruce believes he is still unprepared to fight against crime despite having the skills he learnt from abroad. He goes in disguise on a surveillance mission in Gotham's red-light district, but he refuses a proposition from teenage prostitute Holly Robinson. He is reluctantly drawn into a brawl with her pimp and several prostitutes, including dominatrix Selina Kyle. Two police officers shoot him on sight and take him away in their squad car. Bruce breaks free and flees from the scene as soon as possible. He reaches Wayne Manor barely alive and sits before his father's bust, requesting guidance in his war against crime. A bat suddenly crashes through a window and settles on the bust, giving him the inspiration to become the Batman. Bruce quickly rings up his butler Alfred Pennyworth to patch up his injuries and proposes the idea of saving Gotham as Batman. Gordon becomes a minor celebrity for a brave act of saving a group of orphans from a man who has a record of insanity. Bruce strikes as Batman for the first time; crime and corruption significantly decline after a few months of efforts. He even goes after Flass, who is in the middle of accepting a bribe from Jefferson Skeevers, a drug dealer of Carmine Falcone. Batman interrupts a dinner party held at the mansion of Gotham's mayor and he announces that every attendees shall be brought to justice for their crimes someday. Loeb is infuriated by Batman's threatening message, ordering Gordon to arrest him by any means necessary. While Gordon tries in vain to catch Batman, assistant District Attorney Harvey Dent immediately becomes Batman's first ally and Dent conceals this secret from Gordon. GCPD Sergeant Sarah Essen suggests to Gordon that Bruce Wayne could be a Batman suspect. The pair come across a runaway truck that nearly hits an old lady with Batman managing to save the lady while Gordon is momentarily dazed after stopping the truck. Essen holds Batman at gunpoint, but Batman disarms her and flees to an abandoned building. Loeb orders a bomb dropped on the building. Batman is caught in the explosion and survives by hiding himself in the fortified basement, but is forced to abandon his utility belt as it catches fire. A SWAT team led by a trigger-happy commander, Branden, is sent in with the order to kill any survivors left in the building. Being cornered into a disadvantaged situation with a few gadgets left at his disposal, Batman uses a signal device to attract bats from the Batcave to create his only route for escaping. The swarm of bats cause chaos in the crowd of witnesses, Batman beats the SWAT team into submission and then escapes. After witnessing Batman in action, Selina is inspired to begin a life of crime by donning a costume of her own. Gordon and Essen resume their investigation into Batman. Essen's intuition leads her to believe that Bruce is indeed Batman. They both have a brief affair together; after two months of dating Essen learns Gordon is going to be a father of Barbara's unborn child. She chooses to leave Gotham to avoid damaging the relationship. Gordon is left alone to investigate Bruce's connection to Batman; he travels to Wayne Manor with Barbara to interrogate Bruce. Bruce uses his playboy charms as alibi to dismiss Gordon's questioning. While leaving the manor, Barbara criticizes Bruce's embarrassing manners which prompts Gordon to confess his affair with Essen to her. Skeevers initially gets bailed from Gordon with a hired lawyer, he is attacked by Batman for information and he agrees to testify against Flass. Upset with Gordon's exploits, Loeb blackmails Gordon into dropping the case against Flass by threatening to give his wife proof of his affair. Skeevers is then hospitalized when his interrogation meal is drugged with rat poison, so that he remains silent about the ties between Loeb and Falcone. Batman sneaks into Falcone's manor and overhears him and his nephew, Johnny Viti, discussing a plan to deal with Gordon. Selina suddenly attacks Falcone and his bodyguards in her cat costume in order to steal his valuables. Bruce plays the audio device he used to record Falcone's conversation and confirms Falcone wants to target Gordon's family. In his mission to help Gordon, Bruce disguises himself as |
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