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German Lost Art Foundation database lists 33 entries for Maillol. The German Historical Museum's database for artworks recovered by the Allies at the Munich Central Collecting Point has 13 items related to Maillol. Maillol's sculpture ‘Head of Flora’ was found in the stash of Cornelius Gurlitt, son of Hitler's art dealer Hildebrand Gurlitt together with lithographs, drawings and paintings. A photograph from May 24, 1946 shows "Six men, members of the Monuments, Fine Arts & Archives section of the military, prepare Aristide Maillol's sculpture Baigneuse à la draperie, looted during World War II for transport to France. Sculpture is labeled with sign: Wiesbaden, no. 31." Jewish art collectors whose artworks by Maillol were looted by Nazis include Hugo Simon, Alfred Flechtheim and many others. Works Action in Chains (1905) Flora, Nude (1910) L'Été sans bras (1911) Bathing Woman with Raised Arms (1921) Nymph (1930) The Mountain (1937) L'Air (1938) The River (1938-43) Mme Henry Clemens van de Velde (c. 1899) References Sources Solomon R. Guggenheim Museum, "Aristide Maillol, 1861-1944", New York, Solomon R. Guggenheim Foundation, 1975. Frèches-Thory, Claire, & Perucchi-Petry, Ursula, ed.: Die Nabis: Propheten der Moderne, Kunsthaus Zürich & Grand Palais, Paris & Prestel, Munich 1993 (German), (French) Further reading Lorquin, Bertrand (1995). Maillol. Skira. . Rewald, John (1951). The Woodcuts of Aristide Maillol. New York: Pantheon Books. External links Masters of 20th Century Figure Sculpture Maillol Museum Aristide Maillol in Cultural Plunder by the Einsatzstab Reichsleiter Rosenberg: Database of Art Objects at the Jeu de Paume French sculptors Modern sculptors 1861 births 1944 deaths Painters from Catalonia Sculptors from Catalonia French male painters French male sculptors Prix Blumenthal Alumni of the École des Beaux-Arts French Roman Catholics People from Pyrénées-Orientales Road incident deaths in France 19th-century French painters 20th-century French painters 20th-century
also illustrated Daphnis and Chloe by Longus (1937) and Chansons pour elle by Paul Verlaine (1939). He died in Banyuls at the age of eighty-three, in an automobile accident. While driving home during a thunderstorm, the car in which he was a passenger skidded off the road and rolled over. A large collection of Maillol's work is maintained at the Musée Maillol in Paris, which was established by Dina Vierny, Maillol's model and platonic companion during the last 10 years of his life. His home a few kilometers outside Banyuls, also the site of his final resting place, has been turned into a museum, the Musée Maillol Banyuls-sur-Mer, where a number of his works and sketches are displayed. Three of his bronzes grace the grand staircase of the Metropolitan Opera House in New York City: Summer (1910–11), Venus Without Arms (1920), and Kneeling Woman: Monument to Debussy (1950–55). The third, the artist's only reference to music, is a copy of an original created for the French city of Saint-Germain-en-Laye, Claude Debussy's birthplace. Nazi-looted art During the German occupation of France, dozens of artworks by Maillol were seized by the Nazi looting organization known as the E.R.R. or Reichsleiter Rosenberg Taskforce. The Database of Art Objects at the Jeu de Paume lists thirty artworks by Maillol. The German Lost Art Foundation database lists 33 entries for Maillol. The German Historical Museum's database for artworks recovered by the Allies at the Munich Central Collecting Point has 13 items related to Maillol. Maillol's sculpture ‘Head of Flora’ was found in the stash of Cornelius Gurlitt, son of Hitler's art dealer Hildebrand Gurlitt together with lithographs, drawings and paintings. A photograph from May 24, 1946 shows "Six men, members of the Monuments, Fine Arts & Archives section of the military, prepare Aristide Maillol's sculpture Baigneuse à la draperie, looted during World War II for transport to France. Sculpture is labeled with sign: Wiesbaden, no. 31." Jewish art collectors whose artworks by Maillol were looted by Nazis include Hugo Simon, Alfred Flechtheim and many others. Works Action in Chains (1905) Flora, Nude (1910) L'Été sans bras (1911) Bathing Woman with Raised Arms (1921) Nymph (1930) The Mountain (1937) L'Air (1938) The River (1938-43) Mme Henry Clemens van de Velde (c. 1899) References Sources Solomon R. Guggenheim Museum, "Aristide Maillol, 1861-1944", New York, Solomon R. Guggenheim Foundation, 1975. Frèches-Thory, Claire, & Perucchi-Petry, Ursula, ed.: Die Nabis: Propheten der Moderne, Kunsthaus Zürich & Grand Palais, Paris & Prestel, Munich 1993 (German), (French) Further reading Lorquin, Bertrand (1995). Maillol. Skira. . Rewald, John (1951). The Woodcuts of Aristide Maillol. New York: Pantheon Books. External links Masters of 20th Century Figure Sculpture Maillol Museum Aristide
England, Russia, Poland, Austria and Holland, as well as several members from different royal lineages, and prominent individuals. Among his patrons were Napoleon and his family, for whom Canova produced much work, including several depictions between 1803 and 1809. The most notable representations were that of Napoleon as Mars the Peacemaker, and Venus Victrix which was portrayal of Pauline Bonaparte. Napoleon as Mars the Peacemaker had its inception after Canova was hired to make a bust of Napoleon in 1802. The statue was begun in 1803, with Napoleon requesting to be shown in a French General's uniform, Canova rejected this, insisting on an allusion to Mars, the Roman god of War. It was completed in 1806. In 1811, the statue arrived in Paris, but not installed; neither was its bronze copy in the Foro Napoleonico in Milan. In 1815, the original went to the Duke of Wellington, after his victory at Waterloo against Napoleon. Venus Victrix was originally conceived as a robed and recumbent sculpture of Pauline Borghese in the guise of Diana. Instead, Pauline ordered Canova to make the statue a nude Venus. The work was not intended for public viewing. Other works for the Napoleon family include, a bust of Napoleon, a statue of Napoleon's mother, and Marie Louise as Concordia. In 1802, Canova was assigned the post of 'Inspector-General of Antiquities and Fine Art of the Papal State', a position formerly held by Raphael. One of his activities in this capacity was to pioneer the restoration of the Appian Way by restoring the tomb of Servilius Quartus. In 1808 Canova became an associated member of the Royal Institute of the Netherlands. In 1814, he began his The Three Graces. In 1815, he was named 'Minister Plenipotentiary of the Pope,' and was tasked with recovering various works of art that were taken to Paris by Napoleon. Also in 1815, he visited London, and met with Benjamin Haydon. It was after the advice of Canova that the Elgin marbles were acquired by the British Museum, with plaster copies sent to Florence, according to Canova's request. Returning to Italy In 1816, Canova returned to Rome with some of the art Napoleon had taken. He was rewarded with several marks of distinction: he was appointed President of the Accademia di San Luca, inscribed into the "Golden Book of Roman Nobles" by the Pope's own hands, and given the title of Marquis of Ischia, alongside an annual pension of 3000 crowns. In 1819, he commenced and completed his commissioned work Venus Italica as a replacement for the Venus de' Medici. After his 1814 proposal to build a personified statue of Religion for St. Peter's Basilica was rejected, Canova sought to build his own temple to house it. This project came to be the Tempio Canoviano. Canova designed, financed, and partly built the structure himself. The structure was to be a testament to Canova's piety. The building's design was inspired by combining the Parthenon and the Pantheon together. On 11 July 1819, Canova laid the foundation stone dressed in red Papal uniform and decorated with all his medals. It first opened in 1830, and was finally completed in 1836. After the foundation-stone of this edifice had been laid, Canova returned to Rome; but every succeeding autumn he continued to visit Possagno to direct the workmen and encourage them with rewards. During the period that intervened between commencing operations at Possagno and his death, he executed or finished some of his most striking works. Among these were the group Mars and Venus, the colossal figure of Pius VI, the Pietà, the St John, and a colossal bust of his friend, the Count Cicognara. In 1820, he made a statue of George Washington for the state of North Carolina. As recommended by Thomas Jefferson, the sculptor used the marble bust of Washington by Giuseppe Ceracchi as a model. It was delivered on 24 December 1821. The statue and the North Carolina State House where it was displayed were later destroyed by fire in 1831. A plaster replica was sent by the king of Italy in 1910, now on view at the North Carolina Museum of History. A marble copy was sculpted by Romano Vio in 1970, now on view in the rotunda of the capitol building. In 1822, he journeyed to Naples, to superintend the construction of wax moulds for an equestrian statue of Ferdinand VII. The adventure was disastrous to his health, but soon became healthy enough to return to Rome. From there, he voyaged to Venice; however, on 13 October 1822, he died there at the age of 64. As he never married, the name became extinct, except through his stepbrothers' lineage of Satori-Canova. On 12 October 1822, Canova instructed his brother to use his entire estate to complete the Tempio in Possagno. On 25 October 1822, his body was placed in the Tempio Canoviano. His heart was interred at the Basilica di Santa Maria Gloriosa dei Frari in Venice, and his right hand preserved in a vase at the Accademia di Belle Arti di Venezia. His memorial service was so grand that it rivaled the ceremony that the city of Florence held for Michelangelo in 1564. In 1826, Giovanni Battista Sartori sold Canova's Roman studio and took every plaster model and sculpture to Possagno, where they were installed in the Tempio Canoviano. Works Among Canova's most notable works are: Psyche Revived by Cupid's Kiss (1787) Psyche Revived by Cupid's Kiss was commissioned in 1787 by Colonel John Campbell. It is regarded as a masterpiece of Neoclassical sculpture, but shows the mythological lovers at a moment of great emotion, characteristic of the emerging movement of Romanticism. It represents the god Cupid in the height of love and tenderness, immediately after awakening the lifeless Psyche with a kiss. Napoleon as Mars the Peacemaker (1802–1806) Napoleon as Mars the Peacemaker had its inception after Canova was hired to make a bust of Napoleon in 1802. The statue was begun in 1802, with Napoleon requesting to be shown in a French General's uniform, Canova rejected this, insisting on an allusion to Mars, the Roman god of War. It was completed in 1806. In 1811, the statue arrived in Paris, but not installed; neither was its bronze copy in the Foro Napoleonico in Milan. In 1815, the original went to the Duke of Wellington, after his victory at Waterloo against Napoleon. Perseus Triumphant (1804–1806) Perseus Triumphant, sometimes called Perseus with the Head of Medusa, was a statue commissioned by tribune Onorato Duveyriez. It depicts the Greek hero Perseus after his victory over the Gorgon Medusa. The statue was based freely to the Apollo Belvedere and the Medusa Rondanini. Napoleon, after his 1796 Italian Campaign, took the Apollo Belvedere to Paris. In the statue's absence, Pope Pius VII acquired Canova's Perseus Triumphant and placed the work upon the Apollo'''s pedestal. The statue was so successful that when the Apollo was returned, Perseus remained as a companion piece. One replica of the statue was commissioned from Canova by the Polish countess Waleria Tarnowska; it's now displayed in the Metropolitan Museum of Art in New York City. Karl Ludwig Fernow said of the statue that "every eye must rest with pleasure on the beautiful surface, even when the mind finds its hopes of high and pure enjoyment disappointed." Venus Victrix (1805–1808)Venus Victrix ranks among the most famous of Canova's works. Originally, Canova wished the depictation to be of a robed Diana, but Pauline Borghese insisted to appear as a nude Venus. The work was not intended for public viewing. The Three Graces (1814–1817) John Russell, the 6th Duke of Bedford, commissioned a version of the now famous work. He had previously visited Canova in his studio in Rome in 1814 and had been immensely impressed by a carving of the Graces the sculptor had made for the Empress Josephine. When the Empress died in May of the same year he immediately offered to purchase the completed piece, but was unsuccessful as Josephine's son Eugène claimed it (his son Maximilian brought it to St. Petersburg, where it can now be found in the Hermitage Museum). Undeterred, the Duke commissioned another version for himself. The
at S. Maurizio,. At this time, Procurator Pietro Vettor Pisani commissioned Canova's first marble statue: a depiction of Daedalus and Icarus. The statue inspired great admiration for his work at the annual art fair; Canova was paid for 100 gold zecchini for the completed work. At the base of the statue, Daedalus' tools are scattered about; these tools are also an allusion to Sculpture, of which the statue is a personification. With such an intention, there is suggestion that Daedalus is a portrait of Canova's grandfather Pasino. Rome Canova arrived in Rome, on 28 December 1780. Prior to his departure, his friends had applied to the Venetian senate for a pension. Successful in the application, the stipend allotted amounted to three hundred ducats, limited to three years. While in Rome, Canova spent time studying and sketching the works of Michelangelo. In 1781, Girolamo Zulian – the Venetian ambassador to Rome – hired Canova to sculpt Theseus and the Minotaur. Zulian played a fundamental role in Canova's rise to fame, turning some rooms of his palace into a studio for the artist and placing his trust in him despite Canova's early critics in Rome. The statue depicts the victorious Theseus seated on the lifeless body of a Minotaur. The initial spectators were certain that the work was a copy of a Greek original, and were shocked to learn it was a contemporary work. The highly regarded work is now in the collection of the Victoria & Albert Museum, in London. Between 1783 and 1785, Canova arranged, composed, and designed a funerary monument dedicated to Clement XIV for the Church of Santi Apostoli. After another two years, the work met completion in 1787. The monument secured Canova's reputation as the pre-eminent living artist. In 1792, he completed another cenotaph, this time commemorating Clement XIII for St. Peter's Basilica. Canova harmonized its design with the older Baroque funerary monuments in the basilica. In 1790, he began to work on a funerary monument for Titian, which was eventually abandoned by 1795. During the same year, he increased his activity as a painter. Canova was notoriously disinclined to restore sculptures. However, in 1794 he made an exception for his friend and early patron Zulian, restoring a few sculptures that Zulian had moved from Rome to Venice. The following decade was extremely productive, beginning works such as Hercules and Lichas, Cupid and Psyche, Hebe, Tomb of Duchess Maria Christina of Saxony-Teschen, and The Penitent Magdalene. In 1797, he went to Vienna, but only a year later, in 1798, he returned to Possagno for a year. France and England By 1800, Canova was the most celebrated artist in Europe. He systematically promoted his reputation by publishing engravings of his works and having marble versions of plaster casts made in his workshop. He became so successful that he had acquired patrons from across Europe including France, England, Russia, Poland, Austria and Holland, as well as several members from different royal lineages, and prominent individuals. Among his patrons were Napoleon and his family, for whom Canova produced much work, including several depictions between 1803 and 1809. The most notable representations were that of Napoleon as Mars the Peacemaker, and Venus Victrix which was portrayal of Pauline Bonaparte. Napoleon as Mars the Peacemaker had its inception after Canova was hired to make a bust of Napoleon in 1802. The statue was begun in 1803, with Napoleon requesting to be shown in a French General's uniform, Canova rejected this, insisting on an allusion to Mars, the Roman god of War. It was completed in 1806. In 1811, the statue arrived in Paris, but not installed; neither was its bronze copy in the Foro Napoleonico in Milan. In 1815, the original went to the Duke of Wellington, after his victory at Waterloo against Napoleon. Venus Victrix was originally conceived as a robed and recumbent sculpture of Pauline Borghese in the guise of Diana. Instead, Pauline ordered Canova to make the statue a nude Venus. The work was not intended for public viewing. Other works for the Napoleon family include, a bust of Napoleon, a statue of Napoleon's mother, and Marie Louise as Concordia. In 1802, Canova was assigned the post of 'Inspector-General of Antiquities and Fine Art of the Papal State', a position formerly held by Raphael. One of his activities in this capacity was to pioneer the restoration of the Appian Way by restoring the tomb of Servilius Quartus. In 1808 Canova became an associated member of the Royal Institute of the Netherlands. In 1814, he began his The Three Graces. In 1815, he was named 'Minister Plenipotentiary of the Pope,' and was tasked with recovering various works of art that were taken to Paris by Napoleon. Also in 1815, he visited London, and met with Benjamin Haydon. It was after the advice of Canova that the Elgin marbles were acquired by the British Museum, with plaster copies sent to Florence, according to Canova's request. Returning to Italy In 1816, Canova returned to Rome with some of the art Napoleon had taken. He was rewarded with several marks of distinction: he was appointed President of the Accademia di San Luca, inscribed into the "Golden Book of Roman Nobles" by the Pope's own hands, and given the title of Marquis of Ischia, alongside an annual pension of 3000 crowns. In 1819, he commenced and completed his commissioned work Venus Italica as a replacement for the Venus de' Medici. After his 1814 proposal to build a personified statue of Religion for St. Peter's Basilica was rejected, Canova sought to build his own temple to house it. This project came to be the Tempio Canoviano. Canova designed, financed, and partly built the structure himself. The structure was to be a testament to Canova's piety. The building's design was inspired by combining the Parthenon and the Pantheon together. On 11 July 1819, Canova laid the foundation stone dressed in red Papal uniform and decorated with all his medals. It first opened in 1830, and was finally completed in 1836. After the foundation-stone of this edifice had been laid, Canova returned to Rome; but every succeeding autumn he continued to visit Possagno to direct the workmen and encourage them with rewards. During the period that intervened between commencing operations at Possagno and his death, he executed or finished some of his most striking works. Among these were the group Mars and Venus, the colossal figure of Pius VI, the Pietà, the St John, and a colossal bust of his friend, the Count Cicognara. In 1820, he made a statue of George Washington for the state of North Carolina. As recommended by Thomas Jefferson, the sculptor used the marble bust of Washington by Giuseppe Ceracchi as a model. It was delivered on 24 December 1821. The statue and the North Carolina State House where it was displayed were later destroyed by fire in 1831. A plaster replica was sent by the king of Italy in 1910, now on view at the North Carolina Museum of History. A marble copy was sculpted by Romano Vio in 1970, now on view in the rotunda of the capitol building. In 1822, he journeyed to Naples, to superintend the construction of wax moulds for an equestrian statue of Ferdinand VII. The adventure was disastrous to his health, but soon became healthy enough to return to Rome. From there, he voyaged to Venice; however, on 13 October 1822, he died there at the age of 64. As he never married, the name became extinct, except through his stepbrothers' lineage of Satori-Canova. On 12 October 1822, Canova instructed his brother to use his entire estate to complete the Tempio in Possagno. On 25 October 1822, his body was placed in the Tempio Canoviano. His heart was interred at the Basilica di Santa Maria Gloriosa dei Frari in Venice, and his right hand preserved in a vase at the Accademia di Belle Arti di Venezia. His memorial service was so grand that it rivaled the ceremony that the city of Florence held for Michelangelo in 1564. In 1826, Giovanni Battista Sartori sold Canova's Roman studio and took every plaster model and sculpture to Possagno, where they were installed in the Tempio Canoviano. Works Among Canova's most notable works are: Psyche Revived by Cupid's Kiss (1787) Psyche Revived by Cupid's Kiss was commissioned in 1787 by Colonel John Campbell. It is regarded as a masterpiece of Neoclassical sculpture, but shows the mythological lovers at a moment of great emotion, characteristic of the emerging movement of Romanticism. It represents the god Cupid in the height of love and tenderness, immediately after awakening the lifeless Psyche with a kiss. Napoleon as Mars the Peacemaker (1802–1806) Napoleon as Mars the
being the Chicago hotelier Potter Palmer and his wife, Bertha Palmer (1849–1918). The next opportunity for Rodin in America was the 1893 Chicago World's Fair. Hallowell wanted to help promote Rodin's work and he suggested a solo exhibition, which she wrote him was beaucoup moins beau que l'original but impossible, outside the rules. Instead, she suggested he send a number of works for her loan exhibition of French art from American collections and she told him she would list them as being part of an American collection. Rodin sent Hallowell three works, Cupid and Psyche, Sphinx and Andromeda. All nudes, these works provoked great controversy and were ultimately hidden behind a drape with special permission given for viewers to see them.Bust of Dalou and Burgher of Calais were on display in the official French pavilion at the fair and so between the works that were on display and those that were not, he was noticed. However, the works he gave Hallowell to sell found no takers, but she soon brought the controversial Quaker-born financier Charles Yerkes (1837–1905) into the fold and he purchased two large marbles for his Chicago manse; Yerkes was likely the first American to own a Rodin sculpture. Other collectors soon followed including the tastemaking Potter Palmers of Chicago and Isabella Stewart Gardner (1840–1924) of Boston, all arranged by Sarah Hallowell. In appreciation for her efforts at unlocking the American market, Rodin eventually presented Hallowell with a bronze, a marble and a terra cotta. When Hallowell moved to Paris in 1893, she and Rodin continued their warm friendship and correspondence, which lasted to the end of the sculptor's life. After Hallowell's death, her niece, the painter Harriet Hallowell, inherited the Rodins and after her death, the American heirs could not manage to match their value in order to export them, so they became the property of the French state. Great Britain After the start of the 20th century, Rodin was a regular visitor to Great Britain, where he developed a loyal following by the beginning of the First World War. He first visited England in 1881, where his friend, the artist Alphonse Legros, had introduced him to the poet William Ernest Henley. With his personal connections and enthusiasm for Rodin's art, Henley was most responsible for Rodin's reception in Britain. (Rodin later returned the favor by sculpting a bust of Henley that was used as the frontispiece to Henley's collected works and, after his death, on his monument in London.) Through Henley, Rodin met Robert Louis Stevenson and Robert Browning, in whom he found further support. Encouraged by the enthusiasm of British artists, students, and high society for his art, Rodin donated a significant selection of his works to the nation in 1914. After the revitalization of the Société Nationale des Beaux-Arts in 1890, Rodin served as the body's vice-president. In 1903, Rodin was elected president of the International Society of Painters, Sculptors, and Engravers. He replaced its former president, James Abbott McNeill Whistler, upon Whistler's death. His election to the prestigious position was largely due to the efforts of Albert Ludovici, father of English philosopher Anthony Ludovici, who was private secretary to Rodin for several months in 1906, but the two men parted company after Christmas, "to their mutual relief." During his later creative years, Rodin's work turned increasingly toward the female form, and themes of more overt masculinity and femininity. He concentrated on small dance studies, and produced numerous erotic drawings, sketched in a loose way, without taking his pencil from the paper or his eyes from the model. Rodin met American dancer Isadora Duncan in 1900, attempted to seduce her, and the next year sketched studies of her and her students. In July 1906, Rodin was also enchanted by dancers from the Royal Ballet of Cambodia, and produced some of his most famous drawings from the experience. Fifty-three years into their relationship, Rodin married Rose Beuret. They married on 29 January 1917, and Beuret died two weeks later, on 16 February. Rodin was ill that year; in January, he suffered weakness from influenza, and on 16 November his physician announced that "congestion of the lungs has caused great weakness. The patient's condition is grave." Rodin died the next day, age 77, at his villa in Meudon, Île-de-France, on the outskirts of Paris. A cast of The Thinker was placed next to his tomb in Meudon; it was Rodin's wish that the figure served as his headstone and epitaph. In 1923, Marcell Tirel, Rodin's secretary, published a book alleging that Rodin's death was largely due to cold, and the fact that he had no heat at Meudon. Rodin requested permission to stay in the Hotel Biron, a museum of his works, but the director of the museum refused to let him stay there. Legacy Rodin willed to the French state his studio and the right to make casts from his plasters. Because he encouraged the edition of his sculpted work, Rodin's sculptures are represented in many public and private collections. The Musée Rodin was founded in 1916 and opened in 1919 at the Hôtel Biron, where Rodin had lived, and it holds the largest Rodin collection, with more than 6,000 sculptures and 7,000 works on paper. The French order Légion d'honneur made him a Commander, and he received an honorary doctorate from the University of Oxford. During his lifetime, Rodin was compared to Michelangelo, and was widely recognized as the greatest artist of the era. In the three decades following his death, his popularity waned with changing aesthetic values. Since the 1950s, Rodin's reputation has re-ascended; he is recognized as the most important sculptor of the modern era, and has been the subject of much scholarly work. The sense of incompletion offered by some of his sculpture, such as The Walking Man, influenced the increasingly abstract sculptural forms of the 20th century. Rodin restored an ancient role of sculpture – to capture the physical and intellectual force of the human subject – and he freed sculpture from the repetition of traditional patterns, providing the foundation for greater experimentation in the 20th century. His popularity is ascribed to his emotion-laden representations of ordinary men and women – to his ability to find the beauty and pathos in the human animal. His most popular works, such as The Kiss and The Thinker, are widely used outside the fine arts as symbols of human emotion and character. To honor Rodin's artistic legacy, the Google search engine homepage displayed a Google Doodle featuring The Thinker to celebrate his 172nd birthday on 12 November 2012. Rodin had enormous artistic influence. A whole generation of sculptors studied in his workshop. These include Gutzon Borglum, Antoine Bourdelle, Constantin Brâncuși, Camille Claudel, Charles Despiau, Malvina Hoffman, Carl Milles, François Pompon, Rodo, Gustav Vigeland, Clara Westhoff and Margaret Winser, even though Brancusi later rejected his legacy. Rodin also promoted the work of other sculptors, including Aristide Maillol and Ivan Meštrović whom Rodin once called "the greatest phenomenon amongst sculptors." Other sculptors whose work has been described as owing to Rodin include Joseph Csaky, Alexander Archipenko, Joseph Bernard, Henri Gaudier-Brzeska, Georg Kolbe, Wilhelm Lehmbruck, Jacques Lipchitz, Pablo Picasso, Adolfo Wildt, and Ossip Zadkine. Henry Moore acknowledged Rodin's seminal influence on his work. Several films have been made featuring Rodin as a prominent character or presence. These include Camille Claudel, a 1988 film in which Gérard Depardieu portrays Rodin, Camille Claudel 1915 from 2013, and Rodin, a 2017 film starring Vincent Lindon as Rodin. Furthermore, the Rodin Studios artists' cooperative housing in New York City, completed in 1917 to designs by Cass Gilbert, was named after Rodin. Forgeries The relative ease of making reproductions has also encouraged many forgeries: a survey of expert opinion placed Rodin in the top ten most-faked artists. Rodin fought against forgeries of his works as early as 1901, and since his death, many cases of organized, large-scale forgeries have been revealed. A massive forgery was discovered by French authorities in the early 1990s and led to the conviction of art dealer Guy Hain. To deal with the complexity of bronze reproduction, France has promulgated several laws since 1956 which limit reproduction to twelve casts – the maximum number that can be made from an artist's plasters and still be considered his work. As a result of this limit, The Burghers of Calais, for example, is found in fourteen cities. In the market for sculpture, plagued by fakes, the value of a piece increases significantly when its provenance can be established. A Rodin work with a verified history sold for US$4.8 million in 1999, and Rodin's bronze Ève, grand modele – version sans rocher sold for $18.9 million at a 2008 Christie's auction in New York. Art critics concerned about authenticity have argued that taking a cast does not equal reproducing a Rodin sculpture – especially given the importance of surface treatment in Rodin's work. A number of drawings previously attributed to Rodin are now known to have been forged by Ernest Durig. Citations General sources (Online Essay) Further reading Corbett, Rachel (2016). You Must Change Your Life: the Story of Rainer Maria Rilke and Auguste Rodin, New York: W. W. Norton and Company. . Sanyal, Narayan (1984). Rodin, Dey's Publishing Company, Kolkata. . Vincent, Clare. "Auguste Rodin (1840–1917)". In Heilbrunn Timeline of Art History. New York: The Metropolitan Museum of Art, 2000–. (October 2004) Tobias G. Natter, Max Hollein (Eds.): Klimt & Rodin: An Artistic Encounter.'' DelMonico Books – Prestel Publishing, Munich e. a. 2017, ISBN 978-3-7913-5708-9. External links Musée Rodin, Paris Friends of Rodin, association organizing for its members events around Auguste Rodin Rodin Museum, Philadelphia Auguste Rodin at the National Gallery of Art Rodin Collection, Stanford University Auguste Rodin: Timeline of Art History Metropolitan Museum of Art Rodin Exhibition at the Brooklyn Museum Nov 1987 – Jan 1988 Rodin at the Victoria and Albert Museum Correspondence with Walter Butterworth held at the University of Salford Public Art Fund: Rodin at Rockefeller Center Video documentary about Rodin's work (by Ranier Maria Rilke, trans. by Jessie Lemont & Hans Trausil) Portrait of Auguste Rodin by Alphonse Legros
Rodin had wanted it located near the town hall, where it would engage the public. Only after damage during the First World War, subsequent storage, and Rodin's death was the sculpture displayed as he had intended. It is one of Rodin's best-known and most acclaimed works. Commissions and controversy Commissioned to create a monument to French writer Victor Hugo in 1889, Rodin dealt extensively with the subject of artist and muse. Like many of Rodin's public commissions, Monument to Victor Hugo was met with resistance because it did not fit conventional expectations. Commenting on Rodin's monument to Victor Hugo, The Times in 1909 expressed that "there is some show of reason in the complaint that [Rodin's] conceptions are sometimes unsuited to his medium, and that in such cases they overstrain his vast technical powers". The 1897 plaster model was not cast in bronze until 1964. The Société des Gens des Lettres, a Parisian organization of writers, planned a monument to French novelist Honoré de Balzac immediately after his death in 1850. The society commissioned Rodin to create the memorial in 1891, and Rodin spent years developing the concept for his sculpture. Challenged in finding an appropriate representation of Balzac given the author's rotund physique, Rodin produced many studies: portraits, full-length figures in the nude, wearing a frock coat, or in a robe – a replica of which Rodin had requested. The realized sculpture displays Balzac cloaked in the drapery, looking forcefully into the distance with deeply gouged features. Rodin's intent had been to show Balzac at the moment of conceiving a work – to express courage, labor, and struggle. When Balzac was exhibited in 1898, the negative reaction was not surprising. The Société rejected the work, and the press ran parodies. Criticizing the work, Morey (1918) reflected, "there may come a time, and doubtless will come a time, when it will not seem outre to represent a great novelist as a huge comic mask crowning a bathrobe, but even at the present day this statue impresses one as slang." A modern critic, indeed, claims that Balzac is one of Rodin's masterpieces. The monument had its supporters in Rodin's day; a manifesto defending him was signed by Monet, Debussy, and future Premier Georges Clemenceau, among many others. In the BBC series Civilisation, art historian Kenneth Clark praised the monument as "the greatest piece of sculpture of the 19th Century, perhaps, indeed, the greatest since Michelangelo." Rather than try to convince skeptics of the merit of the monument, Rodin repaid the Société his commission and moved the figure to his garden. After this experience, Rodin did not complete another public commission. Only in 1939 was Monument to Balzac cast in bronze and placed on the Boulevard du Montparnasse at the intersection with Boulevard Raspail. Other works The popularity of Rodin's most famous sculptures tends to obscure his total creative output. A prolific artist, he created thousands of busts, figures, and sculptural fragments over more than five decades. He painted in oils (especially in his thirties) and in watercolors. The Musée Rodin holds 7,000 of his drawings and prints, in chalk and charcoal, and thirteen vigorous drypoints. He also produced a single lithograph. Portraiture was an important component of Rodin's oeuvre, helping him to win acceptance and financial independence. His first sculpture was a bust of his father in 1860, and he produced at least 56 portraits between 1877 and his death in 1917. Early subjects included fellow sculptor Jules Dalou (1883) and companion Camille Claudel (1884). Later, with his reputation established, Rodin made busts of prominent contemporaries such as English politician George Wyndham (1905), Irish playwright George Bernard Shaw (1906), socialist (and former mistress of the Prince of Wales who became King Edward VII) Countess of Warwick (1908), Austrian composer Gustav Mahler (1909), former Argentine president Domingo Faustino Sarmiento and French statesman Georges Clemenceau (1911). His undated drawing Study of a Woman Nude, Standing, Arms Raised, Hands Crossed Above Head is one of the works seized in 2012 from the collection of Cornelius Gurlitt. Aesthetic Rodin was a naturalist, less concerned with monumental expression than with character and emotion. Departing with centuries of tradition, he turned away from the idealism of the Greeks, and the decorative beauty of the Baroque and neo-Baroque movements. His sculpture emphasized the individual and the concreteness of flesh, and suggested emotion through detailed, textured surfaces, and the interplay of light and shadow. To a greater degree than his contemporaries, Rodin believed that an individual's character was revealed by his physical features. Rodin's talent for surface modeling allowed him to let every part of the body speak for the whole. The male's passion in The Thinker is suggested by the grip of his toes on the rock, the rigidness of his back, and the differentiation of his hands. Speaking of The Thinker, Rodin illuminated his aesthetic: "What makes my Thinker think is that he thinks not only with his brain, with his knitted brow, his distended nostrils and compressed lips, but with every muscle of his arms, back, and legs, with his clenched fist and gripping toes." Sculptural fragments to Rodin were autonomous works, and he considered them the essence of his artistic statement. His fragments – perhaps lacking arms, legs, or a head – took sculpture further from its traditional role of portraying likenesses, and into a realm where forms existed for their own sake. Notable examples are The Walking Man, Meditation without Arms, and Iris, Messenger of the Gods. Rodin saw suffering and conflict as hallmarks of modern art. "Nothing, really, is more moving than the maddened beast, dying from unfulfilled desire and asking in vain for grace to quell its passion." Charles Baudelaire echoed those themes, and was among Rodin's favorite poets. Rodin enjoyed music, especially the opera composer Gluck, and wrote a book about French cathedrals. He owned a work by the as-yet-unrecognized Van Gogh, and admired the forgotten El Greco. Method Instead of copying traditional academic postures, Rodin preferred his models to move naturally around his studio (despite their nakedness). The sculptor often made quick sketches in clay that were later fine-tuned, cast in plaster, and cast in bronze or carved from marble. Rodin's focus was on the handling of clay. George Bernard Shaw sat for a portrait and gave an idea of Rodin's technique: "While he worked, he achieved a number of miracles. At the end of the first fifteen minutes, after having given a simple idea of the human form to the block of clay, he produced by the action of his thumb a bust so living that I would have taken it away with me to relieve the sculptor of any further work." He described the evolution of his bust over a month, passing through "all the stages of art's evolution": first, a "Byzantine masterpiece", then "Bernini intermingled", then an elegant Houdon. "The hand of Rodin worked not as the hand of a sculptor works, but as the work of Elan Vital. The Hand of God is his own hand." After he completed his work in clay, he employed highly skilled assistants to re-sculpt his compositions at larger sizes (including any of his large-scale monuments such as The Thinker), to cast the clay compositions into plaster or bronze, and to carve his marbles. Rodin's major innovation was to capitalize on such multi-staged processes of 19th century sculpture and their reliance on plaster casting. Since clay deteriorates rapidly if not kept wet or fired into a terra-cotta, sculptors used plaster casts as a means of securing the composition they would make from the fugitive material that is clay. This was common practice amongst Rodin's contemporaries, and sculptors would exhibit plaster casts with the hopes that they would be commissioned to have the works made in a more permanent material. Rodin, however, would have multiple plasters made and treat them as the raw material of sculpture, recombining their parts and figures into new compositions, and new names. As Rodin's practice developed into the 1890s, he became more and more radical in his pursuit of fragmentation, the combination of figures at different scales, and the making of new compositions from his earlier work. A prime example of this is the bold The Walking Man (1899–1900), which was exhibited at his major one-person show in 1900. This is composed of two sculptures from the 1870s that Rodin found in his studio – a broken and damaged torso that had fallen into neglect and the lower extremities of a statuette version of his 1878 St. John the Baptist Preaching he was having re-sculpted at a reduced scale. Without finessing the join between upper and lower, between torso and legs, Rodin created a work that many sculptors at the time and subsequently have seen as one of his strongest and most singular works. This is despite the fact that the object conveys two different styles, exhibits two different attitudes toward finish, and lacks any attempt to hide the arbitrary fusion of these two components. It was the freedom and creativity with which Rodin used these practices – along with his activation surfaces of sculptures through traces of his own touch and with his more open attitude toward bodily pose, sensual subject matter, and non-naturalistic surface – that marked Rodin's re-making of traditional 19th century sculptural techniques into the prototype for modern sculpture. Later years (1900–1917) By 1900, Rodin's artistic reputation was entrenched. Gaining exposure from a pavilion of his artwork set up near the 1900 World's Fair (Exposition Universelle) in Paris, he received requests to make busts of prominent people internationally, while his assistants at the atelier produced duplicates of his works. His income from portrait commissions alone totaled probably 200,000 francs a year. As Rodin's fame grew, he attracted many followers, including the German poet Rainer Maria Rilke, and authors Octave Mirbeau, Joris-Karl Huysmans, and Oscar Wilde. Rilke stayed with Rodin in 1905 and 1906, and did administrative work for him; he would later write a laudatory monograph on the sculptor. Rodin and Beuret's modest country estate in Meudon, purchased in 1897, was a host to such guests as King Edward, dancer Isadora Duncan, and harpsichordist Wanda Landowska. A British journalist who visited the property noted in 1902 that in its complete isolation, there was "a striking analogy between its situation and the personality of the man who lives in it". Rodin moved to the city in 1908, renting the main floor of the Hôtel Biron, an 18th-century townhouse. He left Beuret in Meudon, and began an affair with the American-born Duchesse de Choiseul. From 1910, he mentored the Russian sculptor, Moissey Kogan. United States While Rodin was beginning to be accepted in France by the time of The Burghers of Calais, he had not yet conquered the American market. Because of his technique and the frankness of some of his work, he did not have an easy time selling his work to American industrialists. However, he came to know Sarah Tyson Hallowell (1846–1924), a curator from Chicago who visited Paris to arrange exhibitions at the large Interstate Expositions of the 1870s and 1880s. Hallowell was not only a curator but an adviser and a facilitator who was trusted by a number of prominent American collectors to suggest works for their collections, the most prominent of these being the Chicago hotelier Potter Palmer and his wife, Bertha Palmer (1849–1918). The next opportunity for Rodin in America was the 1893 Chicago World's Fair. Hallowell wanted to help promote Rodin's work and he suggested a solo exhibition, which she wrote him was beaucoup moins beau que l'original but impossible, outside the rules. Instead, she suggested he send a number of works for her loan exhibition of French art from American collections and she told him she would list them as being part of an American collection. Rodin sent Hallowell three works, Cupid and Psyche, Sphinx and Andromeda. All nudes, these works provoked great controversy and were ultimately hidden behind a drape with special permission given for viewers to see them.Bust of Dalou and Burgher of Calais were on display in the official French pavilion at the fair and so between the works that were on display and those that were not, he was noticed. However, the works he gave Hallowell to sell found no takers, but she soon brought the controversial Quaker-born financier Charles Yerkes (1837–1905) into the fold and he purchased two large marbles for his Chicago manse; Yerkes was likely the first American to own a Rodin sculpture. Other collectors soon followed including the tastemaking Potter Palmers of Chicago and Isabella Stewart Gardner (1840–1924) of Boston, all arranged by Sarah Hallowell. In appreciation for her efforts at unlocking the American market, Rodin eventually presented Hallowell with a bronze, a marble and a terra cotta. When Hallowell moved to Paris in 1893, she and Rodin continued their warm friendship and correspondence, which lasted to the end of the sculptor's life. After Hallowell's death, her niece, the painter Harriet Hallowell, inherited the Rodins and after her death, the American heirs could not manage to match their value in order to export them, so they became the property of the French state. Great Britain After the start of the 20th century, Rodin was a regular visitor to Great Britain, where he developed a loyal following by the beginning of the First World War. He first visited England in 1881, where his friend, the artist Alphonse Legros, had introduced him to the poet William Ernest Henley. With his personal connections and enthusiasm for Rodin's art, Henley was most responsible for Rodin's reception in Britain. (Rodin later returned the favor by sculpting a bust of Henley that was used as the frontispiece to Henley's collected works and, after his death, on his monument in London.) Through Henley, Rodin met Robert Louis Stevenson and Robert Browning, in whom he found further support. Encouraged by the enthusiasm of British artists, students, and high society for his art, Rodin donated a significant selection of his works to the nation in 1914. After the revitalization of the Société Nationale des Beaux-Arts in 1890, Rodin served as the body's vice-president. In 1903, Rodin was elected president of the International Society of Painters, Sculptors, and Engravers. He replaced its former president, James Abbott McNeill Whistler, upon Whistler's death. His election to the prestigious position was largely due to the efforts of Albert Ludovici, father of English philosopher Anthony Ludovici, who was private secretary to Rodin for several months in 1906, but the two men parted company after Christmas, "to their mutual relief." During his later creative years, Rodin's work turned increasingly toward the female form, and themes of more overt masculinity and femininity. He concentrated on small dance studies, and produced numerous erotic drawings, sketched in a loose way, without taking his pencil from the paper or his eyes from the model. Rodin met American dancer Isadora Duncan in 1900, attempted to seduce her, and the next year sketched studies of her and her students. In July 1906, Rodin was also enchanted by dancers from the Royal Ballet of Cambodia, and produced some of his most famous drawings from the experience. Fifty-three years into their relationship, Rodin married Rose Beuret. They married on 29 January 1917, and Beuret died two weeks later, on 16 February. Rodin was ill that year; in January, he suffered weakness from influenza, and on 16 November his physician announced that "congestion of the lungs has caused great weakness. The patient's condition is grave." Rodin died the next day, age 77, at his villa in Meudon, Île-de-France, on the outskirts of Paris. A cast of The Thinker was placed next to his tomb in Meudon; it was Rodin's wish that the figure served as his headstone and epitaph. In 1923, Marcell Tirel, Rodin's secretary, published a book alleging that Rodin's death was largely due to cold, and the fact that he had no heat at Meudon. Rodin requested permission to stay in the Hotel Biron, a museum of his works, but the director of the museum refused to let him stay there. Legacy Rodin willed to the French state his studio and the right to make casts from his plasters. Because he encouraged the edition of his sculpted work, Rodin's sculptures are represented in many public and private collections. The Musée Rodin was founded in 1916 and opened in 1919 at the Hôtel Biron, where Rodin had lived, and it holds the largest Rodin collection, with more than 6,000 sculptures and 7,000 works on paper. The French order Légion d'honneur made him a Commander, and he received an honorary doctorate from the University of Oxford. During his lifetime, Rodin was compared to Michelangelo, and was widely recognized as the greatest artist of the era. In the three decades following his death, his popularity waned with changing aesthetic values. Since the 1950s, Rodin's reputation has re-ascended; he is recognized as the most important sculptor of the modern era, and has been the subject of much scholarly work. The sense of incompletion offered by some of his sculpture, such as The Walking Man, influenced the increasingly abstract sculptural forms of the 20th century. Rodin restored an ancient role of sculpture – to capture the physical and intellectual force of the human subject – and he freed sculpture from the repetition of traditional patterns, providing the foundation for greater experimentation in the 20th century. His popularity is ascribed to his emotion-laden representations of ordinary men and women – to his ability to find the beauty and pathos in the human animal. His most popular works, such as The Kiss and The Thinker, are widely used outside the fine arts as symbols of human emotion and character. To honor Rodin's artistic legacy, the Google search engine homepage displayed a Google Doodle featuring The Thinker
the council, HRP representatives fought for measures including pioneering antidiscrimination ordinances, measures decriminalizing marijuana possession, and a rent-control ordinance; many of these progressive organizations remain in effect today in modified form. Two religious-conservative institutions were created in Ann Arbor; the Word of God (established in 1967), a charismatic inter-denominational movement; and the Thomas More Law Center (established in 1999). Following a 1956 vote, the city of East Ann Arbor merged with Ann Arbor to encompass the eastern sections of the city. In the past several decades, Ann Arbor has grappled with the effects of sharply rising land values, gentrification, and urban sprawl stretching into outlying countryside. On November 4, 2003, voters approved a greenbelt plan under which the city government bought development rights on agricultural parcels of land adjacent to Ann Arbor to preserve them from sprawling development. Since then, a vociferous local debate has hinged on how and whether to accommodate and guide development within city limits. Ann Arbor consistently ranks in the "top places to live" lists published by various mainstream media outlets every year. In 2008, it was ranked by CNNMoney.com 27th out of 100 "America's best small cities". And in 2010, Forbes listed Ann Arbor as one of the most liveable cities in the United States. Geography and cityscape According to the United States Census Bureau, the city has a total area of , of which, of it is land and is water, much of which is part of the Huron River. Ann Arbor is road miles west of Ypsilanti. Ann Arbor is also road miles west of Detroit. Ann Arbor Charter Township adjoins the city's north and east sides. Ann Arbor is situated on the Huron River in a productive agricultural and fruit-growing region. The landscape of Ann Arbor consists of hills and valleys, with the terrain becoming steeper near the Huron River. The elevation ranges from about along the Huron River to on the city's west side, near the intersection of Maple Road and Pauline Blvd. Generally, the west-central and northwestern parts of the city and U-M's North Campus are the highest parts of the city; the lowest parts are along the Huron River and in the southeast. Ann Arbor Municipal Airport, which is south of the city at , has an elevation of . Ann Arbor's "Tree Town" nickname stems from the dense forestation of its parks and residential areas. The city contains more than 50,000 trees along its streets and an equal number in parks. In recent years, the emerald ash borer has destroyed many of the city's approximately 10,500 ash trees. The city contains 157 municipal parks ranging from small neighborhood green spots to large recreation areas. Several large city parks and a university park border sections of the Huron River. Fuller Recreation Area, near the University Hospital complex, contains sports fields, pedestrian and bike paths, and swimming pools. The Nichols Arboretum, owned by the University of Michigan, is a arboretum that contains hundreds of plant and tree species. It is on the city's east side, near the university's Central Campus. Located across the Huron River just beyond the university's North Campus is the university's Matthaei Botanical Gardens, which contains 300 acres of gardens and a large tropical conservatory as well as a wildflower garden specializing in the vegetation of the southern Great Lakes Region.. The Kerrytown Shops, Main Street Business District, the State Street Business District, and the South University Business District are commercial areas in downtown Ann Arbor. Three commercial areas south of downtown include the areas near I-94 and Ann Arbor-Saline Road, Briarwood Mall, and the South Industrial area. Other commercial areas include the Arborland/Washtenaw Avenue and Packard Road merchants on the east side, the Plymouth Road area in the northeast, and the Westgate/West Stadium areas on the west side. Downtown contains a mix of 19th- and early-20th-century structures and modern-style buildings, as well as a farmers' market in the Kerrytown district. The city's commercial districts are composed mostly of two- to four-story structures, although downtown and the area near Briarwood Mall contain a small number of high-rise buildings. Ann Arbor's residential neighborhoods contain architectural styles ranging from classic 19th- and early 20th-century designs to ranch-style houses. Among these homes are a number of kit houses built in the early 20th century. Contemporary-style houses are farther from the downtown district. Surrounding the University of Michigan campus are houses and apartment complexes occupied primarily by student renters. Tower Plaza, a 26-story condominium building located between the University of Michigan campus and downtown, is the tallest building in Ann Arbor. The 19th-century buildings and streetscape of the Old West Side neighborhood have been preserved virtually intact; in 1972, the district was listed on the National Register of Historic Places, and it is further protected by city ordinances and a nonprofit preservation group. Climate Ann Arbor has a typically Midwestern humid continental climate (Köppen Dfa), which is influenced by the Great Lakes. There are four distinct seasons: winters are cold and snowy, with average highs around . Summers are warm to hot and humid, with average highs around and with slightly more precipitation. Spring and autumn are transitional between the two. The area experiences lake effect weather, primarily in the form of increased cloudiness during late fall and early winter. The monthly daily average temperature in July is , while the same figure for January is . Temperatures reach or exceed on 10 days, and drop to or below on 4.6 nights. Precipitation tends to be the heaviest during the summer months, but most frequent during winter. Snowfall, which normally occurs from November to April but occasionally starts in October, averages per season. The lowest recorded temperature was on February 11, 1885 and the highest recorded temperature was on July 24, 1934. Demographics As of the 2020 U.S. Census, there were 123,851 people and 49,948 households residing in the city. The population density was 4,435.9 people per square mile (1,712.3/km), making it less densely populated than Detroit proper and its inner-ring suburbs like Oak Park and Ferndale, but more densely populated than outer-ring suburbs like Livonia and Troy. The racial makeup of the city was 67.6% White, 6.8% black, 0.2% Native American, 15.7% Asian, 0.1% Native Hawaiian or Pacific Islander, 1.8% from other races, and 7.9% from two or more races. Hispanic or Latino residents of any race made up 5.5% of the population. Ann Arbor has a small population of Arab Americans, including students as well as local Lebanese and Palestinians. As of the 2010 U.S. Census, there were 113,934 people, 20,502 families, and 47,060 households residing in the city. The population density was 4,093.9 people per square mile (1,580.7/km). The racial makeup of the city was 73.0% White (70.4% non-Hispanic White), 7.7% Race and ethnicity in the United States Census, 0.3% Native American, 14.4% Asian, 0.0% Native Hawaiian or Pacific Islander, 1.0% from other races, and 3.6% from two or more races. Hispanic or Latino residents of any race made up 4.1% of the population. In 2013, Ann Arbor had the second-largest community of Japanese citizens in the state of Michigan, at 1,541; this figure trailed only that of Novi, which had 2,666 Japanese nationals. In 2010, out of 47,060 households, 43.6% were family households, 20.1% had individuals under the age of 18 living in them, and 17.0% had individuals over age 65 living in them. Of the 20,502 family households, 19.2% included children under age 18, 34.2% were husband-wife families (estimates did not include same-sex married couples), and 7.1% had a female householder with no husband present. The average household size was 2.17 people, and the average family size was 2.85 people. The median age was 27.8; 14.4% of the population was under age 18, and 9.3% was age 65 or older. According to the 2012–2016 American Community Survey estimates, the median household income was $57,697, and the median family income was $95,528. Males over age 25 and with earnings had a median income of $51,682, versus $39,203 for females. The per capita income for the city was $37,158. Nearly a quarter (23.4%) of people and 6.7% of families had incomes below the poverty level. Economy The University of Michigan shapes Ann Arbor's economy significantly. It employs about 30,000 workers, including about 12,000 in the medical center. Other employers are drawn to the area by the university's research and development money, and by its graduates. High tech, health services and biotechnology are other major components of the city's economy; numerous medical offices, laboratories, and associated companies are located in the city. Automobile manufacturers, such as General Motors and Visteon, also employ residents. High tech companies have located in the area since the 1930s, when International Radio Corporation introduced the first mass-produced AC/DC radio (the Kadette, in 1931) as well as the first pocket radio (the Kadette Jr., in 1933). The Argus camera company, originally a subsidiary of International Radio, manufactured cameras in Ann Arbor from 1936 to the 1960s. Current firms include Arbor Networks (provider of Internet traffic engineering and security systems), Arbortext (provider of XML-based publishing software), JSTOR (the digital scholarly journal archive), MediaSpan (provider of software and online services for the media industries), Truven Health Analytics, and ProQuest, which includes UMI. Ann Arbor Terminals manufactured a video-display terminal called the Ann Arbor Ambassador during the 1980s. Barracuda Networks, which provides networking, security, and storage products based on network appliances and cloud services, opened an engineering office in Ann Arbor in 2008 on Depot St. and currently occupies the building previously used as the Borders headquarters on Maynard Street. Duo Security, a cloud-based access security provider protecting thousands of organizations worldwide through two-factor authentication, is headquartered in Ann Arbor. It was formerly a unicorn and continues to be headquartered in Ann Arbor after its acquisition by Cisco Systems. In November 2021, semiconductor test equipment company KLA Corporation opened a new North American headquarters in Ann Arbor. Websites and online media companies in or near the city include All Media Guide, the Weather Underground, and Zattoo. Ann Arbor is the home to Internet2 and the Merit Network, a not-for-profit research and education computer network. Both are located in the South State Commons 2 building on South State Street, which once housed the Michigan Information Technology Center Foundation. The city is also home to a secondary office of Google's AdWords program—the company's primary revenue stream. The recent surge in companies operating in Ann Arbor has led to a decrease in its office and flex space vacancy rates. As of December 31, 2012, the total market vacancy rate for office and flex space is 11.80%, a 1.40% decrease in vacancy from one year previous, and the lowest overall vacancy level since 2003. The office vacancy rate decreased to 10.65% in 2012 from 12.08% in 2011, while the flex vacancy rate decreased slightly more, with a drop from 16.50% to 15.02%. Pfizer, once the city's second largest employer, operated a large pharmaceutical research facility on the northeast side of Ann Arbor. On January 22, 2007, Pfizer announced it would close operations in Ann Arbor by the end of 2008. The facility was previously operated by Warner-Lambert and, before that, Parke-Davis. In December 2008, the University of Michigan Board of Regents approved the purchase of the facilities, and the university anticipates hiring 2,000 researchers and staff during the next 10 years. It is now known as North Campus Research Complex. The city is the home of other research and engineering centers, including those of Lotus Engineering, General Dynamics and the National Oceanic and Atmospheric Administration (NOAA). Other research centers sited in the city are the United States Environmental Protection Agency's National Vehicle and Fuel Emissions Laboratory and the Toyota Technical Center. The city is also home to National Sanitation Foundation International (NSF International), the nonprofit non-governmental organization that develops generally accepted standards for a variety of public health related industries and subject areas. Borders Books, started in Ann Arbor, was opened by brothers Tom and Louis Borders in 1971 with a stock of used books. The Borders chain was based in the city, as was its flagship store until it closed in September 2011. Domino's Pizza's headquarters is near Ann Arbor on Domino's Farms, a Frank Lloyd Wright-inspired complex just northeast of the city. Another Ann Arbor-based company is Zingerman's Delicatessen, which serves sandwiches and has developed businesses under a variety of brand names. Zingerman's has grown into a family of companies which offers a variety of products (bake shop, mail order, creamery, coffee) and services (business education). Flint Ink Corp., another Ann Arbor-based company, was the world's largest privately held ink manufacturer until it was acquired by Stuttgart-based XSYS Print Solutions in October 2005. Avfuel, a global supplier of aviation fuels and services, is also headquartered in Ann Arbor. Aastrom Biosciences, a publicly traded company that develops stem cell treatments for cardiovascular diseases, is also headquartered in Ann Arbor. Many cooperative enterprises were founded in the city; among those that remain are the People's Food Co-op and the Inter-Cooperative Council at the University of Michigan, a student housing cooperative founded in 1937. There are also three cohousing communities—Sunward, Great Oak, and Touchstone—located immediately to the west of the city limits. Culture Several performing arts groups and facilities are on the University of Michigan's campus, as are museums dedicated to art, archaeology, and natural history and sciences. Founded in 1879, the University Musical Society is an independent performing arts organization that presents over 60 events each year, bringing international artists in music, dance, and theater. Since 2001 Shakespeare in the Arb has presented one play by Shakespeare each June, in a large park near downtown. Regional and local performing arts groups not associated with the university include the Ann Arbor Civic Theatre, the Arbor Opera Theater, the Ann Arbor Symphony Orchestra, the Ann Arbor Ballet Theater, the Ann Arbor Civic Ballet (established in 1954 as Michigan's first chartered ballet company), The Ark, and Performance Network Theatre. Another unique piece of artistic expression in Ann Arbor is the fairy doors. These small portals are examples of installation art and can be found throughout the downtown area. The Ann Arbor Hands-On Museum is located in a renovated and expanded historic downtown fire station. Multiple art galleries exist in the city, notably in the downtown area and around the University of Michigan campus. Aside from a large restaurant scene in the Main Street, South State Street, and South University Avenue areas, Ann Arbor ranks first among U.S. cities in the number of booksellers and books sold per capita. The Ann Arbor District Library maintains four branch outlets in addition to its main downtown building. The city is also home to the Gerald R. Ford Presidential Library. Several annual events—many of them centered on performing and visual arts—draw visitors to Ann Arbor. One such event is the Ann Arbor Art Fairs, a set of four concurrent juried fairs held on downtown streets. Scheduled on Thursday through Sunday of the third week of July, the fairs draw upward of half a million visitors. Another is the Ann Arbor Film Festival, held during the third week of March, which receives more than 2,500 submissions annually from more than 40 countries and serves as one of a handful of Academy Award–qualifying festivals in the United States. Ann Arbor has a long history of openness to marijuana, given Ann Arbor's decriminalization of cannabis, the large number of medical marijuana dispensaries in the city (one dispensary, called People's Co-op, was directly across the street from Michigan Stadium until zoning forced it to move one mile to the west), the large number of pro-marijuana residents, and the annual Hash Bash: an event that is held on the first Saturday of April. Until (at least) the successful passage of Michigan's medical marijuana law, the event had arguably strayed from its initial intent, although for years, a number of attendees have received serious legal responses due to marijuana use on University of Michigan property, which does not fall under the city's progressive and compassionate ticketing program. Ann Arbor is a major center for college sports, most notably at the University of Michigan. Several well-known college sports facilities exist in the city, including Michigan Stadium, the largest American football stadium in the world and the third-largest stadium of any kind in the world. Michigan Stadium has a capacity of 107,601, with the final "extra" seat said to be reserved for and in honor of former athletic director and Hall of Fame football coach Fitz Crisler. The stadium was completed in 1927 and cost more than $950,000 to build. The stadium is colloquially known as "The Big House" due to its status as the largest American football stadium. Crisler Center and Yost Ice Arena play host to the school's basketball (both men's and women's) and ice hockey teams, respectively. Concordia University, a member of the NAIA, also fields sports teams. Ann Arbor is represented in the NPSL by semi-pro soccer team AFC Ann Arbor, a club founded in 2014 who call themselves The Mighty Oak. A person from Ann Arbor is called an "Ann Arborite", and many long-time residents call themselves "townies". The city itself is often called "A²" ("A-squared") or "A2" ("A two") or "AA", "The Deuce" (mainly by Chicagoans), and "Tree Town". With tongue-in-cheek reference to the city's liberal political leanings, some occasionally refer to Ann Arbor as "The People's Republic of Ann Arbor" or "25 square miles surrounded by reality", the latter phrase being adapted from Wisconsin Governor Lee Dreyfus's description of Madison, Wisconsin. In A Prairie Home Companion broadcast from Ann Arbor, Garrison Keillor described Ann Arbor as "a city where people discuss socialism, but only in the fanciest restaurants." Ann Arbor sometimes appears on citation indexes as an author, instead of a location, often with the academic degree MI, a misunderstanding of the abbreviation for Michigan. Law and government Ann Arbor has a council-manager form of government. The City Council has 11 voting members: the mayor and 10 city council members. Two city council members are elected from each of the city's five wards. The mayor and council serve four-year terms. The mayor and one council member from each ward are elected in Presidential election years, and the other five
received serious legal responses due to marijuana use on University of Michigan property, which does not fall under the city's progressive and compassionate ticketing program. Ann Arbor is a major center for college sports, most notably at the University of Michigan. Several well-known college sports facilities exist in the city, including Michigan Stadium, the largest American football stadium in the world and the third-largest stadium of any kind in the world. Michigan Stadium has a capacity of 107,601, with the final "extra" seat said to be reserved for and in honor of former athletic director and Hall of Fame football coach Fitz Crisler. The stadium was completed in 1927 and cost more than $950,000 to build. The stadium is colloquially known as "The Big House" due to its status as the largest American football stadium. Crisler Center and Yost Ice Arena play host to the school's basketball (both men's and women's) and ice hockey teams, respectively. Concordia University, a member of the NAIA, also fields sports teams. Ann Arbor is represented in the NPSL by semi-pro soccer team AFC Ann Arbor, a club founded in 2014 who call themselves The Mighty Oak. A person from Ann Arbor is called an "Ann Arborite", and many long-time residents call themselves "townies". The city itself is often called "A²" ("A-squared") or "A2" ("A two") or "AA", "The Deuce" (mainly by Chicagoans), and "Tree Town". With tongue-in-cheek reference to the city's liberal political leanings, some occasionally refer to Ann Arbor as "The People's Republic of Ann Arbor" or "25 square miles surrounded by reality", the latter phrase being adapted from Wisconsin Governor Lee Dreyfus's description of Madison, Wisconsin. In A Prairie Home Companion broadcast from Ann Arbor, Garrison Keillor described Ann Arbor as "a city where people discuss socialism, but only in the fanciest restaurants." Ann Arbor sometimes appears on citation indexes as an author, instead of a location, often with the academic degree MI, a misunderstanding of the abbreviation for Michigan. Law and government Ann Arbor has a council-manager form of government. The City Council has 11 voting members: the mayor and 10 city council members. Two city council members are elected from each of the city's five wards. The mayor and council serve four-year terms. The mayor and one council member from each ward are elected in Presidential election years, and the other five council members are elected in the alternate even-numbered years. The mayor is elected citywide. The mayor is the presiding officer of the City Council and has the power to appoint all Council committee members as well as board and commission members, with the approval of the City Council. The current mayor of Ann Arbor is Christopher Taylor, a Democrat who was elected as mayor in 2014. Day-to-day city operations are managed by a city administrator chosen by the city council. Ann Arbor holds mayoral elections to 4-year terms concurrent with the Gubernatorial election. Until 2017, City Council held annual elections in which half of the seats (one from each ward) were elected to 2-year terms. These elections were staggered, with each ward having one of their seats up for election in odd years and their other seat up for election in even years. Beginning in 2018 the City Council has had staggered elections to 4-year terms in even years. This means that half of the members (one from each ward) are elected in presidential election years, while the other half are elected in mid-term election years. To facilitate this change in scheduling, the 2017 election elected members to terms that lasted 3-years. In 1960, Ann Arbor voters approved a $2.3 million bond issue to build the current city hall, which was designed by architect Alden B. Dow. The City Hall opened in 1963. In 1995, the building was renamed the Guy C. Larcom, Jr. Municipal Building in honor of the longtime city administrator who championed the building's construction. Ann Arbor is part of Michigan's 12th congressional district, represented in Congress by Representative Debbie Dingell, a Democrat. On the state level, the city is part of the 18th district in the Michigan Senate, represented by Democrat Rebekah Warren. In the Michigan House of Representatives, representation is split between the 55th district (northern Ann Arbor, part of Ann Arbor Township, and other surrounding areas, represented by Democrat Adam Zemke), the 53rd district (most of downtown and the southern half of the city, represented by Democrat Yousef Rabhi) and the 52nd district (southwestern areas outside Ann Arbor proper and western Washtenaw County, represented by Democrat Donna Lasinski). As the county seat of Washtenaw County, the Washtenaw County Trial Court (22nd Circuit Court) is located in Ann Arbor at the Washtenaw County Courthouse on Main Street. This court has countywide general jurisdiction and has two divisions: the Civil/Criminal (criminal and civil matters) and the Family Division (which includes Juvenile Court, Friend of the Court, and Probate Court sections). Seven judges serve on the court. Ann Arbor also has a local state district court (15th District Court), which serves only the City of Ann Arbor. In Michigan, the state district courts are limited jurisdiction courts which handle traffic violations, civil cases with claims under $25,000, landlord-tenant matters, and misdemeanor crimes. The Ann Arbor Federal Building (attached to a post office) on Liberty Street serves as one of the courthouses for the U.S. District Court for the Eastern District of Michigan and Court of Appeals for the Sixth Circuit. Politics Progressive politics have been particularly strong in municipal government since the 1960s. Voters approved charter amendments that have lessened the penalties for possession of marijuana (1974), and that aim to protect access to abortion in the city should it ever become illegal in the State of Michigan (1990). In 1974, Kathy Kozachenko's victory in an Ann Arbor city-council race made her the country's first openly homosexual candidate to win public office. In 1975, Ann Arbor became the first U.S. city to use instant-runoff voting for a mayoral race. Adopted through a ballot initiative sponsored by the local Human Rights Party, which feared a splintering of the liberal vote, the process was repealed in 1976 after use in only one election. As of April 2021, Democrats hold the mayorship and all ten council seats. Nationally, Ann Arbor is located in Michigan's 12th congressional district, represented by Democrat Debbie Dingell. Crime In 2015, Ann Arbor was ranked 11th safest among cities in Michigan with a population of over 50,000. It ranked safer than cities such as Royal Oak, Livonia, Canton and Clinton Township. The level of most crimes in Ann Arbor has fallen significantly in the past 20 years. In 1995 there were 294 aggravated assaults, 132 robberies and 43 rapes while in 2015 there were 128 aggravated assaults, 42 robberies and 58 rapes (under the revised definition). Ann Arbor's crime rate was below the national average in 2000. The violent crime rate was further below the national average than the property crime rate; the two rates were 48% and 11% lower than the U.S. average, respectively. Education Primary and secondary education Public schools are part of the Ann Arbor Public Schools (AAPS) district. AAPS has one of the country's leading music programs. In September 2008, 16,539 students had been enrolled in the Ann Arbor Public Schools. Notable schools include Pioneer, Huron, Skyline, and Community high schools, and Ann Arbor Open School. The district has a preschool center with both free and tuition-based programs for preschoolers in the district. The University High School, a "demonstration school" with teachers drawn from the University of Michigan's education program, was part of the school system from 1924 to 1968. Ann Arbor is home to several private schools, including Emerson School, the Father Gabriel Richard High School, Rudolf Steiner School of Ann Arbor, Clonlara School, Michigan Islamic Academy, and Greenhills School, a prep school. The city is also home to several charter schools such as Central Academy (Michigan) (PreK-12) of the Global Educational Excellence (GEE) charter school company, and Honey Creek Community School. Higher education The University of Michigan dominates the city of Ann Arbor, providing the city with its distinctive college-town character. University buildings are located in the center of the city and the campus is directly adjacent to the State Street and South University downtown areas. Other local colleges and universities include Concordia University Ann Arbor, a Lutheran liberal-arts institution; a campus of the University of Phoenix; and Cleary University, a private business school. Washtenaw Community College is located in neighboring Ann Arbor Township. In 2000, the Ave Maria School of Law, a Roman Catholic law school established by Domino's Pizza founder Tom Monaghan, opened in northeastern Ann Arbor, but the school moved to Ave Maria, Florida in 2009, and the Thomas M. Cooley Law School acquired the former Ave Maria buildings for use as a branch campus. Media The Ann Arbor News, owned by the Michigan-based Booth Newspapers chain, was the major newspaper serving Ann Arbor and the rest of Washtenaw County. The newspaper ended its 174-year daily print run in 2009, due to economic difficulties and began producing two printed editions a week under the name AnnArbor.com, It resumed using its former name in 2013. It also produces a daily digital edition named Mlive.com. Another Ann Arbor-based publication that has ceased production was the Ann Arbor Paper, a free monthly. Ann Arbor has been said to be the first significant city to lose its only daily paper. The Ann Arbor Chronicle, an online newspaper, covered local news, including meetings of the library board, county commission, and DDA until September 3, 2014. Current publications in the city include the Ann Arbor Journal (A2 Journal), a weekly community newspaper; the Ann Arbor Observer, a free monthly local magazine; and Current, a free entertainment-focused alt-weekly. The Ann Arbor Business Review covers local business in the area. Car and Driver magazine and Automobile Magazine are also based in Ann Arbor. The University of Michigan is served by many student publications, including the independent Michigan Daily student newspaper, which reports on local, state, and regional issues in addition to campus news. Four major AM radio stations based in or near Ann Arbor are WAAM 1600, a conservative news and talk station; WLBY 1290, a business news and talk station; WDEO 990, Catholic radio; and WTKA 1050, which is primarily a sports station. The city's FM stations include NPR affiliate WUOM 91.7; country station WWWW 102.9; and adult-alternative station WQKL 107.1. Freeform station WCBN-FM 88.3 is a local community radio/college radio station operated by the students of the University of Michigan featuring noncommercial, eclectic music and public-affairs programming. The city is also served by public and commercial radio broadcasters in Ypsilanti, the Lansing/Jackson area, Detroit, Windsor, and Toledo. Ann Arbor is part of the Detroit television market. WPXD channel 31, the owned-and-operated Detroit outlet of the ION Television network, is licensed to the city. Until its sign-off on August 31, 2017, WHTV channel 18, a MyNetworkTV-affiliated station for the Lansing market, was broadcast from a transmitter in Lyndon Township, west of Ann Arbor. Community Television Network (CTN) is a city-provided cable television channel with production facilities open to city residents and nonprofit organizations. Detroit and Toledo-area radio and television stations also serve Ann Arbor, and stations from Lansing and Windsor, Ontario, can be seen in parts
either Civill or Military, or to [sic] have any Grant of Lands, Tenements or Hereditaments from the Crown, to himself or to any other or others in Trust for him". Subsequent nationality laws (today primarily the British Nationality Act 1981) made naturalised citizens the equal of those native born, and excluded Commonwealth and Irish citizens from the definition of foreigners, but otherwise this provision still applies. It has however been disapplied in particular cases by a number of other statutes. No person who has an office under the monarch, or receives a pension from the Crown, was to be a Member of Parliament. This provision was inserted to avoid unwelcome royal influence over the House of Commons. It remains in force, but with several exceptions. (As a side effect, this provision means that members of the Commons seeking to resign from parliament can get around the prohibition on resignation by obtaining a sinecure in the control of the Crown; while several offices have historically been used for this purpose, two are currently in use: appointments generally alternate between the stewardships of the Chiltern Hundreds and of the Manor of Northstead.) Judges' commissions are valid quamdiu se bene gesserint (during good behaviour) and if they do not behave themselves, they can be removed only by both Houses of Parliament (or in other Commonwealth realms the one House of Parliament, depending on the legislature's structure.) This provision was the result of various monarchs influencing judges' decisions, and its purpose was to assure judicial independence. This patent was used prior to 1701 but did not prevent Charles I from removing Sir John Walter as Chief Baron of the Exchequer. That "no Pardon under the Great Seal of England be pleadable to an Impeachment by the Commons in Parliament". This meant in effect that no pardon by the monarch was to save someone from being impeached by the House of Commons. Opposition The Tory administration that replaced the Whig Junto in 1699 took responsibility for steering the Act through Parliament. As a result, it passed with little opposition, although five peers voted against it in the House of Lords, including the Earl of Huntingdon, his brother-in-law the Earl of Scarsdale and three others. While many shared their opposition to a 'foreign' king, the general feeling was summed up as 'better a German prince than a French one.' Effects For different reasons, various constitutionalists have praised the Act of Settlement: Henry Hallam called the Act "the seal of our constitutional laws" and David Lindsay Keir placed its importance above the Bill of Rights of 1689. Naamani Tarkow wrote: "If one is to make sweeping statements, one may say that, save Magna Carta (more truly, its implications), the Act of Settlement is probably the most significant statute in English history". Union of Scotland with England and Wales The Act of Settlement was, in many ways, the major cause of the union of Scotland with England and Wales to form the Kingdom of Great Britain. The Parliament of Scotland was not happy with the Act of Settlement and, in response, passed the Act of Security in 1704, through which Scotland reserved the right to choose its own successor to Queen Anne. Stemming from this, the Parliament of England decided that, to ensure the stability and future prosperity of Great Britain, full union of the two parliaments and nations was essential before Anne's death. It used a combination of exclusionary legislation (the Alien Act 1705), politics, and bribery to achieve this within three years under the Act of Union 1707. This success was in marked contrast to the four attempts at political union between 1606 and 1689, which all failed owing to a lack of political will in both kingdoms. By virtue of Article II of the Treaty of Union, which defined the succession to the throne of Great Britain, the Act of Settlement became part of Scots Law as well. Succession to the Crown In addition to excluding James II (who died a few months after the act received royal assent) and his Roman Catholic children (Prince James (The Old Pretender) and the Princess Royal), the Act also excluded the descendants of Princess Henrietta, the youngest sister of James II. Henrietta's daughter was Anne, Queen of Sardinia, a Roman Catholic, from whom descend all Jacobite pretenders after 1807. With the legitimate descendants of Charles I either childless (in the case of his two grand-daughters the late Queen Mary II and her successor Queen Anne) or Roman Catholic, Parliament's choice was limited to Sophia of Hanover, the Protestant daughter of the late Elizabeth of Bohemia, the only other child of King James I to have survived childhood. Elizabeth had borne nine children who reached adulthood, of whom Sophia was the youngest daughter. However in 1701 Sophia was the senior Protestant one, therefore with a legitimate claim to the English throne; Parliament passed over her Roman Catholic siblings, namely her sister Louise Hollandine of the Palatinate, and their descendants, who included Elizabeth Charlotte, Duchess of Orléans; Louis Otto, Prince of Salm, and his aunts; Anne Henriette, Princess of Condé and Benedicta Henrietta, Duchess of Brunswick-Lüneburg. Removal from the succession due to Catholicism Since the Act's passing the most senior living member of the royal family to have married a Roman Catholic, and thereby to have been removed from the line of succession, is Prince Michael of Kent, who married Baroness Marie-Christine von Reibnitz in 1978; he was fifteenth in the line of succession at the time. He was restored to the line of succession in 2015 when the Succession to the Crown Act 2013 came into force, and became 34th in line. The next most senior living descendant of the Electress Sophia who had been ineligible to succeed on this ground is George Windsor, Earl of St Andrews, the elder son of Prince Edward, Duke of Kent, who married the Roman Catholic Sylvana Palma Tomaselli in 1988. His son, Lord Downpatrick, converted to Roman Catholicism in 2003 and is the most senior descendant of Sophia to be barred as a result of his religion. In 2008 his daughter, Lady Marina Windsor, also converted to Catholicism and was removed from the line of succession. More recently, Peter Phillips, the son of Anne, Princess Royal, and eleventh in line to the throne, married Autumn Kelly; Kelly had been brought up as a Roman Catholic, but she converted to Anglicanism prior to the wedding. Had she not done so, Phillips would have forfeited his place in the succession upon their marriage, only to have it restored in 2015. Excluding those princesses who have married into Roman Catholic royal families, such as Marie of Edinburgh, Victoria Eugenie of Battenberg and Princess Beatrice of Edinburgh, one member of the Royal Family (that is, with the style of Royal Highness) has converted to Roman Catholicism since the passage of the Act: the Duchess of Kent, wife of Prince Edward, Duke of Kent, who converted on 14 January 1994, but her husband did not lose his place in the succession because she was an Anglican at the time of their marriage. Present status As well as being part of the law of the United Kingdom, the Act of Settlement was received into the laws of all the countries and territories over which the British monarch reigned. It remains part of the laws of the 15 Commonwealth realms and the relevant jurisdictions within those realms. In accordance with established convention, the Statute of Westminster 1931 and later laws, the Act of Settlement (along with the other laws governing the succession of the Commonwealth realms) may only be changed with the agreement of all the realms (and, in some federal realms, the constituent members of those federations). The Succession to the Crown Act 2013 changed many provisions of this act. Amendment proposals Challenges have been made against the Act of Settlement, especially its provisions regarding Roman Catholics and preference for males. However, changing the Act is a complex process, since the Act governs the shared succession of all the Commonwealth realms. The Statute of Westminster 1931 acknowledges by established convention that any changes to the rules of succession may be made only with the agreement of all of the states involved, with concurrent amendments to be made by each state's parliament or parliaments. Further, as the current monarch's eldest child and, in turn, his eldest child, are Anglican males, any change to the succession laws would have no immediate implications. Consequently, there was little public concern with the issues and debate had been confined largely to academic circles until the November 2010 announcement that Prince William was to marry. This raised the question of what would happen if he were to produce first a daughter and then a son. The Times reported on 6 November 1995 that Prince Charles had said on that day to Tony Blair and Paddy Ashdown that "Catholics should be able to ascend to the British throne". Ashdown claimed the Prince said: "I really can't think why we can't have Catholics on the throne". In 1998, during debate on a Succession to the Crown Bill, Junior Home Office Minister Lord Williams of Mostyn informed the House of Lords that the Queen had "no objection to the Government's view that in determining the line of succession to the throne, daughters and sons should be treated in the same way." Australia In October 2011 the Australian federal government was reported to have reached an agreement with all of the states on potential changes to their laws in the wake of amendments to the Act of Settlement. The practice of the Australian states—for example, New South Wales and Victoria—has been, when legislating to repeal some imperial statutes so far as they still applied in Australia, to provide that imperial statutes concerning the royal succession remain in force. The legal process required at the federal level remains, theoretically, unclear. The Australian constitution, as was noted during the crisis of 1936, contains no power for the federal parliament to legislate with respect to the monarchy. Everything thus turns upon the status and meaning of clause 2 in the Commonwealth of Australia Constitution Act 1900, which provides: "The provisions of this Act referring to the Queen shall extend to Her Majesty's heirs and successors in the sovereignty of the United Kingdom." Anne Twomey reviews three possible interpretations of the clause. First: it "mandates that whoever is the sovereign of the United Kingdom is also, by virtue of this external fact, sovereign of Australia"; accordingly, changes to British succession laws would have no effect on Australian law, but if the British amendment changed the sovereign, then the new sovereign of the United Kingdom would automatically become the new sovereign of Australia. Second, it is "merely an interpretative provision", operating to ensure that references to "the Queen" in the Constitution are references to whoever may at the time be the incumbent of the "sovereignty of the United Kingdom" as determined with regard to Australia, following the Australia Act 1986, by Australian law. Or, third, it incorporates the United Kingdom rules of succession into the Commonwealth of Australia Constitution Act, which itself can now be altered only by Australia, according to the Australia Act 1986; in that way, the British rules of succession have been patriated to Australia and, with regard to Australia, are subject to amendment or repeal solely by Australian law. However, Twomey expresses confidence that, if the High Court of Australia were to be faced with the problems of covering clause 2, it would find some way to conclude that, with regard to Australia, the clause is subject solely to Australian law. Canadian scholar Richard Toporoski theorised in 1998 that "if, let us say, an alteration were to be made in the United Kingdom to the Act of Settlement 1701, providing for the succession of the Crown... [i]t is my opinion that the domestic constitutional law of Australia or Papua New Guinea, for example, would provide for the succession in those countries of the same person who became Sovereign of the United Kingdom." In practice, when legislating for the Perth Agreement (see below), the Australian governments took the approach of the states requesting, and referring power to, the federal government to enact the legislation on behalf of the states (under paragraph 51(xxxviii) of the Australian Constitution) and the Commonwealth of Australia. Canada In Canada, where the Act of Settlement () is now a part of Canadian constitutional law, Tony O'Donohue, a Canadian civic politician, took issue with the provisions that exclude Roman Catholics from the throne, and which make the monarch of Canada the Supreme Governor of the Church of England, requiring him or her to be an Anglican. This, he claimed, discriminated against non-Anglicans, including Catholics, who are the largest faith group in Canada. In 2002, O'Donohue launched a court action that argued the Act of Settlement violated the Canadian Charter of Rights and Freedoms, but, the case was dismissed by the court. It found that, as the Act of Settlement is part of the Canadian constitution, the Charter of Rights and Freedoms, as another part of the same constitution, does not have supremacy over it. Also, the court noted that, while Canada has the power to amend the line of succession to the Canadian throne, the Statute of Westminster stipulates that the agreement of the governments of the fifteen other Commonwealth realms that share the Crown would first have to be sought if Canada wished to continue its relationship with these countries. An appeal of the decision was dismissed on 16 March 2005. Some commentators state that, as a result of this, any single provincial legislature could hinder any attempts to change this Act, and by extension, to the line of succession for the shared crown of all 16 Commonwealth realms. Others contend that that is not the case, and changes to the succession instituted by an Act of the Parliament of Canada "[in accord] with the convention of symmetry that preserves the personal unity of the British and Dominion Crowns". With the announcement in 2007 of the engagement of Peter Phillips to Autumn Kelly, a Roman Catholic and a Canadian, discussion about the Act of Settlement was revived. Norman Spector called in The Globe and Mail for Prime Minister Stephen Harper to address the issue of the act's bar on Catholics, saying Phillips' marriage to Kelly would be the first time the provisions of the act would bear directly on Canada—Phillips would be barred from acceding to the Canadian throne because he married a Roman Catholic Canadian. (In fact, Lord St Andrews had already lost his place in the line of succession when he married the Roman Catholic Canadian Sylvana Palma Tomaselli in 1988. But St Andrews' place in the line of succession was significantly lower than Phillips'.) Criticism of the Act of Settlement due to the Phillips–Kelly marriage was muted when Autumn Kelly converted to Anglicanism shortly before her marriage, thus preserving her husband's place in the line of succession. United Kingdom From time to time there has been debate over repealing the clause that prevents Roman Catholics, or those who marry one, from ascending to the British throne. Proponents of repeal argue that the clause is a bigoted anachronism; Cardinal Winning, who was leader of the Roman Catholic Church in Scotland, called the act an "insult" to Catholics. Cardinal Murphy-O'Connor, the leader of the Roman Catholic Church in England, pointed out that Prince William (later the Duke of Cambridge) "can marry by law a Hindu, a Buddhist, anyone, but not a Roman Catholic." Opponents of repeal, such as Enoch Powell and Adrian Hilton, believe that it would lead to the disestablishment of the Church of England as the state religion if a Roman Catholic were to come to the throne. They also note that the monarch must swear to defend the faith and be a member of the Anglican Communion, but that a Roman Catholic monarch would, like all
the House of Commons. Opposition The Tory administration that replaced the Whig Junto in 1699 took responsibility for steering the Act through Parliament. As a result, it passed with little opposition, although five peers voted against it in the House of Lords, including the Earl of Huntingdon, his brother-in-law the Earl of Scarsdale and three others. While many shared their opposition to a 'foreign' king, the general feeling was summed up as 'better a German prince than a French one.' Effects For different reasons, various constitutionalists have praised the Act of Settlement: Henry Hallam called the Act "the seal of our constitutional laws" and David Lindsay Keir placed its importance above the Bill of Rights of 1689. Naamani Tarkow wrote: "If one is to make sweeping statements, one may say that, save Magna Carta (more truly, its implications), the Act of Settlement is probably the most significant statute in English history". Union of Scotland with England and Wales The Act of Settlement was, in many ways, the major cause of the union of Scotland with England and Wales to form the Kingdom of Great Britain. The Parliament of Scotland was not happy with the Act of Settlement and, in response, passed the Act of Security in 1704, through which Scotland reserved the right to choose its own successor to Queen Anne. Stemming from this, the Parliament of England decided that, to ensure the stability and future prosperity of Great Britain, full union of the two parliaments and nations was essential before Anne's death. It used a combination of exclusionary legislation (the Alien Act 1705), politics, and bribery to achieve this within three years under the Act of Union 1707. This success was in marked contrast to the four attempts at political union between 1606 and 1689, which all failed owing to a lack of political will in both kingdoms. By virtue of Article II of the Treaty of Union, which defined the succession to the throne of Great Britain, the Act of Settlement became part of Scots Law as well. Succession to the Crown In addition to excluding James II (who died a few months after the act received royal assent) and his Roman Catholic children (Prince James (The Old Pretender) and the Princess Royal), the Act also excluded the descendants of Princess Henrietta, the youngest sister of James II. Henrietta's daughter was Anne, Queen of Sardinia, a Roman Catholic, from whom descend all Jacobite pretenders after 1807. With the legitimate descendants of Charles I either childless (in the case of his two grand-daughters the late Queen Mary II and her successor Queen Anne) or Roman Catholic, Parliament's choice was limited to Sophia of Hanover, the Protestant daughter of the late Elizabeth of Bohemia, the only other child of King James I to have survived childhood. Elizabeth had borne nine children who reached adulthood, of whom Sophia was the youngest daughter. However in 1701 Sophia was the senior Protestant one, therefore with a legitimate claim to the English throne; Parliament passed over her Roman Catholic siblings, namely her sister Louise Hollandine of the Palatinate, and their descendants, who included Elizabeth Charlotte, Duchess of Orléans; Louis Otto, Prince of Salm, and his aunts; Anne Henriette, Princess of Condé and Benedicta Henrietta, Duchess of Brunswick-Lüneburg. Removal from the succession due to Catholicism Since the Act's passing the most senior living member of the royal family to have married a Roman Catholic, and thereby to have been removed from the line of succession, is Prince Michael of Kent, who married Baroness Marie-Christine von Reibnitz in 1978; he was fifteenth in the line of succession at the time. He was restored to the line of succession in 2015 when the Succession to the Crown Act 2013 came into force, and became 34th in line. The next most senior living descendant of the Electress Sophia who had been ineligible to succeed on this ground is George Windsor, Earl of St Andrews, the elder son of Prince Edward, Duke of Kent, who married the Roman Catholic Sylvana Palma Tomaselli in 1988. His son, Lord Downpatrick, converted to Roman Catholicism in 2003 and is the most senior descendant of Sophia to be barred as a result of his religion. In 2008 his daughter, Lady Marina Windsor, also converted to Catholicism and was removed from the line of succession. More recently, Peter Phillips, the son of Anne, Princess Royal, and eleventh in line to the throne, married Autumn Kelly; Kelly had been brought up as a Roman Catholic, but she converted to Anglicanism prior to the wedding. Had she not done so, Phillips would have forfeited his place in the succession upon their marriage, only to have it restored in 2015. Excluding those princesses who have married into Roman Catholic royal families, such as Marie of Edinburgh, Victoria Eugenie of Battenberg and Princess Beatrice of Edinburgh, one member of the Royal Family (that is, with the style of Royal Highness) has converted to Roman Catholicism since the passage of the Act: the Duchess of Kent, wife of Prince Edward, Duke of Kent, who converted on 14 January 1994, but her husband did not lose his place in the succession because she was an Anglican at the time of their marriage. Present status As well as being part of the law of the United Kingdom, the Act of Settlement was received into the laws of all the countries and territories over which the British monarch reigned. It remains part of the laws of the 15 Commonwealth realms and the relevant jurisdictions within those realms. In accordance with established convention, the Statute of Westminster 1931 and later laws, the Act of Settlement (along with the other laws governing the succession of the Commonwealth realms) may only be changed with the agreement of all the realms (and, in some federal realms, the constituent members of those federations). The Succession to the Crown Act 2013 changed many provisions of this act. Amendment proposals Challenges have been made against the Act of Settlement, especially its provisions regarding Roman Catholics and preference for males. However, changing the Act is a complex process, since the Act governs the shared succession of all the Commonwealth realms. The Statute of Westminster 1931 acknowledges by established convention that any changes to the rules of succession may be made only with the agreement of all of the states involved, with concurrent amendments to be made by each state's parliament or parliaments. Further, as the current monarch's eldest child and, in turn, his eldest child, are Anglican males, any change to the succession laws would have no immediate implications. Consequently, there was little public concern with the issues and debate had been confined largely to academic circles until the November 2010 announcement that Prince William was to marry. This raised the question of what would happen if he were to produce first a daughter and then a son. The Times reported on 6 November 1995 that Prince Charles had said on that day to Tony Blair and Paddy Ashdown that "Catholics should be able to ascend to the British throne". Ashdown claimed the Prince said: "I really can't think why we can't have Catholics on the throne". In 1998, during debate on a Succession to the Crown Bill, Junior Home Office Minister Lord Williams of Mostyn informed the House of Lords that the Queen had "no objection to the Government's view that in determining the line of succession to the throne, daughters and sons should be treated in the same way." Australia In October 2011 the Australian federal government was reported to have reached an agreement with all of the states on potential changes to their laws in the wake of amendments to the Act of Settlement. The practice of the Australian states—for example, New South Wales and Victoria—has been, when legislating to repeal some imperial statutes so far as they still applied in Australia, to provide that imperial statutes concerning the royal succession remain in force. The legal process required at the federal level remains, theoretically, unclear. The Australian constitution, as was noted during the crisis of 1936, contains no power for the federal parliament to legislate with respect to the monarchy. Everything thus turns upon the status and meaning of clause 2 in the Commonwealth of Australia Constitution Act 1900, which provides: "The provisions of this Act referring to the Queen shall extend to Her Majesty's heirs and successors in the sovereignty of the United Kingdom." Anne Twomey reviews three possible interpretations of the clause. First: it "mandates that whoever is the sovereign of the United Kingdom is also, by virtue of this external fact, sovereign of Australia"; accordingly, changes to British succession laws would have no effect on Australian law, but if the British amendment changed the sovereign, then the new sovereign of the United Kingdom would automatically become the new sovereign of Australia. Second, it is "merely an interpretative provision", operating to ensure that references to "the Queen" in the Constitution are references to whoever may at the time be the incumbent of the "sovereignty of the United Kingdom" as determined with regard to Australia, following the Australia Act 1986, by Australian law. Or, third, it incorporates the United Kingdom rules of succession into the Commonwealth of Australia Constitution Act, which itself can now be altered only by Australia, according to the Australia Act 1986; in that way, the British rules of succession have been patriated to Australia and, with regard to Australia, are subject to amendment or repeal solely by Australian law. However, Twomey expresses confidence that, if the High Court of Australia were to be faced with the problems of covering clause 2, it would find some way to conclude that, with regard to Australia, the clause is subject solely to Australian law. Canadian scholar Richard Toporoski theorised in 1998 that "if, let us say, an alteration were to be made in the United Kingdom to the Act of Settlement 1701, providing for the succession of the Crown... [i]t is my opinion that the domestic constitutional law of Australia or Papua New Guinea, for example, would provide for the succession in those countries of the same person who became Sovereign of the United Kingdom." In practice, when legislating for the Perth Agreement (see below), the Australian governments took the approach of the states requesting, and referring power to, the federal government to enact the legislation on behalf of the states (under paragraph 51(xxxviii) of the Australian Constitution) and the Commonwealth of Australia. Canada In Canada, where the Act of Settlement () is now a part of Canadian constitutional law, Tony O'Donohue, a Canadian civic politician, took issue with the provisions that exclude Roman Catholics from the throne, and which make the monarch of Canada the Supreme Governor of the Church of England, requiring him or her to be an Anglican. This, he claimed, discriminated against non-Anglicans, including Catholics, who are the largest faith group in Canada. In 2002, O'Donohue launched a court action that argued the Act of Settlement violated the Canadian Charter of Rights and Freedoms, but, the case was dismissed by the court. It found that, as the Act of Settlement is part of the Canadian constitution, the Charter of Rights and Freedoms, as another part of the same constitution, does not have supremacy over it. Also, the court noted that, while Canada has the power to amend the line of succession to the Canadian throne, the Statute of Westminster stipulates that the agreement of the governments of the fifteen other Commonwealth realms that share the Crown would first have to be sought if Canada wished to continue its relationship with these countries. An appeal of the decision was dismissed on 16 March 2005. Some commentators state that, as a result of this, any single provincial legislature could hinder any attempts to change this Act, and by extension, to the line of succession for the shared crown of all 16 Commonwealth realms. Others contend that that is not the case, and changes to the succession instituted by an Act of the Parliament of Canada "[in accord] with the convention of symmetry that preserves the personal unity of the British and Dominion Crowns". With the announcement in 2007 of the engagement of Peter Phillips to Autumn Kelly, a Roman Catholic and a Canadian, discussion about the Act of Settlement was revived. Norman Spector called in The Globe and Mail for Prime Minister Stephen Harper to address the issue of the act's bar on Catholics, saying Phillips' marriage to Kelly would be the first time the provisions of the act would bear directly on Canada—Phillips would be barred from acceding to the Canadian throne because he married a Roman Catholic Canadian. (In fact, Lord St Andrews had already lost his place in the line of succession when he married the Roman Catholic Canadian Sylvana Palma Tomaselli in 1988. But St Andrews' place in the line of succession was significantly lower than Phillips'.) Criticism of the Act of Settlement due to the Phillips–Kelly marriage was muted when Autumn Kelly converted to Anglicanism shortly before her marriage, thus preserving her husband's place in the line of succession. United Kingdom From time to time there has been debate over repealing the clause that prevents Roman Catholics, or those who marry one, from ascending to the British throne. Proponents of repeal argue that the clause is a bigoted anachronism; Cardinal Winning, who was leader of the Roman Catholic Church in Scotland, called the act an "insult" to Catholics. Cardinal Murphy-O'Connor, the leader of the Roman Catholic Church in England, pointed out that Prince William (later the Duke of Cambridge) "can marry by law a Hindu, a Buddhist, anyone, but not a Roman Catholic." Opponents of repeal, such as Enoch Powell and Adrian Hilton, believe that it would lead to the disestablishment of the Church of England as the state religion if a Roman Catholic were to come to the throne. They also note that the monarch must swear to defend the faith and be a member of the Anglican Communion, but that a Roman Catholic monarch would, like all Roman Catholics, owe allegiance to the Pope. This would, according to opponents of repeal, amount to a loss of sovereignty for the Anglican Church. When in December 1978 there was media speculation that Prince Charles might marry a Roman Catholic, Powell defended the provision that excludes Roman Catholics from ascending the throne, stating his objection was not rooted in religious bigotry but in political considerations. He said a Roman Catholic monarch would mean the acceptance of a source of authority external to the realm and "in the literal sense, foreign to the Crown-in-Parliament ... Between Roman Catholicism and royal supremacy there is, as Saint Thomas More concluded, no reconciliation." Powell concluded that a Roman Catholic crown would be the destruction of the Church of England because "it would contradict the essential character of that church." He continued: When Thomas Hobbes wrote that "the Papacy is no other than the ghost of the deceased Roman Empire sitting crowned upon the grave thereof", he was promulgating an enormously important truth. Authority in the Roman Church is the exertion of that imperium from which England in the 16th century finally and decisively declared its national independence as the alter imperium, the "other empire", of which Henry VIII declared "This realm of England is an empire" ... It would signal the beginning of the end of the British monarchy. It would portend the eventual surrender of everything that has made us, and keeps us still, a nation. The Scottish Parliament unanimously passed a motion in 1999 calling for the complete removal of any discrimination linked to the monarchy and the repeal of the Act of Settlement. The following year, The Guardian challenged the succession law in court, claiming that it violated the European Convention on Human Rights, which provides, The enjoyment of the rights and freedoms set forth in this Convention shall be secured without discrimination on
even ran a lighthearted comedy piece called "What to Do When the Hijacker Comes". Most incidents occurred in the United States. There were two distinct types: hijackings for transportation elsewhere and hijackings for extortion with the threat of harm. Between 1968 and 1972, there were 90 recorded transport attempts to Cuba. In contrast, there were 26 extortion attempts (see table on the right). The longest and first transcontinental (Los Angeles, Denver, New York, Bangor, Shannon and Rome) hijacking from the US started on 31 October 1969. The Eastern Air Lines Shuttle flight 1320 on May 17, 1970, witnessed the first fatality in the course of a U.S. highjacking. Incidents also became problematic outside of the U.S. For instance, in 1968, El Al Flight 426 was seized by Popular Front for the Liberation of Palestine (PFLP) militants on 23 July, an incident which lasted 40 days, making it one of the longest. This record was later beaten in 1999. As a result of the evolving threat, President Nixon issued a directive in 1970 to promote security at airports, electronic surveillance and multilateral agreements for tackling the problem. The International Civil Aviation Organization (ICAO) issued a report on aircraft hijacking in July 1970. Beginning in 1969 until the end of June 1970, there were 118 incidents of unlawful seizure of aircraft and 14 incidents of sabotage and armed attacks against civil aviation. This involved airlines of 47 countries and more than 7,000 passengers. In this period, 96 people were killed and 57 were injured as a result of hijacking, sabotage and armed attacks. The ICAO stated that this is not isolated to one nation or one region, but a worldwide issue to the safe growth of international civil aviation. Incidents also became notoriousin 1971, a man known as D. B. Cooper hijacked a plane and extorted US$200,000 in ransom before parachuting over Oregon. He was never identified. On August 20, 1971, a Pakistan Air Force T-33 military plane was hijacked prior the Indo-Pakistani war of 1971 in Karachi. Lieutenant Matiur Rahman attacked Officer Rashid Minhas and attempted to land in India. Minhas deliberately crashed the plane into the ground near Thatta to prevent the diversion. Countries around the world continued their efforts to tackle crimes committed on-board planes. The Tokyo Convention, drafted in 1958, established an agreement between signatories that the "state in which the aircraft is registered is competent to exercise jurisdiction over crimes committed on board that aircraft while it is in flight". While the Convention does not make hijacking an international crime, it does contain provisions which obligate the country in which a hijacked aircraft lands to restore the aircraft to its responsible owner, and allow the passengers and crew to continue their journey. The Convention came into force in December 1969. A year later, in December 1970, the Hague Convention was drafted which punishes hijackers, enabling each state to prosecute a hijacker if that state does not extradite them, and to deprive them from asylum from prosecution. On December 5, 1972, the FAA issued emergency rules requiring all passengers and their carry-on baggage to be screened. Airports slowly implemented walk-through metal detectors, hand-searches and X-ray machines, to prohibit weapons and explosive devices. These rules came into effect on January 5, 1973, and were welcomed by most of the public. In 1974, Congress enacted a statute which provided for the death penalty for acts of aircraft piracy resulting in death. Between 1968 and 1977, there were approximately 41 hijackings per year. 1980–2000 By 1980, airport screening and greater cooperation from the international community led to fewer successful hijackings; the number of events had significantly dropped below the 1968 level. Between 1978 and 1988, there were roughly 26 incidents of hijackings a year. A new threat emerged in the 1980s: organised terrorists destroying aircraft to draw attention. For instance, terrorist groups were responsible for the bombing of Air India Flight 182 over the Irish coast. In 1988, Pan Am Flight 103 was bombed flying over Scotland. Terrorist activity which included hijack attempts in the Middle East were also a cause of concern. During the 1990s, there was relative peace in the United States airspace as the threat of domestic hijacking was seen as a distant memory. Globally, however, hijackings still persisted. Between 1993 and 2003, the highest number of hijackings occurred in 1993 (see table below). This number can be attributed to events in China where hijackers were trying to gain political asylum in Taiwan. Europe and the rest of East Asia were not immune either. On December 26, 1994, Air France Flight 8969 with 172 passengers and crew was hijacked after leaving Algiers. Authorities believed that the goal was to crash the plane into the Eiffel Tower. On June 21, 1995, All Nippon Airways Flight 857 was hijacked by a man claiming to be a member of the Aum Shinrikyo religious cult, demanding the release of its imprisoned leader Shoko Asahara. The incident was resolved when the police stormed the plane. On October 17, 1996, the first hijacking that was brought to an end while airborne was carried out by four operatives of the Austrian special law enforcement unit Cobra on a Russian Aeroflot flight from Malta to Lagos, Nigeria, aboard a Tupolev Tu-154. The operatives escorted inmates detained for deportation to their homelands and were equipped with weapons and gloves. On 12 April 1999, six ELN members hijacked a Fokker 50 of Avianca Flight 9463, flying from Bucaramanga to Bogotá. Many hostages were held for more than a year, and the last hostage was finally freed 19 months after the hijacking. 2001–present On September 11, 2001, four airliners were hijacked by 19 Al-Qaeda extremists: American Airlines Flight 11, United Airlines Flight 175, American Airlines Flight 77 and United Airlines Flight 93. The first two planes were deliberately crashed into the Twin Towers of the World Trade Center and the third was crashed into The Pentagon building. The fourth crashed in a field in Stonycreek Township near Shanksville, Pennsylvania after crew and passengers attempted to overpower the hijackers. Authorities believe that the intended target was the U.S. Capitol. In total, 2,996 people perished and more than 6,000 were injured in the attacks, making the hijackings the deadliest in modern history. Following the attacks, the U.S. government formed the Transportation Security Administration (TSA) to handle airport screening at U.S. airports. Government agencies around the world tightened their airport security, procedures and intelligence gathering. Until the September 11 attacks, there had never been an incident whereby a passenger aircraft was used as a weapon of mass destruction. The 9/11 Commission report stated that it was always assumed that a "hijacking would take the traditional form"; therefore, airline crews never had a contingency plan for a suicide-hijacking. As Patrick Smith, an airline pilot, summarizes: Throughout the mid-2000s, hijackings still occurred but there were much fewer incidents and casualties. The number of incidents had been declining, even before the September 11 attacks. One notable incident in 2006 was the hijacking of Turkish Airlines Flight 1476, flying from Tirana to Istanbul, which was seized by a man named Hakan Ekinci. The aircraft, with 107 passengers and 6 crew, made distress calls to air traffic control and the plane was escorted by military aircraft before landing safely at Brindisi, Italy. In 2007, several incidents occurred in the Middle East and Northern Africa; hijackers in one of these incidents claimed to be affiliated with Al-Qaeda. Towards the end of the decade, AeroMexico experienced its first terror incident when Flight 576 was hijacked by a man demanding to speak with President Calderón. Since 2010, the Aviation Safety Network estimates there have been 15 hijackings worldwide with three fatalities. This is a considerably lower figure than in previous decades which can be attributed to greater security enhancements and awareness of September 11–style attacks. On June 29, 2012, an attempt was made to hijack Tianjin Airlines Flight GS7554 from Hotan to Ürümqi in China. More recently was the 2016 hijacking of EgyptAir Flight MS181, involving an Egyptian man who claimed to have a bomb and ordered the plane to land in Cyprus. He surrendered several hours later, after freeing the passengers and crew. Countermeasures As a result of the large number of U.S.–Cuba hijackings in the late 1960s to early 1970s, international airports introduced screening technology such as metal detectors, X-ray machines and explosive detection tools. In the U.S, these rules were enforced starting from January 1973 and were eventually copied around the world. These security measures did make hijacking a "higher-risk proposition" and deter criminals in later decades. Until September 2001, the FAA set and enforced a "layered" system of defense: hijacking intelligence, passenger pre-screening, checkpoint screening and on-board security. The idea was that if one layer were later to fail, another would be able stop a hijacker from boarding a plane. However, the 9/11 Commission found that this layered approach was flawed and unsuitable to prevent the September 11 attacks. The U.S Transportation Security Administration has since strengthened this approach, with a greater emphasis on intelligence sharing. On-board security In the history of hijackings, most incidents involved planes being forced to land at a certain destination with demands. As a result, commercial airliners adopted a "total compliance" rule which taught pilots and cabin crew to comply with the hijackers' demands. Crews advise passengers to sit quietly to increase their chances of survival. The ultimate goal is to land the plane safely and let the security forces handle the situation. The FAA suggested that the longer a hijacking persisted, the more likely it would end peacefully with the hijackers reaching their goal. Although total compliance is still relevant, the events of September 11 changed this paradigm as this technique cannot prevent a suicide hijacking. It is now evident that each hijacking situation needs to be evaluated on a case-by-case basis. Cabin crew, now aware of the severe consequences, have a greater responsibility for maintaining control of their aircraft. Most airlines also give crew members training in self-defense tactics. Ever since the 1970s, crew are taught to be vigilant for suspicious behaviour. For example, passengers who have no carry-on luggage, or are standing next to the cockpit door with fidgety movements. There have been various incidents when crew and passengers intervened to prevent attacks: on December 22, 2001, Richard Reid attempted to ignite explosives on American Airlines Flight 63. In 2009, on Northwest Flight 253, Umar Farouk Abdulmutallab attempted to detonate explosives sewn into his underwear. In 2012, the attempted hijacking of Tianjin Airlines Flight 7554 was stopped when cabin crew placed a trolley in-front of the cockpit door and asked passengers for help. American Airlines Flight 11 In the September 11 attacks, crew on one of the hijacked planes went beyond their scope of training by informing the airline ground crew about the events on board. In separate phone calls, Amy Sweeney and Betty Ong provided information on seat numbers of the attackers and passenger injuries. This helped authorities identify them. Cockpit security As early as 1964, the FAA required cockpit doors on commercial aircraft be kept locked during flight. In 2002, U.S. Congress passed the Arming Pilots Against Terrorism Act, allowing pilots at U.S. airlines to carry guns in the cockpit. Since 2003, these pilots are known as Federal Flight Deck Officers. It is estimated that one in 10 of the 125,000 commercial pilots are trained and armed. Also in 2002, aircraft manufacturers such as Airbus introduced a reinforced cockpit door which is resistant to gunfire and forced entry. Shortly afterwards, the FAA required operators of more than 6,000 aircraft to install tougher cockpit doors by April 9, 2003. Rules were also tightened to restrict cockpit access and make it easier for pilots to lock the doors. In 2015, Germanwings Flight 9525 was seized by the co-pilot and deliberately crashed, while the captain was out. The captain was unable to re-enter the cockpit, because the airline had already reinforced the cockpit door. The European Aviation Safety Agency issued a recommendation for airlines to ensure that at least two people, one pilot and a member of cabin crew, occupy the cockpit during flight. The FAA in the United States enforce a similar rule. Air marshal service Some countries operate a marshal service, which puts members of law enforcement on high-risk flights based on intelligence. Their role is to keep passengers safe, by preventing hijackings and other criminal acts committed on a plane. Federal
hijacking an international crime, it does contain provisions which obligate the country in which a hijacked aircraft lands to restore the aircraft to its responsible owner, and allow the passengers and crew to continue their journey. The Convention came into force in December 1969. A year later, in December 1970, the Hague Convention was drafted which punishes hijackers, enabling each state to prosecute a hijacker if that state does not extradite them, and to deprive them from asylum from prosecution. On December 5, 1972, the FAA issued emergency rules requiring all passengers and their carry-on baggage to be screened. Airports slowly implemented walk-through metal detectors, hand-searches and X-ray machines, to prohibit weapons and explosive devices. These rules came into effect on January 5, 1973, and were welcomed by most of the public. In 1974, Congress enacted a statute which provided for the death penalty for acts of aircraft piracy resulting in death. Between 1968 and 1977, there were approximately 41 hijackings per year. 1980–2000 By 1980, airport screening and greater cooperation from the international community led to fewer successful hijackings; the number of events had significantly dropped below the 1968 level. Between 1978 and 1988, there were roughly 26 incidents of hijackings a year. A new threat emerged in the 1980s: organised terrorists destroying aircraft to draw attention. For instance, terrorist groups were responsible for the bombing of Air India Flight 182 over the Irish coast. In 1988, Pan Am Flight 103 was bombed flying over Scotland. Terrorist activity which included hijack attempts in the Middle East were also a cause of concern. During the 1990s, there was relative peace in the United States airspace as the threat of domestic hijacking was seen as a distant memory. Globally, however, hijackings still persisted. Between 1993 and 2003, the highest number of hijackings occurred in 1993 (see table below). This number can be attributed to events in China where hijackers were trying to gain political asylum in Taiwan. Europe and the rest of East Asia were not immune either. On December 26, 1994, Air France Flight 8969 with 172 passengers and crew was hijacked after leaving Algiers. Authorities believed that the goal was to crash the plane into the Eiffel Tower. On June 21, 1995, All Nippon Airways Flight 857 was hijacked by a man claiming to be a member of the Aum Shinrikyo religious cult, demanding the release of its imprisoned leader Shoko Asahara. The incident was resolved when the police stormed the plane. On October 17, 1996, the first hijacking that was brought to an end while airborne was carried out by four operatives of the Austrian special law enforcement unit Cobra on a Russian Aeroflot flight from Malta to Lagos, Nigeria, aboard a Tupolev Tu-154. The operatives escorted inmates detained for deportation to their homelands and were equipped with weapons and gloves. On 12 April 1999, six ELN members hijacked a Fokker 50 of Avianca Flight 9463, flying from Bucaramanga to Bogotá. Many hostages were held for more than a year, and the last hostage was finally freed 19 months after the hijacking. 2001–present On September 11, 2001, four airliners were hijacked by 19 Al-Qaeda extremists: American Airlines Flight 11, United Airlines Flight 175, American Airlines Flight 77 and United Airlines Flight 93. The first two planes were deliberately crashed into the Twin Towers of the World Trade Center and the third was crashed into The Pentagon building. The fourth crashed in a field in Stonycreek Township near Shanksville, Pennsylvania after crew and passengers attempted to overpower the hijackers. Authorities believe that the intended target was the U.S. Capitol. In total, 2,996 people perished and more than 6,000 were injured in the attacks, making the hijackings the deadliest in modern history. Following the attacks, the U.S. government formed the Transportation Security Administration (TSA) to handle airport screening at U.S. airports. Government agencies around the world tightened their airport security, procedures and intelligence gathering. Until the September 11 attacks, there had never been an incident whereby a passenger aircraft was used as a weapon of mass destruction. The 9/11 Commission report stated that it was always assumed that a "hijacking would take the traditional form"; therefore, airline crews never had a contingency plan for a suicide-hijacking. As Patrick Smith, an airline pilot, summarizes: Throughout the mid-2000s, hijackings still occurred but there were much fewer incidents and casualties. The number of incidents had been declining, even before the September 11 attacks. One notable incident in 2006 was the hijacking of Turkish Airlines Flight 1476, flying from Tirana to Istanbul, which was seized by a man named Hakan Ekinci. The aircraft, with 107 passengers and 6 crew, made distress calls to air traffic control and the plane was escorted by military aircraft before landing safely at Brindisi, Italy. In 2007, several incidents occurred in the Middle East and Northern Africa; hijackers in one of these incidents claimed to be affiliated with Al-Qaeda. Towards the end of the decade, AeroMexico experienced its first terror incident when Flight 576 was hijacked by a man demanding to speak with President Calderón. Since 2010, the Aviation Safety Network estimates there have been 15 hijackings worldwide with three fatalities. This is a considerably lower figure than in previous decades which can be attributed to greater security enhancements and awareness of September 11–style attacks. On June 29, 2012, an attempt was made to hijack Tianjin Airlines Flight GS7554 from Hotan to Ürümqi in China. More recently was the 2016 hijacking of EgyptAir Flight MS181, involving an Egyptian man who claimed to have a bomb and ordered the plane to land in Cyprus. He surrendered several hours later, after freeing the passengers and crew. Countermeasures As a result of the large number of U.S.–Cuba hijackings in the late 1960s to early 1970s, international airports introduced screening technology such as metal detectors, X-ray machines and explosive detection tools. In the U.S, these rules were enforced starting from January 1973 and were eventually copied around the world. These security measures did make hijacking a "higher-risk proposition" and deter criminals in later decades. Until September 2001, the FAA set and enforced a "layered" system of defense: hijacking intelligence, passenger pre-screening, checkpoint screening and on-board security. The idea was that if one layer were later to fail, another would be able stop a hijacker from boarding a plane. However, the 9/11 Commission found that this layered approach was flawed and unsuitable to prevent the September 11 attacks. The U.S Transportation Security Administration has since strengthened this approach, with a greater emphasis on intelligence sharing. On-board security In the history of hijackings, most incidents involved planes being forced to land at a certain destination with demands. As a result, commercial airliners adopted a "total compliance" rule which taught pilots and cabin crew to comply with the hijackers' demands. Crews advise passengers to sit quietly to increase their chances of survival. The ultimate goal is to land the plane safely and let the security forces handle the situation. The FAA suggested that the longer a hijacking persisted, the more likely it would end peacefully with the hijackers reaching their goal. Although total compliance is still relevant, the events of September 11 changed this paradigm as this technique cannot prevent a suicide hijacking. It is now evident that each hijacking situation needs to be evaluated on a case-by-case basis. Cabin crew, now aware of the severe consequences, have a greater responsibility for maintaining control of their aircraft. Most airlines also give crew members training in self-defense tactics. Ever since the 1970s, crew are taught to be vigilant for suspicious behaviour. For example, passengers who have no carry-on luggage, or are standing next to the cockpit door with fidgety movements. There have been various incidents when crew and passengers intervened to prevent attacks: on December 22, 2001, Richard Reid attempted to ignite explosives on American Airlines Flight 63. In 2009, on Northwest Flight 253, Umar Farouk Abdulmutallab attempted to detonate explosives sewn into his underwear. In 2012, the attempted hijacking of Tianjin Airlines Flight 7554 was stopped when cabin crew placed a trolley in-front of the cockpit door and asked passengers for help. American Airlines Flight 11 In the September 11 attacks, crew on one of the hijacked planes went beyond their scope of training by informing the airline ground crew about the events on board. In separate phone calls, Amy Sweeney and Betty Ong provided information on seat numbers of the attackers and passenger injuries. This helped authorities identify them. Cockpit security As early as 1964, the FAA required cockpit doors on commercial aircraft be kept locked during flight. In 2002, U.S. Congress passed the Arming Pilots Against Terrorism Act, allowing pilots at U.S. airlines to carry guns in the cockpit. Since 2003, these pilots are known as Federal Flight Deck Officers. It is estimated that one in 10 of the 125,000 commercial pilots are trained and armed. Also in 2002, aircraft manufacturers such as Airbus introduced a reinforced cockpit door which is resistant to gunfire and forced entry. Shortly afterwards, the FAA required operators of more than 6,000 aircraft to install tougher cockpit doors by April 9, 2003. Rules were also tightened to restrict cockpit access and make it easier for pilots to lock the doors. In 2015, Germanwings Flight 9525 was seized by the co-pilot and deliberately crashed, while the captain was out. The captain was unable to re-enter the cockpit, because the airline had already reinforced the cockpit door. The European Aviation Safety Agency issued a recommendation for airlines to ensure that at least two people, one pilot and a member of cabin crew, occupy the cockpit during flight. The FAA in the United States enforce a similar rule. Air marshal service Some countries operate a marshal service, which puts members of law enforcement on high-risk flights based on intelligence. Their role is to keep passengers safe, by preventing hijackings and other criminal acts committed on a plane. Federal marshals in the U.S. are required to identify themselves before boarding a plane; marshals of other countries often are not. According to the Congressional Research Service, the budget for the U.S. Federal Air Marshal Service was US$719 million in 2007. Marshals often sit as regular passengers, at the front of the plane to allow observation of the cockpit. Despite the expansion of the marshal service, they cannot be on every plane, and they rarely face a real threat on a flight. Critics have questioned the need for them. Air traffic control There is no generic or set of rules for handling a hijacking situation. Air traffic controllers are expected to exercise their best judgement and expertise when dealing with the apparent consequences of an unlawful interference or hijack. Depending on the jurisdiction, the controller will inform authorities, such as the military, who will escort the hijacked plane. Controllers are expected to keep communications to a minimum and clear the runway for a possible landing. Legislation for downing hijacked aircraft Germany In January 2005, a federal law came into force in Germany, called the Luftsicherheitsgesetz, which allows "direct action by armed force" against a hijacked aircraft to prevent a September 11–style attack. However, in February 2006 the Federal Constitutional Court of Germany struck down these provisions of the law, stating such preventive measures were unconstitutional and would essentially be state-sponsored murder, even if such an act would save many more lives on the ground. The main reason behind this decision was that the state would effectively be killing innocent hostages in order to avoid a terrorist attack. The Court also ruled that the Minister of Defense is constitutionally not entitled to act in terrorism matters, as this is the duty of the state and federal police forces. President of Germany Horst Köhler urged judicial review of the constitutionality of the Luftsicherheitsgesetz after he signed it into law in 2005. India India published its new anti-hijacking policy in August 2005. The policy came into force after approval from the Cabinet Committee on Security (CCS). The main points of the policy are: Any attempt to hijack will be considered an act of aggression against the country and will prompt a response fit for an aggressor. Hijackers, if captured alive, will be put on trial, convicted, and sentenced to death. Hijackers will be engaged in negotiations only to bring the incident to an end, to comfort passengers and to prevent loss of lives. The hijacked plane will be shot down if it is deemed to become a missile heading for strategic targets. The hijacked plane will be escorted by armed fighter aircraft and will be forced to land. A hijacked grounded plane will not be allowed to take off under any circumstance. United States Prior to the September 11 attacks, countermeasures
side, decorated by Mys with images of the fight between the Centaurs and the Lapiths. Other monuments that have left almost nothing visible to the present day are the Chalkotheke, the Pandroseion, Pandion's sanctuary, Athena's altar, Zeus Polieus's sanctuary and, from Roman times, the circular temple of Augustus and Rome. Hellenistic and Roman period During the Hellenistic and Roman periods, many of the existing buildings in the area of the Acropolis were repaired, due to damage from age, and occasionally, war. Monuments to foreign kings were erected, notably those of the Attalid kings of Pergamon Attalos II (in front of the NW corner of the Parthenon), and Eumenes II, in front of the Propylaia. These were rededicated during the early Roman Empire to Augustus or Claudius (uncertain), and Agrippa, respectively. Eumenes was also responsible for constructing a stoa on the South slope, not unlike that of Attalos in the Agora below. During the Julio-Claudian period, the Temple of Rome and Augustus, a small, round edifice, about 23 meters from the Parthenon, was to be the last significant ancient construction on the summit of the rock. Around the same time, on the North slope, in a cave next to the one dedicated to Pan since the classical period, a sanctuary was founded where the archons dedicated to Apollo on assuming office. During 161 AD, on the South slope, the Roman Herodes Atticus built his grand amphitheatre or Odeon. It was destroyed by the invading Herulians a century later but was reconstructed during the 1950s. During the 3rd century, under threat from a Herulian invasion, repairs were made to the Acropolis walls, and the "Beulé Gate" was constructed to restrict entrance in front of the Propylaia, thus returning the Acropolis to use as a fortress. Byzantine, Latin and Ottoman period During the Byzantine period, the Parthenon was used as a church, dedicated to the Virgin Mary. During the Latin Duchy of Athens, the Acropolis functioned as the city's administrative center, with the Parthenon as its cathedral, and the Propylaea as part of the Ducal Palace. A large tower was added, the "Frankopyrgos", demolished during the 19th century. After the Ottoman conquest of Greece, the Parthenon was used as the garrison headquarters of the Turkish army, and the Erechtheum was turned into the governor's private harem. The buildings of the Acropolis suffered significant damage during the 1687 siege by the Venetians in the Morean War. The Parthenon, which was being used as a gunpowder magazine, was hit by artillery shot and damaged severely. During subsequent years, the Acropolis was a site of bustling human activity with many Byzantine, Frankish, and Ottoman structures. The dominant feature during the Ottoman period was a mosque inside the Parthenon, complete with a minaret. The Acropolis was besieged thrice during the Greek War of Independence (two sieges from the Greeks in 1821–1822 and one from the Ottomans in 1826–1827. A new bulwark named after Odysseas Androutsos was built by the Greeks between 1822 and 1825 to protect the recently rediscovered Klepsydra spring which became the sole fresh water supply of the fortress. After independence, most features that dated from the Byzantine, Frankish and Ottoman periods were cleared from the site in an attempt to restore the monument to its original form, "cleansed" of all later additions. German neoclassicist architect Leo von Klenze was responsible for the restoration of the Acropolis in the 19th century, according to German historian Wolf Seidl, as described in his book Bavarians in Greece. Second World War At the beginning of the Axis occupation of Greece in 1941, German soldiers raised the Nazi German War Flag over the Acropolis. It would be taken down by Manolis Glezos and Apostolos Santas in one of the first acts of resistance. In 1944 Greek Prime Minister Georgios Papandreou arrived on the Acropolis to celebrate liberation from the Nazis. Archaeological remains The entrance to the Acropolis was a monumental gateway termed the Propylaea. To the south of the entrance is the tiny Temple of Athena Nike. At the centre of the Acropolis is the Parthenon or Temple of Athena Parthenos (Athena the Virgin). East of the entrance and north of the Parthenon is the temple known as the Erechtheum. South of the platform that forms the top of the Acropolis there are also the remains of the ancient, though often remodelled, Theatre of Dionysus. A few hundred metres away, there is the now partially reconstructed Odeon of Herodes Atticus. All the valuable ancient artifacts are situated in the Acropolis Museum, which resides on the southern slope of the same rock, 280 metres from the Parthenon. Site plan Site plan of the Acropolis at Athens showing the major archaeological remains Parthenon Old Temple of Athena Erechtheum Statue of Athena Promachos Propylaea Temple of Athena Nike Eleusinion Sanctuary of Artemis Brauronia or Brauroneion Chalkotheke Pandroseion Arrephorion Altar of Athena Sanctuary of Zeus Polieus Sanctuary of Pandion Odeon of Herodes Atticus Stoa of Eumenes Sanctuary of Asclepius or Asclepieion Theatre of Dionysus Eleuthereus Odeon of Pericles Temenos of Dionysus Eleuthereus Aglaureion The Acropolis Restoration Project The Acropolis Restoration Project began in 1975 with the goal to reverse the decay of centuries of attrition, pollution, destruction from military actions, and misguided past restorations. The project included collection and identification of all stone fragments, even small ones, from the Acropolis and its slopes and the attempt was made to restore as much as possible using reassembled original material (anastylosis), with new marble from Mount Pentelicus used sparingly. All restoration was made using titanium dowels and is designed to be completely reversible, in case future experts decide to change things. A combination of cutting-edge modern technology and extensive research and reinvention of ancient techniques were used. The Parthenon colonnades, largely destroyed by Venetian bombardment during the 17th century, were restored, with many wrongly assembled columns now properly placed. The roof and floor of the Propylaea were partly restored, with sections of the roof made of new marble and decorated with blue and gold inserts, as in the original. Restoration of the Temple of Athena Nike was completed in 2010. A total of 2,675 tons of architectural members were restored, with 686 stones reassembled from fragments of the originals, 905 patched with new marble, and 186 parts made entirely of new marble. A total of 530 cubic meters of new Pentelic marble were used. In 2021, the addition of new reinforced concrete paths to the site to improve accessibility caused controversy among archaeologists. Cultural significance Every four years, the Athenians had a festival called the Great Panathenaea that rivaled the Olympic Games in popularity. During the festival, a procession (believed to be depicted on the Parthenon frieze) traveled through the city via the Panathenaic Way and culminated on the Acropolis. There, a new robe of woven wool (peplos) was placed on either the statue of Athena Polias in the Erechtheum (during the annual Lesser Panathenaea) or on the statue of Athena Parthenos in the Parthenon (during the Great Panathenaea, held every four years). Within the later tradition of Western
the Acropolis to use as a fortress. Byzantine, Latin and Ottoman period During the Byzantine period, the Parthenon was used as a church, dedicated to the Virgin Mary. During the Latin Duchy of Athens, the Acropolis functioned as the city's administrative center, with the Parthenon as its cathedral, and the Propylaea as part of the Ducal Palace. A large tower was added, the "Frankopyrgos", demolished during the 19th century. After the Ottoman conquest of Greece, the Parthenon was used as the garrison headquarters of the Turkish army, and the Erechtheum was turned into the governor's private harem. The buildings of the Acropolis suffered significant damage during the 1687 siege by the Venetians in the Morean War. The Parthenon, which was being used as a gunpowder magazine, was hit by artillery shot and damaged severely. During subsequent years, the Acropolis was a site of bustling human activity with many Byzantine, Frankish, and Ottoman structures. The dominant feature during the Ottoman period was a mosque inside the Parthenon, complete with a minaret. The Acropolis was besieged thrice during the Greek War of Independence (two sieges from the Greeks in 1821–1822 and one from the Ottomans in 1826–1827. A new bulwark named after Odysseas Androutsos was built by the Greeks between 1822 and 1825 to protect the recently rediscovered Klepsydra spring which became the sole fresh water supply of the fortress. After independence, most features that dated from the Byzantine, Frankish and Ottoman periods were cleared from the site in an attempt to restore the monument to its original form, "cleansed" of all later additions. German neoclassicist architect Leo von Klenze was responsible for the restoration of the Acropolis in the 19th century, according to German historian Wolf Seidl, as described in his book Bavarians in Greece. Second World War At the beginning of the Axis occupation of Greece in 1941, German soldiers raised the Nazi German War Flag over the Acropolis. It would be taken down by Manolis Glezos and Apostolos Santas in one of the first acts of resistance. In 1944 Greek Prime Minister Georgios Papandreou arrived on the Acropolis to celebrate liberation from the Nazis. Archaeological remains The entrance to the Acropolis was a monumental gateway termed the Propylaea. To the south of the entrance is the tiny Temple of Athena Nike. At the centre of the Acropolis is the Parthenon or Temple of Athena Parthenos (Athena the Virgin). East of the entrance and north of the Parthenon is the temple known as the Erechtheum. South of the platform that forms the top of the Acropolis there are also the remains of the ancient, though often remodelled, Theatre of Dionysus. A few hundred metres away, there is the now partially reconstructed Odeon of Herodes Atticus. All the valuable ancient artifacts are situated in the Acropolis Museum, which resides on the southern slope of the same rock, 280 metres from the Parthenon. Site plan Site plan of the Acropolis at Athens showing the major archaeological remains Parthenon Old Temple of Athena Erechtheum Statue of Athena Promachos Propylaea Temple of Athena Nike Eleusinion Sanctuary of Artemis Brauronia or Brauroneion Chalkotheke Pandroseion Arrephorion Altar of Athena Sanctuary of Zeus Polieus Sanctuary of Pandion Odeon of Herodes Atticus Stoa of Eumenes Sanctuary of Asclepius or Asclepieion Theatre of Dionysus Eleuthereus Odeon of Pericles Temenos of Dionysus Eleuthereus Aglaureion The Acropolis Restoration Project The Acropolis Restoration Project began in 1975 with the goal to reverse the decay of centuries of attrition, pollution, destruction from military actions, and misguided past restorations. The project included collection and identification of all stone fragments, even small ones, from the Acropolis and its slopes and the attempt was made to restore as much as possible using reassembled original material (anastylosis), with new marble from Mount Pentelicus used sparingly. All restoration was made using titanium dowels and is designed to be completely reversible, in case future experts decide to change things. A combination of cutting-edge modern technology and extensive research and reinvention of ancient techniques were used. The Parthenon colonnades, largely destroyed by Venetian bombardment during the 17th century, were restored, with many wrongly assembled columns now properly placed. The roof and floor of the Propylaea were partly restored, with sections of the roof made of new marble and decorated with blue and gold inserts, as in the original. Restoration of the Temple of Athena Nike was completed in 2010. A total of 2,675 tons of architectural members were restored, with 686 stones reassembled from fragments of the originals, 905 patched with new marble, and 186 parts made entirely of new marble. A total of 530 cubic meters of new Pentelic marble were used. In 2021, the addition of new reinforced concrete paths to the site to improve accessibility caused controversy among archaeologists. Cultural significance Every four years, the Athenians had a festival called the Great Panathenaea that rivaled the Olympic Games in popularity. During the festival, a procession (believed to be depicted on the Parthenon frieze) traveled through the city via the Panathenaic Way and culminated on the Acropolis. There, a new robe of woven wool (peplos) was placed on either the statue of Athena Polias in the Erechtheum (during the annual Lesser Panathenaea) or on the statue of Athena Parthenos in the Parthenon (during the Great Panathenaea, held every four years). Within the later tradition of Western Civilization and classical revival, the Acropolis, from at least the mid-18th century on, has often been invoked as a key symbol of the Greek legacy and of the glories of Classical Greece. Μost of the artefacts from the temple are housed today in the Acropolis Museum at the foot of the ancient rock. Geology The Acropolis is a klippe consisting of two lithostratigraphic units, the Athens schist and the overlying Acropolis limestone. The Athens schist is a soft reddish rock dating from the upper Cretaceous period. The original sediments were deposited in a river delta approximately 72 million years ago. The Acropolis limestone dates from the upper Jurassic period, predating the underlying Athens schist by about 30 million years. The Acropolis limestone was thrust over the Athens schist by compressional tectonic forces (Plate tectonics), forming a nappe or overthrust sheet. Erosion of the limestone nappe led to the eventual detachment of the Acropolis, forming the present day feature. Where the Athens schist and the limestone meet there are springs and karstic caves. Many of the hills in the Athens region were formed by the erosion of the same nappe as the Acropolis. These include the hills of Lykabettos, Areopagus, and Mouseion. The marble utilized to construct the buildings of the Acropolis was sourced from the quarries of Mount Pentelicus, a mountain to the northeast of the city. Geological Issues The limestone that the Acropolis is built upon is unstable because of the erosion and tectonic shifts that the region is prone to. This instability can cause rock slides that cause damage to the historic site. Various measures have been implemented to protect the site including retaining walls, drainage systems and rock bolts. These measures work to counter the natural processes that threaten the historic site. See also Landscaping of the Acropolis of Athens References Notes Bibliography Cohen, Beth. (2010). "Deconstructing the Acropolis: The Acropolis Museum, Athens, opened 20 June 2009 by Bernard Tschumi Architects." American Journal of Archaeology 114:745–753. Goette, Hans Rupprecht. (2001). Athens, Attica and the Megarid: An Archaeological Guide. London and New York: Routledge. Harris, Diane. (1995). The Treasures of the Parthenon and Erechtheion. New York: Oxford Univ. Press. Neils, Jenifer, ed. (1996). Worshipping Athena: Panathenaia and Parthenon. Madison: Univ. of Wisconsin Press. Pollitt, Jerome J. (1990). The Art of Ancient Greece: Sources and Documents. New York: Cambridge Univ. Press. External links The Acropolis of Athens (Greek Government website) The Acropolis Restoration Project (Greek Government website) The Acropolis of Athens Virtual Tour The Acropolis Museum and the Goddess Athena
He also adopted the name of "Brother Spartacus" within the order. Even encyclopedia references vary on the goal of the order, such as New Advent saying the Order was not egalitarian or democratic internally, but sought to promote the doctrines of equality and freedom throughout society; while others such as Collier's have said the aim was to combat religion and foster rationalism in its place. The Illuminati was formed with the vision of liberating humans from religious bondage and undermining corrupted governments. The actual character of the society was an elaborate network of spies and counter-spies. Each isolated cell of initiates reported to a superior, whom they did not know: a party structure that was effectively adopted by some later groups. Weishaupt was initiated into the Masonic lodge "Theodor zum guten Rath", at Munich in 1777. His project of "illumination, enlightening the understanding by the sun of reason, which will dispel the clouds of superstition and of prejudice" was an unwelcome reform. He used Freemasonry to recruit for his own quasi-masonic society, with the goal of "perfecting human nature" through re-education to achieve a communal state with nature, freed of government and organized religion. Presenting their own system as pure masonry, Weishaupt and Adolph Freiherr Knigge, who organised his ritual structure, greatly expanded the secret organisation. Contrary to Immanuel Kant's famous dictum that Enlightenment (and Weishaupt's Order was in some respects an expression of the Enlightenment Movement) was the passage by man out of his 'self-imposed immaturity' through daring to 'make use of his own reason, without the guidance of another,' Weishaupt's Order of Illuminati prescribed in great detail everything which the members had obediently to read and think, so that Dr. Wolfgang Riedel has commented that this approach to illumination or enlightenment constituted a degradation and twisting of the Kantian principle of Enlightenment. Riedel writes: 'The independence of thought and judgement required by Kant ... was specifically prevented by the Order of the Illuminati's rules and regulations. Enlightenment takes place here, if it takes place at all, precisely under the direction of another, namely under that of the "Superiors" [of the Order]. Weishaupt's radical rationalism and vocabulary were not likely to succeed. Writings that were intercepted in 1784 were interpreted as seditious, and the Society was banned by the government of Karl Theodor, Elector of Bavaria, in 1784. Weishaupt lost his position at the University of Ingolstadt and fled Bavaria. Activities in exile He received the assistance of Duke Ernest II of Saxe-Gotha-Altenburg (1745–1804), and lived in Gotha writing a series of works on illuminism, including A Complete History of the Persecutions of the Illuminati in Bavaria (1785), A Picture of Illuminism (1786), An
Rath", at Munich in 1777. His project of "illumination, enlightening the understanding by the sun of reason, which will dispel the clouds of superstition and of prejudice" was an unwelcome reform. He used Freemasonry to recruit for his own quasi-masonic society, with the goal of "perfecting human nature" through re-education to achieve a communal state with nature, freed of government and organized religion. Presenting their own system as pure masonry, Weishaupt and Adolph Freiherr Knigge, who organised his ritual structure, greatly expanded the secret organisation. Contrary to Immanuel Kant's famous dictum that Enlightenment (and Weishaupt's Order was in some respects an expression of the Enlightenment Movement) was the passage by man out of his 'self-imposed immaturity' through daring to 'make use of his own reason, without the guidance of another,' Weishaupt's Order of Illuminati prescribed in great detail everything which the members had obediently to read and think, so that Dr. Wolfgang Riedel has commented that this approach to illumination or enlightenment constituted a degradation and twisting of the Kantian principle of Enlightenment. Riedel writes: 'The independence of thought and judgement required by Kant ... was specifically prevented by the Order of the Illuminati's rules and regulations. Enlightenment takes place here, if it takes place at all, precisely under the direction of another, namely under that of the "Superiors" [of the Order]. Weishaupt's radical rationalism and vocabulary were not likely to succeed. Writings that were intercepted in 1784 were interpreted as seditious, and the Society was banned by the government of Karl Theodor, Elector of Bavaria, in 1784. Weishaupt lost his position at the University of Ingolstadt and fled Bavaria. Activities in exile He received the assistance of Duke Ernest II of Saxe-Gotha-Altenburg (1745–1804), and lived in Gotha writing a series of works on illuminism, including A Complete History of the Persecutions of the Illuminati in Bavaria (1785), A Picture of Illuminism (1786), An Apology for the Illuminati (1786), and An Improved System of Illuminism (1787). Adam Weishaupt died in Gotha on 18 November 1830. He was survived by his second wife, Anna Maria (née Sausenhofer), and his children Nanette, Charlotte, Ernst, Karl, Eduard, and Alfred. Weishaupt was buried next to his son Wilhelm who preceded him in death in 1802 at Friedhof II der Sophiengemeinde Berlin, a Protestant cemetery. After Weishaupt's Order of Illuminati was banned and its members dispersed, it left behind no enduring traces of an influence, not even on its own erstwhile members, who went on in the future to develop in quite different directions. Assessment of character and intentions Weishaupt's character and intentions have been variously assessed. Some took a negative view, such as Augustin Barruel, who despite writing that Weishaupt's goals were that "Equality and Liberty, together with the most absolute independence, are to be the substitutes for all rights and all property" saw this as more dangerous than beneficial, and John Robison who regarded him as a 'human devil' and saw his mission as one of malevolent destructiveness. Others took a more positive view, including Thomas Jefferson, who wrote in a letter to James Madison that "Barruel’s own parts of the book are perfectly the ravings of a Bedlamite" and considered Weishaupt as an "enthusiastic Philanthropist" who
Plus 3 (AP3) was a Plus 1 cartridge interface using the WD1770 controller, supplied with Acorn's ADFS and a single-sided 3½-inch disc drive for £99 plus VAT, offering equivalent functionality to the Acorn Plus 3. Announced in late 1987, the product was made possible by an agreement between ACP and Acorn to license the ADFS software. As with many disc interfaces for the Electron, since the interface provided a connector for the drive, this made it possible to connect a 5¼" floppy disc drive (more common amongst BBC Micro owners) or the more typical 3½-inch drive. PRES later released a version of ADFS with support for PAGE at &E00, this being achieved by using RAM provided by the Advanced Battery Backed RAM (ABR) cartridge. This version also fixed two notable bugs in Acorn's ADFS, eliminating unreliability when accessing the first tracks on a disc which had previously necessitated the writing of a file (ZYSYSHELP) as a workaround, and switching off the text cursor during disc compaction which had previously caused disc corruption (since the disc data would be processed using screen memory during this operation, and the cursor would modify that data when blinking). The ROM image was supplied on disc for £17.19, whereas a bundle of the ROM and ABR cartridge was £50.95. In 1989, the Advanced Plus 3 Mark 2 was launched, offering a double-sided drive in place of the single-sided drive previously offered. This meant that the storage capacity of each disc was increased from the 320 KB of the original Plus 3 to 640 KB (this being supported by ADFS on the Master Compact). Cumana Floppy Disc System Early in 1985, Cumana released a cartridge-based interface providing support for double-density storage, a real-time clock and calendar for timestamping of files, and a spare ROM socket for user-fitted sideways ROMs. The filing system used was Cumana's own QFS, supporting 89 files per disc, PAGE at &E00, a non-hierarchical catalogue, ten-character filenames, with a format not directly compatible with either of Acorn's DFS or ADFS. The interface itself cost £149.95 when originally announced, but settled at around £115.95 including VAT, also being offered in a promotional bundle with a 5¼-inch drive for £224.15 including VAT. Later pricing put the interface at £74.95 including VAT. Solidisk EFS In mid-1985, Solidisk released a cartridge-based interface with support for single and double density storage and providing Acorn DFS and ADFS compatibility, 16 KB of on-board sideways RAM, and a connector for a Winchester hard drive. The cartridge itself cost £59, with a bundle including a double-sided, double-density, 3½-inch drive costing £200. A 20 MB hard drive was offered at a price of £805. Advanced Plus 4 Announced in early 1986, the Advanced Plus 4 (AP4) from Advanced Computer Products was a cartridge-based interface employing the WD1770 controller and featuring ACP's 1770 DFS product, providing compatibility with Acorn's DFS from the BBC Micro and thereby supporting seven-character filenames and up to 31 files per disc. However, 8 KB of on-board static RAM was used as workspace for the filing system, keeping PAGE at &E00. An extra ROM socket was provided for a user-fitted sideways ROM, and being a 1770-based interface, it was reported that Acorn's ADFS could be used instead, although since it was not aware of the additional RAM, PAGE would be raised to &1D00 as it would be when using Acorn's Plus 3. The interface was priced at £69.55 plus VAT. Slogger Electron Disc System and Pegasus 400 Slogger, an established producer of expansions and a reseller of other disc systems, introduced the Electron Disc System in early 1987, priced at £74.95, featuring the Cumana Floppy Disc System interface, which was combined with an Acorn-compatible DFS, SEDFS, having the capability of reading 40-track discs on 80-track drives plus support for Slogger's tape-to-disc conversion products, and reported as offering "virtual 100 per cent 8271 emulation" for compatibility with traditional DFS software. The SEDFS ROM was also available separately for existing Cumana interface owners, priced at £24.95. The SEDFS was later bundled with Slogger's own cartridge-based interface and a 40/80-track switchable drive offering up to 400 KB storage per disc, with the bundle taking the Pegasus 400 name, introduced as part of a sales tour towards the end of 1987. This package of interface and drive cost £130. The precise DFS variant used by the Pegasus 400 system introduced "typeahead" support permitting keystroke buffering during disc activity on systems with the Turbo-Driver or Master RAM Board fitted and enabled. Slogger/Elektuur Turbo boards Announced in early 1986, the Slogger Turbo-Driver was a professionally fitted upgrade priced at £42. The board itself plugged into the CPU and BASIC ROM sockets on the main circuit board of the Electron, which merely involved removing socketed components on very early Electron models, but required desoldering work and therefore benefited from a fitting service for later units. The performance benefit of fitting the board was to make some programs, particularly those running in the high bandwidth modes (0 to 3), run up to three times faster. The direct origins of the Slogger product appear to be a board designed by Andyk Limited, announced as the Fast Electron Board in late 1985 with a price of £29.99, whereas the Elektuur modification was described in an article in Dutch Electronics magazine Elektuur and intended for users to perform at home. The Slogger and Elektuur Turbo boards were born out of a hack initially devised at Acorn. By shadowing the lowest 8 KB of RAM with a static RAM chip outside of reach of the ULA, the CPU could always access it at 2 MHz. The tradeoff was that the screen could not be located in that 8 KB. In practice the operating system ROMs always put the screen into the top 20 KB and as a result this probably only broke compatibility with around 2% of software. Speeding up the low portion of memory is particularly useful on 6502 derived machines because that processor has a faster addressing for the first 256 bytes and so it is common for software to put any variables involved in time-critical sections of program into that region. The cost of the 64 Kbit SRAM chip would have been more than that of doubling the four 64 Kbit DRAM chips to give 8-bit RAM access, fixing both the modest memory and poor performance issues of the Electron. Slogger Master RAM Board Introduced at around the start of 1987 and priced at £64.95 fitted or £54.95 as a kit, the Master RAM Board offered the familiar turbo mode from the Slogger Turbo-Driver alongside a shadow mode providing 32 KB of static shadow RAM in addition to the existing 32 KB, thus giving 64 KB in total. So-called "legally written software", this being software using the operating system calls and not writing directly to the screen, could function without significant modification, making substantially more memory available for BASIC, View, Viewsheet, language ROMs and many other applications. By providing extra storage this modification also allowed some games and applications intended for the BBC Micro to function on the Electron despite the lack of a native Mode 7. Applications could not directly address video memory in shadow mode without modification, so it was incompatible with most games, although there is no inherent reason why a game could not be written to function in shadow mode. A switch mounted through the case switched between normal, turbo and shadow modes. Towards the end of the Electron's commercial lifetime, the Turbo-Driver and Master RAM Boards were offered already fitted to new Electrons in an attempt to increase sales. For a time, Jafa Systems manufactured their own equivalent of the Master RAM Board in order to support their own product range. Mode 7 display expansions Of the capabilities present in the BBC Micro but absent from the Electron, the Teletext-style Mode 7 was particularly conspicuous because of the very low memory usage of that mode (1000 bytes) and the high number of BBC programs that used it to maximise available memory for program code and data while also providing a colourful 40-column textual display with simple low-resolution graphical decorations. Such display capabilities, desirable in their own right on low-memory computers, were also desirable for delivering content through low-bandwidth communications channels such as that from Teletext and Viewdata services. However, access to such services can be considered to be a separate capability, and the BBC Micro needed to be upgraded to complement its display capability with the Teletext or Prestel adapters to receive such over-the-air or online content. Jafa Systems provided a number of solutions to remedy the absence of a Teletext display capability. Morley Electronics instead chose to offer an expansion combining the display and reception capabilities. Sir Computers In late 1984, Sir Computers announced a Mode 7 adapter unit that plugged into the Electron's expansion connector. Unfortunately, Sir Computers ceased trading before the product was brought to market. Jafa Systems Released in 1987 at a price of £89, the Mode 7 Mark 1 Display Unit was a separate unit "about the size, shape and colour of the Plus One or a Slogger ROMbox" that connected to the Electron's expansion connector and featured a Motorola 6845 display controller and Mullard SAA5050 character generator to replicate the main elements of the BBC Micro's Teletext display solution. This only used 1 KB of memory for the display, with the expansion listening to display memory write accesses and buffering the data in its own memory. A ROM was included to extend the operating system to allow activation of Mode 7 as a genuine screen mode and to provide extra commands and to support keyboard shortcuts used on the BBC Micro to emit Teletext control sequences. To support the output of both the Mode 7 display and the existing video output, a lead connected the Electron's RGB output to the expansion, with the expansion providing only RF (television) output. Conscious of the relatively high price of the Mark 1 unit, John Wike of Jafa devised and, at the end of 1988, introduced a software-based Mode 7 Simulator, priced at £25, supplied on a ROM cartridge that rendered the Mode 7 display in a low-resolution, 8-colour graphics mode. Although cheap and effective in enabling use of some software that only used official operating system routines for text output, this solution proved very slow because the Electron had to be placed into the high-bandwidth Mode 2 display to be able to show eight colours at once. In doing so, the CPU spent a lot of time drawing representations of Mode 7 characters and graphics that in a hardware solution would be achieved without any demand on the CPU. It also used up 20 KB of RAM for the graphics display rather than the 1000 bytes of a hardware Mode 7. A conceptually similar predecessor to the software-based simulator was published by Electron User in early 1987, offering a monochrome Mode 4 simulation of the Teletext display, using the lower 25 character lines of the screen to show the Teletext output, reserving several lines at the top of the screen for a representation of Mode 7 used to prepare the eventual visual output. However, the program did not support direct access to Mode 7 memory locations. The author noted that a Mode 2 version would have been possible but would have required a redesigned character set and "too much memory". A further refinement of the hardware solution was introduced in 1989 with the Mode 7 Mark 2 Display Unit, which retained the SAA5050 character generator but omitted the 6845 display controller, and was fitted internally in the Electron itself instead of being housed in an external unit, although some kind of ROM expansion unit was needed to hold the driver/utilities ROM. It used software to ensure that the SAA5050 was fed with the correct character data. A software ROM would put the machine into a two-colour, 40-column graphics mode (thus providing one byte per character), and as the ULA read display data from memory in the usual fashion, the SAA5050 would listen to the data it was reading and produce a Mode 7 interpretation of the same information, this being achieved by fitting a board on top of the ULA connecting to its pins. When necessary the hardware would switch between the conventional Electron graphics output and the Mode 7 output being produced by the add-on, feeding it to the Electron's built-in video output sockets via the red, green and blue lines on the motherboard. The disadvantage to this system is that while the SAA5050 would expect to be repeatedly fed the same 40 bytes of data for every display scanline of each character row, the ULA would read a different set of 40 bytes for every display scanline in order to produce a full graphics display. A software ROM worked around this by duplicating the data intended for a Mode 7 display in memory. Although this produced a Mode 7 that had less of an impact upon CPU performance than a software solution, gave the same visual quality as the BBC Micro, and supported direct access to Mode 7 screen addresses as well as accesses via operating system routines, it still used 10 KB of memory for the display and reduced the amount of readily-usable application memory (as indicated by HIMEM) by another 6 KB. However, with users increasingly able to rely on expansions such as the Slogger Master RAM board to provide more memory, and with this combination of expansions acknowledged throughout the user manual, the emphasis of the Mode 7 Simulator and Mark 2 Display Unit was arguably to deliver the actual display capabilities for those applications that needed them, instead of using Mode 7 as a way of economising with regard to memory usage, and to do so at a reasonable price. In this latter regard, the Mark 2 model was available as a kit costing £25 or as an assembled product (requiring some soldering) costing £49, with a fitting service available for £10. The Jafa interfaces did not provide a Teletext or Viewdata reception capability, but the Mark 2 was explicitly stated to work in conjunction with the Morley Electronics Teletext Adapter. Meanwhile, the manual for the Mark 2 noted that the product would provide the functionality of a Viewdata terminal if combined with Jafa's RS423 cartridge. Morley Electronics Morley Electronics produced a Teletext Adaptor expansion for the BBC Micro and the Electron. Since the BBC Micro has the Mode 7 display capability, the model aimed at the BBC Micro merely provided the content reception capability needed to receive and decode Teletext signals, connecting to the user port and power supply. However, the Electron models provided both display and reception capabilities, doing so by routing either the RGB or UHF signals (depending on the model) through the unit in order to introduce the Mode 7 output produced by the unit, also connecting via a cartridge. The Teletext display capabilities in the Electron models exceeded those of the BBC Micro, with one reviewer noting that the enhanced capabilities permitted "black text on a coloured background, something I've always wanted to do on my Beeb". The UHF model of the Electron adapter also supported overlaying of Teletext onto video and framing of video. Second Processor expansions Acorn did demonstrate a prototype "Tube" interface for the Electron alongside the Plus 3 interface at the Compec exhibition in November 1984, although this was never brought to market directly by Acorn. Advanced Plus 5 Despite Acorn's withdrawal from the Electron peripheral market, Advanced Computer Products developed the Advanced Plus 5 (AP5) expansion, featuring Tube, 1 MHz bus and user port interfaces, which plugged into a Plus 1 cartridge socket. This provided a sufficient level of compatibility that both the 6502 and Z80 second processor products from Acorn were shown to work, providing a Tube implementation that was "as faithful as you can get", with it also being noted that the Electron being available for as little as £50 at that point in its commercial lifespan was a "very cheap way of getting a CP/M machine". Some differences in the memory map of the Electron meant that BBC Micro software would need modifications to work on the Electron with AP5. The price of the unit in late 1986 was £66.70. The additional facilities of the AP5 alongside the Tube interface permitted various expansions for the BBC Micro to be made available for the Electron. These included the Hybrid Music 5000 and the AMX Mouse. PMS Electron Second Processor In 1986, Permanent Memory Systems announced a second processor product for the Electron, the PMS-E2P, as a self-contained cartridge for use with the Plus 1 containing a second 2 MHz 6502A processor plus 64 KB of RAM, priced at £89. This was based on a product originally developed by John Wike of Jafa Systems. Available as a kit or in assembled form, it could even be adapted to connect directly to the Electron's expansion connector, thus avoiding the need to even have a Plus 1 expansion, although this would require the user to find other solutions for attaching peripherals. The implementation of the interface between the Electron and second processor was said to adhere closely to Acorn's recommendations, noting that any hardware or software compatibility issues were likely to be the fault of other vendors not similarly adhering to Acorn's guidelines. Sound system expansions Despite the Electron having only limited sound generation capabilities, few expansions were offered to overcome the machine's limitations. Millsgrade Voxbox Advertised in late 1985, the Voxbox by Millsgrade Limited was an expansion connecting to the Electron's expansion connector that provided allophone-based speech synthesis, with driver software provided on cassette. The supplied software supported the definition of spoken words built up from the allophones these allophones or sounds being stored in the expansion's own ROM and for catalogues of words to be created and saved. A program was supplied that extended BASIC to allow the use of the synthesiser in user programs. The expansion used the General Instrument SP0256A-AL2 speech synthesis chip. Sound Expansion cartridge Originally announced in 1987 by Project Expansions to be priced at around £40, the Sound Expansion cartridge could be fitted in a Plus 1 (or compatible) slot and provide sound output equivalent to that of the BBC Micro, with Superior Software's Speech bundled as a "limited offer". A product of the same name and with similar functionality was subsequently sold by Complex Software for around £55, employing its own adjustable speaker in the cartridge unit. Hybrid Music 5000 Hybrid Technology's Music 5000 was adapted and released by PRES for use with the 1 MHz bus of the Advanced Plus 5 expansion, with the Music 5000 itself priced at £113.85. The only functional differences between the Electron adaptation and the original BBC Micro unit involved the use of Mode 6 for the display and the reduced performance of the Electron imposing some limitations on processing in programs written for the system. Merlin M2105 An unusual variant of the Electron was sold by British Telecom Business Systems as the BT Merlin M2105 Communications Terminal, being previewed by British Telecom at the Communications '84 show. This consisted of a rebadged Electron plus a large expansion unit containing 32 KB of battery-backed RAM (making up 64 KB of RAM in total), up to 64 KB of ROM resident in four sockets (making up to 96 KB of ROM in total), a Centronics printer port, an RS423 serial port, a modem, and the speech generator previously offered for the BBC Micro. The ROM firmware provided dial-up communications facilities, text editing and text messaging functions. Initially trialled in a six-month pilot at 50 florists, with the intention of rolling out to all 2,500 members of the UK network, these were used by the Interflora florists network in the UK for over a decade. Used mostly for sending messages, despite providing support for other applications, limited availability of the product led Interflora to look for alternatives after five years, although users appeared to be happy with the product as it was. This generic product combination of the Electron and accompanying expansion was apparently known as the Chain during development, itself having a different board layout, with British Telecom having intended the M2105 to be a product supporting access to an online service known as Healthnet. This service aimed to improve and speed up communications within hospitals so that patients could be treated and discharged more quickly, and to facilitate transfers of information to doctors and health workers outside hospitals, with communications taking place over conventional telephone lines. The service was to be introduced in the Hammersmith and Fulham district health authority, with installation starting at Charing Cross Hospital. The Electron was said to be particularly suitable for deployment in this application in that it had a "large expansion bus", ostensibly making the machine amenable to the necessary adaptations required for the role, together with its "price, and the fact it has a real keyboard". As a Healthnet terminal, the M2105 was intended to support the exchange of forms, letters and memos. The adoption of an Acorn product in this role was perhaps also unusual in that much of BT's Merlin range of this era had been supplied by ICL, notably the M2226 small business computer and M3300 "communicating word processor". Nevertheless, the M2105 offered interoperability with other BT products such as the QWERTYphone which was able to receive messages from the M2105 and the Merlin Tonto. The hardware specifications of the M2105, observed from manufactured units, include the 6502 CPU (SY6502 or R6502), ULA and 32 KB of dynamic RAM fitted in the Electron main unit, plus 32 KB of static RAM, two 6522 VIA devices for interfacing, AM2910PC modem, SCN2681A UART, and TMS5220 plus TMS6100 for speech synthesis. The speech synthesis was used for the "voice response" function which answered incoming voice calls by playing a synthesised message to the caller. The components chosen and the capabilities provided (excluding speech synthesis) are broadly similar to those featured by the Acorn Communicator which was another product of Acorn's custom systems division. The product documentation indicates a specification with 48 KB of RAM plus 16 KB of "non volatile CMOS RAM" and 96 KB of ROM, although this particular composition of RAM is apparently contradicted by the RAM devices present on surviving M2105 machines. However, the earlier Chain variant of the board does appear to provide only 16 KB of static RAM using two HM6264LP-15 chips, also providing an extra 16 KB of dynamic RAM using eight MK4516-15 chips, suggesting that the product evolved during development. Technical information Much of the core functionality of the BBC Micro the video and memory controller, cassette input/output, timers and sound generation was replicated using a single customised ULA chip designed by Acorn in conjunction with Ferranti, albeit with only one sound channel instead of three (and one noise channel), and without the character-based Teletext Mode 7. The edge connector on the rear of the Electron exposes all address and data bus lines from the CPU, including the upper eight bits of the address bus, in contrast to the limited selection available via the BBC Micro's expansion ports, with the One Megahertz Bus as the principal mechanism for general purpose expansion on the BBC Micro only providing the lower eight bits of the address bus. In addition, various control signals provided by the CPU and ULA are exposed via the Electron's expansion connector. For Issue 1–4 motherboards, the ULA had an issue similar to those experienced by other socketed CPUs. Over time, the thermal heating and cooling could cause the ULA to rise slightly out of its socket just enough to cause the machine to start exhibiting 'hanging' or other startup-failure issues, such as a continuous 'startup beep'. This was despite a metal cover, and locking-bar mechanism designed to prevent this from occurring. Pushing down on the metal cover to reseat the ULA was normally sufficient to rectify these issues. Issue 5 and 6 boards utilized a different ULA type, this being known as the Aberdeen ULA (as opposed to the earlier Ferranti ULA) which was mounted on a board that was directly soldered to the main board, with the chip being covered by epoxy resin "insulating material". This arrangement dispensed with the 68-pin socket, and this new type of ULA was expected to be "less prone to failure". The keyboard includes a form of quick keyword input, similar to that used on the Sinclair ZX Spectrum, through use of the key in combination with other keys labelled with BASIC keywords. However, unlike the Spectrum, this method of rapid keyword entry is optional, and keywords can be entered manually if preferred. The ULA mediates access to 32 KB of addressable RAM using 4 64-kilobit RAM chips (4164), sharing the RAM between the CPU and the video signal generation (or screen refresh) performed by the ULA itself. Two accesses have to be made to the RAM to get each byte (albeit with a single RAS), delivering a maximum transfer rate to or from RAM of one byte per 2 MHz cycle. In generating the video signal, the ULA is able to take advantage of this 2 MHz bandwidth when producing the picture for the high-bandwidth screen modes. Due to signalling constraints, the CPU can only access RAM at 1 MHz, even when it is not competing with the video system. When the ULA is consuming all of the RAM bandwidth during the active portion of a display line, the CPU is unable to access the RAM. (The Electron uses the Synertek variant of the 6502 processor as that allowed the clock to be stopped for this 40 microsecond period.) In other modes the CPU and video accesses are interleaved with each accessor acquiring bytes at 1 MHz. In contrast, the BBC Micro employs one or two sets of eight 16-kilobit devices, with the RAM running at twice the speed (4 MHz) of the CPU (2 MHz), allowing the video system (screen refresh) and CPU memory accesses to be interleaved, with each accessor able to transfer bytes at 2 MHz. The RAM access limitations imposed by the Electron's ULA therefore reduce the effective CPU speed by as much as a factor of four relative to the BBC Micro in the more demanding display modes, and as much as a factor of two otherwise. Byte transfers from ROM occur at 2 MHz, however. Hardware The hardware specification according to official documentation, combined with more technical documentation and analysis is as follows: CPU: Synertek SY6502A Clock rate: variable. CPU runs at 2 MHz when accessing ROM and 1 MHz when accessing RAM. The CPU is also periodically halted. Glue logic: Ferranti Semiconductor Custom ULA RAM: 32 KB ROM: 32 KB Graphics modes: 160×256 pixels (20×32 characters) in 4 or 16 colours, 320×256 (40×32 characters) in 2 or 4 colours, 640×256 (80x32 characters) in 2 colours Text modes: 40x25 characters in 2 colours, 80x25 characters in 2 colours Colours: 8 colours (TTL combinations of RGB primaries) + 8 flashing versions of the same colours Sound: 1 channel of sound, 7 octaves; built-in speaker. Software emulation of noise channel supported Keyboard: 56 key "full travel QWERTY keyboard" Dimensions: 16×34×6.5 cm I/O ports: Expansion port, tape recorder connector (1200 baud CUTS variation on the Kansas City standard for data encoding, via a 7-pin circular DIN connector), aerial TV connector (RF modulator), composite video and RGB monitor output Power supply: External PSU, 19V AC Quirks Like the BBC Micro, the Electron was constrained by limited memory resources. Of the 32 KB RAM, 3½ KB was allocated to the OS at startup and at least 10 KB was taken up by the display buffer in contiguous display modes. Although programs running on the BBC Micro could use the machine's 6522 chip to trigger interrupts at certain points in the update of each display frame, using these events to change the palette and potentially switching all colours to black, thus blanking regions of the screen and hiding non-graphical data that had been stored in screen memory, the Electron lacked such hardware capabilities as standard. However, it was possible to take advantage of the characteristics of interrupts that were provided, permitting palette changes after the top 100 lines of each display frame, thus facilitating the blanking of either the top 100 or bottom 156 lines of the display. Many games took advantage of this, gaining storage by leaving non-graphical data in the disabled area. Other games would simply load non-graphical data into the
ship the Electron before Christmas, and sell 100,000 by February 1984. The price at launch - £199 - remained unchanged from that stated in an announcement earlier in the year, with the machine's nickname within Acorn - the "Elk" - also being reported publicly for perhaps the first time. Reviews were generally favourable, starting with positive impressions based on the physical design of the computer, with one reviewer noting, "The Electron is beautifully designed and built — quite a shock compared to the BBC. Its designer case will look great on the coffee table." Praise was also forthcoming for the Electron's keyboard which was regarded as being better than most of its low-cost peers, with only the VIC-20 being comparable. In one review, the keyboard was even regarded as better than the one in the BBC Micro. The provision of rapid BASIC keyword entry though the combination of the key with various letter keys was also welcomed as a helpful aid to prevent typing errors by "most users", while "touch typists" were still able to type out the keywords in full. Reviewers also noted the machine's excellent graphics compared to the Commodore 64 and the Spectrum. The provision of screen modes supporting 80 columns of readable text and graphics resolutions of was described as "unrivalled by every machine up to the BBC Model B itself", although the absence of a teletext mode was also noted, typically for the low memory usage characteristics of that mode, but one reviewer thought the absence of a "software simulation of a teletext screen" was a "lazy omission" even if it would have to be "awfully slow and take up piles of memory". While its speed was acceptable compared to its immediate competition, the Electron was, however, rather slower than the BBC Micro with one review noting that games designed for the BBC Micro ran "at less than half the speed, with very significant effects on their appeal". The reduced performance can be attributed to the use of a 4-bit wide memory system instead of the 8-bit wide memory system of the BBC Micro to reduce cost. Due to needing two accesses to the memory instead of one to fetch each byte, along with contention with the video hardware also needing access, reading or writing RAM was much slower than on the BBC Micro. Reviewers were also disappointed by the single-channel sound, noting that "BBC-style music" and its "imitations of various musical instruments" would not be possible, the latter due to the inability of the sound system to vary the amplitude of sounds. Despite some uncertainty about Acorn's target demographic for the Electron, some noted the potential for the machine in education given its robustness, but also given its price, noting that the high price of BBC Model B machines seemed "rarely justified by their actual practical applications in schools". The introduction of the Electron was seen as potentially leading to competition between Acorn's different models within the schools market rather than creating a broader audience for them, although the potential for more computers in schools, giving more "hands-on" experience for students, was welcomed. Nevertheless, reviewers anticipated that the Electron would sell well at the lower end of the market, with projected sales of 100,000 units by Christmas 1983, helped by the Electron's software compatibility with the BBC Micro and the already established reputation of its predecessor. With parents potentially being convinced of the Electron's educational value, some reviewers foresaw a conflict between parents and "discerning children", the latter merely wanting to play games and preferring models with sound and graphics capabilities more appropriate for gaming. Although Acorn had based its expansion into the United States on the BBC Micro, the company did have plans to introduce the Electron at a later time, and a model for the US market was described in an official book, The Acorn Guide to the Electron, but this model was never produced. Production difficulties at Astec in Malaysia delayed the machine's introduction, forcing Acorn to look to other manufacturers such as AB Electronics in Wales and Wongs in Hong Kong (an original equipment manufacturer making over 30 million circuit boards a year, along with power supplies and plastic housings, for companies such as IBM, Xerox, Atari, and Apple, including units made for Acorn for the BBC Micro). By October 1983, Acorn had received orders for more than 150,000 units, but had production targets of only 25,000 a month before Christmas, meaning that the existing backlog would take more than six months to fulfil. Demand for the Electron was high but only two of WH Smith's London branches had inventory. Ultimately, manufacturing in Malaysia ceased with the anticipated but unspecified number of units having been produced, this having been originally reported as 100,000 units. Acorn's marketing manager, Tom Hohenberg, admitted in early 1984 that "a lot of the trouble stemmed from the ULA" in getting production to the desired levels, but that such difficulties had been resolved, although Acorn faced an order backlog of almost a quarter of a million units. As the company increased production during 1984, however, the British home computer market greatly weakened. Hohenberg later noted that after the 1983 Christmas season, Electron deliveries had increased to meet a demand that was no longer there, with the market having "completely dried up". Acorn's Christmas 1984 sales were greatly below expectations and by March 1985 the company had reduced the Electron's price to £129. With the company's unsuccessful expansion into the United States abandoned, Acorn's financial situation had deteriorated sufficiently to prompt Olivetti to rescue the company by taking a 49.30% ownership stake. Renewed efforts were made to sell the machine, bundling it with Acorn's own expansions and software, such as one package adding the Plus 1 expansion, joysticks and a ROM cartridge game to the base machine for a total price of £219. Acorn committed to supporting the machine "until the end of 1986", continuing to supply it (as the Merlin M2105) to British Telecom as part of the Healthnet communications system, with small-scale manufacturing continuing while existing stocks were being run down. By autumn, retailers appeared eager to discount the computer, with prices in stores as low as £100, reportedly less than the distributor prices of the summer months. As the Christmas season approached, Dixons Retail acquired the remaining Electron inventory to sell, bundled with a cassette recorder and software, at a retail price of £99.95. This deal, from the perspective of a year later, apparently played a significant part in helping to reduce Acorn's unsold inventory from a value of £18 million to around £7.9 million, and in combination with "streamlining corporate activities and reducing overheads", had helped to reduce Acorn's losses from over £20 million to less than £3 million. The deal effectively brought to an end Acorn's interest in the Electron and the lower-cost end of the home computing market, but empowered third-party suppliers whose "inventiveness and initiative" was noted as being in contrast with Acorn's lack of interest in the product and the "false promises" made to its users. However, Acorn subsequently released the Master Compact a model in the Master series of microcomputers with fewer BBC Micro-style ports and a similar expansion connector to that used by the Electron with the home audience specifically in mind. Indeed, prior to its release, the Master Compact had been perceived as the successor to the Electron. Superficial similarities between the Compact and Acorn Communicator, together with technical similarities between the Electron (particularly when expanded in the form of the Merlin M2105) and the Communicator, may also have driven rumours of an updated Electron model. A more substantial emphasis on the "home, music and hobby sectors" came with the appointment of a dedicated marketing manager in 1989 following the launch of the BBC A3000 in the Acorn Archimedes range. Although the Electron presented challenges to developers in terms of the amount of memory available to programs and, particularly for those writing or porting games to the machine, a reduction in hardware features useful for controlling or presenting content on the screen, developers often discovered creative workarounds to deliver commercially successful products, making the business of writing conversions a viable one for some developers. Several features that would later be associated with the BBC Master and Archimedes first appeared as features of Electron expansion units, including ROM cartridge slots and the Advanced Disc Filing System, a hierarchical improvement to the BBC's original Disc Filing System. The availability of the Electron at discounted prices from 1985 onwards led to increased demand for third-party software and expansions for the machine. While it may not have been as popular as the Spectrum, Commodore 64 or Amstrad CPC, it did sell in sufficient numbers to ensure that new software titles from established producers were being produced right up until the early 1990s, with mainstream publications dedicated to the machine having effectively supported it for five years beyond the point at which Acorn's own support had ceased. Hardware expansions Since the Electron provided only a selection of video output ports, a cassette port and the expansion connector, a range of additional expansions were produced to offer ports and connections to various peripherals. The first expansions were largely joystick and printer interfaces or sideways ROM boards. For instance, First Byte Computers developed an interface and software which allowed a "switched" joystick to be used with the majority of software titles. This interface became very popular and was sold by W.H. Smiths, Boots, Comet and hundreds of independent computer dealers, selling as many as 23,000 units over a two-year period, helped by a bundling agreement with Dixons. Acorn's own expansion strategy was led by the Plus 1 which offered a combination of ports and cartridge connectors, followed by the Plus 3 disc drive unit, but by early 1986 the more general range of expansions had broadened to include floppy drive and RS423 interfaces, Teletext adapters, and other fundamental enhancements to the base machine. Multi-function expansions Since the Electron's expansion connector was the basis of practically all external hardware expansions for the machine, unless an expansion propagated this connector to others, as was done by the Acorn Plus 3, the capabilities of any given expansion would limit the capabilities of the expanded machine. Thus, expansions offering a single function, such as joystick ports or a printer port, would need to be disconnected if other capabilities were needed, and then reconnected later. Consequently, multi-function expansions offering a combination of different capabilities offered a significant degree of convenience as well as avoiding wear on the expansion connector. Alongside announcements of Acorn's then-unreleased Plus 1, Solidisk previewed a General Purpose Interface for the Electron in early 1984 offering a Centronics printer port, switched joystick port, user port, sideways ROM sockets, and mini-cartridge sockets supported by the 6522 versatile interface adapter (VIA) chip. The Plus 1 itself was released in mid-1984, introducing the influential cartridge format for expansions ultimately used by several other companies. Acorn Plus 1 The Acorn Plus 1 added two ROM cartridge slots, an analogue interface (supporting four channels) and a Centronics parallel port, priced at £59.90. The analogue interface was normally used for joysticks, although trackball and graphics tablet devices were available, and the parallel interface was typically used to connect a printer. Game ROM cartridges would boot automatically. Languages in paged ROM cartridges would take precedence over BASIC. (The slot at the front of the interface took priority if both were populated.) Access to ROM occurred at 2 MHz until RAM access was required, so theoretically programs released on ROM could run up to twice as fast as those released on tape or disc. Despite this, all of the games released on ROM were packaged as ROM filing system cartridges, from which the micro would load programs into main memory in exactly the same way as if it were loading from tape. This meant that programs did not need to be modified for their new memory location and could be written in BASIC but gave no execution speed benefits. Six ROM cartridge titles were announced for the launch of the Plus 1: three arcade games, one adventure game, one educational title, and the Lisp language implementation, the latter being a genuine language ROM that "takes the place of the BASIC ROM" and is instantly available when switching on. The cartridge slots provided additional control lines (compared to the lines available via the edge connector on the rear of the Electron) to ease implementation of ROM cartridges. Acorn described the hardware extension possibilities in promotional literature, giving an RS423 cartridge as an example of this capability of the Plus 1. Additional peripheral cartridges by companies such as PRES (via their ARA/ARA2/ASR products) allowed sideways ROM capability, that allowed the standard Acorn ROM space to be programmatically mapped out for alternative EPROMs, either physically via ZIF Sockets, or 'virtually' via ROM images loaded into (battery-backed) RAM in the same ROM address space. This enabled the Electron to achieve the same functionality as that provided by the expansion ROM slots under the keyboard and on the bottom-left of the BBC Micro B keyboard. The addition of the Plus 1 added a number of new *FX or OSBYTE calls that allowed the OS to read values from the analogue interface and write to the parallel interface. After Acorn's change of focus away from the Electron, and with a shortage of Plus 1 units available to purchase, Advanced Computer Products secured the rights to manufacture the unit under licence from Acorn, obtaining the injection moulds and tooling, thus restarting production in 1987 after Acorn's own production of the unit had ceased in November 1985. The Plus 1 needed memory page &D for its workspace, and the unit added some processing overhead when enabled, both of these things causing issues with the loading and running of software, particularly cassette-based games. To disable the Plus 1, after pressing BREAK, the following commands could be issued: *FX163,128,1 ?&212=&D6 ?&213=&F1 ?&2AC=0 An official application note described a similar set of commands to "remove the Plus One completely from the address map disabling the Centronics and A/D ports (additionally disabling the RS423 cartridge if fitted)". Slogger Rombox Plus Following on from Slogger's earlier Rombox product an expansion similar in profile to the Plus 1 but offering eight ROM sockets and propagating the expansion connector to other units the Rombox Plus was positioned more directly as a competitor to the Plus 1 in that it offered two cartridge slots and a Centronics print port alongside four ROM sockets. Priced at £49.95, the unit was mostly compatible with cartridges designed for the Plus 1 although one reviewer reported physical issues with some expansion cartridges, suggesting some manufacturing inconsistencies given other users' more positive experiences, but indicated that it was still "worth considering as an alternative to the Plus 1". Software Bargains Plus 1 In mid-1989, Software Bargains announced an expansion providing different levels of Plus 1 functionality, offered as a bare printed circuit board without casing and in three different variants: the basic model offered one cartridge port and was bundled with View and Viewsheet cartridges for £29.95; an extended model offered one cartridge port and a printer port with the two bundled cartridges for £36.95; the full model offered two cartridge ports, printer port and the bundled cartridges for £39.95. Various board upgrade options were also offered between the variants, with the product being described mainly as a vehicle to expose the bundled software packages to as many as 150,000 owners of the estimated 200,000 Electrons in the UK who "have not yet been able to acquire or use View or Viewsheet". Communications and networking To support connectivity, Acorn announced a Plus 2 network interface with availability scheduled for early 1985, together with a RS423 cartridge for the Plus 1. Neither of these products were delivered as announced. Acorn Plus 2 The Acorn Plus 2 interface was due to provide Econet capability. This interface did not make it to market. However, an Econet interface was produced by Barson Computers in Australia and possibly other individuals and businesses. Acorn Plus 4 The Acorn Plus 4 interface was due to provide a modem communications capability. Andyk RS423 cartridge Andyk announced an RS423 cartridge for the Plus 1 providing a serial port, alongside other products, in late 1985. It was priced at £34.99. Pace Tellstar/Nightingale Originally reported in mid-1985 as a collaboration between Acorn and Pace Micro Technology, but launched in early 1986, Pace offered a communications product consisting of a RS423 cartridge, bundled with a Nightingale modem and Tellstar communications software, offered at a discounted price of £145. Jafa Systems RS423 cartridge Jafa Systems announced an RS423 cartridge in late 1989 to "fill a two year gap in the market", offering a serial connector compatible with the BBC Micro together with an on-board socket for 8 KB or 16 KB EPROM devices or for 32 KB RAM, the latter being configured to present two sideways RAM banks to the system. Write protect functionality was supported to prevent certain ROM software from attempting to overwrite itself if stored in RAM. The cartridge board itself was priced at around £30, with a case costing £5 extra, and an optional 32 KB RAM adding another £20. Support for the E00 ADFS offered by PRES for that company's AP3 disc system was indicated as an application for the sideways RAM. Disc interfaces The first disc interface to be announced for the Electron was Pace's Le Box in 1984, offering a single-sided 100 KB floppy drive controlled by the 8271 controller and accessed using the Amcom Disc Filing System, with pricing at £299 plus VAT including the drive or around £199 without. The unit also provided eight sideways ROM sockets and was intended to sit under the Electron itself. The unit was connected via cabling to the expansion edge connector and included its own power supply, and other drives including switchable 40/80 track drives offering up to 400 KB capacity were dealer-supplied options. Although the product was meant to be on sale at the Acorn User Show in August 1984, and had been advertised, it was "discontinued" in early 1985 before getting to market, with a Pace representative indicating that prohibitive pricing of the 8271 chips (each at "over £80 at times") had left the company considering a re-launch of the product should the pricing situation become more favourable. Following on from Acorn's Plus 3 interface, Cumana, Solidisk, Advanced Computer Products and Slogger all offered disc interfaces for the Electron. Unlike disc systems on the BBC Micro and the Acorn Plus 3, many of the systems released for the Electron did not claim RAM workspace (and raise the PAGE variable affecting applications above the default of &E00), making it easier to use cassette-based software transferred to disc and to run larger programs from disc. Acorn Plus 3 Launched in late 1984 for a price of £229, the Acorn Plus 3 was a hardware module that connected independently of the Plus 1 and provided a "self contained disc interface and 3.5 inch single sided disc drive" offering over 300 KB of storage per disc using the newly introduced Advanced Disc Filing System (ADFS). The Plus 3 was also reportedly produced with a double-sided drive fitted. An expansion connector for a second 3.5- or 5.25-inch drive was also provided by the unit, with such drives needing to provide a Shugart-compatible connector and their own power supply. The original Electron edge connector was repeated on the back of the Plus 3, allowing the Plus 1 or other compatible expansion to be connected in conjunction with the Plus 3. The double-density drive of the Plus 3 was driven using a WD1770 drive controller by the ADFS. (The Plus 3 had been rumoured to offer Acorn's DFS and to feature a 8272 double-density disk controller before its launch.) Because the WD1770 is capable of single-density mode and uses the same IBM360-derived floppy disc format as the Intel 8271 found in the BBC Micro, it was also possible to use the Disc Filing System with an alternate ROM, such as the ACP 1770 DFS. The Plus 3 reset PAGE to &1D00, reducing the amount of free RAM available to the user. The ADFS system could be temporarily disabled (and PAGE reset to &E00) via the command. Later products such as the PRES E00 ADFS remedied the memory demands of the ADFS, along with other issues suffered by the software as delivered with the Plus 3. If using the Plus 3 in screen modes 0–3, the pseudo-variable would be thrown off, as the interrupts were disabled during disk access in these modes. The screen would also blank during disc accesses. Disks had to be manually mounted and dismounted using the / commands, or using the -+ key combination. Disks could also be booted from via the standard + key-combination, if the !BOOT file was present on the disk. This behaviour was the same as on the BBC Micro. The Plus 3 included an uprated square black power supply unit with mains cord, manufactured by STC, designed and manufactured in England to and , that was designed to power the Plus 3, in addition to the Electron and the Plus 1 interface as well. This replaced the original cream-coloured "wall wart" style power supply, designed to and manufactured in Hong Kong. Original Part no: 0201,113; input 220/240 V AC/50 Hz; output 19 V AC/0.737 A/14 W: Usage: Electron, Electron+Plus1 Uprated Part no: 0865,010; input 240 V AC/50 Hz 50 W; output 21 V AC/1.75 A/36.75 W: Usage: Electron+Plus3, Electron+Plus3+Plus1 Repair note: If the internal power-supply connector, used to power the existing internal 3.5-inch drive is damaged, and requires replacement, then the original AMP 800-930 4-pin connector, which was already in short supply during the original production run, may be replaced with a Molex 5264 50-37-5043 "Mini-SPOX" connector as an alternative. Advanced Plus 3 Produced by Advanced Computer Products (ACP) and sold by PRES, the Advanced Plus 3 (AP3) was a Plus 1 cartridge interface using the WD1770 controller, supplied with Acorn's ADFS and a single-sided 3½-inch disc drive for £99 plus VAT, offering equivalent functionality to the Acorn Plus 3. Announced in late 1987, the product was made possible by an agreement between ACP and Acorn to license the ADFS software. As with many disc interfaces for the Electron, since the interface provided a connector for the drive, this made it possible to connect a 5¼" floppy disc drive (more common amongst BBC Micro owners) or the more typical 3½-inch drive. PRES later released a version of ADFS with support for PAGE at &E00, this being achieved by using RAM provided by the Advanced Battery Backed RAM (ABR) cartridge. This version also fixed two notable bugs in Acorn's ADFS, eliminating unreliability when accessing the first tracks on a disc which had previously necessitated the writing of a file (ZYSYSHELP) as a workaround, and switching off the text cursor during disc compaction which had previously caused disc corruption (since the disc data would be processed using screen memory during this operation, and
species. The next outermost layer is the Beyond, within which artificial intelligence, faster-than-light travel, and faster-than-light communication are possible. A few human civilizations exist in the Beyond, all descended from a single ethnic Norwegian group which managed to travel from the Slow Zone to the Beyond (presumably at sub-light speeds) and thence spread using FTL travel. The original settlement of this group is known as Nyjora; other human settlements in the Beyond include Straumli Realm and Sjandra Kei. In the Beyond, FTL travel is accomplished by making many small "jumps" across intervening space, and the efficiency of the drive increases the farther a ship travels from the galactic core. This reflects increases in both drive efficiency and the ship's automation's increased capacity as one moves outward, enabling the computation of longer and longer jumps. The Beyond is not a homogeneous zone—many references are made to, e.g., the "High Beyond" or the "Bottom of the Beyond", depending on distance to the galactic core. These terms seem to refer to differences in the Zone itself, not just relative distance from the Core, but there are no obvious Zone boundaries within the Beyond the way there are between the Slow Zone and the Beyond, or between the Beyond and the Transcend. Whereas a ship that crosses from the Beyond to the Slow Zone or vice versa will experience a dramatic change in its capabilities, a ship in the Beyond which moves farther from the Core will experience a gradual increase in efficiency (assuming it has the technology to make use of it) until another major shift at the boundary to the Transcend. The Beyond is populated by a very large number of interstellar and intergalactic civilizations which are linked by a faster-than-light communication network, "the Net", sometimes cynically called the "Net of a Million Lies". The Net does connect with the Transcend, on the off-chance that one of the "Powers" that live there deigns to communicate, but has no connections with the Slow Zone, as FTL communication is impossible into or out of that Zone. In the novel, the Net is depicted as working much like the Usenet network in the early 1990s, with transcripts of messages containing header and footer information as one would find in such forums. The outermost layer, containing the galactic halo, is the Transcend, within which incomprehensible, superintelligent beings dwell. When a "Beyonder" civilization reaches the point of technological singularity, it is said to "Transcend", becoming a "Power". Such Powers always seem to relocate to the Transcend, seemingly necessarily, where they become engaged in affairs which remain entirely mysterious to those that remain in the Beyond. Plot An expedition from Straumli Realm, an ambitious young human civilization in the high Beyond, investigates a five-billion-year-old data archive in the low Transcend that offers the possibility of unimaginable riches. The expedition's facility, High Lab, is gradually compromised by a dormant superintelligence within the archive later known as the Blight. However, shortly before the Blight's final "flowering", two self-aware entities created similarly to the Blight plot to aid the humans before the Blight can escape. Recognizing the danger of what they have awakened, the researchers at High Lab attempt to flee in two ships, one carrying all the adults and the second carrying all the children in "coldsleep boxes". Suspicious, the Blight discovers that the first ship contains a data storage device in its cargo manifest; assuming it contains information that could harm it, the Blight destroys the ship. The second ship escapes. The Blight assumes that it is no threat, but later realizes that it is actually carrying away a "countermeasure" against it. The ship
deeper into Flenserist territory, Johanna is rescued by a Tine pilgrim who witnessed the ambush and delivers her to a neighboring kingdom ruled by a Tine named Woodcarver. The Flenserists tell Jefri that Johanna had been killed by Woodcarver and exploit him in order to develop advanced technology (such as cannon and radio communication), while Johanna and the knowledge stored in her "dataset" device help Woodcarver rapidly develop in turn. A distress signal from the sleeper ship eventually reaches "Relay", a major node in the galactic communications network. A benign transcendent entity named "the Old One" contacts Relay, seeking information about the Blight and the humans who released it, and reconstitutes a human man named Pham Nuwen from an old wreck to act as its agent, using his doubt of his own memory's veracity to bend him to the Old One's will. Ravna Bergsndot, the only human Relay employee, traces the sleeper ship's signal to the Tines' world and persuades her employer to investigate what the human ship took from High Lab, contracting the merchant vessel Out of Band II, owned by two sentient plant Skroderiders, Blueshell and Greenstalk, to transport them. Before the mission is launched, the Blight attacks Relay and concurrently kills Old One. As Old One dies, it downloads what information it can into Pham to defeat the Blight, and Pham, Ravna and the Skroderiders barely escape Relay's destruction in the Out of Band II. The Blight expands, taking over races and "rewriting" their people to become its agents, murdering several other Powers, and seizing other archives in the Beyond, looking for what was taken. It finally realizes where the danger truly lies and sends a hastily assembled fleet in pursuit of the Out of Band II. The humans arrive at the Tines' homeworld and ally with Woodcarver to defeat the Flenserists. Pham initiates Countermeasure, which extends the Slow Zone by thousands of light years, enveloping the Blight at the cost of wrecking thousands of uninvolved civilizations and causing trillions of deaths. The humans are stranded on the Tines world, now in the depths of the "Slow Zone". Activating the countermeasure costs Pham his life, but just before Pham dies, he realizes that, although his body is a reconstruction, his memories are real. Vinge expands on Pham's background story in A Deepness in the Sky. Intelligent species Aprahanti A race of humanoids with colorful butterfly-like wings who attempt to use the chaos wrought by the Blight to reestablish their waning hegemony. Despite their attractive, delicate appearance, the Aprahanti are an extremely fearsome and vicious species. Blight An ancient, malevolent super-intelligent entity which strives to constantly expand and can easily manipulate electronics and even organic beings. Dirokimes An older race which originally inhabited Sjandra Kei before the arrival of humanity. Humans All humans in the novel (except Pham) are descended from Nyjoran stock. Their ancestors were "Tuvo-Norsk" asteroid miners from Old Earth's solar system, which is noted as being on the other side of the galaxy in the Slow Zone. (Nyjora sounds similar to New Norwegian "New Earth".) One of the major human habitations is Sjandra Kei, three systems comprising roughly 28 billion individuals. Their main language is Samnorsk, the Norwegian term for a hypothetical unification of the Bokmål and Nynorsk forms of the language. (Vinge indicates in the book's dedication that several key ideas in it came to him while at a conference in Tromsø, Norway.) Skroders/Riders/Skroderiders A race of plantlike beings with fronds that are used for expression. The riders have no native capacity for short-term memory. Five billion years ago, someone gave the species wheeled mechanical constructs ("skrodes") to move around and to provide short-term memory. It is later revealed that their "benefactor" was the Blight, and it is able to corrupt and remotely operate the Riders via their skrodes. Tines A canid race, each "person" comprising a group mind of 4–8 members, who communicate using very short-range ultrasonic waves from drumlike organs called "tympana". Each "soul" can survive and evolve by adding members to replace those who die, potentially for hundreds of years, as Woodcarver does. Kalir A race of insectoid humanoids which constitutes one of the "majority races" of the Vrinimi organization. Related works Vinge first used the concepts of "Zones of Thought" in a 1988 novella The Blabber, which occurs after Fire. Vinge's novel A Deepness in the Sky (1999) is a prequel to A Fire Upon the Deep set 20,000 years earlier and featuring Pham Nuwen. Vinge's The Children of the Sky, "a near-term sequel to A Fire Upon the Deep, set ten years later, was released in October 2011. Vinge's former wife, Joan D. Vinge, has also written stories in the Zones of Thought universe, based on his notes. These include "The Outcasts of Heaven Belt", "Legacy", and (as of 2008) a planned novel featuring Pham Nuwen. Title Vinge's original title for the novel was "Among the Tines"; its final title was suggested by his editors. Awards and nominations A Fire Upon the Deep shared the 1993 Hugo Award for Best Novel with Doomsday Book. The book was nominated for the 1992
foundation of modern aeronautics Sir George Cayley (1773–1857) is widely acknowledged as the founder of modern aeronautics. He was first called the "father of the aeroplane" in 1846 and Henson called him the "father of aerial navigation." He was the first true scientific aerial investigator to publish his work, which included for the first time the underlying principles and forces of flight. In 1809 he began the publication of a landmark three-part treatise titled "On Aerial Navigation" (1809–1810). In it he wrote the first scientific statement of the problem, "The whole problem is confined within these limits, viz. to make a surface support a given weight by the application of power to the resistance of air." He identified the four vector forces that influence an aircraft: thrust, lift, drag and weight and distinguished stability and control in his designs. He developed the modern conventional form of the fixed-wing aeroplane having a stabilising tail with both horizontal and vertical surfaces, flying gliders both unmanned and manned. He introduced the use of the whirling arm test rig to investigate the aerodynamics of flight, using it to discover the benefits of the curved or cambered aerofoil over the flat wing he had used for his first glider. He also identified and described the importance of dihedral, diagonal bracing and drag reduction, and contributed to the understanding and design of ornithopters and parachutes. Another significant invention was the tension-spoked wheel, which he devised in order to create a light, strong wheel for aircraft undercarriage. The 19th century During the 19th century Cayley's ideas were refined, proved and expanded on, culminating in the works of Otto Lilienthal. Lilienthal was a German engineer and buisnessman who became known as the "flying man". He was the first person to make well-documented, repeated, successful flights with gliders, therefore making the idea of „heavier than air“ a reality. Newspapers and magazines published photographs of Lilienthal gliding, favourably influencing public and scientific opinion about the possibility of flying machines becoming practical. His work lead to him developing the concept of the modern wing. His flight attempts in the year 1891 are seen as the beginning of human flight and the „Lilienthal Normalsegelapparat“ is considered to be the first air plane in series production, making the Maschinenfabrik Otto Lilienthal the first air plane production company in the world. Otto Lilienthal is often referred to as either the "father of avation" or "father of flight". Other important investigators included Horatio Phillips. Branches Aeronautics may be divided into three main branches comprising Aviation, Aeronautical science and Aeronautical engineering. Aviation Aviation is the art or practice of aeronautics. Historically aviation meant only heavier-than-air flight, but nowadays it includes flying in balloons and airships. Aeronautical engineering Aeronautical engineering covers the design and construction of aircraft, including how they are powered, how they are used and how they are controlled for safe operation. A major part of aeronautical engineering is aerodynamics, the science of passing through the air. With the increasing activity in space flight, nowadays aeronautics and astronautics are often combined as aerospace engineering. Aerodynamics The science of aerodynamics deals with the motion of air and the way that it interacts with objects in motion, such as an aircraft. The study of aerodynamics falls broadly into three areas: Incompressible flow occurs where the air simply moves to avoid objects, typically at subsonic speeds below that of sound (Mach 1). Compressible flow
of the Montgolfier Brothers' invitation, the French Academy member Jacques Charles offered a similar demonstration of a hydrogen balloon. Charles and two craftsmen, the Robert brothers, developed a gas tight material of rubberised silk for the envelope. The hydrogen gas was to be generated by chemical reaction during the filling process. The Montgolfier designs had several shortcomings, not least the need for dry weather and a tendency for sparks from the fire to set light to the paper balloon. The manned design had a gallery around the base of the balloon rather than the hanging basket of the first, unmanned design, which brought the paper closer to the fire. On their free flight, De Rozier and d'Arlandes took buckets of water and sponges to douse these fires as they arose. On the other hand, the manned design of Charles was essentially modern. As a result of these exploits, the hot-air balloon became known as the Montgolfière type and the hydrogen balloon the Charlière. Charles and the Robert brothers' next balloon, La Caroline, was a Charlière that followed Jean Baptiste Meusnier's proposals for an elongated dirigible balloon, and was notable for having an outer envelope with the gas contained in a second, inner ballonet. On 19 September 1784, it completed the first flight of over 100 km, between Paris and Beuvry, despite the man-powered propulsive devices proving useless. In an attempt the next year to provide both endurance and controllability, de Rozier developed a balloon having both hot air and hydrogen gas bags, a design which was soon named after him as the Rozière. The principle was to use the hydrogen section for constant lift and to navigate vertically by heating and allowing to cool the hot air section, in order to catch the most favourable wind at whatever altitude it was blowing. The balloon envelope was made of goldbeater's skin. The first flight ended in disaster and the approach has seldom been used since. Cayley and the foundation of modern aeronautics Sir George Cayley (1773–1857) is widely acknowledged as the founder of modern aeronautics. He was first called the "father of the aeroplane" in 1846 and Henson called him the "father of aerial navigation." He was the first true scientific aerial investigator to publish his work, which included for the first time the underlying principles and forces of flight. In 1809 he began the publication of a landmark three-part treatise titled "On Aerial Navigation" (1809–1810). In it he wrote the first scientific statement of the problem, "The whole problem is confined within these limits, viz. to make a surface support a given weight by the application of power to the resistance of air." He identified the four vector forces that influence an aircraft: thrust, lift, drag and weight and distinguished stability and control in his designs. He developed the modern conventional form of the fixed-wing aeroplane having a stabilising tail with both horizontal and vertical surfaces, flying gliders both unmanned and manned. He introduced the use of the whirling arm test rig to investigate the aerodynamics of flight, using it to discover the benefits of the curved or cambered aerofoil over the flat wing he had used for his first glider. He also identified and described the importance of dihedral, diagonal bracing and drag reduction, and contributed to the understanding and design of ornithopters and parachutes. Another significant invention was the tension-spoked wheel, which he devised in order to create a light, strong wheel for aircraft undercarriage. The 19th century During the 19th century Cayley's ideas were refined, proved and expanded on, culminating in the works of Otto Lilienthal. Lilienthal was a German engineer and buisnessman who became known as the "flying man". He was the first person to make well-documented, repeated, successful flights with gliders, therefore making the idea of „heavier than air“ a reality. Newspapers and magazines published photographs of Lilienthal gliding, favourably influencing public and scientific opinion about the possibility of flying machines becoming practical. His work lead to him developing the concept of the modern wing. His flight attempts in the year 1891 are seen as the beginning of human flight and the „Lilienthal Normalsegelapparat“ is considered to be the first air plane in series production, making the Maschinenfabrik Otto Lilienthal the first air plane production company in the world. Otto Lilienthal is often referred to as either the "father of avation" or "father of flight". Other important investigators included Horatio Phillips. Branches Aeronautics may be divided into three main branches comprising Aviation, Aeronautical science and Aeronautical engineering. Aviation Aviation is the art or practice of aeronautics. Historically aviation meant only heavier-than-air flight, but nowadays it includes flying in balloons and airships. Aeronautical engineering Aeronautical engineering covers the design and construction of aircraft, including how they are powered, how they are used and how they are controlled for safe operation. A major part of aeronautical engineering is aerodynamics, the science of passing through the air. With the increasing activity in space flight, nowadays aeronautics and astronautics are often combined as aerospace engineering. Aerodynamics The science of aerodynamics deals with the motion of air and the way that it interacts with objects in motion, such as an aircraft. The study of aerodynamics falls broadly into three areas: Incompressible flow occurs where the air simply moves to avoid objects, typically at subsonic speeds below
gave their first paid public screening on 28 December 1895, at Salon Indien du Grand Café in Paris. This presentation consisted of the following 10 short films, lasting 50 seconds each, (in order of presentation): La Sortie de l'usine Lumière à Lyon (literally, "the exit from the Lumière factory in Lyon", or, under its more common English title, Workers Leaving the Lumiere Factory), 46 seconds Le Jardinier (l'Arroseur Arrosé) ("The Gardener", or "The Sprinkler Sprinkled"), 49 seconds Le Débarquement du congrès de photographie à Lyon ("the disembarkment of the Congress of Photographers in Lyon"), 48 seconds La Voltige ("Horse Trick Riders"), 46 seconds La Pêche aux poissons rouges ("fishing for goldfish"), 42 seconds Les Forgerons ("Blacksmiths"), 49 seconds Repas de bébé ("Baby's Breakfast" (lit. "baby's meal")), 41 seconds Le Saut à la couverture ("Jumping Onto the Blanket"), 41 seconds La Places des Cordeliers à Lyon ("Cordeliers Square in Lyon"—a street scene), 44 seconds La Mer (Baignade en mer) ("the sea [bathing in the sea]"), 38 seconds Each film is 17 meters long, which, when hand cranked through a projector, runs approximately 50 seconds. The Lumières went on tour with the cinématographe in 1896, visiting cities including Brussels, Bombay, London, Montreal, New York City, and Buenos Aires. In 1896, only a few months after the initial screenings in Europe, films by the Lumiere Brothers were shown in Egypt, first in the Tousson stock exchange in Alexandria on 5 November 1896 and then in the Hamam Schneider (Schneider Bath) in Cairo. Their actuality films, or actualités, are often cited as the first, primitive documentaries, but they had been preceded in this by the work of Birt Acres and Robert Paul in Britain. They made the first steps towards slapstick films with L'Arroseur Arrosé, and the early versions of Le Saut à la couverture and La Voltige. Early colour photography The brothers stated that "the cinema is an invention without any future" and declined to sell their camera to other filmmakers such as Georges Méliès. This made many film makers upset. Consequently, their role in the history of film was exceedingly brief. In parallel with their cinema work they experimented with colour photography. They worked on colour photographic processes in the 1890s including the Lippmann process (interference heliochromy) and their own 'bichromated glue' process, a subtractive colour process, examples of which were exhibited at the Exposition Universelle in Paris in 1900. This last process was commercialised by the Lumieres but commercial success had to wait for their next colour process. In 1903 they
the film business by 1905. They went on to develop the first practical photographic colour process, the Lumière Autochrome. Louis died on 6 June 1948 and Auguste on 10 April 1954. They are buried in a family tomb in the New Guillotière Cemetery in Lyon. First film screenings On 22 March 1895 in Paris, at the "Society for the Development of the National Industry", in front of a small audience, one of whom was said to be Léon Gaumont, then director of the company the Comptoir Géneral de la Photographie, the Lumières privately screened a single film, La Sortie de l'usine Lumière à Lyon. The main focus of the conference by Louis Lumière concerned the recent developments in the photographic industry, mainly the research on polychromy (colour photography). It was much to Lumière's surprise that the moving black-and-white images retained more attention than the coloured stills. The American Woodville Latham screened films to a paying public two months later on 20 May 1895 at 156 Broadway, New York City. The Lumières gave their first paid public screening on 28 December 1895, at Salon Indien du Grand Café in Paris. This presentation consisted of the following 10 short films, lasting 50 seconds each, (in order of presentation): La Sortie de l'usine Lumière à Lyon (literally, "the exit from the Lumière factory in Lyon", or, under its more common English title, Workers Leaving the Lumiere Factory), 46 seconds Le Jardinier (l'Arroseur Arrosé) ("The Gardener", or "The Sprinkler Sprinkled"), 49 seconds Le Débarquement du congrès de photographie à Lyon ("the disembarkment of the Congress of Photographers in Lyon"), 48 seconds La Voltige ("Horse Trick Riders"), 46 seconds La Pêche aux poissons rouges ("fishing for goldfish"), 42 seconds Les Forgerons ("Blacksmiths"), 49 seconds Repas de bébé ("Baby's Breakfast" (lit. "baby's meal")), 41 seconds Le Saut à la couverture ("Jumping Onto the Blanket"), 41 seconds La Places des Cordeliers à Lyon ("Cordeliers Square in Lyon"—a street scene), 44 seconds La Mer (Baignade en mer) ("the sea [bathing in the sea]"), 38 seconds Each film is 17 meters long, which, when hand cranked through a projector, runs approximately 50 seconds. The Lumières went on tour with the cinématographe in 1896, visiting cities including Brussels, Bombay, London, Montreal, New York City, and Buenos Aires. In 1896, only a few months after the initial screenings in Europe, films by the Lumiere Brothers were shown in Egypt, first in the Tousson stock exchange in Alexandria on 5 November 1896 and then in the Hamam Schneider (Schneider Bath) in Cairo. Their actuality films, or actualités, are often cited as the first, primitive documentaries, but they had been preceded in this by the work of Birt Acres and Robert Paul in Britain. They made the first steps towards slapstick films with L'Arroseur Arrosé, and the early versions of Le Saut à la couverture and La Voltige. Early colour photography The brothers stated that "the cinema is an invention without any future" and declined to sell their camera to other filmmakers such as Georges Méliès. This made many film makers upset. Consequently, their role in the history of film was exceedingly brief. In
as external arbiters on disputes concerning Jewish customs and law. On the one hand, Luke portrays the followers of Jesus as a sect of the Jews, and therefore entitled to legal protection as a recognised religion; on the other, Luke seems unclear as to the future God intends for Jews and Christians, celebrating the Jewishness of Jesus and his immediate followers while also stressing how the Jews had rejected God's promised Messiah. Composition and setting Title, unity of Luke – Acts, authorship and date The title "Acts of the Apostles" was first used by Irenaeus in the late 2nd century. It is not known whether this was an existing title or one invented by Irenaeus; it does seem clear that it was not given by the author, as the word práxeis (deeds, acts) only appears once in the text (Acts 19:18) and there it does not refer to the apostles but refers to deeds confessed by followers to the apostles. The Gospel of Luke and Acts make up a two-volume work which scholars call Luke–Acts. Together they account for 27.5% of the New Testament, the largest contribution attributed to a single author, providing the framework for both the Church's liturgical calendar and the historical outline into which later generations have fitted their idea of the story of Jesus and the early church. The author is not named in either volume. According to Church tradition dating from the 2nd century, the author was the "Luke" named as a companion of the apostle Paul in three of the letters attributed to Paul himself; this view is still sometimes advanced, but "a critical consensus emphasizes the countless contradictions between the account in Acts and the authentic Pauline letters." (An example can be seen by comparing Acts's accounts of Paul's conversion (Acts 9:1–31, 22:6–21, and 26:9–23) with Paul's own statement that he remained unknown to Christians in Judea after that event (Galatians 1:17–24).) The author "is an admirer of Paul, but does not share Paul's own view of himself as an apostle; his own theology is considerably different from Paul's on key points and does not represent Paul's own views accurately." He was educated, a man of means, probably urban, and someone who respected manual work, although not a worker himself; this is significant, because more high-brow writers of the time looked down on the artisans and small business people who made up the early church of Paul and were presumably Luke's audience. The earliest possible date for Luke-Acts is around 62 AD, the time of Paul's imprisonment in Rome, but most scholars date the work to 80–90 AD on the grounds that it uses Mark as a source, looks back on the destruction of Jerusalem, and does not show any awareness of the letters of Paul (which began circulating late in the first century); if it does show awareness of the Pauline epistles, and also of the work of the Jewish historian Josephus, as some believe, then a date in the early 2nd century is possible. Manuscripts There are two major textual variants of Acts, the Western text-type and the Alexandrian. The oldest complete Alexandrian manuscripts date from the 4th century and the oldest Western ones from the 6th, with fragments and citations going back to the 3rd. Western texts of Acts are 6.2–8.4% longer than Alexandrian texts, the additions tending to enhance the Jewish rejection of the Messiah and the role of the Holy Spirit, in ways that are stylistically different from the rest of Acts. The majority of scholars prefer the Alexandrian (shorter) text-type over the Western as the more authentic, but this same argument would favour the Western over the Alexandrian for the Gospel of Luke, as in that case the Western version is the shorter. Genre, sources and historicity of Acts The title "Acts of the Apostles" (Praxeis Apostolon) would seem to identify it with the genre telling of the deeds and achievements of great men (praxeis), but it was not the title given by the author. The anonymous author aligned Luke–Acts to the "narratives" (διήγησις, diēgēsis) which many others had written, and described his own work as an "orderly account" (ἀκριβῶς καθεξῆς). It lacks exact analogies in Hellenistic or Jewish literature. The author may have taken as his model the works of Dionysius of Halicarnassus, who wrote a well-known history of Rome, or the Jewish historian Josephus, author of a history of the Jews. Like them, he anchors his history by dating the birth of the founder (Romulus for Dionysius, Moses for Josephus, Jesus for Luke) and like them he tells how the founder is born from God, taught authoritatively, and appeared to witnesses after death before ascending to heaven. By and large the sources for Acts can only be guessed at, but the author would have had access to the Septuagint (a Greek translation of the Jewish scriptures), the Gospel of Mark, and either the hypothetical collection of "sayings of Jesus" called the Q source or the Gospel of Matthew. He transposed a few incidents from Mark's gospel to the time of the Apostles—for example, the material about "clean" and "unclean" foods in Mark 7 is used in Acts 10, and Mark's account of the accusation that Jesus has attacked the Temple (Mark 14:58) is used in a story about Stephen (Acts 6:14). There are also points of contacts (meaning suggestive parallels but something less than clear evidence) with 1 Peter, the Letter to the Hebrews, and 1 Clement. Other sources can only be inferred from internal evidence—the traditional explanation of the three "we" passages, for example, is that they represent eyewitness accounts. The search for such inferred sources was popular in the 19th century, but by the mid-20th it had largely been abandoned. Acts was read as a reliable history of the early church well into the post-Reformation era, but by the 17th century biblical scholars began to notice that it was incomplete and tendentious—its picture of a harmonious church is quite at odds with that given by Paul's letters, and it omits important events such as the deaths of both Peter and Paul. The mid-19th-century scholar Ferdinand Baur suggested that the author had re-written history to present a united Peter and Paul and advance a single orthodoxy against the Marcionites (Marcion was a 2nd-century heretic who wished to cut Christianity off entirely from the Jews); Baur continues to have enormous influence, but today there is less interest in determining the historical accuracy of Acts (although this has never died out) than in understanding the author's theological program. Audience and authorial intent Luke was written to be read aloud to a group of Jesus-followers gathered in a house to share the Lord's supper. The author assumes an educated Greek-speaking audience, but directs his attention to specifically Christian concerns rather than to the Greco-Roman world at large. He begins his gospel with a preface addressed to Theophilus (Luke 1:3; cf. Acts 1:1), informing him of his intention to provide an "ordered account" of events which will
Jesus or his followers unless provoked by the Jews, in the trial scenes the Christian missionaries are always cleared of charges of violating Roman laws, and Acts ends with Paul in Rome proclaiming the Christian message under Roman protection; at the same time, Luke makes clear that the Romans, like all earthly rulers, receive their authority from Satan, while Christ is ruler of the kingdom of God. Structure and content Structure Acts has two key structural principles. The first is the geographic movement from Jerusalem, centre of God's Covenantal people, the Jews, to Rome, centre of the Gentile world. This structure reaches back to the author's preceding work, the Gospel of Luke, and is signaled by parallel scenes such as Paul's utterance in Acts 19:21, which echoes Jesus's words in Luke 9:51: Paul has Rome as his destination, as Jesus had Jerusalem. The second key element is the roles of Peter and Paul, the first representing the Jewish Christian church, the second the mission to the Gentiles. Transition: reprise of the preface addressed to Theophilus and the closing events of the gospel (Acts 1–1:26) Petrine Christianity: the Jewish church from Jerusalem to Antioch (Acts 2:1–12:25) 2:1–8:1 – beginnings in Jerusalem 8:2–40 – the church expands to Samaria and beyond 9:1–31 – conversion of Paul 9:32–12:25 – the conversion of Cornelius, and the formation of the Antioch church Pauline Christianity: the Gentile mission from Antioch to Rome (Acts 13:1–28:31) 13:1–14:28 – the Gentile mission is promoted from Antioch 15:1–35 – the Gentile mission is confirmed in Jerusalem 15:36–28:31 – the Gentile mission, climaxing in Paul's passion story in Rome (21:17–28:31) Outline Dedication to Theophilus (1:1–2) Resurrection appearances (1:3) Great Commission (1:4–8) Ascension (1:9) Second Coming Prophecy (1:10–11) Matthias replaced Judas (1:12–26) the Upper Room (1:13) The Holy Spirit came at Shavuot (Pentecost) (2:1-47), see also Paraclete Peter healed a crippled beggar (3:1–10) Peter's speech at the Temple (3:11–26) Peter and John before the Sanhedrin (4:1–22) Resurrection of the dead (4:2) Believers' Prayer (4:23–31) Everything is shared (4:32–37) Ananias and Sapphira (5:1–11) Signs and Wonders (5:12–16) Apostles before the Sanhedrin (5:17–42) Seven Deacons appointed (6:1–7) Stephen before the Sanhedrin (6:8–7:60) The "Cave of the Patriarchs" was located in Shechem (7:16) "Moses was educated in all the wisdom of the Egyptians" (7:22) First mentioning of Saul (Paul the Apostle) in the Bible (7:58) Paul the Apostle confesses his part in the martyrdom of Stephen (7:58–60) Saul persecuted the Church of Jerusalem (8:1–3) Philip the Evangelist (8:4–40) Simon Magus (8:9–24) Ethiopian eunuch (8:26–39) Conversion of Paul the Apostle (9:1–31, 22:1–22, 26:9–24) Paul the Apostle confesses his active part in the martyrdom of Stephen (22:20) Peter healed Aeneas and raised Tabitha from the dead (9:32–43) Conversion of Cornelius (10:1–8, 24–48) Peter's vision of a sheet with animals (10:9–23, 11:1–18) Church of Antioch founded (11:19–30) term "Christian" first used (11:26) James the Great executed (12:1–2) Peter's rescue from prison (12:3–19) Death of Herod Agrippa I [in 44] (12:20–25) "the voice of a god" (12:22) Mission of Barnabas and Saul (13–14) "Saul, who was also known as Paul" (13:9) called "gods ... in human form" (14:11) Council of Jerusalem (15:1–35) Paul separated from Barnabas (15:36–41) 2nd and 3rd missions (16–20) Areopagus sermon (17:16–34) "God...has set a day" (17:30–31) Trial before Gallio c. 51–52 (18:12–17) Trip to Jerusalem (21) Before the people and the Sanhedrin (22–23) Before Felix–Festus–Herod Agrippa II (24–26) Trip to Rome (27–28) called a god on Malta (28:6) Content The Gospel of Luke began with a prologue addressed to Theophilus; Acts likewise opens with an address to Theophilus and refers to "my earlier book", almost certainly the gospel. The apostles and other followers of Jesus meet and elect Matthias to replace Judas as a member of The Twelve. On Pentecost, the Holy Spirit descends and confers God's power on them, and Peter and John preach to many in Jerusalem and perform healings, casting out of evil spirits, and raising of the dead. The first believers share all property in common, eat in each other's homes, and worship together. At first many Jews follow Christ and are baptized, but the followers of Jesus begin to be increasingly persecuted by other Jews. Stephen is accused of blasphemy and stoned. Stephen's death marks a major turning point: the Jews have rejected the message, and henceforth it will be taken to the Gentiles. The death of Stephen initiates persecution, and many followers of Jesus leave Jerusalem. The message is taken to the Samaritans, a people rejected by Jews, and to the Gentiles. Saul of Tarsus, one of the Jews who persecuted the followers of Jesus, is converted by a vision to become a follower of Christ (an event which Luke regards as so important that he relates it three times). Peter, directed by a series of visions, preaches to Cornelius the Centurion, a Gentile God-fearer, who becomes a follower of Christ. The Holy Spirit descends on Cornelius and his guests, thus confirming that the message of eternal life in Christ is for all mankind. The Gentile church is established in Antioch (north-western Syria, the third-largest city of the empire), and here Christ's followers are first called Christians. The mission to the Gentiles is promoted from Antioch and confirmed at a meeting in Jerusalem between Paul and the leadership of the Jerusalem church. Paul spends the next few years traveling through western Asia Minor and the Aegean, preaching, converting, and founding new churches. On a visit to Jerusalem he is set on by a Jewish mob. Saved by the Roman commander, he is accused by the Jews of being a revolutionary, the "ringleader of the sect of the Nazarenes", and imprisoned. Later, Paul asserts his right as a Roman citizen, to be tried in Rome and is sent by sea to Rome, where he spends another two years under house arrest, proclaiming the Kingdom of God and teaching freely about "the Lord Jesus Christ". Acts ends abruptly without recording the outcome of Paul's legal troubles. Theology Prior to the 1950s, Luke–Acts was seen as a historical work, written to defend Christianity before the Romans or Paul against his detractors; since then the tendency has been to see the work as primarily theological. Luke's theology is expressed primarily through his overarching plot, the way scenes, themes and characters combine to construct his specific worldview. His "salvation history" stretches from the Creation to the present time of his readers, in three ages: first, the time of "the Law and the Prophets" (Luke 16:16), the period beginning with Genesis and ending with the appearance of John the Baptist (Luke 1:5–3:1); second, the epoch of Jesus, in which the Kingdom of God was preached (Luke 3:2–24:51); and finally the period of the Church, which began when the risen Christ was taken into Heaven, and would end with his second coming. Luke–Acts is an attempt to answer a theological problem, namely how the Messiah, promised to the Jews, came to have an overwhelmingly non-Jewish church; the answer it provides, and its central theme, is that the message of Christ was sent to the Gentiles because the Jews rejected it. This theme is introduced in Chapter 4 of the Gospel of Luke, when Jesus, rejected in Nazareth, recalls that the prophets were rejected by Israel and accepted by Gentiles; at the end of the gospel he commands his disciples to preach his message to all nations, "beginning from Jerusalem." He repeats the command in Acts, telling them to preach "in Jerusalem, in all Judea and Samaria, and to the end of the Earth." They then proceed to do so, in the order outlined: first Jerusalem, then Judea and Samaria, then the entire (Roman) world. For Luke, the Holy Spirit is the driving force behind the spread of the Christian message, and he places more emphasis on it than do any of the other evangelists. The Spirit is "poured out" at Pentecost on the first Samaritan and Gentile believers and on disciples who had been baptised only by John the Baptist, each time as a sign of God's approval. The Holy Spirit represents God's power (at his ascension, Jesus tells his followers, "You shall receive power when the Holy Spirit has come upon you"): through it the disciples are given speech to convert thousands in Jerusalem, forming the first church (the term is used for the first time in Acts 5). One issue debated by scholars is Luke's political vision regarding the relationship between the early church and the Roman Empire. On the one hand, Luke generally does not portray this interaction as one of direct conflict. Rather, there
provide their husbands with garments and food. Though marriages were typically monogamous, husbands were allowed to buy a female slave in order to produce an heir in case his wife was infertile. His wife was allowed to choose the slave and the slave never gained the status of a second wife. Husbands who were away on long trading journeys were allowed to take a second wife in one of the trading colonies, though with strict rules: the second wife was not allowed to accompany him back to Assur and both wives had to be provided with a home to live in, food and wood. Since several letters written by women are known from the Old Assyrian period, it is evident that women were free to learn how to read and write. The status of women decreased in the Middle Assyrian period, as can be gathered from laws concerning them among the Middle Assyrian Laws. Among these laws were punishments for various crimes, often sexual or marital ones. The Middle Assyrian Laws, though they did not deprive women of all their rights and they were not significantly different from other ancient Near Eastern laws of their time, effectively made women second-class citizens. It is however not clear how strongly these laws were enforced. The laws gave men the right to punish their wives as they wished. Among the harshest punishments written into law, for a crime not even committed by the woman herself, was that a raped woman would be forcibly married to her rapist. The laws also specified that most women while out in the street were obliged to wear veils. Some women, such as slave women and ḫarımtū women, were however prohibited from wearing veils and others, such as certain priestesses, were only allowed to wear veils if they were married. Not all laws were suppressive against women; women whose husbands died or were taken prisoner in war, and who did not have any sons or relatives to support them, were guaranteed support from the government. The ḫarımtū women have historically been believed to have been prostitutes but are today interpreted as women with an independent social existence, i.e. not tied to a husband, father, or institution. Though most ḫarımtū appear to have been poor (there were however noteworthy exceptions) and the term appears with negative connotations in several texts, their mere existence makes it clear that it was possible for women to live independent lives, despite their lesser social standing. Royal and upper-class women experienced increased influence during the Neo-Assyrian period. Women attached to the Neo-Assyrian royal court sent and received letters, were independently wealthy and could buy and own lands of their own. The queens of the Neo-Assyrian Empire are better historically attested than queens of preceding periods. Under the Sargonid dynasty, they were granted their own military units, sometimes known to have partaken alongside other units in military campaigns. Among the most influential women of the Neo-Assyrian period were Shammuramat, queen of Shamshi-Adad V (824–811 BC), who in the reign of her son Adad-nirari III (811–783 BC) might have been regent and participated in military campaigns, and Naqi'a, who influenced politics in the reigns of Sennacherib, Esarhaddon and Ashurbanipal. Economy In the Old Assyrian period, a major portion of Assur's population was involved in the city's international trade. As can be gathered from hiring contracts and other records, the trade involved people of many different occupations, including porters, guides, donkey drivers, agents, traders, bakers and bankers. Because of the extensive cuneiform records known from the period, details of the trade are relatively well-known. It has been estimated that just in the period 1950–1836 BC, twenty-five tons of Anatolian silver was transported to Assur, and that approximately one hundred tons of tin and 100,000 textiles were transported to Anatolia in return. The Assyrians also sold livestock, processed goods and reed products. In many cases, the materials sold by Assyrian colonists came from far-away places; the textiles sold by Assyrians in Anatolia were imported from southern Mesopotamia and the tin came from the east in the Zagros Mountains. After international trade declined in the 19th century BC, the Assyrian economy became increasingly oriented towards the state. In the Neo-Assyrian period, the wealth generated through private investments was dwarfed by the wealth of the state, which was by far the largest employer in the empire and had a monopoly on agriculture, manufacturing and exploitation of minerals. The imperial economy advantaged mainly the elite, since it was structured in a way that ensured that surplus wealth flowed to the government and was then used for the maintenance of the state throughout the empire. Though all means of production were owned by the state, there also continued to be a vibrant private economic sector within the empire, with property rights of individuals ensured by the government. Personal identity and continuity Ethnicity and culture are largely based in self-perception and self-designation. A distinct Assyrian identity seems to have formed already in the Old Assyrian period, when distinctly Assyrian burial practices, foods and dress codes are attested and Assyrian documents appear to consider the inhabitants of Assur to be a distinct cultural group. A wider Assyrian identity appears to have spread across northern Mesopotamia under the Middle Assyrian Empire, since later writings concerning the reconquests of the early Neo-Assyrian kings refer to some of their wars as liberating the Assyrian people of the cities they reconquered. Surviving evidence suggests that the ancient Assyrians had a relatively open definition of what it meant to be Assyrian. Modern ideas such as a person's ethnic background, or the Roman idea of legal citizenship, do not appear to have been reflected in ancient Assyria. Although Assyrian accounts and artwork of warfare frequently describe and depict foreign enemies, they are not depicted with different physical features, but rather with different clothing and equipment. Assyrian accounts describe enemies as barbaric only in terms of their behavior, as lacking correct religious practices, and as doing wrongdoings against Assyria. All things considered, there does not appear to have been any well-developed concepts of ethnicity or race in ancient Assyria. What mattered for a person to be seen by others as Assyrian was mainly fulfillment of obligations (such as military service), being affiliated with the Assyrian Empire politically and maintaining loyalty to the Assyrian king. One of the inscriptions that attest to this view, as well as royal Assyrian policies enacted to encourage assimilation and cultural mixture, is Sargon II's account of the construction of Dur-Sharrukin. One of the passages of the inscription reads: Although the text clearly differentiates the new settlers from those that had been "born Assyrians", the aim of Sargon's policy was also clearly to transform the new settlers into Assyrians through appointing supervisors and guides to teach them. Though the expansion of the Assyrian Empire, in combination with resettlements and deportations, changed the ethno-cultural make-up of the Assyrian heartland, there is no evidence to suggest that the more ancient Assyrian inhabitants of the land ever disappeared or became restricted to a small elite, nor that the ethnic and cultural identity of the new settlers was anything other than "Assyrian" after one or two generations. Though the use of the term "Assyrian" by the modern Assyrian people has historically been the target of misunderstanding and controversy, both politically and academically, Assyrian continuity is generally scholarly accepted based on both historical and genetic evidence in the sense that the modern Assyrians are regarded to be descendants of the population of the ancient Assyrian Empire. Though the ancient Akkadian language and cuneiform script did not survive for long in Assyria after the empire was destroyed in 609 BC, Assyrian culture clearly did; the old Assyrian religion continued to be practised at Assur until the 3rd century AD, and at other sites for centuries thereafter, gradually losing ground to Christianity. At Mardin, believers in the old religion are known from as late as the 18th century. Individuals with names harkening back to ancient Mesopotamia are also attested at Assur until it was sacked for the last time in AD 240 and at other sites as late as the 13th century. Though many foreign states ruled over Assyria in the millennia following the empire's fall, there is no evidence of any large scale influx of immigrants that replaced the original population, which instead continued to make up a significant portion of the region's people until the Mongol and Timurid massacres in the late 14th century. In pre-modern Syriac-language (the type of Aramaic used in Christian Mesopotamian writings) sources, the typical self-designations used are ʾārāmāyā ("Aramean") and suryāyā, with the term ʾāthorāyā ("Assyrian") rarely being used as a self-designation. The terms Assyria (ʾāthor) and Assyrian (ʾāthorāyā) were however used in several senses in pre-modern times; most notably being used for the ancient Assyrians and for the land surrounding Nineveh (and for the city of Mosul, built next to Nineveh's ruins). In Syriac translations of the Bible, the term ʾāthor is also used to refer to the ancient Assyrian Empire. In the sense of a citizen of Mosul, the designation ʾāthorāyā were used for some individuals in the pre-modern period. The reluctance of Christians to use ʾāthorāyā as a self-designation could perhaps be explained by the Assyrians described in the Bible being prominent enemies of Israel; the term ʾāthorāyā was sometimes employed in Syriac writings as a term for enemies of Christians. In this context, the term was sometimes applied to the Persians of the Sasanian Empire; the 4th-century Syriac writer Ephrem the Syrian for instance referred to the Sasanian Empire as "filthy ʾāthor, mother of corruption". In a similar fashion, the term was also sometimes applied to the later Muslim rulers. The self-designation suryāyā, suryāyē or sūrōyē, sometimes translated as "Syrian", is not technically a different identity than "Assyrian" since it is derived from the Akkadian term assūrāyu ("Assyrian"), which was sometimes even in ancient times rendered in the shorter form sūrāyu. Some medieval Syriac Christian documents used āsūrāyē and sūrāyē, rather than āthōrāyē, also for the ancient Assyrians. The connection between assūrāyu and suryāyā is also made in medieval and modern Armenian sources, which consistently referred to Syriac-speaking Christians as Asori. Despite the complex issue of self-designations, pre-modern Syriac-language sources at times identified positively with the ancient Assyrians and drew connections between the ancient empire and themselves. Most prominently, ancient Assyrian kings and figures long appeared in local folklore and literary tradition and claims of descent from ancient Assyrian royalty were forwarded both for figures in folklore and by actual living high-ranking members of society in northern Mesopotamia. Visits by missionaries from various western churches to the Assyrian heartland in the 18th century likely contributed to the Assyrian people more strongly relating their self-designation and identity to ancient Assyria; in the context of interactions with westerners who connected them to the ancient Assyrians, and due to an increasing number of atrocities and massacres directed against them, the Assyrian people experienced a cultural "awakening" or "renaissance" towards the end of the 19th century, which led to the development of a national ideology more strongly rooted in their descent from ancient Assyria and a re-adoption of self-designations such as ʾāthorāyā and ʾāsurāyā. Culture Languages Akkadian The ancient Assyrians primarily spoke and wrote the Assyrian language, a Semitic language (i.e. related to modern Hebrew and Arabic) closely related to Babylonian, spoken in southern Mesopotamia. Both Assyrian and Babylonian are generally regarded by modern scholars to be dialects of the Akkadian language. This is a modern convention since contemporary ancient authors considered Assyrian and Babylonian to be two separate languages; only Babylonian was referred to as akkadûm, with Assyrian being referred to as aššurû or aššurāyu. Though both were written with cuneiform script, the signs look quite different and can be distinguished relatively easily. Given the vast timespan covered by ancient Assyria, the Assyrian language developed and evolved over time. Modern scholars broadly categorize it into three different periods, roughly (though far from precisely) corresponding to the periods used to divide Assyrian history: the Old Assyrian language (2000–1500 BC), Middle Assyrian language (1500–1000 BC) and Neo-Assyrian language (1000–500 BC). Because the record of Assyrian tablets and documents is still somewhat spotty, many of the stages of the language remain poorly known and documented. The signs used in Old Assyrian texts are for the most part less complex than those used during the succeeding Middle and Neo-Assyrian periods and they were fewer in number, amounting to no more than 150–200 unique signs, most of which were syllabic signs (representing syllables). Due to the limited number of signs used, Old Assyrian is relatively easier to decipher for modern researchers than later forms of the language, though the limited number of signs also means that there are in cases several possible alternative phonetic values and readings. This means that while it is easy to decipher the signs, many researchers remain uncomfortable with the language itself. Though it was a more archaic variant of the later Assyrian language, Old Assyrian also contains several words that are not attested in later periods, some being peculiar early forms of words and others being names for commercial terms or various textile and food products from Anatolia. In the Middle and Neo-Assyrian empires, the later versions of the Assyrian language were not the only versions of Akkadian used. Though Assyrian was typically used in letters, legal documents, administrative documents, and as a vernacular, Standard Babylonian was also used in an official capacity. Standard Babylonian was a highly codified version of ancient Babylonian, as used around 1500 BC, and was used as a language of high culture, for nearly all scholarly documents, literature, poetry and royal inscriptions. The culture of the Assyrian elite was strongly influenced by Babylonia in the south; in a vein similar to how Greek civilization was respected in, and influenced, ancient Rome, the Assyrians had much respect for Babylon and its ancient culture. Because of the multilingual nature of the vast empire, many loan words are attested as entering the Assyrian language during the Neo-Assyrian period. The number of surviving documents written in cuneiform grow considerably fewer in the late reign of Ashurbanipal, which suggests that the language was declining since it is probably attributable to an increased use of Aramaic, often written on perishable materials like leather scrolls or papyrus. The ancient Assyrian language did not disappear completely until around the end of the 6th century BC, well into the subsequent post-imperial period. Aramaic and other languages Because the Assyrians never imposed their language on foreign peoples whose lands they conquered outside of the Assyrian heartland, there were no mechanisms in place to stop the spread of languages other than Akkadian. Beginning with the migrations of Arameans into Assyrian territory during the Middle Assyrian period, this lack of linguistic policies facilitated the spread of the Aramaic language. As the most widely spoken and mutually understandable of the Semitic languages (the language group containing many of the languages spoken through the empire), Aramaic grew in importance throughout the Neo-Assyrian period and increasingly replaced the Neo-Assyrian language even within the Assyrian heartland itself. From the 9th century BC onwards, Aramaic became the de facto lingua franca of the Neo-Assyrian Empire, with Neo-Assyrian and other forms of Akkadian becoming relegated to a language of the political elite. From the time of Shalmaneser III, in the 9th century BC, Aramaic was used in state-related contexts alongside Akkadian and by the time of Tiglath-Pileser III, the kings employed both Akkadian and Aramaic-language royal scribes, confirming the rise of Aramaic to a position of an official language used by the imperial administration. During the time after the fall of the Neo-Assyrian Empire, the old Assyrian language was completely abandoned in Mesopotamia in favor of Aramaic. By 500 BC, Akkadian was probably no longer a spoken language. Modern Assyrian people refer to their language as "Assyrian" (Sūrayt or Sūreth). Though it has little in common with the Assyrian dialect of the Akkadian language, it is a modern version of the ancient Mesopotamian Aramaic. The language retains some influence of ancient Akkadian, particularly in the form of loanwords. Modern Assyrian varieties of Aramaic are often referred to by scholars as Neo-Aramaic or Neo-Syriac. As a liturgical language, many Assyrians also speak Syriac, a codified version of classical Aramaic as spoken at Edessa during the Christianization of Assyria. Another language sometimes used in ancient Assyria as a language of scholarship and culture, though only in written form, was the ancient Sumerian language. At the height of the Neo-Assyrian Empire, various other local languages were also spoken within the imperial borders, though none achieved the same level of official recognition as Aramaic. Architecture There are three surviving forms of primary evidence for the architecture of ancient Assyria. The most important form is the surviving buildings themselves, found through archaeological excavations, but important evidence can also be gathered from both contemporary documentation, such as letters and administrative documents that describe buildings that might not have been preserved, as well as documentation by later kings concerning the building works of previous kings. Assyrian buildings and construction works were almost always constructed out of mudbrick. Limestone was also used, though primarily only in works such as aqueducts and river walls, exposed to running water, and defensive fortifications. In order to support large buildings, they were often built on top of foundation platforms or on mud brick foundations. Floors were typically made of rammed earth, covered in important rooms with carpets or reed mats. Floors in locations that were exposed to the elements, such as outside on terraces or in courtyards, were paved with stone slabs or backed bricks. Roofs, particularly in larger rooms, were supported through the use of wooden beams. The ancient Assyrians accomplished several technologically complex construction projects, including constructions of whole new capital cities, which indicates sophisticated technical knowledge. Though in large part following previous Mesopotamian architecture, there are several characteristic features of ancient Assyrian architecture. Some examples of features of ancient Assyrian architecture include stepped merlons, vaulted roofs, and palaces to a large degree often being made up of sets of self-contained suites. Art A relatively large number of statues and figurines have been recovered from the ruins of temples in Assur dating to the Early Assyrian period. Most of the surviving artwork from this time was clearly influenced by the artwork of foreign powers. For instance, a set of 87 alabaster figures of male and female worshippers from Assur before the rise of the Akkadian Empire greatly resembles Early Dynastic Sumerian figures. Because of variation in artwork elsewhere, the artwork of early Assur was also highly variable depending on the time period, ranging from highly stylized to highly naturalistic. Among the most unique finds from the Early period is the head of a female figure, of which the eyes, eyebrows and elaborate hair covering were originally inlaid. This head is typical of the art style of the Akkadian period, with an overall naturalistic style, smooth and soft curves and a full mouth. Another unique art piece from the early period is an ivory figurine of a nude woman, and fragments of at least five additional similar figurines. The ivory used might have come from Indian elephants, which would indicate trade between early Assur and the early tribes and states of Iran. Among other artwork known from the early period are a handful of large stone statues of rulers (governors and foreign kings), figures of animals and stone statues of naked women. The artwork known from the Old Assyrian period, other than a few objects such as a partial stone statue perhaps depicting Erishum I, is largely limited to seals and impressions of seals on cuneiform documents. Royal seals from the Puzur-Ashur dynasty of kings, prior to the rise of Shamshi-Adad I, are very similar to the seals of the kings of the Third Dynasty of Ur. In the Middle Assyrian period, from Ashur-uballit I onwards, seals looked quite different and appear to emphasize royal power, rather than the theological and cosmic sources of the king's right to rule. Among non-royal seals of the Middle Assyrian period a wide assortment of different motifs are known, including both religious scenes and peaceful scenes of animals and trees. From the time of Tukulti-Ninurta I onwards, seals also sometimes featured contests and struggles between humans, various animals, and mythological creatures. Several other new artistic innovations were also made in the Middle Assyrian period. In the temple dedicated to Ishtar in Assur, four cult pedestals (or "altars") from the time of Tukulti-Ninurta I have been discovered. These altars were decorated with various motifs, common inclusions being the king (sometimes multiple times) and protective divine figures and standards. One of the pedestals preserves along the lower step of its base a relief image which is the earliest known narrative image in Assyrian art history. This relief, which is not very well-preserved, appears to depict rows of prisoners before the Assyrian king. The earliest known Assyrian wall paintings are also from the time of Tukulti-Ninurta I, from his palace in Kar-Tukulti-Ninurta. Motifs included plant-based patterns (rosettes and palmettes), trees and bird-headed genies. The colors used to paint the walls included black, red, blue and white. An unusual limestone statue of a nude female figure is known from Nineveh from the time of Ashur-bel-kala (1074–1056 BC). An entirely new type of monument introduced in the 11th century BC were obelisks; four-sided stone stelae decorated all around with both pictures and text. Obelisks saw continued usage until at least the 9th century BC. Compared to other periods, a larger amount of artwork survives from the Neo-Assyrian period, particularly monumental art made under the patronage of the kings. The most well-known form of Neo-Assyrian monumental art are wall reliefs, carved stone artwork that lined the internal and external walls of temples and palaces. Another well-known form of Neo-Assyrian art are colossi, often human-headed lions or bulls (lamassu), that were placed at the gates of temples, palaces and cities. The earliest known examples of both wall reliefs and colossi are from the reign of Ashurnasirpal II, who might have been inspired by the Hittite monumental art that he saw on his campaigns to the Mediterranean. Wall paintings like those made under Tukulti-Ninurta I in the Middle Assyrian period also continued to be used, sometimes to supplement wall reliefs and sometimes instead of them. Interior walls could be decorated by covering the mudbrick used in construction with painted mud plaster and exterior walls were at times decorated with glazed and painted tiles or bricks. The most extensive known surviving sets of wall reliefs are from the reign of Sennacherib. In terms of Neo-Assyrian artwork, modern scholars have paid particular attention to the reliefs produced under Ashurbanipal, which have been described as possessing a distinct "epic quality" unlike the art under his predecessors. Scholarship and literature Ancient Assyrian literature drew heavily on Babylonian literary traditions. Both the Old and Middle Assyrian periods are limited in terms of surviving literary texts. The most important surviving Old Assyrian literary work is Sargon, Lord of Lies, a text found in a well-preserved version on a cuneiform tablet from Kültepe. Once thought to have been a parody, the tale is a first-person narrative of the reign of Sargon of Akkad, the founder of the Akkadian Empire. The text follows Sargon as he gains strength from the god Adad, swears by Ishtar, the "lady of combat", and speaks with the gods. Surviving Middle Assyrian literature is only slightly more diverse. A distinct Assyrian scholarship tradition, though still drawing on Babylonian tradition, is conventionally placed as beginning around the time of the beginning of the Middle Assyrian period. The rising status of scholarship at this time might be connected to the kings beginning to regard amassing knowledge as a way to strengthen their power. Known Middle Assyrian works include the Tukulti-Ninurta Epic (a narrative of the reign of Tukulti-Ninurta I and his exploits), fragments of other royal epics, The Hunter (a short martial poem) and some royal hymns. The clear majority of surviving ancient Assyrian literature is from the Neo-Assyrian period. The kings of the Neo-Assyrian Empire began to see preserving knowledge as one of their responsibilities, and not (as previous kings had) a responsibility of private individuals and temples. This development might have originated with the kings no longer viewing the divination performed by their diviners as enough and wished to have access to the relevant texts themselves. The office of chief scholar is first attested in the reign of the Neo-Assyrian king Tukulti-Ninurta II. Most of the surviving ancient Assyrian literature comes from the Neo-Assyrian Library of Ashurbanipal, which included more than 30,000 documents. Libraries were built in the Neo-Assyrian period to preserve knowledge of the past and maintain scribal culture. Neo-Assyrian texts fall into a wide array of genres, including divinatory texts, divination reports, treatments for the sick (either medical or magical), ritual texts, incantations, prayers and hymns, school texts and literary texts. An innovation of the Neo-Assyrian period were the annals, a genre of texts recording the events of the reigns of a king, particularly military exploits. Annals were disseminated throughout the empire and probably served propagandistic purposes, supporting the legitimacy of the king's rule. Various purely literary works, previously aligned by scholars with propaganda, are known from the Neo-Assyrian period. Such works include, among others, the Underworld Vision of an Assyrian Crown Prince, the Sin of Sargon and the Marduk Ordeal. In addition to their own works, the Assyrians also copied and preserved earlier Mesopotamian literature. The inclusion of texts such as the Epic of Gilgamesh, the Enûma Eliš (the Babylonian creation myth), Erra, the Myth of Etana and the Epic of Anzu in the Library of Ashurbanipal is the primary reason for how such texts have survived to the present day. Religion Ancient Assyrian religion Knowledge of the ancient polytheistic Assyrian religion, referred to as "Ashurism" by some modern Assyrians, is mostly limited to state cults; little can be ascertained of the personal religious beliefs and practices of the common people of ancient Assyria. The Assyrians worshipped the same pantheon of gods as the Babylonians in southern Mesopotamia. The chief Assyrian deity was the national deity Ashur. Though the deity and the ancient capital city are commonly distinguished by modern historians through calling the god Ashur and the city Assur, both were inscribed in the exact same way in ancient times (Aššur). In documents from the preceding Old Assyrian period, the city and god are often not clearly differentiated, which suggests that Ashur originated sometime in the Early Assyrian period as a deified personification of the city itself. Below Ashur, the other Mesopotamian deities were organized in a hierarchy, with each having their own assigned roles (the sun-god Shamash was for instance regarded as a god of justice and Ishtar was seen as a goddess of love and war) and their own primary seats of worship (Ninurta was for instance primarily worshipped at Nimrud and Ishtar primarily at Arbela). Quintessentially Babylonian deities like Enlil, Marduk and Nabu were worshipped in Assyria just as much as in Babylonia, and several traditionally Babylonian rituals, such as the akitu festival, were borrowed in the north. Ashur's role as the chief deity was flexible and changed with the changing culture and politics of the Assyrians themselves. In the Old Assyrian period, Ashur was mainly regarded as a god of death and revival, related to agriculture. Under the Middle and Neo-Assyrian Empire, Ashur's role was expanded and thoroughly altered. Possibly originating as a reaction to the period of suzerainty under the Mittani kingdom, Middle Assyrian theology presented Ashur as a god of war, who bestowed the Assyrian kings not only with divine legitimacy, something retained from the Old Assyrian period, but also commanded the kings to enlarge Assyria ("the land of Ashur") with Ashur's "just scepter", i.e. expand the Assyrian Empire through military conquest. This militarization of Ashur might also have derived from the Amorite conqueror Shamshi-Adad I equating Ashur with the southern Enlil during his rule over northern Mesopotamia in the 18th and 17th centuries BC. In the Middle Assyrian period, Ashur is attested with the title "king of the gods", a role previous civilizations in both northern and southern Mesopotamia ascribed to Enlil. The development of equating Ashur with Enlil, or at least transferring Enlil's role to Ashur, was paralleled in Babylon, where the previously unimportant local god Marduk was elevated in the reign of Hammurabi (18th century BC)
("small") members of the city assembly. Assyrian society grew more complex and hierarchical over time. In the Middle Assyrian Empire, there were several groups among the lower classes, the highest of which were the free men (a’ılū), who like the upper classes could receive land in exchange for performing duties for the government, but who could not live on these lands since they were comparably small. Below the free men were the unfree men (šiluhlu̮). The unfree men had given up their freedom and entered the services of others on their own accord, and were in turn provided with clothes and rations. Many of them probably originated as foreigners. Though similar to slavery, it was possible for an unfree person to regain their freedom by providing a replacement and they were during their service considered the property of the government rather than their employers. Other lower classes of the Middle Assyrian period included the ālāyû ("village residents"), ālik ilke (people recruited through the ilku system) and the hupšu, though what these designations meant in terms of social standing and living standards is not known. The Middle Assyrian structure of society by and large endured through the subsequent Neo-Assyrian period. Below the higher classes of Neo-Assyrian society were free citizens, semi-free laborers and slaves. It was possible through steady service to the Assyrian state bureaucracy for a family to move up the social ladder; in some cases stellar work conducted by a single individual enhanced the status of their family for generations to come. In many cases, Assyrian family groups, or "clans", formed large population groups within the empire referred to as tribes. Such tribes lived together in villages and other settlements near or adjacent to their agricultural lands. Slavery was an intrinsic part of nearly every society in the ancient Near East. There were two main types of slaves in ancient Assyria: chattel slaves, primarily foreigners who were kidnapped or who were spoils of war, and debt slaves, formerly free men and women who had been unable to pay off their debts. In some cases, Assyrian children were seized by authorities due to the debts of their parents and sold off into slavery when their parents were unable to pay. Children born to slave women automatically became slaves themselves, unless some other arrangement had been agreed to. Though Old Babylonian texts frequently mention the geographical and ethnic origin of slaves, there is only a single known such reference in Old Assyrian texts (whereas there are many describing slaves in a general sense), a slave girl explicitly being referred to as Subaraean, indicating that ethnicity was not seen as very important in terms of slavery. The surviving evidence suggests that the number of slaves in Assyria never reached a large share of the population. In the Akkadian language, several terms were used for slaves, commonly wardum, though this term could confusingly also be used for (free) official servants, retainers and followers, soldiers and subjects of the king. Because many individuals designated as wardum in Assyrian texts are described as handling property and carrying out administrative tasks on behalf of their masters, many may have in actuality been free servants and not slaves in the common meaning of the term. A number of wardum are however also recorded as being bought and sold. Status of women Little evidence survives concerning the lives of ordinary women in ancient Assyria, the main evidence being administrative documents and law codes. There was no legal distinction between men and women in the Old Assyrian period and they had more or less the same rights in society. Both men and women paid the same fines, could inherit property, participated in trade, bought, owned and sold houses and slaves, made their own last wills and were allowed to divorce their partners. Records of Old Assyrian marriages confirm that the dowry to the bride belonged to her, not the husband, and was inherited by their children after her death. Though they were equal legally, men and women in the Old Assyrian period were raised differently and had different social expectations and obligations. Girls were typically raised by their mothers, tought to spin, weave and help with daily tasks, whereas boys were tought by masters to read and write, later often following their fathers on trade expeditions. The eldest daughter of a family was sometimes consecrated as a priestess, which meant that she was no longer allowed to marry but also that she became economically independent. Wives were also expected to provide their husbands with garments and food. Though marriages were typically monogamous, husbands were allowed to buy a female slave in order to produce an heir in case his wife was infertile. His wife was allowed to choose the slave and the slave never gained the status of a second wife. Husbands who were away on long trading journeys were allowed to take a second wife in one of the trading colonies, though with strict rules: the second wife was not allowed to accompany him back to Assur and both wives had to be provided with a home to live in, food and wood. Since several letters written by women are known from the Old Assyrian period, it is evident that women were free to learn how to read and write. The status of women decreased in the Middle Assyrian period, as can be gathered from laws concerning them among the Middle Assyrian Laws. Among these laws were punishments for various crimes, often sexual or marital ones. The Middle Assyrian Laws, though they did not deprive women of all their rights and they were not significantly different from other ancient Near Eastern laws of their time, effectively made women second-class citizens. It is however not clear how strongly these laws were enforced. The laws gave men the right to punish their wives as they wished. Among the harshest punishments written into law, for a crime not even committed by the woman herself, was that a raped woman would be forcibly married to her rapist. The laws also specified that most women while out in the street were obliged to wear veils. Some women, such as slave women and ḫarımtū women, were however prohibited from wearing veils and others, such as certain priestesses, were only allowed to wear veils if they were married. Not all laws were suppressive against women; women whose husbands died or were taken prisoner in war, and who did not have any sons or relatives to support them, were guaranteed support from the government. The ḫarımtū women have historically been believed to have been prostitutes but are today interpreted as women with an independent social existence, i.e. not tied to a husband, father, or institution. Though most ḫarımtū appear to have been poor (there were however noteworthy exceptions) and the term appears with negative connotations in several texts, their mere existence makes it clear that it was possible for women to live independent lives, despite their lesser social standing. Royal and upper-class women experienced increased influence during the Neo-Assyrian period. Women attached to the Neo-Assyrian royal court sent and received letters, were independently wealthy and could buy and own lands of their own. The queens of the Neo-Assyrian Empire are better historically attested than queens of preceding periods. Under the Sargonid dynasty, they were granted their own military units, sometimes known to have partaken alongside other units in military campaigns. Among the most influential women of the Neo-Assyrian period were Shammuramat, queen of Shamshi-Adad V (824–811 BC), who in the reign of her son Adad-nirari III (811–783 BC) might have been regent and participated in military campaigns, and Naqi'a, who influenced politics in the reigns of Sennacherib, Esarhaddon and Ashurbanipal. Economy In the Old Assyrian period, a major portion of Assur's population was involved in the city's international trade. As can be gathered from hiring contracts and other records, the trade involved people of many different occupations, including porters, guides, donkey drivers, agents, traders, bakers and bankers. Because of the extensive cuneiform records known from the period, details of the trade are relatively well-known. It has been estimated that just in the period 1950–1836 BC, twenty-five tons of Anatolian silver was transported to Assur, and that approximately one hundred tons of tin and 100,000 textiles were transported to Anatolia in return. The Assyrians also sold livestock, processed goods and reed products. In many cases, the materials sold by Assyrian colonists came from far-away places; the textiles sold by Assyrians in Anatolia were imported from southern Mesopotamia and the tin came from the east in the Zagros Mountains. After international trade declined in the 19th century BC, the Assyrian economy became increasingly oriented towards the state. In the Neo-Assyrian period, the wealth generated through private investments was dwarfed by the wealth of the state, which was by far the largest employer in the empire and had a monopoly on agriculture, manufacturing and exploitation of minerals. The imperial economy advantaged mainly the elite, since it was structured in a way that ensured that surplus wealth flowed to the government and was then used for the maintenance of the state throughout the empire. Though all means of production were owned by the state, there also continued to be a vibrant private economic sector within the empire, with property rights of individuals ensured by the government. Personal identity and continuity Ethnicity and culture are largely based in self-perception and self-designation. A distinct Assyrian identity seems to have formed already in the Old Assyrian period, when distinctly Assyrian burial practices, foods and dress codes are attested and Assyrian documents appear to consider the inhabitants of Assur to be a distinct cultural group. A wider Assyrian identity appears to have spread across northern Mesopotamia under the Middle Assyrian Empire, since later writings concerning the reconquests of the early Neo-Assyrian kings refer to some of their wars as liberating the Assyrian people of the cities they reconquered. Surviving evidence suggests that the ancient Assyrians had a relatively open definition of what it meant to be Assyrian. Modern ideas such as a person's ethnic background, or the Roman idea of legal citizenship, do not appear to have been reflected in ancient Assyria. Although Assyrian accounts and artwork of warfare frequently describe and depict foreign enemies, they are not depicted with different physical features, but rather with different clothing and equipment. Assyrian accounts describe enemies as barbaric only in terms of their behavior, as lacking correct religious practices, and as doing wrongdoings against Assyria. All things considered, there does not appear to have been any well-developed concepts of ethnicity or race in ancient Assyria. What mattered for a person to be seen by others as Assyrian was mainly fulfillment of obligations (such as military service), being affiliated with the Assyrian Empire politically and maintaining loyalty to the Assyrian king. One of the inscriptions that attest to this view, as well as royal Assyrian policies enacted to encourage assimilation and cultural mixture, is Sargon II's account of the construction of Dur-Sharrukin. One of the passages of the inscription reads: Although the text clearly differentiates the new settlers from those that had been "born Assyrians", the aim of Sargon's policy was also clearly to transform the new settlers into Assyrians through appointing supervisors and guides to teach them. Though the expansion of the Assyrian Empire, in combination with resettlements and deportations, changed the ethno-cultural make-up of the Assyrian heartland, there is no evidence to suggest that the more ancient Assyrian inhabitants of the land ever disappeared or became restricted to a small elite, nor that the ethnic and cultural identity of the new settlers was anything other than "Assyrian" after one or two generations. Though the use of the term "Assyrian" by the modern Assyrian people has historically been the target of misunderstanding and controversy, both politically and academically, Assyrian continuity is generally scholarly accepted based on both historical and genetic evidence in the sense that the modern Assyrians are regarded to be descendants of the population of the ancient Assyrian Empire. Though the ancient Akkadian language and cuneiform script did not survive for long in Assyria after the empire was destroyed in 609 BC, Assyrian culture clearly did; the old Assyrian religion continued to be practised at Assur until the 3rd century AD, and at other sites for centuries thereafter, gradually losing ground to Christianity. At Mardin, believers in the old religion are known from as late as the 18th century. Individuals with names harkening back to ancient Mesopotamia are also attested at Assur until it was sacked for the last time in AD 240 and at other sites as late as the 13th century. Though many foreign states ruled over Assyria in the millennia following the empire's fall, there is no evidence of any large scale influx of immigrants that replaced the original population, which instead continued to make up a significant portion of the region's people until the Mongol and Timurid massacres in the late 14th century. In pre-modern Syriac-language (the type of Aramaic used in Christian Mesopotamian writings) sources, the typical self-designations used are ʾārāmāyā ("Aramean") and suryāyā, with the term ʾāthorāyā ("Assyrian") rarely being used as a self-designation. The terms Assyria (ʾāthor) and Assyrian (ʾāthorāyā) were however used in several senses in pre-modern times; most notably being used for the ancient Assyrians and for the land surrounding Nineveh (and for the city of Mosul, built next to Nineveh's ruins). In Syriac translations of the Bible, the term ʾāthor is also used to refer to the ancient Assyrian Empire. In the sense of a citizen of Mosul, the designation ʾāthorāyā were used for some individuals in the pre-modern period. The reluctance of Christians to use ʾāthorāyā as a self-designation could perhaps be explained by the Assyrians described in the Bible being prominent enemies of Israel; the term ʾāthorāyā was sometimes employed in Syriac writings as a term for enemies of Christians. In this context, the term was sometimes applied to the Persians of the Sasanian Empire; the 4th-century Syriac writer Ephrem the Syrian for instance referred to the Sasanian Empire as "filthy ʾāthor, mother of corruption". In a similar fashion, the term was also sometimes applied to the later Muslim rulers. The self-designation suryāyā, suryāyē or sūrōyē, sometimes translated as "Syrian", is not technically a different identity than "Assyrian" since it is derived from the Akkadian term assūrāyu ("Assyrian"), which was sometimes even in ancient times rendered in the shorter form sūrāyu. Some medieval Syriac Christian documents used āsūrāyē and sūrāyē, rather than āthōrāyē, also for the ancient Assyrians. The connection between assūrāyu and suryāyā is also made in medieval and modern Armenian sources, which consistently referred to Syriac-speaking Christians as Asori. Despite the complex issue of self-designations, pre-modern Syriac-language sources at times identified positively with the ancient Assyrians and drew connections between the ancient empire and themselves. Most prominently, ancient Assyrian kings and figures long appeared in local folklore and literary tradition and claims of descent from ancient Assyrian royalty were forwarded both for figures in folklore and by actual living high-ranking members of society in northern Mesopotamia. Visits by missionaries from various western churches to the Assyrian heartland in the 18th century likely contributed to the Assyrian people more strongly relating their self-designation and identity to ancient Assyria; in the context of interactions with westerners who connected them to the ancient Assyrians, and due to an increasing number of atrocities and massacres directed against them, the Assyrian people experienced a cultural "awakening" or "renaissance" towards the end of the 19th century, which led to the development of a national ideology more strongly rooted in their descent from ancient Assyria and a re-adoption of self-designations such as ʾāthorāyā and ʾāsurāyā. Culture Languages Akkadian The ancient Assyrians primarily spoke and wrote the Assyrian language, a Semitic language (i.e. related to modern Hebrew and Arabic) closely related to Babylonian, spoken in southern Mesopotamia. Both Assyrian and Babylonian are generally regarded by modern scholars to be dialects of the Akkadian language. This is a modern convention since contemporary ancient authors considered Assyrian and Babylonian to be two separate languages; only Babylonian was referred to as akkadûm, with Assyrian being referred to as aššurû or aššurāyu. Though both were written with cuneiform script, the signs look quite different and can be distinguished relatively easily. Given the vast timespan covered by ancient Assyria, the Assyrian language developed and evolved over time. Modern scholars broadly categorize it into three different periods, roughly (though far from precisely) corresponding to the periods used to divide Assyrian history: the Old Assyrian language (2000–1500 BC), Middle Assyrian language (1500–1000 BC) and Neo-Assyrian language (1000–500 BC). Because the record of Assyrian tablets and documents is still somewhat spotty, many of the stages of the language remain poorly known and documented. The signs used in Old Assyrian texts are for the most part less complex than those used during the succeeding Middle and Neo-Assyrian periods and they were fewer in number, amounting to no more than 150–200 unique signs, most of which were syllabic signs (representing syllables). Due to the limited number of signs used, Old Assyrian is relatively easier to decipher for modern researchers than later forms of the language, though the limited number of signs also means that there are in cases several possible alternative phonetic values and readings. This means that while it is easy to decipher the signs, many researchers remain uncomfortable with the language itself. Though it was a more archaic variant of the later Assyrian language, Old Assyrian also contains several words that are not attested in later periods, some being peculiar early forms of words and others being names for commercial terms or various textile and food products from Anatolia. In the Middle and Neo-Assyrian empires, the later versions of the Assyrian language were not the only versions of Akkadian used. Though Assyrian was typically used in letters, legal documents, administrative documents, and as a vernacular, Standard Babylonian was also used in an official capacity. Standard Babylonian was a highly codified version of ancient Babylonian, as used around 1500 BC, and was used as a language of high culture, for nearly all scholarly documents, literature, poetry and royal inscriptions. The culture of the Assyrian elite was strongly influenced by Babylonia in the south; in a vein similar to how Greek civilization was respected in, and influenced, ancient Rome, the Assyrians had much respect for Babylon and its ancient culture. Because of the multilingual nature of the vast empire, many loan words are attested as entering the Assyrian language during the Neo-Assyrian period. The number of surviving documents written in cuneiform grow considerably fewer in the late reign of Ashurbanipal, which suggests that the language was declining since it is probably attributable to an increased use of Aramaic, often written on perishable materials like leather scrolls or papyrus. The ancient Assyrian language did not disappear completely until around the end of the 6th century BC, well into the subsequent post-imperial period. Aramaic and other languages Because the Assyrians never imposed their language on foreign peoples whose lands they conquered outside of the Assyrian heartland, there were no mechanisms in place to stop the spread of languages other than Akkadian. Beginning with the migrations of Arameans into Assyrian territory during the Middle Assyrian period, this lack of linguistic policies facilitated the spread of the Aramaic language. As the most widely spoken and mutually understandable of the Semitic languages (the language group containing many of the languages spoken through the empire), Aramaic grew in importance throughout the Neo-Assyrian period and increasingly replaced the Neo-Assyrian language even within the Assyrian heartland itself. From the 9th century BC onwards, Aramaic became the de facto lingua franca of the Neo-Assyrian Empire, with Neo-Assyrian and other forms of Akkadian becoming relegated to a language of the political elite. From the time of Shalmaneser III, in the 9th century BC, Aramaic was used in state-related contexts alongside Akkadian and by the time of Tiglath-Pileser III, the kings employed both Akkadian and Aramaic-language royal scribes, confirming the rise of Aramaic to a position of an official language used by the imperial administration. During the time after the fall of the Neo-Assyrian Empire, the old Assyrian language was completely abandoned in Mesopotamia in favor of Aramaic. By 500 BC, Akkadian was probably no longer a spoken language. Modern Assyrian people refer to their language as "Assyrian" (Sūrayt or Sūreth). Though it has little in common with the Assyrian dialect of the Akkadian language, it is a modern version of the ancient Mesopotamian Aramaic. The language retains some influence of ancient Akkadian, particularly in the form of loanwords. Modern Assyrian varieties of Aramaic are often referred to by scholars as Neo-Aramaic or Neo-Syriac. As a liturgical language, many Assyrians also speak Syriac, a codified version of classical Aramaic as spoken at Edessa during the Christianization of Assyria. Another language sometimes used in ancient Assyria as a language of scholarship and culture, though only in written form, was the ancient Sumerian language. At the height of the Neo-Assyrian Empire, various other local languages were also spoken within the imperial borders, though none achieved the same level of official recognition as Aramaic. Architecture There are three surviving forms of primary evidence for the architecture of ancient Assyria. The most important form is the surviving buildings themselves, found through archaeological excavations, but important evidence can also be gathered from both contemporary documentation, such as letters and administrative documents that describe buildings that might not have been preserved, as well as documentation by later kings concerning the building works of previous kings. Assyrian buildings and construction works were almost always constructed out of mudbrick. Limestone was also used, though primarily only in works such as aqueducts and river walls, exposed to running water, and defensive fortifications. In order to support large buildings, they were often built on top of foundation platforms or on mud brick foundations. Floors were typically made of rammed earth, covered in important rooms with carpets or reed mats. Floors in locations that were exposed to the elements, such as outside on terraces or in courtyards, were paved with stone slabs or backed bricks. Roofs, particularly in larger rooms, were supported through the use of wooden beams. The ancient Assyrians accomplished several technologically complex construction projects, including constructions of whole new capital cities, which indicates sophisticated technical knowledge. Though in large part following previous Mesopotamian architecture, there are several characteristic features of ancient Assyrian architecture. Some examples of features of ancient Assyrian
prevent pilgrimages to Jerusalem. Some assert that he himself undertook a pilgrimage." This name (possibly) appeared on the Gezer Calendar, a Paleo-Hebrew inscription dating to the 9th or 10th Century BC, making it one of the earliest if not the earliest Yahwistic theophoric names outside the Bible. Russian name The variant used in the Russian language is "" (Aviya), with "" or "" (Abiya), being older forms. Included into various, often handwritten, church calendars throughout the 17th–19th centuries, it was omitted from the official Synodal Menologium at the end of the 19th century. In 1924–1930, the name (as "", a form of "Abiya") was included into various Soviet calendars, which included the new and often artificially created names promoting the new Soviet realities and encouraging the break with the tradition of using the names in the Synodal Menologia. In Russian it is only used as a female name. Diminutives of this name include "" (Ava) and "" (Viya). References Notes Sources Н. А. Петровский (N. A. Petrovsky). "Словарь русских личных имён" (Dictionary of Russian First Names). ООО Издательство "АСТ". Москва, 2005. А. В. Суперанская (A. V. Superanskaya). "Словарь русских имён" (Dictionary of Russian Names).
Bible. Russian name The variant used in the Russian language is "" (Aviya), with "" or "" (Abiya), being older forms. Included into various, often handwritten, church calendars throughout the 17th–19th centuries, it was omitted from the official Synodal Menologium at the end of the 19th century. In 1924–1930, the name (as "", a form of "Abiya") was included into various Soviet calendars, which included the new and often artificially created names promoting the new Soviet realities and encouraging the break with the tradition of using the names in the Synodal Menologia. In Russian it is only used as a female name. Diminutives of this name include "" (Ava) and "" (Viya). References Notes Sources Н. А. Петровский (N. A. Petrovsky). "Словарь русских личных имён" (Dictionary of Russian First Names). ООО Издательство "АСТ". Москва, 2005. А. В. Суперанская (A. V. Superanskaya). "Словарь русских имён" (Dictionary of Russian Names). Издательство Эксмо. Москва, 2005.
transport in eastern North America , a prestigious ship name in the British Royal Navy, often the name of the Fleet Flagship, has been given to five ships The Ark (ship), a ship used in founding the Province of Maryland The Ark, a ship used as a Scottish Marine Station, now the basis of the University Marine Biological Station Millport The Ark, an unfinished sculpture in the form of a functional ship created by artist Kea Tawana between 1982 and 1988 in Newark, New Jersey Interstellar ark, a conceptual multi-lifetime space vehicle Technology ARK (Archival Resource Key), a type of URL that serves as a persistent identifier for scientific and cultural objects , a software distribution founded by Bernhard Rosenkränzer Ark (search engine), a people search engine Ark (software), an archiving tool Hongmeng OS, an Android-compatible mobile operating system by Huawei Other uses Ark Prize of the Free Word, a literary prize See also Chicken ark, a mobile shelter for domestic chickens Knowledge ark, a collection of knowledge preserved in such a way that future generations would have access to said knowledge if current means
Japanese rock band L'Arc-en-Ciel Ark (The Animals album), 1983, by The Original Animals Ark (We Are the Ocean album), 2015, by We Are the Ocean The Ark (album), 1991 album by Frank Zappa The Ark (EP), 1996, by Swedish band The Ark Here Comes the Indian, 2003 album by Animal Collective, reissued in 2020 as Ark Songs "The Ark", 2008, by Dr. Dog from Fate Poetry "Ark", 2019 poem by Simon Armitage to commemorate launch of RRS Sir David Attenborough Video Games Ark: Survival Evolved, a 2017 action adventure survival video game Places Buildings The Ark (Duke University), a dance studio Ark Encounter, a creationist theme park, Kentucky, US The Ark (folk venue), Ann Arbor, Michigan, US The Ark (fortress), Bukhara, Uzbekistan The Ark, London, an office block in Hammersmith, London, UK The Ark (Prince Edward Island), a bioshelter in Canada Inhabited places Ark., an alternative abbreviation for Arkansas, United States Ark, Iran (disambiguation) Ark, Missouri, a ghost town in the United States Ark, Virginia, in Gloucester County, Virginia, United States Other places The Ark (Antarctica), a rock summit in Antarctica Transportation Ark (river boat), a temporary boat used in river transport in eastern North America , a prestigious
that there is a form of aphasia among deaf individuals. Sign languages are, after all, forms of language that have been shown to use the same areas of the brain as verbal forms of language. Mirror neurons become activated when an animal is acting in a particular way or watching another individual act in the same manner. These mirror neurons are important in giving an individual the ability to mimic movements of hands. Broca's area of speech production has been shown to contain several of these mirror neurons resulting in significant similarities of brain activity between sign language and vocal speech communication. Facial communication is a significant portion of how animals interact with each other. Humans use facial movements to create, what other humans perceive, to be faces of emotions. While combining these facial movements with speech, a more full form of language is created which enables the species to interact with a much more complex and detailed form of communication. Sign language also uses these facial movements and emotions along with the primary hand movement way of communicating. These facial movement forms of communication come from the same areas of the brain. When dealing with damages to certain areas of the brain, vocal forms of communication are in jeopardy of severe forms of aphasia. Since these same areas of the brain are being used for sign language, these same, at least very similar, forms of aphasia can show in the Deaf community. Individuals can show a form of Wernicke's aphasia with sign language and they show deficits in their abilities in being able to produce any form of expressions. Broca's aphasia shows up in some people, as well. These individuals find tremendous difficulty in being able to actually sign the linguistic concepts they are trying to express. Severity The severity of the type of aphasia varies depending on the size of the stroke. However, there is much variance between how often one type of severity occurs in certain types of aphasia. For instance, any type of aphasia can range from mild to profound. Regardless of the severity of aphasia, people can make improvements due to spontaneous recovery and treatment in the acute stages of recovery. Additionally, while most studies propose that the greatest outcomes occur in people with severe aphasia when treatment is provided in the acute stages of recovery, Robey (1998) also found that those with severe aphasia are capable of making strong language gains in the chronic stage of recovery as well. This finding implies that persons with aphasia have the potential to have functional outcomes regardless of how severe their aphasia may be. While there is no distinct pattern of the outcomes of aphasia based on severity alone, global aphasia typically makes functional language gains, but may be gradual since global aphasia affects many language areas. Cognitive deficits in aphasia While aphasia has traditionally been described in terms of language deficits, there is increasing evidence that many people with aphasia commonly experience co-occurring non-linguistic cognitive deficits in areas such as attention, memory, executive functions and learning. By some accounts, cognitive deficits, such as attention and working memory constitute the underlying cause of language impairment in people with aphasia. Others suggest that cognitive deficits often co-occur but are comparable to cognitive deficits in stroke patients without aphasia and reflect general brain dysfunction following injury. The degree to which deficits in attention and other cognitive domains underlie language deficits in aphasia is still unclear. In particular, people with aphasia often demonstrate short-term and working memory deficits. These deficits can occur in both the verbal domain as well as the visuospatial domain. Furthermore, these deficits are often associated with performance on language specific tasks such as naming, lexical processing, and sentence comprehension, and discourse production. Other studies have found that most, but not all people with aphasia demonstrate performance deficits on tasks of attention, and their performance on these tasks correlate with language performance and cognitive ability in other domains. Even patients with mild aphasia, who score near the ceiling on tests of language often demonstrate slower response times and interference effects in non-verbal attention abilities. In addition to deficits in short-term memory, working memory, and attention, people with aphasia can also demonstrate deficits in executive function. For instance, people with aphasia may demonstrate deficits in initiation, planning, self-monitoring, and cognitive flexibility. Other studies have found that people with aphasia demonstrate reduced speed and efficiency during completion executive function assessments. Regardless of their role in the underlying nature of aphasia, cognitive deficits have a clear role in the study and rehabilitation of aphasia. For instance, the severity of cognitive deficits in people with aphasia has been associated with lower quality of life, even more so than the severity of language deficits. Furthermore, cognitive deficits may influence the learning process of rehabilitation and language treatment outcomes in aphasia. Non-linguistic cognitive deficits have also been the target of interventions directed at improving language ability, though outcomes are not definitive. While some studies have demonstrated language improvement secondary to cognitively-focused treatment, others have found little evidence that the treatment of cognitive deficits in people with aphasia has an influence on language outcomes. One important caveat in the measurement and treatment of cognitive deficits in people with aphasia is the degree to which assessments of cognition rely on language abilities for successful performance. Most studies have attempted to circumvent this challenge by utilizing non-verbal cognitive assessments to evaluate cognitive ability in people with aphasia. However, the degree to which these tasks are truly 'non-verbal' and not mediated by language in unclear. For instance, Wall et al. found that language and non-linguistic performance was related, except when non-linguistic performance was measured by 'real life' cognitive tasks. Prevention of aphasia Aphasia is largely caused by unavoidable instances. However, some precautions can be taken to decrease risk for experiencing one of the two major causes of aphasia: stroke and traumatic brain injury (TBI). To decrease the probability of having an ischemic or hemorrhagic stroke, one should take the following precautions: Exercising regularly Eating a healthy diet, avoiding cholesterol in particular Keeping alcohol consumption low and avoiding tobacco use Controlling blood pressure Going to the emergency room immediately if you begin to experience unilateral extremity (especially leg) swelling, warmth, redness, and/or tenderness as these are symptoms of a deep vein thrombosis which can lead to a stroke To prevent aphasia due to traumatic injury, one sure take precautionary measures when engaging in dangerous activities such as: Wearing a helmet when operating a bicycle, motor cycle, ATV, or any other moving vehicle that could potential be involved in an accident Wearing a seatbelt when driving or riding in a car Wearing proper protective gear when playing contact sports, especially American football, rugby, and hockey, or refraining from such activities Minimizing anticoagulant use (including aspirin) if at all possible as they increase the risk of hemorrhage after a head injury Additionally, one should always seek medical attention after sustaining head trauma due to a fall or accident. The sooner that one receives medical attention for a traumatic brain injury, the less likely one is to experience long-term or severe effects. Management When addressing Wernicke's aphasia, according to Bakheit et al. (2007), the lack of awareness of the language impairments, a common characteristic of Wernicke's aphasia, may affect the rate and extent of therapy outcomes. Robey (1998) determined that at least 2 hours of treatment per week is recommended for making significant language gains. Spontaneous recovery may cause some language gains, but without speech-language therapy, the outcomes can be half as strong as those with therapy. When addressing Broca's aphasia, better outcomes occur when the person participates in therapy, and treatment is more effective than no treatment for people in the acute period. Two or more hours of therapy per week in acute and post-acute stages produced the greatest results. High-intensity therapy was most effective, and low-intensity therapy was almost equivalent to no therapy. People with global aphasia are sometimes referred to as having irreversible aphasic syndrome, often making limited gains in auditory comprehension, and recovering no functional language modality with therapy. With this said, people with global aphasia may retain gestural communication skills that may enable success when communicating with conversational partners within familiar conditions. Process-oriented treatment options are limited, and people may not become competent language users as readers, listeners, writers, or speakers no matter how extensive therapy is. However, people's daily routines and quality of life can be enhanced with reasonable and modest goals. After the first month, there is limited to no healing to language abilities of most people. There is a grim prognosis leaving 83% who were globally aphasic after the first month they will remain globally aphasic at the first year. Some people are so severely impaired that their existing process-oriented treatment approaches offer signs of progress, and therefore cannot justify the cost of therapy. Perhaps due to the relative rareness of conduction aphasia, few studies have specifically studied the effectiveness of therapy for people with this type of aphasia. From the studies performed, results showed that therapy can help to improve specific language outcomes. One intervention that has had positive results is auditory repetition training. Kohn et al. (1990) reported that drilled auditory repetition training related to improvements in spontaneous speech, Francis et al. (2003) reported improvements in sentence comprehension, and Kalinyak-Fliszar et al. (2011) reported improvements in auditory-visual short-term memory. Most acute cases of aphasia recover some or most skills by working with a speech-language pathologist. Recovery and improvement can continue for years after the stroke. After the onset of Aphasia, there is approximately a six-month period of spontaneous recovery; during this time, the brain is attempting to recover and repair the damaged neurons. Improvement varies widely, depending on the aphasia's cause, type, and severity. Recovery also depends on the person's age, health, motivation, handedness, and educational level. There is no one treatment proven to be effective for all types of aphasias. The reason that there is no universal treatment for aphasia is because of the nature of the disorder and the various ways it is presented, as explained in the above sections. Aphasia is rarely exhibited identically, implying that treatment needs to be catered specifically to the individual. Studies have shown that, although there is no consistency on treatment methodology in literature, there is a strong indication that treatment, in general, has positive outcomes. Therapy for aphasia ranges from increasing functional communication to improving speech accuracy, depending on the person's severity, needs and support of family and friends. Group therapy allows individuals to work on their pragmatic and communication skills with other individuals with aphasia, which are skills that may not often be addressed in individual one-on-one therapy sessions. It can also help increase confidence and social skills in a comfortable setting. Evidence does not support the use of transcranial direct current stimulation (tDCS) for improving aphasia after stroke. Moderate quality evidence does indicate naming performance improvements for nouns but not verbs using tDCS Specific treatment techniques include the following: Copy and recall therapy (CART) - repetition and recall of targeted words within therapy may strengthen orthographic representations and improve single word reading, writing, and naming Visual communication therapy (VIC) - the use of index cards with symbols to represent various components of speech Visual action therapy (VAT) - typically treats individuals with global aphasia to train the use of hand gestures for specific items Functional communication treatment (FCT) - focuses on improving activities specific to functional tasks, social interaction, and self-expression Promoting aphasic's communicative effectiveness (PACE) - a means of encouraging normal interaction between people with aphasia and clinicians. In this kind of therapy, the focus is on pragmatic communication rather than treatment itself. People are asked to communicate a given message to their therapists by means of drawing, making hand gestures or even pointing to an object Melodic intonation therapy (MIT) - aims to use the intact melodic/prosodic processing skills of the right hemisphere to help cue retrieval of words and expressive language Other - i.e. drawing as a way of communicating, trained conversation partners Semantic feature analysis (SFA) -a type of aphasia treatment that targets word-finding deficits. It is based on the theory that neural connections can be strengthened by using related words and phrases that are similar to the target word, to eventually activate the target word in the brain. SFA can be implemented in multiple forms such as verbally, written, using picture cards, etc. The SLP provides prompting questions to the individual with aphasia in order for the person to name the picture provided. Studies show that SFA is an effective intervention for improving confrontational naming. Melodic intonation therapy is used to treat non-fluent aphasia and has proved to be effective in some cases. However, there is still no evidence from randomized controlled trials confirming the efficacy of MIT in chronic aphasia. MIT is used to help people with aphasia vocalize themselves through speech song, which is then transferred as a spoken word. Good candidates for this therapy include people who have had left hemisphere strokes, non-fluent aphasias such as Broca's, good auditory comprehension, poor repetition and articulation, and good emotional stability and memory. An alternative explanation is that the efficacy of MIT depends on neural circuits involved in the processing of rhythmicity and formulaic expressions (examples taken from the MIT manual: "I am fine," "how are you?" or "thank you"); while rhythmic features associated with melodic intonation may engage primarily left-hemisphere subcortical areas of the brain, the use of formulaic expressions is known to be supported by right-hemisphere cortical and bilateral subcortical neural networks. Systematic reviews support the effectiveness and importance of partner training. According to the National Institute on Deafness and Other Communication Disorders (NIDCD), involving family with the treatment of an aphasic loved one is ideal for all involved, because while it will no doubt assist in their recovery, it will also make it easier for members of the family to learn how best to communicate with them. When a person's speech is insufficient, different kinds of augmentative and alternative communication could be considered such as alphabet boards, pictorial communication books, specialized software for computers or apps for tablets or smartphones. Intensity of treatment The intensity of aphasia therapy is determined by the length of each session, total hours of therapy per week, and total weeks of therapy provided. There is no consensus about what "intense" aphasia therapy entails, or how intense therapy should be to yield the best outcomes. A
deficits (anomic aphasia) might show an inability only for naming buildings, or people, or colors. It is important to note that there are typical difficulties with speech and language that come with normal aging as well. As we age, language can become more difficult to process resulting in a slowing of verbal comprehension, reading abilities and more likely word finding difficulties. With each of these though, unlike some aphasias, functionality within daily life remains intact. Boston classification Individuals with receptive aphasia (Wernicke's aphasia), also referred to as fluent aphasia, may speak in long sentences that have no meaning, add unnecessary words, and even create new "words" (neologisms). For example, someone with receptive aphasia may say, "delicious taco", meaning "The dog needs to go out so I will take him for a walk". They have poor auditory and reading comprehension, and fluent, but nonsensical, oral and written expression. Individuals with receptive aphasia usually have great difficulty understanding the speech of both themselves and others and are, therefore, often unaware of their mistakes. Receptive language deficits usually arise from lesions in the posterior portion of the left hemisphere at or near Wernicke's area. It is often the result of trauma to the temporal region of the brain, specifically damage to Wernicke's area. Trauma can be the result from an array of problems, however it is most commonly seen as a result of stroke Individuals with expressive aphasia (Broca's aphasia) frequently speak short, meaningful phrases that are produced with great effort. It is thus characterized as a nonfluent aphasia. Affected people often omit small words such as "is", "and", and "the". For example, a person with expressive aphasia may say, "walk dog", which could mean "I will take the dog for a walk", "you take the dog for a walk" or even "the dog walked out of the yard". Individuals with expressive aphasia are able to understand the speech of others to varying degrees. Because of this, they are often aware of their difficulties and can become easily frustrated by their speaking problems. While Broca's aphasia may appear to be solely an issue with language production, evidence suggests that it may be rooted in an inability to process syntactical information. Individuals with expressive aphasia may have a speech automatism (also called recurring or recurrent utterance. These speech automatisms can be repeated lexical speech automatisms; e.g., modalisations ('I can't..., I can't...'), expletives/swearwords, numbers ('one two, one two') or non-lexical utterances made up of repeated, legal but meaningless, consonant-vowel syllables (e.g.., /tan tan/, /bi bi/). In severe cases, the individual may be able to utter only the same speech automatism each time they attempt speech. Individuals with anomic aphasia have difficulty with naming. People with this aphasia may have difficulties naming certain words, linked by their grammatical type (e.g., difficulty naming verbs and not nouns) or by their semantic category (e.g., difficulty naming words relating to photography but nothing else) or a more general naming difficulty. People tend to produce grammatic, yet empty, speech. Auditory comprehension tends to be preserved. Anomic aphasia is the aphasial presentation of tumors in the language zone; it is the aphasial presentation of Alzheimer's disease. Anomic aphasia is the mildest form of aphasia, indicating a likely possibility for better recovery. Individuals with transcortical sensory aphasia, in principle the most general and potentially among the most complex forms of aphasia, may have similar deficits as in receptive aphasia, but their repetition ability may remain intact. Global aphasia is considered a severe impairment in many language aspects since it impacts expressive and receptive language, reading, and writing. Despite these many deficits, there is evidence that has shown individuals benefited from speech language therapy. Even though individuals with global aphasia will not become competent speakers, listeners, writers, or readers, goals can be created to improve the individual's quality of life. Individuals with global aphasia usually respond well to treatment that includes personally relevant information, which is also important to consider for therapy. Individuals with conduction aphasia have deficits in the connections between the speech-comprehension and speech-production areas. This might be caused by damage to the arcuate fasciculus, the structure that transmits information between Wernicke's area and Broca's area. Similar symptoms, however, can be present after damage to the insula or to the auditory cortex. Auditory comprehension is near normal, and oral expression is fluent with occasional paraphasic errors. Paraphasic errors include phonemic/literal or semantic/verbal. Repetition ability is poor. Conduction and transcortical aphasias are caused by damage to the white matter tracts. These aphasias spare the cortex of the language centers but instead create a disconnection between them. Conduction aphasia is caused by damage to the arcuate fasciculus. The arcuate fasciculus is a white matter tract that connects Broca's and Wernicke's areas. People with conduction aphasia typically have good language comprehension, but poor speech repetition and mild difficulty with word retrieval and speech production. People with conduction aphasia are typically aware of their errors. Two forms of conduction aphasia have been described: reproduction conduction aphasia (repetition of a single relatively unfamiliar multisyllabic word) and repetition conduction aphasia (repetition of unconnected short familiar words Transcortical aphasias include transcortical motor aphasia, transcortical sensory aphasia, and mixed transcortical aphasia. People with transcortical motor aphasia typically have intact comprehension and awareness of their errors, but poor word finding and speech production. People with transcortical sensory and mixed transcortical aphasia have poor comprehension and unawareness of their errors. Despite poor comprehension and more severe deficits in some transcortical aphasias, small studies have indicated that full recovery is possible for all types of transcortical aphasia. Classical-localizationist approaches Localizationist approaches aim to classify the aphasias according to their major presenting characteristics and the regions of the brain that most probably gave rise to them. Inspired by the early work of nineteenth-century neurologists Paul Broca and Carl Wernicke, these approaches identify two major subtypes of aphasia and several more minor subtypes: Expressive aphasia (also known as "motor aphasia" or "Broca's aphasia"), which is characterized by halted, fragmented, effortful speech, but well-preserved comprehension relative to expression. Damage is typically in the anterior portion of the left hemisphere, most notably Broca's area. Individuals with Broca's aphasia often have right-sided weakness or paralysis of the arm and leg, because the left frontal lobe is also important for body movement, particularly on the right side. Receptive aphasia (also known as "sensory aphasia" or "Wernicke's aphasia"), which is characterized by fluent speech, but marked difficulties understanding words and sentences. Although fluent, the speech may lack in key substantive words (nouns, verbs, adjectives), and may contain incorrect words or even nonsense words. This subtype has been associated with damage to the posterior left temporal cortex, most notably Wernicke's area. These individuals usually have no body weakness, because their brain injury is not near the parts of the brain that control movement. Conduction aphasia, where speech remains fluent, and comprehension is preserved, but the person may have disproportionate difficulty where repeating words or sentences. Damage typically involves the arcuate fasciculus and the left parietal region. Transcortical motor aphasia and transcortical sensory aphasia, which are similar to Broca's and Wernicke's aphasia respectively, but the ability to repeat words and sentences is disproportionately preserved. Recent classification schemes adopting this approach, such as the Boston-Neoclassical Model, also group these classical aphasia subtypes into two larger classes: the nonfluent aphasias (which encompasses Broca's aphasia and transcortical motor aphasia) and the fluent aphasias (which encompasses Wernicke's aphasia, conduction aphasia and transcortical sensory aphasia). These schemes also identify several further aphasia subtypes, including: anomic aphasia, which is characterized by a selective difficulty finding the names for things; and global aphasia, where both expression and comprehension of speech are severely compromised. Many localizationist approaches also recognize the existence of additional, more "pure" forms of language disorder that may affect only a single language skill. For example, in pure alexia, a person may be able to write but not read, and in pure word deafness, they may be able to produce speech and to read, but not understand speech when it is spoken to them. Cognitive neuropsychological approaches Although localizationist approaches provide a useful way of classifying the different patterns of language difficulty into broad groups, one problem is that a sizeable number of individuals do not fit neatly into one category or another. Another problem is that the categories, particularly the major ones such as Broca's and Wernicke's aphasia, still remain quite broad. Consequently, even amongst individuals who meet the criteria for classification into a subtype, there can be enormous variability in the types of difficulties they experience. Instead of categorizing every individual into a specific subtype, cognitive neuropsychological approaches aim to identify the key language skills or "modules" that are not functioning properly in each individual. A person could potentially have difficulty with just one module, or with a number of modules. This type of approach requires a framework or theory as to what skills/modules are needed to perform different kinds of language tasks. For example, the model of Max Coltheart identifies a module that recognizes phonemes as they are spoken, which is essential for any task involving recognition of words. Similarly, there is a module that stores phonemes that the person is planning to produce in speech, and this module is critical for any task involving the production of long words or long strings of speech. Once a theoretical framework has been established, the functioning of each module can then be assessed using a specific test or set of tests. In the clinical setting, use of this model usually involves conducting a battery of assessments, each of which tests one or a number of these modules. Once a diagnosis is reached as to the skills/modules where the most significant impairment lies, therapy can proceed to treat these skills. Progressive aphasias Primary progressive aphasia (PPA) is a neurodegenerative focal dementia that can be associated with progressive illnesses or dementia, such as frontotemporal dementia / Pick Complex Motor neuron disease, Progressive supranuclear palsy, and Alzheimer's disease, which is the gradual process of progressively losing the ability to think. Gradual loss of language function occurs in the context of relatively well-preserved memory, visual processing, and personality until the advanced stages. Symptoms usually begin with word-finding problems (naming) and progress to impaired grammar (syntax) and comprehension (sentence processing and semantics). The loss of language before the loss of memory differentiates PPA from typical dementias. People suffering from PPA may have difficulties comprehending what others are saying. They can also have difficulty trying to find the right words to make a sentence. There are three classifications of Primary Progressive Aphasia : Progressive nonfluent aphasia (PNFA), Semantic Dementia (SD), and Logopenic progressive aphasia (LPA). Progressive Jargon Aphasia is a fluent or receptive aphasia in which the person's speech is incomprehensible, but appears to make sense to them. Speech is fluent and effortless with intact syntax and grammar, but the person has problems with the selection of nouns. Either they will replace the desired word with another that sounds or looks like the original one or has some other connection or they will replace it with sounds. As such, people with jargon aphasia often use neologisms, and may perseverate if they try to replace the words they cannot find with sounds. Substitutions commonly involve picking another (actual) word starting with the same sound (e.g., clocktower - colander), picking another semantically related to the first (e.g., letter - scroll), or picking one phonetically similar to the intended one (e.g., lane - late). Deaf aphasia There have been many instances showing that there is a form of aphasia among deaf individuals. Sign languages are, after all, forms of language that have been shown to use the same areas of the brain as verbal forms of language. Mirror neurons become activated when an animal is acting in a particular way or watching another individual act in the same manner. These mirror neurons are important in giving an individual the ability to mimic movements of hands. Broca's area of speech production has been shown to contain several of these mirror neurons resulting in significant similarities of brain activity between sign language and vocal speech communication. Facial communication is a significant portion of how animals interact with each other. Humans use facial movements to create, what other humans perceive, to be faces of emotions. While combining these facial movements with speech, a more full form of language is created which enables the species to interact with a much more complex and detailed form of communication. Sign language also uses these facial movements and emotions along with the primary hand movement way of communicating. These facial movement forms of communication come from the same areas of the brain. When dealing with damages to certain areas of the brain, vocal forms of communication are in jeopardy of severe forms of aphasia. Since these same areas of the brain are being used for sign language, these same, at least very similar, forms of aphasia can show in the Deaf community. Individuals can show a form of Wernicke's aphasia with sign language and they show deficits in their abilities in being able to produce any form of expressions. Broca's aphasia shows up in some people, as well. These individuals find tremendous difficulty in being able to actually sign the linguistic concepts they are trying to express. Severity The severity of the type of aphasia varies depending on the size of the stroke. However, there is much variance between how often one type of severity occurs in certain types of aphasia. For instance, any type of aphasia can range from mild to profound. Regardless of the severity of aphasia, people can make improvements due to spontaneous recovery and treatment in the acute stages of recovery. Additionally, while most studies propose that the greatest outcomes occur in people with severe aphasia when treatment is provided in the acute stages of recovery, Robey (1998) also found that those with severe aphasia are capable of making strong language gains in the chronic stage of recovery as well. This finding implies that persons with aphasia have the potential to have functional outcomes regardless of how severe their aphasia may be. While there is no distinct pattern of the outcomes of aphasia based on severity alone, global aphasia typically makes functional language gains, but may be gradual since global aphasia affects many language areas. Cognitive deficits in aphasia While aphasia has traditionally been described in terms of language deficits, there is increasing evidence that many people with aphasia commonly experience co-occurring non-linguistic cognitive deficits
and pericardium. Its lowest pair of branches are the superior phrenic arteries, which supply the diaphragm, and the subcostal arteries for the twelfth rib. Abdominal aorta The abdominal aorta begins at the aortic hiatus of the diaphragm at the level of the twelfth thoracic vertebra. It gives rise to lumbar and musculophrenic arteries, renal and middle suprarenal arteries, and visceral arteries (the celiac trunk, the superior mesenteric artery and the inferior mesenteric artery). It ends in a bifurcation into the left and right common iliac arteries. At the point of the bifurcation, there also springs a smaller branch, the median sacral artery. Development The ascending aorta develops from the outflow tract, which initially starts as a single tube connecting the heart with the aortic arches (which will form the great arteries) in early development but is then separated into the aorta and the pulmonary trunk. The aortic arches start as five pairs of symmetrical arteries connecting the heart with the dorsal aorta, and then undergo a significant remodelling to form the final asymmetrical structure of the great arteries, with the 3rd pair of arteries contributing to the common carotids, the right 4th forming the base and middle part of the right subclavian artery and the left 4th being the central part of the aortic arch. The smooth muscle of the great arteries and the population of cells that form the aorticopulmonary septum that separates the aorta and pulmonary artery is derived from cardiac neural crest. This contribution of the neural crest to the great artery smooth muscle is unusual as most smooth muscle is derived from mesoderm. In fact the smooth muscle within the abdominal aorta is derived from mesoderm, and the coronary arteries, which arise just above the semilunar valves, possess smooth muscle of mesodermal origin. A failure of the aorticopulmonary septum to divide the great vessels results in persistent truncus arteriosus. Microanatomy The aorta is an elastic artery, and as such is quite distensible. The aorta consists of a heterogeneous mixture of smooth muscle, nerves, intimal cells, endothelial cells, fibroblast-like cells, and a complex extracellular matrix. The vascular wall consists of several layers known as the tunica externa, tunica media, and tunica intima. The thickness of the aorta requires an extensive network of tiny blood vessels called vasa vasorum, which feed the tunica externa and tunica media outer layers of the aorta. The aortic arch contains baroreceptors and chemoreceptors that relay information concerning blood pressure and blood pH and carbon dioxide levels to the medulla oblongata of the brain. This information is processed by the brain and the autonomic nervous system mediates the homeostatic responses. Within the tunica media, smooth muscle and the extracellular matrix are quantitatively the largest components of the aortic vascular wall. The fundamental unit of the aorta is the elastic lamella, which consists of smooth muscle and elastic matrix. The medial layer of the aorta consist of concentric musculoelastic layers (the elastic lamella) in mammals. The smooth muscle component does not dramatically alter the diameter of the aorta but rather serves to increase the stiffness and viscoelasticity of the aortic wall when activated. The elastic matrix dominates the biomechanical properties of the aorta. The elastic matrix forms lamellae, consisting of elastic fibers, collagens (predominately type III), proteoglycans, and glycoaminoglycans. Variation Variations may occur in the location of the aorta, and the way in which arteries branch off the aorta. The aorta, normally on the left side of the body, may be found on the right in dextrocardia, in which the heart is found on the right, or situs inversus, in which the location of all organs are flipped. Variations in the branching of individual arteries may also occur. For example, the left vertebral artery may arise from the aorta, instead of the left common carotid artery. In patent ductus arteriosus, a congenital disorder, the fetal ductus arteriosis fails to close, leaving an open vessel connecting the pulmonary artery to the proximal descending aorta. Function The aorta supplies all of the systemic circulation, which means that the entire body, except for the respiratory zone of the lung, receives its blood from the aorta. Broadly speaking, branches from the ascending aorta supply the heart; branches from the aortic arch supply the head, neck, and arms; branches from the
mediates the homeostatic responses. Within the tunica media, smooth muscle and the extracellular matrix are quantitatively the largest components of the aortic vascular wall. The fundamental unit of the aorta is the elastic lamella, which consists of smooth muscle and elastic matrix. The medial layer of the aorta consist of concentric musculoelastic layers (the elastic lamella) in mammals. The smooth muscle component does not dramatically alter the diameter of the aorta but rather serves to increase the stiffness and viscoelasticity of the aortic wall when activated. The elastic matrix dominates the biomechanical properties of the aorta. The elastic matrix forms lamellae, consisting of elastic fibers, collagens (predominately type III), proteoglycans, and glycoaminoglycans. Variation Variations may occur in the location of the aorta, and the way in which arteries branch off the aorta. The aorta, normally on the left side of the body, may be found on the right in dextrocardia, in which the heart is found on the right, or situs inversus, in which the location of all organs are flipped. Variations in the branching of individual arteries may also occur. For example, the left vertebral artery may arise from the aorta, instead of the left common carotid artery. In patent ductus arteriosus, a congenital disorder, the fetal ductus arteriosis fails to close, leaving an open vessel connecting the pulmonary artery to the proximal descending aorta. Function The aorta supplies all of the systemic circulation, which means that the entire body, except for the respiratory zone of the lung, receives its blood from the aorta. Broadly speaking, branches from the ascending aorta supply the heart; branches from the aortic arch supply the head, neck, and arms; branches from the thoracic descending aorta supply the chest (excluding the heart and the respiratory zone of the lung); and branches from the abdominal aorta supply the abdomen. The pelvis and legs get their blood from the common iliac arteries. Blood flow and velocity The pulsatile nature of blood flow creates a pulse wave that is propagated down the arterial tree, and at bifurcations reflected waves rebound to return to semilunar valves and the origin of the aorta. These return waves create the dicrotic notch displayed in the aortic pressure curve during the cardiac cycle as these reflected waves push on the aortic semilunar valve. With age, the aorta stiffens such that the pulse wave is propagated faster and reflected waves return to the heart faster before the semilunar valve closes, which raises the blood pressure. The stiffness of the aorta is associated with a number of diseases and pathologies, and noninvasive measures of the pulse wave velocity are an independent indicator of hypertension. Measuring the pulse wave velocity (invasively and non-invasively) is a means of determining arterial stiffness. Maximum aortic velocity may be noted as Vmax or less commonly as AoVmax. Mean arterial pressure (MAP) is highest in the aorta, and the MAP decreases across the circulation from aorta to arteries to arterioles to capillaries to veins back to atrium. The difference between aortic and right atrial pressure accounts for blood flow in the circulation. When the left ventricle contracts to force blood into the aorta, the aorta expands. This stretching gives the potential energy that will help maintain blood pressure during diastole, as during this time the aorta contracts passively. This Windkessel effect of the great elastic arteries has important biomechanical implications. The elastic recoil helps conserve the energy from the pumping heart and smooth out the pulsatile nature created by the heart. Aortic pressure is highest at the aorta and becomes less pulsatile and lower pressure as blood vessels divide into arteries, arterioles, and capillaries such that flow is slow and smooth for gases and nutrient exchange. Clinical significance Aortic aneurysm – mycotic, bacterial (e.g. syphilis), senile, genetic, associated with valvular heart disease Aortic coarctation – pre-ductal, post-ductal Aortic dissection Aortic stenosis Abdominal aortic aneurysm Aortitis, inflammation of the aorta that can be
pronouncement against Abimelech and those who had crowned him. The curse was that if they had not dealt righteously with the family of Jerrubaal, then fire would come against Abimelech from the people of Shechem and fire would come out of Abimelech against the people who had backed him in this bloody coup. After Abimelech ruled for three years, the pronouncement came through. The people of Shechem set robbers to lie in wait of any goods or money headed to Abimelech and steal everything. Then Gaal Son of Ebed went to Shechem and drunkenly bragged that he would remove Abimelech from the throne. Zebul - ruler of Shechem sent word to Abimelech along with a battle strategy. Once Zebul taunted Gaal into fighting Abimelech, he shut Gaal and his brethren out of the city. Abimelech then slew the field workers that came out of the city of Shechem the next day. When he heard that the people of Shechem had locked themselves in a strong tower, he and his men set fire to it, killing about a thousand men and women. After this, Abimelech went to Thebez and camped against it. When he went close to the tower in Thebez to set it on fire, a woman dropped an upper millstone on Abimelech's head. He did not want to be known as having been killed by a woman, so he asked his armour bearer to run him through with a sword. His place of death is cited as being Thebez. Abimelech of Gerar Abimelech was most prominently the name of a polytheistic king of Gerar who is mentioned in two of the three wife-sister narratives in Genesis, in connection with both Abraham and Isaac. King Abimelech of Gerar also appears in an extra-biblical tradition recounted in texts such as the Kitab al-Magall, the Cave of Treasures and the Conflict of Adam and Eve with Satan, as one
if they had not dealt righteously with the family of Jerrubaal, then fire would come against Abimelech from the people of Shechem and fire would come out of Abimelech against the people who had backed him in this bloody coup. After Abimelech ruled for three years, the pronouncement came through. The people of Shechem set robbers to lie in wait of any goods or money headed to Abimelech and steal everything. Then Gaal Son of Ebed went to Shechem and drunkenly bragged that he would remove Abimelech from the throne. Zebul - ruler of Shechem sent word to Abimelech along with a battle strategy. Once Zebul taunted Gaal into fighting Abimelech, he shut Gaal and his brethren out of the city. Abimelech then slew the field workers that came out of the city of Shechem the next day. When he heard that the people of Shechem had locked themselves in a strong tower, he and his men set fire to it, killing about a thousand men and women. After this, Abimelech went to Thebez and camped against it. When he went close to the tower in Thebez to set it on fire, a woman dropped an upper millstone on Abimelech's head. He did not want to be known as having been killed by a woman, so he asked his armour bearer to run him through with a sword. His place of death is cited as being Thebez. Abimelech of Gerar Abimelech was most prominently the name of a polytheistic king of Gerar who is mentioned in two of the three wife-sister narratives in Genesis,
that, not having bought or owned BitKeeper – and thus having never agreed to its license – he could not violate it, and was analyzing the protocol ethically, as he had done with Samba. Tridgell's involvement in the project resulted in Torvalds accusing him of playing dirty tricks with BitKeeper. Tridgell claimed his analysis started with simply telneting to a BitKeeper server and typing help. In 2011 Tridgell got involved with the software development of ArduPilot Mega, an open source Arduino-based UAV controller board, working on an entry for the UAV Challenge Outback Rescue. Academic achievements Tridgell completed a PhD at the Computer Sciences Laboratory of the Australian National University. His original doctorate work was in the area of speech recognition but was never completed. His submitted dissertation 'Efficient Algorithms for Sorting and Synchronization' was based on his work on the rsync algorithm. Awards and honours In October 2003, The Bulletin magazine judged Tridgell to be Australia's smartest Information and Communications Technology person. In July 2008, Tridgell was named "Best Interoperator" at the Google–O'Reilly Open Source Awards, for his work on Samba and rsync. Tridgell (along with Jeremy Allison and Volker Lendecke) has been called a "guru in its traditional Indian meaning" by IT writer, Sam Varghese. On 11 December 2018, Tridgell was awarded the degree of Doctor of Science (Honoris Causa) by the Australian National University, for authoring Samba, co-inventing rsync; and contributions to free and open source software. On 26 January 2020, Tridgell was awarded the Medal (OAM) of the Order of Australia in the General Division for service to Information Technology. The biographical notes for the award noted his contributions to software development and education including his work on rsync, Samba, ArduPilot, MAVProxy as well as teaching at the Australian National University. References External links
rsync. He developed spamsum, based on locality-sensitive hashing algorithms. He is the author of KnightCap, a reinforcement-learning based chess engine. Tridgell was also a leader in hacking the TiVo to make it work in Australia, which uses the PAL video format. In April 2005, Tridgell tried to produce free software (now known as SourcePuller) that interoperated with the BitKeeper source code repository. This was cited as the reason that BitMover revoked a license allowing Linux developers free use of their BitKeeper product. Linus Torvalds, the creator of the Linux kernel, and Tridgell were thus involved in a public debate about the events, in which Tridgell stated that, not having bought or owned BitKeeper – and thus having never agreed to its license – he could not violate it, and was analyzing the protocol ethically, as he had done with Samba. Tridgell's involvement in the project resulted in Torvalds accusing him of playing dirty tricks with BitKeeper. Tridgell claimed his analysis started with simply telneting to a BitKeeper server and typing help. In 2011 Tridgell got involved with the software development of ArduPilot Mega, an open source Arduino-based UAV controller board, working on an entry for the UAV Challenge Outback Rescue. Academic achievements Tridgell completed a PhD at the Computer Sciences Laboratory of the Australian National University. His original doctorate work was in the area of speech recognition but was never completed.
to Festius. Hesychius of Alexandria, (5th century) calls it similar to a spear. Suda lexicon (10th century) calls it a Roman javelin. See also Illyrian weaponry
similar to a spear. Suda lexicon (10th century) calls it a Roman javelin. See also Illyrian weaponry References Javelins Spears Ancient weapons Projectiles Illyrian warfare
team was forced to send the source code over the phone lines to Call Computer, an outfit that offered compiler services. This was an extremely tedious, slow process and after Call Computer lost the source code due to an equipment malfunction, one of the programmers, Cliff Huston, used his own IMSAI 8080 computer to cross assemble the BASIC source. Features Applesoft is similar to Commodore's BASIC 2.0 aside from features inherited from Integer BASIC. There are a few minor differences such as Applesoft's lack of bitwise operators; otherwise most BASIC programs that do not use hardware-dependent features will run on both BASICs. The PR# statement redirects output to an expansion card, and IN# redirects input from an expansion card. The slot number of the card is specified after the PR# or IN# within the statement. The computer locks-up if there is no card present in the slot. PR#0 restores output to the 40 column screen and IN#0 to the keyboard. The PR# statement can be used to redirect output to the printer (e.g. ) where x is the slot number containing the printer port card. To send a BASIC program listing to the printer, the user types . PR#6 causes Applesoft to boot the disk drives (although the Disk II controller can be in any slot, it is usually in slot 6). PR#3 switches to 80 column text mode if an 80 column card is present. As with Commodore BASIC, numeric variables are stored as 40-bit floating point; each variable requires five bytes of memory. The programmer may designate variables as integer by following them with a percent sign, in which case they use two bytes and are limited to a range of -32768 to 32767; however BASIC internally converts them back to floating point, while each percent sign also takes an additional byte of program code, so in practice this feature is only useful for reducing the memory usage of large array variables. The RND function generates a pseudorandom fractional number between 0 and 1. returns the most recently generated random number. RND with a negative number will jump to a point in the sequence determined by the particular negative number used. RND with any positive value generates the next number in the sequence, not dependent on the actual value given. Locations $4E and $4F, which the system cycles the values of continuously while waiting for user keystrokes, can be PEEKed to provide truly random values to use as a seed (when negated) for RND. For example, after keyboard input, will seed RND with the values of $4E and $4F. Like other implementations of Microsoft BASIC, Applesoft discards spaces (outside of strings and comments) on program lines. LIST adds spaces when displaying code for the sake of readability. Since LIST adds a space before and after every tokenized keyword, it often produces two spaces in a row where one would suffice for readability. The default prompt for INPUT is a question mark. PRINT does not add a leading space in front of numbers. Coleco claimed that its Adam home computer's SmartBASIC was source-code compatible with Applesoft. Microsoft licensed a BASIC compatible with Applesoft to VTech for its Laser 128 clone. Limitations Through several early models of the Apple II, Applesoft BASIC did not support the use of lowercase letters in programs, except in strings. PRINT is a valid command but print and Print result in a syntax error. Applesoft lacks several commands and functions common to most of the non-6502 Microsoft BASIC interpreters, such as: INSTR (search for a substring in a string) PRINT USING (format numbers in printed output) INKEY$ (check for a keypress without stopping the program; although a PEEK to location $C000 achieves this action) LPRINT (output to a printer instead of the screen) Applesoft does not have commands for file or disk handling, other than to save and load programs via cassette tape. The Apple II disk operating system, known simply as DOS, augments the language to provide such abilities. Only the first two letters of variables names are significant. For example, "LOW" and "LOSS" are treated as the same variable, and attempting to assign a value to "LOSS" overwrites any value assigned to "LOW". A programmer also has to avoid consecutive letters that are Applesoft commands or operations. The name "SCORE" for a variable is interpreted as containing the OR Boolean operator, rendered as SC OR E. "BACKGROUND" contains GR, the command to invoke the low-resolution graphics mode, and results in a syntax error. Sound and graphics The only sound support is the option
to an equipment malfunction, one of the programmers, Cliff Huston, used his own IMSAI 8080 computer to cross assemble the BASIC source. Features Applesoft is similar to Commodore's BASIC 2.0 aside from features inherited from Integer BASIC. There are a few minor differences such as Applesoft's lack of bitwise operators; otherwise most BASIC programs that do not use hardware-dependent features will run on both BASICs. The PR# statement redirects output to an expansion card, and IN# redirects input from an expansion card. The slot number of the card is specified after the PR# or IN# within the statement. The computer locks-up if there is no card present in the slot. PR#0 restores output to the 40 column screen and IN#0 to the keyboard. The PR# statement can be used to redirect output to the printer (e.g. ) where x is the slot number containing the printer port card. To send a BASIC program listing to the printer, the user types . PR#6 causes Applesoft to boot the disk drives (although the Disk II controller can be in any slot, it is usually in slot 6). PR#3 switches to 80 column text mode if an 80 column card is present. As with Commodore BASIC, numeric variables are stored as 40-bit floating point; each variable requires five bytes of memory. The programmer may designate variables as integer by following them with a percent sign, in which case they use two bytes and are limited to a range of -32768 to 32767; however BASIC internally converts them back to floating point, while each percent sign also takes an additional byte of program code, so in practice this feature is only useful for reducing the memory usage of large array variables. The RND function generates a pseudorandom fractional number between 0 and 1. returns the most recently generated random number. RND with a negative number will jump to a point in the sequence determined by the particular negative number used. RND with any positive value generates the next number in the sequence, not dependent on the actual value given. Locations $4E and $4F, which the system cycles the values of continuously while waiting for user keystrokes, can be PEEKed to provide truly random values to use as a seed (when negated) for RND. For example, after keyboard input, will seed RND with the values of $4E and $4F. Like other implementations of Microsoft BASIC, Applesoft discards spaces (outside of strings and comments) on program lines. LIST adds spaces when displaying code for the sake of readability. Since LIST adds a space before and after every tokenized keyword, it often produces two spaces in a row where one would suffice for readability. The default prompt for INPUT is a question mark. PRINT does not add a leading space in front of numbers. Coleco claimed that its Adam home computer's SmartBASIC was source-code compatible with Applesoft. Microsoft licensed a BASIC compatible with Applesoft to VTech for its Laser 128 clone. Limitations Through several early models of the Apple II, Applesoft BASIC did not support the use of lowercase letters in programs, except in strings. PRINT is a valid command but print and Print result in a syntax error. Applesoft lacks several commands and functions common to most of the non-6502 Microsoft BASIC interpreters, such as: INSTR (search for a substring in a string) PRINT USING (format numbers in printed output) INKEY$ (check for a keypress without stopping the program; although a PEEK to location $C000 achieves this action) LPRINT (output to a printer instead of the screen) Applesoft does not have commands for file or disk handling, other than to save and load programs via cassette tape. The Apple II disk operating system, known simply as DOS, augments the language to provide such abilities. Only the first two letters of variables names are significant. For example, "LOW" and "LOSS" are treated as the same variable, and attempting to assign a value to "LOSS" overwrites any value assigned to "LOW". A programmer also has to avoid consecutive letters that are Applesoft commands or operations. The name "SCORE" for a variable is interpreted as containing the OR Boolean operator, rendered as SC OR E. "BACKGROUND" contains GR, the command to invoke the low-resolution graphics mode, and results in a syntax error. Sound and graphics The only sound support is the option to PRINT an ASCII bell character to sound the system alert beep, and a PEEK command to click the speaker. The language is not fast enough to produce more than a baritone buzz from repeated clicks. Programs can, however, store a machine-language routine to be called to generate electronic musical tones spanning several octaves. Applesoft supports the low resolution (lores) graphics display, where 40 color pixels horizontally, and up to 48 vertically, can be displayed in 16 colors, and the 280 by 192 high resolution (hires) mode. There are commands to plot pixels and draw horizontal and vertical lines in lores. Hires allows drawing arbitrary lines. Vector-based shape tables can be used to draw objects in high-resolution graphic modes. They consist of horizontal and vertical lines, and entire shapes can be scaled to larger sizes and rotated to any angle. No provision exists for mixing text and graphics, except for the Apple's four lines of text at the bottom of a graphic display. Beginning with the Apple IIe, a "double-high resolution" mode became available on machines with 128k of memory. This mode essentially duplicates the resolution of the original hires mode, but including all 16 colors of the lores palette. Applesoft does not provide direct support for this mode. Apple IIgs-specific modes are likewise not supported. Extensions Applesoft BASIC can be extended by two means: the ampersand (&) command and the USR() function. These are two features that call low-level machine-language routines stored in memory, which is useful for routines that need to be fast or require direct access to arbitrary functions or data in memory. The USR() function takes one numerical argument, and can be programmed to derive and return a calculated function value, to be used in a numerical expression. "&" is effectively a shorthand for CALL, with an address that is predefined. Bugs A deficiency with error-trapping via ONERR means that the system stack is not reset if an error-handling routine does not invoke RESUME, potentially leading to a crash. The built-in pseudorandom
"fixed idea" or obsession), is called Dogmatix in English, which not only renders the original meaning strikingly closely ("dogmatic") but in fact adds another layer of wordplay with the syllable "Dog-" at the beginning of the name. The name Asterix, French Astérix, comes from , meaning "asterisk", which is the typographical symbol * indicating a footnote, from the Greek word αστήρ (aster), meaning a "star". His name is usually left unchanged in translations, aside from accents and the use of local alphabets. For example, in Esperanto, Polish, Slovene, Latvian, and Turkish it is Asteriks (in Turkish he was first named Bücür meaning "shorty", but the name was then standardised). Two exceptions include Icelandic, in which he is known as Ástríkur ("Rich of love"), and Sinhala, where he is known as (Soora Pappa), which can be interpreted as "Hero". The name Obelix (Obélix) may refer to "obelisk", a stone column from ancient Egypt, but also to another typographical symbol, the obelisk or obelus (). For explanations of some of the other names, see List of Asterix characters. Ethnic stereotypes Many of the Asterix adventures take place in other countries away from their homeland in Gaul. In every album that takes place abroad, the characters meet (usually modern-day) stereotypes for each country, as seen by the French. Italics (Italians) are the inhabitants of Italy. In the adventures of Asterix, the term "Romans" is used by non-Italics to refer to all inhabitants of Italy, who at that time had extended their dominion over a large part of the Mediterranean basin. But as can be seen in Asterix and the Chariot Race, in the Italic peninsula this term is used only to the people from the capital, with many Italics preferring to identify themselves as Umbrians, Etruscans, Venetians, etc. Various topics from this country are explored, as in this example, Italian gastronomy (pasta, pizza, wine), art, famous people (Pavarotti, Berlusconi, Mona Lisa), and even the controversial issue of political corruption.Romans in general appear more similar to the historical Romans, than to modern-age Italians. Goths (Germans) are disciplined and militaristic, they are composed of many factions that fight amongst each other (which is a reference to Germany before Otto von Bismarck, and to East and West Germany after the Second World War), and they wear the Pickelhaube helmet common during the German Empire. In later appearances, the Goths tend to be more good-natured. Helvetians (Swiss) are neutral, eat fondue, and are obsessed with cleaning, accurate time-keeping, and banks. The Britons (English) are phlegmatic, and speak with early 20th-century aristocratic slang (similar to Bertie Wooster). They stop for tea every day (making it with hot water and a drop of milk until Asterix brings them actual tea leaves), drink lukewarm beer (Bitter), eat tasteless foods with mint sauce (Rosbif), and live in streets containing rows of identical houses. In Asterix and Obelix: God Save Britannia the Britons all wore woollen pullovers and Tam o' shanters. Hibernians (Irish) inhabit Hibernia, the Latin name of Ireland and they fight against the Romans alongside the Britons to defend the British Isles. Iberians (Spanish) are filled with pride and have rather choleric tempers. They produce olive oil, provide very slow aid for chariot problems on the Roman roads and (thanks to Asterix) adopt bullfighting as a tradition. When the Gauls visited North America in Asterix and the Great Crossing, Obelix punches one of the attacking Native Americans with a knockout blow. The warrior first hallucinates American-style emblematic eagles; the second time, he sees stars in the formation of the Stars and Stripes; the third time, he sees stars shaped like the United States Air Force roundel. Asterix's inspired idea for getting the attention of a nearby Viking ship (which could take them back to Gaul) is to hold up a torch; this refers to the Statue of Liberty (which was a gift from France). Corsicans are proud, patriotic, and easily aroused but lazy, making decisions by using pre-filled ballot boxes. They harbour vendettas against each other, and always take their siesta. Greeks are chauvinists and consider Romans, Gauls, and all others to be barbarians. They eat stuffed grape leaves (dolma), drink resinated wine (retsina), and are hospitable to tourists. Most seem to be related by blood, and often suggest some cousin appropriate for a job. Greek characters are often depicted in side profile, making them resemble figures from classical Greek vase paintings. Normans (Vikings) drink endlessly, they always use cream in their cuisine, they don't know what fear is (which they're trying to discover), and in their home territory (Scandinavia), the night lasts for 6 months.Their depiction in the albums is a mix of stereotypes of Swedish Vikings and the Norman French. Cimbres (Danes) are very similar to the Normans with the greatest difference being that the Gauls are unable to communicate with them. Their names end in "-sen", a common ending of surnames in Denmark and Norway akin to "-son". Belgians speak with a funny accent, snub the Gauls, and always eat sliced roots deep-fried in bear fat. They also tell Belgian jokes. Lusitanians (Portuguese) are short in stature and polite (Uderzo said all the Portuguese who he had met were like that). The Indians have elephant trainers, as well as gurus who can fast for weeks and levitate on magic carpets. They worship thirty-three million deities and consider cows as sacred. They also bathe in the Ganges river. Egyptians are short with prominent noses, endlessly engaged in building pyramids and palaces. Their favorite food is lentil soup and they sail feluccas along the banks of the Nile River. Persians (Iranians) produce carpets and staunchly refuse to mend foreign ones. They eat caviar, as well as roasted camel and the women wear burqas. Hittites (Turks), Sumerians, Akkadians, Assyrians, and Babylonians (the last four peoples: Iraqis) are perpetually at war with each other and attack strangers because they confuse them with their enemies, but they later apologize when they realize that the strangers are not their enemies. This is likely a criticism of the constant conflicts among the Middle Eastern peoples. The Jews are all depicted as Yemenite Jews, with dark skin, black eyes, and beards, a tribute to Marc Chagall, the famous painter whose painting of King David hangs at the Knesset (Israeli Parliament). Numidians, contrary to the Berber inhabitants of ancient Numidia (located in North Africa), are obviously Africans from sub-Saharan Africa. The names end in "-tha", similar to the historical king Jugurtha of Numidia. The Picts (Scots) wear a typical dress with a kilt (skirt), have the habit of drinking "malt water" (whisky) and throwing logs (caber tossing) as a popular sport and their names all start with "Mac-". Sarmatians (Ukrainians), inhabit the North Black Sea area, which represents present-day Ukraine. Their names end in "-ov", like many Ukrainian surnames. When the Gauls see foreigners speaking their foreign languages, these have different representations in the cartoon speech bubbles: Iberian: Same as Spanish, with inversion of exclamation marks ('¡') and question marks ("¿") Goth language: Gothic script (incomprehensible to the Gauls, except Getafix) Viking (Normans and Cimbres): "Ø" and "Å" instead of "O" and "A" (incomprehensible to the Gauls) Amerindian: Pictograms and sign language (generally incomprehensible to the Gauls) Egyptians and Kushites: Hieroglyphs with explanatory footnotes (incomprehensible to the Gauls) Greek: Straight letters, carved as if in stone Sarmatian: In their speech balloons, some letters (E, F, N, R ...) are written in a mirror-reversed form, which evokes the modern Cyrillic alphabet. Translations The various volumes have been translated into more than 100 languages and dialects. Besides the original French language, most albums are available in Bengali, Estonian, English, Czech, Dutch, German, Galician, Danish, Icelandic, Norwegian, Swedish, Finnish, Spanish, Catalan, Basque, Portuguese, Italian, Greek, Hungarian, Polish, Romanian, Turkish, Slovene, Bulgarian, Serbian, Croatian, Latvian, Welsh, as well as Latin. Selected albums have also been translated into languages such as Esperanto, Scottish Gaelic, Irish, Scots, Indonesian, Persian, Mandarin, Korean, Japanese, Bengali, Afrikaans, Arabic, Hindi, Hebrew, Frisian, Romansch, Vietnamese, Sinhala, Ancient Greek, and Luxembourgish. In Europe, several volumes were translated into a variety of regional languages and dialects, such as Alsatian, Breton, Chtimi (Picard), and Corsican in France; Bavarian, Swabian, and Low German in Germany; and Savo, Karelia, Rauma, and Helsinki slang dialects in Finland. Also, in Portugal, a special edition of the first volume, Asterix the Gaul, was translated into local language Mirandese. In Greece, a number of volumes have appeared in the Cretan Greek, Cypriot Greek, and Pontic Greek dialects. In the Italian version, while the Gauls speak standard Italian, the legionaries speak in the Romanesque dialect. In the former Yugoslavia, the "Forum" publishing house translated Corsican text in Asterix in Corsica into the Montenegrin dialect of Serbo-Croatian (today called Montenegrin). In the Netherlands, several volumes were translated into West Frisian, a Germanic language spoken in the province of Friesland; into Limburgish, a regional language spoken not only in Dutch Limburg but also in Belgian Limburg and North Rhine-Westphalia, Germany; and into Tweants, a dialect in the region of Twente in the eastern province of Overijssel. Hungarian-language books have been published in Yugoslavia for the Hungarian minority living in Serbia. Although not translated into a fully autonomous dialect, the books differ slightly from the language of the books issued in Hungary. In Sri Lanka, the cartoon series was adapted into Sinhala as Sura Pappa. Most volumes have been translated into Latin and Ancient Greek, with accompanying teachers' guides, as a way of teaching these ancient languages. English translation Before Asterix became famous, translations of some strips were published in British comics including Valiant, Ranger, and Look & Learn, under names Little Fred and Big Ed and Beric the Bold, set in Roman-occupied Britain. These were included in an exhibition on Goscinny's life and career, and Asterix, in London's Jewish Museum in 2018. In 1970 William Morrow published English translations in hardback of three Asterix albums for the American market. These were Asterix the Gaul, Asterix and Cleopatra and Asterix the Legionary. Lawrence Hughes in a letter to The New York Times stated, "Sales were modest, with the third title selling half the number of the first. I was publisher at the time, and Bill Cosby tried to buy film and television rights. When that fell through, we gave up the series." The first 33 Asterix albums were translated into English by Anthea Bell and Derek Hockridge (including the three volumes reprinted by William Morrow), who were widely praised for maintaining the spirit and humour of the original French versions. Hockridge died in 2013, so Bell translated books 34 to 36 by herself, before retiring in 2016 for health reasons. She died in 2018. Adriana Hunter is the present translator. US publisher Papercutz in December 2019 announced it would begin publishing "all-new more American translations" of the Asterix books, starting on 19 May 2020. The launch was postponed to 15 July 2020 as a result of the COVID-19 pandemic. The new translator is Joe Johnson (Dr. Edward Joseph Johnson), a Professor of French and Spanish at Clayton State University. Adaptations The series has been adapted into various media. There are 18 films, 15 board games, 40 video games, and 1 theme park. Films Deux Romains en Gaule, 1967 black and white television film, mixed media, live-action with Asterix and Obelix animated. Released on DVD in 2002. Asterix the Gaul, 1967, animated, based on the album Asterix the Gaul. Asterix and the Golden Sickle, 1967, animated, based upon the album Asterix and the Golden Sickle, incomplete and never released. Asterix and Cleopatra, 1968, animated, based on the album Asterix and Cleopatra. The Dogmatix Movie, 1973, animated, a unique story based on Dogmatix and his animal friends, Albert Uderzo created a comic version (consisting of eight comics, as the film is a combination of 8 different stories) of the never-released movie in 2003. The Twelve Tasks of Asterix, 1976, animated, a unique story not based on an existing comic. Asterix Versus Caesar, 1985, animated, based on both Asterix the Legionary and Asterix the Gladiator. Asterix in Britain, 1986, animated, based upon the album Asterix in Britain. Asterix and the Big Fight, 1989, animated, based on both Asterix and the Big Fight and Asterix and the Soothsayer. Asterix Conquers America, 1994, animated, loosely based upon the album Asterix and the Great Crossing. Asterix and Obelix vs. Caesar, 1999, live-action, based primarily upon Asterix the Gaul, Asterix and the Soothsayer, Asterix and the Goths, Asterix the Legionary, and Asterix the Gladiator. Asterix & Obelix: Mission Cleopatra, 2002, live-action, based upon the album Asterix and Cleopatra. Asterix and Obelix in Spain, 2004, live-action, based upon the album Asterix in Spain, incomplete and never released because of disagreement with the team behind the movie and the creator of the comics. Asterix and the Vikings, 2006, animated, loosely based upon the album Asterix and the Normans. Asterix at the Olympic Games, 2008, live-action, loosely based upon the album Asterix at the Olympic Games. Asterix and Obelix: God Save Britannia, 2012, live-action, loosely based upon the album Asterix in Britain and Asterix and the Normans. Asterix: The Mansions of the Gods, 2014, computer-animated, based upon the album The Mansions of the Gods and is the first animated Asterix movie in stereoscopic 3D. Asterix: The Secret of the Magic Potion, 2018, computer-animated, original story. Television series On 17 November, 2018, a 52 eleven-minute episode computer-animated series centred around Dogmatix was announced to be in production by Studio 58 and Futurikon for broadcast on France Télévisions in 2020. On 21 December, 2020, it was confirmed that Dogmatix and the Indomitables had been pushed back to fall 2021, with o2o Studio producing the animation. The show is distributed globally by LS Distribution. The series premiered on the Okoo streaming service on 2 July before beginning its linear broadcast on France 4 on 28 August 2021. On 3 March, 2021, it was announced that Asterix the Gaul is to star in a new Netflix animated series directed by Alain Chabat. The series will be adapted from one of the classic volumes, Asterix and the Big Fight, where the Romans, after being constantly embarrassed by Asterix and his village cohorts, organize a brawl between rival Gaulish chiefs and try to fix the result by kidnapping a druid along with his much-needed magic potion. The series will debut in 2023. The series will be CG-Animated. Games Many gamebooks, board games and video games are based upon the Asterix series. In particular, many video games were released by various computer game publishers. Theme park Parc Astérix, a theme park 22 miles north of Paris, based upon the series, was opened in 1989. It is one of the most visited sites in France, with around 1.6 million visitors per year. Influence in popular culture The first French satellite, which was launched in 1965, was named Astérix-1 in honour of Asterix. Asteroids 29401 Asterix and 29402 Obelix were also named in honour of the characters. Coincidentally, the word Asterix/Asterisk originates from the Greek for Little Star. During the campaign for Paris to host the 1992 Summer Olympics, Asterix appeared in many posters over the Eiffel Tower. The French company Belin introduced a series of Asterix crisps shaped in the forms of Roman shields, gourds, wild boar, and bones. In the UK in 1995, Asterix coins were presented free in every Nutella jar. In 1991, Asterix and Obelix appeared on the cover of Time for a special edition about France, art directed by Mirko Ilic. In a 2009 issue of the same magazine, Asterix is described
"shorty", but the name was then standardised). Two exceptions include Icelandic, in which he is known as Ástríkur ("Rich of love"), and Sinhala, where he is known as (Soora Pappa), which can be interpreted as "Hero". The name Obelix (Obélix) may refer to "obelisk", a stone column from ancient Egypt, but also to another typographical symbol, the obelisk or obelus (). For explanations of some of the other names, see List of Asterix characters. Ethnic stereotypes Many of the Asterix adventures take place in other countries away from their homeland in Gaul. In every album that takes place abroad, the characters meet (usually modern-day) stereotypes for each country, as seen by the French. Italics (Italians) are the inhabitants of Italy. In the adventures of Asterix, the term "Romans" is used by non-Italics to refer to all inhabitants of Italy, who at that time had extended their dominion over a large part of the Mediterranean basin. But as can be seen in Asterix and the Chariot Race, in the Italic peninsula this term is used only to the people from the capital, with many Italics preferring to identify themselves as Umbrians, Etruscans, Venetians, etc. Various topics from this country are explored, as in this example, Italian gastronomy (pasta, pizza, wine), art, famous people (Pavarotti, Berlusconi, Mona Lisa), and even the controversial issue of political corruption.Romans in general appear more similar to the historical Romans, than to modern-age Italians. Goths (Germans) are disciplined and militaristic, they are composed of many factions that fight amongst each other (which is a reference to Germany before Otto von Bismarck, and to East and West Germany after the Second World War), and they wear the Pickelhaube helmet common during the German Empire. In later appearances, the Goths tend to be more good-natured. Helvetians (Swiss) are neutral, eat fondue, and are obsessed with cleaning, accurate time-keeping, and banks. The Britons (English) are phlegmatic, and speak with early 20th-century aristocratic slang (similar to Bertie Wooster). They stop for tea every day (making it with hot water and a drop of milk until Asterix brings them actual tea leaves), drink lukewarm beer (Bitter), eat tasteless foods with mint sauce (Rosbif), and live in streets containing rows of identical houses. In Asterix and Obelix: God Save Britannia the Britons all wore woollen pullovers and Tam o' shanters. Hibernians (Irish) inhabit Hibernia, the Latin name of Ireland and they fight against the Romans alongside the Britons to defend the British Isles. Iberians (Spanish) are filled with pride and have rather choleric tempers. They produce olive oil, provide very slow aid for chariot problems on the Roman roads and (thanks to Asterix) adopt bullfighting as a tradition. When the Gauls visited North America in Asterix and the Great Crossing, Obelix punches one of the attacking Native Americans with a knockout blow. The warrior first hallucinates American-style emblematic eagles; the second time, he sees stars in the formation of the Stars and Stripes; the third time, he sees stars shaped like the United States Air Force roundel. Asterix's inspired idea for getting the attention of a nearby Viking ship (which could take them back to Gaul) is to hold up a torch; this refers to the Statue of Liberty (which was a gift from France). Corsicans are proud, patriotic, and easily aroused but lazy, making decisions by using pre-filled ballot boxes. They harbour vendettas against each other, and always take their siesta. Greeks are chauvinists and consider Romans, Gauls, and all others to be barbarians. They eat stuffed grape leaves (dolma), drink resinated wine (retsina), and are hospitable to tourists. Most seem to be related by blood, and often suggest some cousin appropriate for a job. Greek characters are often depicted in side profile, making them resemble figures from classical Greek vase paintings. Normans (Vikings) drink endlessly, they always use cream in their cuisine, they don't know what fear is (which they're trying to discover), and in their home territory (Scandinavia), the night lasts for 6 months.Their depiction in the albums is a mix of stereotypes of Swedish Vikings and the Norman French. Cimbres (Danes) are very similar to the Normans with the greatest difference being that the Gauls are unable to communicate with them. Their names end in "-sen", a common ending of surnames in Denmark and Norway akin to "-son". Belgians speak with a funny accent, snub the Gauls, and always eat sliced roots deep-fried in bear fat. They also tell Belgian jokes. Lusitanians (Portuguese) are short in stature and polite (Uderzo said all the Portuguese who he had met were like that). The Indians have elephant trainers, as well as gurus who can fast for weeks and levitate on magic carpets. They worship thirty-three million deities and consider cows as sacred. They also bathe in the Ganges river. Egyptians are short with prominent noses, endlessly engaged in building pyramids and palaces. Their favorite food is lentil soup and they sail feluccas along the banks of the Nile River. Persians (Iranians) produce carpets and staunchly refuse to mend foreign ones. They eat caviar, as well as roasted camel and the women wear burqas. Hittites (Turks), Sumerians, Akkadians, Assyrians, and Babylonians (the last four peoples: Iraqis) are perpetually at war with each other and attack strangers because they confuse them with their enemies, but they later apologize when they realize that the strangers are not their enemies. This is likely a criticism of the constant conflicts among the Middle Eastern peoples. The Jews are all depicted as Yemenite Jews, with dark skin, black eyes, and beards, a tribute to Marc Chagall, the famous painter whose painting of King David hangs at the Knesset (Israeli Parliament). Numidians, contrary to the Berber inhabitants of ancient Numidia (located in North Africa), are obviously Africans from sub-Saharan Africa. The names end in "-tha", similar to the historical king Jugurtha of Numidia. The Picts (Scots) wear a typical dress with a kilt (skirt), have the habit of drinking "malt water" (whisky) and throwing logs (caber tossing) as a popular sport and their names all start with "Mac-". Sarmatians (Ukrainians), inhabit the North Black Sea area, which represents present-day Ukraine. Their names end in "-ov", like many Ukrainian surnames. When the Gauls see foreigners speaking their foreign languages, these have different representations in the cartoon speech bubbles: Iberian: Same as Spanish, with inversion of exclamation marks ('¡') and question marks ("¿") Goth language: Gothic script (incomprehensible to the Gauls, except Getafix) Viking (Normans and Cimbres): "Ø" and "Å" instead of "O" and "A" (incomprehensible to the Gauls) Amerindian: Pictograms and sign language (generally incomprehensible to the Gauls) Egyptians and Kushites: Hieroglyphs with explanatory footnotes (incomprehensible to the Gauls) Greek: Straight letters, carved as if in stone Sarmatian: In their speech balloons, some letters (E, F, N, R ...) are written in a mirror-reversed form, which evokes the modern Cyrillic alphabet. Translations The various volumes have been translated into more than 100 languages and dialects. Besides the original French language, most albums are available in Bengali, Estonian, English, Czech, Dutch, German, Galician, Danish, Icelandic, Norwegian, Swedish, Finnish, Spanish, Catalan, Basque, Portuguese, Italian, Greek, Hungarian, Polish, Romanian, Turkish, Slovene, Bulgarian, Serbian, Croatian, Latvian, Welsh, as well as Latin. Selected albums have also been translated into languages such as Esperanto, Scottish Gaelic, Irish, Scots, Indonesian, Persian, Mandarin, Korean, Japanese, Bengali, Afrikaans, Arabic, Hindi, Hebrew, Frisian, Romansch, Vietnamese, Sinhala, Ancient Greek, and Luxembourgish. In Europe, several volumes were translated into a variety of regional languages and dialects, such as Alsatian, Breton, Chtimi (Picard), and Corsican in France; Bavarian, Swabian, and Low German in Germany; and Savo, Karelia, Rauma, and Helsinki slang dialects in Finland. Also, in Portugal, a special edition of the first volume, Asterix the Gaul, was translated into local language Mirandese. In Greece, a number of volumes have appeared in the Cretan Greek, Cypriot Greek, and Pontic Greek dialects. In the Italian version, while the Gauls speak standard Italian, the legionaries speak in the Romanesque dialect. In the former Yugoslavia, the "Forum" publishing house translated Corsican text in Asterix in Corsica into the Montenegrin dialect of Serbo-Croatian (today called Montenegrin). In the Netherlands, several volumes were translated into West Frisian, a Germanic language spoken in the province of Friesland; into Limburgish, a regional language spoken not only in Dutch Limburg but also in Belgian Limburg and North Rhine-Westphalia, Germany; and into Tweants, a dialect in the region of Twente in the eastern province of Overijssel. Hungarian-language books have been published in Yugoslavia for the Hungarian minority living in Serbia. Although not translated into a fully autonomous dialect, the books differ slightly from the language of the books issued in Hungary. In Sri Lanka, the cartoon series was adapted into Sinhala as Sura Pappa. Most volumes have been translated into Latin and Ancient Greek, with accompanying teachers' guides, as a way of teaching these ancient languages. English translation Before Asterix became famous, translations of some strips were published in British comics including Valiant, Ranger, and Look & Learn, under names Little Fred and Big Ed and Beric the Bold, set in Roman-occupied Britain. These were included in an exhibition on Goscinny's life and career, and Asterix, in London's Jewish Museum in 2018. In 1970 William Morrow published English translations in hardback of three Asterix albums for the American market. These were Asterix the Gaul, Asterix and Cleopatra and Asterix the Legionary. Lawrence Hughes in a letter to The New York Times stated, "Sales were modest, with the third title selling half the number of the first. I was publisher at the time, and Bill Cosby tried to buy film and television rights. When that fell through, we gave up the series." The first 33 Asterix albums were translated into English by Anthea Bell and Derek Hockridge (including the three volumes reprinted by William Morrow), who were widely praised for maintaining the spirit and humour of the original French versions. Hockridge died in 2013, so Bell translated books 34 to 36 by herself, before retiring in 2016 for health reasons. She died in 2018. Adriana Hunter is the present translator. US publisher Papercutz in December 2019 announced it would begin publishing "all-new more American translations" of the Asterix books, starting on 19 May 2020. The launch was postponed to 15 July 2020 as a result of the COVID-19 pandemic. The new translator is Joe Johnson (Dr. Edward Joseph Johnson), a Professor of French and Spanish at Clayton State University. Adaptations The series has been adapted into various media. There are 18 films, 15 board games, 40 video games, and 1 theme park. Films Deux Romains en Gaule, 1967 black and white television film, mixed media, live-action with Asterix and Obelix animated. Released on DVD in 2002. Asterix the Gaul, 1967, animated, based on the album Asterix the Gaul. Asterix and the Golden Sickle, 1967, animated, based upon the album Asterix and the Golden Sickle, incomplete and never released. Asterix and Cleopatra, 1968, animated, based on the album Asterix and Cleopatra. The Dogmatix Movie, 1973, animated, a unique story based on Dogmatix and his animal friends, Albert Uderzo created a comic version (consisting of eight comics, as the film is a combination of 8 different stories) of the never-released movie in 2003. The Twelve Tasks of Asterix, 1976, animated, a unique story not based on an existing comic. Asterix Versus Caesar, 1985, animated, based on both Asterix the Legionary and Asterix the Gladiator. Asterix in Britain, 1986, animated, based upon the album Asterix in Britain. Asterix and the Big Fight, 1989, animated, based on both Asterix and the Big Fight and Asterix and the Soothsayer. Asterix Conquers America, 1994, animated, loosely based upon the album Asterix and the Great Crossing. Asterix and Obelix vs. Caesar, 1999, live-action, based primarily upon Asterix the Gaul, Asterix and the Soothsayer, Asterix and the Goths, Asterix the Legionary, and Asterix the Gladiator. Asterix & Obelix: Mission Cleopatra, 2002, live-action, based upon the album Asterix and Cleopatra. Asterix and Obelix in Spain, 2004, live-action, based upon the album Asterix in Spain, incomplete and never released because of disagreement with the team behind the movie and the creator of the comics. Asterix and the Vikings, 2006, animated, loosely based upon the album Asterix and the Normans. Asterix at the Olympic Games, 2008, live-action, loosely based upon the album Asterix at the Olympic Games. Asterix and Obelix: God Save Britannia, 2012, live-action, loosely based upon the album Asterix in Britain and Asterix and the Normans. Asterix: The Mansions of the Gods, 2014, computer-animated, based upon the album The Mansions of the Gods and is the first animated Asterix movie in stereoscopic 3D. Asterix: The Secret of the Magic Potion, 2018, computer-animated, original story. Television series On 17 November, 2018, a 52 eleven-minute episode computer-animated series centred around Dogmatix was announced to be in production by Studio 58 and Futurikon for broadcast on France Télévisions in 2020. On 21 December, 2020, it was confirmed that Dogmatix and the Indomitables had been pushed back to fall 2021, with o2o Studio producing the animation. The show is distributed globally by LS Distribution. The series premiered on the Okoo streaming service on 2 July before beginning its linear broadcast on France 4 on 28 August 2021. On 3 March, 2021, it was announced that Asterix the Gaul is to star in a new Netflix animated series directed by Alain Chabat. The series will be adapted from one of the classic volumes, Asterix and the Big Fight, where the Romans, after being constantly embarrassed by Asterix and his village cohorts, organize a brawl between rival Gaulish chiefs and try to fix the result by kidnapping a druid along with his much-needed magic potion. The series will debut in 2023. The series will be CG-Animated. Games Many gamebooks, board games and video games are based upon the Asterix series. In particular, many video games were released by various computer game publishers. Theme park Parc Astérix, a theme park 22 miles north of Paris, based upon the series, was opened in 1989. It is one of the most visited sites in France, with around 1.6 million visitors per year. Influence in popular culture The first French satellite, which was launched in 1965, was named Astérix-1 in honour of Asterix. Asteroids 29401 Asterix and 29402 Obelix were also named in honour of the characters. Coincidentally, the word Asterix/Asterisk originates from the Greek for Little Star. During the campaign for Paris to host the 1992 Summer Olympics, Asterix appeared in many posters over the Eiffel Tower. The French company Belin introduced a series of Asterix crisps shaped in the forms of Roman shields, gourds, wild boar, and bones. In the UK in 1995, Asterix coins were presented free in every Nutella jar. In 1991, Asterix and Obelix appeared on the cover of Time for a special edition about France, art directed by Mirko Ilic. In a 2009
red", the team became the Racine Street Cardinals. Eventually in 1920, the team became a charter member of the American Professional Football Association (APFA), which was rechristened the National Football League (NFL) two years later. The team entered the league as the Racine Cardinals, but changed their name to the Chicago Cardinals in 1922 to avoid confusion with the Horlick-Racine Legion, who entered the league two years earlier. In 1925, the Cardinals were awarded the NFL Championship after the Pottsville Maroons were suspended for playing a game in what was deemed "another teams ". Having beat the Cardinals in a head-to-head game earlier in the season, the Pottsville Maroons won their extra game against the University of Notre Dame, helping them finish the year with the same record as the Cardinals. The Cardinals were also guilty of breaking NFL rules when they had scheduled two additional games, playing against the Hammond Pros and the Milwaukee Badgers, both of whom had already disbanded for the season. The game against the Badgers spurred a scandal when the Badgers filled out their roster with four high school players, in violation of NFL rules. The Cardinals experienced some success on the playing field during their first 26 seasons in the league. During the post-World War II years, the team reached two straight NFL finals against the Philadelphia Eagles, winning in 1947 (eight months after Charles Bidwill's death) but losing the following year. In the late 1950s, after years of bad seasons and losing fans to their crosstown rivals, the Chicago Bears, the Cardinals were almost bankrupt, and owner Violet Bidwill Wolfner became interested in a relocation. St. Louis Due to the formation of the rival American Football League, the NFL allowed Bidwill to relocate the team to St. Louis, Missouri, where they became the St. Louis Cardinals (they were locally called the "Big Red", the "Gridbirds" or the "Football Cardinals" to avoid confusion with the baseball team of the same name). During the Cardinals' 28-year stay in St. Louis, they advanced to the playoffs just three times (1974, 1975 and 1982), never hosting or winning in any appearance. The overall mediocrity of the Cardinals, combined with a then-21-year-old stadium, caused game attendance to dwindle, and owner Bill Bidwill decided to move the team to Arizona. Phoenix Not long after the 1987 NFL season, Bidwill agreed to move to Phoenix on a handshake deal with state and local officials, and the team became the Phoenix Cardinals (the franchise has never played in the city of Phoenix proper; however, there are several NFL teams which do not play in their market's central cities). The team changed their geographic name to the Arizona Cardinals on March 17, 1994. The 1998 NFL season saw the Cardinals break two long droughts, qualifying for the playoffs for the first time in 16 years. The team got their first postseason win since 1947 by defeating the Dallas Cowboys 20–7 in the Wild Card Playoffs. In 2008, the Cardinals, led by quarterback Kurt Warner, won the NFC Championship Game against the Philadelphia Eagles to advance to the Super Bowl for the first time in their history. They lost Super Bowl XLIII 27–23 to the Pittsburgh Steelers in the final seconds of the game. After their historic 2008 season, the Cardinals posted a 10–6 record in 2009, their first season with 10 wins in Arizona. The Cardinals clinched their second consecutive NFC West title, but were defeated by the eventual Super Bowl champion, the New Orleans Saints, 45–14 in the divisional playoffs. The next time they would make the playoffs would be in 2014, when they ended up as a wild card. They set the best regular-season record in their history in Arizona at 11–5, but were defeated by the 7–8–1 NFC South champions, the Carolina Panthers. The next year, the Cardinals set a franchise-best 13–3 record, and clinched their first-ever first-round playoff bye as the NFC's second seed. They defeated the Green Bay Packers 26–20 in overtime, giving quarterback Carson Palmer his first playoff victory. The Cardinals then advanced to their second NFC Championship Game in their history, but were blown out by the top-seeded 15–1 Panthers 49–15, committing seven turnovers. The Cardinals then fell to 7–8–1 in and 8–8 in before ultimately dropping to 3–13 in , tying the franchise record set in 2000 for the worst record in a 16-game season. The team improved to 5–10–1 in and 8–8 in . In the 2021 season season, the Cardinals went 11-6, posting a winning record and returning to the postseason for the first time since 2015. Logos and uniforms Starting in , the team had a logo of a cardinal bird perched on the laces of a football. The Cardinals moved to Arizona in , and the flag of Arizona was added to the sleeves the following year. In , the team began wearing red pants with their white jerseys, as new coach Joe Bugel wanted to emulate his former employer, the Washington Redskins, who at the time wore burgundy pants with their white jerseys (the Redskins later returned to their 1970s gold pants with all their jerseys). In , the Cardinals participated in the NFL's 75th-anniversary throwback uniform program. The jerseys were similar to those of the 1920s Chicago Cardinals, with an interlocking "CC" logo and three stripes on each sleeve. The uniform numbers were relocated to the right chest. The pants were khaki to simulate the color and material used in that era. The Cardinals also stripped the logos from their helmets for two games: at Cleveland and home vs. Pittsburgh. The Cardinal head on the helmet also appeared on the sleeve of the white jersey from 1982 to 1995. In 1996, the state flag of Arizona was moved higher on the sleeve after the Cardinal head was eliminated as sleeves on football jerseys became shorter, and black was removed as an accent color, instead replaced with a blue to match the predominant color of the state flag. In 2002, the Cardinals began to wear all-red and all-white combinations, and continued to do so through 2004, prior to the team's makeover. In , the team unveiled its first major changes in a century. The cardinal-head logo was updated to look sleeker and meaner than its predecessor. Numerous fans had derisively called the previous version a "parakeet". Black again became an accent color after an eight-year absence, while trim lines were added to the outside shoulders, sleeves, and sides of the jerseys and pants. Both the red and white jerseys have the option of red or white pants. Hoping to break a six-game losing streak, the Cardinals wore the red pants for the first time on October 29, 2006, in a game at Lambeau Field against the Green Bay Packers. The Packers won 31–14, and the Cards headed into their bye week with a 1–7 mark. Following the bye week, the Cardinals came out in an all-red combination at home against the Dallas Cowboys and lost, 27–10. Arizona did not wear the red pants for the remainder of the season and won four of their last seven games. However, the following season, in , the Cardinals again wore their red pants for their final 3 home games. They wore red pants with white jerseys in games on the road at the Cincinnati Bengals and Seattle Seahawks. They paired red pants with red jerseys, the all-red combination, for home games against the Detroit Lions, San Francisco 49ers, Cleveland Browns, and St. Louis Rams. The red pants were not worn at all in , but they were used in home games vs. Seattle, Minnesota, and St. Louis in . The red pants were paired with the white road jersey for the first time in three years during a 2010 game at Carolina, but the white jersey/red pants combination was not
after an eight-year absence, while trim lines were added to the outside shoulders, sleeves, and sides of the jerseys and pants. Both the red and white jerseys have the option of red or white pants. Hoping to break a six-game losing streak, the Cardinals wore the red pants for the first time on October 29, 2006, in a game at Lambeau Field against the Green Bay Packers. The Packers won 31–14, and the Cards headed into their bye week with a 1–7 mark. Following the bye week, the Cardinals came out in an all-red combination at home against the Dallas Cowboys and lost, 27–10. Arizona did not wear the red pants for the remainder of the season and won four of their last seven games. However, the following season, in , the Cardinals again wore their red pants for their final 3 home games. They wore red pants with white jerseys in games on the road at the Cincinnati Bengals and Seattle Seahawks. They paired red pants with red jerseys, the all-red combination, for home games against the Detroit Lions, San Francisco 49ers, Cleveland Browns, and St. Louis Rams. The red pants were not worn at all in , but they were used in home games vs. Seattle, Minnesota, and St. Louis in . The red pants were paired with the white road jersey for the first time in three years during a 2010 game at Carolina, but the white jersey/red pants combination was not used again until 2018, when they broke out the combination against the Kansas City Chiefs. The Cardinals' first home game in Arizona, in 1988, saw them play in red jerseys. Thereafter, for the next 18 years in Arizona, the Cardinals, like a few other NFL teams in warm climates, wore their white jerseys at home during the first half of the season—forcing opponents to suffer in their darker jerseys during Arizona autumns that frequently see temperatures over 100 °F (38 °C). However, this tradition did not continue when the Cardinals moved from Sun Devil Stadium to State Farm Stadium in 2006, as early-season games (and some home games late in the season) were played with the roof closed. With the temperature inside at a comfortable 70 °F (21 °C), the team opted to wear red jerseys at home full-time. The Cardinals wore white jerseys at home for the first time at State Farm Stadium on August 29, 2008, in a preseason game against the Denver Broncos. The Cardinals wore white at home for the first time in a regular-season game at State Farm Stadium against the Houston Texans on October 11, . In October 2009, the NFL recognized Breast Cancer Awareness Month, and players wore pink-accented items, including gloves, wristbands, and shoes. The team thought the pink accents looked better with white uniforms than with red. From 1970 through 1983, and again in many seasons between 1989 and 2002, the Cardinals would wear white when hosting the Dallas Cowboys in order to force the Cowboys to don their "jinxed" blue jerseys. They have not done this since moving into State Farm Stadium, however. The season saw the Cardinals debut a new, alternate black jersey. In , the Cardinals debuted an all-black set for the NFL Color Rush program. While the regular black alternates featured white lettering and are paired with white pants, the Cardinals' Color Rush alternates used red lettering and black pants for the occasion. Seasons and overall records Single-season records Points Scored: 489 () Passing Passing yards: 4,671 – Carson Palmer () Passing touchdowns: 35 – Carson Palmer () Passes completed: 401 – Kurt Warner () Passes attempted: 598 – Kurt Warner () Longest completed pass: 98 yards – Doug Russell (); Ogden Compton (); Jim Hart () Rushing Rushing yards: 1,605 – Ottis Anderson () Rushing attempts: 337 – Edgerrin James () Rushing touchdowns: 16 – David Johnson () Rushing touchdowns (Rookie): 10 – Tim Hightower () Longest rushing attempt: 83 yards – John David Crow () Rushing yards per game: 100.3 yards – Ottis Anderson () Receiving Receptions: 109 – Larry Fitzgerald () Receiving yards: 1,598 – David Boston () Receiving touchdowns: 15 – Sonny Randle () Returns Punt returns in a season: 44 – Vai Sikahema () Longest punt return: 99 yards – Patrick Peterson () Longest kickoff return: 108 yards – David Johnson () Kicking Field goals: 40 – Neil Rackers () Points after touchdown (PAT)s converted: 53 – Pat Harder () Punts: 112 – Dave Zastudil () Punting yards: 5,209 – Dave Zastudil () Career records As of 2021 Passing yards: 34,639, Jim Hart (–) Passing touchdowns: 209, Jim Hart (–) Rushing yards: 7,999, Ottis Anderson (–) Rushing touchdowns: 46, Ottis Anderson (–) Receptions: 1,234, Larry Fitzgerald (–present) Receiving yards: 15,545, Larry Fitzgerald (–present) Passes intercepted: 52, Larry Wilson (–) Field goals made: 282, Jim Bakken (–) Points: 1,380, Jim Bakken (–) Total touchdowns: 110, Larry Fitzgerald (–present) Punt return average: 13.7, Charley Trippi (–) Kickoff return average: 28.5, Ollie Matson (, –) Yards per punt average: 44.9, Jerry Norton (–) Sacks: 71.5, Chandler Jones (–) Tackles: 785, Eric Hill (1989–1997) Players of note Current roster Retired numbers Notes: 1 Posthumously retired. 2 No. 99 was issued to J. J. Watt after daughter of Goldberg gave her blessing to Watt to wear it on March 2, 2021. Pro Football Hall of Famers Italics = played a portion of career with the Cardinals and enshrined representing another team Dierdorf, Smith, Wehrli and Wilson were members of the St. Louis Football Ring of Fame in The Dome at America's Center when the Rams played there from 1995 to 2015. Ring of Honor The Cardinals' Ring of Honor was started in to mark the opening of State Farm Stadium. It honors former Cardinal greats from all eras of the franchise's history. Following is a list of inductees and the dates that they were inducted. Staff The Cardinals have had 42 head coaches throughout their history. Their first head coach was Paddy Driscoll, who compiled a 17–8–4 record with the team from 1920 to 1922. Jimmy Conzelman, Jim Hanifan and Ken Whisenhunt are tied as the longest-serving head coaches in Cardinals history. Current staff Radio and television The Cardinals' flagship radio station is KMVP-FM; Dave Pasch, Ron Wolfley, and Paul Calvisi handle the radio broadcast. Spanish-language radio broadcasts are heard on the combo of KQMR/KHOV-FM "Latino Mix" under a contract with Univisión, signed in 2015. Prior to 2015, they were heard on KDVA/KVVA-FM "José FM", as well as co-owned KBMB AM 710. The Cardinals were the first NFL team to offer all 20 preseason and regular season games on Spanish-language radio, doing so in 2000. Luis Hernandez and Rolando Cantú are the Spanish broadcast team. The Cardinals have the most extensive Mexican affiliate network in the NFL, with contracts with Grupo Larsa (in the state of Sonora) and Grupo Radiorama (outside Sonora) and stations in 20 cities, including Hermosillo, Guadalajara and Mexico City. As of the 2017 season, NBC affiliate KPNX broadcasts the team's preseason games on television (which, that year, included the Hall of Fame Game broadcast by NBC), called
wore the black helmets with the original logo decal similar to the design they wore in the 1990s. It was revealed in January 2020 that the Falcons will change uniforms for the 2020 NFL season. The ensuing design featured the return to black as the primary home uniform color for the first time since 2003. Both the primary home and road uniforms featured the "ATL" abbreviation in red above either white or black numbers with red drop shadows. The white and black tops are usually paired with either white or black pants. The alternate uniform featured a red/black gradient design and also featured the "ATL" abbreviation in white above white numbers with black drop shadows. Black pants are only used with this uniform. All three uniforms feature red side stripes. The current throwback uniform was also retained. In addition, the Falcons switched to matte helmets with the enlarged falcon logo and gray facemasks. Rivalries New Orleans Saints In every season from 1970 to the present, the Falcons have shared a division with the New Orleans Saints (first the NFC West, and now the NFC South). Over this time, a heated rivalry has developed between the two cities' franchises, as they were the only two NFL teams in the Deep South for quite some time. The series is the oldest and most iconic rivalry in the NFC South. Atlanta leads the series 52–48. Carolina Panthers In addition, the Falcons share a similar, yet smaller, rivalry with the Carolina Panthers, with both teams having been in the NFC West from the Panthers' founding in 1995 to the NFL realignment in 2002, where they have been in the NFC South since then. The Falcons lead the series 27–17. Tampa Bay Buccaneers Finally, the Falcons share a rivalry with the Tampa Bay Buccaneers since the NFL realignment in 2002. Before that, Tampa Bay was in the AFC West. After, they were in the NFC Central before the realignment. Philadelphia Eagles The Eagles lead the Falcons 21–15–1, with a 3–1 lead in playoff games. The rivalry first emerged after the Falcons upset the Eagles in the 1978 Wild Card Round, and only intensified further thanks to the rivalry between prominent dual-threat quarterbacks Donovan McNabb and Michael Vick. Recently, the Falcons lost to the Eagles in the 2017 divisional round. Statistics Season-by-season records Record vs. opponents Includes postseason records Source: |- | St. Louis/Phoenix/Arizona Cardinals || 15 || 16 || 0 || || L 33-34 || October 13, 2019 || State Farm Stadium || 0–1 postseason |- | Baltimore Ravens || 2 || 4 || 0 || || L 16–26 || December 2, 2018 || Mercedes-Benz Stadium || |- | Buffalo Bills || 7 || 6 || 0 || || L 15–29 || January 2, 2022 || Highmark Stadium || |- | Carolina Panthers || 34 || 20 || 0 || || W 29–21 || December 12, 2021 || Bank of America Stadium || |- | Chicago Bears || 13 || 15 || 0 || || L 26-30 || September 27, 2020 || Mercedes-Benz Stadium || |- | Cincinnati Bengals || 5 || 9 || 0 || || L 36–37 || September 30, 2018 || Mercedes-Benz Stadium || |- | Cleveland Browns || 3 || 12 || 0 || || L 16–28 || November 11, 2018 || FirstEnergy Stadium || |- | Dallas Cowboys || 11 || 17 || 0 || || L 3–43 || November 14, 2021 || AT&T Stadium || 0–2 postseason |- | Denver Broncos || 7 || 8 || 0 || || W 34–27 || November 8, 2020 || Mercedes-Benz Stadium || 0–1 postseason |- | Detroit Lions || 14 || 25 || 0 || || W 20–16 || December 26, 2021 || Mercedes-Benz Stadium || |- | Green Bay Packers || 14 || 17 || 0 || || L 16–30 || October 5, 2020 || Lambeau Field || 2–2 postseason |- | Houston Texans || 2 || 3 || 0 || || L 32–53 || October 6, 2019 || NRG Stadium || |- | Baltimore/Indianapolis Colts || 2 || 15 || 0 || || L 24–27 || September 22, 2019 || Lucas Oil Stadium || |- | Jacksonville Jaguars || 5 || 3 || 0 || || W 21–14 || November 28, 2021 || TIAA Bank Field || |- | Kansas City Chiefs || 3 || 7 || 0 || || L 14–17 || December 27, 2020 || Arrowhead Stadium || |- | San Diego/Los Angeles Chargers || 8 || 3 || 0 || || L 17–20 || December 13, 2020 || SoFi Stadium || |- | St. Louis/Los Angeles Rams || 28 || 48 || 2 || || L 10–37 || October 20, 2019 || Mercedes-Benz Stadium || 2–0 postseason |- | Miami Dolphins || 5 || 9 || 0 || || W 30–28 || October 24, 2021 || Hard Rock Stadium || |- | Minnesota Vikings || 11 || 19 || 0 || || W 40–23 || October 18, 2020 || US Bank Stadium || 1–1 postseason |- | New England Patriots || 6 || 9 || 0 || || L 0–25 || November 18, 2021 || Mercedes-Benz Stadium || 0–1 postseason |- | New Orleans Saints || 53 || 52 || 0 || || L 20–30 || January 9, 2022 || Mercedes-Benz Stadium || 1–0 postseason |- | New York Giants || 14 || 11 || 0 || || W 17–14 || September 26, 2021 || MetLife Stadium || 0–1 postseason |- | New York Jets || 8 || 5 || 0 || || W 27–20 || October 10, 2021 || Tottenham Hotspur Stadium || |- | Las Vegas/Oakland/Los Angeles Raiders || 8 || 7 || 0 || || W 43–6 || November 29, 2020 || Mercedes-Benz Stadium || |- | Philadelphia Eagles || 14 || 18 || 1 || || L 6–32 || September 12, 2021 || Mercedes-Benz Stadium || 1–3 postseason |- | Pittsburgh Steelers || 2 || 14 || 1 || || L 17–41 || October 7, 2018 || Heinz Field || |- | San Francisco 49ers || 31 || 47 || 1 || || L 13–31 || December 19, 2021 || Levi's Stadium || 1–1 postseason |- | Seattle Seahawks || 6 || 12 || 0 || || L 25–38 || September 13, 2020 || Mercedes-Benz Stadium || 2–0 postseason |- | Tampa Bay Buccaneers || 28 || 29 || 0 || || L 17–30 || December 5, 2021 || Mercedes-Benz Stadium || |- | Tennessee Titans/Houston Oilers || 7 || 8 || 0 || || L 10–24 || September 29, 2019 || Mercedes-Benz Stadium || |- | Washington Commanders || 10 || 15 || 1 || || L 30–34 ||October 3, 2021 || Mercedes-Benz Stadium || 0–1 postseason |- ! Total || 374 || 455 || 6 || || || || || 10–14 () Notes International Series Single game records Rushing: Michael Turner, 220 (September 7, 2008) Passing: Matt Ryan, 503 (October 2, 2016) Passing touchdowns: Wade Wilson, 5 (December 13, 1992) and Matt Ryan, 5 (September 23, 2018) Receptions: William Andrews, 15 (September 15, 1981) Receiving yards: Julio Jones, 300 (October 2, 2016) Interceptions: Several Falcons, 2, most recently Damontae Kazee, 2 (December 8, 2019) Field goals: Norm Johnson, 6 (November 13, 1994) Total touchdowns: T. J. Duckett, 4 (December 12, 2004) and Michael Turner, 4 (November 23, 2008) Points scored: T. J. Duckett, 24 (December 12, 2004) and Michael Turner, 24 (November 23, 2008) Sacks: Adrian Clayborn, 6 (November 13, 2017) Single season records Passing attempts: 651 Matt Ryan (2013) Passing completions: 439 Matt Ryan (2013) Passing yards: 4,944 Matt Ryan (2016) Passing touchdowns: 38 Matt Ryan (2016) Passing interceptions: 25 Bobby Hebert (1996) Completion percentage: 69.9 Matt Ryan (2016) Passing rating: 117.1 Matt Ryan (2016) Rushing attempts: 410 Jamal Anderson (1998) Rushing yards: 1,846 Jamal Anderson (1998) Rushing touchdowns: 17 Michael Turner (2008) Receiving catches: 136 Julio Jones (2015) Receiving yards: 1,871 Julio Jones (2015) Receiving touchdowns: 15 Andre Rison (1993) Quarterback sacks: 16.5 John Abraham (2008) Pass interceptions: 10 Scott Case (1988) Field goal attempts: 40 Jay Feely (2002) Field goals made: 34 Matt Bryant (2016 and 2017) Points: 158 Matt Bryant (2016) Total touchdowns: 17 Michael Turner (2008) Career records Passing attempts: 6,817 Matt Ryan (2008–present) Passing completions: 4,460 Matt Ryan (2008–present) Passing yards: 51,186 Matt Ryan (2008–present) Passing touchdowns: 321 Matt Ryan (2008–present) Passing interceptions: 147 Matt Ryan (2008–present) Passing rating: 94.6 Matt Ryan (2008–present) Rushing attempts: 1,587 Gerald Riggs (1982–88) Rushing yards: 6,631 Gerald Riggs (1982–88) Rushing yards by a QB: 3,859 Michael Vick (2001–2006) Rushing touchdowns: 60 Michael Turner (2008–2012) Receiving catches: 808 Roddy White (2005–2015) Receiving yards: 12,125 Julio Jones (2011–2020) Receiving touchdowns: 63 Roddy White (2005–2015) Quarterback sacks: 68.5 John Abraham (2006–2012) Pass interceptions: 39 Rolland Lawrence (1973–80) Field goal attempts: 296 Matt Bryant (2009–present) Field goals made: 224 Matt Bryant (2009–present) Points: 1,163 Matt Bryant (2009–present) Total touchdowns: 63 Roddy White (2005–2015) Pass interception return yards: 658 Rolland Lawrence (1973–80) Pass interception returned for touchdowns: 4 Deion Jones (2016–present) Punt return yards: 1,723 Allen Rossum (2002–2006) Kickoff return yards: 5,489 Allen Rossum (2002–2006) Longest punt: 75 John James (1972–1981) and Harold Alexander (1993–1994) Longest field goal: 59 Morten Andersen (1995–2000, 2006–2007) and Matt Bryant (2009–present) Players Current roster Pro Football Hall of Famers Sanders, Humphrey, Andersen, and Gonzalez are the only players in the Hall of Fame that have been inducted based substantially on their service with the Falcons. Andersen spent eight of his 25 NFL seasons with the Falcons, previously being the team's all-time scoring leader, but he also played his first 13 NFL seasons with the New Orleans Saints, leading that team's career scoring list. Ring of Honor The Atlanta Falcons organization does not officially retire jersey numbers, but considers certain players' jerseys worthy of being honored. The Falcons Ring of Honor, which is featured in the rafters of the Georgia Dome, honors individual players. Georgia Sports Hall of Fame Starting quarterbacks Draft history Coaching
playoffs. 2001–2006 In the 2001 NFL draft, the Falcons orchestrated a trade with the San Diego Chargers, acquiring the first overall pick (which was used on quarterback Michael Vick) in exchange for wide receiver-return specialist Tim Dwight and the fifth overall pick (used on running back LaDainian Tomlinson). The Falcons finished the 2001 season with a record of 7–9 and missed the playoffs. Jessie Tuggle retired following 14 seasons in Atlanta. On December 6, 2001, Arthur M. Blank reached a preliminary agreement with the Falcons' Taylor Smith to purchase the team. In a special meeting prior to Super Bowl XXXVI in New Orleans on February 2, 2002, NFL owners voted unanimously to approve the purchase. The 2002 season saw the Falcons return to the playoffs with a regular-season record of 9–6–1, tying the Pittsburgh Steelers. It was Vick's first year as the starter, and the team, with newly acquired running back Warrick Dunn, delivered the Green Bay Packers their first home playoff loss ever. A 20–6 loss to the Donovan McNabb-led Philadelphia Eagles the following week, however, ended the Falcons' season. On March 19, 2003, the Falcons presented their new logo. During the 2003 preseason Vick broke his leg and missed the first 12 games of the season. After losing 7 straight games, the decision was made to release head coach Dan Reeves. Wade Phillips acted as interim coach for the final 3 games. Although the Falcons won 3 of their last 4 games after the return of Vick, they ended up with a 5–11 record that year. In 2004, a new head coach, Jim L. Mora, was hired and Vick returned for the full season. The Falcons went 11–5, winning their third division title and earning a first-round bye into the playoffs. In the divisional playoffs, the Falcons defeated the St. Louis Rams, 47–17, in the Georgia Dome, advancing to the NFC Championship Game, which they lost to the Eagles, 27–10. The Falcons again fell short of achieving back-to-back winning seasons in , going 8–8. In , Michael Vick became the first quarterback in league history to rush for more than 1,000 yards in a season, with 1,039. After finishing the season 7–9, however, coach Jim Mora was dismissed and Bobby Petrino, the University of Louisville's football coach, replaced him. Before the 2007 season began, Vick was suspended indefinitely by the NFL after pleading guilty to charges involving dog fighting in the state of Virginia. On December 10, 2007, Vick received a 23-month prison sentence and was officially cut from the Atlanta roster. 2007 For the 2007 season, the Falcons were forced to start Joey Harrington at quarterback. On December 11, 13 games into his first NFL season as head coach, Bobby Petrino resigned without notice to coach at the University of Arkansas, leaving the beleaguered players only a note in the locker room. Secondary Coach Emmitt Thomas was named interim coach for the final three games of the season on December 12. The Falcons ended the year with a dismal 4–12 record. 2008–2014: The Mike Smith era After the tumultuous and disappointing 2007 season, the Falcons made a number of moves, hiring a new General Manager and head coach, drafting a new starting quarterback, and signing a starting running back. On January 13, 2008, the Falcons named former Patriots director of college football scouting Thomas Dimitroff General Manager. On January 23, Jacksonville Jaguars defensive coach and former linebackers coach for the 2000 Super Bowl champion Baltimore Ravens Mike Smith was named the Falcons' new head coach. Chargers back-up RB Michael Turner agreed to a 6-year deal, $30 million deal on March 2. On April 26, Matt Ryan (quarterback from Boston College) was drafted third overall in the 2008 NFL draft by the Falcons. 2008 The Falcons finished the 2008 regular season with a record of 11–5, and the #5 seed in the playoffs. On December 21, 2008, Atlanta beat the Minnesota Vikings 24–17 to clinch a wild card spot, earning a trip to the playoffs for the first time since 2004. The Falcons would go on to lose in the wild-card round of the 2008 NFL playoffs to the eventual NFC champion Arizona Cardinals, 30–24. Matt Ryan started all 16 games in his rookie season and was named the Associated Press Offensive Rookie of the Year. First-year head coach Mike Smith was named 2008 NFL Coach of the Year. 2009 Although they failed to make the playoffs in 2009 the team rallied to win their final three regular-season games to record back-to-back winning seasons for the first time in franchise history. The Falcons defeated the Tampa Bay Buccaneers 20–10 in the final game of the season to improve their record to 9–7. 2010 In 2010, with a regular-season record of 13–3, the Falcons secured a third straight winning season, their fourth overall divisional title, and the top overall seed in the NFC playoffs; however, the Falcons were overpowered by the eventual Super Bowl XLV champion Green Bay Packers in the NFC Divisional Playoffs 48–21. The Falcons scored 414 points – the fifth-most in franchise history. The team sent an NFL-high and franchise-best nine players to the 2011 Pro Bowl. 2011 The Falcons made a surprise trade up with the Cleveland Browns in the 2011 NFL draft to select Alabama wide receiver Julio Jones sixth overall. In exchange, the Falcons gave up their first-, second- and fourth-round draft picks in 2011, and their first and fourth draft picks in 2012. Jones, along with teammates Tony Gonzalez and Roddy White, have since been dubbed Atlanta's "Big Three" (based on their total number of reception yards). On August 30, 2011, Sports Illustrated senior writer Peter King, who correctly predicted the 2011 Super Bowl, made his predictions for the 2011 season and picked the Falcons to defeat the San Diego Chargers in the 2012 Super Bowl. The Falcons finished the season at 10–6, securing the fifth seed after a Week 17 beatdown of Tampa Bay in which the Falcons pulled their starters after leading 42–0 just 23 minutes into the game. The Falcons then went on to play the New York Giants in a 2011 NFC Wild Card Game at MetLife Stadium in East Rutherford, New Jersey. The first half was a defensive struggle, with the first points coming off of a safety by the Falcons, giving Atlanta a 2–0 lead. In the 2nd quarter, though, Eli Manning connected with Hakeem Nicks for a short touchdown pass to make it 7–2 Giants heading into the 2nd half. Then the Giants took control, as Manning threw for two more TD passes to Mario Manningham and Nicks and the defense completed its shutout of the Falcons to give the New York Giants the win, 24–2, and the Falcons their third straight playoff loss with Matt Ryan and Mike Smith. After the season Defense Coordinator Brian VanGorder accepted a coaching job at Auburn University, and the offensive coordinator Mike Mularkey took the head coaching job in Jacksonville. 2012 Atlanta exploded out of the gate, going a franchise-best 8–0 and remaining the last unbeaten team in the NFL that year. Their hopes to get an undefeated season came to an end with a 27–31 loss to the division rival Saints. Julio Jones had a remarkable second year, grabbing 10 touchdowns and 1,198 yards. The Falcons finished the season 13–3, and clinched the number one seed in the NFC playoffs. The Falcons played the Seattle Seahawks in their first playoff game. Although they went down 28–27 with only 31 seconds left on the clock, Matt Ryan led the team to their first playoff victory, 30–28. It was the only playoff victory in the Mike Smith era. The Atlanta Falcons then advanced to face the San Francisco 49ers. The Falcons seized control of the game early with a Matt Bryant field goal, a trio of Matt Ryan touchdown passes caught by Julio Jones and Tony Gonzalez coupled with outstanding defensive play. By the end of the half, the score was 24–14. The tides of the game began to shift in the second half as the 49ers rallied back with a pair of Frank Gore touchdown runs. Atlanta's offense attempted to reply but were ultimately shut down by the 49er defense. A few series later, late in the 4th quarter with little time remaining, Atlanta found themselves in a 4th and 4 situation at the 10-yard line. The Falcons needed just 10 more yards to secure victory and advance to their first Super Bowl berth in 14 years. Matt Ryan fired a pass to Roddy White which was ultimately broken up by inside linebacker NaVorro Bowman, resulting in a 28–24 defeat. 2013 Following the success of the previous season, the Falcons were an expected Super Bowl contender. However, injuries hampered the team's performance and the team finished the season 4–12. With that, the streak of consecutive winning seasons came to an end and Mike Smith had his first losing season as a head coach. Tony Gonzalez, in his final season in the NFL, was selected to the 2014 Pro Bowl as a starter representing Team Rice. Following the conclusion of the 2012 season, director of player personnel Les Snead departed the team to join the St. Louis Rams and Dave Caldwell, assistant to general manager Thomas Dimitroff, left the team to join the Jacksonville Jaguars. Scott Pioli, former GM of the Kansas City Chiefs, was announced as the Falcons' new assistant GM. Mike Smith was given a one-year extension on his contract as head coach. The Falcons had the 6th overall pick in the 2014 NFL draft with which they selected Jake Matthews, who played as offensive tackle for Texas A&M. 2014 Despite having another rough season, the Falcons still had an opportunity to qualify for the playoffs at the end of the regular season. The Falcons hosted the Carolina Panthers in their regular season finale, with the winners clinching the NFC South division. Unfortunately, the Falcons lost in a 34–3 blowout as Matt Ryan threw two interceptions that were returned for touchdowns and got sacked six times. The Falcons finished the season 6–10, marking the second consecutive losing season for the team. The following day, Mike Smith was fired after seven seasons as head coach. The Falcons would soon hire Seattle Seahawks defensive coordinator Dan Quinn as the team's 16th head coach. The Falcons had the 8th overall pick in the 2015 NFL draft with which they selected Vic Beasley, a defensive end from Clemson University. 2015–2020: The Dan Quinn era 2015 In February 2015, the team was investigated by the NFL for alleged use of artificial crowd noise in the Georgia Dome. The Falcons lost a 2016 NFL Draft selection as a result of the league's investigation. Dan Quinn's first season saw a 5–0 start, the team's best start in four years. They would then struggle throughout the rest of the season by losing 8 of their last 11 games, resulting in an 8–8 record. They did, however, give the Panthers their only regular-season loss. The Falcons used their first-round pick in the 2016 NFL Draft on safety Keanu Neal from the University of Florida. 2016 In the Falcons' 25th and final season in the Georgia Dome, Atlanta lost their week 1 game to the Buccaneers 24–31. The Falcons would then win their next four including one over the Panthers, when the franchise set new records: Matt Ryan threw for 503 yards, and Julio Jones caught 12 passes for 300 yards. Beating the San Francisco 49ers 41–13 in Week 15, the Falcons improved to 9–5 and secured their first winning season since 2012. One week later, the Falcons defeated the Panthers in Charlotte, North Carolina, and clinched their first NFC South division title since 2012. In their last regular-season game at the Georgia Dome, the Falcons defeated the New Orleans Saints, and secured an 11–5 record and a first-round bye. In the divisional round of the playoffs, Atlanta defeated the Seahawks 36–20 in the Georgia Dome, and hosted their last game at the Dome against the Green Bay Packers in the NFC Championship Game on January 22, 2017. The Falcons defeated the Packers 44–21 to advance to Super Bowl LI as the NFC champions. Atlanta was up 28–3 late in the third quarter, and the New England Patriots scored 31 unanswered points, with the last 6 in the first-ever overtime in the Super Bowl. The Patriots' 25-point comeback was the largest in Super Bowl history. In 2016, the Falcons scored 540 points in the regular season, the seventh-most in NFL history, tied with the Greatest Show on Turf (the 2000 St. Louis Rams). However, the Falcons defense gave up 406 points, 27th in the league. 2017 The Falcons moved into their new home, the Mercedes-Benz Stadium, this season.
religious discrimination, such as the call for the introduction of an Ásatrú "emblem of belief" by the United States Department of Veterans Affairs to parallel the Wiccan pentacle granted to the widow of Patrick Stewart in 2006. In May 2013, the "Hammer of Thor" was added to the list of United States Department of Veterans Affairs emblems for headstones and markers. It was reported in early 2019 that a Heathenry service was held on the U.S. Navy's USS John C. Stennis Jake Angeli, a political activist known for participating in the 2021 United States Capitol attack, has made posts on social media relating to Heathenry. Folkish Ásatrú, Universalism and racialism Historically, the main dispute between the national organizations has generally centered on the interpretation of "Nordic heritage" as either something cultural, or as something genetic or racial. In the internal discourse within American Ásatrú, this cultural/racial divide has long been known as "universalist" vs. "folkish" Ásatrú. The Troth takes the "universalist" position, claiming Ásatrú as a synonym for "Northern European Heathenry" taken to comprise "many variations, names, and practices, including Theodism, Irminism, Odinism, and Anglo-Saxon Heathenry". The Asatru Folk Assembly takes the folkish position, claiming that Ásatrú and the Germanic beliefs are ancestral in nature, and as an indigenous religion of the European Folk should only be accessed by the descendants of Europe. In the UK, Germanic Neopaganism is more commonly known as Odinism or as Heathenry. This is mostly a matter of terminology, and US Ásatrú may be equated with UK Odinism for practical purposes, as is evident in the short-lived International Asatru-Odinic Alliance of folkish Ásatrú/Odinist groups. Some groups identifying as Ásatrú have been associated with national socialist and white nationalist movements. Wotansvolk, for example, is an explicitly racial form. More recently, however, many Ásatrú groups have been taking a harder stance against these elements of their community. Declaration 127, so named for the corresponding stanza of the Hávamál: "When you see misdeeds, speak out against them, and give your enemies no frið” is a collective statement denouncing and testifying disassociation with the Asatru Folk Assembly for alleged racial and sexually-discriminatory practices and beliefs signed by over 150 Ásatrú religious organizations from over 15 different nations mainly represented on Facebook. Discrimination charges Inmates of the "Intensive Management Unit" at Washington State Penitentiary who are adherents of Ásatrú in 2001 were deprived of their Thor's Hammer medallions. In 2007, a federal judge confirmed that Ásatrú adherents
by Alexander Rud Mills' writings, she began publication of a magazine, The Odinist, although this focused to a greater extent on right-wing and racialist ideas than theological ones. Stephen McNallen first founded the Viking Brotherhood in the early 1970s, before creating the Ásatrú Free Assembly (AFA) in 1976, which broke up in 1986 amid widespread political disagreements after McNallen's repudiation of neo-Nazis within the group. In the 1990s, McNallen founded the Ásatrú Folk Assembly (AFA), an ethnically oriented Heathen group headquartered in California. Meanwhile, Valgard Murray and his kindred in Arizona founded the Ásatrú Alliance (AA) in the late 1980s, which shared the AFA's perspectives on race and which published the Vor Tru newsletter. In 1987, Edred Thorsson and James Chisholm founded The Troth, which was incorporated in Texas. Taking an inclusive, non-racialist view, it soon grew into an international organisation. Terminology In English usage, the genitive "of Æsir faith" is often used on its own to denote adherents (both singular and plural). This term is favored by practitioners who focus on the deities of Scandinavia, although it is problematic as many Asatruar worship deities and entities other than the Æsir, such as the Vanir, Valkyries, Elves, and Dwarves. Other practitioners term their religion Vanatrú, meaning "those who honour the Vanir" or Dísitrú, meaning "those who honour the Goddesses", depending on their particular theological emphasis. Within the community it is sometimes stated that the term Ásatrú pertains to groups which are not racially focused, while Odinism is the term preferred by racially oriented groups. However, in practice, there is no such neat division in terminology. There are notable differences of emphasis between Ásatrú as practiced in the US and in Scandinavia. According to , American Asatruar tend to prefer a more devotional form of worship and a more emotional conception of the Nordic gods than Scandinavian practitioners, reflecting the parallel tendency of highly emotional forms of Christianity prevalent in the United States. Demographics Although deeming it impossible to calculate the exact size of the Heathen community in the US, sociologist Jeffrey Kaplan estimated that, in the mid-1990s, there were around 500 active practitioners in the
of the ansible: In The Left Hand of Darkness (1969), Le Guin describes that the ansible "doesn't involve radio waves, or any form of energy. The principle it works on, the constant of simultaneity, is analogous in some ways to gravity ... One point has to be fixed, on a planet of certain mass, but the other end is portable." In The Word for World Is Forest (1972), Le Guin explains that in order for communication to work with any pair of ansibles, at least one "must be on a large-mass body, the other can be anywhere in the cosmos". In The Dispossessed (1974), Le Guin tells of the development of the theory leading up to the ansible. Any ansible may be used to communicate through any other, by setting its coordinates to those of the receiving ansible. They have a limited bandwidth, which only allows for at most a few hundred characters of text to be communicated in any transaction of a dialog session, and are attached to a keyboard and small display to perform text messaging. Use by later authors Since Le Guin's conception of the ansible, the name of the device has been borrowed by numerous authors. While Le Guin's ansible was said to communicate "instantaneously", the name has also been adopted for devices capable of communication at finite speeds that are faster than light. Orson Scott Card's works Orson Scott Card, in his 1977 novelette and 1985 novel Ender's Game and its sequels, used the term "ansible" as an unofficial name for the philotic parallax instantaneous communicator, a machine capable of communicating across infinite distances with no time delay. In Ender's Game, a character states that "somebody dredged the name ansible out of an old book somewhere". In the universe of the Ender's Game series, the ansible's functions involved a fictional subatomic particle, the philote. The two quarks inside a pi meson can be separated by an arbitrary distance, while remaining connected by "philotic rays". This concept is similar to quantum teleportation due to entanglement; however, in reality, quark confinement prevents quarks from being separated by any observable distance. Card's version of the ansible was also featured in the video game Advent Rising, for which Card helped write the story,
corresponding device over any distance or obstacle whatsoever with no delay, even between star systems. As a name for such a device, the word "ansible" first appeared in a 1966 novel by Ursula K. Le Guin. Since that time, the term has been broadly used in the works of numerous science fiction authors, across a variety of settings and continuities. Coinage by Ursula Le Guin Ursula K. Le Guin coined the word "ansible" in her 1966 novel Rocannon's World. The word was a contraction of "answerable", as the device would allow its users to receive answers to their messages in a reasonable amount of time, even over interstellar distances. The plot device of the ansible was the basis for creating a specific kind of interstellar civilization one where communications between far-flung stars are instantaneous, but humans can only travel at relativistic speeds. Under these conditions, a full-fledged galactic empire is not possible, but there is a looser interstellar organization, in which several of Le Guin's protagonists are involved. Although Le Guin invented the name "ansible" for this type of device, fleshed out with specific details in her fictional works, the broader concept of instantaneous or faster-than-light communication had previously existed in science fiction. For example, similar communication functions were included in a device called an interocitor in the 1952 novel This Island Earth by Raymond F. Jones, and the 1955 film based on that novel, and in the "Dirac Communicator", which first appeared in James Blish's short story "Beep" (1954), which was later expanded into the novel The Quincunx of Time (1973). Robert Heinlein in Time for the Stars (1958) employed instantaneous telepathic communication between identical twin pairs over interstellar distances, and like Le Guin, provided a technical explanation based on a non-Einsteinian principle of simultaneity. In Le Guin's works In her subsequent works, Le Guin continued to develop the concept of the ansible: In The Left Hand of Darkness (1969), Le Guin describes that the ansible "doesn't involve radio waves, or any form of energy. The principle it works on, the constant of simultaneity, is analogous in some ways to gravity ... One point has to be fixed, on a planet of certain mass, but the other end is portable." In The Word for World Is Forest (1972), Le Guin explains that in order for communication to work with any pair of ansibles, at least one "must be on a large-mass body, the other can be anywhere in the cosmos". In The Dispossessed (1974), Le Guin tells of the development of
but his authorship of it has not been confirmed. Adalbert was later declared the patron saint of the Czech Republic, Poland, and the Duchy of Prussia. He is also the patron saint of the Archdiocese of Esztergom in Hungary. Life Early Years Born as Vojtěch in 952 or ca. 956 in gord Libice, he belonged to the Slavnik clan, one of the two most powerful families in Bohemia. Events from his life were later recorded by a Bohemian priest Cosmas of Prague (1045–1125). Vojtěch's father was Slavník (d. 978–981), a duke ruling a province centred at Libice. His mother was Střezislava (d. 985–987), and according to David Kalhous belonged to the Přemyslid dynasty. He had five brothers: Soběslav, Spytimír, Dobroslav, Pořej, and Čáslav. Cosmas also refers to Radim (later Gaudentius) as a brother; who is believed to have been a half-brother by his father's liaison with another woman. After he survived a grave illness in childhood, his parents decided to dedicate him to the service of God. Adalbert was well educated, having studied for approximately ten years (970-80) in Magdeburg under Adalbert of Magdeburg. The young Vojtěch took his tutor's name "Adalbert" at his Confirmation. Episcopacy In 981 Adalbert of Magdeburg died, and his young protege Adalbert returned to Bohemia. Later Bishop Dietmar of Prague ordained him a Catholic priest. In 982, Bishop Dietmar died, and Adalbert, despite being under canonical age, was chosen to succeed him as Bishop of Prague. Amiable and somewhat worldly, he was not expected to trouble the secular powers by making excessive claims for the Church. Although Adalbert was from a wealthy family, he avoided comfort and luxury, and was noted for his charity and austerity. After six years of preaching and prayer, he had made little headway in evangelizing the Bohemians, who maintained deeply embedded pagan beliefs. Adalbert opposed the participation of Christians in the slave trade and complained of polygamy and idolatry, which were common among the people. Once he started to propose reforms he was met with opposition from both the secular powers and the clergy. His family refused to support Duke Boleslaus in an unsuccessful war against Poland. Adalbert was no longer welcome and eventually forced into exile. In 988 he went to Rome. He lived as a hermit at the Benedictine monastery of Saint Alexis. Five years later, Boleslaus requested that the Pope send Adalbert back to Prague, in hopes of securing his family's support. Pope John XV agreed, with the understanding that Adalbert was free to leave Prague if he continued to encounter entrenched resistance. Adalbert returned as bishop of Prague, where he was initially received with demonstrations of apparent joy. Together with a group of Italian Benedictine monks which brought with him, he founded in 14 January 993 a monastery in Břevnov (then situated westward from Prague, now part of the city), the second oldest monastery on Czech territory. In 995, the Slavniks' former rivalry with the Přemyslids, who were allied with the powerful Bohemian clan of the Vršovcis, resulted in the storming of the Slavnik town of Libice nad Cidlinou, which was led by the Přemyslid Boleslaus II the Pious. During the struggle four or five of Adalbert's brothers were killed. The Zlič Principality became part of the Přemyslids' estate. Adalbert unsuccessfully attempted to protect a noblewoman caught in adultery. She had fled to a convent, where she was killed. In upholding the right of sanctuary, Bishop Adalbert responded by excommunicating the murderers. Butler suggests that the incident was orchestrated by enemies of his family. After this, Adalbert could not safely stay in Bohemia and escaped from Prague. Strachkvas was eventually appointed to be his successor. However, Strachkvas suddenly died during the liturgy at which he was to accede to his episcopal office in Prague. The cause of his death is still ambiguous. The Pope directed Adalbert to resume his see, but believing that he would not be allowed back, Adalbert requested a brief as an itinerant missionary. Adalbert then traveled to Hungary and probably baptized Géza of Hungary and his son Stephen in Esztergom. Then he went to Poland where he was cordially welcomed by then-Duke Boleslaus I and installed as Bishop of Gniezno. Mission and Martyrdom in Prussia Adalbert again relinquished his diocese, namely that of Gniezno, and set out as a missionary to preach to the inhabitants near Prussia. Bolesław I, Duke (and, later, King) of Poland, sent soldiers with Adalbert on his mission to the Prussians. The Bishop and his companions, entered Prussian territory and traveled along the coast of the Baltic Sea to Gdańsk. At the borders of the Polish realm, at the mouth of the Vistula River, his half-brother Radim (Gaudentius), Benedict-Bogusza (who was probably a Pole), and at least one interpreter, ventured out into Prussia alone, as Bolesław had only sent his
Life Early Years Born as Vojtěch in 952 or ca. 956 in gord Libice, he belonged to the Slavnik clan, one of the two most powerful families in Bohemia. Events from his life were later recorded by a Bohemian priest Cosmas of Prague (1045–1125). Vojtěch's father was Slavník (d. 978–981), a duke ruling a province centred at Libice. His mother was Střezislava (d. 985–987), and according to David Kalhous belonged to the Přemyslid dynasty. He had five brothers: Soběslav, Spytimír, Dobroslav, Pořej, and Čáslav. Cosmas also refers to Radim (later Gaudentius) as a brother; who is believed to have been a half-brother by his father's liaison with another woman. After he survived a grave illness in childhood, his parents decided to dedicate him to the service of God. Adalbert was well educated, having studied for approximately ten years (970-80) in Magdeburg under Adalbert of Magdeburg. The young Vojtěch took his tutor's name "Adalbert" at his Confirmation. Episcopacy In 981 Adalbert of Magdeburg died, and his young protege Adalbert returned to Bohemia. Later Bishop Dietmar of Prague ordained him a Catholic priest. In 982, Bishop Dietmar died, and Adalbert, despite being under canonical age, was chosen to succeed him as Bishop of Prague. Amiable and somewhat worldly, he was not expected to trouble the secular powers by making excessive claims for the Church. Although Adalbert was from a wealthy family, he avoided comfort and luxury, and was noted for his charity and austerity. After six years of preaching and prayer, he had made little headway in evangelizing the Bohemians, who maintained deeply embedded pagan beliefs. Adalbert opposed the participation of Christians in the slave trade and complained of polygamy and idolatry, which were common among the people. Once he started to propose reforms he was met with opposition from both the secular powers and the clergy. His family refused to support Duke Boleslaus in an unsuccessful war against Poland. Adalbert was no longer welcome and eventually forced into exile. In 988 he went to Rome. He lived as a hermit at the Benedictine monastery of Saint Alexis. Five years later, Boleslaus requested that the Pope send Adalbert back to Prague, in hopes of securing his family's support. Pope John XV agreed, with the understanding that Adalbert was free to leave Prague if he continued to encounter entrenched resistance. Adalbert returned as bishop of Prague, where he was initially received with demonstrations of apparent joy. Together with a group of Italian Benedictine monks which brought with him, he founded in 14 January 993 a monastery in Břevnov (then situated westward from Prague, now part of the city), the second oldest monastery on Czech territory. In 995, the Slavniks' former rivalry with the Přemyslids, who were allied with the powerful Bohemian clan of the Vršovcis, resulted in the storming of the Slavnik town of Libice nad Cidlinou, which was led by the Přemyslid Boleslaus II the Pious. During the struggle four or five of Adalbert's brothers were killed. The Zlič Principality became part of the Přemyslids' estate. Adalbert unsuccessfully attempted to protect a noblewoman caught in adultery. She had fled to a convent, where she was killed. In upholding the right of sanctuary, Bishop Adalbert responded by excommunicating the murderers. Butler suggests that the incident was orchestrated by enemies of his family. After this, Adalbert could not safely stay in Bohemia and escaped from Prague. Strachkvas was eventually appointed to be his successor. However, Strachkvas suddenly died during the liturgy at which he was to accede to his episcopal office in Prague. The cause of his death is still ambiguous. The Pope directed Adalbert to resume his see, but believing that he would not be allowed back, Adalbert requested a brief as an itinerant missionary. Adalbert then traveled to Hungary and probably baptized Géza of Hungary and his son Stephen in Esztergom. Then he went to Poland where he was cordially welcomed by then-Duke Boleslaus I and installed as Bishop of Gniezno. Mission and Martyrdom in Prussia Adalbert again relinquished his diocese, namely that of Gniezno, and set out as a missionary to preach to the inhabitants near Prussia. Bolesław I, Duke (and, later, King) of Poland, sent soldiers with Adalbert on his mission to the Prussians. The Bishop and his companions, entered Prussian territory and traveled along the coast of the Baltic Sea to Gdańsk. At the borders of the Polish realm, at the mouth of the Vistula River, his half-brother Radim (Gaudentius), Benedict-Bogusza (who was probably a Pole), and at least one interpreter, ventured out into Prussia alone, as Bolesław had only sent his soldiers to escort them to the border. Adalbert achieved some success upon his arrival, however his arrival mostly caused strain upon the local Prussian populations. Partially this was because of the imperious manner with which he preached, but potentially because he preached utilizing a book. The Prussians had a oral society where communication was face to face. To the locals Adalbert reading from a book may have come off as a manifestation of an evil action. He was forced to leave this first village after being struck in the back of the head by an oar by a local chieftain, causing the pages of his book to scatter upon the ground. He and his companions then fled across a river. In the next place that Adalbert tried to preach, his message was met with the locals banging their sticks upon the ground, calling for the death of Adalbert and his companions. Retreating once again Adalbert and his companions went to a market place of Truso (near modern-day Elbląg). Here they
April. Lanfranc, the first post-Conquest archbishop, was dubious about some of the saints venerated at Canterbury. He was persuaded of Ælfheah's sanctity, but Ælfheah and Augustine of Canterbury were the only pre-conquest Anglo-Saxon archbishops kept on Canterbury's calendar of saints. Ælfheah's shrine, which had become neglected, was rebuilt and expanded in the early 12th century under Anselm of Canterbury, who was instrumental in retaining Ælfheah's name in the church calendar. After the 1174 fire in Canterbury Cathedral, Ælfheah's remains together with those of Dunstan were placed around the high altar, at which Thomas Becket is said to have commended his life into Ælfheah's care shortly before his martyrdom during the Becket controversy. The new shrine was sealed in lead, and was north of the high altar, sharing the honour with Dunstan's shrine, which was located south of the high altar. A Life of Saint Ælfheah in prose and verse was written by a Canterbury monk named Osbern, at Lanfranc's request. The prose version has survived, but the Life is very much a hagiography; many of the stories it contains have obvious Biblical parallels, making them suspect as a historical record. In the late medieval period, Ælfheah's feast day was celebrated in Scandinavia, perhaps because of the saint's connection with Cnut. Few church dedications to him are known, with most of them occurring in Kent and one each in London and Winchester; as well as St Alfege's Church in Greenwich, a nearby hospital (1931–1968) was named after him. In Kent, there are two 12th century parish churches dedicated to St Alphege at Seasalter and Canterbury. Reputedly his body lay in these churches overnight on his way back to Canterbury Cathedral for burial. In the town of Solihull in the West Midlands, St Alphege Church is dedicated to Ælfheah dating back to approximately 1277. In 1929, a new Roman Catholic church in Bath, the Church of Our Lady & St Alphege, was designed by Giles Gilbert Scott in homage to the ancient Roman church of Santa Maria in Cosmedin, and dedicated to Ælfheah under the name of Alphege. St George the Martyr with St Alphege & St Jude stands in Borough in London. Notes Citations References Further reading External links 950s births 1012 deaths People from Bath, Somerset Anglo-Saxon saints Archbishops of Canterbury Bishops of
later Archbishop of Canterbury, prayed to him just before his own murder in Canterbury Cathedral in 1170. Life Ælfheah was born around 953, supposedly in Weston on the outskirts of Bath, and became a monk early in life. He first entered the monastery of Deerhurst, but then moved to Bath, where he became an anchorite. He was noted for his piety and austerity and rose to become abbot of Bath Abbey. The 12th century chronicler, William of Malmesbury recorded that Ælfheah was a monk and prior at Glastonbury Abbey, but this is not accepted by all historians. Indications are that Ælfheah became abbot at Bath by 982, perhaps as early as around 977. He perhaps shared authority with his predecessor Æscwig after 968. Probably due to the influence of Dunstan, the Archbishop of Canterbury (959–988), Ælfheah was elected Bishop of Winchester in 984, and was consecrated on 19 October that year. While bishop he was largely responsible for the construction of a large organ in the cathedral, audible from over a mile (1600 m) away and said to require more than 24 men to operate. He also built and enlarged the city's churches, and promoted the cult of Swithun and his own predecessor, Æthelwold of Winchester. One act promoting Æthelwold's cult was the translation of Æthelwold's body to a new tomb in the cathedral at Winchester, which Ælfheah presided over on 10 September 996. Following a Viking raid in 994, a peace treaty was agreed with one of the raiders, Olaf Tryggvason. Besides receiving danegeld, Olaf converted to Christianity and undertook never to raid or fight the English again. Ælfheah may have played a part in the treaty negotiations, and it is certain that he confirmed Olaf in his new faith. In 1006, Ælfheah succeeded Ælfric as Archbishop of Canterbury, taking Swithun's head with him as a relic for the new location. He went to Rome in 1007 to receive his pallium—symbol of his status as an archbishop—from Pope John XVIII, but was robbed
is the free associative algebra over a field generated by the paths in the graph. Analysis Given any Banach space X, the continuous linear operators A : X → X form an associative algebra (using composition of operators as multiplication); this is a Banach algebra. Given any topological space X, the continuous real- or complex-valued functions on X form a real or complex associative algebra; here the functions are added and multiplied pointwise. The set of semimartingales defined on the filtered probability space (Ω, F, (Ft)t ≥ 0, P) forms a ring under stochastic integration. The Weyl algebra An Azumaya algebra Geometry and combinatorics The Clifford algebras, which are useful in geometry and physics. Incidence algebras of locally finite partially ordered sets are associative algebras considered in combinatorics. Constructions Subalgebras A subalgebra of an R-algebra A is a subset of A which is both a subring and a submodule of A. That is, it must be closed under addition, ring multiplication, scalar multiplication, and it must contain the identity element of A. Quotient algebras Let A be an R-algebra. Any ring-theoretic ideal I in A is automatically an R-module since r · x = (r1A)x. This gives the quotient ring A / I the structure of an R-module and, in fact, an R-algebra. It follows that any ring homomorphic image of A is also an R-algebra. Direct products The direct product of a family of R-algebras is the ring-theoretic direct product. This becomes an R-algebra with the obvious scalar multiplication. Free products One can form a free product of R-algebras in a manner similar to the free product of groups. The free product is the coproduct in the category of R-algebras. Tensor products The tensor product of two R-algebras is also an R-algebra in a natural way. See tensor product of algebras for more details. Given a commutative ring R and any ring A the tensor product R ⊗Z A can be given the structure of an R-algebra by defining r · (s ⊗ a) = (rs ⊗ a). The functor which sends A to R ⊗Z A is left adjoint to the functor which sends an R-algebra to its underlying ring (forgetting the module structure). See also: Change of rings. Separable algebra Let A be an algebra over a commutative ring R. Then the algebra A is a right module over with the action . Then, by definition, A is said to separable if the multiplication map splits as an -linear map, where is an -module by . Equivalently, is separable if it is a projective module over ; thus, the -projective dimension of A, sometimes called the bidimension of A, measures the failure of separability. Finite-dimensional algebra Let A be a finite-dimensional algebra over a field k. Then A is an Artinian ring. Commutative case As A is Artinian, if it is commutative, then it is a finite product of Artinian local rings whose residue fields are algebras over the base field k. Now, a reduced Artinian local ring is a field and thus the following are equivalent is separable. is reduced, where is some algebraic closure of k. for some n. is the number of -algebra homomorphisms . Noncommutative case Since a simple Artinian ring is a (full) matrix ring over a division ring, if A is a simple algebra, then A is a (full) matrix algebra over a division algebra D over k; i.e., . More generally, if A is a semisimple algebra, then it is a finite product of matrix algebras (over various division k-algebras), the fact known as the Artin–Wedderburn theorem. The fact that A is Artinian simplifies the notion of a Jacobson radical; for an Artinian ring, the Jacobson radical of A is the intersection of all (two-sided) maximal ideals (in contrast, in general, a Jacobson radical is the intersection of all left maximal ideals or the intersection of all right maximal ideals.) The Wedderburn principal theorem states: for a finite-dimensional algebra A with a nilpotent ideal I, if the projective dimension of as an -module is at most one, then the natural surjection splits; i.e., contains a subalgebra such that is an isomorphism. Taking I to be the Jacobson radical, the theorem says in particular that the Jacobson radical is complemented by a semisimple algebra. The theorem is an analog of Levi's theorem for Lie algebras. Lattices and orders Let R be a Noetherian integral domain with field of fractions K (for example, they can be ). A lattice L in a finite-dimensional K-vector space V is a finitely generated R-submodule of V that spans V; in other words, . Let be a finite-dimensional K-algebra. An order in is an R-subalgebra that is a lattice. In general, there are a lot fewer orders than lattices; e.g., is a lattice in but not an order (since it is not an algebra). A maximal order is an order that is maximal among all the orders. Related concepts Coalgebras An associative algebra over K is given by a K-vector space A endowed with a bilinear map A × A → A having two inputs (multiplicator and multiplicand) and one output (product), as well as a morphism K → A identifying the scalar multiples of the multiplicative identity. If the bilinear map A × A → A is reinterpreted as a linear map (i. e., morphism in the category of K-vector spaces) A ⊗ A → A (by the universal property of the tensor product), then we can view an associative algebra over K as a K-vector space A endowed with two morphisms (one of the form A ⊗ A → A and one of the form K → A) satisfying certain conditions that boil down to the algebra axioms. These two morphisms can be dualized using categorial duality by reversing all arrows in the commutative diagrams that describe the algebra axioms; this defines the structure of a coalgebra. There is also an abstract notion of F-coalgebra, where F is a functor. This is vaguely related to the notion of coalgebra discussed above. Representations A representation of an algebra A is an algebra homomorphism ρ : A → End(V) from A to the endomorphism algebra of
of a Jacobson radical; for an Artinian ring, the Jacobson radical of A is the intersection of all (two-sided) maximal ideals (in contrast, in general, a Jacobson radical is the intersection of all left maximal ideals or the intersection of all right maximal ideals.) The Wedderburn principal theorem states: for a finite-dimensional algebra A with a nilpotent ideal I, if the projective dimension of as an -module is at most one, then the natural surjection splits; i.e., contains a subalgebra such that is an isomorphism. Taking I to be the Jacobson radical, the theorem says in particular that the Jacobson radical is complemented by a semisimple algebra. The theorem is an analog of Levi's theorem for Lie algebras. Lattices and orders Let R be a Noetherian integral domain with field of fractions K (for example, they can be ). A lattice L in a finite-dimensional K-vector space V is a finitely generated R-submodule of V that spans V; in other words, . Let be a finite-dimensional K-algebra. An order in is an R-subalgebra that is a lattice. In general, there are a lot fewer orders than lattices; e.g., is a lattice in but not an order (since it is not an algebra). A maximal order is an order that is maximal among all the orders. Related concepts Coalgebras An associative algebra over K is given by a K-vector space A endowed with a bilinear map A × A → A having two inputs (multiplicator and multiplicand) and one output (product), as well as a morphism K → A identifying the scalar multiples of the multiplicative identity. If the bilinear map A × A → A is reinterpreted as a linear map (i. e., morphism in the category of K-vector spaces) A ⊗ A → A (by the universal property of the tensor product), then we can view an associative algebra over K as a K-vector space A endowed with two morphisms (one of the form A ⊗ A → A and one of the form K → A) satisfying certain conditions that boil down to the algebra axioms. These two morphisms can be dualized using categorial duality by reversing all arrows in the commutative diagrams that describe the algebra axioms; this defines the structure of a coalgebra. There is also an abstract notion of F-coalgebra, where F is a functor. This is vaguely related to the notion of coalgebra discussed above. Representations A representation of an algebra A is an algebra homomorphism ρ : A → End(V) from A to the endomorphism algebra of some vector space (or module) V. The property of ρ being an algebra homomorphism means that ρ preserves the multiplicative operation (that is, ρ(xy) = ρ(x)ρ(y) for all x and y in A), and that ρ sends the unit of A to the unit of End(V) (that is, to the identity endomorphism of V). If A and B are two algebras, and ρ : A → End(V) and τ : B → End(W) are two representations, then there is a (canonical) representation A B → End(V W) of the tensor product algebra A B on the vector space V W. However, there is no natural way of defining a tensor product of two representations of a single associative algebra in such a way that the result is still a representation of that same algebra (not of its tensor product with itself), without somehow imposing additional conditions. Here, by tensor product of representations, the usual meaning is intended: the result should be a linear representation of the same algebra on the product vector space. Imposing such additional structure typically leads to the idea of a Hopf algebra or a Lie algebra, as demonstrated below. Motivation for a Hopf algebra Consider, for example, two representations and . One might try to form a tensor product representation according to how it acts on the product vector space, so that However, such a map would not be linear, since one would have for k ∈ K. One can rescue this attempt and restore linearity by imposing additional structure, by defining an algebra homomorphism Δ: A → A ⊗ A, and defining the tensor product representation as Such a homomorphism Δ is called a comultiplication if it satisfies certain axioms. The resulting structure is called a bialgebra. To be consistent with the definitions of the associative algebra, the coalgebra must be co-associative, and, if the algebra is unital, then the co-algebra must be co-unital as well. A Hopf algebra is a bialgebra with an additional piece of structure (the so-called antipode), which allows not only to define the tensor product of two representations, but also the Hom module of two representations (again, similarly to how it is done in the representation theory of groups). Motivation for a Lie algebra One can try to be more clever in defining a tensor product. Consider, for example, so that the action on the tensor product space is given by . This map is clearly linear in x, and so it does not have the problem of the earlier definition. However, it fails to preserve multiplication: . But, in general, this does not equal . This shows that this definition of a tensor product is too naive; the obvious fix is to define
is infinite and constant. Notice that this argument only applies to functions f that can be represented as sets as opposed to undefinable classes. The hereditarily finite sets, Vω, satisfy the axiom of regularity (and all other axioms of ZFC except the axiom of infinity). So if one forms a non-trivial ultrapower of Vω, then it will also satisfy the axiom of regularity. The resulting model will contain elements, called non-standard natural numbers, that satisfy the definition of natural numbers in that model but are not really natural numbers. They are fake natural numbers which are "larger" than any actual natural number. This model will contain infinite descending sequences of elements. For example, suppose n is a non-standard natural number, then and , and so on. For any actual natural number k, . This is an unending descending sequence of elements. But this sequence is not definable in the model and thus not a set. So no contradiction to regularity can be proved. Simpler set-theoretic definition of the ordered pair The axiom of regularity enables defining the ordered pair (a,b) as {a,{a,b}}; see ordered pair for specifics. This definition eliminates one pair of braces from the canonical Kuratowski definition (a,b) = {{a},{a,b}}. Every set has an ordinal rank This was actually the original form of the axiom in von Neumann's axiomatization. Suppose x is any set. Let t be the transitive closure of {x}. Let u be the subset of t consisting of unranked sets. If u is empty, then x is ranked and we are done. Otherwise, apply the axiom of regularity to u to get an element w of u which is disjoint from u. Since w is in u, w is unranked. w is a subset of t by the definition of transitive closure. Since w is disjoint from u, every element of w is ranked. Applying the axioms of replacement and union to combine the ranks of the elements of w, we get an ordinal rank for w, to wit . This contradicts the conclusion that w is unranked. So the assumption that u was non-empty must be false and x must have rank. For every two sets, only one can be an element of the other Let X and Y be sets. Then apply the axiom of regularity to the set {X,Y} (which exists by the axiom of pairing). We see there must be an element of {X,Y} which is also disjoint from it. It must be either X or Y. By the definition of disjoint then, we must have either Y is not an element of X or vice versa. The axiom of dependent choice and no infinite descending sequence of sets implies regularity Let the non-empty set S be a counter-example to the axiom of regularity; that is, every element of S has a non-empty intersection with S. We define a binary relation R on S by , which is entire by assumption. Thus, by the axiom of dependent choice, there is some sequence (an) in S satisfying anRan+1 for all n in N. As this is an infinite descending chain, we arrive at a contradiction and so, no such S exists. Regularity and the rest of ZF(C) axioms Regularity was shown to be relatively consistent with the rest of ZF by and , meaning that if ZF without regularity is consistent, then ZF (with regularity) is also consistent. For his proof in modern notation see for instance. The axiom of regularity was also shown to be independent from the other axioms of ZF(C), assuming they are consistent. The result was announced by Paul Bernays in 1941, although he did not publish a proof until 1954. The proof involves (and led to the study of) Rieger-Bernays permutation
So f(k+1) is in the intersection of f(k) and S. This contradicts the fact that they are disjoint sets. Since our supposition led to a contradiction, there must not be any such function, f. The nonexistence of a set containing itself can be seen as a special case where the sequence is infinite and constant. Notice that this argument only applies to functions f that can be represented as sets as opposed to undefinable classes. The hereditarily finite sets, Vω, satisfy the axiom of regularity (and all other axioms of ZFC except the axiom of infinity). So if one forms a non-trivial ultrapower of Vω, then it will also satisfy the axiom of regularity. The resulting model will contain elements, called non-standard natural numbers, that satisfy the definition of natural numbers in that model but are not really natural numbers. They are fake natural numbers which are "larger" than any actual natural number. This model will contain infinite descending sequences of elements. For example, suppose n is a non-standard natural number, then and , and so on. For any actual natural number k, . This is an unending descending sequence of elements. But this sequence is not definable in the model and thus not a set. So no contradiction to regularity can be proved. Simpler set-theoretic definition of the ordered pair The axiom of regularity enables defining the ordered pair (a,b) as {a,{a,b}}; see ordered pair for specifics. This definition eliminates one pair of braces from the canonical Kuratowski definition (a,b) = {{a},{a,b}}. Every set has an ordinal rank This was actually the original form of the axiom in von Neumann's axiomatization. Suppose x is any set. Let t be the transitive closure of {x}. Let u be the subset of t consisting of unranked sets. If u is empty, then x is ranked and we are done. Otherwise, apply the axiom of regularity to u to get an element w of u which is disjoint from u. Since w is in u, w is unranked. w is a subset of t by the definition of transitive closure. Since w is disjoint from u, every element of w is ranked. Applying the axioms of replacement and union to combine the ranks of the elements of w, we get an ordinal rank for w, to wit . This contradicts the conclusion that w is unranked. So the assumption that u was non-empty must be false and x must have rank. For every two sets, only one can be an element of the other Let X and Y be sets. Then apply the axiom of regularity to the set {X,Y} (which exists by the axiom of pairing). We see there must be an element of {X,Y} which is also disjoint from it. It must be either X or Y. By the definition of disjoint then, we must have either Y is not an element of X or vice versa. The axiom of dependent choice and no infinite descending sequence of sets implies regularity Let the non-empty set S be a counter-example to the axiom of regularity; that is, every element of S has a non-empty intersection with S. We define a binary relation R on S by , which is entire by assumption. Thus, by the axiom of dependent choice, there is some sequence (an) in S satisfying anRan+1 for all n in N. As this is an infinite descending chain, we arrive at a contradiction and so, no such S exists. Regularity and the rest of ZF(C) axioms Regularity was shown to be relatively consistent with the rest of ZF by and , meaning that if ZF without regularity is consistent, then ZF (with regularity) is also consistent. For his proof in modern notation see for instance. The axiom of regularity was also shown to be independent from the other axioms of ZF(C), assuming they are consistent. The result was announced by Paul Bernays in 1941, although he did not publish a proof until 1954. The proof involves (and led to the study of) Rieger-Bernays permutation models (or method), which were used for other proofs of independence for non-well-founded systems ( and ). Regularity and Russell's paradox Naive set theory (the axiom schema of unrestricted comprehension and the axiom of extensionality) is inconsistent due to Russell's paradox. In early formalizations of sets, mathematicians and logicians have avoided that contradiction by replacing the axiom schema of comprehension with the much weaker axiom schema of separation. However, this step alone takes one to theories of sets which are considered too weak. So some of the power of comprehension was added back via the other existence axioms of ZF set theory (pairing, union, powerset, replacement, and infinity) which may be regarded as special cases of comprehension. So far, these axioms do not seem to
and thereby being fully compatible with DS on and on midrange systems running OS/400 through IBM i. For the graphical user interfaces, AIX v2 came with the X10R3 and later the X10R4 and X11 versions of the X Window System from MIT, together with the Athena widget set. Compilers for Fortran and C were available. IBM PS/2 series AIX PS/2 (also known as AIX/386) was developed by Locus Computing Corporation under contract to IBM. AIX PS/2, first released in October 1988, ran on IBM PS/2 personal computers with Intel 386 and compatible processors. The product was announced in September 1988 with a baseline tag price of $595, although some utilities like uucp were included in a separate Extension package priced at $250. nroff and troff for AIX were also sold separately in a Text Formatting System package priced at $200. The TCP/IP stack for AIX PS/2 retailed for another $300. The X Window package was priced at $195, and featured a graphical environment called the AIXwindows Desktop, based on IXI's X.desktop. The C and FORTRAN compilers each had a price tag of $275. Locus also made available their DOS Merge virtual machine environment for AIX, which could run MS DOS 3.3 applications inside AIX; DOS Merge was sold separately for another $250. IBM also offered a $150 AIX PS/2 DOS Server Program, which provided file server and print server services for client computers running PC DOS 3.3. The last version of PS/2 AIX is 1.3. It was released in 1992 and announced to add support for non-IBM (non-microchannel) computers as well. Support for PS/2 AIX ended in March 1995. IBM mainframes In 1988, IBM announced AIX/370, also developed by Locus Computing. AIX/370 was IBM's fourth attempt to offer Unix-like functionality for their mainframe line, specifically the System/370 (the prior versions were a TSS/370-based Unix system developed jointly with AT&T c.1980, a VM/370-based system named VM/IX developed jointly with Interactive Systems Corporation c.1984, and a VM/370-based version of TSS/370 named IX/370 which was upgraded to be compatible with Unix System V). AIX/370 was released in 1990 with functional equivalence to System V Release 2 and 4.3BSD as well as IBM enhancements. With the introduction of the ESA/390 architecture, AIX/370 was replaced by AIX/ESA in 1991, which was based on OSF/1, and also ran on the System/390 platform. This development effort was made partly to allow IBM to compete with Amdahl UTS. Unlike AIX/370, AIX/ESA ran both natively as the host operating system, and as a guest under VM. AIX/ESA, while technically advanced, had little commercial success, partially because UNIX functionality was added as an option to the existing mainframe operating system, MVS, as MVS/ESA SP Version 4 Release 3 OpenEdition in 1994, and continued as an integral part of MVS/ESA SP Version 5, OS/390 and z/OS, with the name eventually changing from OpenEdition to Unix System Services. IBM also provided OpenEdition in VM/ESA Version 2 through z/VM. IA-64 systems As part of Project Monterey, IBM released a beta test version of AIX 5L for the IA-64 (Itanium) architecture in 2001, but this never became an official product due to lack of interest. Apple Network Servers The Apple Network Server (ANS) systems were PowerPC-based systems designed by Apple Computer to have numerous high-end features that standard Apple hardware did not have, including swappable hard drives, redundant power supplies, and external monitoring capability. These systems were more or less based on the Power Macintosh hardware available at the time but were designed to use AIX (versions 4.1.4 or 4.1.5) as their native operating system in a specialized version specific to the ANS called AIX for Apple Network Servers. AIX was only compatible with the Network Servers and was not ported to standard Power Macintosh hardware. It should not be confused with A/UX, Apple's earlier version of Unix for 68k-based Macintoshes. POWER ISA/PowerPC/Power ISA-based systems The release of AIX version 3 (sometimes called AIX/6000) coincided with the announcement of the first POWER1-based IBM RS/6000 models in 1990. AIX v3 innovated in several ways on the software side. It was the first operating system to introduce the idea of a journaling file system, JFS, which allowed for fast boot times by avoiding the need to ensure the consistency of the file systems on disks (see fsck) on every reboot. Another innovation was shared libraries which avoid the need for static linking from an application to the libraries it used. The resulting smaller binaries used less of the hardware RAM to run, and used less disk space to install. Besides improving performance, it was a boon to developers: executable binaries could be in the tens of kilobytes instead of a megabyte for an executable statically linked to the C library. AIX v3 also scrapped the microkernel of AIX v2, a contentious move that resulted in v3 containing no PL/8 code and being somewhat more "pure" than v2. Other notable subsystems included: IRIS GL, a 3D rendering library, the progenitor of OpenGL. IRIS GL was licensed by IBM from SGI in 1987, then still a fairly small company, which had sold only a few thousand machines at the time. SGI also provided the low-end graphics card for the RS/6000, capable of drawing 20,000 gouraud-shaded triangles per second. The high-end graphics card was designed by IBM, a follow-on to the mainframe-attached IBM 5080, capable of rendering 990,000 vectors per second. PHIGS, another 3D rendering API, popular in automotive CAD/CAM circles, and at the core of CATIA. Full implementation of version 11 of the X Window System, together with Motif as the recommended widget collection and window manager. Network file systems: NFS from Sun; AFS, the Andrew File System; and DFS, the Distributed File System. NCS, the Network Computing System, licensed from Apollo Computer (later acquired by HP). DPS on-screen display system. This was notable as a "plan B" in case the X11+Motif combination failed in the marketplace. However, it was highly proprietary, supported only by Sun, NeXT, and IBM. This cemented its failure in the marketplace in the face of the open systems challenge of X11+Motif and its lack of 3D capability. , AIX runs on IBM Power, System p, System
of the AIX v2 kernel was written in the PL/8 programming language, which proved troublesome during the migration to AIX v3. AIX v2 included full TCP/IP networking, as well as SNA and two networking file systems: NFS, licensed from Sun Microsystems, and Distributed Services (DS). DS had the distinction of being built on top of SNA, and thereby being fully compatible with DS on and on midrange systems running OS/400 through IBM i. For the graphical user interfaces, AIX v2 came with the X10R3 and later the X10R4 and X11 versions of the X Window System from MIT, together with the Athena widget set. Compilers for Fortran and C were available. IBM PS/2 series AIX PS/2 (also known as AIX/386) was developed by Locus Computing Corporation under contract to IBM. AIX PS/2, first released in October 1988, ran on IBM PS/2 personal computers with Intel 386 and compatible processors. The product was announced in September 1988 with a baseline tag price of $595, although some utilities like uucp were included in a separate Extension package priced at $250. nroff and troff for AIX were also sold separately in a Text Formatting System package priced at $200. The TCP/IP stack for AIX PS/2 retailed for another $300. The X Window package was priced at $195, and featured a graphical environment called the AIXwindows Desktop, based on IXI's X.desktop. The C and FORTRAN compilers each had a price tag of $275. Locus also made available their DOS Merge virtual machine environment for AIX, which could run MS DOS 3.3 applications inside AIX; DOS Merge was sold separately for another $250. IBM also offered a $150 AIX PS/2 DOS Server Program, which provided file server and print server services for client computers running PC DOS 3.3. The last version of PS/2 AIX is 1.3. It was released in 1992 and announced to add support for non-IBM (non-microchannel) computers as well. Support for PS/2 AIX ended in March 1995. IBM mainframes In 1988, IBM announced AIX/370, also developed by Locus Computing. AIX/370 was IBM's fourth attempt to offer Unix-like functionality for their mainframe line, specifically the System/370 (the prior versions were a TSS/370-based Unix system developed jointly with AT&T c.1980, a VM/370-based system named VM/IX developed jointly with Interactive Systems Corporation c.1984, and a VM/370-based version of TSS/370 named IX/370 which was upgraded to be compatible with Unix System V). AIX/370 was released in 1990 with functional equivalence to System V Release 2 and 4.3BSD as well as IBM enhancements. With the introduction of the ESA/390 architecture, AIX/370 was replaced by AIX/ESA in 1991, which was based on OSF/1, and also ran on the System/390 platform. This development effort was made partly to allow IBM to compete with Amdahl UTS. Unlike AIX/370, AIX/ESA ran both natively as the host operating system, and as a guest under VM. AIX/ESA, while technically advanced, had little commercial success, partially because UNIX functionality was added as an option to the existing mainframe operating system, MVS, as MVS/ESA SP Version 4 Release 3 OpenEdition in 1994, and continued as an integral part of MVS/ESA SP Version 5, OS/390 and z/OS, with the name eventually changing from OpenEdition to Unix System Services. IBM also provided OpenEdition in VM/ESA Version 2 through z/VM. IA-64 systems As part of Project Monterey, IBM released a beta test version of AIX 5L for the IA-64 (Itanium) architecture in 2001, but this never became an official product due to lack of interest. Apple Network Servers The Apple Network Server (ANS) systems were PowerPC-based systems designed by Apple Computer to have numerous high-end features that standard Apple hardware did not have, including swappable hard drives, redundant power supplies, and external monitoring capability. These systems were more or less based on the Power Macintosh hardware available at the time but were designed to use AIX (versions 4.1.4 or 4.1.5) as their native operating system in a specialized version specific to the ANS called AIX for Apple Network Servers. AIX was only compatible with the Network Servers and was not ported to standard Power Macintosh hardware. It should not be confused with A/UX, Apple's earlier version of Unix for 68k-based Macintoshes. POWER ISA/PowerPC/Power ISA-based systems The release of AIX version 3 (sometimes called AIX/6000) coincided with the announcement of the first POWER1-based IBM RS/6000 models in 1990. AIX v3 innovated in several ways on the software side. It was the first operating system to introduce the idea of a journaling file system, JFS, which allowed for fast boot times by avoiding the need to ensure the consistency of the file systems on disks (see fsck) on every reboot. Another innovation was shared libraries which avoid the need for static linking from an application to the libraries it used. The resulting smaller binaries used less of the hardware RAM to run, and used less disk space to install. Besides improving performance, it was a boon to developers: executable binaries could be in the tens of kilobytes instead of a megabyte for an executable statically linked to the C library. AIX v3 also scrapped the microkernel of AIX v2, a contentious move that resulted in v3 containing no PL/8 code and being somewhat more "pure" than v2. Other notable subsystems included: IRIS GL, a 3D rendering library, the progenitor of OpenGL. IRIS GL was licensed by IBM from SGI in 1987, then still a fairly small company, which had sold only a few thousand machines at the time. SGI also provided the low-end graphics card for the RS/6000, capable of drawing 20,000 gouraud-shaded triangles per second. The high-end graphics card was designed by IBM, a follow-on to the mainframe-attached IBM 5080, capable of rendering 990,000 vectors per second. PHIGS, another 3D rendering API, popular in automotive CAD/CAM circles, and at the core of CATIA. Full implementation of version 11 of the X Window System, together with Motif as the recommended widget collection and window manager. Network file systems: NFS from Sun; AFS, the Andrew File System; and DFS, the Distributed File System. NCS, the Network Computing System, licensed from Apollo Computer (later acquired by HP). DPS on-screen display system. This was notable as a "plan B" in case the X11+Motif combination failed in the marketplace. However, it was highly proprietary, supported only by Sun, NeXT, and IBM. This cemented its failure in the marketplace in the face of the open systems challenge of X11+Motif and its lack of 3D capability. , AIX runs on IBM Power, System p, System i, System p5, System i5, eServer p5, eServer pSeries and eServer i5 server product lines, as well as IBM
third parties to produce these products. A number of companies responded, including Hayes and a few newly formed companies like Kinetics. LocalTalk, EtherTalk, TokenTalk and AppleShare By 1987, Ethernet was clearly winning the standards battle over Token Ring, and in the middle of that year Apple introduced EtherTalk 1.0, an implementation of the AppleTalk protocol over the Ethernet physical layer. Introduced for the newly released Macintosh II computer, Apple's first Macintosh with expansion slots, the operating system included a new Network control panel that allowed the user to select which physical connection to use for networking (from "Built-in" or "EtherTalk"). At introduction, Ethernet interface cards were available from 3Com and Kinetics that plugged into a Nubus slot in the machine. The new networking stack also expanded the system to allow a full 255 nodes per LAN. With EtherTalk's release, AppleTalk Personal Network was renamed LocalTalk, the name it would be known under for the bulk of its life. Token Ring would later be supported with the similar TokenTalk product, which used the same Network control panel and underlying software. Over time, many third-party companies would introduce compatible Ethernet and Token Ring cards that used these same drivers. The appearance of a Macintosh with a direct Ethernet connection also magnified the Ethernet and LocalTalk compatibility problem: Networks with new and old Macs needed some way to communicate with each other. This could be as simple as a network of Ethernet Mac II's trying to talk to a LaserWriter that only connected to LocalTalk. Apple initially relied on the aforementioned LocalTalk-to-Ethernet bridge products, but contrary to Apple's belief that these would be low-volume products, by the end of 1987, 130,000 such networks were in use. AppleTalk was at that time the most used networking system in the world, with over three times the installations of any other vendor. 1987 also marked the introduction of the AppleShare product, a dedicated file server that ran on any Mac with 512 kB of RAM or more. A common AppleShare machine was the Mac Plus with an external SCSI hard drive. AppleShare was the #3 network operating system in the late 1980s, behind Novell NetWare and Microsoft's MS-Net. AppleShare was effectively the replacement for the failed Macintosh Office efforts, which had been based on a dedicated file server device. AppleTalk Phase II and other developments A significant re-design was released in 1989 as AppleTalk Phase II. In many ways, Phase II can be considered an effort to make the earlier version (never called Phase I) more generic. LANs could now support more than 255 nodes, and zones were no longer associated with physical networks, but were entirely virtual constructs used simply to organize nodes. For instance, one could now make a "Printers" zone that would list all the printers in an organization, or one might want to place that same device in the "2nd Floor" zone to indicate its physical location. Phase II also included changes to the underlying inter-networking protocols to make them less "chatty", which had previously been a serious problem on networks that bridged over wide-area networks. By this point Apple had a wide variety of communications products under development, and many of these were announced along with AppleTalk Phase II. These included updates to EtherTalk and TokenTalk, AppleTalk software and LocalTalk hardware for the IBM PC, EtherTalk for Apple's A/UX operating system allowing it to use LaserPrinters and other network resources, and the Mac X.25 and MacX products. Ethernet had become almost universal by 1990, and it was time to build Ethernet into Macs direct from the factory. However, the physical wiring used by these networks was not yet completely standardized. Apple solved this problem using a single port on the back of the computer into which the user could plug an adaptor for any given cabling system. This FriendlyNet system was based on the industry-standard Attachment Unit Interface or AUI, but deliberately chose a non-standard connector that was smaller and easier to use, which they called "Apple AUI", or AAUI. FriendlyNet was first introduced on the Quadra 700 and Quadra 900 computers, and used across much of the Mac line for some time. As with LocalTalk, a number of 3rd party FriendlyNet adaptors quickly appeared. As 10BASE-T became the de facto cabling system for Ethernet, second-generation Power Macintosh machines added a 10BASE-T port in addition to AAUI. The PowerBook 3400c and lower-end Power Macs also added 10BASE-T. The Power Macintosh 7300/8600/9600 were the final Macs to include AAUI, and 10BASE-T became universal starting with the Power Macintosh G3 and PowerBook G3. The capital-I Internet From the beginning of AppleTalk, users wanted to connect the Macintosh to the TCP/IP network environments. In 1984, Bill Croft at Stanford University pioneered the development of IP packets encapsulated in DDP as part of the SEAGATE (Stanford Ethernet - AppleTalk Gateway) project. SEAGATE was commercialized by Kinetics in their LocalTalk-to-Ethernet bridge as an additional routing option. A few years later, MacIP, was separated from the SEAGATE code and became the de facto method for IP packets to be routed over LocalTalk networks. By 1986, Columbia University released the first version of the Columbia AppleTalk Package (CAP) that allowed higher integration of Unix, TCP/IP and AppleTalk environments. In 1988, Apple released MacTCP, a system that allowed the Mac to support TCP/IP on machines with suitable Ethernet hardware. However, this left many universities with the problem of supporting IP on their many LocalTalk-equipped Macs. It was soon common to include MacIP support in LocalTalk-to-Ethernet bridges. MacTCP would not become a standard part of the Classic Mac OS until 1994, by which time it also supported SNMP and PPP. For some time in the early 1990s, the Mac was a primary client on the rapidly expanding Internet. Among the better known programs in wide use were Fetch, Eudora, eXodus, NewsWatcher and the NCSA packages, especially NCSA Mosaic and its offspring, Netscape Navigator. Additionally, a number of server products appeared that allowed the Mac to host Internet content. Through this period, Macs had about 2 to 3 times as many clients connected to the Internet as any other platform, despite the relatively small overall microcomputer market share. As the world quickly moved to IP for both LAN and WAN uses, Apple was faced with maintaining two increasingly outdated code bases on an ever-wider group of machines as well as the introduction of the PowerPC based machines. This led to the Open Transport efforts, which re-implemented both MacTCP and AppleTalk on an entirely new code base adapted from the Unix standard STREAMS. Early versions had problems and did not become stable for some time. By that point, Apple was deep in their ultimately doomed Copland efforts. Legacy and abandonment With the purchase of NeXT and subsequent development of Mac OS X, AppleTalk was strictly a legacy system. Support was added to OS X in order to provide support for the large number of existing AppleTalk devices, notably laser printers and file shares, but alternate connection solutions common in this era, notably USB for printers, limited their demand. As Apple abandoned many of these product categories, and all new systems were based on IP, AppleTalk became less and less common. AppleTalk support was finally removed from the MacOS in Mac OS X v10.6 in 2009. However, the loss of AppleTalk did not reduce the desire for networking solutions that combined its ease-of-use with IP routing. Apple has led development of many such efforts, from the introduction of the AirPort router to the development of the Zero-configuration networking system and their implementation of it, Bonjour. As of 2020, AppleTalk support has been completely removed from legacy support with macOS 11 Big Sur. Design The AppleTalk design rigorously followed the OSI model of protocol layering. Unlike most of the early LAN systems, AppleTalk was not built using the archetypal Xerox XNS system. The intended target was not Ethernet, and it did not have 48-bit addresses to route. Nevertheless, many portions of the AppleTalk system have direct analogs in XNS. One key differentiation for AppleTalk was it contained two protocols aimed at making the system completely self-configuring. The AppleTalk address resolution protocol (AARP) allowed AppleTalk hosts to automatically generate their own network addresses, and the Name Binding Protocol (NBP) was a dynamic system for mapping network addresses to user-readable names. Although systems similar to AARP existed in other systems, Banyan VINES for instance, nothing like NBP has existed until recently. Both AARP and NBP had defined ways to allow "controller" devices to override the default mechanisms. The concept was to allow routers to provide the information or "hardwire" the system to known addresses and names. On larger networks where AARP could cause problems as new nodes searched for free addresses, the addition of a router could reduce "chattiness." Together AARP and NBP made AppleTalk an easy-to-use networking system. New machines were added to the network by plugging them and optionally giving them a name. The NBP lists were examined and displayed by a program known as the Chooser which would display a list of machines on the local network, divided into classes such as file-servers and printers. Addressing An AppleTalk address was a four-byte quantity. This consisted of a two-byte network number, a one-byte node number, and a one-byte socket number. Of these, only the network number required any configuration, being obtained from a router. Each node dynamically chose its own node number, according to a protocol (originally the LocalTalk Link Access Protocol LLAP and later, for Ethernet/EtherTalk, the AppleTalk Address Resolution Protocol, AARP) which handled contention between different nodes accidentally choosing the same number. For socket numbers, a few well-known numbers were reserved for special purposes specific to the AppleTalk protocol itself. Apart from these, all application-level protocols were expected to use dynamically-assigned socket numbers at both the client and server end. Because of this dynamism, users could not be expected to access services by specifying their address. Instead, all services had names which, being chosen by humans, could be expected to be meaningful to users, and also could be sufficiently long to minimize the chance of conflicts. As NBP names translated to an address, which included a socket number as well as a node number, a name in AppleTalk mapped directly to a service being provided by a machine, which was entirely separate from the name of the machine itself. Thus, services could be moved to a different machine and, so long as they kept the same service name, there was no need for users to do anything different in order to continue accessing the service.
using RS-422's balanced transmit and receive circuits, the AppleTalk cabling used a single common electrical ground, which limited speeds to about 500 kbit/s, but allowed one conductor to be removed. This meant that common three-conductor cables could be used for wiring. Additionally, the adaptors were designed to be "self-terminating", meaning that nodes at the end of the network could simply leave their last connector unconnected. There was no need for the wires to be connected back together into a loop, nor the need for hubs or other devices. The system was designed for future expansion; the addressing system allowed for expansion to 255 nodes in a LAN (although only 32 could be used at that time), and by using "bridges" (which came to be known as "routers", although technically not the same) one could interconnect LANs into larger collections. "Zones" allowed devices to be addressed within a bridge-connected internet. Additionally, AppleTalk was designed from the start to allow use with any potential underlying physical link, and within a few years, the physical layer would be renamed LocalTalk, so as to differentiate it from the AppleTalk protocols. The main advantage of AppleTalk was that it was completely maintenance-free. To join a device to a network, a user simply plugged the adaptor into the machine, then connected a cable from it to any free port on any other adaptor. The AppleTalk network stack negotiated a network address, assigned the computer a human-readable name, and compiled a list of the names and types of other machines on the network so the user could browse the devices through the Chooser. AppleTalk was so easy to use that ad hoc networks tended to appear whenever multiple Macs were in the same room. Apple would later use this in an advertisement showing a network being created between two seats in an airplane. PhoneNet and other adaptors A thriving 3rd party market for AppleTalk devices developed over the next few years. One particularly notable example was an alternate adaptor designed by BMUG and commercialized by Farallon as PhoneNet in 1987. This was essentially a replacement for Apple's connector that had conventional phone jacks instead of Apple's round connectors. PhoneNet allowed AppleTalk networks to be connected together using normal telephone wires, and with very little extra work, could run analog phones and AppleTalk on a single four-conductor phone cable. Other companies took advantage of the SCC's ability to read external clocks in order to support higher transmission speeds, up to 1 Mbit/s. In these systems the external adaptor also included its own clock, and used that to signal the SCC's clock input pins. The best known such system was Centram's FlashTalk, which ran at 768 kbit/s, and was intended to be used with their TOPS networking system. A similar solution was the 850 kbit/s DaynaTalk, which used a separate box that plugged in between the computer and a normal LocalTalk/PhoneNet box. Dayna also offered a PC expansion card that ran up to 1.7 Mbit/s when talking to other Dayna PC cards. Several other systems also existed with even higher performance, but these often required special cabling that was incompatible with LocalTalk/PhoneNet, and also required patches to the networking stack that often caused problems. AppleTalk over Ethernet As Apple expanded into more commercial and education markets, they needed to integrate AppleTalk into existing network installations. Many of these organizations had already invested in a very expensive Ethernet infrastructure and there was no direct way to connect a Macintosh to Ethernet. AppleTalk included a protocol structure for inter-connecting AppleTalk subnets and so as a solution, EtherTalk was initially created to use the Ethernet as a backbone between LocalTalk subnets. To accomplish this, organizations would need to purchase a LocalTalk-to-Ethernet bridge and Apple left it to third parties to produce these products. A number of companies responded, including Hayes and a few newly formed companies like Kinetics. LocalTalk, EtherTalk, TokenTalk and AppleShare By 1987, Ethernet was clearly winning the standards battle over Token Ring, and in the middle of that year Apple introduced EtherTalk 1.0, an implementation of the AppleTalk protocol over the Ethernet physical layer. Introduced for the newly released Macintosh II computer, Apple's first Macintosh with expansion slots, the operating system included a new Network control panel that allowed the user to select which physical connection to use for networking (from "Built-in" or "EtherTalk"). At introduction, Ethernet interface cards were available from 3Com and Kinetics that plugged into a Nubus slot in the machine. The new networking stack also expanded the system to allow a full 255 nodes per LAN. With EtherTalk's release, AppleTalk Personal Network was renamed LocalTalk, the name it would be known under for the bulk of its life. Token Ring would later be supported with the similar TokenTalk product, which used the same Network control panel and underlying software. Over time, many third-party companies would introduce compatible Ethernet and Token Ring cards that used these same drivers. The appearance of a Macintosh with a direct Ethernet connection also magnified the Ethernet and LocalTalk compatibility problem: Networks with new and old Macs needed some way to communicate with each other. This could be as simple as a network of Ethernet Mac II's trying to talk to a LaserWriter that only connected to LocalTalk. Apple initially relied on the aforementioned LocalTalk-to-Ethernet bridge products, but contrary to Apple's belief that these would be low-volume products, by the end of 1987, 130,000 such networks were in use. AppleTalk was at that time the most used networking system in the world, with over three times the installations of any other vendor. 1987 also marked the introduction of the AppleShare product, a dedicated file server that ran on any Mac with 512 kB of RAM or more. A common AppleShare machine was the Mac Plus with an external SCSI hard drive. AppleShare was the #3 network operating system in the late 1980s, behind Novell NetWare and Microsoft's MS-Net. AppleShare was effectively the replacement for the failed Macintosh Office efforts, which had been based on a dedicated file server device. AppleTalk Phase II and other developments A significant re-design was released in 1989 as AppleTalk Phase II. In many ways, Phase II can be considered an effort to make the earlier version (never called Phase I) more generic. LANs could now support more than 255 nodes, and zones were no longer associated with physical networks, but were entirely virtual constructs used simply to organize nodes. For instance, one could now make a "Printers" zone that would list all the printers in an organization, or one might want to place that same device in the "2nd Floor" zone to indicate its physical location. Phase II also included changes to the underlying inter-networking protocols to make them less "chatty", which had previously been a serious problem on networks that bridged over wide-area networks. By this point Apple had a wide variety of communications products under development, and many of these were announced along with AppleTalk Phase II. These included updates to EtherTalk and TokenTalk, AppleTalk software and LocalTalk hardware for the IBM PC, EtherTalk for Apple's A/UX operating system allowing it to use LaserPrinters and other network resources, and the Mac X.25 and MacX products. Ethernet had become almost universal by 1990, and it was time to build Ethernet into Macs direct from the factory. However, the physical wiring used by these networks was not yet completely standardized. Apple solved this problem using a single port on the back of the computer into which the user could plug an adaptor for any given cabling system. This FriendlyNet system was based on the industry-standard Attachment Unit Interface or AUI, but deliberately chose a non-standard connector that was smaller and easier to use, which they called "Apple AUI", or AAUI. FriendlyNet was first introduced on the Quadra 700 and Quadra 900 computers, and used across much of the Mac line for some time. As with LocalTalk, a number of 3rd party FriendlyNet adaptors quickly appeared. As 10BASE-T became the de facto cabling system for Ethernet, second-generation Power Macintosh machines added a 10BASE-T port in addition to AAUI. The PowerBook 3400c and lower-end Power Macs also added 10BASE-T. The Power Macintosh 7300/8600/9600 were the final Macs to include AAUI, and 10BASE-T became universal starting with the Power Macintosh G3 and PowerBook G3. The capital-I Internet From the beginning of AppleTalk, users wanted to connect the Macintosh to the TCP/IP network environments. In 1984, Bill Croft at Stanford University pioneered the development of IP packets encapsulated in DDP as part of the SEAGATE (Stanford Ethernet - AppleTalk Gateway) project. SEAGATE was commercialized by Kinetics in their LocalTalk-to-Ethernet bridge as an additional routing option. A few years later, MacIP, was separated from the SEAGATE code and became the de facto method for IP packets to be routed over LocalTalk networks. By 1986, Columbia University released the first version of the Columbia AppleTalk Package (CAP) that allowed higher integration of Unix, TCP/IP and AppleTalk environments. In 1988, Apple released MacTCP, a system that allowed the Mac to support TCP/IP on machines with suitable Ethernet hardware. However, this left many universities with the problem of supporting IP on their many LocalTalk-equipped Macs. It was soon common to include MacIP support in LocalTalk-to-Ethernet bridges. MacTCP would not become a standard part of the Classic Mac OS until 1994, by which time it also supported SNMP and PPP. For some time in the early 1990s, the Mac was a primary client on the rapidly expanding Internet. Among the better known programs in wide use were Fetch, Eudora, eXodus, NewsWatcher and the NCSA packages, especially NCSA Mosaic and its offspring, Netscape Navigator. Additionally, a number of server products appeared that allowed the Mac to host Internet content. Through this period, Macs had about 2 to 3 times as many clients connected to the Internet as any other platform, despite the relatively small overall microcomputer market share. As the world quickly moved to IP for both LAN and WAN uses, Apple was faced with maintaining two increasingly outdated code bases on an ever-wider group of machines as well as the introduction of the PowerPC based machines. This led to the Open Transport efforts, which re-implemented both MacTCP and AppleTalk on an entirely new code base adapted from the Unix standard STREAMS. Early versions had problems and did not become stable for some time. By that point, Apple was deep in their ultimately doomed Copland efforts. Legacy and abandonment With the purchase of NeXT and subsequent development of Mac OS X, AppleTalk was strictly a legacy system. Support was
Apple computer of all time—it was manufactured and sold with only minor changes for nearly 11 years. The IIe was the last Apple II model to be sold, and was discontinued in November 1993. During its lifespan two variations were introduced: the Apple IIe Enhanced (four replacement chips to give it some of the features of the later model Apple IIc) and the Apple IIe Platinum (a modernized case color to match other Apple products of the era, along with the addition of a numeric keypad). Some of the feature of the IIe were carried over from the less successful Apple III, among them the ProDOS operating system. Apple IIc The Apple IIc was released in April 1984, billed as a portable Apple II because it could be easily carried due to its size and carrying handle, which could be flipped down to prop the machine up into a typing position. Unlike modern portables it lacked a built-in display and battery. It was the first of three Apple II models to be made in the Snow White design language, and the only one that used its unique creamy off-white color. The Apple IIc was the first Apple II to use the 65C02 low-power variant of the 6502 processor, and featured a built-in 5.25-inch floppy drive and 128 KB RAM, with a built-in disk controller that could control external drives, composite video (NTSC or PAL), serial interfaces for modem and printer, and a port usable by either a joystick or mouse. Unlike previous Apple II models, the IIc had no internal expansion slots at all. Two different monochrome LCD displays were sold for use with the IIc's video expansion port, although both were short-lived due to high cost and poor legibility. The IIc had an external power supply that converted AC power to 15 V DC, though the IIc itself will accept between 12 V and 17 V DC, allowing third parties to offer battery packs and automobile power adapters that connected in place of the supplied AC adapter. Apple IIGS The Apple IIGS, released on September 15, 1986, was the last model in the Apple II series, and a radical departure from the prior computers in the line. It featured a true 16-bit microprocessor, the 65C816 operating at with 24-bit addressing, allowing expansion up to 8 MB of RAM. It introduced a palette of 4096 colors and new graphics modes with resolutions of 320×200 and 640×400. The Apple IIGS evolved and advanced the platform while still maintaining near-complete backward compatibility. Its Mega II chip contained the functional equivalent of an entire Apple IIe computer (sans processor). This, combined with the 65816's ability to execute 65C02 code directly, provided full support for legacy software, while also supporting 16-bit software running under a new OS. The new OS eventually included a Macintosh-like graphical Finder for managing disks and files and opening documents and applications, along with desk accessories. Eventually, the IIGS gained the ability to read and write Macintosh disks and, through third-party software, even multitasking (in the form of a Unix-type shell) and TrueType font support. The GS includes a 32-voice Ensoniq 5503 DOC sample-based sound synthesizer chip with 64 KB dedicated RAM, 256 KB (or later 1.125 MB) of standard RAM, built-in peripheral ports (switchable between IIe-style card slots and IIc-style onboard controllers for disk drives, mouse, RGB video, and serial devices) and, built-in AppleTalk networking. Apple IIc Plus The final Apple II model was the Apple IIc Plus introduced in 1988. It was the same size and shape as the IIc that came before it, but the 5.25-inch floppy drive had been replaced with a 3-inch drive, the power supply was moved inside the case, and the processor was a fast 65C02 processor that actually ran 8-bit Apple II software faster than the IIGS. The IIc Plus also featured a new keyboard layout that matched the Platinum IIe and IIGS. Unlike the IIe IIc and IIGS, the IIc Plus came only in one version (American) and was not officially sold anywhere outside the US. The Apple IIc Plus ceased production in 1990, with its two-year production run being the shortest of all the Apple II computers. Apple IIe Card Although not an extension of the Apple II line, in 1990 the Apple IIe Card, an expansion card for the LC line of Macintosh computers, was released. Essentially a miniaturized Apple IIe computer on a card (using the Mega II chip from the Apple IIGS), it allowed the Macintosh to run 8-bit Apple IIe software through hardware emulation (although video was emulated in software and was slower at times than a IIe). Many of the LC's built-in Macintosh peripherals could be "borrowed" by the card when in Apple II mode (i.e. extra RAM, 3.5-inch floppy, AppleTalk networking, hard disk). The IIe card could not, however, run software intended for the 16-bit Apple IIGS. Advertising, marketing, and packaging Mike Markkula, a retired Intel marketing manager, provided the early critical funding for Apple Computer. From 1977 to 1981, Apple used the Regis McKenna agency for its advertisements and marketing. In 1981, Chiat-Day acquired Regis McKenna's advertising operations and Apple used Chiat-Day. At Regis McKenna Advertising, the team assigned to launch the Apple II consisted of Rob Janoff, art director, Chip Schafer, copywriter and Bill Kelley, account executive. Janoff came up with the Apple logo with a bite out of it. The design was originally an olive green with matching company logotype all in lower case. Steve Jobs insisted on promoting the color capability of the Apple II by putting rainbow stripes on the Apple logo. In its letterhead and business card implementation, the rounded "a" of the logotype echoed the "bite" in the logo. This logo was developed simultaneously with an advertisement and a brochure; the latter being produced for distribution initially at the first West Coast Computer Faire. Since the original Apple II, Apple has paid high attention to its quality of packaging, partly because of Steve Jobs' personal preferences and opinions on packaging and final product appearance. All of Apple's packaging for the Apple II series looked similar, featuring much clean white space and showing the Apple rainbow logo prominently. For several years up until the late 1980s, Apple used the Motter Tektura font for packaging, until changing to the Apple Garamond font. Apple ran the first advertisement for the Apple II, a two-page spread ad titled "Introducing Apple II", in BYTE in July 1977. The first brochure, was entitled "Simplicity" and the copy in both the ad and brochure pioneered "demystifying" language intended to make the new idea of a home computer more "personal." The Apple II introduction ad was later run in the September 1977 issue of Scientific American. Apple later aired eight television commercials for the Apple IIGS, emphasizing its benefits to education and students, along with some print ads. Clones The Apple II was frequently cloned, both in the United States and abroad, in a similar way to the IBM PC. According to some sources (see below), more than 190 different models of Apple II clones were manufactured. Most could not be legally imported into the United States. Apple sued and sought criminal charges against clone makers in more than a dozen countries. Without explicitly stating that they were Apple II clones, many had fruit-related names. Examples were the Pineapple and ACT Apricot. Apple successfully forced the "Pineapple," for instance, to change its name to "Pinecom". Agat was a series of Apple II compatible computers produced in the Soviet Union between 1984 and 1993, widely used in schools in the 80's. The first mass-produced models, the Agat 4 and Agat 7, had different memory layouts and video modes to Apple II, which made them only partially compatible with Apple II software. Agats were not direct clones of Apple II, but rather uniquely designed computers based on 6502 CPU and emulated Apple II architecture. That helped developers to port Apple II software titles to Agat. A later model, the Agat 9, had an Apple II compatibility mode out of the box. Soviet engineers and enthusiasts developed thousands of software titles for Agat, including system software, business applications and educational software. Bulgarian Pravetz Series 8 was an Apple II clone with Cyrillic support. Basis, a German company, created the Basis 108, a clone for the Apple II that included both a 6502 processor and the Zilog Z80, allowing it to run the CP/M operating system as well as most Apple II software. This machine was unusual in that it was housed in a heavy cast aluminum chassis. The Basis 108 was equipped with built-in Centronics (parallel) and RS232c (serial) ports, as well as the standard six Apple II compatible slots. Unlike the Apple II it came with a detached full-stroke keyboard (AZERTY/QWERTY) of 100 keys plus 15 functions keys and separate numeric and editing keypads. Another European Apple II clone was the Pearcom Pear II, which was larger as the original as it sported not eight but fourteen expansion slots. It also had a numerical keypad. Pearcom initially used a pear shaped rainbow logo, but stopped after Apple threatened to take legal action. A Bosnian company named IRIS Computers (subsidiary of an electric company in Bosnia and Herzegovina and Yugoslavia ENERGOINVEST) produced Apple II clones starting in the early 1980s. Their official brand name was IRIS 8. They were very expensive and hard to obtain and were produced primarily for use in early computerized digital telephone systems and for education. Their use in offices of state companies, R&D labs and in the Yugoslav army was also reported. IRIS 8 machines looked like early IBM PCs, with a separate central unit accompanied by a cooling system and two 5.25-inch disks, monitor, and keyboard. Compatibility with the original Apple II was complete. Elite high schools in Yugoslavia and especially Bosnia and Herzegovina were equipped with clusters of 8, 16, or 32 IRIS 8 computers connected in a local network administrated by an IRIS 16 PC clone. The number of IRIS 8s produced is believed to be on the order of 10 or 20 thousand. An Australian-produced clone of the Apple II was the Medfly, named after the Mediterranean fruit fly that attacks apples. The Medfly computer featured a faster processor, more memory, detached keyboard, lower and upper case characters, and a built-in disk controller. Until 1992 in Brazil, it was illegal to import microcomputers. Because of that, the illegal cloning industry of Apple II-based computers was strong there. In the early 1980s, there were around 20 different clones of Apple II Plus computers in that country, all of them using illegally copied software and hardware (since the Apple II and II Plus used commonly available TTL integrated circuits). Some of the names include Elppa ("Apple" spelled backwards), Maxtro, Exato MC4000 (by CCE), AP II (by Unitron), and even an "Apple II Plus" (manufactured by a company called Milmar, which was using the name illegally). There were only two clones of the Apple IIe, since it used custom IC chips that could not be copied, and therefore had to be reversed-engineered and developed in the country. These clones were the TK3000 IIe by Microdigital and Exato IIe by CCE. In addition, the Laser IIc was manufactured by Milmar and, despite the name, was a clone of the Apple II Plus, not of the Apple IIc, although it had a design similar to that of the Apple IIc, with an integrated floppy controller and 80-column card, but without an integrated floppy disk drive. The Ace clones from Franklin Computer Corporation were the best known Apple II clones and had the most lasting impact, as Franklin copied Apple's ROMs and software and freely admitted to doing so. Franklin's response was that a computer's ROM was simply a pattern of switches locked into a fixed position, and one cannot copyright a pattern of switches. Apple fought Franklin in court for about five years to get its clones off the market, and was ultimately successful when a court ruled that software stored in ROM was in fact copyrightable in the US. (See Apple Computer, Inc. v. Franklin Computer Corp.) Franklin later released non-infringing but less-compatible clones; these could run ProDOS and AppleWorks and had an Applesoft-like BASIC, but compatibility with other software was hit-or-miss. Apple also challenged VTech's Laser 128, an enhanced clone of the Apple IIc first released in 1984, in court. This suit proved less fruitful for Apple, because VTech had reverse-engineered the Monitor ROM rather than copying it and had licensed Applesoft BASIC from its creator, Microsoft. Apple had neglected to obtain exclusive rights to the Applesoft dialect of BASIC from Microsoft; VTech was the first cloner to license it. The Laser 128 proved popular and remained on the market for many years, both in its original form and in accelerated versions that ran faster than . Although it was not fully compatible with the Apple II, it was close, and its popularity ensured that most major developers tested their software on a Laser as well as on genuine Apple machines. Because it was frequently sold via mail order and mass-market retailers such as Sears, the Laser 128 cut into the sales of low-cost competitors such as Commodore Business Machines as much as it did Apple's. While the first Apple II clones were generally exact copies of their Apple counterparts that competed mainly on price, many clones had extra capabilities too. A Franklin model, the Ace 1000, sported a numeric keypad and lower-case long before these features were added to the Apple II line. The Laser 128 series is sometimes credited with spurring Apple to release the Apple IIc Plus; the built-in 3-inch drive and accelerated processor were features Laser had pioneered. The Laser 128 also had a IIe-style expansion slot on the side that could be used to add peripheral cards. Bell & Howell, an audiovisual equipment manufacturer whose products (particularly film projectors) were ubiquitous in American schools, offered what appeared at first glance to be an Apple II Plus clone in a distinctive black plastic case. However, these were in fact real Apple II Plus units manufactured by Apple for B&H for a brief period of time. Many schools had a few of these Black Apples in their labs. ITT made the ITT 2020, a licensed Apple II Plus clone, in the UK. It has the same shape as the Apple II but was matte silver (it was sometimes known as the "silver Apple") and was not an exact copy functionally. The ITT2020 produced a PAL video signal for the European market, where the domestic US market used NTSC. Software using the BIOS worked correctly on both the Apple and ITT, but software written to access the Apple's display hardware directly, bypassing the BIOS, displayed with vertical stripes on the ITT 2020. The Apple II itself was later introduced in the UK, and both the Apple II and ITT 2020 were sold for a time, the ITT at a lower price. Syscom 2 Inc (from Carson City, NV) created the Syscom 2 Apple II+ clone. The case looked nearly identical. It had 48 KB of RAM and the normal expansion capabilities. These clones also supported lower case characters, toggled with a ^O keystroke. An unknown company produced a clone called the RX-8800. One new feature it had was a numeric keypad. The SEKON, made in Taiwan, had the same color plastic case as an Apple ][, sported 48 KB of RAM standard, and a lower-uppercase switch, located where the power light indicator was typically situated on Apple II's. Additionally, it featured a 5-amp power supply which supplied ample power for add-on cards. SEKON avoided shipments being confiscated by US Customs, by shipping their computers without ROMs, leaving it to the dealers to populate the boards upon arrival to their private stores. Often these machines would boot up with a familiar logo of the Apple II after the dealers removed E-proms of original Apple ROMs and added them in. The reason for such activity was so that users could obtain a fully Apple-compatible clone for usually around US$600, as opposed to US$2500 from Apple. Norwegian company West Computer AS introduced an Apple II clone West PC-800 in 1984. The computer was designed as an alarm center allowing use of several CPUs (6502, Z80, 8086, 68000) and operating systems. Although not technically a clone, Quadram produced an add-in ISA card, called the Quadlink, that provided hardware emulation of an Apple II+ for the IBM PC. The card had its own 6502 CPU and dedicated 80 K RAM (64 K for applications, plus 16 K to hold a reverse-engineered Apple ROM image, loaded at boot-time), and installed "between" the PC and its floppy drive(s), color display, and speaker, in a pass-through configuration. This allowed the PC to operate in a dual-boot fashion: when booted through the Quadlink, the PC could run the majority of Apple II software, and read and write Apple-formatted floppies through the standard PC floppy drive. Because it had a dedicated processor, rather than any form of software emulation, this system ran at nearly the same speed as an equivalent Apple machine. Another company, Diamond Computer Systems, produced a similar card called the Trackstar, that had a dual pair of 6502 CPUs, and ran Apple II software using an Apple licensed ROM. The original Trackstar (and "128" and "Plus" model) was Apple II Plus compatible, while the "Trackstar E", Apple IIe compatible. The original offered 64K of usable Apple II RAM, while the other models 128K RAM (192K is on board, with the additional memory reserved for the Trackstar itself). The original Trackstar also contained a Z80 CPU, allowing it to run both Apple DOS and Apple
expansion port, although both were short-lived due to high cost and poor legibility. The IIc had an external power supply that converted AC power to 15 V DC, though the IIc itself will accept between 12 V and 17 V DC, allowing third parties to offer battery packs and automobile power adapters that connected in place of the supplied AC adapter. Apple IIGS The Apple IIGS, released on September 15, 1986, was the last model in the Apple II series, and a radical departure from the prior computers in the line. It featured a true 16-bit microprocessor, the 65C816 operating at with 24-bit addressing, allowing expansion up to 8 MB of RAM. It introduced a palette of 4096 colors and new graphics modes with resolutions of 320×200 and 640×400. The Apple IIGS evolved and advanced the platform while still maintaining near-complete backward compatibility. Its Mega II chip contained the functional equivalent of an entire Apple IIe computer (sans processor). This, combined with the 65816's ability to execute 65C02 code directly, provided full support for legacy software, while also supporting 16-bit software running under a new OS. The new OS eventually included a Macintosh-like graphical Finder for managing disks and files and opening documents and applications, along with desk accessories. Eventually, the IIGS gained the ability to read and write Macintosh disks and, through third-party software, even multitasking (in the form of a Unix-type shell) and TrueType font support. The GS includes a 32-voice Ensoniq 5503 DOC sample-based sound synthesizer chip with 64 KB dedicated RAM, 256 KB (or later 1.125 MB) of standard RAM, built-in peripheral ports (switchable between IIe-style card slots and IIc-style onboard controllers for disk drives, mouse, RGB video, and serial devices) and, built-in AppleTalk networking. Apple IIc Plus The final Apple II model was the Apple IIc Plus introduced in 1988. It was the same size and shape as the IIc that came before it, but the 5.25-inch floppy drive had been replaced with a 3-inch drive, the power supply was moved inside the case, and the processor was a fast 65C02 processor that actually ran 8-bit Apple II software faster than the IIGS. The IIc Plus also featured a new keyboard layout that matched the Platinum IIe and IIGS. Unlike the IIe IIc and IIGS, the IIc Plus came only in one version (American) and was not officially sold anywhere outside the US. The Apple IIc Plus ceased production in 1990, with its two-year production run being the shortest of all the Apple II computers. Apple IIe Card Although not an extension of the Apple II line, in 1990 the Apple IIe Card, an expansion card for the LC line of Macintosh computers, was released. Essentially a miniaturized Apple IIe computer on a card (using the Mega II chip from the Apple IIGS), it allowed the Macintosh to run 8-bit Apple IIe software through hardware emulation (although video was emulated in software and was slower at times than a IIe). Many of the LC's built-in Macintosh peripherals could be "borrowed" by the card when in Apple II mode (i.e. extra RAM, 3.5-inch floppy, AppleTalk networking, hard disk). The IIe card could not, however, run software intended for the 16-bit Apple IIGS. Advertising, marketing, and packaging Mike Markkula, a retired Intel marketing manager, provided the early critical funding for Apple Computer. From 1977 to 1981, Apple used the Regis McKenna agency for its advertisements and marketing. In 1981, Chiat-Day acquired Regis McKenna's advertising operations and Apple used Chiat-Day. At Regis McKenna Advertising, the team assigned to launch the Apple II consisted of Rob Janoff, art director, Chip Schafer, copywriter and Bill Kelley, account executive. Janoff came up with the Apple logo with a bite out of it. The design was originally an olive green with matching company logotype all in lower case. Steve Jobs insisted on promoting the color capability of the Apple II by putting rainbow stripes on the Apple logo. In its letterhead and business card implementation, the rounded "a" of the logotype echoed the "bite" in the logo. This logo was developed simultaneously with an advertisement and a brochure; the latter being produced for distribution initially at the first West Coast Computer Faire. Since the original Apple II, Apple has paid high attention to its quality of packaging, partly because of Steve Jobs' personal preferences and opinions on packaging and final product appearance. All of Apple's packaging for the Apple II series looked similar, featuring much clean white space and showing the Apple rainbow logo prominently. For several years up until the late 1980s, Apple used the Motter Tektura font for packaging, until changing to the Apple Garamond font. Apple ran the first advertisement for the Apple II, a two-page spread ad titled "Introducing Apple II", in BYTE in July 1977. The first brochure, was entitled "Simplicity" and the copy in both the ad and brochure pioneered "demystifying" language intended to make the new idea of a home computer more "personal." The Apple II introduction ad was later run in the September 1977 issue of Scientific American. Apple later aired eight television commercials for the Apple IIGS, emphasizing its benefits to education and students, along with some print ads. Clones The Apple II was frequently cloned, both in the United States and abroad, in a similar way to the IBM PC. According to some sources (see below), more than 190 different models of Apple II clones were manufactured. Most could not be legally imported into the United States. Apple sued and sought criminal charges against clone makers in more than a dozen countries. Without explicitly stating that they were Apple II clones, many had fruit-related names. Examples were the Pineapple and ACT Apricot. Apple successfully forced the "Pineapple," for instance, to change its name to "Pinecom". Agat was a series of Apple II compatible computers produced in the Soviet Union between 1984 and 1993, widely used in schools in the 80's. The first mass-produced models, the Agat 4 and Agat 7, had different memory layouts and video modes to Apple II, which made them only partially compatible with Apple II software. Agats were not direct clones of Apple II, but rather uniquely designed computers based on 6502 CPU and emulated Apple II architecture. That helped developers to port Apple II software titles to Agat. A later model, the Agat 9, had an Apple II compatibility mode out of the box. Soviet engineers and enthusiasts developed thousands of software titles for Agat, including system software, business applications and educational software. Bulgarian Pravetz Series 8 was an Apple II clone with Cyrillic support. Basis, a German company, created the Basis 108, a clone for the Apple II that included both a 6502 processor and the Zilog Z80, allowing it to run the CP/M operating system as well as most Apple II software. This machine was unusual in that it was housed in a heavy cast aluminum chassis. The Basis 108 was equipped with built-in Centronics (parallel) and RS232c (serial) ports, as well as the standard six Apple II compatible slots. Unlike the Apple II it came with a detached full-stroke keyboard (AZERTY/QWERTY) of 100 keys plus 15 functions keys and separate numeric and editing keypads. Another European Apple II clone was the Pearcom Pear II, which was larger as the original as it sported not eight but fourteen expansion slots. It also had a numerical keypad. Pearcom initially used a pear shaped rainbow logo, but stopped after Apple threatened to take legal action. A Bosnian company named IRIS Computers (subsidiary of an electric company in Bosnia and Herzegovina and Yugoslavia ENERGOINVEST) produced Apple II clones starting in the early 1980s. Their official brand name was IRIS 8. They were very expensive and hard to obtain and were produced primarily for use in early computerized digital telephone systems and for education. Their use in offices of state companies, R&D labs and in the Yugoslav army was also reported. IRIS 8 machines looked like early IBM PCs, with a separate central unit accompanied by a cooling system and two 5.25-inch disks, monitor, and keyboard. Compatibility with the original Apple II was complete. Elite high schools in Yugoslavia and especially Bosnia and Herzegovina were equipped with clusters of 8, 16, or 32 IRIS 8 computers connected in a local network administrated by an IRIS 16 PC clone. The number of IRIS 8s produced is believed to be on the order of 10 or 20 thousand. An Australian-produced clone of the Apple II was the Medfly, named after the Mediterranean fruit fly that attacks apples. The Medfly computer featured a faster processor, more memory, detached keyboard, lower and upper case characters, and a built-in disk controller. Until 1992 in Brazil, it was illegal to import microcomputers. Because of that, the illegal cloning industry of Apple II-based computers was strong there. In the early 1980s, there were around 20 different clones of Apple II Plus computers in that country, all of them using illegally copied software and hardware (since the Apple II and II Plus used commonly available TTL integrated circuits). Some of the names include Elppa ("Apple" spelled backwards), Maxtro, Exato MC4000 (by CCE), AP II (by Unitron), and even an "Apple II Plus" (manufactured by a company called Milmar, which was using the name illegally). There were only two clones of the Apple IIe, since it used custom IC chips that could not be copied, and therefore had to be reversed-engineered and developed in the country. These clones were the TK3000 IIe by Microdigital and Exato IIe by CCE. In addition, the Laser IIc was manufactured by Milmar and, despite the name, was a clone of the Apple II Plus, not of the Apple IIc, although it had a design similar to that of the Apple IIc, with an integrated floppy controller and 80-column card, but without an integrated floppy disk drive. The Ace clones from Franklin Computer Corporation were the best known Apple II clones and had the most lasting impact, as Franklin copied Apple's ROMs and software and freely admitted to doing so. Franklin's response was that a computer's ROM was simply a pattern of switches locked into a fixed position, and one cannot copyright a pattern of switches. Apple fought Franklin in court for about five years to get its clones off the market, and was ultimately successful when a court ruled that software stored in ROM was in fact copyrightable in the US. (See Apple Computer, Inc. v. Franklin Computer Corp.) Franklin later released non-infringing but less-compatible clones; these could run ProDOS and AppleWorks and had an Applesoft-like BASIC, but compatibility with other software was hit-or-miss. Apple also challenged VTech's Laser 128, an enhanced clone of the Apple IIc first released in 1984, in court. This suit proved less fruitful for Apple, because VTech had reverse-engineered the Monitor ROM rather than copying it and had licensed Applesoft BASIC from its creator, Microsoft. Apple had neglected to obtain exclusive rights to the Applesoft dialect of BASIC from Microsoft; VTech was the first cloner to license it. The Laser 128 proved popular and remained on the market for many years, both in its original form and in accelerated versions that ran faster than . Although it was not fully compatible with the Apple II, it was close, and its popularity ensured that most major developers tested their software on a Laser as well as on genuine Apple machines. Because it was frequently sold via mail order and mass-market retailers such as Sears, the Laser 128 cut into the sales of low-cost competitors such as Commodore Business Machines as much as it did Apple's. While the first Apple II clones were generally exact copies of their Apple counterparts that competed mainly on price, many clones had extra capabilities too. A Franklin model, the Ace 1000, sported a numeric keypad and lower-case long before these features were added to the Apple II line. The Laser 128 series is sometimes credited with spurring Apple to release the Apple IIc Plus; the built-in 3-inch drive and accelerated processor were features Laser had pioneered. The Laser 128 also had a IIe-style expansion slot on the side that could be used to add peripheral cards. Bell & Howell, an audiovisual equipment manufacturer whose products (particularly film projectors) were ubiquitous in American schools, offered what appeared at first glance to
and replaced with the entirely new revised model. Apple III Plus Apple discontinued the III in October 1983 because it violated FCC regulations, and the FCC required the company to change the redesigned computer's name. It introduced the Apple III Plus in December 1983 at a price of US$2,995. This newer version includes a built-in clock, video interlacing, standardized rear port connectors, 55-watt power supply, 256 kB of RAM as standard, and a redesigned, Apple IIe-like keyboard. Owners of the Apple III could purchase individual III Plus upgrades, like the clock and interlacing feature, and obtain the newer logic board as a service replacement. A keyboard upgrade kit, dubbed "Apple III Plus upgrade kit" was also made available – which included the keyboard, cover, keyboard encoder ROM, and logo replacements. This upgrade had to be installed by an authorized service technician. Design flaws According to Wozniak, the Apple III "had 100 percent hardware failures". Former Apple executive Taylor Pohlman stated that: Steve Jobs insisted on the idea of having no fan or air vents, in order to make the computer run quietly. Jobs would later push this same ideology onto almost all Apple models he had control of, from the Apple Lisa and Macintosh 128K to the iMac. To allow the computer to dissipate heat, the base of the Apple III was made of heavy cast aluminum, which supposedly acts as a heat sink. One advantage to the aluminum case was a reduction in RFI (Radio Frequency Interference), a problem which had plagued the Apple II series throughout its history. Unlike the Apple II series, the power supply was mounted – without its own shell – in a compartment separate from the logic board. The decision to use an aluminum shell ultimately led to engineering issues which resulted in the Apple III's reliability problems. The lead time for manufacturing the shells was high, and this had to be done before the motherboard was finalized. Later, it was realized that there was not enough room on the motherboard for all of the components unless narrow traces were used. Many Apple IIIs were thought to have failed due to their inability to properly dissipate heat. inCider stated in 1986 that "Heat has always been a formidable enemy of the Apple ///", and some users reported that their Apple IIIs became so hot that the chips started dislodging from the board, causing the screen to display garbled data or their disk to come out of the slot "melted". BYTE wrote, "the integrated circuits tended to wander out of their sockets". It is has been rumored Apple advised customers to tilt the front of the Apple III six inches above the desk and then drop it to reseat the chips as a temporary solution. Other analyses blame a faulty automatic chip insertion process, not heat. Case designer Jerry Manock denied the design flaw charges, insisting that tests proved that the unit adequately dissipated the internal heat. The primary cause, he claimed, was a major logic board design problem. The logic board used "fineline" technology that was not fully mature at the time, with narrow, closely spaced traces. When chips were "stuffed" into the board and wave-soldered, solder bridges would form between traces that were not supposed to be connected. This caused numerous short circuits, which required hours of costly diagnosis and hand rework to fix. Apple designed a new circuit board with more layers and normal-width traces. The new logic board was laid out by one designer on a huge drafting board, rather than using the costly CAD-CAM system used for the previous board, and the new design worked. Earlier Apple III units came with a built-in real time clock. The hardware, however, would fail after prolonged use. Assuming that National Semiconductor would test all parts before shipping them, Apple did not perform this level of testing. Apple was soldering chips directly to boards and could not easily replace a bad chip if one was found. Eventually, Apple solved this problem by removing the real-time clock from the Apple III's specification rather than shipping the Apple III with the clock pre-installed, and then sold the peripheral as a level 1 technician add-on. BASIC Microsoft and Apple each developed their own versions of BASIC for the Apple III. Apple III Microsoft BASIC was designed to run on the CP/M platform available for the Apple III. Apple Business BASIC shipped with the Apple III. Donn Denman ported Applesoft BASIC to SOS and reworked it to take advantage of the extended memory of the Apple III. Both languages introduced a number of new or improved features over Applesoft BASIC. Both languages replaced Applesoft's single-precision floating-point variables using 5-byte storage with the somewhat-reduced-precision 4-byte variables, while also adding a larger numerical format. Apple III Microsoft BASIC provides double-precision floating-point variables, taking 8 bytes of storage, while Apple Business BASIC offers an extra-long integer type, also taking 8 bytes for storage. Both languages also retain 2-byte integers, and maximum 255-character strings. Other new features common to both languages include: Incorporation of disk-file commands within the language. Operators for MOD and for integer-division. An optional ELSE clause in IF...THEN statements. HEX$() function for hexadecimal-format output. INSTR function for finding a substring within a string. PRINT USING statement to control format of output. Apple Business BASIC had an option, in addition to directly specifying the format with a string expression, of giving the line number where an IMAGE statement gave the formatting expression, similar to a FORMAT statement in FORTRAN. Some features work differently in each language: Microsoft BASIC additional features INPUT$() function to replace Applesoft's GET command. LINE INPUT statement to input an entire line of
port connectors, 55-watt power supply, 256 kB of RAM as standard, and a redesigned, Apple IIe-like keyboard. Owners of the Apple III could purchase individual III Plus upgrades, like the clock and interlacing feature, and obtain the newer logic board as a service replacement. A keyboard upgrade kit, dubbed "Apple III Plus upgrade kit" was also made available – which included the keyboard, cover, keyboard encoder ROM, and logo replacements. This upgrade had to be installed by an authorized service technician. Design flaws According to Wozniak, the Apple III "had 100 percent hardware failures". Former Apple executive Taylor Pohlman stated that: Steve Jobs insisted on the idea of having no fan or air vents, in order to make the computer run quietly. Jobs would later push this same ideology onto almost all Apple models he had control of, from the Apple Lisa and Macintosh 128K to the iMac. To allow the computer to dissipate heat, the base of the Apple III was made of heavy cast aluminum, which supposedly acts as a heat sink. One advantage to the aluminum case was a reduction in RFI (Radio Frequency Interference), a problem which had plagued the Apple II series throughout its history. Unlike the Apple II series, the power supply was mounted – without its own shell – in a compartment separate from the logic board. The decision to use an aluminum shell ultimately led to engineering issues which resulted in the Apple III's reliability problems. The lead time for manufacturing the shells was high, and this had to be done before the motherboard was finalized. Later, it was realized that there was not enough room on the motherboard for all of the components unless narrow traces were used. Many Apple IIIs were thought to have failed due to their inability to properly dissipate heat. inCider stated in 1986 that "Heat has always been a formidable enemy of the Apple ///", and some users reported that their Apple IIIs became so hot that the chips started dislodging from the board, causing the screen to display garbled data or their disk to come out of the slot "melted". BYTE wrote, "the integrated circuits tended to wander out of their sockets". It is has been rumored Apple advised customers to tilt the front of the Apple III six inches above the desk and then drop it to reseat the chips as a temporary solution. Other analyses blame a faulty automatic chip insertion process, not heat. Case designer Jerry Manock denied the design flaw charges, insisting that tests proved that the unit adequately dissipated the internal heat. The primary cause, he claimed, was a major logic board design problem. The logic board used "fineline" technology that was not fully mature at the time, with narrow, closely spaced traces. When chips were "stuffed" into the board and wave-soldered, solder bridges would form between traces that were not supposed to be connected. This caused numerous short circuits, which required hours of costly diagnosis and hand rework to fix. Apple designed a new circuit board with more layers and normal-width traces. The new logic board was laid out by one designer on a huge drafting board, rather than using the costly CAD-CAM system used for the previous board, and the new design worked. Earlier Apple III units came with a built-in real time clock. The hardware, however, would fail after prolonged use. Assuming that National Semiconductor would test all parts before shipping them, Apple did not perform this level of testing. Apple was soldering chips directly to boards and could not easily replace a bad chip if one was found. Eventually, Apple solved this problem by removing the real-time clock from the Apple III's specification rather than shipping the Apple III with the clock pre-installed, and then sold the peripheral as a level 1 technician add-on. BASIC Microsoft and Apple each developed their own versions of BASIC for the Apple III. Apple III Microsoft BASIC was designed to run on the CP/M platform available for the Apple III. Apple Business BASIC shipped with the Apple III. Donn Denman ported Applesoft BASIC to SOS and reworked it to take advantage of the extended memory of the Apple III. Both languages introduced a number of new or improved features over Applesoft BASIC. Both languages replaced Applesoft's single-precision floating-point variables using 5-byte storage with the somewhat-reduced-precision 4-byte variables, while also adding a larger numerical format. Apple III Microsoft BASIC provides double-precision floating-point variables, taking 8 bytes of storage, while Apple Business BASIC offers an extra-long integer type, also taking 8 bytes for storage. Both languages also retain 2-byte integers, and maximum 255-character strings. Other new features common to both languages include: Incorporation of disk-file commands within the language. Operators for MOD and for integer-division. An optional ELSE clause in IF...THEN statements. HEX$() function for hexadecimal-format output. INSTR function for finding a substring within a string. PRINT USING statement to control format of output. Apple Business BASIC had an option, in addition to directly specifying the format with a string expression, of giving the line number where an IMAGE statement gave the formatting expression, similar to a FORMAT statement in FORTRAN. Some features work differently in each language: Microsoft BASIC additional features INPUT$() function to replace Applesoft's GET command. LINE INPUT statement to input an entire line of text, regardless of punctuation, into a single string variable. LPRINT and LPRINT USING statements to automatically direct output to paper. LSET and RSET statements to left- or right-justify a string expression within a given string variable's character length. OCT$() function for output, and "&"- or "&O"-formatted expressions, for manipulating octal notation. SPACE$() function for generating blank spaces outside of a PRINT statement, and STRING$() function to do likewise with any character. WHILE...WEND statements, for loop structures built on general Boolean conditions without an index variable. Bitwise Boolean (16-bit) operations (AND, OR, NOT), with additional operators XOR, EQV, IMP. Line number specification in the RESTORE command. RESUME options of NEXT (to skip to the statement after that which caused the error) or a specified line number (which replaces the idea of exiting error-handling by GOTO-line, thus avoiding Applesoft II's stack error problem). Multiple parameters in user-defined (DEF FN) functions. A return to the old Applesoft One concept of having multiple USR() functions at different addresses, by establishing ten different USR functions, numbered USR0 to USR9, with separate DEF USRx statements to define the address of each. The argument passed to a USRx function can be of any specific type, including string. The returned value can also be of any type, by default the same type as the argument passed. There is no support for graphics provided within the language, nor for reading analog controls or buttons; nor is there a means of defining the active window of the text screen. Business BASIC additional features Apple Business BASIC eliminates all references to absolute memory addresses. Thus, the POKE command and PEEK() function were not included in the language, and new features replaced the CALL statement and USR() function. The functionality of certain features in Applesoft that had been achieved with various PEEK and POKE locations is now provided by: BUTTON() function to read game-controller buttons WINDOW statement to define the active window of the text screen by its coordinates KBD, HPOS, and VPOS system variables External binary subroutines and functions are loaded into memory by a single INVOKE disk-command that loads separately-assembled code modules. A PERFORM statement is then used to call an INVOKEd procedure by name, with an argument-list. INVOKEd functions would be referenced in expressions by EXFN. (floating-point) or EXFN%. (integer), with the function name appended, plus the argument-list for the function. Graphics are supported with an INVOKEd module, with features including displaying text within graphics in various fonts, within four different graphics modes available on the Apple III. Reception Despite devoting the majority of its R&D to the Apple III and so ignoring the II that for a while dealers had difficulty in obtaining the latter, the III's technical problems made marketing the computer difficult. Ed Smith, who after designing the APF Imagination Machine worked as a distributor's representative, described the III as "a complete disaster". He recalled that he "was responsible for going to every dealership, setting up the Apple III in their showroom, and then explaining to them the functions of the Apple III, which in many cases didn’t really work". Sales Pohlman reported that Apple was only selling 500 units a month by late 1981, mostly as replacements. The company was able to eventually raise monthly sales to 5,000, but the IBM PC's successful launch had encouraged software companies to develop for it instead, prompting Apple to shift focus to the Lisa and Macintosh. The PC almost ended sales of the Apple III, the most closely comparable Apple computer model. By early 1984, sales were primarily to existing III owners, Apple itself—its 4500 employees were equipped with some 3000-4500 units—and some small businesses. Apple finally discontinued the Apple III series on April 24, 1984, four months after introducing the III Plus, after selling only 65,000-75,000 units and replacing 14,000 defective units. Jobs said that the company lost "infinite, incalculable amounts" of money on the Apple III. Wozniak estimated that Apple had spent $100 million on the III, instead of improving the II and better competing against IBM. Pohlman claimed that there was a "stigma" at Apple associated with having contributed to the computer. Most employees who worked on the III reportedly left Apple. Legacy The file system and some design ideas from Apple SOS, the Apple III's operating
deleting a node are described in section Binary search tree#Deletion. There, the effective deletion of the subject node or the replacement node decreases the height of the corresponding child tree either from 1 to 0 or from 2 to 1, if that node had a child. Starting at this subtree, it is necessary to check each of the ancestors for consistency with the invariants of AVL trees. This is called "retracing". Since with a single deletion the height of an AVL subtree cannot decrease by more than one, the temporary balance factor of a node will be in the range from −2 to +2. If the balance factor remains in the range from −1 to +1 it can be adjusted in accord with the AVL rules. If it becomes ±2 then the subtree is unbalanced and needs to be rotated. (Unlike insertion where a rotation always balances the tree, after delete, there may be BF(Z) ≠ 0 (see figures 2 and 3), so that after the appropriate single or double rotation the height of the rebalanced subtree decreases by one meaning that the tree has to be rebalanced again on the next higher level.) The various cases of rotations are described in section Rebalancing. Invariant of the retracing loop for a deletion The height of the subtree rooted by N has decreased by 1. It is already in AVL shape. for (X = parent(N); X != null; X = G) { // Loop (possibly up to the root) G = parent(X); // Save parent of X around rotations // BF(X) has not yet been updated! if (N == left_child(X)) { // the left subtree decreases if (BF(X) > 0) { // X is right-heavy // ==> the temporary BF(X) == +2 // ==> rebalancing is required. Z = right_child(X); // Sibling of N (higher by 2) b = BF(Z); if (b < 0) // Right Left Case (see figure 3) N = rotate_RightLeft(X, Z); // Double rotation: Right(Z) then Left(X) else // Right Right Case (see figure 2) N = rotate_Left(X, Z); // Single rotation Left(X) // After rotation adapt parent link } else { if (BF(X) == 0) { BF(X) = +1; // N’s height decrease is absorbed at X. break; // Leave the loop } N = X; BF(N) = 0; // Height(N) decreases by 1 continue; } } else { // (N == right_child(X)): The right subtree decreases if (BF(X) < 0) { // X is left-heavy // ==> the temporary BF(X) == -2 // ==> rebalancing is required. Z = left_child(X); // Sibling of N (higher by 2) b = BF(Z); if (b > 0) // Left Right Case N = rotate_LeftRight(X, Z); // Double rotation: Left(Z) then Right(X) else // Left Left Case N = rotate_Right(X, Z); // Single rotation Right(X) // After rotation adapt parent link } else { if (BF(X) == 0) { BF(X) = -1; // N’s height decrease is absorbed at X. break; // Leave the loop } N = X; BF(N) = 0; // Height(N) decreases by 1 continue; } } // After a rotation adapt parent link: // N is the new root of the rotated subtree parent(N) = G; if (G != null) { if (X == left_child(G)) left_child(G) = N; else right_child(G) = N; } else tree->root = N; // N is the new root of the total tree if (b == 0) break; // Height does not change: Leave the loop // Height(N) decreases by 1 (== old Height(X)-1) } // If (b != 0) the height of the total tree decreases by 1. The retracing can stop if the balance factor becomes ±1 (it must have been 0) meaning that the height of that subtree remains unchanged. If the balance factor becomes 0 (it must have been ±1) then the height of the subtree decreases by one and the retracing needs to continue. If the balance factor temporarily becomes ±2, this has to be repaired by an appropriate rotation. It depends on the balance factor of the sibling Z (the higher child tree in figure 2) whether the height of the subtree decreases by one –and the retracing needs to continue– or does not change (if Z has the balance factor 0) and the whole tree is in AVL-shape. The time required is for lookup, plus a maximum of retracing levels ( on average) on the way back to the root, so the operation can be completed in time. Set operations and bulk operations In addition to the single-element insert, delete and lookup operations, several set operations have been defined on AVL trees: union, intersection and set difference. Then fast bulk operations on insertions or deletions can be implemented based on these set functions. These set operations rely on two helper operations, Split and Join. With the new operations, the implementation of AVL trees can be more efficient and highly-parallelizable. The function Join on two AVL trees and and a key will return a tree containing all elements in , as well as . It requires to be greater than all keys in and smaller than all keys in . If the two trees differ by height at most one, Join simply create a new node with left subtree , root and right subtree . Otherwise, suppose that is higher than for more than one (the other case is symmetric). Join follows the right spine of until a node which is balanced with . At this point a new node with left child , root and right child is created to replace c. The new node satisfies the AVL invariant, and its height is one greater than . The increase in height can increase the height of its ancestors, possibly invalidating the AVL invariant of those nodes. This can be fixed either with a double rotation if invalid at the parent or a single left rotation if invalid higher in the tree, in both cases restoring the height for any further ancestor nodes. Join will therefore require at most two rotations. The cost of this function is the difference of the heights between the two input trees. function JoinRightAVL(TL, k, TR) (l,k',c) = expose(TL) if (Height(c) <= Height(TR)+1) T' = Node(c,k,TR) if (Height(T') <= Height(l)+1) then return Node(l,k',T') else return rotateLeft(Node(l,k',rotateRight(T'))) else T' = JoinRightAVL(c,k,TR) T'' = Node(l,k',T') if (Height(T') <= Height(l)+1) return T'' else return rotateLeft(T'') function JoinLeftAVL(TL, k, TR) /* symmetric to JoinRightAVL */ function Join(TL, k, TR) if (Height(TL)>Height(TR)+1) return JoinRightAVL(TL, k, TR) if (Height(TR)>Height(TL)+1) return JoinLeftAVL(TL, k, TR) return Node(TL,k,TR) Here Height(v) is the height of a subtree (node) . (l,k,r) = expose(v) extracts 's left child , the key of 's root, and the right child . Node(l,k,r) means to create a node of left child , key , and right child . To split an AVL tree into two smaller trees, those smaller than key , and those larger than key , first draw a path from the root by inserting into the AVL. After this insertion, all values less than will be found on the left of the path, and all values greater than will be found on the right. By applying Join, all the subtrees on the left side are merged bottom-up using keys on the path as intermediate nodes from bottom to top to form the left tree, and the right part is asymmetric. The cost of Split is , order of the height of the tree. function Split(T,k) if (T = nil) return (nil,false,nil) (L,m,R) = expose(T) if (k = m) return (L,true,R) if (k<m) (L',b,R') = Split(L,k) return (L',b,Join(R',m,R)) if (k>m) (L',b,R') = Split(R,k) return (Join(L,m,L'),b,R')) The union of two AVL trees and representing sets and , is an AVL that represents . function Union(t1, t2): if t1 = nil: return t2 if t2 = nil: return t1 (t<, b, t>) = Split(t2, t1.root) return Join(Union(left(t1), t<), t1.root, Union(right(t1), t>)) Here, Split is presumed to return two trees: one holding the keys less its input key, one holding the greater keys. (The algorithm is non-destructive, but an in-place destructive version exists as well.) The algorithm for intersection or difference is similar, but requires the Join2 helper routine that is the same as Join but without the middle key. Based on the new functions for union, intersection or difference, either one key or multiple keys can be inserted to or deleted from the AVL tree. Since Split calls Join but does not deal with the balancing criteria of AVL trees directly, such an implementation is usually called the "join-based" implementation. The complexity of each of union, intersection and difference is for AVL trees of sizes and . More importantly, since the recursive calls to union, intersection or difference are independent of each other, they can be executed in parallel with a parallel depth . When , the join-based implementation has the same computational DAG as single-element insertion and deletion. Rebalancing If during a modifying operation the height difference between two child subtrees changes, this may, as long as it is < 2, be reflected by an adaption of the balance information at the parent. During insert and delete operations a (temporary) height difference of 2 may arise, which means that the parent subtree has to be "rebalanced". The given repair tools are the so-called tree rotations, because they move the keys only "vertically", so that the ("horizontal") in-order sequence of the keys is fully preserved (which is essential for a binary-search tree). Let X be the node that has a (temporary) balance factor of −2 or +2. Its left or right subtree was modified. Let Z be the higher
Balance factors can be kept up-to-date by knowing the previous balance factors and the change in height – it is not necessary to know the absolute height. For holding the AVL balance information, two bits per node are sufficient. The height (counted as the maximal number of levels) of an AVL tree with nodes lies in the interval: where is the golden ratio and This is because an AVL tree of height contains at least nodes where is the Fibonacci sequence with the seed values Operations Read-only operations of an AVL tree involve carrying out the same actions as would be carried out on an unbalanced binary search tree, but modifications have to observe and restore the height balance of the sub-trees. Searching Searching for a specific key in an AVL tree can be done the same way as that of any balanced or unbalanced binary search tree. In order for search to work effectively it has to employ a comparison function which establishes a total order (or at least a total preorder) on the set of keys. The number of comparisons required for successful search is limited by the height and for unsuccessful search is very close to , so both are in . Traversal As a read-only operation the traversal of an AVL tree functions the same way as on any other binary tree. Exploring all nodes of the tree visits each link exactly twice: one downward visit to enter the subtree rooted by that node, another visit upward to leave that node's subtree after having explored it. Once a node has been found in an AVL tree, the next or previous node can be accessed in amortized constant time. Some instances of exploring these "nearby" nodes require traversing up to links (particularly when navigating from the rightmost leaf of the root's left subtree to the root or from the root to the leftmost leaf of the root's right subtree; in the AVL tree of figure 1, navigating from node P to the next-to-the-right node Q takes 3 steps). Since there are links in any tree, the amortized cost is , or approximately 2. Insert When inserting a node into an AVL tree, you initially follow the same process as inserting into a Binary Search Tree. If the tree is empty, then the node is inserted as the root of the tree. If the tree is not empty, then we go down the root, and recursively go down the tree searching for the location to insert the new node. This traversal is guided by the comparison function. In this case, the node always replaces a NULL reference (left or right) of an external node in the tree i.e., the node is either made a left-child or a right-child of the external node. After this insertion if a tree becomes unbalanced, only ancestors of the newly inserted node are unbalanced. This is because only those nodes have their sub-trees altered. So it is necessary to check each of the node's ancestors for consistency with the invariants of AVL trees: this is called "retracing". This is achieved by considering the balance factor of each node. Since with a single insertion the height of an AVL subtree cannot increase by more than one, the temporary balance factor of a node after an insertion will be in the range For each node checked, if the temporary balance factor remains in the range from –1 to +1 then only an update of the balance factor and no rotation is necessary. However, if the temporary balance factor is ±2, the subtree rooted at this node is AVL unbalanced, and a rotation is needed. With insertion as the code below shows, the adequate rotation immediately perfectly rebalances the tree. In figure 1, by inserting the new node Z as a child of node X the height of that subtree Z increases from 0 to 1. Invariant of the retracing loop for an insertion The height of the subtree rooted by Z has increased by 1. It is already in AVL shape. for (X = parent(Z); X != null; X = parent(Z)) { // Loop (possibly up to the root) // BF(X) has to be updated: if (Z == right_child(X)) { // The right subtree increases if (BF(X) > 0) { // X is right-heavy // ==> the temporary BF(X) == +2 // ==> rebalancing is required. G = parent(X); // Save parent of X around rotations if (BF(Z) < 0) // Right Left Case (see figure 3) N = rotate_RightLeft(X, Z); // Double rotation: Right(Z) then Left(X) else // Right Right Case (see figure 2) N = rotate_Left(X, Z); // Single rotation Left(X) // After rotation adapt parent link } else { if (BF(X) < 0) { BF(X) = 0; // Z’s height increase is absorbed at X. break; // Leave the loop } BF(X) = +1; Z = X; // Height(Z) increases by 1 continue; } } else { // Z == left_child(X): the left subtree increases if (BF(X) < 0) { // X is left-heavy // ==> the temporary BF(X) == -2 // ==> rebalancing is required. G = parent(X); // Save parent of X around rotations if (BF(Z) > 0) // Left Right Case N = rotate_LeftRight(X, Z); // Double rotation: Left(Z) then Right(X) else // Left Left Case N = rotate_Right(X, Z); // Single rotation Right(X) // After rotation adapt parent link } else { if (BF(X) > 0) { BF(X) = 0; // Z’s height increase is absorbed at X. break; // Leave the loop } BF(X) = -1; Z = X; // Height(Z) increases by 1 continue; } } // After a rotation adapt parent link: // N is the new root of the rotated subtree // Height does not change: Height(N) == old Height(X) parent(N) = G; if (G != null) { if (X == left_child(G)) left_child(G) = N; else right_child(G) = N; } else tree->root = N; // N is the new root of the total tree break; // There is no fall thru, only break; or continue; } // Unless loop is left via break, the height of the total tree increases by 1. In order to update the balance factors of all nodes, first observe that all nodes requiring correction lie from child to parent along the path of the inserted leaf. If the above procedure is applied to nodes along this path, starting from the leaf, then every node in the tree will again have a balance factor of −1, 0, or 1. The retracing can stop if the balance factor becomes 0 implying that the height of that subtree remains unchanged. If the balance factor becomes ±1 then the height of the subtree increases by one and the retracing needs to continue. If the balance factor temporarily becomes ±2, this has to be repaired by an appropriate rotation after which the subtree has the same height as before (and its root the balance factor 0). The time required is for lookup, plus a maximum of retracing levels ( on average) on the way back to the root, so the operation can be completed in time. Delete The preliminary steps for deleting a node are described in section Binary search tree#Deletion. There, the effective deletion of the subject node or the replacement node decreases the height of the corresponding child tree either from 1 to 0 or from 2 to 1, if that node had a child. Starting at this subtree, it is necessary to check each of the ancestors for consistency with the invariants of AVL trees. This is called "retracing". Since with a single deletion the height of an AVL subtree cannot decrease by more than one, the temporary balance factor of a node will be in the range from −2 to +2. If the balance factor remains in the range from −1 to +1 it can be adjusted in accord with the AVL rules. If it becomes ±2 then the subtree is unbalanced and needs to be rotated. (Unlike insertion where a rotation always balances the tree, after delete, there may be BF(Z) ≠ 0 (see figures 2 and 3), so that after the appropriate single or double rotation the height of the rebalanced subtree decreases by one meaning that the tree has to be rebalanced again on the next higher level.) The various cases of rotations are described in section Rebalancing. Invariant of the retracing loop for a deletion The height of the subtree rooted by N has decreased by 1. It is already in AVL shape. for (X = parent(N); X != null; X = G) { // Loop (possibly up to the root) G = parent(X); // Save parent of X around rotations // BF(X) has not yet been updated! if (N == left_child(X)) { // the left subtree decreases if (BF(X) > 0) { // X is right-heavy // ==> the temporary BF(X) == +2 // ==> rebalancing is required. Z = right_child(X); // Sibling of N (higher by 2) b = BF(Z); if (b < 0) // Right Left Case (see figure 3) N = rotate_RightLeft(X, Z); // Double rotation: Right(Z) then Left(X) else // Right Right Case (see figure 2) N = rotate_Left(X, Z); // Single rotation Left(X) // After rotation adapt parent link } else { if (BF(X) == 0) { BF(X) = +1; // N’s height decrease is absorbed at X. break; // Leave the loop } N = X; BF(N) = 0; // Height(N) decreases by 1 continue; } } else { // (N == right_child(X)): The right subtree decreases if (BF(X) < 0) { // X is left-heavy // ==> the temporary BF(X) == -2 // ==> rebalancing is required. Z = left_child(X); // Sibling of N (higher by 2) b = BF(Z); if (b > 0) // Left Right Case N = rotate_LeftRight(X, Z); // Double rotation: Left(Z) then Right(X) else // Left Left Case N = rotate_Right(X, Z); // Single rotation Right(X) // After rotation adapt parent link } else { if (BF(X) == 0) { BF(X) = -1; // N’s height decrease is absorbed at X. break; // Leave the loop } N = X; BF(N) = 0; // Height(N) decreases by 1 continue; } } // After a rotation adapt parent link: // N is the new root of the rotated subtree parent(N) = G; if (G != null) { if (X == left_child(G)) left_child(G) = N; else right_child(G) = N; } else tree->root = N; // N is the new root of the total tree if (b == 0) break; // Height does not change: Leave the loop // Height(N) decreases by 1 (== old Height(X)-1) } // If (b != 0) the height of the total tree decreases by 1. The retracing can stop if the balance factor becomes ±1 (it must have been 0) meaning that the height of that subtree remains unchanged. If the balance factor becomes 0 (it must have been ±1) then the height of the subtree decreases by one and the retracing needs to continue. If the balance factor temporarily becomes ±2, this has to be repaired by an appropriate rotation. It depends on the balance factor of the sibling Z (the higher child tree in figure 2) whether the height of the subtree decreases by one –and the retracing needs to continue– or does not change (if Z has the balance factor 0) and the whole tree is in AVL-shape. The time required is for lookup, plus a maximum of retracing levels ( on average) on the way back to the root, so the operation can be completed in time. Set operations and bulk operations In addition to the single-element insert, delete and lookup operations, several set operations have been defined on AVL trees: union, intersection and set difference. Then fast bulk operations on insertions or deletions can be implemented based on these
is methane (CH4). Properties Most aliphatic compounds are flammable, allowing the use of hydrocarbons as fuel, such as methane in Bunsen burners and as liquefied natural gas (LNG), and ethyne (acetylene) in welding. Examples of aliphatic compounds / non-aromatic The most important aliphatic compounds are: n-, iso- and cyclo-alkanes (saturated hydrocarbons) n-, iso- and cyclo-alkenes and -alkynes (unsaturated hydrocarbons). Important examples of low-molecular aliphatic compounds can be found in the list below (sorted by the
rings of any type, are always aliphatic. Cyclic compounds can be aliphatic if they are not aromatic. Structure Aliphatic compounds can be saturated, joined by single bonds (alkanes), or unsaturated, with double bonds (alkenes) or triple bonds (alkynes). Besides hydrogen, other elements can be bound to the carbon chain, the most common being oxygen, nitrogen,
thus lost its academic and theoretical standing, and common belief in astrology has largely declined. Ancient world Astrology, in its broadest sense, is the search for meaning in the sky. Early evidence for humans making conscious attempts to measure, record, and predict seasonal changes by reference to astronomical cycles, appears as markings on bones and cave walls, which show that lunar cycles were being noted as early as 25,000 years ago. This was a first step towards recording the Moon's influence upon tides and rivers, and towards organising a communal calendar. Farmers addressed agricultural needs with increasing knowledge of the constellations that appear in the different seasons—and used the rising of particular star-groups to herald annual floods or seasonal activities. By the 3rd millennium BCE, civilisations had sophisticated awareness of celestial cycles, and may have oriented temples in alignment with heliacal risings of the stars. Scattered evidence suggests that the oldest known astrological references are copies of texts made in the ancient world. The Venus tablet of Ammisaduqa is thought to have been compiled in Babylon around 1700 BCE. A scroll documenting an early use of electional astrology is doubtfully ascribed to the reign of the Sumerian ruler Gudea of Lagash (c. 2144 – 2124 BCE). This describes how the gods revealed to him in a dream the constellations that would be most favourable for the planned construction of a temple. However, there is controversy about whether these were genuinely recorded at the time or merely ascribed to ancient rulers by posterity. The oldest undisputed evidence of the use of astrology as an integrated system of knowledge is therefore attributed to the records of the first dynasty of Mesopotamia (1950–1651 BCE). This astrology had some parallels with Hellenistic Greek (western) astrology, including the zodiac, a norming point near 9 degrees in Aries, the trine aspect, planetary exaltations, and the dodekatemoria (the twelve divisions of 30 degrees each). The Babylonians viewed celestial events as possible signs rather than as causes of physical events. The system of Chinese astrology was elaborated during the Zhou dynasty (1046–256 BCE) and flourished during the Han Dynasty (2nd century BCE to 2nd century CE), during which all the familiar elements of traditional Chinese culture – the Yin-Yang philosophy, theory of the five elements, Heaven and Earth, Confucian morality – were brought together to formalise the philosophical principles of Chinese medicine and divination, astrology and alchemy. Ancient objections The Hellenistic schools of philosophical skepticism criticized the rationality of astrology. Criticism of astrology by academic skeptics such as Cicero, Carneades, and Favorinus; and Pyrrhonists such as Sextus Empiricus has been preserved. Carneades argued that belief in fate denies free will and morality; that people born at different times can all die in the same accident or battle; and that contrary to uniform influences from the stars, tribes and cultures are all different. Cicero stated the twins objection (that with close birth times, personal outcomes can be very different), later developed by Saint Augustine. He argued that since the other planets are much more distant from the Earth than the Moon, they could have only very tiny influence compared to the Moon's. He also argued that if astrology explains everything about a person's fate, then it wrongly ignores the visible effect of inherited ability and parenting, changes in health worked by medicine, or the effects of the weather on people. Favorinus argued that it was absurd to imagine that stars and planets would affect human bodies in the same way as they affect the tides, and equally absurd that small motions in the heavens cause large changes in people's fates. Sextus Empiricus argued that it was absurd to link human attributes with myths about the signs of the zodiac, and wrote an entire book, Against the Astrologers, compiling arguments against astrology. Plotinus, a neoplatonist, argued that since the fixed stars are much more distant than the planets, it is laughable to imagine the planets' effect on human affairs should depend on their position with respect to the zodiac. He also argues that the interpretation of the moon's conjunction with a planet as good when the moon is full, but bad when the moon is waning, is clearly wrong, as from the moon's point of view, half of its surface is always in sunlight; and from the planet's point of view, waning should be better, as then the planet sees some light from the moon, but when the moon is full to us, it is dark, and therefore bad, on the side facing the planet in question. Hellenistic Egypt In 525 BCE, Egypt was conquered by the Persians. The 1st century BCE Egyptian Dendera Zodiac shares two signs – the Balance and the Scorpion – with Mesopotamian astrology. With the occupation by Alexander the Great in 332 BCE, Egypt became Hellenistic. The city of Alexandria was founded by Alexander after the conquest, becoming the place where Babylonian astrology was mixed with Egyptian Decanic astrology to create Horoscopic astrology. This contained the Babylonian zodiac with its system of planetary exaltations, the triplicities of the signs and the importance of eclipses. It used the Egyptian concept of dividing the zodiac into thirty-six decans of ten degrees each, with an emphasis on the rising decan, and the Greek system of planetary Gods, sign rulership and four elements. 2nd century BCE texts predict positions of planets in zodiac signs at the time of the rising of certain decans, particularly Sothis. The astrologer and astronomer Ptolemy lived in Alexandria. Ptolemy's work the Tetrabiblos formed the basis of Western astrology, and, "...enjoyed almost the authority of a Bible among the astrological writers of a thousand years or more." Greece and Rome The conquest of Asia by Alexander the Great exposed the Greeks to ideas from Syria, Babylon, Persia and central Asia. Around 280 BCE, Berossus, a priest of Bel from Babylon, moved to the Greek island of Kos, teaching astrology and Babylonian culture. By the 1st century BCE, there were two varieties of astrology, one using horoscopes to describe the past, present and future; the other, theurgic, emphasising the soul's ascent to the stars. Greek influence played a crucial role in the transmission of astrological theory to Rome. The first definite reference to astrology in Rome comes from the orator Cato, who in 160 BCE warned farm overseers against consulting with Chaldeans, who were described as Babylonian 'star-gazers'. Among both Greeks and Romans, Babylonia (also known as Chaldea) became so identified with astrology that 'Chaldean wisdom' became synonymous with divination using planets and stars. The 2nd-century Roman poet and satirist Juvenal complains about the pervasive influence of Chaldeans, saying, "Still more trusted are the Chaldaeans; every word uttered by the astrologer they will believe has come from Hammon's fountain." One of the first astrologers to bring Hermetic astrology to Rome was Thrasyllus, astrologer to the emperor Tiberius, the first emperor to have had a court astrologer, though his predecessor Augustus had used astrology to help legitimise his Imperial rights. Medieval world Hindu The main texts upon which classical Indian astrology is based are early medieval compilations, notably the , and Sārāvalī by . The Horāshastra is a composite work of 71 chapters, of which the first part (chapters 1–51) dates to the 7th to early 8th centuries and the second part (chapters 52–71) to the later 8th century. The Sārāvalī likewise dates to around 800 CE. English translations of these texts were published by N.N. Krishna Rau and V.B. Choudhari in 1963 and 1961, respectively. Islamic Astrology was taken up by Islamic scholars following the collapse of Alexandria to the Arabs in the 7th century, and the founding of the Abbasid empire in the 8th. The second Abbasid caliph, Al Mansur (754–775) founded the city of Baghdad to act as a centre of learning, and included in its design a library-translation centre known as Bayt al-Hikma 'House of Wisdom', which continued to receive development from his heirs and was to provide a major impetus for Arabic-Persian translations of Hellenistic astrological texts. The early translators included Mashallah, who helped to elect the time for the foundation of Baghdad, and Sahl ibn Bishr, (a.k.a. Zael), whose texts were directly influential upon later European astrologers such as Guido Bonatti in the 13th century, and William Lilly in the 17th century. Knowledge of Arabic texts started to become imported into Europe during the Latin translations of the 12th century. Europe The first astrological book published in Europe was the Liber Planetis et Mundi Climatibus ("Book of the Planets and Regions of the World"), which appeared between 1010 and 1027 AD, and may have been authored by Gerbert of Aurillac. Ptolemy's second century AD Tetrabiblos was translated into Latin by Plato of Tivoli in 1138. The Dominican theologian Thomas Aquinas followed Aristotle in proposing that the stars ruled the imperfect 'sublunary' body, while attempting to reconcile astrology with Christianity by stating that God ruled the soul. The thirteenth century mathematician Campanus of Novara is said to have devised a system of astrological houses that divides the prime vertical into 'houses' of equal 30° arcs, though the system was used earlier in the East. The thirteenth century astronomer Guido Bonatti wrote a textbook, the Liber Astronomicus, a copy of which King Henry VII of England owned at the end of the fifteenth century. In Paradiso, the final part of the Divine Comedy, the Italian poet Dante Alighieri referred "in countless details" to the astrological planets, though he adapted traditional astrology to suit his Christian viewpoint, for example using astrological thinking in his prophecies of the reform of Christendom. Medieval objections In the seventh century, Isidore of Seville argued in his Etymologiae that astronomy described the movements of the heavens, while astrology had two parts: one was scientific, describing the movements of the sun, the moon and the stars, while the other, making predictions, was theologically erroneous. In contrast, John Gower in the fourteenth century defined astrology as essentially limited to the making of predictions. The influence of the stars was in turn divided into natural astrology, with for example effects on tides and the growth of plants, and judicial astrology, with supposedly predictable effects on people. The fourteenth century sceptic Nicole Oresme however included astronomy as a part of astrology in his Livre de divinacions. Oresme argued that current approaches to prediction of events such as plagues, wars, and weather were inappropriate, but that such prediction was a valid field of inquiry. However, he attacked the use of astrology to choose the timing of actions (so-called interrogation and election) as wholly false, and rejected the determination of human action by the stars on grounds of free will. The friar Laurens Pignon (c. 1368–1449) similarly rejected all forms of divination and determinism, including by the stars, in his 1411 Contre les Devineurs. This was in opposition to the tradition carried by the Arab astronomer Albumasar (787-886) whose Introductorium in Astronomiam and De Magnis Coniunctionibus argued the view that both individual actions and larger scale history are determined by the stars. In the late 15th century, Giovanni Pico della Mirandola forcefully attacked astrology in Disputationes contra Astrologos, arguing that the heavens neither caused, nor heralded earthly events. His contemporary, Pietro Pomponazzi, a "rationalistic and critical thinker", was much more sanguine about astrology and critical of Pico's attack. Renaissance and Early Modern Renaissance scholars commonly practised astrology. Gerolamo Cardano cast the horoscope of king Edward VI of England, while John Dee was the personal astrologer to queen Elizabeth I of England. Catherine de Medici paid Michael Nostradamus in 1566 to verify the prediction of the death of her husband, king Henry II of France made by her astrologer Lucus Gauricus. Major astronomers who practised as court astrologers included Tycho Brahe in the royal court of Denmark, Johannes Kepler to the Habsburgs, Galileo Galilei to the Medici, and Giordano Bruno who was burnt at the stake for heresy in Rome in 1600. The distinction between astrology and astronomy was not entirely clear. Advances in astronomy were often motivated by the desire to improve the accuracy of astrology. Ephemerides with complex astrological calculations, and almanacs interpreting celestial events for use in medicine and for choosing times to plant crops, were popular in Elizabethan England. In 1597, the English mathematician and physician Thomas Hood made a set of paper instruments that used revolving overlays to help students work out relationships between fixed stars or constellations, the midheaven, and the twelve astrological houses. Hood's instruments also illustrated, for pedagogical purposes, the supposed relationships between the signs of the zodiac, the planets, and the parts of the human body adherents believed were governed by the planets and signs. While Hood's presentation was innovative, his astrological information was largely standard and was taken from Gerard Mercator's astrological disc made in 1551, or a source used by Mercator. Enlightenment period and onwards During the Enlightenment, intellectual sympathy for astrology fell away, leaving only a popular following supported by cheap almanacs. One English almanac compiler, Richard Saunders, followed the spirit of the age by printing a derisive Discourse on the Invalidity of Astrology, while in France Pierre Bayle's Dictionnaire of 1697 stated that the subject was puerile. The Anglo-Irish satirist Jonathan Swift ridiculed the Whig political astrologer John Partridge. Astrology saw a popular revival starting in the 19th century, as part of a general revival of spiritualism and—later, New Age philosophy, and through the influence of mass media such as newspaper horoscopes. Early in the 20th century the psychiatrist Carl Jung developed some concepts concerning astrology, which led to the development of psychological astrology. Principles and practice Advocates have defined astrology as a symbolic language, an art form, a science, and a method of divination. Though most cultural astrology systems share common roots in ancient philosophies that influenced each other, many use methods that differ from those in the West. These include Hindu astrology (also known as "Indian astrology" and in modern times referred to as "Vedic astrology") and Chinese astrology, both of which have influenced the world's cultural history. Western Western astrology is a form of divination based on the construction of a horoscope for an exact moment, such as a person's birth. It uses the tropical zodiac, which is aligned to the equinoctial points. Western astrology is founded on the movements and relative positions of celestial bodies such as the Sun, Moon and planets, which are analysed by their movement through signs of the zodiac (twelve spatial divisions of the ecliptic) and by their aspects (based on geometric angles) relative to one another. They are also considered by their placement in houses (twelve spatial divisions of the sky). Astrology's modern representation in western popular media is usually reduced to sun sign astrology, which considers only the zodiac sign of the Sun at an individual's date of birth, and represents only 1/12 of the total chart. The horoscope visually expresses the set of relationships for the time and place of the chosen event. These relationships are between the seven 'planets', signifying tendencies such as war and love; the twelve signs of the zodiac; and the twelve houses. Each planet is in a particular sign and a particular house at the chosen time, when observed from the chosen place, creating two kinds of relationship. A third kind is the aspect of each planet to every other planet, where for example two planets 120° apart (in 'trine') are in a harmonious relationship, but two planets 90° apart ('square') are in a conflicted relationship. Together these relationships and their interpretations supposedly form "...the language of the heavens speaking to learned men." Along with tarot divination, astrology is one of the core studies of Western esotericism, and as such has influenced systems of magical belief not only among Western esotericists and Hermeticists, but also belief systems such as Wicca that have borrowed from or been influenced by the Western esoteric tradition. Tanya Luhrmann has said that "all magicians know something about astrology," and refers to a table of correspondences in Starhawk's The Spiral Dance, organised by planet, as an example of the astrological lore studied by magicians. Hindu The earliest Vedic text on astronomy is the Vedanga Jyotisha; Vedic thought later came to include astrology as well. Hindu natal astrology originated with Hellenistic astrology by the 3rd century BCE, though incorporating the Hindu lunar mansions. The names of the signs (e.g. Greek 'Krios' for Aries, Hindi 'Kriya'), the planets (e.g. Greek 'Helios' for Sun, astrological Hindi 'Heli'), and astrological terms (e.g. Greek 'apoklima' and 'sunaphe' for declination and planetary conjunction, Hindi 'apoklima' and 'sunapha' respectively) in Varaha Mihira's texts are considered conclusive evidence of a Greek origin for Hindu astrology. The Indian techniques may also have been augmented with some of the Babylonian techniques. Chinese and East Asian Chinese astrology has a close relation with Chinese philosophy (theory of the three harmonies: heaven, earth and man) and uses concepts such as yin and yang, the Five phases, the 10 Celestial stems, the 12 Earthly Branches, and shichen (時辰 a form of timekeeping used for religious purposes). The early use of Chinese astrology was mainly confined to political astrology, the observation of unusual phenomena, identification of portents and the selection of auspicious days for events and decisions. The constellations of the Zodiac of western Asia and Europe were not used; instead the sky is divided into Three Enclosures (三垣 sān yuán), and Twenty-Eight Mansions (二十八宿 èrshíbā xiù) in twelve Ci (十二次). The Chinese zodiac of twelve animal signs is said to represent twelve different types of personality. It is based on cycles of years, lunar months, and two-hour periods of the day (the shichen). The zodiac traditionally begins with the sign of the Rat, and the cycle proceeds through 11 other animals signs: the Ox, Tiger, Rabbit, Dragon, Snake, Horse, Goat, Monkey, Rooster, Dog, and Pig. Complex systems of predicting fate and destiny based on one's birthday, birth season, and birth hours, such as ziping and Zi Wei Dou Shu () are still used regularly in modern-day Chinese astrology. They do not rely on direct observations of the stars. The Korean zodiac is identical to the Chinese one. The Vietnamese zodiac is almost identical to Chinese zodiac except the second animal is the Water Buffalo instead of the Ox, and the fourth animal is the Cat instead of the Rabbit. The Japanese have since 1873 celebrated the beginning of the new year on 1 January as per the Gregorian calendar. The Thai zodiac begins, not at Chinese New Year, but either on the first day of fifth month in the Thai lunar calendar, or during the Songkran festival (now celebrated every 13–15 April), depending on the purpose of the use. Theological viewpoints Ancient St. Augustine (354430) believed that the determinism of astrology conflicted with the Christian doctrines of man's free will and responsibility, and God not being the cause of evil, but he also grounded his opposition philosophically, citing the failure of astrology to explain twins who behave differently although conceived at the same moment and born at approximately the same time. Medieval Some of the practices of astrology were contested on theological grounds by medieval Muslim astronomers such as Al-Farabi (Alpharabius), Ibn al-Haytham (Alhazen) and Avicenna. They said that the methods of astrologers conflicted with orthodox religious views of Islamic scholars, by suggesting that the Will of God can be known and predicted. For example, Avicenna's 'Refutation against astrology', Risāla fī ibṭāl aḥkām al-nojūm, argues against the practice of astrology while supporting the principle that planets may act as agents of divine causation. Avicenna considered that the movement of the planets influenced life on earth in a deterministic way, but argued against the possibility of determining the exact influence of the
astronomy and astrology (Jyotisha). The text is dated between 1400 BCE to final centuries BCE by various scholars according to astronomical and linguistic evidences. Chinese astrology was elaborated in the Zhou dynasty (1046–256 BCE). Hellenistic astrology after 332 BCE mixed Babylonian astrology with Egyptian Decanic astrology in Alexandria, creating horoscopic astrology. Alexander the Great's conquest of Asia allowed astrology to spread to Ancient Greece and Rome. In Rome, astrology was associated with "Chaldean wisdom". After the conquest of Alexandria in the 7th century, astrology was taken up by Islamic scholars, and Hellenistic texts were translated into Arabic and Persian. In the 12th century, Arabic texts were imported to Europe and translated into Latin. Major astronomers including Tycho Brahe, Johannes Kepler and Galileo practised as court astrologers. Astrological references appear in literature in the works of poets such as Dante Alighieri and Geoffrey Chaucer, and of playwrights such as Christopher Marlowe and William Shakespeare. Throughout most of its history, astrology was considered a scholarly tradition. It was accepted in political and academic contexts, and was connected with other studies, such as astronomy, alchemy, meteorology, and medicine. At the end of the 17th century, new scientific concepts in astronomy and physics (such as heliocentrism and Newtonian mechanics) called astrology into question. Astrology thus lost its academic and theoretical standing, and common belief in astrology has largely declined. Ancient world Astrology, in its broadest sense, is the search for meaning in the sky. Early evidence for humans making conscious attempts to measure, record, and predict seasonal changes by reference to astronomical cycles, appears as markings on bones and cave walls, which show that lunar cycles were being noted as early as 25,000 years ago. This was a first step towards recording the Moon's influence upon tides and rivers, and towards organising a communal calendar. Farmers addressed agricultural needs with increasing knowledge of the constellations that appear in the different seasons—and used the rising of particular star-groups to herald annual floods or seasonal activities. By the 3rd millennium BCE, civilisations had sophisticated awareness of celestial cycles, and may have oriented temples in alignment with heliacal risings of the stars. Scattered evidence suggests that the oldest known astrological references are copies of texts made in the ancient world. The Venus tablet of Ammisaduqa is thought to have been compiled in Babylon around 1700 BCE. A scroll documenting an early use of electional astrology is doubtfully ascribed to the reign of the Sumerian ruler Gudea of Lagash (c. 2144 – 2124 BCE). This describes how the gods revealed to him in a dream the constellations that would be most favourable for the planned construction of a temple. However, there is controversy about whether these were genuinely recorded at the time or merely ascribed to ancient rulers by posterity. The oldest undisputed evidence of the use of astrology as an integrated system of knowledge is therefore attributed to the records of the first dynasty of Mesopotamia (1950–1651 BCE). This astrology had some parallels with Hellenistic Greek (western) astrology, including the zodiac, a norming point near 9 degrees in Aries, the trine aspect, planetary exaltations, and the dodekatemoria (the twelve divisions of 30 degrees each). The Babylonians viewed celestial events as possible signs rather than as causes of physical events. The system of Chinese astrology was elaborated during the Zhou dynasty (1046–256 BCE) and flourished during the Han Dynasty (2nd century BCE to 2nd century CE), during which all the familiar elements of traditional Chinese culture – the Yin-Yang philosophy, theory of the five elements, Heaven and Earth, Confucian morality – were brought together to formalise the philosophical principles of Chinese medicine and divination, astrology and alchemy. Ancient objections The Hellenistic schools of philosophical skepticism criticized the rationality of astrology. Criticism of astrology by academic skeptics such as Cicero, Carneades, and Favorinus; and Pyrrhonists such as Sextus Empiricus has been preserved. Carneades argued that belief in fate denies free will and morality; that people born at different times can all die in the same accident or battle; and that contrary to uniform influences from the stars, tribes and cultures are all different. Cicero stated the twins objection (that with close birth times, personal outcomes can be very different), later developed by Saint Augustine. He argued that since the other planets are much more distant from the Earth than the Moon, they could have only very tiny influence compared to the Moon's. He also argued that if astrology explains everything about a person's fate, then it wrongly ignores the visible effect of inherited ability and parenting, changes in health worked by medicine, or the effects of the weather on people. Favorinus argued that it was absurd to imagine that stars and planets would affect human bodies in the same way as they affect the tides, and equally absurd that small motions in the heavens cause large changes in people's fates. Sextus Empiricus argued that it was absurd to link human attributes with myths about the signs of the zodiac, and wrote an entire book, Against the Astrologers, compiling arguments against astrology. Plotinus, a neoplatonist, argued that since the fixed stars are much more distant than the planets, it is laughable to imagine the planets' effect on human affairs should depend on their position with respect to the zodiac. He also argues that the interpretation of the moon's conjunction with a planet as good when the moon is full, but bad when the moon is waning, is clearly wrong, as from the moon's point of view, half of its surface is always in sunlight; and from the planet's point of view, waning should be better, as then the planet sees some light from the moon, but when the moon is full to us, it is dark, and therefore bad, on the side facing the planet in question. Hellenistic Egypt In 525 BCE, Egypt was conquered by the Persians. The 1st century BCE Egyptian Dendera Zodiac shares two signs – the Balance and the Scorpion – with Mesopotamian astrology. With the occupation by Alexander the Great in 332 BCE, Egypt became Hellenistic. The city of Alexandria was founded by Alexander after the conquest, becoming the place where Babylonian astrology was mixed with Egyptian Decanic astrology to create Horoscopic astrology. This contained the Babylonian zodiac with its system of planetary exaltations, the triplicities of the signs and the importance of eclipses. It used the Egyptian concept of dividing the zodiac into thirty-six decans of ten degrees each, with an emphasis on the rising decan, and the Greek system of planetary Gods, sign rulership and four elements. 2nd century BCE texts predict positions of planets in zodiac signs at the time of the rising of certain decans, particularly Sothis. The astrologer and astronomer Ptolemy lived in Alexandria. Ptolemy's work the Tetrabiblos formed the basis of Western astrology, and, "...enjoyed almost the authority of a Bible among the astrological writers of a thousand years or more." Greece and Rome The conquest of Asia by Alexander the Great exposed the Greeks to ideas from Syria, Babylon, Persia and central Asia. Around 280 BCE, Berossus, a priest of Bel from Babylon, moved to the Greek island of Kos, teaching astrology and Babylonian culture. By the 1st century BCE, there were two varieties of astrology, one using horoscopes to describe the past, present and future; the other, theurgic, emphasising the soul's ascent to the stars. Greek influence played a crucial role in the transmission of astrological theory to Rome. The first definite reference to astrology in Rome comes from the orator Cato, who in 160 BCE warned farm overseers against consulting with Chaldeans, who were described as Babylonian 'star-gazers'. Among both Greeks and Romans, Babylonia (also known as Chaldea) became so identified with astrology that 'Chaldean wisdom' became synonymous with divination using planets and stars. The 2nd-century Roman poet and satirist Juvenal complains about the pervasive influence of Chaldeans, saying, "Still more trusted are the Chaldaeans; every word uttered by the astrologer they will believe has come from Hammon's fountain." One of the first astrologers to bring Hermetic astrology to Rome was Thrasyllus, astrologer to the emperor Tiberius, the first emperor to have had a court astrologer, though his predecessor Augustus had used astrology to help legitimise his Imperial rights. Medieval world Hindu The main texts upon which classical Indian astrology is based are early medieval compilations, notably the , and Sārāvalī by . The Horāshastra is a composite work of 71 chapters, of which the first part (chapters 1–51) dates to the 7th to early 8th centuries and the second part (chapters 52–71) to the later 8th century. The Sārāvalī likewise dates to around 800 CE. English translations of these texts were published by N.N. Krishna Rau and V.B. Choudhari in 1963 and 1961, respectively. Islamic Astrology was taken up by Islamic scholars following the collapse of Alexandria to the Arabs in the 7th century, and the founding of the Abbasid empire in the 8th. The second Abbasid caliph, Al Mansur (754–775) founded the city of Baghdad to act as a centre of learning, and included in its design a library-translation centre known as Bayt al-Hikma 'House of Wisdom', which continued to receive development from his heirs and was to provide a major impetus for Arabic-Persian translations of Hellenistic astrological texts. The early translators included Mashallah, who helped to elect the time for the foundation of Baghdad, and Sahl ibn Bishr, (a.k.a. Zael), whose texts were directly influential upon later European astrologers such as Guido Bonatti in the 13th century, and William Lilly in the 17th century. Knowledge of Arabic texts started to become imported into Europe during the Latin translations of the 12th century. Europe The first astrological book published in Europe was the Liber Planetis et Mundi Climatibus ("Book of the Planets and Regions of the World"), which appeared between 1010 and 1027 AD, and may have been authored by Gerbert of Aurillac. Ptolemy's second century AD Tetrabiblos was translated into Latin by Plato of Tivoli in 1138. The Dominican theologian Thomas Aquinas followed Aristotle in proposing that the stars ruled the imperfect 'sublunary' body, while attempting to reconcile astrology with Christianity by stating that God ruled the soul. The thirteenth century mathematician Campanus of Novara is said to have devised a system of astrological houses that divides the prime vertical into 'houses' of equal 30° arcs, though the system was used earlier in the East. The thirteenth century astronomer Guido Bonatti wrote a textbook, the Liber Astronomicus, a copy of which King Henry VII of England owned at the end of the fifteenth century. In Paradiso, the final part of the Divine Comedy, the Italian poet Dante Alighieri referred "in countless details" to the astrological planets, though he adapted traditional astrology to suit his Christian viewpoint, for example using astrological thinking in his prophecies of the reform of Christendom. Medieval objections In the seventh century, Isidore of Seville argued in his Etymologiae that astronomy described the movements of the heavens, while astrology had two parts: one was scientific, describing the movements of the sun, the moon and the stars, while the other, making predictions, was theologically erroneous. In contrast, John Gower in the fourteenth century defined astrology as essentially limited to the making of predictions. The influence of the stars was in turn divided into natural astrology, with for example effects on tides and the growth of plants, and judicial astrology, with supposedly predictable effects on people. The fourteenth century sceptic Nicole Oresme however included astronomy as a part of astrology in his Livre de divinacions. Oresme argued that current approaches to prediction of events such as plagues, wars, and weather were inappropriate, but that such prediction was a valid field of inquiry. However, he attacked the use of astrology to choose the timing of actions (so-called interrogation and election) as wholly false, and rejected the determination of human action by the stars on grounds of free will. The friar Laurens Pignon (c. 1368–1449) similarly rejected all forms of divination and determinism, including by the stars, in his 1411 Contre les Devineurs. This was in opposition to the tradition carried by the Arab astronomer Albumasar (787-886) whose Introductorium in Astronomiam and De Magnis Coniunctionibus argued the view that both individual actions and larger scale history are determined by the stars. In the late 15th century, Giovanni Pico della Mirandola forcefully attacked astrology in Disputationes contra Astrologos, arguing that the heavens neither caused, nor heralded earthly events. His contemporary, Pietro Pomponazzi, a "rationalistic and critical thinker", was much more sanguine about astrology and critical of Pico's attack. Renaissance and Early Modern Renaissance scholars commonly practised astrology. Gerolamo Cardano cast the horoscope of king Edward VI of England, while John Dee was the personal astrologer to queen Elizabeth I of England. Catherine de Medici paid Michael Nostradamus in 1566 to verify the prediction of the death of her husband, king Henry II of France made by her astrologer Lucus Gauricus. Major astronomers who practised as court astrologers included Tycho Brahe in the royal court of Denmark, Johannes Kepler to the Habsburgs, Galileo Galilei to the Medici, and Giordano Bruno who was burnt at the stake for heresy in Rome in 1600. The distinction between astrology and astronomy was not entirely clear. Advances in astronomy were often motivated by the desire to improve the accuracy of astrology. Ephemerides with complex astrological calculations, and almanacs interpreting celestial events for use in medicine and for choosing times to plant crops, were popular in Elizabethan England. In 1597, the English mathematician and physician Thomas Hood made a set of paper instruments that used revolving overlays to help students work out relationships between fixed stars or constellations, the midheaven, and the twelve astrological houses. Hood's instruments also illustrated, for pedagogical purposes, the supposed relationships between the signs of the zodiac, the planets, and the parts of the human body adherents believed were governed by the planets and signs. While Hood's presentation was innovative, his astrological information was largely standard and was taken from Gerard Mercator's astrological disc made in 1551, or a source used by Mercator. Enlightenment period and onwards During the Enlightenment, intellectual sympathy for astrology fell away, leaving only a popular following supported by cheap almanacs. One English almanac compiler, Richard Saunders, followed the spirit of the age by printing a derisive Discourse on the Invalidity of Astrology, while in France Pierre Bayle's Dictionnaire of 1697 stated that the subject was puerile. The Anglo-Irish satirist Jonathan Swift ridiculed the Whig political astrologer John Partridge. Astrology saw a popular revival starting in the 19th century, as part of a general revival of spiritualism and—later, New Age philosophy, and through the influence of mass media such as newspaper horoscopes. Early in the 20th century the psychiatrist Carl Jung developed some concepts concerning astrology, which led to the development of psychological astrology. Principles and practice Advocates have defined astrology as a symbolic language, an art form, a science, and a method of divination. Though most cultural astrology systems share common roots in ancient philosophies that influenced each other, many use methods that differ from those in the West. These include Hindu astrology (also known as "Indian astrology" and in modern times referred to as "Vedic astrology") and Chinese astrology, both of which have influenced the world's cultural history. Western Western astrology is a form of divination based on the construction of a horoscope for an exact moment, such as a person's birth. It uses the tropical zodiac, which is aligned to the equinoctial points. Western astrology is founded on the movements and relative positions of celestial bodies such as the Sun, Moon and planets, which are analysed by their movement through signs of the zodiac (twelve spatial divisions of the ecliptic) and by their aspects (based on geometric angles) relative to one another. They are also considered by their placement in houses (twelve spatial divisions of the sky). Astrology's modern representation in western popular media is usually reduced to sun sign astrology, which considers only the zodiac sign of the Sun at an individual's date of birth, and represents only 1/12 of the total chart. The horoscope visually expresses the set of relationships for the time and place of the chosen event. These relationships are between the seven 'planets', signifying tendencies such as war and love; the twelve signs of the zodiac; and the twelve houses. Each planet is in a particular sign and a particular house at the chosen time, when observed from the chosen place, creating two kinds of relationship. A third kind is the aspect of each planet to every other planet, where for example two planets 120° apart (in 'trine') are in a harmonious relationship, but two planets 90° apart ('square') are in a conflicted relationship. Together these relationships and their interpretations supposedly form "...the language of the heavens speaking to learned men." Along with tarot divination, astrology is one of the core studies of Western esotericism, and as such has influenced systems of magical belief not only among Western esotericists and Hermeticists, but also belief systems such as Wicca that have borrowed from or been influenced by the Western esoteric tradition. Tanya Luhrmann has said that "all magicians know something about astrology," and refers to a table of correspondences in Starhawk's The Spiral Dance, organised by planet, as an example of the astrological lore studied by magicians. Hindu The earliest Vedic text on astronomy is the Vedanga Jyotisha; Vedic thought later came to include astrology as well. Hindu natal astrology originated with Hellenistic astrology by the 3rd century BCE, though incorporating the Hindu lunar mansions. The names of the signs (e.g. Greek 'Krios' for Aries, Hindi 'Kriya'), the planets (e.g. Greek 'Helios' for Sun, astrological Hindi 'Heli'), and astrological terms (e.g. Greek 'apoklima' and 'sunaphe' for declination and planetary conjunction, Hindi 'apoklima' and 'sunapha' respectively) in Varaha Mihira's texts are considered conclusive evidence of a Greek origin for Hindu astrology. The Indian techniques may also have been augmented with some of the Babylonian techniques. Chinese and East Asian Chinese astrology has a close relation with Chinese philosophy
first staged in 1987 "Abyssinia", a song by the Patti Smith Group on Radio Ethiopia "Abyssinia, Henry", an episode of the television series M*A*S*H Vessels SS Abyssinia, an 1870 Canadian Pacific steamship HMS Abyssinia (1870), a British armoured ship Other uses Abyssinia (battle honour) Abyssinia
the Ethiopian Empire Abyssinia may also refer to: Languages Ethiopian Semitic languages, mainly found in the Amhara Region and Tigray Region of Ethiopia People Abyssinian people, the Amhara and the Tigrayans Places Abyssinia Lines, a neighbourhood of Jamshed Town in Karachi, Sindh, Pakistan Apostolic Vicariate of Abyssinia, the former Eastern Catholic missionary Arts and media
numbers. Every field has an algebraic extension which is algebraically closed (called its algebraic closure), but proving this in general requires some form of the axiom of choice. An extension L/K is algebraic if and only if every sub K-algebra of L is a field. Properties The class of algebraic extensions forms a distinguished class of field extensions, that is, the following three properties hold: If E is an algebraic extension of F and F is an algebraic extension of K then E is an algebraic extension of K. If E and F are algebraic extensions of K in a common overfield C, then the compositum EF is an algebraic extension of K. If E is an algebraic extension of F and E > K > F then E is an algebraic extension of K. These finitary results can be generalized using transfinite induction: This fact, together with Zorn's lemma (applied to an appropriately chosen poset), establishes the existence of algebraic closures. Generalizations Model theory generalizes the notion of algebraic extension to arbitrary theories: an embedding of M into N
and only if every sub K-algebra of L is a field. Properties The class of algebraic extensions forms a distinguished class of field extensions, that is, the following three properties hold: If E is an algebraic extension of F and F is an algebraic extension of K then E is an algebraic extension of K. If E and F are algebraic extensions of K in a common overfield C, then the compositum EF is an algebraic extension of K. If E is an algebraic extension of F and E > K > F then E is an algebraic extension of K. These finitary results can be generalized using transfinite induction: This fact, together with Zorn's lemma (applied to an appropriately chosen poset), establishes the existence of algebraic closures. Generalizations Model theory generalizes the notion of algebraic extension to arbitrary theories: an embedding of M into N is called an algebraic extension if for every x in N there is a formula p with parameters in M, such that p(x) is true and the set is finite. It turns out that applying this definition to the theory of fields gives the usual definition of algebraic extension. The Galois group of N over M can again be defined as the group of automorphisms, and it turns out that most of the theory of Galois groups can be developed for the general case. See
for a record of unlikely collaborations, When Pigs Fly: Songs You Never Thought You'd Hear. In 2005, she appeared on Dar Williams' record My Better Self, duetting on William's cover of Pink Floyd's "Comfortably Numb". She performed with Cyndi Lauper on "Sisters of Avalon" a track from Lauper's 2005 The Body Acoustic album. In 2006, she produced Hamell on Trial's album Songs for Parents Who Enjoy Drugs. In 2008, she appeared on Todd Sickafoose's album Tiny Resisters. In 2010, she co-produced a track with Margaret Cho called "Captain Cameltoe" for the comedian's Cho Dependant album. In 2011, she appeared on Rob Wasserman's album Note of Hope, an exploration of the writings of Woody Guthrie with musical accompaniment, though the track in which she appeared, "Voice", was actually recorded 13 years earlier. Also in 2011 she duetted with Greg Dulli on the Twilight Singers record Dynamite Steps. Other artists have covered and sampled DiFranco's work throughout the years. Her spoken word poem "Self Evident" was covered by Public Enemy founder Chuck D's group called Impossebulls. Alana Davis had some commercial success with DiFranco's song "32 Flavors". Samples from the track "Coming Up" were used by DJ Spooky in his album Live Without Dead Time, produced for AdBusters Magazine in 2003. In 2010, DiFranco played Persephone on Anaïs Mitchell's album Hadestown. DiFranco was approached by Zoe Boekbinder to work on their Prison Music Project, an album of collaborations between incarcerated and formerly incarcerated writers and musicians on the outside. DiFranco co-produced the project with Boekbinder and co-wrote and performed "Nowhere but Barstow and Prison." The album Long Time Gone was released on Righteous Babe Records in 2020 after ten years in the making. Lyrical content Although much of DiFranco's material is autobiographical, it is often also strongly political. Many of her songs are concerned with contemporary social issues such as racism, sexism, sexual abuse, homophobia, reproductive rights, poverty, and war. In 2008, she donated a song to Aid Still Required's CD to assist with the restoration of the devastation done to Southeast Asia from the 2004 tsunami. The combination of personal and political is partially responsible for DiFranco's early popularity among politically active college students, particularly those of the left wing, some of whom set up fan pages on the web to document DiFranco's career as early as 1994. DiFranco's rapid rise in popularity in the mid-1990s was fueled mostly by personal contact and word of mouth rather than mainstream media. Label independence Ani cites her anti-corporate ethos for the main reason she decided to start her own label. This has allowed her a considerable degree of creative freedom over the years, including, for example, providing all instrumentals and vocals and recording the album herself at her home on an analog 8-track reel to reel, and handling much of the artwork and packaging design for her 2004 album Educated Guess. She has referenced this independence from major labels in song more than once, including "The Million You Never Made" (Not a Pretty Girl), which discusses the act of turning down a lucrative contract, "The Next Big Thing" (Not So Soft), which describes an imagined meeting with a label head-hunter who evaluates the singer based on her looks, and "Napoleon" (Dilate), which sympathizes sarcastically with an unnamed friend who did sign with a label. The business grew organically starting in 1990 with the first cassette tape. Connections were made when women in colleges started duplicating and sharing tapes. Offers to play at colleges started coming in and her popularity grew largely by word of mouth and through women's groups or organizations. Zango and Goldenrod, two music distributors specializing in women's music, started carrying DiFranco's music. In general they sold music to independent music stores and women's book stores. In 1995, Righteous Babe Records signed with Koch International for DiFranco's release of Not a Pretty Girl. Her records could then be found in large and small record stores alike. DiFranco has occasionally joined with Prince in discussing publicly the problems associated with major record companies. Righteous Babe Records employs a number of people in her hometown of Buffalo. In a 1997 open letter to Ms. magazine she expressed displeasure that what she considers a way to ensure her own artistic freedom was seen by others solely in terms of its financial success. Activism From the earliest days of her career, Ani DiFranco has lent her voice and her name to a broad range of social movements, performing benefit concerts, appearing on benefit albums, speaking at rallies, and offering info table space to organizations at her concerts and the virtual equivalent on her website, among other methods and actions. In 1999, she created her own not-for-profit organization; as the Buffalo News has reported, "Through the Righteous Babe Foundation, DiFranco has backed various grassroots cultural and political organizations, supporting causes ranging from abortion rights to gay visibility." During the first Gulf War, DiFranco participated in the anti-war movement. In early 1993 she played Pete Seeger's Clearwater Folk Festival for the first time. In 1998, she was a featured performer in the Dead Man Walking benefit concert series raising money for Sister Helen Prejean's "Not in Our Name" anti-death penalty organization. DiFranco's commitment to opposing the death penalty is longstanding; she has also been a long time supporter of the Southern Center for Human Rights. During the 2000 U.S. presidential election, she actively supported and voted for Green Party candidate Ralph Nader, though in an open letter she made clear that if she lived in a swing state, she would vote for Al Gore to prevent George W. Bush from being elected. In 2004, DiFranco visited Burma in order to learn about the Burmese resistance movement and the country's fight for democracy. During her travels she met with then-detained resistance leader Aung San Suu Kyi. Her song "In The Way" was later featured on For the Lady, a benefit CD that donated all proceeds to the United States Campaign for Burma. During the 2004 presidential primaries, she supported liberal, anti-war Democrat Dennis Kucinich. Congressman Kucinich appeared on stage with her at several concerts and she spoke positively about him from the stage at many more of her concerts. After the primary season ended, and John Kerry was the clear Democratic candidate, DiFranco launched a "Vote Dammit!" tour of swing states encouraging audience members to vote. In 2005, she lobbied Congress against the proliferation of nuclear power in general and the placement of nuclear waste dumps on Indian land in particular. In 2008, she again backed Kucinich in his bid for the presidency. In 2002, Righteous Babe Records established the "Aiding Buffalo's Children" program in conjunction with members of the local community to raise funds for Buffalo's public school system. To kick off the program, DiFranco donated "a day's pay"—the performance fee from her concert that year at Shea's Performing Arts Center— to ABC and challenged her fans to do the same. Aiding Buffalo's Children has since been folded into the Community Foundation of Greater Buffalo, contributing to a variety of charitable funds. In 2005, when Hurricane Katrina devastated DiFranco's newly adopted home town of New Orleans she collected donations from fans around the world through The Righteous Babe Store website for the Katrina Piano Fund, helping musicians replace instruments lost in the hurricane, raising over $47,500 for the cause. In 2010, after the Deepwater Horizon oil spill, she performed at the "For Our Coast" benefit concert joining Marianne Faithfull, C. C. Adcock and others at the Acadiana Center for the Arts Theater in Lafayette, raising money for Gulf Aid Acadiana, and the Gulf Aid show with Lenny Kravitz, Mos Def, and others at Mardi Gras World River City in New Orleans, both shows raising money to help protect the wetlands, clean up the coast and to assist the fishermen and their families affected by the spill. DiFranco also sits on the board for The Roots of Music, founded by Rebirth Brass Band drummer Derrick Tabb. The organization provides free marching band instruction to children in the New Orleans area in addition to academic tutoring and mentoring. DiFranco joined about 500,000 people at the March for Women's Lives in DC in April 2004. As an honored guest she marched in the front row for the three-mile route, along with Margaret Cho, Janeane Garofalo, Whoopi Goldberg, Gloria Steinem and others. Later in the day, Ani played a few songs on the main stage in front of the Capitol, including "Your Next Bold Move". Scot Fisher, Righteous Babe label president and DiFranco's longtime manager, has been a longtime advocate of the preservation movement in Buffalo. In 1999, he and DiFranco purchased a decaying church on the verge of demolition in downtown Buffalo and began the lengthy process of restoring it. In 2006, the building opened its doors again, first briefly as "The Church" and then as "Babeville," housing two concert venues, the record label's business office, and Hallwalls Contemporary Arts Center. DiFranco is also a member of the Toronto-based charity Artists Against Racism for which she participated in a radio PSA. Awards and nominations Discography Studio albums Ani DiFranco (1990) Not So Soft (1991) Imperfectly (1992) Puddle Dive (1993) Out of Range (1994) Not a Pretty Girl (1995) Dilate (1996) Little Plastic Castle (1998) Up Up Up Up Up Up (1999) To the Teeth (1999) Revelling/Reckoning (2001) Evolve (2003) Educated Guess (2004) Knuckle Down (2005) Reprieve (2006) Red Letter Year (2008) ¿Which Side Are You On? (2012) Allergic to Water (2014) Binary (2017) Revolutionary Love (2021) With Utah Phillips The Past Didn't Go Anywhere (1996) Fellow Workers (1999) Live albums 1994 – An Acoustic Evening With 1994 – Women in (E)motion (German Release) 1997 – Living in Clip 2002 – So Much Shouting, So Much Laughter 2004 – Atlanta – 10.9.03 (Official Bootleg series #1) 2004 – Sacramento – 10.25.03 (Official Bootleg series #1) 2004 – Portland – 4.7.04 (Official Bootleg series #1) 2005 – Boston – 11.16.03 (Official Bootleg series #1) 2005 – Chicago – 1.17.04 (Official Bootleg series #1) 2005 – Madison – 1.25.04 (Official Bootleg series #1) 2005 – Rome – 11.15.04 (Official Bootleg series #1) 2006 – Carnegie Hall – 4.6.02 (Official Bootleg series No. 1 – available in stores) 2007 – Boston – 11.10.06 (Official Bootleg series #1) 2008 – Hamburg – 10.18.07 (Official Bootleg series #1) 2009 – Saratoga, CA – 9.18.06 (Official Bootleg series #1) 2009 – Chicago – 9.22.07 (Official Bootleg series #1) 2010 – Live at Bull Moose Music (Limited edition) 2012 – Buffalo – April 22, 2012 (Official Bootleg series #2) 2013 – London – October 29, 2008 (Official Bootleg series #2) 2014 – Ridgefield, CT – November 18, 2009 (Official Bootleg series #2) 2014 – Harrisburg, PA – January 23, 2008 (Official Bootleg series #2) 2015 – New York, NY – March 30, 1995 (Official Bootleg series #2) 2016 – Glenside, PA – November 11, 2012 (Official Bootleg series #2) 2016 – Melbourne, FL – January 19, 2016 (Official Bootleg series #2) 2018 – Charlottesville, VA 5.12.18 (Official Bootleg series #3) 2019 – Woodstock, NY 6-16-2019 (Official Bootleg series #3) 2020 – Keene, NH 11-16-2019 (Official Bootleg series #3) EPs 1996 – More Joy, Less Shame 1999 – Little Plastic Remixes (limited distribution) 2000 – Swing Set 2016 – Play God Videos 2002 – Render: Spanning Time with Ani DiFranco 2004 – Trust 2008 – Live at Babeville Compilations 1993 – Like I Said: Songs 1990–91 1995 – Live from Mountain Stage, Vol. 8 – "Buildings & Bridges (live)" 1996 – Women's Work – "Cradle and All (live)" 1996 – Women: Live from Mountain Stage- "Egos Like Hairdos (live)" 1997 – Divine Divas: A World of Women's Voices- "Amazing Grace" 1998 – Live at World Café Vol. 6- "Buildings & Bridges (live)" 1998 – Modern Day Storytellers – "Buildings & Bridges" 1998 – Rare on Air Vol. 4 (KCRW) – "Gravel (live)" 1998 – Where Have All the Flowers Gone: Songs of Pete Seeger – "My Name is Lisa Kalvelage" 1998 – Women of Spirit- "Done Wrong" 1999 – Respect: A Century of Women in Music- "32 Flavors" 2000 – Badlands: A Tribute to Bruce Springsteen's Nebraska- "Used Cars" 2000 – Best of Hard Rock Café Live – "Little Plastic Castle (live)" 2000 – 'Til We Outnumber 'Em – Performed "Do Re Mi" solo and "Ramblin' Round" with Indigo Girls; Producer 2001 – Live @ The World Café Vol. 10 – "32 Flavors" 2001 – Best of Sessions at West 54th – "32 Flavors" 2002 – Gascd – "Your Next Bold Move" 2002 – Going Driftless: An Artist Tribute to Greg Brown- "The Poet Game" 2002 – When Pigs Fly: Songs You Never Thought You'd Hear – "Unforgettable" w/ Jackie Chan 2003 – Peace Not War – "Self Evident" 2004 – Peace Not War Vol. 2 – "Animal" 2004 – For the Lady – "In the Way" 2005 – Bonnaroo Music Festival 2004 (CD & DVD) – "Evolve (live)" 2006 – Music Is Hope- "Napoleon (remix)" 2006 – Dead Man Walking: Music from and Inspired by the Motion Picture – "Crime for Crime", "Fuel", "Up Up Up Up Up Up" 2007 – Canon 2007 – Sowing the Seed: The 10th Anniversary Appleseed Recordings – "Waist Deep in the Big Muddy" 2007 – Cool as Folk: Cambridge Folk Festival – "Cradle and All (live)" 2009 – Singing Through the Hard Times: A Utah Phillips Celebration – "The International" 2011 – Note of Hope: A Celebration of Woody Guthrie – "Voice" 2011 – Every Mother Counts – "Present/Infant" (Remix) 2012 – Occupy This Album
been documented on recordings; on the album, DiFranco provides musical settings for his speaking voice. The followup, Fellow Workers, was recorded live in Daniel Lanois's Kingsway Studio in New Orleans and features Phillips fronting DiFranco's touring band for a collection of songs and stories. Prince recorded two songs with DiFranco in 1999, "Providence" on her To the Teeth album, and "Eye Love U, But Eye Don't Trust U Anymore" on Prince's Rave Un2 the Joy Fantastic album. Funk and soul jazz musician Maceo Parker and rapper Corey Parker have both appeared on DiFranco's albums and featured appearances by her on theirs. Parker and Di Franco toured together in 1999. She has appeared on several compilations of the songs of Pete Seeger and frequented his Hudson Clearwater Revival Festival. In 2001, she appeared on Brazilian artist Lenine's album Falange Canibal. In 2002, her rendition of Greg Brown's "The Poet Game" appeared on Going Driftless: An Artist's Tribute to Greg Brown. Also in 2002 she recorded a duet with Jackie Chan of the Irving Gordon song "Unforgettable" for a record of unlikely collaborations, When Pigs Fly: Songs You Never Thought You'd Hear. In 2005, she appeared on Dar Williams' record My Better Self, duetting on William's cover of Pink Floyd's "Comfortably Numb". She performed with Cyndi Lauper on "Sisters of Avalon" a track from Lauper's 2005 The Body Acoustic album. In 2006, she produced Hamell on Trial's album Songs for Parents Who Enjoy Drugs. In 2008, she appeared on Todd Sickafoose's album Tiny Resisters. In 2010, she co-produced a track with Margaret Cho called "Captain Cameltoe" for the comedian's Cho Dependant album. In 2011, she appeared on Rob Wasserman's album Note of Hope, an exploration of the writings of Woody Guthrie with musical accompaniment, though the track in which she appeared, "Voice", was actually recorded 13 years earlier. Also in 2011 she duetted with Greg Dulli on the Twilight Singers record Dynamite Steps. Other artists have covered and sampled DiFranco's work throughout the years. Her spoken word poem "Self Evident" was covered by Public Enemy founder Chuck D's group called Impossebulls. Alana Davis had some commercial success with DiFranco's song "32 Flavors". Samples from the track "Coming Up" were used by DJ Spooky in his album Live Without Dead Time, produced for AdBusters Magazine in 2003. In 2010, DiFranco played Persephone on Anaïs Mitchell's album Hadestown. DiFranco was approached by Zoe Boekbinder to work on their Prison Music Project, an album of collaborations between incarcerated and formerly incarcerated writers and musicians on the outside. DiFranco co-produced the project with Boekbinder and co-wrote and performed "Nowhere but Barstow and Prison." The album Long Time Gone was released on Righteous Babe Records in 2020 after ten years in the making. Lyrical content Although much of DiFranco's material is autobiographical, it is often also strongly political. Many of her songs are concerned with contemporary social issues such as racism, sexism, sexual abuse, homophobia, reproductive rights, poverty, and war. In 2008, she donated a song to Aid Still Required's CD to assist with the restoration of the devastation done to Southeast Asia from the 2004 tsunami. The combination of personal and political is partially responsible for DiFranco's early popularity among politically active college students, particularly those of the left wing, some of whom set up fan pages on the web to document DiFranco's career as early as 1994. DiFranco's rapid rise in popularity in the mid-1990s was fueled mostly by personal contact and word of mouth rather than mainstream media. Label independence Ani cites her anti-corporate ethos for the main reason she decided to start her own label. This has allowed her a considerable degree of creative freedom over the years, including, for example, providing all instrumentals and vocals and recording the album herself at her home on an analog 8-track reel to reel, and handling much of the artwork and packaging design for her 2004 album Educated Guess. She has referenced this independence from major labels in song more than once, including "The Million You Never Made" (Not a Pretty Girl), which discusses the act of turning down a lucrative contract, "The Next Big Thing" (Not So Soft), which describes an imagined meeting with a label head-hunter who evaluates the singer based on her looks, and "Napoleon" (Dilate), which sympathizes sarcastically with an unnamed friend who did sign with a label. The business grew organically starting in 1990 with the first cassette tape. Connections were made when women in colleges started duplicating and sharing tapes. Offers to play at colleges started coming in and her popularity grew largely by word of mouth and through women's groups or organizations. Zango and Goldenrod, two music distributors specializing in women's music, started carrying DiFranco's music. In general they sold music to independent music stores and women's book stores. In 1995, Righteous Babe Records signed with Koch International for DiFranco's release of Not a Pretty Girl. Her records could then be found in large and small record stores alike. DiFranco has occasionally joined with Prince in discussing publicly the problems associated with major record companies. Righteous Babe Records employs a number of people in her hometown of Buffalo. In a 1997 open letter to Ms. magazine she expressed displeasure that what she considers a way to ensure her own artistic freedom was seen by others solely in terms of its financial success. Activism From the earliest days of her career, Ani DiFranco has lent her voice and her name to a broad range of social movements, performing benefit concerts, appearing on benefit albums, speaking at rallies, and offering info table space to organizations at her concerts and the virtual equivalent on her website, among other methods and actions. In 1999, she created her own not-for-profit organization; as the Buffalo News has reported, "Through the Righteous Babe Foundation, DiFranco has backed various grassroots cultural and political organizations, supporting causes ranging from abortion rights to gay visibility." During the first Gulf War, DiFranco participated in the anti-war movement. In early 1993 she played Pete Seeger's Clearwater Folk Festival for the first time. In 1998, she was a featured performer in the Dead Man Walking benefit concert series raising money for Sister Helen Prejean's "Not in Our Name" anti-death penalty organization. DiFranco's commitment to opposing the death penalty is longstanding; she has also been a long time supporter of the Southern Center for Human Rights. During the 2000 U.S. presidential election, she actively supported and voted for Green Party candidate Ralph Nader, though in an open letter she made clear that if she lived in a swing state, she would vote for Al Gore to prevent George W. Bush from being elected. In 2004, DiFranco visited Burma in order to learn about the Burmese resistance movement and the country's fight for democracy. During her travels she met with then-detained resistance leader Aung San Suu Kyi. Her song "In The Way" was later featured on For the Lady, a benefit CD that donated all proceeds to the United States Campaign for Burma. During the 2004 presidential primaries, she supported
carbon atoms forming rings.Benzene is an example of arenes. Arene may also refer to: Arene (gastropod), a genus of marine snails in the family Areneidae Arene (mythology), the wife of Aphareus and
arenes. Arene may also refer to: Arene (gastropod), a genus of marine snails in the family Areneidae Arene (mythology), the wife of Aphareus and mother of Idas and Lynceus in Greek mythology Arene, Elis, an ancient town in Elis, Greece, also known as
the letters were rendered in teal with copper and white trim, but was changed to copper with teal and white trim after only one season. This set was worn until 2002. The alternate road black uniform initially featured the "A" logo on the right chest, while letters were in purple with white trim and numbers in teal with white and purple trim. A zigzag pattern of teal, copper and purple was also featured on the sleeves. In 2001, the uniform was changed to feature "Arizona" in front. Letters were now purple with white and copper trim. The Diamondbacks initially wore four different cap versions. The primary home cap is all-purple, while the road cap is black with a teal brim. They also wore a cream cap with purple brim, and a teal cap with purple brim. All designs featured the primary "A" logo. In 1999, the road cap became all-black and contained the alternate "D-snake" logo rendered in copper. Also, the teal and cream alternate caps were dropped. The left sleeve of all four uniforms initially contained the snake logo with the full team name, but became only exclusive to the road black uniform after the 2003 season. 2006–2015 The franchise unveiled new uniforms and colors of Sedona red, Sonoran sand and black on November 8, 2006. The red shade is named for the sandstone canyon at Red Rock State Park near Sedona, while the beige (sand) shade is named for the Sonoran Desert. A sleeve patch was added featuring a lowercase "d" and "b" configured to look like a snake's head. The team also kept the "D" logo, but was slightly altered and put on an all red cap to be used as their game cap. They also kept the "A" logo with the new colors applied to it, with a solid black cap used as the alternate cap. A similar color scheme is currently used by the Arizona Coyotes of the National Hockey League. The white home uniform featured "D-Backs" in red with sand and black trim. The road gray uniform featured "Arizona" in red with sand and black trim. Player names were red with black trim while numbers were black with red trim. The alternate red uniform contained "D-Backs" in sand with red and black trim, with player names in sand with black trim and numbers in black with sand trim. There were two versions of the alternate black uniform. One design has the alternate "A" logo on the right chest, while the other has "Arizona" written in red with black and sand trim. The latter was introduced in 2013 as a tribute to the victims of the Yarnell Hill Fire. On both uniforms, player names were sand with red trim, and numbers in red with sand trim. 2016–present Prior to the 2016 season, the Diamondbacks reincorporated teal into its color scheme while keeping Sedona Red, Sonoran Sand and black. They also unveiled eight different uniform combinations, including two separate home white and away grey uniforms. One major difference between the two sets is that the non-teal uniforms feature a snakeskin pattern on the shoulders, while the teal-trimmed uniforms include a charcoal/grey snakeskin pattern on the back. Arizona also kept the throwback pinstriped sleeveless uniforms from their 2001 championship season for use during Thursday home games. Starting with the 2020 season, the Diamondbacks made slight redesigns to their current uniforms. The snakeskin patterns were removed while the teal-trimmed grey uniforms were retired. The team also reverted to a standard grey uniform after wearing a darker shade on the previous set. Two home white uniforms remain in use: the primary Sedona Red and the alternate teal. They would also wear two black uniforms: one with the primary "A" logo on the left chest and the other with "Los D-Backs" trimmed in teal. Three cap designs were also unveiled: the primary "A" cap, the teal-trimmed "snake" cap (paired exclusively on the teal alternates), and the sand-trimmed "snake" cap (paired exclusively on the Sedona Red alternates). The Nike swoosh logo is also placed on the right chest near the shoulder. Regular season home attendance Radio and television The primary television play-by-play voice for the team's first nine seasons of play was Thom Brennaman, who also broadcast baseball and college football games nationally for FOX Television. Brennaman was the TV announcer for the Chicago Cubs and Cincinnati Reds (along with his father Marty Brennaman) before being hired by Diamondbacks founder Jerry Colangelo in 1996, two years before the team would begin play. In October 2006, Brennaman left the Diamondbacks to call games with his father for the Reds beginning in 2007, signing a four-year deal (his FOX duties remained unchanged). The English language flagship radio station is KTAR. Greg Schulte is the regular radio play-by-play voice, a 25-year veteran of sports radio in the Phoenix market, also well known for his previous work on Phoenix Suns, Arizona Cardinals and Arizona State University (ASU) broadcasts. Jeff Munn is a backup radio play-by-play announcer; he served as the regular public address announcer at Chase Field in the early days of the franchise. He is well known to many
with white and purple trim. A zigzag pattern of teal, copper and purple was also featured on the sleeves. In 2001, the uniform was changed to feature "Arizona" in front. Letters were now purple with white and copper trim. The Diamondbacks initially wore four different cap versions. The primary home cap is all-purple, while the road cap is black with a teal brim. They also wore a cream cap with purple brim, and a teal cap with purple brim. All designs featured the primary "A" logo. In 1999, the road cap became all-black and contained the alternate "D-snake" logo rendered in copper. Also, the teal and cream alternate caps were dropped. The left sleeve of all four uniforms initially contained the snake logo with the full team name, but became only exclusive to the road black uniform after the 2003 season. 2006–2015 The franchise unveiled new uniforms and colors of Sedona red, Sonoran sand and black on November 8, 2006. The red shade is named for the sandstone canyon at Red Rock State Park near Sedona, while the beige (sand) shade is named for the Sonoran Desert. A sleeve patch was added featuring a lowercase "d" and "b" configured to look like a snake's head. The team also kept the "D" logo, but was slightly altered and put on an all red cap to be used as their game cap. They also kept the "A" logo with the new colors applied to it, with a solid black cap used as the alternate cap. A similar color scheme is currently used by the Arizona Coyotes of the National Hockey League. The white home uniform featured "D-Backs" in red with sand and black trim. The road gray uniform featured "Arizona" in red with sand and black trim. Player names were red with black trim while numbers were black with red trim. The alternate red uniform contained "D-Backs" in sand with red and black trim, with player names in sand with black trim and numbers in black with sand trim. There were two versions of the alternate black uniform. One design has the alternate "A" logo on the right chest, while the other has "Arizona" written in red with black and sand trim. The latter was introduced in 2013 as a tribute to the victims of the Yarnell Hill Fire. On both uniforms, player names were sand with red trim, and numbers in red with sand trim. 2016–present Prior to the 2016 season, the Diamondbacks reincorporated teal into its color scheme while keeping Sedona Red, Sonoran Sand and black. They also unveiled eight different uniform combinations, including two separate home white and away grey uniforms. One major difference between the two sets is that the non-teal uniforms feature a snakeskin pattern on the shoulders, while the teal-trimmed uniforms include a charcoal/grey snakeskin pattern on the back. Arizona also kept the throwback pinstriped sleeveless uniforms from their 2001 championship season for use during Thursday home games. Starting with the 2020 season, the Diamondbacks made slight redesigns to their current uniforms. The snakeskin patterns were removed while the teal-trimmed grey uniforms were retired. The team also reverted to a standard grey uniform after wearing a darker shade on the previous set. Two home white uniforms remain in use: the primary Sedona Red and the alternate teal. They would also wear two black uniforms: one with the primary "A" logo on the left chest and the other with "Los D-Backs" trimmed in teal. Three cap designs were also unveiled: the primary "A" cap, the teal-trimmed "snake" cap (paired exclusively on the teal alternates), and the sand-trimmed "snake" cap (paired exclusively on the Sedona Red alternates). The Nike swoosh logo is also placed on the right chest near the shoulder. Regular season home attendance Radio and television The primary television play-by-play voice for the team's first nine seasons of play was Thom Brennaman, who also broadcast baseball and college football games nationally for FOX Television. Brennaman was the TV announcer for the Chicago Cubs and Cincinnati Reds (along with his father Marty Brennaman) before being hired by Diamondbacks founder Jerry Colangelo in 1996, two years before the team would begin play. In October 2006, Brennaman left the Diamondbacks to call games with his father for the Reds beginning in 2007, signing a four-year deal (his FOX duties remained unchanged). The English language flagship radio station is KTAR. Greg Schulte is the regular radio play-by-play voice, a 25-year veteran of sports radio in the Phoenix market, also well known for his previous work on Phoenix Suns, Arizona Cardinals and Arizona State University (ASU) broadcasts. Jeff Munn is a backup radio play-by-play announcer; he served as the regular public address announcer at Chase Field in the early days of the franchise. He is well known to many Phoenix area sports fans, having also served as the public address announcer for the Suns at America West Arena (now Phoenix Suns Arena) in the 1990s. He is also the play-by-play radio voice for ASU women's basketball. On November 1, 2006, the team announced that the TV voice of the Milwaukee Brewers since 2002, Daron Sutton, would
composition", but also the sensitivity "to pains as well as pleasures, which escape the rest of mankind." Thus, the sensory discrimination is linked to capacity for pleasure. For Immanuel Kant (Critique of Judgment, 1790), "enjoyment" is the result when pleasure arises from sensation, but judging something to be "beautiful" has a third requirement: sensation must give rise to pleasure by engaging reflective contemplation. Judgments of beauty are sensory, emotional and intellectual all at once. Kant (1790) observed of a man "If he says that canary wine is agreeable he is quite content if someone else corrects his terms and reminds him to say instead: It is agreeable to me," because "Everyone has his own (sense of) taste". The case of "beauty" is different from mere "agreeableness" because, "If he proclaims something to be beautiful, then he requires the same liking from others; he then judges not just for himself but for everyone, and speaks of beauty as if it were a property of things." Viewer interpretations of beauty may on occasion be observed to possess two concepts of value: aesthetics and taste. Aesthetics is the philosophical notion of beauty. Taste is a result of an education process and awareness of elite cultural values learned through exposure to mass culture. Bourdieu examined how the elite in society define the aesthetic values like taste and how varying levels of exposure to these values can result in variations by class, cultural background, and education. According to Kant, beauty is subjective and universal; thus certain things are beautiful to everyone. In the opinion of Władysław Tatarkiewicz, there are six conditions for the presentation of art: beauty, form, representation, reproduction of reality, artistic expression and innovation. However, one may not be able to pin down these qualities in a work of art. The question whether there are facts about aesthetic judgments belongs to the branch of metaphilosophy known as meta-aesthetics. Factors involved in aesthetic judgment Aesthetic judgement is closely tied to disgust. Responses like disgust show that sensory detection is linked in instinctual ways to facial expressions including physiological responses like the gag reflex. Disgust is triggered largely by dissonance; as Darwin pointed out, seeing a stripe of soup in a man's beard is disgusting even though neither soup nor beards are themselves disgusting. Aesthetic judgments may be linked to emotions or, like emotions, partially embodied in physical reactions. For example, the awe inspired by a sublime landscape might physically manifest with an increased heart-rate or pupil dilation. As seen, emotions are conformed to 'cultural' reactions, therefore aesthetics is always characterized by 'regional responses', as Francis Grose was the first to affirm in his 'Rules for Drawing Caricaturas: With an Essay on Comic Painting' (1788), published in W. Hogarth, The Analysis of Beauty, Bagster, London s.d. (1791? [1753]), pp. 1–24. Francis Grose can therefore be claimed to be the first critical 'aesthetic regionalist' in proclaiming the anti-universality of aesthetics in contrast to the perilous and always resurgent dictatorship of beauty. 'Aesthetic Regionalism' can thus be seen as a political statement and stance which vies against any universal notion of beauty to safeguard the counter-tradition of aesthetics related to what has been considered and dubbed un-beautiful just because one's culture does not contemplate it, e.g. E. Burke's sublime, what is usually defined as 'primitive' art, or un-harmonious, non-cathartic art, camp art, which 'beauty' posits and creates, dichotomously, as its opposite, without even the need of formal statements, but which will be 'perceived' as ugly. Likewise, aesthetic judgments may be culturally conditioned to some extent. Victorians in Britain often saw African sculpture as ugly, but just a few decades later, Edwardian audiences saw the same sculptures as beautiful. Evaluations of beauty may well be linked to desirability, perhaps even to sexual desirability. Thus, judgments of aesthetic value can become linked to judgments of economic, political, or moral value. In a current context, a Lamborghini might be judged to be beautiful partly because it is desirable as a status symbol, or it may be judged to be repulsive partly because it signifies over-consumption and offends political or moral values. The context of its presentation also affects the perception of artwork; artworks presented in a classical museum context are liked more and rated more interesting than when presented in a sterile laboratory context. While specific results depend heavily on the style of the presented artwork, overall, the effect of context proved to be more important for the perception of artwork than the effect of genuineness (whether the artwork was being presented as original or as a facsimile/copy). Aesthetic judgments can often be very fine-grained and internally contradictory. Likewise aesthetic judgments seem often to be at least partly intellectual and interpretative. What a thing means or symbolizes is often what is being judged. Modern aestheticians have asserted that will and desire were almost dormant in aesthetic experience, yet preference and choice have seemed important aesthetics to some 20th-century thinkers. The point is already made by Hume, but see Mary Mothersill, "Beauty and the Critic's Judgment", in The Blackwell Guide to Aesthetics, 2004. Thus aesthetic judgments might be seen to be based on the senses, emotions, intellectual opinions, will, desires, culture, preferences, values, subconscious behaviour, conscious decision, training, instinct, sociological institutions, or some complex combination of these, depending on exactly which theory is employed. A third major topic in the study of aesthetic judgments is how they are unified across art forms. For instance, the source of a painting's beauty has a different character to that of beautiful music, suggesting their aesthetics differ in kind. The distinct inability of language to express aesthetic judgment and the role of Social construction further cloud this issue. Aesthetic universals The philosopher Denis Dutton identified six universal signatures in human aesthetics: Expertise or virtuosity. Humans cultivate, recognize, and admire technical artistic skills. Nonutilitarian pleasure. People enjoy art for art's sake, and do not demand that it keep them warm or put food on the table. Style. Artistic objects and performances satisfy rules of composition that place them in a recognizable style. Criticism. People make a point of judging, appreciating, and interpreting works of art. Imitation. With a few important exceptions like abstract painting, works of art simulate experiences of the world. Special focus. Art is set aside from ordinary life and made a dramatic focus of experience. Artists such as Thomas Hirschhorn have indicated that there are too many exceptions to Dutton's categories. For example, Hirschhorn's installations deliberately eschew technical virtuosity. People can appreciate a Renaissance Madonna for aesthetic reasons, but such objects often had (and sometimes still have) specific devotional functions. "Rules of composition" that might be read into Duchamp's Fountain or John Cage's 4′33″ do not locate the works in a recognizable style (or certainly not a style recognizable at the time of the works' realization). Moreover, some of Dutton's categories seem too broad: a physicist might entertain hypothetical worlds in his/her imagination in the course of formulating a theory. Another problem is that Dutton's categories seek to universalize traditional European notions of aesthetics and art forgetting that, as André Malraux and others have pointed out, there have been large numbers of cultures in which such ideas (including the idea "art" itself) were non-existent. Aesthetic ethics Aesthetic ethics refers to the idea that human conduct and behaviour ought to be governed by that which is beautiful and attractive. John Dewey has pointed out that the unity of aesthetics and ethics is in fact reflected in our understanding of behaviour being "fair"—the word having a double meaning of attractive and morally acceptable. More recently, James Page has suggested that aesthetic ethics might be taken to form a philosophical rationale for peace education. Beauty Beauty is one of the main subjects of aesthetics, together with art and taste. Many of its definitions include the idea that an object is beautiful if perceiving it is accompanied by aesthetic pleasure. Among the examples of beautiful objects are landscapes, sunsets, humans and works of art. Beauty is a positive aesthetic value that contrasts with ugliness as its negative counterpart. Different intuitions commonly associated with beauty and its nature are in conflict with each other, which poses certain difficulties for understanding it. On the one hand, beauty is ascribed to things as an objective, public feature. On the other hand, it seems to depend on the subjective, emotional response of the observer. It is said, for example, that "beauty is in the eye of the beholder". It may be possible to reconcile these intuitions by affirming that it depends both on the objective features of the beautiful thing and the subjective response of the observer. One way to achieve this is to hold that an object is beautiful if it has the power to bring about certain aesthetic experiences in the perceiving subject. This is often combined with the view that the subject needs to have the ability to correctly perceive and judge beauty, sometimes referred to as "sense of taste". Various conceptions of how to define and understand beauty have been suggested. Classical conceptions emphasize the objective side of beauty by defining it in terms of the relation between the beautiful object as a whole and its parts: the parts should stand in the right proportion to each other and thus compose an integrated harmonious whole. Hedonist conceptions, on the other hand, focus more on the subjective side by drawing a necessary connection between pleasure and beauty, e.g. that for an object to be beautiful is for it to cause disinterested pleasure. Other conceptions include defining beautiful objects in terms of their value, of a loving attitude towards them or of their function. New Criticism and "The Intentional Fallacy" During the first half of the twentieth century, a significant shift to general aesthetic theory took place which attempted to apply aesthetic theory between various forms of art, including the literary arts and the visual arts, to each other. This resulted in the rise of the New Criticism school and debate concerning the intentional fallacy. At issue was the question of whether the aesthetic intentions of the artist in creating the work of art, whatever its specific form, should be associated with the criticism and evaluation of the final product of the work of art, or, if the work of art should be evaluated on its own merits independent of the intentions of the artist. In 1946, William K. Wimsatt and Monroe Beardsley published a classic and controversial New Critical essay entitled "The Intentional Fallacy", in which they argued strongly against the relevance of an author's intention, or "intended meaning" in the analysis of a literary work. For Wimsatt and Beardsley, the words on the page were all that mattered; importation of meanings from outside the text was considered irrelevant, and potentially distracting. In another essay, "The Affective Fallacy," which served as a kind of sister essay to "The Intentional Fallacy" Wimsatt and Beardsley also discounted the reader's personal/emotional reaction to a literary work as a valid means of analyzing a text. This fallacy would later be repudiated by theorists from the reader-response school of literary theory. One of the leading theorists from this school, Stanley Fish, was himself trained by New Critics. Fish criticizes Wimsatt and Beardsley in his essay "Literature in the Reader" (1970). As summarized by Berys Gaut and Livingston in their essay "The Creation of Art": "Structuralist and post-structuralists theorists and critics were sharply critical of many aspects of New Criticism, beginning with the emphasis on aesthetic appreciation and the so-called autonomy of art, but they reiterated the attack on biographical criticisms' assumption that the artist's activities and experience were a privileged critical topic." These authors contend that: "Anti-intentionalists, such as formalists, hold that the intentions involved in the making of art are irrelevant or peripheral to correctly interpreting art. So details of the act of creating a work, though possibly of interest in themselves, have no bearing on the correct interpretation of the work." Gaut and Livingston define the intentionalists as distinct from formalists stating that: "Intentionalists, unlike formalists, hold that reference to intentions is essential in fixing the correct interpretation of works." They quote Richard Wollheim as stating that, "The task of criticism is the reconstruction of the creative process, where the creative process must in turn be thought of as something not stopping short of, but terminating on, the work of art itself." Derivative forms of aesthetics A large number of derivative forms of aesthetics have developed as contemporary and transitory forms of inquiry associated with the field of aesthetics which include the post-modern, psychoanalytic, scientific, and mathematical among others. Post-modern aesthetics and psychoanalysis Early-twentieth-century artists, poets and composers challenged existing notions of beauty, broadening the scope of art and aesthetics. In 1941, Eli Siegel, American philosopher and poet, founded Aesthetic Realism, the philosophy that reality itself is aesthetic, and that "The world, art, and self explain each other: each is the aesthetic oneness of opposites." Various attempts have been made to define Post-Modern Aesthetics. The challenge to the assumption that beauty was central to art and aesthetics, thought to be original, is actually continuous with older aesthetic theory; Aristotle was the first in the Western tradition to classify "beauty" into types as in his theory of drama, and Kant made a distinction between beauty and the sublime. What was new was a refusal to credit the higher status of certain types, where the taxonomy implied a preference for tragedy and the sublime to comedy and the Rococo. Croce suggested that "expression" is central in the way that beauty was once thought to be central. George Dickie suggested that the sociological institutions of the art world were the glue binding art and sensibility into unities. Marshall McLuhan suggested that art always functions as a "counter-environment" designed to make visible what is usually invisible about a society. Theodor Adorno felt that aesthetics could not proceed without confronting the role of the culture industry in the commodification of art and aesthetic experience. Hal Foster attempted to portray the reaction against beauty and Modernist art in The Anti-Aesthetic: Essays on Postmodern Culture. Arthur Danto has described this reaction as "kalliphobia" (after the Greek word for beauty, κάλλος kallos). André Malraux explains that the notion of beauty was connected to a particular conception of art that arose with the Renaissance and was still dominant in the eighteenth century (but was supplanted later). The discipline of aesthetics, which originated in the eighteenth century, mistook this transient state of affairs for a revelation of the permanent nature of art. Brian Massumi suggests to reconsider beauty following the aesthetical thought in the philosophy of Deleuze and Guattari. Walter Benjamin echoed Malraux in believing aesthetics was a comparatively recent invention, a view proven wrong in the late 1970s, when Abraham Moles and Frieder Nake analyzed links between beauty, information processing, and information theory. Denis Dutton in "The Art Instinct" also proposed that an aesthetic sense was a vital evolutionary factor. Jean-François Lyotard re-invokes the Kantian distinction between taste and the sublime. Sublime painting, unlike kitsch realism, "... will enable us to see only by making it impossible to see; it will please only by causing pain." Sigmund Freud inaugurated aesthetical thinking in Psychoanalysis mainly via the "Uncanny" as aesthetical affect. Following Freud and Merleau-Ponty, Jacques Lacan theorized aesthetics in terms of sublimation and the Thing. The relation of
behaviour being "fair"—the word having a double meaning of attractive and morally acceptable. More recently, James Page has suggested that aesthetic ethics might be taken to form a philosophical rationale for peace education. Beauty Beauty is one of the main subjects of aesthetics, together with art and taste. Many of its definitions include the idea that an object is beautiful if perceiving it is accompanied by aesthetic pleasure. Among the examples of beautiful objects are landscapes, sunsets, humans and works of art. Beauty is a positive aesthetic value that contrasts with ugliness as its negative counterpart. Different intuitions commonly associated with beauty and its nature are in conflict with each other, which poses certain difficulties for understanding it. On the one hand, beauty is ascribed to things as an objective, public feature. On the other hand, it seems to depend on the subjective, emotional response of the observer. It is said, for example, that "beauty is in the eye of the beholder". It may be possible to reconcile these intuitions by affirming that it depends both on the objective features of the beautiful thing and the subjective response of the observer. One way to achieve this is to hold that an object is beautiful if it has the power to bring about certain aesthetic experiences in the perceiving subject. This is often combined with the view that the subject needs to have the ability to correctly perceive and judge beauty, sometimes referred to as "sense of taste". Various conceptions of how to define and understand beauty have been suggested. Classical conceptions emphasize the objective side of beauty by defining it in terms of the relation between the beautiful object as a whole and its parts: the parts should stand in the right proportion to each other and thus compose an integrated harmonious whole. Hedonist conceptions, on the other hand, focus more on the subjective side by drawing a necessary connection between pleasure and beauty, e.g. that for an object to be beautiful is for it to cause disinterested pleasure. Other conceptions include defining beautiful objects in terms of their value, of a loving attitude towards them or of their function. New Criticism and "The Intentional Fallacy" During the first half of the twentieth century, a significant shift to general aesthetic theory took place which attempted to apply aesthetic theory between various forms of art, including the literary arts and the visual arts, to each other. This resulted in the rise of the New Criticism school and debate concerning the intentional fallacy. At issue was the question of whether the aesthetic intentions of the artist in creating the work of art, whatever its specific form, should be associated with the criticism and evaluation of the final product of the work of art, or, if the work of art should be evaluated on its own merits independent of the intentions of the artist. In 1946, William K. Wimsatt and Monroe Beardsley published a classic and controversial New Critical essay entitled "The Intentional Fallacy", in which they argued strongly against the relevance of an author's intention, or "intended meaning" in the analysis of a literary work. For Wimsatt and Beardsley, the words on the page were all that mattered; importation of meanings from outside the text was considered irrelevant, and potentially distracting. In another essay, "The Affective Fallacy," which served as a kind of sister essay to "The Intentional Fallacy" Wimsatt and Beardsley also discounted the reader's personal/emotional reaction to a literary work as a valid means of analyzing a text. This fallacy would later be repudiated by theorists from the reader-response school of literary theory. One of the leading theorists from this school, Stanley Fish, was himself trained by New Critics. Fish criticizes Wimsatt and Beardsley in his essay "Literature in the Reader" (1970). As summarized by Berys Gaut and Livingston in their essay "The Creation of Art": "Structuralist and post-structuralists theorists and critics were sharply critical of many aspects of New Criticism, beginning with the emphasis on aesthetic appreciation and the so-called autonomy of art, but they reiterated the attack on biographical criticisms' assumption that the artist's activities and experience were a privileged critical topic." These authors contend that: "Anti-intentionalists, such as formalists, hold that the intentions involved in the making of art are irrelevant or peripheral to correctly interpreting art. So details of the act of creating a work, though possibly of interest in themselves, have no bearing on the correct interpretation of the work." Gaut and Livingston define the intentionalists as distinct from formalists stating that: "Intentionalists, unlike formalists, hold that reference to intentions is essential in fixing the correct interpretation of works." They quote Richard Wollheim as stating that, "The task of criticism is the reconstruction of the creative process, where the creative process must in turn be thought of as something not stopping short of, but terminating on, the work of art itself." Derivative forms of aesthetics A large number of derivative forms of aesthetics have developed as contemporary and transitory forms of inquiry associated with the field of aesthetics which include the post-modern, psychoanalytic, scientific, and mathematical among others. Post-modern aesthetics and psychoanalysis Early-twentieth-century artists, poets and composers challenged existing notions of beauty, broadening the scope of art and aesthetics. In 1941, Eli Siegel, American philosopher and poet, founded Aesthetic Realism, the philosophy that reality itself is aesthetic, and that "The world, art, and self explain each other: each is the aesthetic oneness of opposites." Various attempts have been made to define Post-Modern Aesthetics. The challenge to the assumption that beauty was central to art and aesthetics, thought to be original, is actually continuous with older aesthetic theory; Aristotle was the first in the Western tradition to classify "beauty" into types as in his theory of drama, and Kant made a distinction between beauty and the sublime. What was new was a refusal to credit the higher status of certain types, where the taxonomy implied a preference for tragedy and the sublime to comedy and the Rococo. Croce suggested that "expression" is central in the way that beauty was once thought to be central. George Dickie suggested that the sociological institutions of the art world were the glue binding art and sensibility into unities. Marshall McLuhan suggested that art always functions as a "counter-environment" designed to make visible what is usually invisible about a society. Theodor Adorno felt that aesthetics could not proceed without confronting the role of the culture industry in the commodification of art and aesthetic experience. Hal Foster attempted to portray the reaction against beauty and Modernist art in The Anti-Aesthetic: Essays on Postmodern Culture. Arthur Danto has described this reaction as "kalliphobia" (after the Greek word for beauty, κάλλος kallos). André Malraux explains that the notion of beauty was connected to a particular conception of art that arose with the Renaissance and was still dominant in the eighteenth century (but was supplanted later). The discipline of aesthetics, which originated in the eighteenth century, mistook this transient state of affairs for a revelation of the permanent nature of art. Brian Massumi suggests to reconsider beauty following the aesthetical thought in the philosophy of Deleuze and Guattari. Walter Benjamin echoed Malraux in believing aesthetics was a comparatively recent invention, a view proven wrong in the late 1970s, when Abraham Moles and Frieder Nake analyzed links between beauty, information processing, and information theory. Denis Dutton in "The Art Instinct" also proposed that an aesthetic sense was a vital evolutionary factor. Jean-François Lyotard re-invokes the Kantian distinction between taste and the sublime. Sublime painting, unlike kitsch realism, "... will enable us to see only by making it impossible to see; it will please only by causing pain." Sigmund Freud inaugurated aesthetical thinking in Psychoanalysis mainly via the "Uncanny" as aesthetical affect. Following Freud and Merleau-Ponty, Jacques Lacan theorized aesthetics in terms of sublimation and the Thing. The relation of Marxist aesthetics to post-modern aesthetics is still a contentious area of debate. Recent aesthetics Guy Sircello has pioneered efforts in analytic philosophy to develop a rigorous theory of aesthetics, focusing on the concepts of beauty, love and sublimity. In contrast to romantic theorists, Sircello argued for the objectivity of beauty and formulated a theory of love on that basis. British philosopher and theorist of conceptual art aesthetics, Peter Osborne, makes the point that "'post-conceptual art' aesthetic does not concern a particular type of contemporary art so much as the historical-ontological condition for the production of contemporary art in general ...". Osborne noted that contemporary art is 'post-conceptual' in a public lecture delivered in 2010. Gary Tedman has put forward a theory of a subjectless aesthetics derived from Karl Marx's concept of alienation, and Louis Althusser's antihumanism, using elements of Freud's group psychology, defining a concept of the 'aesthetic level of practice'. Gregory Loewen has suggested that the subject is key in the interaction with the aesthetic object. The work of art serves as a vehicle for the projection of the individual's identity into the world of objects, as well as being the irruptive source of much of what is uncanny in modern life. As well, art is used to memorialize individuated biographies in a manner that allows persons to imagine that they are part of something greater than themselves. Aesthetics and science The field of experimental aesthetics was founded by Gustav Theodor Fechner in the 19th century. Experimental aesthetics in these times had been characterized by a subject-based, inductive approach. The analysis of individual experience and behaviour based on experimental methods is a central part of experimental aesthetics. In particular, the perception of works of art, music, or modern items such as websites or other IT products is studied. Experimental aesthetics is strongly oriented towards the natural sciences. Modern approaches mostly come from the fields of cognitive psychology or neuroscience (neuroaesthetics). In the 1970s, Abraham Moles and Frieder Nake were among the first to analyze links between aesthetics, information processing, and information theory. In the 1990s, Jürgen Schmidhuber described an algorithmic theory of beauty which takes the subjectivity of the observer into account and postulates: among several observations classified as comparable by a given subjective observer, the aesthetically most pleasing one is the one with the shortest description, given the observer's previous knowledge and his particular method for encoding the data. This is closely related to the principles of algorithmic information theory and minimum description length. One of his examples: mathematicians enjoy simple proofs with a short description in their formal language. Another very concrete example describes an aesthetically pleasing human face whose proportions can be described by very few bits of information, drawing inspiration from less detailed 15th century proportion studies by Leonardo da Vinci and Albrecht Dürer. Schmidhuber's theory explicitly distinguishes between what's beautiful and what's interesting, stating that interestingness corresponds to the first derivative of subjectively perceived beauty. Here the premise is that any observer continually tries to improve the predictability and compressibility of the observations by discovering regularities such as repetitions and symmetries and fractal self-similarity. Whenever the observer's learning process (which may be a predictive artificial neural network; see also Neuroesthetics) leads to improved data compression such that the observation sequence can be described by fewer bits than before, the temporary interestingness of the data corresponds to the number of saved bits. This compression progress is proportional to the observer's internal reward, also called curiosity reward. A reinforcement learning algorithm is used to maximize future expected reward by learning to execute action sequences that cause additional interesting input data with yet unknown but learnable predictability or regularity. The principles can be implemented on artificial agents which then exhibit a form of artificial curiosity. Truth in beauty and mathematics Mathematical considerations, such as symmetry and complexity, are used for analysis in theoretical aesthetics. This is different from the aesthetic considerations of applied aesthetics used in the study of mathematical beauty. Aesthetic considerations such as symmetry and simplicity are used in areas of philosophy, such as ethics and theoretical physics and cosmology to define truth, outside of empirical considerations. Beauty and Truth have been argued to be nearly synonymous, as reflected in the statement "Beauty is truth, truth beauty" in the poem "Ode on a Grecian Urn" by John Keats, or by the Hindu motto "Satyam Shivam Sundaram" (Satya (Truth) is Shiva (God), and Shiva is Sundaram (Beautiful)). The fact that judgments of beauty and judgments of truth both are influenced by processing fluency, which is the ease with which information can be processed, has been presented as an explanation for why beauty is sometimes equated with truth. Recent research found that people use beauty as an indication for truth in mathematical pattern tasks. However, scientists including the mathematician David Orrell and physicist Marcelo Gleiser have argued that the emphasis on aesthetic criteria such as symmetry is equally capable of leading scientists astray. Computational approaches Computational approaches to aesthetics emerged amid efforts to use computer science methods "to predict, convey, and evoke emotional response to a piece of art. It this field, aesthetics is not considered to be dependent on taste but is a matter of cognition, and, consequently, learning. In 1928, the mathematician George David Birkhoff created an aesthetic measure M = O/C as the ratio of order to complexity. Since about 2005, computer scientists have attempted to develop automated methods to infer aesthetic quality of images. Typically, these approaches follow a machine learning approach, where large numbers of manually rated photographs are used to "teach" a computer about what visual properties are of relevance to aesthetic quality. A study by Y. Li and C.J. Hu employed Birkhoff's measurement in their statistical learning approach where order and complexity of an image determined aesthetic value. The image complexity was computed using information theory while the order was determined using fractal compression. There is also the case of the Acquine engine, developed at Penn State University, that rates natural photographs uploaded by users. There have also been relatively successful attempts with regard to chess and music. Computational approaches have also been attempted in film making as demonstrated by a software model developed by Chitra Dorai and a group of researchers at the IBM T.J. Watson Research Center. The tool predicted aesthetics based on the values of narrative elements. A relation between Max Bense's mathematical formulation of aesthetics in terms of "redundancy" and "complexity" and theories of musical anticipation was offered using the notion of Information Rate. Evolutionary aesthetics Evolutionary aesthetics refers to evolutionary psychology theories in which the basic aesthetic preferences of Homo sapiens are argued to have evolved in order to enhance survival and reproductive success. One example being that humans are argued to find beautiful and prefer landscapes which were good habitats in the ancestral environment. Another example is that body symmetry and proportion are important aspects of physical attractiveness which may be due to this indicating good health during body growth. Evolutionary explanations for aesthetical preferences are important parts of evolutionary musicology, Darwinian literary studies, and the study of the evolution of emotion. Applied aesthetics As well as being applied to art, aesthetics can also be applied to cultural objects, such as crosses or tools. For example, aesthetic coupling between art-objects and medical topics was made by speakers working for the US Information Agency. Art slides were linked to slides of pharmacological data, which improved attention and retention by simultaneous activation of intuitive right brain with rational left. It can also be used in topics as diverse as cartography, mathematics, gastronomy, fashion and website design. Criticism The philosophy of aesthetics as a practice has been criticized by some sociologists and writers of art and society. Raymond Williams, for example, argues that there is no unique and or individual aesthetic object which can be extrapolated from the art world, but rather that there is a continuum of cultural forms and experience of which ordinary speech and experiences may signal as art. By "art" we may frame several artistic "works" or "creations" as so though this reference remains within the institution or special event which creates it and this leaves some works or other possible "art" outside of the frame work, or other interpretations such as other phenomenon which may not be considered as "art". Pierre Bourdieu disagrees with Kant's idea of the "aesthetic". He argues that Kant's "aesthetic" merely represents an experience that is the product of an elevated class habitus and
30,000 men. The Ark was captured by the Philistines and Hophni and Phinehas were killed. The news of its capture was at once taken to Shiloh by a messenger "with his clothes rent, and with earth upon his head". The old priest, Eli, fell dead when he heard it; and his daughter-in-law, bearing a son at the time the news of the Ark's capture was received, named him Ichabod—explained as "The glory has departed Israel" in reference to the loss of the Ark. Ichabod's mother died at his birth. The Philistines took the Ark to several places in their country, and at each place misfortune befell them. At Ashdod it was placed in the temple of Dagon. The next morning Dagon was found prostrate, bowed down, before it; and on being restored to his place, he was on the following morning again found prostrate and broken. The people of Ashdod were smitten with tumors; a plague of rodents was sent over the land. This may have been the bubonic plague. The affliction of tumours was also visited upon the people of Gath and of Ekron, whither the Ark was successively removed. Return of the Ark to the Israelites After the Ark had been among them for seven months, the Philistines, on the advice of their diviners, returned it to the Israelites, accompanying its return with an offering consisting of golden images of the tumors and mice wherewith they had been afflicted. The Ark was set up in the field of Joshua the Beth-shemite, and the Beth-shemites offered sacrifices and burnt offerings. Out of curiosity the men of Beth-shemesh gazed at the Ark; and as a punishment, seventy of them (fifty thousand and seventy in some translations) were smitten by the Lord. The Bethshemites sent to Kirjath-jearim, or Baal-Judah, to have the Ark removed; and it was taken to the house of Abinadab, whose son Eleazar was sanctified to keep it. Kirjath-jearim remained the abode of the Ark for twenty years. Under Saul, the Ark was with the army before he first met the Philistines, but the king was too impatient to consult it before engaging in battle. In 1 Chronicles 13:3 it is stated that the people were not accustomed to consulting the Ark in the days of Saul. In the days of King David In the biblical narrative, at the beginning of his reign over the United Monarchy, King David removed the Ark from Kirjath-jearim amid great rejoicing. On the way to Zion, Uzzah, one of the drivers of the cart that carried the Ark, put out his hand to steady the Ark, and was struck dead by God for touching it. The place was subsequently named "Perez-Uzzah", literally "Outburst Against Uzzah", as a result. David, in fear, carried the Ark aside into the house of Obed-edom the Gittite, instead of carrying it on to Zion, and it stayed there for three months. On hearing that God had blessed Obed-edom because of the presence of the Ark in his house, David had the Ark brought to Zion by the Levites, while he himself, "girded with a linen ephod ... danced before the Lord with all his might" and in the sight of all the public gathered in Jerusalem, a performance which caused him to be scornfully rebuked by his first wife, Saul's daughter Michal. In Zion, David put the Ark in the tent he had prepared for it, offered sacrifices, distributed food, and blessed the people and his own household. David used the tent as a personal place of prayer. The Levites were appointed to minister before the Ark. David's plan of building a temple for the Ark was stopped on the advice of the prophet Nathan. The Ark was with the army during the siege of Rabbah; and when David fled from Jerusalem at the time of Absalom's conspiracy, the Ark was carried along with him until he ordered Zadok the priest to return it to Jerusalem. David gave his son Solomon the plans for building the Temple. He designated the weight of the gold and silver to be used in building and furnishing the inner sanctuary. According to the historian Flavius Josephus, 300 talents (about eight tons) of gold were dedicated by David for Solomon's use in the inner sanctuary. The Copper Scroll (actually made of bronze), found in a Dead Sea cave in 1952, lists 300 talents of gold as being hidden underground on the west side of a pool in the "valley of purity." In Solomon's Temple According to the Biblical narrative, when Abiathar was dismissed from the priesthood by King Solomon for having taken part in Adonijah's conspiracy against David, his life was spared because he had formerly borne the Ark. Solomon worshipped before the Ark after his dream in which God promised him wisdom. During the construction of Solomon's Temple, a special inner room, named Kodesh Hakodashim (Eng. Holy of Holies), was prepared to receive and house the Ark; and when the Temple was dedicated, the Ark—containing the original tablets of the Ten Commandments—was placed therein. When the priests emerged from the holy place after placing the Ark there, the Temple was filled with a cloud, "for the glory of the Lord had filled the house of the Lord". When Solomon married Pharaoh's daughter, he caused her to dwell in a house outside Zion, as Zion was consecrated because it contained the Ark. King Josiah also had the Ark returned to the Temple, from which it appears to have been removed by one of his predecessors (cf. 2 Chron. 33-34 and 2 Kings 21–23). In the days of King Hezekiah King Hezekiah is the last biblical figure mentioned as having seen the Ark. Hezekiah is also known for protecting Jerusalem against the Assyrian Empire by improving the city walls and diverting the waters of the Gihon Spring through a tunnel known today as Hezekiah's Tunnel, which channeled the water inside the city walls to the Pool of Siloam. In a noncanonical text known as the Treatise of the Vessels, Hezekiah is identified as one of the kings who had the Ark and the other treasures of Solomon's Temple hidden during a time of crisis. This text lists the following hiding places, which it says were recorded on a bronze tablet: (1) a spring named Kohel or Kahal with pure water in a valley with a stopped-up gate; (2) a spring named Kotel (or "wall" in Hebrew); (3) a spring named Zedekiah; (4) an unidentified cistern; (5) Mount Carmel; and (6) locations in Babylon. To many scholars, Hezekiah is also credited as having written all or some of the Book of Kohelet (Ecclesiastes in the Christian tradition), in particular the famously enigmatic epilogue. Notably, the epilogue appears to refer to the Ark story with references to almond blossoms (i.e., Aaron's rod), locusts, silver, and gold. The epilogue then cryptically refers to a pitcher broken at a fountain and a wheel broken at a cistern. Although scholars disagree on whether the Pool of Siloam's pure spring waters were used by pilgrims for ritual purification, many scholars agree that a stepped pilgrimage road between the pool and the Temple had been built in the first century CE. This roadway has been partially excavated, but the west side of the Pool of Siloam remains unexcavated. The Babylonian Conquest and aftermath In 587 BC, the Babylonians destroyed Jerusalem and Solomon's Temple. There is no record of what became of the Ark in the Books of Kings and Chronicles. An ancient Greek version of the biblical third Book of Ezra, 1 Esdras, suggests that Babylonians took away the vessels of the ark of God, but does not mention taking away the Ark: In Rabbinic literature, the final disposition of the Ark is disputed. Some rabbis hold that it must have been carried off to Babylon, while others hold that it must have been hidden lest it be carried off into Babylon and never brought back. A late 2nd-century rabbinic work known as the Tosefta states the opinions of these rabbis that Josiah, the king of Judah, stored away the Ark, along with the jar of manna, and a jar containing the holy anointing oil, the rod of Aaron which budded and a chest given to Israel by the Philistines. This was said to have been done in order to prevent their being carried off into Babylon as had already happened to the other vessels. Rabbi Eliezer and Rabbi Shimon, in the same rabbinic work, state that the Ark was, in fact, taken into Babylon. Rabbi Yehudah, dissenting, says that the Ark was stored away in its own place, meaning somewhere on the Temple Mount. Service of the Kohathites The Kohathites were one of the Levite houses from the Book of Numbers. Theirs was the responsibility to care for "the most holy things" in the tabernacle. When the camp, then wandering the Wilderness, set out the Kohathites would enter the tabernacle with Aaron and cover the ark with the screening curtain and "then they shall put on it a covering of fine leather, and spread over that a cloth all of blue, and shall put its poles in place." The ark was one of the items of the tent of meeting that the Kohathites were responsible for carrying. Archaeology Archaeological evidence shows strong cultic activity at Kiriath-Jearim in the 8th and 7th centuries BC, well after the ark was supposedly removed from there to Jerusalem. In particular, archaeologists found a large elevated podium, associated with the Northern Kingdom and not the Southern Kingdom, which may have been a shrine. Thomas Römer suggests that this may indicate that the ark was not moved to Jerusalem until much later, possibly during the reign of King Josiah. He notes that this might explain why the ark featured prominently in the history before Solomon, but not after. Additionally, 2 Chronicles 35:3 indicates that it was moved during King Josiah's reign. Some scholars believe the story of the Ark was written independently around the 8th century in a text referred to as the "Ark Narrative" and then incorporated into the main biblical narrative just before the Babylonian exile. Römer also suggests that the ark may have originally carried sacred stones "of the kind found in the chests of pre-Islamic Bedouins" and speculates that these may have been either a statue of Yahweh or a pair of statues depicting both Yahweh and his companion goddess Asherah. In contrast, Scott Noegel has argued that the parallels between the ark and these practices "remain unconvincing" in part because the Bedouin objects lack the ark's distinctive structure, function, and mode of transportation. Specifically, unlike the ark, the Bedouin chests "contained no box, no lid, and no poles," they did not serve as the throne or footstool of a god, they were not overlaid with gold, did not have kerubim figures upon them, there were no restrictions on who could touch them, and they were transported on horses or camels. Noegel suggests that the ancient Egyptian bark is a more plausible model for the Israelite ark, since Egyptian barks had all the features just mentioned. Noegel adds that the Egyptians also were known to place written covenants beneath the feet of statues, proving a further parallel to the placement of the covenental tablets inside the ark. References in Abrahamic religions Tanakh The Ark is first mentioned in the Book of Exodus and then numerous times in Deuteronomy, Joshua, Judges, I Samuel, II Samuel, I Kings, I Chronicles, II Chronicles, Psalms, and Jeremiah. In the Book of Jeremiah, it is referenced by Jeremiah, who, speaking in the days of Josiah, prophesied a future time, possibly the end of days, when the Ark will no longer be talked about or be made use of again: Rashi comments on this verse
smitten with tumors; a plague of rodents was sent over the land. This may have been the bubonic plague. The affliction of tumours was also visited upon the people of Gath and of Ekron, whither the Ark was successively removed. Return of the Ark to the Israelites After the Ark had been among them for seven months, the Philistines, on the advice of their diviners, returned it to the Israelites, accompanying its return with an offering consisting of golden images of the tumors and mice wherewith they had been afflicted. The Ark was set up in the field of Joshua the Beth-shemite, and the Beth-shemites offered sacrifices and burnt offerings. Out of curiosity the men of Beth-shemesh gazed at the Ark; and as a punishment, seventy of them (fifty thousand and seventy in some translations) were smitten by the Lord. The Bethshemites sent to Kirjath-jearim, or Baal-Judah, to have the Ark removed; and it was taken to the house of Abinadab, whose son Eleazar was sanctified to keep it. Kirjath-jearim remained the abode of the Ark for twenty years. Under Saul, the Ark was with the army before he first met the Philistines, but the king was too impatient to consult it before engaging in battle. In 1 Chronicles 13:3 it is stated that the people were not accustomed to consulting the Ark in the days of Saul. In the days of King David In the biblical narrative, at the beginning of his reign over the United Monarchy, King David removed the Ark from Kirjath-jearim amid great rejoicing. On the way to Zion, Uzzah, one of the drivers of the cart that carried the Ark, put out his hand to steady the Ark, and was struck dead by God for touching it. The place was subsequently named "Perez-Uzzah", literally "Outburst Against Uzzah", as a result. David, in fear, carried the Ark aside into the house of Obed-edom the Gittite, instead of carrying it on to Zion, and it stayed there for three months. On hearing that God had blessed Obed-edom because of the presence of the Ark in his house, David had the Ark brought to Zion by the Levites, while he himself, "girded with a linen ephod ... danced before the Lord with all his might" and in the sight of all the public gathered in Jerusalem, a performance which caused him to be scornfully rebuked by his first wife, Saul's daughter Michal. In Zion, David put the Ark in the tent he had prepared for it, offered sacrifices, distributed food, and blessed the people and his own household. David used the tent as a personal place of prayer. The Levites were appointed to minister before the Ark. David's plan of building a temple for the Ark was stopped on the advice of the prophet Nathan. The Ark was with the army during the siege of Rabbah; and when David fled from Jerusalem at the time of Absalom's conspiracy, the Ark was carried along with him until he ordered Zadok the priest to return it to Jerusalem. David gave his son Solomon the plans for building the Temple. He designated the weight of the gold and silver to be used in building and furnishing the inner sanctuary. According to the historian Flavius Josephus, 300 talents (about eight tons) of gold were dedicated by David for Solomon's use in the inner sanctuary. The Copper Scroll (actually made of bronze), found in a Dead Sea cave in 1952, lists 300 talents of gold as being hidden underground on the west side of a pool in the "valley of purity." In Solomon's Temple According to the Biblical narrative, when Abiathar was dismissed from the priesthood by King Solomon for having taken part in Adonijah's conspiracy against David, his life was spared because he had formerly borne the Ark. Solomon worshipped before the Ark after his dream in which God promised him wisdom. During the construction of Solomon's Temple, a special inner room, named Kodesh Hakodashim (Eng. Holy of Holies), was prepared to receive and house the Ark; and when the Temple was dedicated, the Ark—containing the original tablets of the Ten Commandments—was placed therein. When the priests emerged from the holy place after placing the Ark there, the Temple was filled with a cloud, "for the glory of the Lord had filled the house of the Lord". When Solomon married Pharaoh's daughter, he caused her to dwell in a house outside Zion, as Zion was consecrated because it contained the Ark. King Josiah also had the Ark returned to the Temple, from which it appears to have been removed by one of his predecessors (cf. 2 Chron. 33-34 and 2 Kings 21–23). In the days of King Hezekiah King Hezekiah is the last biblical figure mentioned as having seen the Ark. Hezekiah is also known for protecting Jerusalem against the Assyrian Empire by improving the city walls and diverting the waters of the Gihon Spring through a tunnel known today as Hezekiah's Tunnel, which channeled the water inside the city walls to the Pool of Siloam. In a noncanonical text known as the Treatise of the Vessels, Hezekiah is identified as one of the kings who had the Ark and the other treasures of Solomon's Temple hidden during a time of crisis. This text lists the following hiding places, which it says were recorded on a bronze tablet: (1) a spring named Kohel or Kahal with pure water in a valley with a stopped-up gate; (2) a spring named Kotel (or "wall" in Hebrew); (3) a spring named Zedekiah; (4) an unidentified cistern; (5) Mount Carmel; and (6) locations in Babylon. To many scholars, Hezekiah is also credited as having written all or some of the Book of Kohelet (Ecclesiastes in the Christian tradition), in particular the famously enigmatic epilogue. Notably, the epilogue appears to refer to the Ark story with references to almond blossoms (i.e., Aaron's rod), locusts, silver, and gold. The epilogue then cryptically refers to a pitcher broken at a fountain and a wheel broken at a cistern. Although scholars disagree on whether the Pool of Siloam's pure spring waters were used by pilgrims for ritual purification, many scholars agree that a stepped pilgrimage road between the pool and the Temple had been built in the first century CE. This roadway has been partially excavated, but the west side of the Pool of Siloam remains unexcavated. The Babylonian Conquest and aftermath In 587 BC, the Babylonians destroyed Jerusalem and Solomon's Temple. There is no record of what became of the Ark in the Books of Kings and Chronicles. An ancient Greek version of the biblical third Book of Ezra, 1 Esdras, suggests that Babylonians took away the vessels of the ark of God, but does not mention taking away the Ark: In Rabbinic literature, the final disposition of the Ark is disputed. Some rabbis hold that it must have been carried off to Babylon, while others hold that it must have been hidden lest it be carried off into Babylon and never brought back. A late 2nd-century rabbinic work known as the Tosefta states the opinions of these rabbis that Josiah, the king of Judah, stored away the Ark, along with the jar of manna, and a jar containing the holy anointing oil, the rod of Aaron which budded and a chest given to Israel by the Philistines. This was said to have been done in order to prevent their being carried off into Babylon as had already happened to the other vessels. Rabbi Eliezer and Rabbi Shimon, in the same rabbinic work, state that the Ark was, in fact, taken into Babylon. Rabbi Yehudah, dissenting, says that the Ark was stored away in its own place, meaning somewhere on the Temple Mount. Service of the Kohathites The Kohathites were one of the Levite houses from the Book of Numbers. Theirs was the responsibility to care for "the most holy things" in the tabernacle. When the camp, then wandering the Wilderness, set out the Kohathites would enter the tabernacle with Aaron and cover the ark with the screening curtain and "then they shall put on it a covering of fine leather, and spread over that a cloth all of blue, and shall put its poles in place." The ark was one of the items of the tent of meeting that the Kohathites were responsible for carrying. Archaeology Archaeological evidence shows strong cultic activity at Kiriath-Jearim in the 8th and 7th centuries BC, well after the ark was supposedly removed from there to Jerusalem. In particular, archaeologists found a large elevated podium, associated with the Northern Kingdom and not the Southern Kingdom, which may have been a shrine. Thomas Römer suggests that this may indicate that the ark was not moved to Jerusalem until much later, possibly during the reign of King Josiah. He notes that this might explain why the ark featured prominently in the history before Solomon, but not after. Additionally, 2 Chronicles 35:3 indicates that it was moved during King Josiah's reign. Some scholars believe the story of the Ark was written independently around the 8th century in a text referred to as the "Ark Narrative" and then incorporated into the main biblical narrative just before the Babylonian exile. Römer also suggests that the ark may have originally carried sacred stones "of the kind found in the chests of pre-Islamic Bedouins" and speculates that these may have been either a statue of Yahweh or a pair of statues depicting both Yahweh and his companion goddess Asherah. In contrast, Scott Noegel has argued that the parallels between the ark and these practices "remain unconvincing" in part because the Bedouin objects lack the ark's distinctive structure, function, and mode of transportation. Specifically, unlike the ark, the Bedouin chests "contained no box, no lid, and no poles," they did not serve as the throne or footstool of a god, they were not overlaid with gold, did not have kerubim figures upon them, there were no restrictions on who could touch them, and they were transported on horses or camels. Noegel suggests that the ancient Egyptian bark is a more plausible model for the Israelite ark, since Egyptian barks had all the features just mentioned. Noegel adds that the Egyptians also were known to place written covenants beneath the feet of statues, proving a further parallel to the placement of the covenental tablets inside the ark. References in Abrahamic religions Tanakh The Ark is first mentioned in the Book of Exodus and then numerous times in Deuteronomy, Joshua, Judges, I Samuel, II Samuel, I Kings, I Chronicles, II Chronicles, Psalms, and Jeremiah. In the Book of Jeremiah, it is referenced by Jeremiah, who, speaking in the days of Josiah, prophesied a future time, possibly the end of days, when the Ark will no longer be talked about or be made use of again: Rashi
precise indication of their geographical situation but states that, together with the six other tribes, they worshipped Nerthus, or Mother Earth, whose sanctuary was located on "an island in the Ocean". The Eudoses are the Jutes; these names probably refer to localities in Jutland or on the Baltic coast. The coast contains sufficient estuaries, inlets, rivers, islands, swamps, and marshes to have been then inaccessible to those not familiar with the terrain, such as the Romans, who considered it unknown, inaccessible, with a small population and of little economic interest. The majority of scholars believe that the Anglii lived on the coasts of the Baltic Sea, probably in the southern part of the Jutland peninsula. This view is based partly on Old English and Danish traditions regarding persons and events of the fourth century, and partly because striking affinities to the cult of Nerthus as described by Tacitus are to be found in pre-Christian Scandinavian religion. Ptolemy Ptolemy, writing in around 150 AD, in his atlas Geography (2.10), describes them in a confusing manner. In one passage, the Sueboi Angeilloi (in Greek equivalent to Latin spelling Suevi Angili), are living in a stretch of land between the northern Rhine and central Elbe, but apparently not touching either river, with the Suebic Langobardi on the Rhine to their west, and the Suebic Semnones on the Elbe stretching to their east. This is unexpected. However, as pointed out by Gudmund Schütte, the Langobards also appear as the "Laccobardi" in another position near the Elbe and the Saxons, which is considered more likely to be correct, and the Angles probably lived in that region also. Owing to the uncertainty of this passage, much speculation existed regarding the original home of the Anglii. One theory is that they or part of them dwelt or moved among other coastal people, perhaps confederated up to the basin of the Saale (in the neighbourhood of the ancient canton of Engilin) on the Unstrut valleys below the Kyffhäuserkreis, from which region the Lex Anglorum et Werinorum hoc est Thuringorum is believed by many to have come. The ethnic names of Frisians and Warines are also attested in these Saxon districts. A second possible solution is that these Angles of Ptolemy are not those of Schleswig at all. According to Julius Pokorny, the Angri- in Angrivarii, the -angr in Hardanger and the Angl- in Anglii all come from the same root meaning "bend", but in different senses. In other words, the similarity of the names is strictly coincidental and does not reflect any ethnic unity beyond Germanic. Gudmund Schütte, in his analysis of Ptolemy, believes that the Angles have simply been moved by an error coming from Ptolemy's use of imperfect sources. He points out that Angles are placed correctly just to the northeast of the Langobardi, but that these have been duplicated, so that they appear once, correctly, on the lower Elbe, and a second time, incorrectly, at the northern Rhine. Medieval historiography Bede states that the Anglii, before coming to Great Britain, dwelt in a land called Angulus, "which lies between the province of the Jutes and the Saxons, and remains unpopulated to this day." Similar evidence is given by the Historia Brittonum. King Alfred the Great and the chronicler Æthelweard identified this place with Anglia, in the province of Schleswig (Slesvig) (though it may then have been of greater extent), and this identification agrees with the indications given by Bede. In the Norwegian seafarer Ohthere of Hålogaland's account of a two-day voyage from the Oslo fjord to Schleswig, he reported the lands on his starboard bow, and Alfred appended the note "on these islands dwelt the Engle before they came hither". Confirmation is afforded by English and Danish traditions relating to two kings named Wermund and Offa of Angel, from whom the Mercian royal family claimed descent and whose exploits are connected with Anglia, Schleswig, and Rendsburg. Danish tradition has preserved record of two governors of Schleswig, father and son, in their service, Frowinus (Freawine) and Wigo (Wig), from whom the royal family of Wessex claimed descent. During the fifth century, the Anglii invaded Great Britain, after which time their name does not recur on the continent except in the title of the legal code issued to the Thuringians: Lex Anglorum et Werinorum hoc est Thuringorum. The Angles are the subject of a legend about Pope Gregory I, who happened to see a group of Angle children from Deira for sale as slaves in the Roman market. As the story was told by Bede, Gregory was struck by the unusual appearance of the slaves and asked about their background. When told they were called Anglii (Angles), he replied with a Latin pun that translates well into English: "Bene, nam et angelicam habent faciem, et tales angelorum in caelis decet esse coheredes" [It is well, for they have an angelic face, and such people
Angles may have been called such because they were a fishing people or were originally descended from such. During the fifth century, all Germanic tribes who invaded Britain were referred to as either Englisc, Ængle or Engle, who were all speakers of Old English (which was known as Englisc, Ænglisc, or Anglisc). Englisc and its descendant, English, also goes back to Proto-Indo-European *h₂enǵʰ-, meaning narrow. Pope Gregory I, in an epistle, simplified the Latinised name Anglii to Angli, the latter form developing into the preferred form of the word. The country remained Anglia in Latin. Alfred the Great's translation of Orosius's history of the world uses Angelcynn (-kin) to describe the English people; Bede uses Angelfolc (-folk); also such forms as Engel, Englan (the people), Englaland, and Englisc occur, all showing i-mutation. Greco-Roman historiography Tacitus The earliest known mention of the Angles may be in chapter 40 of Tacitus's Germania written around AD 98. Tacitus describes the "Anglii" as one of the more remote Suebic tribes compared to the Semnones and Langobardi, who lived on the Elbe and were better known to the Romans. He grouped the Angles with several other tribes in that region, the Reudigni, Aviones, Varini, Eudoses, Suarines, and Nuithones. These were all living behind ramparts of rivers and woods, and therefore inaccessible to attack. He gives no precise indication of their geographical situation but states that, together with the six other tribes, they worshipped Nerthus, or Mother Earth, whose sanctuary was located on "an island in the Ocean". The Eudoses are the Jutes; these names probably refer to localities in Jutland or on the Baltic coast. The coast contains sufficient estuaries, inlets, rivers, islands, swamps, and marshes to have been then inaccessible to those not familiar with the terrain, such as the Romans, who considered it unknown, inaccessible, with a small population and of little economic interest. The majority of scholars believe that the Anglii lived on the coasts of the Baltic Sea, probably in the southern part of the Jutland peninsula. This view is based partly on Old English and Danish traditions regarding persons and events of the fourth century, and partly because striking affinities to the cult of Nerthus as described by Tacitus are to be found in pre-Christian Scandinavian religion. Ptolemy Ptolemy, writing in around 150 AD, in his atlas Geography (2.10), describes them in a confusing manner. In one passage, the Sueboi Angeilloi (in Greek equivalent to Latin spelling Suevi Angili), are living in a stretch of land between the northern Rhine and central Elbe, but apparently not touching either river, with the Suebic Langobardi on the Rhine to their west, and the Suebic Semnones on the Elbe stretching to their east. This is unexpected. However, as pointed out by Gudmund Schütte, the Langobards also appear as the "Laccobardi" in another position near the Elbe and the Saxons, which is considered more likely to be correct, and the Angles probably lived in that region also. Owing to the uncertainty of this passage, much speculation existed regarding the original home of the Anglii. One theory is that they or part of them dwelt or moved among other coastal people, perhaps confederated up to the basin of the Saale (in the neighbourhood of the ancient canton of Engilin) on the Unstrut valleys below the Kyffhäuserkreis, from which region the Lex
TRS-80 clone), the Luxor ABC 80 and the Apple II. They also sold the exotic Olivetti M20, a very early 16-bit personal computer that was one of the very few systems to use a Z8000 CPU. After designing their own fully functional replacement for the TRS-80 expansion interface (which was never commercialized) the company realized that they could do better than just re-designing the expansion interface. They observed that the TRS-80 was a great computer but it lacked in several areas. The display logic and resulting display 'snow' was irritating, as was the missing lower case support, the CPU speed could be improved, the quality and layout of the keyboard was bothersome, and the floppy disk capacity and reliability was low. Also the more interesting software offered for CP/M systems could not run well on a TRS-80. So they decided to design a TRS-80 and CP/M software-compatible computer system, which (following the lead of Apple Computer) they decided to name after a "typical Dutch flower". So they called it the Aster CT-80 (CP/M/Tandy-1980). Why they went with Aster, and not the more well known Tulip is unknown, perhaps they thought it would be to presumptuous, or perhaps the fact that "Aster" is also a Dutch girls' name has something to do with it. Remarkably "Aster" was also the name given to a Dutch Supercomputer much later, in 2002. The first version of the Aster consisted of four "Eurocard's", one Z80 CPU card with 64 KB memory, one Motorola MC6845-based video card, one double density floppy disk controller card and one "keyboard/RS232/cassette interface" card. Plus a "backplane card", (which connected all the other cards) and a keyboard. And was intended for hobbyists, to be sold as a kit consisting of the parts and the PCB's for the computer and attached keyboard. After selling a few kits, MCP became convinced there was a much bigger market for an improved model sold as a completed working system. However the original kit version lacked many features that prevented its use as a serious computer system. Because the original designer had left the company another employee completely redesigned most of the system, (adding a display snow remover circuit, true 80/64 column text mode support, (with different size letters for TRS-80 and CP/M mode, so that in TRS-80 mode the full screen was also used, not just a 64×16 portion of the 80×25 screen) with an improved font set (adding "gray scale" version of the TRS-80 mozaik graphics and many special PETSCII like characters), and a more flexible and reliable floppy disk controller and keyboard interface plus many other small improvements), also an enclosure was developed for the main computer system, (in the form of a 19-inch rack for the Eurocards) and for two floppy disk drives and the power supply. A software engineer was hired to write the special "dual boot mode" BIOS and the special CP/M BIOS. The "dual boot mode" BIOS actually discovered whether a TRS-DOS, or Aster CP/M disk was placed in the drive, and would, depending on the type of disk, reorganise the internal memory architecture of the system, to either be 100% TRS-80 compatible or optimally support CP/M, with as much "workspace" as possible, and the 80×25 video mode. It also was responsible for switching to ROM BASIC when the system was turned on with the break key pressed, and later supported a primitive LAN system, using the RS232 port with modified cabling. The very first of the ready made computers were sold with the "kit" versions of the euro cards, the version with redesigned cards came a month or so later. Soon the little shop became much too small and they moved to a much larger factory building nearby (formerly a window glass factory), and started mass-producing the Aster for a period of a few years, in which time its staff grew twentyfold. After the Aster having been a few years on the Market Tandy released its own improved model, the TRS-80 Model III computer which solved many of the same problems that the Aster also had solved, but the model 3 still did not fully support CP/M as the Aster did. In the meantime IBM had released its original IBM PC, which incidentally looked remarkably like the Asters base with floppy drives + separate keyboard set-up. The Aster was chosen for Dutch schools by the Dutch ministry of education, in a set-up with eight disk-less Asters, and one Aster with high-capacity floppy drives all connected by a LAN based on the Aster's high-speed serial port hardware, and special cables that permitted that any single computer on the LAN could broadcast to all other computers. The floppy based system was operated by the teacher who could send programs from his floppy disk, and data, to the student's disk-less systems thanks to the special BIOS in those systems. The students could send programs and data back to the teacher through the same LAN, or could save to a cassette recorder built into the disk-less units. Through a special "video-switch" the teacher was also able to see a copy of each student's display on his own screen. About a thousand of such systems were sold for many hundreds of Dutch schools. Because of cash flow problems (resulting from growing too fast, insufficient financial backing, technical problems, and a sudden problem with Z80 processor deliveries) the company suddenly folded even before it came to full fruition. Perhaps the Aster computer inspired another Dutch computer firm to name their computer after another typical Dutch flower—the Tulip's Tulip System-1 which appeared about the same time Aster folded. Most of the engineers who designed the hardware and software of the Aster went on to design hardware and software for the (then new) MSX system for a company called "Micro Technology b.v.". Unreleased add ons To enhance and modernize the Aster CT-80 the company also designed three alternative video display adapters to supplement or replace the TRS-80 compatible video card, (due to the modular nature of the Aster it was simply a matter of changing the video card, and/or CPU card to upgrade the system). A very High resolution monochrome video card with blitter and hardware text line and arc drawing capability, was designed for CAD applications, based on the NEC μPD7220 chip designed for graphic terminals, but was also used by some personal computers like the DEC Rainbow, and notably also for the Tulip System I. A colour video card with sprite capability based on the same video chip (the TMS9918) as the TI-99/4 and MSX computers, designed for gaming, and more creative and colorful educational software. A working prototype of this card was finished. A replacement card for the original TRS-80 compatible video card, software compatible to the original one, but with added color and very high resolution capabilities. was also on the drawing board. Based on a newer, slightly more flexible, version of the Asters original Motorola MC6845 video chip, the Rockwell 6545, it worked by adding a new video mode, one with the ability to reprogram an extended, (2048 characters instead of 256 characters) version of the character set, supported by an extended character memory of the video card that did not use one (8 bit) byte per character, but an 11 bit "word", so it could address each one of the available 2048 unique programmable characters. This meant it could provide a separate programmable character for all of the 1024 (64x16) or 2000 (80x25) characters on the screen. By filling the character pointer memory with values from zero to 1999 this essentially turned the text mode display into a very high resolution graphics mode, with the "font memory", acting as the high resolution Raster graphics video memory. Because the characters were 8 x 12 pixels this meant that video
Area, (TPA) and a full 80×25 display, and it could be used as a Videotext terminal. Although the Aster was a clone of the TRS-80 Model I it was in fact more compatible with the TRS-80 Model III, and ran all the software of these systems including games. It also had a built in speaker which was compatible with such games software. Models Three models were sold. The first model (launched June 1982) looked like the IBM PC, a rectangular base unit with two floppy drives on the front, and a monitor on top with a separate detachable keyboard. The second incarnation was a much smaller unit the width of two 5" floppy drives stacked on top of each other, and the third incarnation looked like a flattened Apple with a built-in keyboard. All units ran much faster than the original TRS-80, at 4 MHz, (with a software selectable throttle to the original speed for compatibility purposes) and the display supported upper and lower case, hardware snow suppression (video ram bus arbitration logic), and an improved character font set. The floppy disk interface supported dual density, and disk capacities up to 800 KB, more than four times the capacity of the original TRS-80. A special version of NewDos/80, (an improved TRS-DOS compatible Disk operating system) was used to support these disk capacities when using the TRS-80 compatibility mode. For the educational market a version of the first model was produced with a new plastic enclosure (the First Asters had an all-metal enclosure) that also had an opening on the top in which a cassette recorder could be placed. This model was used in a cluster with one Aster (with disk drives) for the teacher, and eight disk less versions for the pupils. The pupils could download software from the teachers computer through a network based on a fast serial connection, as well as sending back their work to the teachers computer. There was also hardware in place through which the teacher could see the display of each pupils screen on his own monitor. Working modes The Aster used 64KB of RAM memory and had the unique feature of supporting two fundamentally different internal architectures: when turned on without a boot floppy or with a TRS-DOS floppy, the Aster would be fully TRS-80 compatible, with 48KB or RAM. When the boot loader detected a CP/M floppy, the Aster would reconfigure its internal memory architecture on the fly to optimally support CP/M with 60 KB free RAM for programs (TPA) and an 80 x 25 display. This dual-architecture capability only existed on one other TRS-80 clone, the LOBO Max-80. With a special configuration tool, the CT-80 could reconfigure its floppy drivers to read and write the floppies of about 80 other CP/M systems. A third mode was entered with a special boot floppy which turned the Aster into a Videotex terminal with a 40x25 display and a Videotex character set, The software used the built in RS232 interface of the Aster to control a modem through which it could contact a Prestel service provider. Sales Most Aster CT-80's (about 10 thousand of them) were sold to schools for computer education, in a project first known as the "honderd scholen project" (one hundred schools project), but which later involved many more than just one hundred schools. MCP received this order from the Dutch government because their computer met all the technical and other demands, including the demand that the computers should be of Dutch origin and should be built in the Netherlands. Another important demand was that the computers could be used in a network (Aster developed special software and hardware for that). Later however the Government turned around and gave 50% of the order to Philips and their P2000 homecomputer even though the P2000 did not meet all the technical demands, was made in Austria and did not have network hardware nor software. Company Aster computers was based in the small town of Arkel near the town of Gorinchem. Initially Aster computer b.v. was called MCP (Music print Computer Product), because it was specialized in producing computer assisted printing of sheet music. The director of the company was interested in Microprocessor technology and noticed there was a market for selling kits to computer building amateurs, so they started selling electronic kits to hobbyists, and employed four persons at that time . They also assembled kits for people without soldering skills, especially the "junior Computer" from Elektor (a copy of the KIM-1), and the ZX80 from Sinclair. Among the kits sold there were also alternative floppy disk drives for TRS-80 computers. But these needed the infamous TRS-80 expansion interface, which was very expensive, and had a very unreliable floppy disk controller because it used the WD1771 floppy disc controller chip without an external "data separator". To fix this problem MCP developed a small plugin board which could be plugged into the socket for the WD1771, and which contained a data separator, and a socket for the WD1791 to support dual-density operation. Still, the expansion interface was expensive and due to its design it was also unreliable. So they decided to also develop their own alternative in the form of an improved floppy disk controller and printer interface that could be built right into a floppy disk enclosure. The lack of RAM expansion offered by this solution was solved by a service in which the 16 KB RAM chips inside the base unit would be replaced by 64 KB RAM chips. While this went on MCP renamed itself to MCP CHIP but ran into problems with the German computer magazine CHIP, and had to return to its former name. At that time MCP did also sell imported home computers like the TRS-80, the Video Genie, (another TRS-80 clone), the Luxor ABC 80 and the Apple II. They also sold the exotic Olivetti M20, a very early 16-bit personal computer that was one of the very few systems to use a Z8000 CPU. After designing their own fully functional replacement for the TRS-80 expansion interface (which was never commercialized) the company realized that they could do better than just re-designing the expansion interface. They observed that the TRS-80 was a great computer but it lacked in several areas. The display logic and resulting display 'snow' was irritating, as was the missing lower case support, the CPU speed could be improved, the quality and layout of the keyboard was bothersome, and the floppy disk capacity and reliability was low. Also the more interesting software offered for CP/M systems could not run well on a TRS-80. So they decided to design a TRS-80 and CP/M software-compatible computer system, which (following the lead of Apple Computer) they decided to name after a "typical Dutch flower". So they called it the Aster CT-80 (CP/M/Tandy-1980). Why they went with Aster, and not the more well known Tulip is unknown, perhaps they thought it would be to presumptuous, or perhaps the fact that "Aster" is also a Dutch girls' name has something to do with it. Remarkably "Aster" was also the name given to a Dutch Supercomputer much later, in 2002. The first version of the Aster consisted of four "Eurocard's", one Z80 CPU card with 64 KB memory, one Motorola MC6845-based video card, one double density floppy disk controller card and one "keyboard/RS232/cassette interface" card. Plus a "backplane card", (which connected all the other cards) and a keyboard. And was intended for hobbyists, to be sold as a kit consisting of the parts and the PCB's for the computer and attached keyboard. After selling a few kits, MCP became convinced there was a much bigger market for an improved model sold as a completed working system. However the original kit version lacked many features that prevented its use as a serious computer system. Because the original designer had left the company another employee completely redesigned most of the system, (adding a display snow remover circuit, true 80/64 column text mode support, (with different size letters for TRS-80 and CP/M mode, so that in TRS-80 mode the full screen was also used, not just a 64×16 portion of the 80×25 screen) with an improved font set (adding "gray scale" version of the TRS-80 mozaik graphics and many special PETSCII like characters), and a more flexible and reliable floppy disk controller and keyboard interface plus many other small improvements), also an enclosure was developed for the main computer system, (in the form of
minister Arthur Wellesley, 2nd Duke of Wellington (1807–1884), British soldier and nobleman Arthur Wellesley, 4th Duke of Wellington (1849–1934), British soldier and nobleman Arthur Wellesley, 5th Duke of Wellington (1876–1941), British soldier
and nobleman Arthur Wellesley, 5th Duke of Wellington (1876–1941), British soldier and nobleman Arthur Wellesley, Marquess of Douro (born 1978), grandson of the 8th Duke Arthur Wellesley Hughes (1870–1950), also known as Arthur Wellesley, Canadian musician and composer Arthur
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Milwaukee career high for him, but this did not translate into wins for the Braves, as they finished fifth. The next season, Aaron again hit 44 home runs and notched 130 RBI, and 42-year-old Warren Spahn was once again the ace of the staff, going 23–7. However, none of the other Braves produced at that level, and the team finished in the "second division", for the first time in its short history in Milwaukee. The Braves were mediocre as the 1960s began, with an inflated win total fed by the expansion New York Mets and Houston Colt .45s. To this day, the Milwaukee Braves are the only major league team that played more than one season and never had a losing record. Perini sold the Braves to a Chicago-based group led by William Bartholomay in 1962. Almost immediately Bartholomay started shopping the Braves to a larger television market. Keen to attract them, the fast-growing city of Atlanta, led by Mayor Ivan Allen Jr. constructed a new $18 million, 52,000-seat ballpark in less than one year, Atlanta Stadium, which was officially opened in 1965 in hopes of luring an existing major league baseball and/or NFL/AFL team. After the city failed to lure the Kansas City A's to Atlanta (the A's ultimately moved to Oakland in 1968), the Braves announced their intention to move to Atlanta for the 1965 season. However, an injunction filed in Wisconsin kept the Braves in Milwaukee for one final year. In 1966, the Braves completed the move to Atlanta. Eddie Mathews is the only Braves player to have played for the organization in all three cities that they have been based in. Mathews played with the Braves for their last season in Boston, the team's entire tenure in Milwaukee, and their first season in Atlanta. Atlanta (1966–present) 1966–1974 The Braves were a .500 team in their first few years in Atlanta; 85–77 in 1966, 77–85 in 1967, and 81–81 in 1968. The 1967 season was the Braves' first losing season since 1952, their last year in Boston. In 1969, with the onset of divisional play, the Braves won the first-ever National League West Division title, before being swept by the "Miracle Mets" in the National League Championship Series. They would not be a factor during the next decade, posting only two winning seasons between 1970 and 1981 – in some cases, fielding teams as bad as the worst Boston teams. In the meantime, fans had to be satisfied with the achievements of Hank Aaron. In the relatively hitter-friendly confines and higher-than-average altitude of Atlanta Stadium ("The Launching Pad"), he actually increased his offensive production. Atlanta also produced batting champions in Rico Carty (in 1970) and Ralph Garr (in 1974). In the shadow of Aaron's historical home run pursuit, was the fact that three Atlanta sluggers hit 40 or more home runs in 1973 – Darrell Evans and Davey Johnson along with Aaron. By the end of the 1973 season, Aaron had hit 713 home runs, one short of Ruth's record. Throughout the winter he received racially motivated death threats, but stood up well under the pressure. On April 4, opening day of the next season, he hit No.714 in Cincinnati, and on April 8, in front of his home fans and a national television audience, he finally beat Ruth's mark with a home run to left-center field off left-hander Al Downing of the Los Angeles Dodgers. Aaron spent most of his career as a Milwaukee and Atlanta Brave before being traded to the Milwaukee Brewers on November 2, 1974. 1976–1977: Ted Turner buys the team In 1976, the team was purchased by media magnate Ted Turner, owner of superstation WTBS, as a means to keep the team (and one of his main programming staples) in Atlanta. The financially strapped Turner used money already paid to the team for their broadcast rights as a down-payment. It was then that Atlanta Stadium was renamed Atlanta–Fulton County Stadium. Turner quickly gained a reputation as a quirky, hands-on baseball owner. On May 11, 1977, Turner appointed himself manager, but because MLB passed a rule in the 1950s barring managers from holding a financial stake in their teams, Turner was ordered to relinquish that position after one game (the Braves lost 2–1 to the Pittsburgh Pirates to bring their losing streak to 17 games). Turner used the Braves as a major programming draw for his fledgling cable network, making the Braves the first franchise to have a nationwide audience and fan base. WTBS marketed the team as "The Atlanta Braves: America's Team", a nickname that still sticks in some areas of the country, especially the South. Among other things, in 1976 Turner suggested the nickname "Channel" for pitcher Andy Messersmith and jersey number 17, in order to promote the television station that aired Braves games. Major League Baseball quickly nixed the idea. 1978–1990 After three straight losing seasons, Bobby Cox was hired for his first stint as manager for the 1978 season. He promoted 22-year-old slugger Dale Murphy into the starting lineup. Murphy hit 77 home runs over the next three seasons, but he struggled on defense, unable to adeptly play either catcher or first base. In 1980, Murphy was moved to center field and demonstrated excellent range and throwing ability, while the Braves earned their first winning season since 1974. Cox was fired after the 1981 season and replaced with Joe Torre, under whose leadership the Braves attained their first divisional title since 1969. Strong performances from Bob Horner, Chris Chambliss, pitcher Phil Niekro, and short relief pitcher Gene Garber helped the Braves, but no Brave was more acclaimed than Murphy, who won both a Most Valuable Player and a Gold Glove award. Murphy also won an MVP award the following season, but the Braves began a period of decline that defined the team throughout the 1980s. Murphy, excelling in defense, hitting, and running, was consistently recognized as one of the league's best players, but the Braves averaged only 65 wins per season between 1985 and 1990. Their lowest point came in 1988, when they lost 106 games. The 1986 season saw the return of Bobby Cox as general manager. Also in 1986, the team stopped using their Indian-themed mascot, Chief Noc-A-Homa. 1991–2005: Division dominance 1991–1994 Cox returned to the dugout as manager in the middle of the 1990 season, replacing Russ Nixon. The Braves finished the year with the worst record in baseball, at 65–97. They traded Dale Murphy to the Philadelphia Phillies after it was clear he was becoming a less dominant player. Pitching coach Leo Mazzone began developing young pitchers Tom Glavine, Steve Avery, and John Smoltz into future stars. That same year, the Braves used the number one overall pick in the 1990 MLB draft to select Chipper Jones, who became one of the best hitters in team history. Perhaps the Braves' most important move was not on the field, but in the front office. Immediately after the season, John Schuerholz was hired away from the Kansas City Royals as general manager. The following season, Glavine, Avery, and Smoltz would be recognized as the best young pitchers in the league, winning 52 games among them. Meanwhile, behind position players David Justice, Ron Gant and unexpected league Most Valuable Player and batting champion Terry Pendleton, the Braves overcame a 39–40 start, winning 55 of their final 83 games over the last three months of the season and edging the Los Angeles Dodgers by one game in one of baseball's more memorable playoff races. The "Worst to First" Braves, who had not won a divisional title since 1982, captivated the city of Atlanta (and the entire southeast) during their improbable run to the flag. They defeated the Pittsburgh Pirates in a very tightly contested seven-game NLCS only to lose the World Series, also in seven games, to the Minnesota Twins. The series, considered by many to be one of the greatest ever, was the first time a team that had finished last in its division one year went to the World Series the next; both the Twins and Braves accomplished the feat. Despite the 1991 World Series loss, the Braves' success would continue. In 1992, the Braves returned to the NLCS and once again defeated the Pirates in seven games, culminating in a dramatic game seven win. Francisco Cabrera's two-out single that scored David Justice and Sid Bream capped a three-run rally in the bottom of the ninth inning that gave the Braves a 3–2 victory. It was the first time in post-season history that the tying and winning runs had scored on a single play in the ninth inning. The Braves lost the World Series to the Toronto Blue Jays, however. In 1993, the Braves signed Cy Young Award winning pitcher Greg Maddux from the Chicago Cubs, leading many baseball insiders to declare the team's pitching staff the best in baseball. The 1993 team posted a franchise-best 104 wins after a dramatic pennant race with the San Francisco Giants, who won 103 games. The Braves needed a stunning 55–19 finish to edge out the Giants, who led the Braves by nine games in the standings as late as August 11. However, the Braves fell in the NLCS to the Philadelphia Phillies in six games. In 1994, in a realignment of the National League's divisions following the 1993 expansion, the Braves moved to the Eastern Division. This realignment was the main cause of the team's heated rivalry with the New York Mets during the mid-to-late 1990s. The player's strike cut short the 1994 season, prior to the division championships, with the Braves six games behind the Montreal Expos with 48 games left to play. 1995–2005 The Braves returned strong the following strike-shortened (144 games instead of the customary 162) year and beat the Cleveland Indians in the 1995 World Series. This squelched claims by many Braves critics that they were the "Buffalo Bills of Baseball" (January 1996 issue of Beckett Baseball Card Monthly). With this World Series victory, the Braves became the first team in Major League Baseball to win world championships in three different cities. With their strong pitching as a constant, the Braves appeared in the and 1999 World Series (losing both to the New York Yankees, managed by Joe Torre, a former Braves manager), and had a streak of division titles from 1991 to 2005 (three in the Western Division and eleven in the Eastern) interrupted only in 1994 when the strike ended the season early. Pitching was not the only constant in the Braves organization —Cox was the Braves' manager, while Schuerholz remained the team's GM until after the 2007 season when he was promoted to team president. Terry Pendleton finished his playing career elsewhere but returned to the Braves system as the hitting coach. In October 1996, Time Warner acquired Ted Turner's Turner Broadcasting System and all of its assets, including its cable channels and the Atlanta Braves. Over the next few years, Ted Turner's presence as the owner of the team would diminish. A 95–67 record in produced a ninth consecutive division title. However, a sweep by the St. Louis Cardinals in the National League Division Series prevented the Braves from reaching the NL Championship Series. In 2001, Atlanta won the National League East division yet again, swept the Houston Astros in the NLDS, then lost to the Arizona Diamondbacks in the National League Championship Series four games to one. One memorable game the Braves played that year came on September 21, when they played rival New York Mets in the first major professional sporting event held in New York City since 9/11. In 2002, 2003, and 2004, the Braves won the Eastern division again, but lost in the NLDS in all three years in the same fashion: 3 games to 2 to the San Francisco Giants, Chicago Cubs, and Houston Astros. Cy Young dominance Six National League Cy Young Awards in the 1990s were awarded to three Braves pitchers: In 1991, left-handed pitcher Tom Glavine received his first award. Right-handed pitcher Greg Maddux won four in a row, three of them with the Braves from 1993 through 1995. His first award came in 1992 with the Cubs. In 1996, right-handed pitcher John Smoltz received his only Cy Young Award. In 1998, Glavine won his second. 2005: A new generation In 2005, the Braves won the Division championship for the 14th consecutive time from 1991 to 2005. The fourteen consecutive division titles (not counting the interrupted 1994 season) stands as the record for all major league baseball. This particular team would be known as the "Baby Braves", referring to the vast presence of rookies on the roster such as Wilson Betemit, Brian McCann, Pete Orr, Ryan Langerhans, and Jeff Francoeur. Catcher Brian McCann, right fielder Jeff Francoeur, and pitcher Kyle Davies all grew up near the Atlanta area; as such, the team had a record of 90–72, two games better than the second place team in the Philadelphia Phillies. However, the season would end on a sour note as the Braves lost the National League Division Series to the Astros in four games. In Game 4, with the Braves leading by five runs in the eighth inning, the Astros battled back with a Lance Berkman grand slam and a two-out, ninth-inning Brad Ausmus home run off of Braves closer Kyle Farnsworth. The game did not end until the 18th inning, becoming the longest game in playoff history at five hours 50 minutes. Chris Burke ended the marathon with a home run off of Joey Devine. After the 2005 season, the Braves lost their long-time pitching coach Leo Mazzone, who left to go to the Baltimore Orioles. Roger McDowell took his place in the Atlanta dugout. Unable to re-sign shortstop Rafael Furcal, the Braves acquired shortstop Édgar Rentería from the Boston Red Sox. 2006: Struggles In 2006, the Braves did not perform at the level they had grown accustomed to. Due to an offensive slump, injuries to their starting rotation, and subpar bullpen performances, the Braves compiled a 6–21 record during June, the worst month ever in Atlanta with a winning percentage of .222; this was only better than the woeful Boston Braves in May 1935 (4–20) with a .166 winning percentage. After the break, the Braves came out with their bats swinging, setting many franchise records. They won five straight, sweeping the Padres and taking two from the Cardinals, tallying a total of 65 runs in that span. The 65 runs in five games is the best by the franchise since 1897, when the Boston Beaneaters totaled 78, including 25 in one game and 21 in another, from May 31 – June 3; the 2006 Braves also became the first team since the 1930 New York Yankees to score ten runs or more in five straight games. The Braves had a total of 81 hits during their five-game run and 98 hits in their last six games, going back to an 8–3 victory over Cincinnati on July 9, the last game before the All-Star break. Additionally, Chipper Jones was able to maintain a 20-game hitting streak and tie Paul Waner's 69-year-old Major League record with a 14-game extra-base hit streak. However, on September 18, the New York Mets' win over the Florida Marlins mathematically eliminated the Braves from winning the NL East, ending the Atlanta Braves' 11-year reign over the NL East. On September 24, the Braves' loss to the Colorado Rockies mathematically eliminated the Braves from winning the NL Wild Card, making 2006 the first year that the Braves would not compete in the postseason since 1990, not counting the strike-shortened 1994 season. Also, a loss to the Mets on September 28 guaranteed the Braves their first losing season since 1990. Although the Braves won two of their last three games against the Astros, including rookie Chuck James besting Roger Clemens, Atlanta finished the season in third place, one game ahead of the Marlins, at 79–83. Sale to Liberty Media In December 2005, team owner Time Warner, which inherited the Braves after purchasing Turner Broadcasting System in 1996, announced it was placing the team for sale. Liberty Media began negotiations to purchase the team. In February 2007, after more than a year of negotiations, Time Warner agreed to a deal to sell the Braves to Liberty Media, which owned a large amount of stock in Time Warner, pending approval by 75 percent of MLB owners and the Commissioner of Baseball, Bud Selig. The deal included the exchange of the Braves, valued in the deal at $450 million, a hobbyist magazine publishing company, and $980 million cash, for 68.5 million shares of Time Warner stock held by Liberty, worth approximately $1.48 billion. Team President Terry McGuirk anticipated no change in the front office structure, personnel, or day-to-day operations of the Braves, and Liberty did not participate in day-to-day operations. On May 16, 2007, Major League Baseball's owners approved the sale. The Braves are one of only two Major League Baseball teams under majority corporate ownership (and the only NL team with this distinction); the other team is the Toronto Blue Jays (owned by Canadian media conglomerate Rogers Communications). 2007: More struggles On July 5, Chipper Jones surpassed Dale Murphy for the Atlanta club record of 372 home runs by belting two against the Los Angeles Dodgers. After struggling during the second half of the 2007 season, Atlanta finished over .500 and missed the postseason again. On October 12, 2007, John Schuerholz stepped down as general manager to take over as team president. Assistant GM Frank Wren took over as general manager. 2009: The return of solid pitching On December 4, 2008, the Braves received Javier Vázquez and Boone Logan, while the Chicago White Sox received prospects catcher Tyler Flowers, shortstop Brent Lillibridge, third baseman Jon Gilmore and pitcher Santos Rodriguez. On January 13, 2009, the Braves signed Japanese pitcher Kenshin Kawakami to a three-year deal, and two days later signed free agent pitcher Derek Lowe to a four-year contract. During the course of the offseason, the Braves signed veteran pitcher and former Brave Tom Glavine, while losing long-time Brave John Smoltz to the Boston Red Sox. On February 25, 2009, just before the start of spring training, Atlanta agreed to terms on a one-year contract with free-agent outfielder Garret Anderson. The additional outfield depth allowed the Braves to trade Josh Anderson to the Detroit Tigers for minor league pitcher Rudy Darrow on March 30, 2009. On June 3, 2009, the Braves acquired Nate McLouth from the Pittsburgh Pirates for prospects Jeff Locke, Charlie Morton and Gorkys Hernández. They also released veteran pitcher Tom Glavine. On July 10, 2009, the Braves traded outfielder Jeff Francoeur to the New York Mets for outfielder Ryan Church. On July 31, 2009, hours before the trade deadline, the Braves and Boston Red Sox swapped 1st basemen: Atlanta dealt Casey Kotchman to Boston and reacquired Adam LaRoche, whom the Braves had traded away during the 2006–07 off-season to Pittsburgh. The Braves made a late-season surge, coming within 2 games of the wild card leading Colorado Rockies in late September. On October 1, 2009, with the Braves four games back, Colorado beat the Milwaukee Brewers 9–2 to clinch the wild card spot and end the Braves' 2009 postseason hopes. 2010: Cox's final season The 2010 Braves' season featured an attempt to reclaim a postseason berth for the first time since 2005. The Braves were once again skippered by Bobby Cox, in his 25th and final season managing the team. The Braves started the 2010 season slowly and had a nine-game losing streak in April. Then they had a nine-game winning streak from May 26 through June 3, the Braves longest since 2000 when they won 16 in a row. On May 31, the Atlanta Braves defeated the then-first place Philadelphia Phillies at Turner Field to take sole possession of first place in the National League East standings, a position they had maintained through the middle of August. The last time the Atlanta Braves led the NL East on August 1 was in 2005. On July 13, 2010, at the 2010 MLB All-Star Game in Anaheim, Braves catcher Brian McCann was awarded the All-Star Game MVP Award for his clutch two-out, three-run double in the seventh inning to give the National League its first win in the All-Star Game since 1996. He became the first Brave to win the All-Star Game MVP Award since Fred McGriff did so in 1994. The Braves made two deals before the trade deadline to acquire Álex González, Rick Ankiel and Kyle Farnsworth from the Toronto Blue Jays and Kansas City Royals, giving up shortstop Yunel Escobar, pitchers Jo-Jo Reyes and Jesse Chavez, outfielder Gregor Blanco and three minor leaguers. On August 18, 2010, they traded three pitching prospects for first baseman Derrek Lee from the Chicago Cubs. On August 22, 2010, against the Chicago Cubs, Mike Minor struck out 12 batters across 6 innings; an Atlanta Braves single game rookie strikeout record. The Braves dropped to second in the NL East in early September, but won the NL Wild Card. They lost to the San Francisco Giants in the National League Division Series in four games. Every game of the series was determined by one run. After the series-clinching victory for the Giants in Game 4, Bobby Cox was given a standing ovation by the fans, also by players and coaches of both the Braves and Giants. 2011: Fredi González takes over On October 13, 2010, the Braves announced that Fredi González would replace long-time Braves manager Bobby Cox as manager of the team in 2011. The announcement came just two days after the 2010 Braves were eliminated from the postseason. It was also announced that pitching coach Roger McDowell, third-base coach Brian Snitker, and bullpen coach Eddie Pérez would retain their current positions, while former hitting coach Terry Pendleton would replace Glenn Hubbard as the first-base coach and newcomer Carlos Tosca would become the new bench coach. Hubbard and former bench coach Chino Cadahia were not offered positions on the new coaching staff. Larry Parrish was hired as hitting coach on October 29, 2010. On November 16, 2010, in an offseason trade, the Braves acquired Dan Uggla from the Florida Marlins in exchange for left-handed reliever Mike Dunn and infielder Omar Infante. According to Elias Sports Bureau, the Braves had an all-time franchise win–loss record over .500 for the first time since 1923 after their win over the Houston Astros on June 11, 2011. The Braves franchise became the third franchise in MLB history to reach 10,000 wins with their win over the Washington Nationals on July 15, 2011. On July 31, 2011, just sixteen days after registering their 10,000th win, the Florida Marlins defeated the Braves by a score of 3–1, handing the team the 10,000th loss in franchise history. The Braves become only the second team in big league history with 10,000 losses after the Philadelphia Phillies reached the plateau in 2007. Players from the Braves' farm system, such as Freddie Freeman and Brandon Beachy, played regularly with the big league club, while Julio Teherán, Randall Delgado, and Mike Minor were called up for spot starts. With late season injuries to starters Jair Jurrjens and Tommy Hanson, these three young pitchers made their way into the starting rotation in their absence. Eight players made their major league debuts for the team in 2011. September collapse The Braves led the National League Wild Card standings for much of the 2011 season, with the division-rival Philadelphia Phillies firmly in control of first place in the National League East. The Braves entered the final month of the regular season 25 games above .500 with a record of 80–55 and an -game lead in the Wild Card standings. The nearest team trailing them, the St. Louis Cardinals, who also trailed the National League Central-leading Milwaukee Brewers by games at the time, were considered a long-shot to gain a spot in the postseason. Just days prior on August 26, the Cardinals found themselves games behind and in third place. With 27 games to play, the Braves went 9–18 in September to finish the season with a record of 89–73. The Cardinals, meanwhile, went 18–8 to finish at 90–72. Braves closer Craig Kimbrel, who had not surrendered a single earned run in July or August, carried a 4.76 ERA in September with three blown saves. After being dominant in his role for much of the season, Braves setup man Jonny Venters posted a 5.11 September ERA. These sharp declines in both relievers led many critics to question the handling of the bullpen by Braves manager Fredi González. Veteran starter Derek Lowe posted a win-loss record of 0–5 in September with an ERA of 8.75. Shortly into the offseason, Lowe would be traded to the Cleveland Indians. The Braves starters lasted six or more innings only three times over the last 23 games. Over the last five games, all of which were losses for the Braves, the team managed to score only seven runs. Braves catcher Brian McCann, often regarded as the best offensive catcher in the Majors, hit only .183 with two home runs in September. The offense as a whole hit for only a .235 batting average and a .300 on-base percentage in September, both second-worst in the National League. The .195 RISP average by Braves hitters was second worst in the Majors. Hitting coach Larry Parrish was fired two days following the last game of the season. 2012: Chipper's last season In 2012, the Braves began their 138th season after an upsetting end to the 2011 season. On March 22, the Braves announced that third baseman Chipper Jones would retire following the 2012 season after 19 Major League seasons with the team. The Braves also lost many key players through trades or free agency, including pitcher Derek Lowe, shortstop Alex González, and outfielder Nate McLouth. To compensate for this, the team went on to receive many key players such as outfielder Michael Bourn, along with shortstops Tyler Pastornicky and Andrelton Simmons. To fill the void of a quality starting pitcher left by Lowe (as well as a mid-season injury to Brandon Beachy), manager Fredi González elected relief pitcher Kris Medlen to the starting pitching rotation. The Braves went on to win every game Medlen started, setting the MLB record for most consecutive wins when a single pitcher starts (total of 23). Atlanta stayed close to the Washington Nationals in the race to win the National League East title. They also stayed on top of the National League Wild Card race. Washington ended up winning their first division title in franchise history, but the Braves remained in first place of the NL wild-card race. Keeping with a new MLB rule for the 2012 season, the top two wild card teams in each league must play each other in a playoff game before entering into the Division Series. The Braves played the St. Louis Cardinals in the first-ever Wild Card Game. The Braves were behind 6–3 in the bottom of the eighth inning when Andrelton Simmons hit a fly ball to left field that dropped in between the Cardinals shortstop and left fielder. Umpire Sam Holbrook called Simmons out, citing the infield fly rule. Had an infield fly not been called, Simmons would have been credited with a single and Atlanta would have had the bases loaded with one out. Fans at Turner Field began to litter the field with debris, prompting the game to be delayed for 19 minutes. The Braves lost the game 6–3, ending their season. 2013: Braves win the East Following a gut-wrenching exit against the St. Louis Cardinals in the Wild Card Game, the Braves spent the 2012–2013 offseason revamping and retooling their offense. The Braves turned heads across baseball by acquiring B.J. Upton from the Tampa Bay Rays, signing him to a 5-year $75.25 million contract and making him their starting center fielder, and uniting him with his younger brother Justin Upton from the Arizona Diamondbacks in a seven-player trade that sent fan favorite utility man Martín Prado to the Diamondbacks, they also filled a need for a new Third Baseman in Chris Johnson after the retirement of Chipper Jones the previous year. The Braves began the 2013 season with a hot start in April by going 17–9 for the month, which saw the emergence of rookie sensation Evan Gattis, while taking hold of first place in the National League East division, a lead they would never relinquish for the rest of the season. The Braves suffered many injuries to key players throughout the season, including injuries to Jason Heyward, Brian McCann, Freddie Freeman, Eric O'Flaherty, Jonny Venters, Ramiro Pena and others, but found a way to win despite these blows to the team. Leading up to the All Star break, First Baseman Freddie Freeman was voted in to play for the 2013 National League All-Star Team, in the 2013 All Star Game, which he did not play. The Braves also witnessed the emergence of rookie pitcher Julio Teherán after
Langerhans, and Jeff Francoeur. Catcher Brian McCann, right fielder Jeff Francoeur, and pitcher Kyle Davies all grew up near the Atlanta area; as such, the team had a record of 90–72, two games better than the second place team in the Philadelphia Phillies. However, the season would end on a sour note as the Braves lost the National League Division Series to the Astros in four games. In Game 4, with the Braves leading by five runs in the eighth inning, the Astros battled back with a Lance Berkman grand slam and a two-out, ninth-inning Brad Ausmus home run off of Braves closer Kyle Farnsworth. The game did not end until the 18th inning, becoming the longest game in playoff history at five hours 50 minutes. Chris Burke ended the marathon with a home run off of Joey Devine. After the 2005 season, the Braves lost their long-time pitching coach Leo Mazzone, who left to go to the Baltimore Orioles. Roger McDowell took his place in the Atlanta dugout. Unable to re-sign shortstop Rafael Furcal, the Braves acquired shortstop Édgar Rentería from the Boston Red Sox. 2006: Struggles In 2006, the Braves did not perform at the level they had grown accustomed to. Due to an offensive slump, injuries to their starting rotation, and subpar bullpen performances, the Braves compiled a 6–21 record during June, the worst month ever in Atlanta with a winning percentage of .222; this was only better than the woeful Boston Braves in May 1935 (4–20) with a .166 winning percentage. After the break, the Braves came out with their bats swinging, setting many franchise records. They won five straight, sweeping the Padres and taking two from the Cardinals, tallying a total of 65 runs in that span. The 65 runs in five games is the best by the franchise since 1897, when the Boston Beaneaters totaled 78, including 25 in one game and 21 in another, from May 31 – June 3; the 2006 Braves also became the first team since the 1930 New York Yankees to score ten runs or more in five straight games. The Braves had a total of 81 hits during their five-game run and 98 hits in their last six games, going back to an 8–3 victory over Cincinnati on July 9, the last game before the All-Star break. Additionally, Chipper Jones was able to maintain a 20-game hitting streak and tie Paul Waner's 69-year-old Major League record with a 14-game extra-base hit streak. However, on September 18, the New York Mets' win over the Florida Marlins mathematically eliminated the Braves from winning the NL East, ending the Atlanta Braves' 11-year reign over the NL East. On September 24, the Braves' loss to the Colorado Rockies mathematically eliminated the Braves from winning the NL Wild Card, making 2006 the first year that the Braves would not compete in the postseason since 1990, not counting the strike-shortened 1994 season. Also, a loss to the Mets on September 28 guaranteed the Braves their first losing season since 1990. Although the Braves won two of their last three games against the Astros, including rookie Chuck James besting Roger Clemens, Atlanta finished the season in third place, one game ahead of the Marlins, at 79–83. Sale to Liberty Media In December 2005, team owner Time Warner, which inherited the Braves after purchasing Turner Broadcasting System in 1996, announced it was placing the team for sale. Liberty Media began negotiations to purchase the team. In February 2007, after more than a year of negotiations, Time Warner agreed to a deal to sell the Braves to Liberty Media, which owned a large amount of stock in Time Warner, pending approval by 75 percent of MLB owners and the Commissioner of Baseball, Bud Selig. The deal included the exchange of the Braves, valued in the deal at $450 million, a hobbyist magazine publishing company, and $980 million cash, for 68.5 million shares of Time Warner stock held by Liberty, worth approximately $1.48 billion. Team President Terry McGuirk anticipated no change in the front office structure, personnel, or day-to-day operations of the Braves, and Liberty did not participate in day-to-day operations. On May 16, 2007, Major League Baseball's owners approved the sale. The Braves are one of only two Major League Baseball teams under majority corporate ownership (and the only NL team with this distinction); the other team is the Toronto Blue Jays (owned by Canadian media conglomerate Rogers Communications). 2007: More struggles On July 5, Chipper Jones surpassed Dale Murphy for the Atlanta club record of 372 home runs by belting two against the Los Angeles Dodgers. After struggling during the second half of the 2007 season, Atlanta finished over .500 and missed the postseason again. On October 12, 2007, John Schuerholz stepped down as general manager to take over as team president. Assistant GM Frank Wren took over as general manager. 2009: The return of solid pitching On December 4, 2008, the Braves received Javier Vázquez and Boone Logan, while the Chicago White Sox received prospects catcher Tyler Flowers, shortstop Brent Lillibridge, third baseman Jon Gilmore and pitcher Santos Rodriguez. On January 13, 2009, the Braves signed Japanese pitcher Kenshin Kawakami to a three-year deal, and two days later signed free agent pitcher Derek Lowe to a four-year contract. During the course of the offseason, the Braves signed veteran pitcher and former Brave Tom Glavine, while losing long-time Brave John Smoltz to the Boston Red Sox. On February 25, 2009, just before the start of spring training, Atlanta agreed to terms on a one-year contract with free-agent outfielder Garret Anderson. The additional outfield depth allowed the Braves to trade Josh Anderson to the Detroit Tigers for minor league pitcher Rudy Darrow on March 30, 2009. On June 3, 2009, the Braves acquired Nate McLouth from the Pittsburgh Pirates for prospects Jeff Locke, Charlie Morton and Gorkys Hernández. They also released veteran pitcher Tom Glavine. On July 10, 2009, the Braves traded outfielder Jeff Francoeur to the New York Mets for outfielder Ryan Church. On July 31, 2009, hours before the trade deadline, the Braves and Boston Red Sox swapped 1st basemen: Atlanta dealt Casey Kotchman to Boston and reacquired Adam LaRoche, whom the Braves had traded away during the 2006–07 off-season to Pittsburgh. The Braves made a late-season surge, coming within 2 games of the wild card leading Colorado Rockies in late September. On October 1, 2009, with the Braves four games back, Colorado beat the Milwaukee Brewers 9–2 to clinch the wild card spot and end the Braves' 2009 postseason hopes. 2010: Cox's final season The 2010 Braves' season featured an attempt to reclaim a postseason berth for the first time since 2005. The Braves were once again skippered by Bobby Cox, in his 25th and final season managing the team. The Braves started the 2010 season slowly and had a nine-game losing streak in April. Then they had a nine-game winning streak from May 26 through June 3, the Braves longest since 2000 when they won 16 in a row. On May 31, the Atlanta Braves defeated the then-first place Philadelphia Phillies at Turner Field to take sole possession of first place in the National League East standings, a position they had maintained through the middle of August. The last time the Atlanta Braves led the NL East on August 1 was in 2005. On July 13, 2010, at the 2010 MLB All-Star Game in Anaheim, Braves catcher Brian McCann was awarded the All-Star Game MVP Award for his clutch two-out, three-run double in the seventh inning to give the National League its first win in the All-Star Game since 1996. He became the first Brave to win the All-Star Game MVP Award since Fred McGriff did so in 1994. The Braves made two deals before the trade deadline to acquire Álex González, Rick Ankiel and Kyle Farnsworth from the Toronto Blue Jays and Kansas City Royals, giving up shortstop Yunel Escobar, pitchers Jo-Jo Reyes and Jesse Chavez, outfielder Gregor Blanco and three minor leaguers. On August 18, 2010, they traded three pitching prospects for first baseman Derrek Lee from the Chicago Cubs. On August 22, 2010, against the Chicago Cubs, Mike Minor struck out 12 batters across 6 innings; an Atlanta Braves single game rookie strikeout record. The Braves dropped to second in the NL East in early September, but won the NL Wild Card. They lost to the San Francisco Giants in the National League Division Series in four games. Every game of the series was determined by one run. After the series-clinching victory for the Giants in Game 4, Bobby Cox was given a standing ovation by the fans, also by players and coaches of both the Braves and Giants. 2011: Fredi González takes over On October 13, 2010, the Braves announced that Fredi González would replace long-time Braves manager Bobby Cox as manager of the team in 2011. The announcement came just two days after the 2010 Braves were eliminated from the postseason. It was also announced that pitching coach Roger McDowell, third-base coach Brian Snitker, and bullpen coach Eddie Pérez would retain their current positions, while former hitting coach Terry Pendleton would replace Glenn Hubbard as the first-base coach and newcomer Carlos Tosca would become the new bench coach. Hubbard and former bench coach Chino Cadahia were not offered positions on the new coaching staff. Larry Parrish was hired as hitting coach on October 29, 2010. On November 16, 2010, in an offseason trade, the Braves acquired Dan Uggla from the Florida Marlins in exchange for left-handed reliever Mike Dunn and infielder Omar Infante. According to Elias Sports Bureau, the Braves had an all-time franchise win–loss record over .500 for the first time since 1923 after their win over the Houston Astros on June 11, 2011. The Braves franchise became the third franchise in MLB history to reach 10,000 wins with their win over the Washington Nationals on July 15, 2011. On July 31, 2011, just sixteen days after registering their 10,000th win, the Florida Marlins defeated the Braves by a score of 3–1, handing the team the 10,000th loss in franchise history. The Braves become only the second team in big league history with 10,000 losses after the Philadelphia Phillies reached the plateau in 2007. Players from the Braves' farm system, such as Freddie Freeman and Brandon Beachy, played regularly with the big league club, while Julio Teherán, Randall Delgado, and Mike Minor were called up for spot starts. With late season injuries to starters Jair Jurrjens and Tommy Hanson, these three young pitchers made their way into the starting rotation in their absence. Eight players made their major league debuts for the team in 2011. September collapse The Braves led the National League Wild Card standings for much of the 2011 season, with the division-rival Philadelphia Phillies firmly in control of first place in the National League East. The Braves entered the final month of the regular season 25 games above .500 with a record of 80–55 and an -game lead in the Wild Card standings. The nearest team trailing them, the St. Louis Cardinals, who also trailed the National League Central-leading Milwaukee Brewers by games at the time, were considered a long-shot to gain a spot in the postseason. Just days prior on August 26, the Cardinals found themselves games behind and in third place. With 27 games to play, the Braves went 9–18 in September to finish the season with a record of 89–73. The Cardinals, meanwhile, went 18–8 to finish at 90–72. Braves closer Craig Kimbrel, who had not surrendered a single earned run in July or August, carried a 4.76 ERA in September with three blown saves. After being dominant in his role for much of the season, Braves setup man Jonny Venters posted a 5.11 September ERA. These sharp declines in both relievers led many critics to question the handling of the bullpen by Braves manager Fredi González. Veteran starter Derek Lowe posted a win-loss record of 0–5 in September with an ERA of 8.75. Shortly into the offseason, Lowe would be traded to the Cleveland Indians. The Braves starters lasted six or more innings only three times over the last 23 games. Over the last five games, all of which were losses for the Braves, the team managed to score only seven runs. Braves catcher Brian McCann, often regarded as the best offensive catcher in the Majors, hit only .183 with two home runs in September. The offense as a whole hit for only a .235 batting average and a .300 on-base percentage in September, both second-worst in the National League. The .195 RISP average by Braves hitters was second worst in the Majors. Hitting coach Larry Parrish was fired two days following the last game of the season. 2012: Chipper's last season In 2012, the Braves began their 138th season after an upsetting end to the 2011 season. On March 22, the Braves announced that third baseman Chipper Jones would retire following the 2012 season after 19 Major League seasons with the team. The Braves also lost many key players through trades or free agency, including pitcher Derek Lowe, shortstop Alex González, and outfielder Nate McLouth. To compensate for this, the team went on to receive many key players such as outfielder Michael Bourn, along with shortstops Tyler Pastornicky and Andrelton Simmons. To fill the void of a quality starting pitcher left by Lowe (as well as a mid-season injury to Brandon Beachy), manager Fredi González elected relief pitcher Kris Medlen to the starting pitching rotation. The Braves went on to win every game Medlen started, setting the MLB record for most consecutive wins when a single pitcher starts (total of 23). Atlanta stayed close to the Washington Nationals in the race to win the National League East title. They also stayed on top of the National League Wild Card race. Washington ended up winning their first division title in franchise history, but the Braves remained in first place of the NL wild-card race. Keeping with a new MLB rule for the 2012 season, the top two wild card teams in each league must play each other in a playoff game before entering into the Division Series. The Braves played the St. Louis Cardinals in the first-ever Wild Card Game. The Braves were behind 6–3 in the bottom of the eighth inning when Andrelton Simmons hit a fly ball to left field that dropped in between the Cardinals shortstop and left fielder. Umpire Sam Holbrook called Simmons out, citing the infield fly rule. Had an infield fly not been called, Simmons would have been credited with a single and Atlanta would have had the bases loaded with one out. Fans at Turner Field began to litter the field with debris, prompting the game to be delayed for 19 minutes. The Braves lost the game 6–3, ending their season. 2013: Braves win the East Following a gut-wrenching exit against the St. Louis Cardinals in the Wild Card Game, the Braves spent the 2012–2013 offseason revamping and retooling their offense. The Braves turned heads across baseball by acquiring B.J. Upton from the Tampa Bay Rays, signing him to a 5-year $75.25 million contract and making him their starting center fielder, and uniting him with his younger brother Justin Upton from the Arizona Diamondbacks in a seven-player trade that sent fan favorite utility man Martín Prado to the Diamondbacks, they also filled a need for a new Third Baseman in Chris Johnson after the retirement of Chipper Jones the previous year. The Braves began the 2013 season with a hot start in April by going 17–9 for the month, which saw the emergence of rookie sensation Evan Gattis, while taking hold of first place in the National League East division, a lead they would never relinquish for the rest of the season. The Braves suffered many injuries to key players throughout the season, including injuries to Jason Heyward, Brian McCann, Freddie Freeman, Eric O'Flaherty, Jonny Venters, Ramiro Pena and others, but found a way to win despite these blows to the team. Leading up to the All Star break, First Baseman Freddie Freeman was voted in to play for the 2013 National League All-Star Team, in the 2013 All Star Game, which he did not play. The Braves also witnessed the emergence of rookie pitcher Julio Teherán after much hype during Spring training. From July 26 to August 10, the Braves won 14 games in a row. The winning streak was the longest of its kind since April–May 2000. On June 28, 2013, the Atlanta Braves retired former third baseman Chipper Jones' jersey, number 10, before the game against the Arizona Diamondbacks. He was honored before 51,300 fans at Turner Field in Atlanta. He served as a staple of the Braves franchise for 19 years before announcing his retirement at the beginning of the 2012 season. Chipper Jones played his last regular-season game for the Braves on September 30, 2012. The Braves opened up a 15-game lead on the Washington Nationals in the National League East on September 3, 2013, riding that lead en route to its first division title since 2005, the last of 14 straight division titles. This was also Braves manager Fredi González's first division title since beginning his managerial career in 1990; including his first since becoming the manager of the Braves after the 2010 season. The Braves clinched the 18th division title in team history on September 22, 2013 after a Nationals loss to the Marlins in the first game of a double header; the Braves also won their game that day, beating the Chicago Cubs 5–2 at Wrigley Field. After clinching the division title, they lost to the Dodgers 3–1 in the Division Series. 2014: Losing season On November 11, 2013, the Braves announced that they would vacate Turner Field for a new stadium in Cobb County, in the northwest suburbs outside of Atlanta in 2017. The move is to follow the expiration of the Braves' 20-year lease on Turner Field in 2016. The new stadium is to be constructed in a public/private partnership. During the offseason the Braves signed few of their young talents to multi year contracts; Craig Kimbrel (4 years/$42 million), Freddie Freeman (8 years/$135M), Kris Medlen (1 year/$5.8M), Jason Heyward (2 years/$13.3M), Julio Teherán (6 years/$32.4M) and Andrelton Simmons (7 years/$58M). The Braves finished the season in a distant second place with a 79–83 record, which was their first losing season since 2008 and only their third since 1990. 2015–2016: Rebuilding Prior to the 2015 season, the Braves fired general manager Frank Wren, and John Hart replaced him as interim general manager, choosing to only take the title of President of Baseball Operations. The Braves promptly traded Gold Glove Award winner Jason Heyward to the St. Louis Cardinals along with pitcher Jordan Walden for pitchers Shelby Miller and Tyrell Jenkins. Hart traded All-Star left fielder Justin Upton to the San Diego Padres for Max Fried, Jace Peterson, Dustin Peterson, and Mallex Smith. Catcher Evan Gattis and minor league prospect James Hoyt were traded to the Houston Astros for minor leaguers Mike Foltynewicz, Rio Ruiz, and Andrew Thurman. A day before the season began, the Braves made a final trade involving former All-Star Craig Kimbrel and outfielder Melvin Upton Jr. They were traded to the San Diego Padres for outfielders Cameron Maybin, Carlos Quentin, pitcher Matt Wisler, and the 41st overall pick in the 2015 Major League Baseball draft. By the beginning of the season, the Braves made 11 trades in all. Prior to the start of the 2016 regular season, the Braves continued their offseason rebuilding by trading Andrelton Simmons to the Los Angeles Angels for Erick Aybar and pitching prospects Sean Newcomb and Chris Ellis and $2.5 million. They agreed to one-year contracts with Kelly Johnson, Chris Withrow, and Arodys Vizcaino, and agreed to terms on a minor league contract for Carlos Torres and Jeff Francoeur. The Braves purchased the major league contract of Francoeur. On April 13, 2016, Hector Olivera was arrested and charged with the assault of a woman at the team hotel when the Braves were in Washington D.C. facing the Nationals. He was placed on administrative leave by MLB and was placed on the Braves restricted list. The Braves began the season on a nine-game losing streak, which is the worst opening by the franchise since 1988, when they dropped the first 10 games of that season. After a 9–28 start in 2016, Fredi González was fired on May 17 and replaced by Gwinnett Braves' manager Brian Snitker as interim manager. Snitker replaced González once before in the 2006–07 offseason as the Braves third base coach when González left the Braves to manage the Marlins. The Braves finished the season 68–93 and in last place in NL East. During the 2016 offseason, the Braves signed pitchers R. A. Dickey and Bartolo Colón and promoted interim manager Brian Snitker to full-time manager. 2017: New ballpark and front office changes The Braves opened their new stadium, SunTrust Park (now Truist Park), on April 14, 2017, with a four-game sweep of the San Diego Padres. The park received positive reviews. Woody Studenmund of the Hardball Times called the park a "gem" saying that he was impressed with "the compact beauty of the stadium and its exciting approach to combining baseball, business and social activities." J.J. Cooper of Baseball America praised the "excellent sight lines for pretty much every seat." Cooper also noted that "the Wi-Fi works and it's very fast, even with a park full of smartphone users." The Braves also introduced "The Freeze" as between-innings entertainment—a former college sprinter, dressed in aqua spandex, has a footrace with a fan; The Freeze wins the majority of the races, despite the fan being given a significant head start. On October 2, 2017, John Coppolella resigned as general manager of the Braves amid a Major League Baseball investigation into Atlanta's international signings, having committed what the Braves termed "a breach of MLB rules regarding the international player market". On November 13, 2017, the Braves announced Alex Anthopoulos as the new general manager and executive vice president. John Hart was removed as team president and assumed a senior adviser role with the organization. Braves chairman Terry McGuirk apologized to fans "on behalf of the entire Braves family" for the scandal. McGuirk described Anthopoulos as "a man of integrity" and that "he will operate in a way that will make all of our Braves fans proud." On November 17, 2017, the Braves announced that John Hart had stepped down as senior advisor for the organization. Hart said in a statement that "with the hiring of Alex Anthopoulos as general manager, this organization is in great hands." MLB investigation and penalties On November 21, 2017, Major League Baseball Commissioner Rob Manfred announced the findings of the MLB investigation into Atlanta's international signings. Manfred ruled that the Braves must forfeit 13 international prospects, including highly touted Kevin Maitan, an infielder from Venezuela who signed for $4.25 million in 2016. The team also forfeited a third-round draft pick in the 2018 draft. Former Braves general manager John Coppolella was placed on baseball's permanently ineligible list. Additionally, the Braves shall be prohibited from signing any international player for more than $10,000 during the 2019–20 signing period and their international signing bonus pool for the 2020–21 signing period will be reduced by 50%. 2018–2021: Return to the postseason and World Series title The Braves began a new streak of NL East division titles in 2018, when they went 90–72. In 2019, their 97–65 record was their best since 2003. However, in neither season did the Braves advance past the Division Series. In the 2020 National League Championship Series against the Dodgers, the Braves led 3–1 before the Dodgers came back to win the series and advance to the World Series. The Braves returned to the NLCS in 2021 after beating the Milwaukee Brewers 3–1 in the 2021 NLDS on the heels of a Freddie Freeman game-winning home run in the bottom of the 8th inning in Game 4. With the score tied at 4, Freeman delivered a blast to left center field to give the Braves a 5–4 lead headed to the top of the 9th. After allowing a lead off single to Eduardo Escobar, Will Smith subsequently retired the side in order to secure the Braves berth in the NLCS. On October 23, 2021, the Braves defeated the Dodgers in the National League Championship Series, a rematch of the 2020 NLCS, in six games to advance to the World Series for the first time since 1999, thereby securing their first pennant in 22 years. They defeated the Houston Astros in six games to win their fourth World Series title. World Series championships Over the 117 years since the inception of the World Series, the Braves franchise has won a total of four World Series Championships, with at least one in each of the three cities they have played in. Major rivalries New York Mets The Braves–Mets rivalry is a rivalry between the two teams, featuring the Braves and the New York Mets as they both play in the National League East. Although their first major confrontation occurred when the Mets swept the Braves in the 1969 NLCS, en route to their first World Series championship, the first playoff series won by an expansion team (also the first playoff appearance by an expansion team), the rivalry did not become especially heated until the 1994 season when division realignment put both the Mets and the Braves in the NL East division. During this time the Braves became one of the most dominant teams in professional baseball, earning 14 straight division titles through 2005, including five World Series berths, and one World Series championship during the 1995 season. The rivalry remained heated through the early 2000s. Philadelphia Phillies While their rivalry with the Philadelphia Phillies lacks the history and hatred of the Mets, it has been the more important one in the last decade. Between 1993 and 2013, the two teams reigned almost exclusively as NL East champions, the exceptions being in 2006, when the Mets won their first division title since 1988 (no division titles were awarded in 1994 due to the player's strike), and in 2012, when the Washington Nationals claimed their first division title since 1981 when playing as the Montreal Expos. The Phillies 1993 championship was also part of a four-year reign of exclusive division championships by the Phillies and the Pittsburgh Pirates, their in-state rivals. While rivalries are generally characterized by mutual hatred, the Braves and Phillies deeply respect each other. Each game played (18 games in 2011) is vastly important between these two NL East giants, but at the end of the day, they are very similar organizations. Overall, the Braves have five more National League East division titles than the Phillies, the Braves having won 16 times since 1995, and holding it for 11 consecutive years from 1995 through 2005. (The Braves also have five NL West titles from 1969 through 1993.) Uniforms 1966–1967 The Atlanta Braves originally wore the same uniform design from their final years in Milwaukee, save for the red-brimmed navy cap which was changed from a block "M" to a script "A". Both the home and road uniforms have navy piping and the "Braves" script in red with navy trim, along with chest numbers which were also red with navy trim. The "screaming Indian" patch was added on the left sleeve. 1968–1971 During this period navy became the team's primary color, and pinstripes were worn on the home uniform. The chest numbers and piping were removed, with red only used exclusively on the road uniform. The original navy/red cap was only used at home, while an all-navy cap was used on the road. By 1969, the all-navy cap served as the primary, retiring the navy/red cap. 1972–1975 The Braves entered the polyester era with a new look, changing from navy to royal blue while keeping red as a trim color. Home uniforms were white with blue sleeves, while road uniforms were blue with white sleeves. Chest numbers returned with this uniform. Both sleeves contain a feather patch. Caps became royal blue with white panels, along with a lowercase "a" in red with white and blue trim. 1976–1979 The Braves returned to wearing pinstripes and gray uniforms with this set. The home uniform removed the blue sleeves and feather patch, and replaced them with red pinstripes and collar. The road uniform kept the previous template but returned to a gray base with blue sleeves, with the feather patch exclusive only to the left sleeve. The road uniform also featured a script "Atlanta" in front, with the first "a" in lowercase. In 1979, blue player names were added to the road uniform. 1980–1986 The Braves' home uniform again removed the pinstripes and added player names in blue. Collars and sleeves featured red, white and blue stripes. The road uniform was changed to powder blue minus the contrasting sleeve colors and red trim. In 1981, the road uniform was tweaked slightly, adopting the uppercase "A" script on the word "Atlanta". The Braves also wore two all-blue caps: the home cap featured the white "A" script with red trim, while the road cap lacked the red trim on the "A". 1987–present The Braves updated their uniform set in 1987, returning to buttoned uniforms and belted pants. This design returned to the classic look they wore in the 1950s. The white home uniform features red and navy piping, the "Braves" script and tomahawk in front, and radially arched (vertically arched until 2005; sewn into a nameplate until 2012) navy letters and red numbers with navy trim at the back. The gray road uniforms are identical to the white home uniforms save for the "Atlanta" script in front. Initially, the cap worn with both uniforms is the red-brimmed navy cap with the script "A" in front. In 2008, an all-navy cap was introduced and became the primary road cap the following season. The Braves have had three different versions of their Friday red alternate home uniform. The first uniform, worn from 2005 to 2013, featured navy and white piping, navy "Braves" script and tomahawk in front, and white letters and navy numbers with white trim at the back. It was paired with a navy cap with red brim featuring the alternate "tomahawk A" logo. From 2014 to 2018, the Braves tweaked the uniform; the "Braves" script was now adorned with stars while the tomahawk was removed. The "tomahawk A" cap was also retired. In 2019, the Braves reverted to a variation of the original red alternate uniform minus the white piping. The cream alternate uniforms were introduced in February 2012 as a tribute to the Braves' first season in Atlanta in 1966. This set is similar to the primary home uniform, but with chest numbers in place of the tomahawk and blue piping minus the red accents. An alternate "crossing tomahawks" logo featuring the team name and foundation date was added to the left sleeve. The Braves have worn two versions of their alternate navy blue road jerseys. The first iteration was introduced on opening night of the 2008 season against the Washington Nationals, and featured navy lettering. The only red elements on the uniform can be seen on the tomahawk. For 2019, the Braves drastically changed the uniform to feature red lettering, a red tomahawk and silver piping. Unlike the home uniforms, which are worn based on a schedule, the road uniforms are chosen on game day by the starting pitcher. However, they are also subject to Major League Baseball rules requiring the road team to wear uniforms that contrast with the uniforms worn by the home team. Due to this rule, the gray uniforms are worn when the home team chooses to wear navy blue, and sometimes when the home team chooses to wear black. Logos From 1945 to 1955 the Braves primary logo consisted of the head of an Indian warrior. From 1956 to 1965 it was a laughing Indian with a mohawk and one feather in his hair. When the Braves moved to Atlanta in 1966, the "Braves" script was added underneath the laughing Indian. In 1985, the Braves made a small script change to the logo. The Braves modern logo debuted in 1987. The modern logo is the word "Braves" in cursive with a tomahawk below it. In 2018, the Braves made a subtle color change to the primary logo. Tomahawk chop The tomahawk chop was adopted by fans of the Atlanta Braves in 1991. Carolyn King, the Braves organist, had played the "tomahawk song" during most at bats for a few seasons, but it finally caught on with Braves fans when the team started winning. The usage of foam tomahawks led to criticism from Native American groups that it was "demeaning" to them and called for them to be banned. In response, the Braves' public relations director said that it was "a proud expression of unification and family". King, who did not understand the sociopolitical ramifications, approached one of the Native American chiefs who were protesting. The chief told her that leaving her job as an organist would not change anything and that if she left "they'll find someone else to play." The controversy has persisted since and became national news again during the 2019 National League Division Series. During the series, St. Louis Cardinals relief pitcher and Cherokee Nation member, Ryan Helsley was asked about the chop and chant. Helsley said he found the fans' chanting and arm-motions insulting and that the chop depicts natives "in this kind of caveman-type people way who aren't intellectual." The relief pitcher's comments prompted the Braves to stop handing out foam tomahawks, playing
desktop case. C-Lab Falcons were also imported to the US by some Atari dealers. Software As with the Atari 8-bit computers, software publishers attributed their reluctance to produce Atari ST products in part to—as Compute! reported in 1988—the belief in the existence of a "higher-than-normal amount of software piracy". That year WordPerfect threatened to discontinue the Atari ST version of its word processor because the company discovered that pirate bulletin board systems (BBSs) were distributing it, causing ST-Log to warn that "we had better put a stop to piracy now ... it can have harmful effects on the longevity and health of your computer". In 1989, magazines published a letter by Gilman Louie, head of Spectrum HoloByte. He stated that he had been warned by competitors that releasing a game like Falcon on the ST would fail because BBSs would widely disseminate it. Within 30 days of releasing the non-copy protected ST version, the game was available on BBSs with maps and code wheels. Because the ST market was smaller than that for the IBM PC it was more vulnerable to piracy which, Louie said, seemed to be better organized and more widely accepted for the ST. He reported that the Amiga version sold in six weeks twice as much as the ST version in nine weeks, and that the Mac and PC versions had four times the sales. Computer Gaming World stated "This is certainly the clearest exposition ... we have seen to date" of why software companies produced less software for the ST than for other computers. Music and sound The ST has built-in MIDI ports, and there was plenty of MIDI-related software for use professionally in music studios, or by amateur enthusiasts. The popular Windows/Macintosh applications Cubase and Logic Pro originated on the Atari ST (the latter as Notator Logic, preceded by Creator, Notator and Notator-SL). Another popular and powerful ST music sequencer application, Dr. T's KCS, contains a "Multi-Program Environment" that allows ST users to run other applications, such as the synthesizer patch editing software XoR (now known as Unisyn on the Macintosh), from within the sequencer application. Music tracker software was popular on the ST, such as the TCB Tracker, aiding the production of quality music from the Yamaha synthesizer ('chiptunes'). An innovative music composition program that combines the sample playing abilities of a tracker with conventional music notation (which was usually only found in MIDI software) is called Quartet (after its four-note polyphonic tracker, which displays one monophonic stave at a time on color screens). Due to the ST having comparatively large amounts of memory for the time, sound sampling packages became a realistic proposition. The Microdeal Replay Professional product features a sound sampler that cleverly uses the ST cartridge port to read in parallel from the cartridge port from the ADC. For output of digital sound, it uses the on-board frequency output, sets it to 128 kHz (inaudible) and then modulates the amplitude of that. Another program that had success on the ST platform is MasterTracks Pro from Passport Designs, of Half Moon Bay, CA., that was first put out by Don Williams for the Macintosh. When the ST died, a PC version continued that one could port MIDI to using the generic .MID format. GVox bought out Passport, and continues the program for Windows and macOS along with the other Passport product, the notation program Encore, which is as of 2013 marketed and maintained by a new iteration, Passport Music Software, LLC. Software titles Also popular on the ST was professional desktop publishing software, such as PageStream and Calamus; office tools such as word processors (WordPerfect, Microsoft Write, AtariWorks, WordWriter ST, First Word [shipped with the machine] and its Plus continuation, and others); spreadsheets (3D-Calc, LDW Power, LDW Power 2, LOGiSTiX Senior, PowerLedger ST, SwiftCalc ST, VIP Professional, and others); turnkey programs (Mail-Pro, Sales-Pro 6, Video-Pro, and others); database programs (A-Calc Prime, Data Manager, Data Manager Professional, DBMan V, Base Two, H&DBase, Informer II, DB Master One, SBT Database Accounting Library (dLedger, dInvoice, dOrder, dPurchases, and dPayables), Superbase Personal, Superbase Professional, Tracker ST, Zoomracks and others); and various CAD and CAM tools from amateur hobbyist to professional grade (Campus CAD, DynaCADD, Leonard ST, Technobox CAD/2...): all being largely targeted at, or even limited to owners of high-resolution monochrome monitors. Graphics programs such as NEOchrome, Degas & Degas Elite, Canvas, Deluxe Paint, and Cyber Paint (which author Jim Kent would later evolve into Autodesk Animator) featured advanced features such as 3D design and animation. One paint program, Spectrum 512, uses the ST's rapid palette switching ability to expand the maximum number of colors to be displayed on-screen at once to 512 (up to 46 in each scan line. 3D computer graphics applications (like Cyber Studio CAD-3D, which author Tom Hudson would later develop into Autodesk 3D Studio), brought 3D modelling, sculpting, scripting, and computer animation to the desktop. Video-capture and -editing applications using special video-capture 'dongles' connected using the cartridge port: low frame rate, mainly silent and monochrome, but progressing to sound and basic color (in still frames) by the end of the machine's life. At the end, Spectrum 512 and CAD-3D teamed up to produce realistic 512-color textured 3D renderings, but processing was slow, and Atari's failure to deliver a machine with a math coprocessor had Hudson and Yost looking towards the PC as the future before a finished product could be delivered to the consumer. The Atari ST was the computer upon which today's prevalent graphical touchscreen point of sale software for restaurants was originally developed. This software was created by Gene Mosher under the ViewTouch copyright and trademark. It does not feature the Atari ST's GEM graphical user interface but, instead, features an application specific graphical user interface and widget framework which he developed using, in part, the Neochrome paint program. Software development The 520 ST came bundled with both Digital Research Logo and Atari ST BASIC. Third-party BASICs with better performance were eventually available: HiSoft BASIC, GFA BASIC, FaST BASIC, DBASIC, LDW BASIC, Omikron BASIC, BASIC 1000D and STOS. In the later years of the Atari ST, Omikron Basic was bundled with it in Germany. The initial development kit from Atari included a computer and manuals. The $5,000 cost discouraged many from developing software for the ST. Later, the Atari Developer's Kit consisted of software and manuals (but no hardware) for $300. Included with the kit were a resource kit, C compiler (first Alcyon C, then Mark Williams C), debugger, and 68000 assembler (plus the non-disclosure agreement). The third-party Megamax C development package reduced the cost of entry to $200. Other development tools include 68000 assemblers (MadMac from Atari, HiSoft Systems's Devpac, TurboAss, GFA-Assembler), Pascal (OSS Personal Pascal, Maxon Pascal, PurePascal), Modula-2, C compilers (Lattice C, Pure C, Megamax C, GNU C, Aztec C, AHCC), LISP, Prolog, and others. Games The ST enjoyed success in gaming due to the low cost, fast performance, and colorful graphics. Notable individuals who developed games on the ST include Peter Molyneux, Doug Bell, Jeff Minter, Éric Chahi, Jez San, and David Braben. The realtime pseudo-3D role-playing video game Dungeon Master, was developed and released first on the ST, and was the best-selling software ever produced for the platform. Simulation games like Falcon and Flight Simulator II made use of the ST's graphics, as did many arcade ports. Proto first person shooter MIDI Maze, uses the MIDI ports to connect up to 16 machines for networked deathmatch play. The critically acclaimed Another World was originally released for ST and Amiga in 1991 with the engine developed on the ST and the rotoscoped animations created on the Amiga. Games simultaneously released on the Amiga that didn't use the Amiga's superior graphics and sound capabilities were often accused by video game magazines of simply being ST ports. Garry Kasparov became the first player to register the commercial ChessBase, a popular commercial database program produced for storing and searching records of games of chess. The first version was built for Atari ST with his collaboration in January 1987. In his autobiography Child of Change, he regards this facility as "the most important development in chess research since printing." Emulators Spectre GCR lets the ST emulate the Macintosh. There were also MS-DOS emulators released in the late 1980s. PC-Ditto came in two versions: software-only, and a hardware version that plugs into the cartridge slot or kludges internally. After running the PC-Ditto software, an MS-DOS boot disk is required to load the system. Both allow users to run MS-DOS programs in CGA mode, though much more slowly than on an IBM PC. Other options are the PC-Speed (NEC V30), AT-Speed (Intel 80286) and ATonce-386SX (Intel 80386sx) hardware emulator boards. Popularity with musicians The ST's low cost, built-in MIDI ports, and fast, low-latency response times made it a favorite with musicians: German electronic music pioneers Tangerine Dream relied heavily on the Atari ST in the studio and for live performances during the late 1980s and 1990s. The album notes for Mike Oldfield's Earth Moving state that it was recorded using an Atari ST and C-Lab MIDI software. The Fatboy Slim album You've Come a Long Way, Baby was created using an Atari ST. Electronic music artists Mike Paradinas and Luke Vibert started out writing music on Atari STs. In the Paris performance of Jean Michel Jarre's album Waiting for Cousteau, the Paris La Défense – Une Ville En Concert, musicians have attached Atari ST machines with C-Lab Unitor software to their keyboards, as seen in the TV live show and video recordings. White Town's "Your Woman", which reached #1 in the UK singles charts, was created using an Atari ST. The Utah Saints used a 520ST and 1040ST running Cubase during the recording of both of their albums, Utah Saints and Two, with their 1040ST still seeing occasional use for re-recording or remixing early tracks as late as 2015 despite the machine being "temperamental" according to Utah Saints' Tim Garbutt . Atari Teenage Riot named itself after the brand and programmed most of their music on an Atari ST, including the entire album Is This Hyperreal? (June, 2011). Cabaret Voltaire founder Richard H. Kirk said in 2016 that he continues to write music on an Atari 1040ST with a sequencer called C-Lab. Darude used Cubase on an Atari 1040ST when he created his 2000 hit "Sandstorm". Depeche Mode used a combination of an Atari ST and Cubase in the studio during the production of Songs of Faith and Devotion in 1992. The machine used is visible in footage from the making-of documentary included with the 2006 remaster of the album. Record producer Jimmy Hotz used an Atari ST to produce Fleetwood Mac's "Tango In The Night" album, as well as records for B.B. King and Dave Mason. British DJ and house producer Joey Negro. British songwriters and record producers Stock, Aitken and Waterman. British synth pop duo Pet Shop Boys replaced their Fairlight CMI with an Atari ST, with their programmer Pete Gleadall saying "it (Atari ST) was just much easier to work with". Technical specifications All STs are made up of both custom and commercial chips: Custom chips: ST Shifter "Video shift register chip": Enables bitmap graphics using 32 KB of contiguous memory for all resolutions. Screen address has to be a multiple of 256. ST GLU "Generalized Logic Unit": Control logic for the system used to connect the ST's chips. Not part of the data path, but needed to bridge chips with each other. ST MMU "Memory Management Unit": Provides signals needed for CPU/blitter/DMA and Shifter to access dynamic RAM. Even memory accesses are given to CPU/blitter/DMA while odd cycles are reserved for DRAM refresh or used by Shifter for displaying contents of the frame buffer. ST DMA "Direct Memory Access": Used for floppy and hard drive data transfers. Can directly access main memory in the ST. Support chips: MC6850P ACIA "Asynchronous Common Interface Adapter": Enables the ST to directly communicate with MIDI devices and keyboard (two chips used). for MIDI, for keyboard. MC68901 MFP "Multi Function Peripheral": Used for interrupt generation/control, serial and misc. control input signals. Atari TT030 has two MFP chips. WD-1772-PH "Western Digital Floppy Disk Controller": Floppy controller chip. YM2149F PSG "Programmable Sound Generator": Provides three-voice sound synthesis, also used for floppy signalling, serial control output and printer parallel port. HD6301V1 "Hitachi keyboard processor": Used for keyboard scanning and mouse/joystick ports. ST/STF/STM/STFM As originally released in the 520ST: CPU: Motorola 68000 16-/32-bit CPU @ 8 MHz. 16-bit data/32-bit internal/24-bit address. RAM: 512 KB or 1 MB Display modes (60 Hz NTSC, 50 Hz PAL, 71.2 Hz monochrome): Low resolution: 320 × 200 (16 color), palette of 512 colors Medium resolution: 640 × 200 (4 color), palette of 512 colors High resolution: 640 × 400 (mono), monochrome Sound: Yamaha YM2149 3-voice squarewave plus 1-voice white noise mono Programmable Sound Generator Drive: Single-sided 3½" floppy disk drive, 360 kB capacity when formatted to standard 9 sector, 80 track layout. Ports: TV out (on ST-M and ST-FM models, NTSC or PAL standard RF modulated), MIDI in/out (with 'out-thru'), RS-232 serial, Centronics parallel (printer), monitor (RGB or Composite Video color and mono, 13-pin DIN), extra disk drive port (14-pin DIN), DMA port (ACSI port, Atari Computer System Interface) for hard disks and Atari Laser Printer (sharing RAM with computer system), joystick and mouse ports (9-pin MSX standard) Operating System: TOS v1.00 (TOS meaning The Operating System) with the Graphics Environment Manager (GEM) Very early machines included the OS on a floppy disk before a final version was burned into ROM. This version of TOS was bootstrapped from a small core boot ROM. In 1986, most production models became STFs, with an integrated single- (520STF) or double-sided (1040STF) double density floppy disk drive built-in, but no other changes. Also in 1986, the 520STM (or 520STM) added an RF Modulator for allowing the low and medium resolution color modes when connected to a TV. Later F and FM models of the 520 had a built-in double-sided disk drive instead of a single-sided one. STE As originally released in the 520STE/1040STE: All of the features of the 520STFM/1040STFM Extended palette of 4,096 available colors to choose from Blitter chip (stylized as BLiTTER) to copy/fill/clear large data blocks with a max write rate of 4 Mbytes/s Hardware support for horizontal and vertical fine scrolling and split screen (using the Shifter video chip) DMA sound chip with 2-channels stereo 8-bit PCM sound at 6.25/12.5/25/50 kHz and stereo RCA audio-out jacks (using enhancements to the Shifter video chip to support audio shifting) National LMC 1992 audio controller chip, allowing adjustable left/right/master volume and bass and treble EQ via a Microwire interface Memory: 30-pin SIMM memory slots (SIPP packages in earliest versions) allowing upgrades up to 4 MB Allowable memory sizes including only 0.5, 1.0, 2.0, 2.5 and 4.0 MB due to configuration restraints (however, 2.5 MB is not officially supported and has compatibility problems). Later third-party upgrade kits allow a maximum of 14MB w/Magnum-ST, bypassing the stock MMU with a replacement unit and the additional chips on a separate board fitting over it. Ability to synchronise the video timings with an external device so that a video Genlock device can be used without having to make any modifications to computer's hardware Analogue joypad ports (2), with support for devices such as paddles and light pens in addition to joysticks/joypads. The Atari Jaguar joypads and Power Pad joypads (gray version of Jaguar joypads marketed for the STE and Falcon) can be used without an adapter. Two standard Atari-style digital joysticks could be plugged into each analogue port with an adapter. TOS 1.06 (also known as TOS 1.6) or TOS 1.62 (which fixed some major backwards-compatibility bugs in TOS 1.6) in two socketed 128 KB ROM chips. Socketed PLCC 68000 CPU Models The members of the ST family are listed below, in roughly chronological order: 520ST Original model with 512 KB
a fast, hierarchical file system, essential for hard drives, and provided programmers with function calls similar to IBM PC DOS. Its character set was based on codepage 437. Besides the original TOS operating system, a number of third-party OSes were developed for, or ported to, the Atari ST. Among Unix clones, Idris, Minix had an Atari ST port and the Mint OS was developed specifically for the Atari ST. Debut and release After six months of intensive effort following Tramiel's takeover, Atari announced the 520ST at the Winter Consumer Electronics Show in Las Vegas in January 1985. InfoWorld described prototypes shown at computer shows as a "typical Commodore-64-style, corner-cutting, low-cost Jack Tramiel product", but Atari unexpectedly displayed the ST at Atlanta COMDEX in May. Due to its similarities to the original Macintosh and Tramiel's role in its development, it was quickly nicknamed the Jackintosh. Atari's rapid development of the ST amazed many, but others were skeptical, citing the ST's "cheap" appearance, Atari's uncertain financial health, and poor relations between Tramiel-led Commodore and software developers. Computer Gaming World stated that Tramiel's poor pre-Atari reputation would likely make computer stores reluctant to deal with the company, hurting its distribution of the ST. One retailer said, "If you can believe Lucy when she holds the football for Charlie Brown, you can believe Jack Tramiel"; another said that because of its experience with Tramiel, "our interest in Atari is zero, zilch". Neither Atari nor Commodore could persuade large chains like ComputerLand or BusinessLand to sell its products. Observers criticized Atari's erratic discussion of its stated plans for the new computer, as it shifted between using mass merchandisers, specialty computer stores, and both. When asked at COMDEX, Atari executives could not name any computer stores that would carry the ST. After attending a meeting with the company, one analyst said, "We've seen marketing strategies changed before our eyes". Although the more than 30 companies exhibiting ST software at Las Vegas COMDEX in November 1985—while the Amiga had almost none—surprised the industry, Tramiel's poor reputation influenced potential developers of software for his computer. One said, "Dealing with Commodore is like dealing with Attila the Hun. I don't know if Tramiel will be following his old habits ... I don't see a lot of people rushing to get software on the machine." Large business-software companies like Lotus, Ashton-Tate, and Microsoft did not promise software for either the ST or Amiga, and the majority of software companies were hesitant to support another platform beyond the IBM PC, Apple and Commodore 64; "These days, if I were a consumer, I'd stick with companies [e.g. Apple and IBM] I know will be around", said Philippe Kahn of Borland. After Atlanta COMDEX, The New York Times reported that "more than 100 software titles will be available for the [ST], most written by small software houses that desperately need work", and contrasted the "small, little-known companies" at Las Vegas with the larger ones like Electronic Arts and Activision, which planned Amiga programs. Trip Hawkins of Electronic Arts said, "I don't think Atari understands the software business. I'm still skeptical about its resources and its credibility." Although Michael Berlyn of Infocom promised that his company would quickly publish all of its games for the new computer, he doubted many others would soon do so. Other companies such as Spinnaker Software and Lifetree Software were more positive; both promised to release ST software, with the former saying that "Atari has a vastly improved attitude toward software developers. They are eager to give us technical support and machines", and the latter stating, "We are giving Atari high priority". Some, such as Software Publishing Corporation, were unsure of whether to develop for the ST or the Amiga; while John C. Dvorak wrote that the public saw both Commodore and Atari as selling "cheap disposable" game machines, in part because of their computers' sophisticated graphics. Release Atari ST print advertisements stated, "America, We Built It For You", and quoted Atari president Sam Tramiel: "We promised. We delivered. With pride, determination, and good old ATARI know how". But Atari was out of cash, Jack Tramiel admitted that sales of its 8-bit computers were "very, very slow", and employees feared that he would shut the company down. In spring of 1985, the 520ST shipped to the press, developers and user groups; and in early July 1985 for general retail sales. It saved the company. By November, Atari stated that it had sold more than 50 thousand 520STs, "with U.S. sales alone well into five figures". The machine had gone from concept to store shelves in a little under a year. Atari had intended to release versions with 128 KB and 256 KB of RAM as the 130ST and 260ST respectively. However, the ST initially shipped with TOS on disk, requiring 206 KB RAM when loaded, leaving little or no room for applications. The 260ST did make its way into Europe on a limited basis. Early models were designed with six ROM sockets that allowed easy upgrading to the future ROM-based TOS. These became available only a few months later and were included in all new machines as well as being available as an upgrade for older machines. By late 1985 the machines were also upgraded with the addition of an RF modulator (for TV display), a version known as the 520STM. ST systems before the Mega ST range have no battery-backed clock, although third-party boards that went between the 6301 socket and the 6301 chip which was used for the keyboard and clock could be connected to a rechargeable battery pack to provide a battery-backed clock. Atari originally intended to include GEM's GDOS (Graphical Device Operating System), which allowed programs to send GEM VDI (Virtual Device Interface) commands to drivers loaded by GDOS. This allowed developers to send VDI instructions to other devices simply by pointing to it. However, GDOS was not ready at the time the ST started shipping and was included in software packages and later ST machines. Later versions of GDOS supported vector fonts. A limited set of GEM fonts were included in the ROMs, including the ST's standard 8x8 pixel graphical character set. It contained four unusual characters which could be placed together in a square, forming a facsimile of the face of J. R. "Bob" Dobbs (the figurehead of the Church of the SubGenius). The ST was less expensive than most machines, including the Macintosh Plus, and was faster than many. Largely as a result of its price/performance factor, the ST became fairly popular, notably in European markets where foreign-exchange rates amplified prices. The company's English advertising slogan of the era was "Power Without the Price." An Atari ST and terminal emulation software was much cheaper than a Digital VT220 terminal, commonly needed by offices with central computers. Design Original housing The original 520ST case design was created by Ira Velinsky, Atari's chief Industrial Designer. It is wedge-shaped, with bold angular lines and a series of grilles cut into the rear for airflow. The keyboard has soft tactile feedback and rhomboid-shaped function keys across the top. It is an all-in-one unit, similar to earlier home computers like the Commodore 64, but with a larger keyboard with cursor keys and a numeric keypad. It used an external AC adapter. Port connections The 520ST has a large number of ports at the rear of the machine that remained largely unchanged over its history. Standard ports: RS-232c serial port (DB25 male, operating as basic 9-conductor DTE) Centronics printer port (DB25 female, officially compliant only with the most basic unidirectional standard with a single, "Busy" input line; unofficially offering some bidirectional capabilities) Atari joystick ports (DE-9 male) for the mouse and game controllers 2 MIDI ports (5-pin DIN, "IN" and "OUT") ST-specific ports: Monitor port (custom 13-pin DIN, 12 of the pins in a rectangular pattern, carrying signals for both RGB and monochrome monitors, monophonic audio and, in later models, composite video) ACSI (similar to SCSI) DMA port (custom-sized 19-pin D-sub, for hard disks and laser printers, capable of up to 2 MByte/s with efficient programming) Floppy port (14-pin DIN, listed as operating at 250 kbit/s) ST cartridge port (double-sided 40-contact edge connector socket, for 128 KB ROM cartridges) Because of its bi-directional design, the Centronics printer port can be used for joystick input, and several games used available adaptors that used the printer socket, providing two additional 9-pin joystick ports. Monitor The ST supports a monochrome or color monitor. The color hardware supports two resolutions: 320 × 200, with 16 out of 512 colors; and 640 × 200, with 4 out of 512 colors. The monochrome monitor was less expensive and has a single resolution of 640 × 400 at 71.25 Hz. The attached monitor determines available resolutions, so software either supports both types of monitors or works with only one. Most ST games require color. Floppy drive Atari initially used single-sided 3.5 inch disk drives that could store up to 360 kB. Later drives were double-sided and stored 720 kB. Some commercial software, particularly games, shipped by default on single-sided disks, even supplying two 360kB floppies instead of a single double-sided one, for fear of alienating early adopters. Another sticking point with the ST's floppy drives was that, while double-sided drive equipped STs could happily read discs formatted under MS-DOS on IBM PCs, PCs could not themselves read Atari disks, because the initial versions of TOS could recognise, read, and write to (but not themselves create) discs in the same particular specification used and indeed demanded by MS-DOS because of differences in the layout of data on track 0. Atari ST native format uses 5 sectors for FAT12 entries, while MSDOS uses 3 sectors for double sided floppies and 2 sectors for single sided floppies. Although the number of sectors for the FAT12 entries is included on track 0, MSDOS ignores it and assumes 2 (single sided) or 3 sectors (double sided). The Atari ST uses that info, so it can operate with floppies formatted either way. Achieving successful data interchange between the two platforms normally meant using floppies formatted by MSDOS, or by third party formatting utilities that were later released for the Atari ST. Conversion utilities such as MOSDOS.TOS could convert a native ST formatted floppy to a MSDOS compatible floppy. Other utilities allowed for transfer with unusual formats, such as the Commodore Amiga. Atari's own version 1.4 (and later) TOS upgrades, switched to formatting MSDOS compatible floppies. STF and STFM models Atari later upgraded the basic design in 1986 with the 1040STF (also written STF). The machine is generally similar to the earlier 520ST, but moved the power supply and a double-sided floppy drive into the rear of the housing of the computer, as opposed to being external. This added to the size of the machine, but reduced cable clutter in the back. The joystick/mouse ports, formerly on the right side of the machine where the disk drive now sat, were moved to a niche underneath the keyboard. The 1040ST was the one of the earliest personal computers shipped with a base RAM configuration of 1 MB. When the list price was reduced to $999 in the U.S. it appeared on the cover of BYTE in March 1986 as the first computer to break the $1000/megabyte price barrier; Compute! noted that, in fact, the 1040ST was the first computer to break the $2500/megabyte price barrier. However, the ST remained generally the same internally over the majority of its several-year lifespan. The choice of model numbers was inherited from the model numbers of the XE series of the Atari 8-bit family of computers. A limited number of 1040STFs shipped with a single-sided floppy drive. The same basic design was also used for a cut-down version, the 512 KB 520STFM, which replaced the earlier 520ST models in the market. The early 'STF' machines lack the 'M' modulator that allows a TV to be used and will therefore only work with a monitor. Mega models Initial sales were strong, especially in Europe, where Atari sold 75% of its computers. Germany became Atari's strongest market, with small business owners using them for desktop publishing and CAD. To address this growing market segment, Atari introduced the ST1 at Comdex in 1986. Renamed the Mega, it includes a high-quality detached keyboard, a stronger case to support the weight of a monitor, and an internal bus expansion connector. A 20 MB hard drive could also be purchased and placed below or above the main case. Initially equipped with 2 or 4 MB of RAM (a 1 MB version, the Mega 1, later followed), the Mega machines could be combined with Atari laser's printer for a low-cost desktop publishing package. A custom blitter coprocessor improved some graphics performance, but was not included in all models. Developers wanting to use it had to detect its presence in their programs. Properly written applications using the GEM API automatically make use of the blitter. Later models STE models In late 1989, Atari released the 520STE and 1040STE (also written STE), enhanced version of the ST with improvements to the multimedia hardware and operating system. It features an increased color palette of 4,096 colors from the ST's 512 (though the maximum displayable palette of these without programming tricks was still limited to 16 in the lowest 320x200 resolution, and even fewer in higher resolutions), Genlock support, and a blitter co-processor (stylized as "BLiTTER") which can quickly move large blocks of data (most particularly, graphics data) around in RAM. The STE was the first Atari with PCM audio; using a new chip, it added the ability to play back 8-bit (signed) samples at 6258 Hz, 12517 Hz, 25033 Hz and even 50066 Hz, via DMA (Direct Memory Access). The channels are arranged as either a mono track or a track of LRLRLRLR... bytes. RAM was now much more simply upgradable via SIMMs. Two enhanced joystick ports were added (two normal joysticks can be plugged into each port with an adapter), with the new connectors placed in more easily accessed locations on the side of the case. The enhanced joystick ports were re-used in Atari's Jaguar console and are compatible. The STE models initially had software and hardware conflicts resulting in some applications and video games written for the ST line being unstable or even completely unusable, primarily caused by programming direct hardware calls which bypassed the operating system. Furthermore, even having a joystick plugged in would sometimes cause strange behavior with a few applications (such as the WYSIWYG word-processor application 1st Word Plus). Very little use was made of the extra features of the STE: STE-enhanced and STE-only software was rare. The last STE machine, the Mega STE, is an STE in a grey Atari TT case that had a switchable 16 MHz, dual-bus design (16-bit external, 32-bit internal), optional Motorola 68881 FPU, built-in 1.44 MB "HD" 3½-inch floppy disk drive, VME expansion slot, a network port (very similar to that used by Apple's LocalTalk) and an optional built-in 3½" hard drive. It also shipped with TOS 2.00 (better support for hard drives, enhanced desktop interface, memory test, 1.44 MB floppy support, bug fixes). It was marketed as more affordable than a TT but more powerful than an ordinary ST. Atari TT In 1990, Atari released the high-end workstation-oriented Atari TT030, based on a 32 MHz Motorola 68030 processor. The "TT" name ("Thirty-two/Thirty-two") continued the nomenclature system as the 68030 chip had full 32-bit wide buses both internally and externally. Originally planned with a 68020 CPU, the TT included improved graphics and more powerful support chips. The case was a new design with an integrated hard-drive enclosure. Atari Falcon The final model of ST computer was the multimedia-capable Atari Falcon030. Like the TT, it was also 68030-based, operating at 16 MHz, but with improved video modes and an on-board Motorola 56001 audio digital signal processor. Like the Atari STE, it supported sampling frequencies above 44.1 kHz; the sampling master clock is 98340 Hz (which can be divided by a number between 2 and 16 to get the actual sampling frequencies). Apart from these frequencies, it could also play the STE sample frequencies (up to 50066 Hz) in 8 or 16 bit, mono/stereo, all by using the same DMA interface as the STE, with a few additions. It could both play back and record samples, with 8 mono channels and 4 stereo channels, allowing musicians to use it for hard-disk recording. Although the 68030 microprocessor could use 32-bit memory, the Falcon used a 16-bit bus, which affected its performance, but also reduced its cost. In another cost-reduction measure, Atari shipped the Falcon in an inexpensive case much like that of the STF and STE. Aftermarket upgrade kits were available that allowed it to be put in a desktop or rack-mount case, with the keyboard separate. Released in 1992, the Falcon was discontinued by Atari the following year. In Europe, C-Lab licensed the Falcon design from Atari and released the C-Lab Falcon Mk I, identical to Atari's Falcon except for slight modifications to the audio circuitry. The Mk II added an internal 500 MB SCSI hard disk; and the Mk X further added a desktop case. C-Lab Falcons were also imported to the US by some Atari dealers. Software As with the Atari 8-bit computers, software publishers attributed their reluctance to produce Atari ST products in part to—as Compute! reported in 1988—the belief in the existence of a "higher-than-normal amount of software piracy". That year WordPerfect threatened to discontinue the Atari ST version of its word processor because the company discovered that pirate bulletin board systems (BBSs) were distributing it, causing ST-Log to warn that "we had better put a stop to piracy now ... it can have harmful effects on the longevity and health of your computer". In 1989, magazines published a letter by Gilman Louie, head of Spectrum HoloByte. He stated that he had been warned by competitors that releasing a game like Falcon on the ST would fail because BBSs would widely disseminate it. Within 30 days of releasing the non-copy protected ST version, the game was available on BBSs with maps and code wheels. Because the ST market was smaller than that for the IBM PC it was more vulnerable to piracy which, Louie said, seemed to be better organized and more widely accepted for the ST. He reported that the Amiga version sold in six weeks twice as much as the ST version in nine weeks, and that the Mac and PC versions had four times the sales. Computer Gaming World stated "This is certainly the clearest exposition ... we have seen to date" of why software companies produced less software for the ST than for other computers. Music and sound The ST has built-in MIDI ports, and there was plenty of MIDI-related software for use professionally in music studios, or by amateur enthusiasts. The popular Windows/Macintosh applications Cubase and Logic Pro originated on the Atari ST (the latter as Notator Logic, preceded by Creator, Notator and Notator-SL). Another popular and powerful ST music sequencer application, Dr. T's KCS, contains a "Multi-Program Environment" that allows ST users to run other applications, such as the synthesizer patch editing software XoR (now known as Unisyn on the Macintosh), from within the sequencer application. Music tracker software was popular on the ST, such as the TCB Tracker, aiding the production of quality music from the Yamaha synthesizer ('chiptunes'). An innovative music composition program that combines the sample playing abilities of a tracker with conventional music notation (which was usually only found in MIDI software) is called Quartet (after its four-note polyphonic tracker, which displays one monophonic stave at a time on color screens). Due to the ST having comparatively large amounts of memory for the time, sound sampling packages became a realistic proposition. The Microdeal Replay Professional product features a sound sampler that cleverly uses the ST cartridge port to read in parallel from the cartridge port from the ADC. For output of digital sound, it uses the on-board frequency output, sets it to 128 kHz (inaudible) and then modulates the amplitude of that. Another program that had success on the ST platform is MasterTracks Pro from Passport Designs, of Half Moon Bay, CA., that was first put out by Don Williams for the Macintosh. When the ST died, a PC version continued that one could port MIDI to using the generic .MID format. GVox bought out Passport, and continues the program for Windows and macOS along with the other Passport product, the notation program Encore, which is as of 2013 marketed and maintained by a new iteration, Passport Music Software, LLC. Software titles Also popular on the ST was professional desktop publishing software, such as PageStream and Calamus; office tools such as word processors (WordPerfect, Microsoft Write, AtariWorks, WordWriter ST, First Word [shipped with the machine] and its Plus continuation, and others); spreadsheets (3D-Calc, LDW Power, LDW Power 2, LOGiSTiX Senior, PowerLedger ST, SwiftCalc ST, VIP Professional, and others); turnkey programs (Mail-Pro, Sales-Pro 6, Video-Pro, and others); database programs (A-Calc Prime, Data Manager, Data Manager Professional, DBMan V, Base Two, H&DBase, Informer II, DB Master One, SBT Database Accounting Library (dLedger, dInvoice, dOrder, dPurchases, and dPayables), Superbase Personal, Superbase Professional, Tracker ST, Zoomracks and others); and various CAD and CAM tools from amateur hobbyist to professional grade (Campus CAD, DynaCADD, Leonard ST, Technobox CAD/2...): all being largely targeted at, or even limited to owners of high-resolution monochrome monitors. Graphics programs such as NEOchrome, Degas & Degas Elite, Canvas, Deluxe Paint, and Cyber Paint (which author Jim Kent would later evolve into Autodesk Animator) featured advanced features such as 3D design and animation. One paint program, Spectrum 512, uses the ST's rapid palette switching ability to expand the maximum number of colors to be displayed on-screen at once to 512 (up to 46 in each scan line. 3D computer graphics applications (like Cyber Studio CAD-3D, which author Tom Hudson would later develop into Autodesk 3D Studio), brought 3D modelling, sculpting, scripting, and computer animation to the desktop. Video-capture and -editing applications using special video-capture 'dongles' connected using the cartridge port: low frame rate, mainly silent and monochrome, but progressing to sound and basic color (in still frames) by the end of the machine's life. At the end, Spectrum 512 and CAD-3D teamed up to produce realistic 512-color textured 3D renderings, but processing was slow, and Atari's failure to deliver a machine with a math coprocessor had Hudson and Yost looking towards the PC as the future before a finished product could be delivered to the consumer. The Atari ST was the computer upon which today's prevalent graphical touchscreen point of sale software for restaurants was originally developed. This software was created by Gene Mosher under the ViewTouch copyright and trademark. It does not feature the Atari ST's GEM graphical user interface but, instead, features an application specific graphical user interface and widget framework
problems which consists of heuristics, including some for how to use and change its heuristics. Google Now, an intelligent personal assistant with a voice interface in Google's Android and Apple Inc.'s iOS, as well as Google Chrome web browser on personal computers. Holmes a new AI created by Wipro. Microsoft Cortana, an intelligent personal assistant with a voice interface in Microsoft's various Windows 10 editions. Mycin, an early medical expert system. Open Mind Common Sense, a project based at the MIT Media Lab to build a large common sense knowledge base from online contributions. P.A.N., a publicly available text analyzer. Siri, an intelligent personal assistant and knowledge navigator with a voice-interface in Apple Inc.'s iOS and macOS. SNePS, simultaneously a logic-based, frame-based, and network-based knowledge representation, reasoning, and acting system. Viv (software), a new AI by the creators of Siri. Wolfram Alpha, an online service that answers queries by computing the answer from structured data. Motion and manipulation AIBO, the robot pet for the home, grew out of Sony's Computer Science Laboratory (CSL). Cog, a robot developed by MIT to study theories of cognitive science and artificial intelligence, now discontinued. Music Melomics, a bioinspired technology for music composition and synthesization of music, where computers develop their own style, rather than mimic musicians. Natural language processing AIML, an XML dialect for creating natural language software agents. Apache Lucene, a high-performance, full-featured text search engine library written entirely in Java. Apache OpenNLP, a machine learning based toolkit for the processing of natural language text. It supports the most common NLP tasks, such as tokenization, sentence segmentation, part-of-speech tagging, named entity extraction, chunking and parsing. Artificial Linguistic Internet Computer Entity (A.L.I.C.E.), an award-winning natural language processing chatterbot. Cleverbot, successor to Jabberwacky, now with 170m lines of conversation, Deep Context, fuzziness and parallel processing. Cleverbot learns from around 2 million user interactions per month. ELIZA, a famous 1966 computer program by Joseph Weizenbaum, which parodied person-centered therapy. GPT-3, a 2020 language model developed by OpenAI that can produce text difficult to distinguish from that written by a human. Jabberwacky, a chatbot by Rollo Carpenter, aiming to simulate natural human chat. Mycroft, a free and open-source intelligent personal assistant that uses a natural language user interface. PARRY, another early chatterbot, written in 1972 by Kenneth Colby, attempting to simulate a paranoid schizophrenic. SHRDLU, an early natural language processing computer program developed by Terry Winograd at MIT from 1968 to 1970. SYSTRAN, a machine translation technology by the company of the same name, used by Yahoo!, AltaVista and Google, among others. ASR-automated speech recognization System. Other 1 the Road, the first novel marketed by an AI. Synthetic Environment for Analysis and Simulations (SEAS), a model of the real world used by Homeland security and the United States Department of Defense that uses simulation and AI to predict and evaluate future events and courses of action. Multipurpose projects Software libraries Apache Mahout, a library of scalable machine learning algorithms. Deeplearning4j, an open-source, distributed deep learning framework written for the JVM. Keras, a high level open-source software library for machine learning (works on top of other libraries). Microsoft Cognitive Toolkit (previously known as CNTK), an open source toolkit for building
humans. Deep Blue, a chess-playing computer developed by IBM which beat Garry Kasparov in 1997. FreeHAL, a self-learning conversation simulator (chatterbot) which uses semantic nets to organize its knowledge to imitate a very close human behavior within conversations. Halite, an artificial intelligence programming competition created by Two Sigma. Libratus, a poker AI that beat world-class poker players in 2017, intended to be generalisable to other applications. Quick, Draw!, an online game developed by Google that challenges players to draw a picture of an object or idea and then uses a neural network to guess what the drawing is. Stockfish AI, an open source chess engine currently ranked the highest in many computer chess rankings. TD-Gammon, a program that learned to play world-class backgammon partly by playing against itself (temporal difference learning with neural networks). Internet activism Serenata de Amor, project for the analysis of public expenditures and detect discrepancies. Knowledge and reasoning Braina, an intelligent personal assistant application with a voice interface for Windows OS. Cyc, an attempt to assemble an ontology and database of everyday knowledge, enabling human-like reasoning. Eurisko, a language by Douglas Lenat for solving problems which consists of heuristics, including some for how to use and change its heuristics. Google Now, an intelligent personal assistant with a voice interface in Google's Android and Apple Inc.'s iOS, as well as Google Chrome web browser on personal computers. Holmes a new AI created by Wipro. Microsoft Cortana, an intelligent personal assistant with a voice interface in Microsoft's various Windows 10 editions. Mycin, an early medical expert system. Open Mind Common Sense, a project based at the MIT Media Lab to build a large common sense knowledge base from online contributions. P.A.N., a publicly available text analyzer. Siri, an intelligent personal assistant and knowledge navigator with a voice-interface in Apple Inc.'s iOS and macOS. SNePS, simultaneously a logic-based, frame-based, and network-based knowledge representation, reasoning, and acting system. Viv (software), a new AI by the creators of Siri. Wolfram Alpha, an online service that answers queries by computing the answer from structured data. Motion and manipulation AIBO, the robot pet for the home, grew out of Sony's Computer Science Laboratory (CSL). Cog, a robot developed by MIT to study theories of cognitive science and artificial intelligence, now discontinued. Music Melomics, a bioinspired technology for music composition and synthesization of music, where computers
hear her sing, as well as admitting that she "spoiled" her and her brother Rashad. She also enjoyed Aaliyah's singing and would have Aaliyah sing for her. Aaliyah said she thought of her grandmother whenever she fell into depression. Aaliyah's hands reminded her of her aunt, who died when she was very young and whom Aaliyah remembered as an "amazingly beautiful woman". Education When she was growing up, Aaliyah attended Detroit schools and believed she was well-liked, but got teased for her short stature. She recalled coming into her own prior to age 15 and grew to love her height. Her mother would tell her to be happy that she was small and compliment her. Other children disliked Aaliyah, but she did not stay focused on them. "You always have to deal with people who are jealous, but there were so few it didn't even matter. The majority of kids supported me, which was wonderful. When it comes to dealing with negative people, I just let it in one ear and out the other. Those people were invisible to me." Even in her adult life, she considered herself small. She had "learned to accept and love" herself and added: "... the most important thing is to think highly of yourself because if you don't, no one else will". During her audition for acceptance to the Detroit High School for the Fine and Performing Arts, Aaliyah sang the song "Ave Maria" in its entirety in the Italian language. Aaliyah, who maintained a perfect 4.0 grade-point average when graduating from high school, felt education was important. She saw fit to keep her grades up despite the pressures and time constraints brought on her during the early parts of her career. She labeled herself as a perfectionist and recalled always being a good student. Aaliyah reflected: "I always wanted to maintain that, even in high school when I first started to travel. I wanted to keep that 4.0. Being in the industry, you know, I don't want kids to think, 'I can just sing and forget about school.' I think it's very important to have an education, and even more important to have something to fall back on." She did this in her own life, as she planned to "fall back on" another part of the entertainment industry. She believed that she could teach music history or open her own school to teach that or drama if she did not make a living as a recording artist because, as she reasoned, "when you pick a career it has to be something you love". Career 1991–1995: Age Ain't Nothing but a Number After Hankerson signed a distribution deal with Jive Records, he signed Aaliyah to his Blackground Records label at the age of 12. Hankerson later introduced her to recording artist and producer R. Kelly, who became Aaliyah's mentor, as well as lead songwriter and producer of her first album, which was recorded when she was 14. Aaliyah's debut album, Age Ain't Nothing but a Number, was released under her mononym "Aaliyah", by Jive and Blackground Records on May 24, 1994; the album debut at number 24 on the Billboard 200 chart, selling 38,000 copies in its first week. It ultimately peaked at number 18 on the Billboard 200 and sold over three million copies in the United States, where it was certified two times Platinum by the RIAA. In Canada, the album sold over 50,000 copies and was certified gold by the CRIA. Aaliyah's debut single, "Back & Forth", topped the Billboard Hot R&B/Hip-Hop Songs chart for three weeks and was certified Gold by the RIAA. The second single, a cover of The Isley Brothers' "At Your Best (You Are Love)", peaked at number six on the Billboard Hot 100 and was also certified Gold by the RIAA. The title track, "Age Ain't Nothing but a Number", peaked at number 75 on the Hot 100. Additionally, she released "The Thing I Like" as part of the soundtrack to the 1994 film A Low Down Dirty Shame. Age Ain't Nothing But a Number received generally favorable reviews from music critics. Some writers noted that Aaliyah's "silky vocals" and "sultry voice" blended with Kelly's new jack swing helped define R&B in the 1990s. Her sound was also compared to that of female quartet En Vogue. Christopher John Farley of Time magazine described the album as a "beautifully restrained work", noting that Aaliyah's "girlish, breathy vocals rode calmly on R. Kelly's rough beats". Stephen Thomas Erlewine of AllMusic felt that the album had its "share of filler", but described the singles as "slyly seductive". He also claimed that the songs on the album were "frequently better" than that of Kelly's second studio album, 12 Play. The single "At Your Best (You Are Love)" was criticized by Billboard for being out of place on the album and for its length. 1996–2000: One in a Million and Romeo Must Die In 1996, Aaliyah left Jive Records and signed with Atlantic Records. She worked with record producers Timbaland and Missy Elliott, who contributed to her second studio album, One in a Million. Missy Elliott recalled Timbaland and herself being nervous to work with Aaliyah, since Aaliyah had already released her successful debut album while Missy Elliott and Timbaland were just starting out. Missy Elliott also feared she would be a diva, but reflected that Aaliyah "came in and was so warming; she made us immediately feel like family." The album yielded the single "If Your Girl Only Knew", which topped the Billboard Hot R&B/Hip-Hop Songs for two weeks. It also generated the singles "Hot Like Fire" and "4 Page Letter". The following year, Aaliyah was featured on Timbaland & Magoo's debut single, "Up Jumps da Boogie". One in a Million peaked at number 18 on the Billboard 200, selling 3 million copies in the United States and over eight million copies worldwide. The album was certified double platinum by the RIAA on June 16, 1997, denoting shipments of two million copies. The month prior to One in a Millions release, on May 5, 1997, music publisher Windswept Pacific filed a lawsuit in U.S. District Court against Aaliyah claiming she had illegally copied Bobby Caldwell's "What You Won't Do for Love" for the single "Age Ain't Nothing but a Number". Aaliyah attended the Detroit High School for the Fine and Performing Arts, where she majored in drama and graduated in 1997 with a 4.0 GPA. Aaliyah began her acting career that same year; she played herself in the police drama television series New York Undercover. During this time, Aaliyah participated in the Children's Benefit Concert, a charity concert that took place at the Beacon Theatre in New York. Aaliyah also became the spokesperson for Tommy Hilfiger Corporation. During Aaliyah's campaign with Tommy Hilfiger, the company sold over 2,400 pairs of the red, white and blue baggy jeans that she wore in their advertisements which prompted them to restock 5,000 more pairs of those jeans. In 1997, Aaliyah performed the Christmas carol What Child Is This at the annual holiday special Christmas in Washington. She contributed on the soundtrack album for the Fox Animation Studios animated feature Anastasia, performing a cover version of "Journey to the Past" which earned songwriters Lynn Ahrens and Stephen Flaherty a nomination for the Academy Award for Best Original Song. Aaliyah performed the song at the 1998 Academy Awards ceremony and became the youngest singer to perform at the event. The song "Are You That Somebody?" was featured on the Dr. Dolittle soundtrack, which earned Aaliyah her first Grammy Award nomination. The song peaked at number 21 on the Hot 100. In 1999, Aaliyah landed her first film role in Romeo Must Die, released March 22, 2000. Aaliyah starred opposite martial artist Jet Li, playing a couple who fall in love amid their warring families. It grossed US$18.6 million in its first weekend, ranking number two at the box office. Aaliyah purposely stayed away from reviews of the film to "make it easier on" herself, but she heard "that people were able to get into me, which is what I wanted." In contrast, some critics felt there was no chemistry between her and Jet Li, as well as viewing the film was too simplistic. This was echoed by Elvis Mitchell of The New York Times, who wrote that while Aaliyah was "a natural" and the film was conceived as a spotlight for both her and Li, "they have so little chemistry together you'd think they're putting out a fire instead of shooting off sparks. Her role was well received by Glen Oliver by IGN who liked that she did not portray her character "as a victimized female" but instead "as a strong female who does not come across as an over-the-top Women's Right Advocate." In addition to acting, Aaliyah served as an executive producer of the film's soundtrack, where she contributed four songs. "Try Again" was released as a single from the soundtrack; the song topped the Billboard Hot 100, making Aaliyah the first artist to top the chart based solely on airplay; this led the song to be released in a 12" vinyl and 7" single. The music video won the Best Female Video and Best Video from a Film awards at the 2000 MTV Video Music Awards. It also earned her a Grammy Award nomination for Best Female R&B Vocalist. The soundtrack went on to sell 1.5 million copies in the United States. 2001: Aaliyah and Queen of the Damned After completing Romeo Must Die, Aaliyah began to work on her second film, Queen of the Damned. She played the role of an ancient vampire, Queen Akasha, which she described as a "manipulative, crazy, sexual being". Filming both Romeo Must Die and Queen of the Damned delayed the release of the album. Aaliyah had not intended for her albums to have such a gap between them. "I wanted to take a break after One in a Million to just relax, think about how I wanted to approach the next album. Then, when I was ready to start back up, "Romeo" happened, and so I had to take another break and do that film and then do the soundtrack, then promote it. The break turned into a longer break than I anticipated." Aaliyah enjoyed balancing her singing and acting careers. Though she called music a "first" for her, she also had been acting since she was young and had wanted to begin acting "at some point in my career," but "wanted it to be the right time and the right vehicle" and felt Romeo Must Die "was it". Connie Johnson of the Los Angeles Times argued that Aaliyah having to focus on her film career may have caused her to not give the album "the attention it merited." Collaborator Timbaland concurred, stating that he was briefly in Australia to work on the album while Aaliyah was filming and did not feel the same production had gone into Aaliyah as One in a Million had. He also said Virgin Records had rushed the album and Aaliyah had specifically requested Missy Elliott and Timbaland work on Aaliyah with her. During the recording stages for the album, Aaliyah's publicist disclosed that the album's release date was most likely in October 2000. Ultimately she finished recording the album in March 2001; after a year of recording tracks that began in March of the previous year. Aaliyah was released five years after One in a Million on July 17, 2001, and it debuted at number two on the Billboard 200, selling 187,000 copies in its first week. The first single from the album, "We Need a Resolution", peaked at number 59 on the Billboard Hot 100. The week after Aaliyah's death, her third and self-titled studio album, rose from number 19 to number one on the Billboard 200. "Rock the Boat" was released as a posthumous single. The music video premiered on BET's Access Granted; it became the most viewed and highest rated episode in the history of the show. The song peaked at number 14 on the Billboard Hot 100 and number two on the Billboard Hot R&B/Hip-Hop Songs chart. It was also included on the Now That's What I Call Music! 8 compilation series; a portion of the album's profits was donated to the Aaliyah Memorial Fund. Promotional posters for Aaliyah that had been put up in major cities such as New York and Los Angeles became makeshift memorials for grieving fans. "More than a Woman" and "I Care 4 U" were released as posthumous singles and peaked within the top 25 of the Billboard Hot 100. The album was certified double Platinum by the RIAA and sold 2.6 million copies in the United States. "More than a Woman" reached number one on the UK singles chart making Aaliyah the first female deceased artist to reach number one on the UK singles chart. "More than a Woman" was replaced by George Harrison's "My Sweet Lord" which is the only time in the UK singles chart's history where a dead artist has replaced another dead artist at number one. In July 2001, she allowed MTV's show Diary behind-the-scenes access to her life and stated: "I am truly blessed to wake up every morning to do something that I love; there is nothing better than that." She continued, "Everything is worth it – the hard work, the times when you're tired, the times when you are a bit sad. In the end, it's all worth it because it really makes me happy. I wouldn't trade it for anything else in the world. I've got good friends, a beautiful family and I've got a career. I thank God for his blessings every single chance I get." Aaliyah was signed to appear in several future films, including a romantic film titled Some Kind of Blue, and a Whitney Houston-produced remake of the 1976 film Sparkle. Whitney Houston recalled Aaliyah being "so enthusiastic" about the film and wanting to appear in the film "so badly". Houston also voiced her belief that Aaliyah was more than qualified for the role and the film was shelved after she died, since Aaliyah had "gone to a better place". Studio officials of Warner Brothers stated that Aaliyah and her mother had both read the script for Sparkle. According to them, Aaliyah was passionate about playing the lead role of a young singer in a girl group. The film was released in 2012, eleven years after Aaliyah's death. Before her death Aaliyah was cast in the sequels of The Matrix as the character Zee. She had filmed part of her role in The Matrix Reloaded and was scheduled to film and reprise her role in The Matrix Revolutions as Zee. Aaliyah told Access Hollywood that she was "beyond happy" to have landed the role. The role was subsequently recast to Nona Gaye. Aaliyah's scenes were included in the tribute section of the Matrix Ultimate Collection series. There had been rumours that Aaliyah had been cast to play the lead in Honey but in 2020, director Bille Woodruff debunked the rumor, stating: "That’s incorrect. It was supposed to be Beyoncé. That’s been widely reported but it’s incorrect, [Beyoncé] couldn’t do it because of her touring schedule for her first album Dangerously in Love." In November 2001, Ronald Isley stated that Aaliyah and the Isley Brothers had discussed a collaboration prior to her death. She had previously covered the Isley Brothers' single "At Your Best (You Are Love)". Prior to her death, she expressed the possibility of recording songs for the Queen of The Damned soundtrack and welcomed the possibility of collaborating with Jonathan Davis. By 2001, Aaliyah had enjoyed her now seven-year career and felt a sense of accomplishment. "This is what I always wanted," she said of her career in Vibe magazine. "I breathe to perform, to entertain, I can't imagine myself doing anything else. I'm just a really happy girl right now. I honestly love every aspect of this business. I really do. I feel very fulfilled and complete." Artistry Voice and style Aaliyah had the vocal range of a soprano. With the release of her debut album Age Ain't Nothing but a Number, writer Dimitri Ehrlich of Entertainment Weekly compared her style and sound to R&B group En Vogue. Ehrlich also expressed that Aaliyah's "silky vocals are more agile than those of self-proclaimed queen of hip-hop soul Mary J. Blige." In her review for Aaliyah's second studio album One in a Million Vibe magazine, music critic Dream Hampton said that Aaliyah's "deliciously feline" voice has the same "pop appeal" as Janet Jackson's. Aaliyah described her sound as "street but sweet", which featured her "gentle" vocals over a "hard" beat. Though Aaliyah did not write any of her own material, her lyrics were described as in-depth. She incorporated R&B, pop and hip hop into her music. Her songs were often uptempo and at the same time often dark, revolving around "matters of the heart". After her R. Kelly-produced debut album, Aaliyah worked with Timbaland and Missy Elliott, whose productions were more electronic. Sasha Frere-Jones of The Wire finds Aaliyah's "Are You That Somebody?" to be Timbaland's "masterpiece" and exemplary of his production's start-stop rhythms, with "big half-second pauses between beats and voices". Keith Harris of Rolling Stone cites "Are You That Somebody?" as "one of '90s R&B's most astounding moments". Aaliyah's songs have been said to have "crisp production" and "staccato arrangements" that "extend genre boundaries" while containing "old-school" soul music. Kelefah Sanneh of The New York Times called Aaliyah "a digital diva who wove a spell with ones and zeroes", and writes that her songs comprised "simple vocal riffs, repeated and refracted to echo the manipulated loops that create digital rhythm", as Timbaland's "computer-programmed beats fitted perfectly with her cool, breathy voice to create a new kind of electronic music." When she experimented with other genres on Aaliyah, such as Latin pop and heavy metal, Entertainment Weeklys Craig Seymour panned the attempt. While analyzing her eponymous album, British publication NME (New Musical Express) felt that Aaliyah's radical third album was intended to consolidate her position as U.S.R&B's most experimental artist. As her albums progressed, writers felt that Aaliyah matured, calling her progress a "declaration of strength and independence". ABC News noted that Aaliyah's music was evolving from the punchy pop influenced Hip hop and R&B to a more mature, introspective sound on her third album. Stephen Thomas Erlewine of AllMusic described her eponymous album, Aaliyah, as "a statement of maturity and a stunning artistic leap forward" and called it one of the strongest urban soul records of its time. She portrayed "unfamiliar sounds, styles and emotions", but managed to please critics with the contemporary sound it contained. Ernest Hardy of Rolling Stone felt that Aaliyah reflected a stronger technique, where she gave her best vocal performance. Prior to her death, Aaliyah expressed a desire to learn about the burgeoning UK garage scene she had heard about at the time. Altogether, Aaliyah's music can be described as alternative R&B, progressive soul, and neo soul, according to Farley. Influences As an artist, Aaliyah often voiced that she was inspired by a number of performers. These include Michael Jackson, Stevie Wonder, Sade, En Vogue, Nine Inch Nails, Korn, Prince, Naughty by Nature, Johnny Mathis, Janet Jackson and Barbra Streisand. Aaliyah expressed that Michael Jackson's Thriller was her "favorite album" and that "nothing will ever top Thriller." She stated that she admired Sade because "she stays true to her style no matter what ... she's an amazing artist, an amazing performer ... and I absolutely love her." Aaliyah expressed she had always desired to work with Janet Jackson, whom she had drawn a frequent comparison to over the course of her career, stating "I admire her a great deal. She's a total performer ... I'd love to do a duet with Janet Jackson." Jackson reciprocated Aaliyah's affections, commenting "I've loved her from the beginning because she always comes out and does something different, musically." Jackson also stated she would have enjoyed collaborating with Aaliyah. Image Aaliyah focused on her public image throughout her career. She often wore baggy clothes and sunglasses, stating that she wanted to be herself. She described her image as being "important ... to differentiate yourself from the rest of the pack". She often wore black clothing, starting a trend for similar fashion among women in United States and Japan. Aaliyah's fashionable style has been credited for being an influence on new fashion trends called "Health Goth" and "Ghetto Goth", also known as "GHE20 GOTH1K". Aaliyah participated in fashion designer Tommy Hilfiger's All America Tour and was featured in Tommy Jean ads, which depicted her in boxer shorts, baggy jeans and a tube top. Hilfiger's brother, Andy, called it "a whole new look" that was "classy but sexy". Carson Daly A former VJ on MTV's Total Request Live commented on Aaliyah's style by saying that she was "cutting edge," "always one step ahead of the curve" and that "the TRL audience looks to her to figure out what's hot and what's new". When she changed her hairstyle, Aaliyah took her mother's advice and covered her left eye, much like Veronica Lake. The look has become known as her signature and been referred to as fusion of "unnerving emotional honesty" and "a sense of mystique". In 1998, she hired a personal trainer to keep in shape, and exercised five days a week and ate diet foods. Aaliyah was praised for her "clean-cut image" and "moral values". Robert Christgau of The Village Voice wrote of Aaliyah's artistry and image, "she was lithe and dulcet in a way that signified neither jailbait nor hottie—an ingenue whose selling point was sincerity, not innocence and the obverse it implies." Aaliyah was viewed by others as a role model. Emil Wilbekin, described by CNN as "a friend of Aaliyah's" and follower of her career, explained: "Aaliyah is an excellent role model because she started her career in the public eye at age 15 with a gold album, Age Ain't Nothing but a Number. And then her second album, One in a Million went double platinum. She had the leading role in Romeo Must Die, which was a box office success. She's won numerous awards, several MTV music video awards, and aside from her professional successes, many of her lyrics are very inspirational and uplifting. She also carried herself in a very professional manner. She was well-spoken. She was beautiful, but she didn't use her beauty to sell her music. She used her talent. Many young hip-hop fans greatly admire her." She also was seen by others as a sex symbol. Aaliyah did not have a problem with being considered one. "I know that people think I'm sexy and I am looked at as that, and it is cool with me," she stated. "It's wonderful to have sex appeal. If you embrace it, it can be a very beautiful thing. I am totally cool with that. Definitely. I see myself as sexy. If you are comfortable with it, it can be very classy and it can be very appealing." The single "We Need a Resolution" was argued to have transformed "the once tomboy into a sexy grown woman". Aaliyah mentioned that her mother, during her childhood, would take pictures of her and notice a sex appeal. She reinforced her mother's belief by saying that she did feel "sexy for sure" and that she embraced it and was comfortable with this view of her. Personal life In an 1995 interview with Honey, Aaliyah stated that she was Catholic and she attended church whenever she was at home. In 2001, she told Vibe magazine that she was mostly a homebody and liked "the simple things in life." Aaliyah revealed during her final interview on August 21, 2001, on the television show 106 & Park, that she had never owned a car because she lived in New York City and could hire a car or driver on a regular basis. Family Aaliyah's family played a major role in the course of her career. Aaliyah's father Michael Haughton served as her personal manager. Her mother assisted her in her career while brother Rashad Haughton and cousin Jomo Hankerson worked with her consistently. Her father's illness ended his co-management of Aaliyah with her mother Diane Haughton. She ran all of her decisions by Rashad. Aaliyah was known to have usually been accompanied by members of her family and the "Rock the Boat" filming was credited by Rashad Haughton as being the first and only time her family was not present. In October 2001, Rashad stated: "It really boggles everyone [that] from Day One, every single video she ever shot there's always been myself or my mother or my father there. The circumstances surrounding this last video were really strange because my mother had eye surgery and couldn't fly. That really bothered her because she always traveled. My dad had to take care of my mom at that time. And I went to Australia to visit some friends. We really couldn't understand why we weren't there. You ask yourself maybe we could have stopped it. But you can't really answer the question. There's always gonna be that question of why." Aaliyah's friend Kidada Jones said in the last year of her life her parents had given her more freedom and she had talked about wanting a family. Gladys Knight, who had been married to Aaliyah's uncle Barry Hankerson, was essential to the start of Aaliyah's career as she gave her many of her earlier performances. One of their last conversations concerned Aaliyah having difficulty with "another young artist" that she was trying to work with. Knight felt the argument was "petty" and insisted that she remain being who she was in spite of the conflict. Illegal marriage With the release of Age Ain't Nothing but a Number, rumors circulated of a relationship between Aaliyah and R. Kelly, including the allegation that they had secretly married without her parents' knowledge. Vibe magazine later revealed a marriage certificate that listed the couple married on August 31, 1994, in Sheraton Gateway Suites in Rosemont, Illinois. Aaliyah, who was 15 at the time, was listed as 18 on the certificate; R. Kelly was 27. The marriage was annulled by her parents in February 1995, but the pair denied the allegations, stating that neither was married. Aaliyah reportedly developed an intimate relationship with Kelly during the recording of her debut album. Aaliyah recalled to Vibe magazine in 1994 that she and Kelly would "go watch a movie" and "go eat" when she got tired and would then "come back and work." She described the relationship between her and Kelly as being "rather close." In December 1994, Aaliyah told the Sun-Times that whenever she was asked about being married to Kelly, she urged them not to believe "all that mess" and that she and Kelly were "close" and "people took it the wrong way." Jamie Foster Brown in the 1994 issue of Sister 2 Sister wrote that "R. Kelly told me that he and Aaliyah got together and it was just magic." Brown also reported hearing about a sexual relationship between them. "I've been hearing about Robert and Aaliyah for a while—that she was pregnant. Or that she was coming and going in and out of his house. People would see her walking his dog, 12 Play, with her basketball cap and sunglasses on. Every time I asked the label, they said it was platonic. But I kept hearing complaints from people about her being in the studio with all those men." Brown later added "at 15, you have all those hormones and no brains attached to them." In his 2011 book The Man Behind the Man: Looking From the Inside Out, Demetrius Smith Sr., Kelly's former tour manager, revealed that Kelly married Aaliyah after she told him that she was pregnant. In the 2019 documentary Surviving R. Kelly, Smith described how he helped Aaliyah forge the necessary documents to
successes, many of her lyrics are very inspirational and uplifting. She also carried herself in a very professional manner. She was well-spoken. She was beautiful, but she didn't use her beauty to sell her music. She used her talent. Many young hip-hop fans greatly admire her." She also was seen by others as a sex symbol. Aaliyah did not have a problem with being considered one. "I know that people think I'm sexy and I am looked at as that, and it is cool with me," she stated. "It's wonderful to have sex appeal. If you embrace it, it can be a very beautiful thing. I am totally cool with that. Definitely. I see myself as sexy. If you are comfortable with it, it can be very classy and it can be very appealing." The single "We Need a Resolution" was argued to have transformed "the once tomboy into a sexy grown woman". Aaliyah mentioned that her mother, during her childhood, would take pictures of her and notice a sex appeal. She reinforced her mother's belief by saying that she did feel "sexy for sure" and that she embraced it and was comfortable with this view of her. Personal life In an 1995 interview with Honey, Aaliyah stated that she was Catholic and she attended church whenever she was at home. In 2001, she told Vibe magazine that she was mostly a homebody and liked "the simple things in life." Aaliyah revealed during her final interview on August 21, 2001, on the television show 106 & Park, that she had never owned a car because she lived in New York City and could hire a car or driver on a regular basis. Family Aaliyah's family played a major role in the course of her career. Aaliyah's father Michael Haughton served as her personal manager. Her mother assisted her in her career while brother Rashad Haughton and cousin Jomo Hankerson worked with her consistently. Her father's illness ended his co-management of Aaliyah with her mother Diane Haughton. She ran all of her decisions by Rashad. Aaliyah was known to have usually been accompanied by members of her family and the "Rock the Boat" filming was credited by Rashad Haughton as being the first and only time her family was not present. In October 2001, Rashad stated: "It really boggles everyone [that] from Day One, every single video she ever shot there's always been myself or my mother or my father there. The circumstances surrounding this last video were really strange because my mother had eye surgery and couldn't fly. That really bothered her because she always traveled. My dad had to take care of my mom at that time. And I went to Australia to visit some friends. We really couldn't understand why we weren't there. You ask yourself maybe we could have stopped it. But you can't really answer the question. There's always gonna be that question of why." Aaliyah's friend Kidada Jones said in the last year of her life her parents had given her more freedom and she had talked about wanting a family. Gladys Knight, who had been married to Aaliyah's uncle Barry Hankerson, was essential to the start of Aaliyah's career as she gave her many of her earlier performances. One of their last conversations concerned Aaliyah having difficulty with "another young artist" that she was trying to work with. Knight felt the argument was "petty" and insisted that she remain being who she was in spite of the conflict. Illegal marriage With the release of Age Ain't Nothing but a Number, rumors circulated of a relationship between Aaliyah and R. Kelly, including the allegation that they had secretly married without her parents' knowledge. Vibe magazine later revealed a marriage certificate that listed the couple married on August 31, 1994, in Sheraton Gateway Suites in Rosemont, Illinois. Aaliyah, who was 15 at the time, was listed as 18 on the certificate; R. Kelly was 27. The marriage was annulled by her parents in February 1995, but the pair denied the allegations, stating that neither was married. Aaliyah reportedly developed an intimate relationship with Kelly during the recording of her debut album. Aaliyah recalled to Vibe magazine in 1994 that she and Kelly would "go watch a movie" and "go eat" when she got tired and would then "come back and work." She described the relationship between her and Kelly as being "rather close." In December 1994, Aaliyah told the Sun-Times that whenever she was asked about being married to Kelly, she urged them not to believe "all that mess" and that she and Kelly were "close" and "people took it the wrong way." Jamie Foster Brown in the 1994 issue of Sister 2 Sister wrote that "R. Kelly told me that he and Aaliyah got together and it was just magic." Brown also reported hearing about a sexual relationship between them. "I've been hearing about Robert and Aaliyah for a while—that she was pregnant. Or that she was coming and going in and out of his house. People would see her walking his dog, 12 Play, with her basketball cap and sunglasses on. Every time I asked the label, they said it was platonic. But I kept hearing complaints from people about her being in the studio with all those men." Brown later added "at 15, you have all those hormones and no brains attached to them." In his 2011 book The Man Behind the Man: Looking From the Inside Out, Demetrius Smith Sr., Kelly's former tour manager, revealed that Kelly married Aaliyah after she told him that she was pregnant. In the 2019 documentary Surviving R. Kelly, Smith described how he helped Aaliyah forge the necessary documents to show she was 18 in order to marry Kelly. Smith also stated that he is "not proud" of his role in facilitating their marriage. Additionally, the documentary revealed that Jovante Cunningham, a former backup dancer, claimed to have witnessed Kelly having sex with Aaliyah on his tour bus. Aaliyah admitted in court documents that she had lied about her age. In May 1997, she filed suit in Cook County seeking to have all records of the marriage expunged because she was not old enough under state law to get married without her parents' consent. It was reported that she cut off all professional and personal ties with Kelly after the marriage was annulled and ceased having contact with him. In 2014, Aaliyah's cousin Jomo Hankerson stated that she "got villainized" over her relationship with Kelly and the scandal over the marriage made it difficult to find producers for her second album. "We were coming off of a multi-platinum debut album and except for a couple of relationships with Jermaine Dupri and Puffy, it was hard for us to get producers on the album." Hankerson also expressed confusion over why "they were upset" with Aaliyah given her age at the time. Aaliyah was known to avoid answering questions regarding Kelly following the professional split. During an interview with Christopher John Farley, she was asked if she was still in contact with him and if she would ever work with him again. Farley said Aaliyah responded with a "firm, frosty 'no'" to both of the questions. Vibe magazine said Aaliyah changed the subject anytime "you bring up the marriage with her". A spokeswoman for Aaliyah said in 2000 that when "R. Kelly comes up, she doesn't even speak his name, and nobody's allowed to ask about it at all." Kelly later commented that Aaliyah had opportunities to address the pair's relationship after they separated professionally but chose not to. In 2019, Damon Dash revealed to Hip Hop Motivation that Aaliyah did not even speak of her relationship with Kelly in private; she tried multiple times to discuss it with him, but could only say that Kelly was a "bad man". Dash said he was unable to watch Surviving R. Kelly because its interviews with visibly traumatized girls struggling to discuss their encounters with Kelly reminded him of how Aaliyah behaved when trying to recount her relationship with Kelly. Dash later appeared in Surviving R. Kelly, Part 2 in 2020. Kelly would have other allegations made about him regarding underage girls in the years following her death and his marriage to Aaliyah was used as an example of his involvement with them. He has refused to discuss his relationship with her, citing her death. "Out of respect for her, and her mom and her dad, I will not discuss Aaliyah. That was a whole other situation, a whole other time, it was a whole other thing, and I'm sure that people also know that." In 2016, Kelly said that he was as in love with Aaliyah as he was with "anybody else."Aaliyah's mother, Diane Haughton, reflected that everything "that went wrong in her life" began with her relationship with Kelly. After the documentary Surviving R Kelly aired in January 2019, pressure from the public using the Mute R. Kelly hashtag escalated and RCA Records dropped Kelly from the label. In February 2019, Kelly was indicted on ten counts of aggravated criminal sexual abuse. In July 2019, he was arrested on federal charges alleging sex crimes, human trafficking, child pornography, racketeering, and obstruction of justice. When his trial began in August 2021, Kelly was facing 22 federal criminal charges that involved allegedly abusing 11 girls and women between 1994 and 2018. Aaliyah’s illegal marriage to Kelly was heavily featured in the court case. On September 27, 2021, a federal court jury found R. Kelly guilty on nine counts including racketeering, sexual exploitation of a child, kidnapping, bribery, sex trafficking, and a violation of the Mann Act. The judge ordered that Kelly remain in custody pending sentencing, which was set for May 4, 2022. Relationship with Damon Dash Aaliyah was dating co-founder of Roc-A-Fella Records Damon Dash at the time of her death. Although they were not formally engaged, in interviews given after Aaliyah's death, Dash claimed the couple had planned to marry. In the summer of 2000, Aaliyah was introduced to Dash by his accountant and they formed a friendship. Aaliyah never publicly addressed their relationship as being anything but platonic. Due to their hectic work schedules, Aaliyah and Dash were separated long periods of time. Jay-Z mentioned Aaliyah and Dash on the remix to her song "Miss You", released in 2003. Death On August 25, 2001, at 6:50 p.m. (EDT), Aaliyah and the members of the record company boarded a twin-engine Cessna 402 light aircraft at the Marsh Harbour Airport in Abaco Islands, the Bahamas, to travel to the Opa-Locka Airport in Florida, after they completed filming the music video for "Rock the Boat". They had a flight scheduled the following day, but with filming finishing early, Aaliyah and her entourage were eager to return to the U.S. and made the decision to leave immediately. The designated airplane was smaller than the Cessna 404 on which they had originally arrived, but the whole party and all of the equipment were accommodated on board. The plane crashed and caught fire shortly after takeoff, about from the end of the runway. Aaliyah and the eight others on board—pilot Luis Morales III, hair stylist Eric Forman, Anthony Dodd, security guard Scott Gallin, family friend Keith Wallace, make-up stylist Christopher Maldonado, and Blackground Records employees Douglas Kratz and Gina Smith—were all killed. The passengers had grown impatient because the Cessna was supposed to arrive at 4:30 p.m. EDT, but did not arrive until 6:15 p.m. EDT. Charter pilot Lewis Key claimed to have overheard passengers arguing with the pilot, Luis Morales III, prior to take off, adding that Morales warned them that there was too much weight for a "safe flight". Key further stated: "He tried to convince them the plane was overloaded, but they insisted they had chartered the plane and they had to be in Miami Saturday night." Key indicated that Morales gave in to the passengers and that he had trouble starting one of the engines. According to findings from an inquest conducted by the coroner's office in the Bahamas, Aaliyah suffered from "severe burns and a blow to the head", in addition to severe shock and a weak heart. The coroner theorized that she went into such a state of shock that even if she had survived the crash, her recovery would have been nearly impossible given the severity of her injuries. The bodies were taken to the morgue at Princess Margaret Hospital in Nassau, where they were kept for relatives to help identify them. Some of the bodies were badly burned in the crash. As the subsequent investigation determined, the aircraft was overloaded by when it attempted to take off, and was carrying one more passenger than it was certified for. The National Transportation Safety Board reported that "the airplane was seen lifting off the runway, and then nose down, impacting in a marsh on the south side of the departure end of runway 27." The report indicated that the pilot was not approved to fly the plane. Morales falsely obtained his FAA license by showing hundreds of hours never flown, and he may also have falsified how many hours he had flown in order to get a job with his employer, Blackhawk International Airways. Additionally, toxicology tests performed on Morales revealed traces of cocaine and alcohol in his system. Funeral Aaliyah's private funeral Mass was held on August 31, 2001, at the Church of St. Ignatius Loyola in Manhattan, following a procession from the Frank E. Campbell Funeral Chapel. Her body was set in a silver-plated copper-deposit casket, which was carried in a horse-drawn, glass hearse. An estimated 800 mourners were in attendance at the procession. Among those in attendance at the private ceremony were Missy Elliott, Timbaland, Gladys Knight, Lil' Kim, and Sean Combs. After the service, 22 white doves were released to symbolize each year of her life. Aaliyah was initially entombed in a crypt on the third floor of the expansion wing of Ferncliff Cemetery's main mausoleum in Hartsdale, New York. In April 2005, she was moved to a private room at the end of a corridor in the Rosewood Mausoleum. The inscription "BABY GIRL" appears on Aaliyah's crypt. Her father Michael, who died eleven years later in 2012 at age 61, is interred in the crypt directly above her. The inscription at the bottom of Aaliyah's portrait at the funeral read: "We Were Given a Queen, We Were Given an Angel." Aaliyah's brother Rashad delivered the eulogy and described his sister as giving him strength. "Aaliyah, you left, but I'll see you always next to me and I can see you smiling through the sunshine," he said. "When our life is over, our book is done. I hope God keeps me strong until I see her again." He read the names of the other victims of the crash and concluded by asking mourners to pray for them as well. As Diane Haughton and the mourners left, they sang Aaliyah's song "One in a Million". Posthumous releases 2001–2011: Aaliyah Memorial Fund, Queen of the Damned and compilations Immediately after Aaliyah's death, there was uncertainty over whether the music video for "Rock the Boat" would ever air. It made its world premiere on BET's Access Granted on October 9, 2001. She won two posthumous awards at the American Music Awards of 2002; Favorite Female R&B Artist and Favorite R&B/Soul Album for Aaliyah. Her second and final film, Queen of the Damned, was released in February 2002. Before its release, Aaliyah's brother, Rashad, re-dubbed some of her lines during post-production. It grossed US$15.2 million in its first weekend, ranking number one at the box office. On the first anniversary of Aaliyah's death, a candlelight vigil was held in Times Square; millions of fans observed a moment of silence; and throughout the United States, radio stations played her music in remembrance. In December 2002, a collection of previously unreleased material was released as Aaliyah's first posthumous album, I Care 4 U. A portion of the proceeds was donated to the Aaliyah Memorial Fund, a program that benefits the Revlon UCLA Women's Cancer Research Program and Harlem's Sloan Kettering Cancer Center. It debuted at number three on the US Billboard 200, selling 280,000 copies in its first week. The album's lead single, "Miss You", peaked at number three on the Billboard Hot 100 and topped the Hot R&B/Hip-Hop Songs chart. In August of the following year, luxury fashion house Dior donated profits from sales in honor of Aaliyah. In April 2005, Aaliyah's second posthumous album, a double CD+DVD box set titled Ultimate Aaliyah, was released in the United Kingdom by Blackground Records. Andy Kellman of AllMusic remarked "Ultimate Aaliyah adequately represents the shortened career of a tremendous talent who benefited from some of the best songwriting and production work by Timbaland, Missy Elliott, and R. Kelly." A documentary movie Aaliyah Live in Amsterdam was released in 2011, shortly before the tenth anniversary of Aaliyah's death. The documentary, by Pogus Caesar, contained previously unseen footage shot of her career beginnings in 1995 when she was appearing in the Netherlands. 2012–2014: Proposed posthumous album In March 2012, music producer Jeffrey "J-Dub" Walker announced on his Twitter account that a song "Steady Ground", which he produced for Aaliyah's third album, would be included in the forthcoming posthumous Aaliyah album. This second proposed posthumous album would feature this song using demo vocals, as Walker claims the originals were somehow lost by his sound engineer. Aaliyah's brother Rashad later refuted Walker's claim, claiming that "no official album [is] being released and supported by the Haughton family." On August 5, 2012, Blackground Records released the track "Enough Said" online. It was produced by Noah "40" Shebib and features Canadian rapper Drake. Four days later, Jomo Hankerson confirmed a posthumous album is being produced and that it was scheduled to be released by the end of 2012 by Blackground Records. The album was reported to include 16 unreleased songs and have contributions from Aaliyah's longtime collaborators Timbaland and Missy Elliott, among others. On August 13, Timbaland and Missy Elliott dismissed rumors about being contacted or participating for the project. Elliott's manager Mona Scott-Young said in a statement to XXL, "Although Missy and Timbaland always strive to keep the memory of their close friend alive, we have not been contacted about the project nor are there any plans at this time to participate. We've seen the reports surfacing that they have been confirmed to participate but that is not the case. Both Missy and Timbaland are very sensitive to the loss still being felt by the family so we wanted to clear up any misinformation being circulated." Elliott herself said, "Tim and I carry Aaliyah with us everyday, like so many of the people who love her. She will always live in our hearts. We have nothing but love and respect for her memory and for her loved ones left behind still grieving her loss. They are always in our prayers." In June 2013, Aaliyah was featured on a new track by Chris Brown, titled "Don't Think They Know"; with Aaliyah singing the song's hook. The video features dancing holographic versions of Aaliyah. The song appears on Brown's sixth studio album, X. Timbaland voiced his disapproval for "Enough Said" and "Don't Think They Know" in July 2013. He exclaimed, "Aaliyah music only work with its soulmate, which is me". Soon after, Timbaland apologized to Chris Brown over his remarks, which he explained were made due to Aaliyah and her death being a "very sensitive subject". In January 2014, producer Noah "40" Shebib confirmed that the posthumous album was shelved due to the negative reception surrounding Drake's involvement. Shebib added, "Aaliyah's mother saying, 'I don't want this out' was enough for me ... I walked away very quickly." Aaliyah's vocals were reported to be featured on the T-Pain mixtape, The Iron Way, on the track "Girlfriend", but were pulled after being met with criticism by fans and many in attendance at a New York listening session that he hosted for the project. In response to the criticism, T-Pain questioned if Aaliyah's legacy was driven by her death and claimed that were she still alive, she would be seen as trying to emulate Beyoncé. According to T-Pain, he was given her vocals from a session she had done prior to her death after being approached to work on a track for a posthumous Aaliyah album and completing the song, calling the exchange "just like a swap." She was featured on the Tink track "Million", which was released in May 2015 and contained samples from her song "One in a Million". Collaborator Timbaland was involved in the song's creation, having previously claimed that Aaliyah appeared to him in a dream and stressed that Tink was "the one". 2015–present: Merchandise, catalogue rerelease and Unstoppable In September 2015, Aaliyah by Xyrena, an official tribute fragrance, was announced. On December 19, 2015, Timbaland uploaded a snippet of a new Aaliyah song title "Shakin" on his Instagram account and said it would be released December 25, 2015. "Shakin'", featuring rapper Strado, was featured on the Timbaland mixtape King Stays King. The original track was produced by Eric Seats and Rapture Stewart of KeyBeats, and had been titled "He Keeps Me Shakin'". On August 24, 2017 MAC Cosmetics announced that an Aaliyah collection will be made available in the summer of 2018. The Aaliyah for Mac collection was released on June 20 online and June 21 in stores, along with the MAC collection, MAC and i-D Magazine partnered up to release a short film titled "A-Z of Aaliyah" which coincided with the launch. The short film highlighted and celebrated the legacy of Aaliyah with the help of select fans who were selected to be a part of the film through a casting call competition held by Mac and i–d magazine. The Aaliyah for Mac collectors box was sold at $250 and it sold out within minutes during the first day of its initial release. On August 21, 2019, the Madame Tussauds museum revealed a wax figure of Aaliyah at their Las Vegas location. The lifesize figure was modelled on Aaliyah's iconic "Try Again" outfit and makeup. It was unveiled by her brother, Rashad, to an invited audience. Four days later, Aaliyah's family announced that they were in talks with record companies to discuss the future of her discography, with a view of making it available for download and streaming. In January 2021, it was announced that Aaliyah would have her own Funko Pop!figurine. The collectible was styled in Aaliyah's 1994 era and was released March 2021 worldwide. In August 2021, it was reported that the album and Aaliyah's other recorded work for Blackground (since rebranded as Blackground Records 2.0) would be re-released on physical, digital, and streaming services in a deal between the label and Empire Distribution. One in a Million was reissued on August 20, despite Aaliyah's estate issuing a statement in response to Blackground 2.0's announcement, denouncing the "unscrupulous endeavor to release Aaliyah's music without any transparency or full accounting to the estate". After the album's re-release, One in a Million re-entered the UK Official Hip Hop and R&B Albums Chart Top 40 at number eight. In the US, the album reached the top ten for on the Billboard 200 for the first time at number ten, selling 26,000 album-equivalent units in the week ending of August 26. On August 25, 2021, Barry Hankerson revealed in an interview with Big Tigger for WVEE that a fourth (and likely final) studio album, titled Unstoppable, would be released in "a matter of weeks". The album will feature Drake, Snoop Dogg, Ne-Yo, Chris Brown, Future and use previously unreleased vocals from before Aaliyah's passing. Hankerson shared that this will be the end of new music for the late star and added, "I think it's wonderful. It's a very emotional process to do. It's very difficult to hear her sing when she's not here, but we got through it." Aaliyah was reissued September 10, 2021. After the album's re-release, Aaliyah re-entered the UK Official Hip Hop and R&B Albums Chart Top 40 at number seven and reentered the US Billboard 200 chart at number 13, charting at number four for high pure sales. In celebration of the reissue, Blackground released an animated commercial titled "It's Been A Long Time" (in a similar style to the album's original 2001 commercial), directed by Takahiro Tanaka, showing Aaliyah resurrecting her music from out of a large underground vault. Compilation albums I Care 4 U and Ultimate Aaliyah were reissued October 8, 2021. While the I Care 4 U album failed to rechart, Ultimate Aaliyah peaked at number 8 on the UK R&B Albums Chart Top 40 and charted for the first time in the US at number 41 on the Billboard 200. On December 14, 2021, it was announced that a new single would be released by Aaliyah, featuring The Weeknd. The mid-tempo track, "Poison", was released on December 17, 2021. The single was written by Static Major, The Weeknd and Belly and produced by DannyBoyStyles and Nick Lamb. On January 4, 2022, Hankerson confirmed that Unstoppable would be released later that month, however, by February 16, 2022, there was no sign of the album, nor any announcement from the label. Legacy and influence Aaliyah has been credited for helping redefine R&B, pop and hip hop in the 1990s, "leaving an indelible imprint on the music industry as a whole." According to Billboard, she revolutionized R&B with her sultry mix of pop, soul and hip hop. In a 2001 review of her eponymous album, Rolling Stone professed that Aaliyah's impact on R&B and pop has been enormous. Steve Huey of AllMusic wrote Aaliyah ranks among the "elite" artists of the R&B genre, as she "played a major role in popularizing the stuttering, futuristic production style that consumed hip-hop and urban soul in the late 1990s." Critic Bruce Britt stated that by combining "schoolgirl charm with urban grit, Aaliyah helped define the teen-oriented sound that has resulted in contemporary pop phenom's like Brandy, Christina Aguilera and Destiny's Child". Described as one of "R&B's most important artists" during the 1990s, her second studio album, One in a Million, became one of the most influential R&B albums of the decade. Music critic Simon Reynolds cited "Are You That Somebody?" as "the most radical pop single" of 1998. Kelefah Sanneh of The New York Times wrote that rather than being the song's focal point, Aaliyah "knew how to disappear into the music, how to match her voice to the bass line", and consequently "helped change the way popular music sounds; the twitchy, beat-driven songs of Destiny's Child owe a clear debt to 'Are You That Somebody'." Sanneh asserted that by the time of her death in 2001, Aaliyah "had recorded some of the most innovative and influential pop songs of the last five years." Music publication Popdust called Aaliyah an unlikely queen of the underground for her influence on the underground alternative music scene; the publication also mentioned that the forward-thinking music Aaliyah did with Timbaland and the experimental music being made by many underground alternative artists are somewhat cut from the same cloth. While compiling a list of artists that take cues from Aaliyah, MTV Hive mentioned that it's easy to spot her influence on underground movements like dubstep, strains of indie pop, and lo-fi R&B movements. Erika Ramirez, an associate editor of Billboard, said at the time of Aaliyah's career "there weren't many artists using the kind of soft vocals the ways she was using it, and now you see a lot of artists doing that and finding success," her reasoning for Aaliyah's continued influence on current artists. She argued that Aaliyah's second album One in a Million was "very much ahead of its time, with the bass and electro kind of R&B sounds that they produced", referring to collaborators Timbaland and Missy Elliott and that the sound, which "really stood out" at its time, was being replicated. With sales of 8.1 million albums in the United States and an estimated 24 to 32 million albums worldwide, Aaliyah earned the nicknames "Princess of R&B" and "Queen of Urban Pop", as she "proved she was a muse in her own right". Ernest Hardy of Rolling Stone dubbed her as the "undisputed queen of the midtempo come-on". She has also been referred to as a pop and R&B icon for her impact and contributions to those respective genres. Aaliyah was honored at the 2001 MTV Video Music Awards by Janet Jackson, Missy Elliott, Timbaland, Ginuwine and her brother, Rashad, who all paid tribute to her. In the same year, the United States Social Security Administration ranked the name Aaliyah one of the 100 most popular names for newborn girls. Aaliyah was ranked as one of "The Top 40 Women of the Video Era" in VH1's 2003 The Greatest series. In 2020, Billboard included her on its 100 Greatest Music Video Artists of All Time list, explaining that she "coined the smooth choreography and tomboyish style that would inspire [R&B]'s future generations for years to come." She was also ranked at number 18 on BET's "Top 25 Dancers of All Time". Aaliyah appeared on both 2000 and 2001 list of Maxim Hot 100 in position 41 and the latter at 14. In 2002, VH1 created the 100 sexiest artist list and Aaliyah was ranked at number 36. In memory of Aaliyah, the Entertainment Industry Foundation created the Aaliyah Memorial Fund to donate money raised to charities she supported. In December 2009, Billboard magazine ranked Aaliyah at number 70 on its Top Artists of the Decade, while her eponymous album was ranked at number 181 on the magazine's Top 200 Albums of the Decade. She is listed by Billboard as the tenth most successful female R&B artist of the past 25 years, and 27th most successful R&B artist overall. In 2012, VH1 ranked her number 48 in "VH1's Greatest Women in Music". Also in 2012, Aaliyah was ranked at number 10 on Complex magazine's 100 hottest female singers of all-time list and number 22 on their 90 hottest women of the 1990s list. In 2014, NME ranked Aaliyah at number 18 on NME'''s 100 most influential artist list. Aaliyah's dress that she wore at the 2000 MTV Video Music Award's was featured in the most memorable fashion moments at the VMA's list by the fashion publication Harper's Bazaar. In October 2015, Aaliyah was featured in the 10 women who became Denim Style icons list created by the fashion publication Vogue. In August 2018, Billboard ranked Aaliyah at number 47 on their Top 60 Female Artists of All-Time list. Aaliyah's music has influenced numerous artists including Adele, The Weeknd, Ciara, Beyoncé, Monica, Chris Brown, Rihanna, Azealia Banks, Sevyn Streeter, Keyshia Cole, J. Cole, Ryan Destiny Kelly Rowland, Zendaya, Rita Ora, The xx, Arctic Monkeys, Speedy Ortiz, Chelsea Wolfe, Haim, Angel Haze, Kiesza, Naya Rivera, Normani Cassie, Hayley Williams, Jessie Ware, Yeasayer, Bebe Rexha, Omarion, Megan Rochell, and Years & Years frontman Olly Alexander. Canadian R&B singer Keshia Chanté who was said to play as her in her pending biopic back in 2008, complimented the
shipbuilding possible. The rapid pace of change in the ironclad period meant that many ships were obsolete as soon as they were complete, and that naval tactics were in a state of flux. Many ironclads were built to make use of the ram or the torpedo, which a number of naval designers considered the crucial weapons of naval combat. There is no clear end to the ironclad period, but towards the end of the 1890s the term ironclad dropped out of use. New ships were increasingly constructed to a standard pattern and designated battleships or armoured cruisers. Trains Armoured trains saw use during the 19th century in the American Civil War (1861–1865), the Franco-Prussian War (1870–1871), the First and Second Boer Wars (1880–81 and 1899–1902),the Polish–Soviet War (1919–1921); the First (1914–1918) and Second World Wars (1939–1945) and the First Indochina War (1946–1954). The most intensive use of armoured trains was during the Russian Civil War (1918–1920). Armoured cars saw use during World wars 1 and 2. During the Second Boer War on 15 November 1899, Winston Churchill, then a war-correspondent, was travelling on board an armoured train when it was ambushed by Boer commandos. Churchill and many of the train's garrison were captured, though many others escaped, including wounded placed on the train's engine. Armoured fighting vehicles Ancient siege engines were usually protected by wooden armour, often covered with wet hides or thin metal to prevent being easily burned. Medieval war wagons were horse-drawn wagons that were similarly armoured. These contained guns or crossbowmen that could fire through gun-slits. The first modern AFVs were armoured cars, developed circa 1900. These started as ordinary wheeled motor-cars protected by iron shields, typically mounting a machine gun. During World War I, the stalemate of trench warfare during on the Western Front spurred the development of the tank. It was envisioned as an armoured machine that could advance under fire from enemy rifles and machine guns, and respond with its own heavy guns. It utilized caterpillar tracks to cross ground broken up by shellfire and trenches. Aircraft With the development of effective anti-aircraft artillery in the period before the Second World War, military pilots, once the "knights of the air" during the First World War, became far more vulnerable to ground fire. As a response armour plating was added to aircraft to protect aircrew and vulnerable areas such as engines and fuel tanks. Self-sealing fuel tanks functioned like armor in that they added protection but also increased weight and cost. Present Tank armour has progressed from the Second World War armour forms, now incorporating not only harder composites, but also reactive armour designed to defeat shaped charges. As a result of this, the main battle tank (MBT) conceived in the Cold War era can survive multiple RPG strikes with minimal effect on the crew or the operation of the vehicle. The light tanks that were the last descendants of the light cavalry during the Second World War have almost completely disappeared from the world's militaries due to increased lethality of the weapons available to the vehicle-mounted infantry. The armoured personnel carrier (APC) was devised during World War I. It allows the safe and rapid movement of infantry in a combat zone, minimising casualties and maximising mobility. APCs are fundamentally different from the previously used armoured half-tracks in that they offer a higher level of protection from artillery burst fragments, and greater mobility in more terrain types. The basic APC design was substantially expanded to an Infantry fighting vehicle (IFV) when properties of an armoured personnel carrier and a light tank were combined in one vehicle. Naval armour has fundamentally changed from the Second World War doctrine of thicker plating to defend against shells, bombs and torpedoes. Passive defence naval armour is limited to kevlar or steel (either single layer or as spaced armour) protecting particularly vital areas from the effects of nearby impacts. Since ships cannot carry enough armour to completely protect against anti-ship missiles, they depend more on defensive weapons destroying incoming missiles, or causing them to miss by confusing their guidance systems with electronic warfare. Although the role of the ground attack aircraft significantly diminished after the Korean War, it re-emerged during the Vietnam War, and in the recognition of this, the US Air Force authorised the design and production of what became the A-10 dedicated anti-armour and ground-attack aircraft that first saw action in the Gulf War. High-voltage transformer fire barriers are often required to defeat ballistics from small arms as well as projectiles from transformer bushings and lightning arresters, which form part of large electrical transformers, per NFPA 850. Such fire barriers may be designed to inherently function as armour, or may be passive fire protection materials augmented by armour, where care must be taken to ensure that the armour's reaction to fire does not cause issues with regards to the fire barrier being armoured to defeat explosions and projectiles in addition to fire, especially since both functions must be provided simultaneously, meaning they must be fire-tested together to provide realistic evidence of fitness for purpose. Combat drones use little to no vehicular armour as they are not manned vessels, this results in them being lightweight and small in size. Animal armour Horse armour Barding (also spelled bard or barb) is body armour for war horses, especially as used by European knights. During the late Middle Ages as armour protection for knights became more effective, their mounts became targets. This vulnerability was exploited by the Scots at the Battle of Bannockburn in the 14th century, when horses were killed by the infantry, and for the English at the Battle of Crécy in the same century where longbowmen shot horses and the then dismounted French knights were killed by heavy infantry. Barding developed as a response to such events. Examples of armour for horses could be found as far back as classical antiquity. Cataphracts, with scale armour for both rider and horse, are believed by many historians to have influenced the later European knights, via contact with the Byzantine Empire. Surviving period examples of barding are
create better protection without sacrificing mobility. Well-known armour types in European history include the lorica hamata, lorica squamata, and the lorica segmentata of the Roman legions, the mail hauberk of the early medieval age, and the full steel plate harness worn by later medieval and renaissance knights, and breast and back plates worn by heavy cavalry in several European countries until the first year of World War I (1914–15). The samurai warriors of feudal Japan utilised many types of armour for hundreds of years up to the 19th century. Early Cuirasses and helmets were manufactured in Japan as early as the 4th century. Tankō, worn by foot soldiers and keikō, worn by horsemen were both pre-samurai types of early Japanese armour constructed from iron plates connected together by leather thongs. Japanese lamellar armour (keiko) passed through Korea and reached Japan around the 5th century. These early Japanese lamellar armours took the form of a sleeveless jacket, leggings and a helmet. Armour did not always cover all of the body; sometimes no more than a helmet and leg plates were worn. The rest of the body was generally protected by means of a large shield. Examples of armies equipping their troops in this fashion were the Aztecs (13th to 15th century CE). In East Asia many types of armour were commonly used at different times by various cultures, including scale armour, lamellar armour, laminar armour, plated mail, mail, plate armour, and brigandine. Around the dynastic Tang, Song, and early Ming Period, cuirasses and plates (mingguangjia) were also used, with more elaborate versions for officers in war. The Chinese, during that time used partial plates for "important" body parts instead of covering their whole body since too much plate armour hinders their martial arts movement. The other body parts were covered in cloth, leather, lamellar, or Mountain pattern. In pre-Qin dynasty times, leather armour was made out of various animals, with more exotic ones such as the rhinoceros. Mail, sometimes called "chainmail", made of interlocking iron rings is believed to have first appeared some time after 300 BC. Its invention is credited to the Celts; the Romans are thought to have adopted their design. Gradually, small additional plates or discs of iron were added to the mail to protect vulnerable areas. Hardened leather and splinted construction were used for arm and leg pieces. The coat of plates was developed, an armour made of large plates sewn inside a textile or leather coat. 13th to 18th century Europe Early plate in Italy, and elsewhere in the 13th–15th century, were made of iron. Iron armour could be carburised or case hardened to give a surface of harder steel. Plate armour became cheaper than mail by the 15th century as it required much less labour and labour had become much more expensive after the Black Death, though it did require larger furnaces to produce larger blooms. Mail continued to be used to protect those joints which could not be adequately protected by plate, such as the armpit, crook of the elbow and groin. Another advantage of plate was that a lance rest could be fitted to the breast plate. The small skull cap evolved into a bigger true helmet, the bascinet, as it was lengthened downward to protect the back of the neck and the sides of the head. Additionally, several new forms of fully enclosed helmets were introduced in the late 14th century. Probably the most recognised style of armour in the world became the plate armour associated with the knights of the European Late Middle Ages, but continuing to the early 17th century Age of Enlightenment in all European countries. By about 1400 the full harness of plate armour had been developed in armouries of Lombardy. Heavy cavalry dominated the battlefield for centuries in part because of their armour. In the early 15th century, advances in weaponry allowed infantry to defeat armoured knights on the battlefield. The quality of the metal used in armour deteriorated as armies became bigger and armour was made thicker, necessitating breeding of larger cavalry horses. If during the 14–15th centuries armour seldom weighed more than 15 kg, then by the late 16th century it weighed 25 kg. The increasing weight and thickness of late 16th century armour therefore gave substantial resistance. In the early years of low velocity firearms, full suits of armour, or breast plates actually stopped bullets fired from a modest distance. Crossbow bolts, if still used, would seldom penetrate good plate, nor would any bullet unless fired from close range. In effect, rather than making plate armour obsolete, the use of firearms stimulated the development of plate armour into its later stages. For most of that period, it allowed horsemen to fight while being the targets of defending arquebusiers without being easily killed. Full suits of armour were actually worn by generals and princely commanders right up to the second decade of the 18th century. It was the only way they could be mounted and survey the overall battlefield with safety from distant musket fire. The horse was afforded protection from lances and infantry weapons by steel plate barding. This gave the horse protection and enhanced the visual impression of a mounted knight. Late in the era, elaborate barding was used in parade armour. Later Gradually, starting in the mid-16th century, one plate element after another was discarded to save weight for foot soldiers. Back and breast plates continued to be used throughout the entire period of the 18th century and through Napoleonic times, in many European (heavy) cavalry units, until the early 20th century. From their introduction, muskets could pierce plate armour, so cavalry had to be far more mindful of the fire. In Japan armour continued to be used until the end of the samurai era, with the last major fighting in which armour was used happening in 1868. Samurai armour had one last short lived use in 1877 during the Satsuma Rebellion. Though the age of the knight was over, armour continued to be used in many capacities. Soldiers in the American Civil War bought iron and steel vests from peddlers (both sides had considered but rejected body armour for standard issue). The effectiveness of the vests varied widely—some successfully deflected bullets and saved lives, but others were poorly made and resulted in tragedy for the soldiers. In any case the vests were abandoned by many soldiers due to their weight on long marches as well as the stigma they got for being cowards from their fellow troops. At the start of World War I, thousands of the French Cuirassiers rode out to engage the German Cavalry. By that period, the shiny armour plate was covered in dark paint and a canvas wrap covered their elaborate Napoleonic style helmets. Their armour was only meant for protection against edged weapons such as bayonets, sabres, and lances. Cavalry had to be wary of repeating rifles, machine guns, and artillery, unlike the foot soldiers, who at least had a trench to give them some protection. Present Today, ballistic vests, also known as flak jackets, made of ballistic cloth (e.g. kevlar, dyneema, twaron, spectra etc.) and ceramic or metal plates are common among police forces, security staff, corrections officers and some branches of the military. The US Army has adopted Interceptor body armour, which uses Enhanced Small Arms Protective Inserts (ESAPIs) in the chest, sides, and back of the armour. Each plate is rated to stop a range of ammunition including 3 hits from a 7.62×51 NATO AP round at a range of . Dragon Skin is another ballistic vest which is currently in testing with mixed results. As of 2019, it has been deemed too heavy, expensive, and unreliable, in comparison to more tradition plates, and it is outdated in protection compared to modern US IOTV armour, and even in testing was deemed a downgrade from the IBA. The British Armed Forces also have their own armour, known as Osprey. It is rated to the same general equivalent standard as the US counterpart, the Improved Outer Tactical Vest, and now the Soldier Plate Carrier System and Modular Tactical Vest. The Russian Armed Forces also have armour, known as the 6B43, all the way to 6B45, depending on variant. Their armour runs on the GOST system, which, due to regional conditions, has resulted in a technically higher protective level overall. Vehicle The first modern production technology for armour plating was used by navies in the construction of the Ironclad warship, reaching its pinnacle of development with the battleship. The first tanks were produced during World War I. Aerial armour has been used to protect pilots and aircraft systems since the First World War. In modern ground forces' usage, the meaning of armour has expanded to include the role of troops in combat. After the evolution of armoured warfare, mechanised infantry were mounted in armoured fighting vehicles and replaced light infantry in many situations. In modern armoured warfare, armoured units equipped with tanks and infantry fighting vehicles serve the historic role of heavy cavalry, light cavalry, and dragoons, and belong to the armoured branch of warfare. History Ships The first ironclad battleship, with Iron armour over a wooden hull, La Gloire, was launched by the French Navy in 1859 prompting the British Royal Navy to build a counter. The following year they launched HMS Warrior, which was twice the size and had iron armour over an iron hull. After the first battle between two ironclads took place in 1862 during the American Civil
stalemate. The tank was envisioned as an armoured machine that could cross ground under fire from machine guns and reply with its own mounted machine guns and cannons. These first British heavy tanks of World War I moved on caterpillar tracks that had substantially lower ground pressure than wheeled vehicles, enabling them to pass the muddy, pocked terrain and slit trenches of the Battle of the Somme. Troop transport The tank eventually proved highly successful and, as technology improved, it became a weapon that could cross large distances at much higher speeds than supporting infantry and artillery. The need to provide the units that would fight alongside the tank led to the development of a wide range of specialised AFVs, especially during the Second World War (1939-1945). The armoured personnel carrier, designed to transport infantry troops to the frontline, emerged towards the end of World War I. During the first actions with tanks, it had become clear that close contact with infantry was essential in order to secure ground won by the tanks. Troops on foot were vulnerable to enemy fire, but they could not be transported in the tank because of the intense heat and noxious atmosphere. In 1917, Lieutenant G.J. Rackham was ordered to design an armoured vehicle that could fight and carry troops or supplies. The Mark IX tank was built by Armstrong, Whitworth & Co., although just three vehicles had been finished at the time of the Armistice in November 1918, and only 34 were built in total. Tankette Different tank classifications emerged in the interwar period. The tankette was conceived as a mobile, two-man model, mainly intended for reconnaissance. In 1925, Sir John Carden and Vivian Loyd produced the first such design to be adopted – the Carden Loyd tankette. Tankettes saw use in the Italian Royal Army during the Italian invasion of Ethiopia (1935–1936), the Spanish Civil War (1936–1939), and almost everywhere Italian soldiers fought during World War II. The Imperial Japanese Army used tankettes for jungle warfare. Self-propelled artillery The British Gun Carrier Mark I, the first Self-propelled artillery, was fielded in 1917. It was based on the first tank, the British Mark I, and carried a heavy field-gun. The next major advance was the Birch gun (1925), developed for the British motorised warfare experimental brigade (the Experimental Mechanized Force). This mounted a field gun, capable of the usual artillery trajectories and even anti-aircraft use, on a tankchassis. During World War II, most major military powers developed self-propelled artillery vehicles. These had guns mounted on a tracked chassis (often that of an obsolete or superseded tank) and provided an armoured superstructure to protect the gun and its crew. The first British design, "Bishop", carried the 25 pdr gun-howitzer in an extemporised mounting on a tank chassis that severely limited the gun's performance. It was replaced by the more effective Sexton. The Germans built many lightly armoured self-propelled anti-tank guns using captured French equipment (for example Marder I), their own obsolete light tank chassis (Marder II), or ex-Czech chassis (Marder III). These led to better-protected tank destroyers, built on a medium-tank chassis such as the Jagdpanzer IV or the Jagdpanther. Anti-aircraft vehicle The Self-propelled anti-aircraft weapon debuted in WWI. The German 88 mm anti-aircraft gun was truck-mounted and used to great effect against British tanks, and the British QF 3-inch 20 cwt was mounted on trucks for use on the Western Front. Although the Birch gun was a general purpose artillery piece on an armoured tracked chassis, it was capable of elevation for anti-aircraft use. Vickers Armstrong developed one of the first SPAAGs based on the chassis of the Mk.E 6-ton light tank/Dragon Medium Mark IV tractor, mounting a Vickers QF-1 "Pom-Pom" gun of 40 mm. The Germans fielded the Sd.Kfz. 10/4 and 6/2, cargo halftracks mounting single 20 mm or 37 mm AA guns (respectively) by the start of the war. Self-propelled multiple rocket-launcher Rocket launchers such as the Soviet Katyusha originated in the late 1930s. The Wehrmacht fielded self-propelled rocket artillery in World War II - the Panzerwerfer and Wurfrahmen 40 equipped half-track armoured fighting vehicles. Many modern multiple rocket launchers are self propelled by either truck or tank chassis. Cold War AFV By the end of World War II, most modern armies had vehicles to carry infantry, artillery and anti-aircraft weaponry. Most modern AFVs are superficially similar in design to their World War II counterparts, but with significantly better armour, weapons, engines, electronics, and suspension. The increase in the capacity of transport aircraft makes possible and practicable the transport of AFVs by air. Many armies are replacing some or all of their traditional heavy vehicles with lighter airmobile versions, often with wheels instead of tracks. Design Armour The level of armour protection between AFVs varies greatly – a main battle tank will normally be designed to take hits from other tank guns and anti-tank missiles, whilst light reconnaissance vehicles are often only armoured "just in case". Whilst heavier armour provides better protection, it makes vehicles less mobile (for a given engine power), limits its air-transportability, increases cost, uses more fuel and may limit the places it can go – for example, many bridges may be unable to support the weight of a main battle tank. A trend toward composite armour is taking the place of steel – composites are stronger for a given weight, allowing the tank to be lighter for the same protection as steel armour, or better protected for the same weight. Armour is being supplemented with active protection systems on a number of vehicles, allowing the AFV to protect itself from incoming projectiles. The level of protection also usually varies considerably throughout the individual vehicle too, depending on the role of the vehicle and the likely direction of attack. For example, a main battle tank will usually have the heaviest armour on the hull front and the turret, lighter armour on the sides of the hull and the thinnest armour on the top and bottom of the tank. Other vehicles – such as the MRAP family – may be primarily armoured against the threat from IEDs and so will have heavy, sloped armour on the bottom of the hull. Weaponry Weaponry varies by a very wide degree between AFVs – lighter vehicles for infantry carrying, reconnaissance or specialist roles may have only a cannon or machine gun (or no armament at all), whereas heavy self propelled artillery will carry large guns, mortars or rocket launchers. These weapons may be mounted on a pintle, affixed directly to the vehicle or placed in a turret or cupola. The greater the recoil of the weapon on an AFV, the larger the turret ring needs to be. A larger turret ring necessitates a larger vehicle. To avoid listing to the side, turrets on amphibious vehicles are usually located at the centre of the vehicle. Grenade launchers provide a versatile launch platform for a plethora of munitions including, smoke, phosphorus, tear gas, illumination, anti-personnel, infrared and radar-jamming rounds. Turret stabilization is an important capability because it enables firing on the move and prevents crew fatigue. Engine Modern AFVs have primarily used either petrol (gasoline) or diesel piston engines. More recently, gas turbines have been used. Most early AFVs used petrol engines, as they offer a good power-to-weight ratio. However, they fell out of favour during World War II due to the flammability of the fuel. Most current AFVs are powered by a diesel engine; modern technology, including the use of turbo-charging, helps to overcome the lower power-to-weight ratio of diesel engines compared to petrol. Gas turbine (turboshaft) engines offer a very high power-to-weight ratio and were starting to find favour in the late 20th century – however, they offer very poor fuel consumption and as such some armies are switching from gas turbines back to diesel engines (i.e. the Russian T-80 used a gas turbine engine, whereas the later T-90 does not). The US M1 Abrams is a notable example of a gas turbine powered tank. Modern classification by type and role Notable armoured fighting vehicles extending from post-World War I to today. Tank The tank is an all terrain AFV designed to fill almost all battlefield roles and to engage enemy forces by the use of direct fire in the frontal assault role. Though several configurations have been tried, particularly in the early experimental "golden days" of tank development, a standard, mature design configuration has since emerged to a generally accepted pattern. This features a main tank gun or artillery gun, mounted in a fully rotating turret atop a tracked automotive hull, with various additional secondary weapon systems throughout. Philosophically, the tank is, by its very nature, an offensive weapon. Being a protective encasement with at least one gun position, it is essentially a pillbox or small fortress (though these are static fortifications of a purely defensive nature) that can move toward the enemy – hence its offensive utility. Psychologically, the tank is a force multiplier that has a positive morale effect on the infantry it accompanies. It also instills fear in the opposing force who can often hear and even feel their arrival. Tank classifications Tanks were classified either by size or by role. Classification by relative size was common, as this also tended to influence the tanks' role. Light tanks are smaller tanks with thinner armour and lower-powered guns, allowing for better tactical mobility and ease of strategic transport. These are intended for armoured reconnaissance, skirmishing, artillery observation, expeditionary warfare and supplementing airborne or naval landings. Light tanks are typically cheaper to build and maintain, but fare poorly against heavier tanks. They may be held in reserve for exploiting any breakthroughs in enemy lines, with the goal of disrupting communications and supply lines. Medium tanks are mid-sized tanks with adequate armour and guns, and fair mobility, allowing for a balance of fighting abilities, mobility, cost-effectiveness, and transportability. Medium tanks are effective in groups when used against enemy tanks. Heavy tanks are larger tanks with thick armour and more powerful guns, but less mobile and more difficult to transport. They were intended to be more than a match for typical enemy medium tanks, easily penetrating their armour while being much less susceptible to their attacks. Heavy tanks cost more to both build and maintain, and their heavy armour proved most effective when deployed in support infantry assaulting entrenched fortifications. Over time, tanks tended to be designed with heavier armour and weapons, increasing the weight of all tanks, so these classifications are relative to the average for the nation's tanks for any given period. An older tank design might be reclassified over time, such as a tank being first deployed as a medium tank, but in later years relegated to light tank roles. Tanks were also classified by roles that were independent of size, such as cavalry tank, cruiser tank, fast tank, infantry tank, "assault" tank, or "breakthrough" tank. Military theorists initially tended to assign tanks to traditional military infantry, cavalry, and artillery roles, but later developed more specialized roles unique to tanks. In modern use, the heavy tank has fallen out of favour, being supplanted by more heavily armed and armoured descendant of the medium tanks – the universal main battle tank. The light tank has, in many armies, lost favour to cheaper, faster, lighter armoured cars; however, light tanks (or similar vehicles with other names) are still in service with a number of forces as reconnaissance vehicles, most notably the Russian Marines with the PT-76, the British Army with the Scimitar, and the Chinese Army with the Type 63. Main battle tank Modern main battle tanks or "universal tanks" incorporate recent advances in automotive, artillery, armour, and electronic technology to combine the best characteristics of the historic medium and heavy tanks into a single, all around type. They are also the most expensive to mass-produce. A main battle tank is distinguished by its high level of firepower, mobility and armour protection relative to other vehicles of its era. It can cross comparatively rough terrain at high speeds, but its heavy-dependency on fuel, maintenance, and ammunition makes it logistically demanding. It has the heaviest armour of any AFVs on the battlefield, and carries a powerful precision-guided munition weapon systems that may be able to engage a wide variety of both ground targets and air targets. Despite significant advances in anti-tank warfare, it still remains the most versatile and fearsome land-based weapon-systems of the 21st-century, valued for its shock action and high survivability. Tankette A tankette is a tracked armed and armoured vehicle resembling a small "ultra-light tank" or "super-light tank" roughly the size of a car, mainly intended for light infantry support or scouting. They were one or two-man vehicles armed with a machine gun. Colloquially it may also simply mean a "small tank". Tankettes were designed and built by several nations between the 1920s and 1940s following the British Carden Loyd tankette which was a successful implementation of "one man tank" ideas from Giffard Le Quesne Martel. They were very popular with smaller countries. Some saw some combat (with limited success) in World War II. However, the vulnerability of their light armour eventually caused the concept to be abandoned. However, the German Army uses a modern design of air-transportable armored weapons carriers, the Wiesel AWC, which resembles the concept of a tankette. Super-heavy tank The term "super-heavy tank" has been used to describe armoured fighting vehicles of extreme size, generally over 75 tonnes. Programs have been initiated on several occasions with the aim of creating an invincible siegeworks/breakthrough vehicle for penetrating enemy formations and fortifications without fear of being destroyed in combat. Examples were designed in World War I and World War II (such as the Panzer VIII Maus), along with a few in the Cold War. However, few working prototypes were built and there are no clear evidence any of these vehicles saw combat, as their immense size would have made most designs impractical. Missile tank A missile tank is a tank fulfilling the role of a main battle tank, but using only guided missiles for main armament. Several nations have experimented with prototypes, notably the Soviet Union during the tenure of Nikita Khrushchev (projects Object 167, Object 137Ml, Object 155Ml, Object 287, Object 775), Flame tank A flame tank is an otherwise-standard tank equipped with a flamethrower, most commonly used to supplement combined arms attacks against fortifications, confined spaces, or other obstacles. The type only reached significant use in the Second World War, during which the United States, Soviet Union, Germany, Italy, Japan and the United Kingdom (including members of the British Commonwealth) all produced flamethrower-equipped tanks. Usually, the flame projector replaced one of the tank's machineguns, however, some flame projectors replaced the tank's main gun. Fuel for the flame weapon was generally carried inside the tank, although a few designs mounted the fuel externally, such as the armoured trailer used on the Churchill Crocodile. Flame tanks have been superseded by thermobaric weapons such as the Russian TOS-1. Infantry tank The idea for this tank was developed during World War I by British and French. The infantry tank was designed to work in concert with infantry in the assault, moving mostly at a walking pace, and carrying heavy armour to survive defensive fire. Its main purpose was to suppress enemy fire, crush obstacles such as barbed-wire entanglements, and protect the infantry on their advance into and through enemy lines by giving mobile overwatch and cover. The French Renault FT was the first iteration of this concept. The British and French retained the concept between the wars and into the Second World War era. Because infantry tanks did not need to be fast, they could carry heavy armour. One of the best-known infantry tanks was the Matilda II of World War II. Other examples include the French R-35, the British Valentine, and the British Churchill. Cruiser tank A cruiser tank, or cavalry tank, was designed to move fast and exploit penetrations of the enemy front. The idea originated in "Plan 1919", a British plan to break the trench deadlock of World War I in part via the use of high-speed tanks. The first cruiser tank was the British Whippet. Between the wars, this concept was implemented in the "fast tanks" pioneered by J. Walter Christie. These led to the Soviet BT tank series and the British cruiser tank series. During World War II, British cruiser tanks were designed to complement infantry tanks, exploiting gains made by the latter to attack and disrupt the enemy rear areas. In order to give them the required speed, cruiser designs sacrificed armour and armament compared to the infantry tanks. Pure British cruisers were generally replaced by more capable medium tanks such as the US Sherman and, to a lesser extent, the Cromwell by 1943. The Soviet fast tank (bistrokhodniy tank, or BT tank) classification also came out of the infantry/cavalry concept of armoured warfare and formed the basis for the British cruisers after 1936. The T-34 was a development of this line of tanks as well, though their armament, armour, and all-round capability places them firmly in the medium tank category. Armoured car The armoured car is a wheeled, often lightly armoured, vehicle adapted as a fighting machine. Its earliest form consisted of a motorised ironside chassis fitted with firing ports. By World War I, this had evolved into a mobile fortress equipped with command equipment, searchlights, and machine guns for self-defence. It was soon proposed that the requirements for the armament and layout of armoured cars be somewhat similar to those on naval craft, resulting in turreted vehicles. The first example carried a single revolving cupola with a Vickers gun; modern armoured cars may boast heavier armament – ranging from twin machine guns to large calibre cannon. Some multi-axled wheeled fighting vehicles can be quite heavy, and superior to older or smaller tanks in terms of armour and armament. Others are often used in military marches and processions, or for the escorting of important figures. Under peacetime conditions, they form an essential part of most standing armies. Armoured car units can move without the assistance of transporters and cover great distances with fewer logistical problems than tracked vehicles. During World War II, armoured cars were used for reconnaissance alongside scout cars. Their guns were suitable for some defence if they encountered enemy armoured vehicles, but they were not intended to engage enemy tanks. Armoured cars have since been used in the offensive role against tanks with varying degrees of success, most notably during the South African Border War, Toyota War, the Invasion of Kuwait, and other lower-intensity conflicts. Aerosani An aerosani (, literally "aerosled") is a type of propeller-driven snowmobile, running on skis, used for communications, mail deliveries, medical aid, emergency recovery and border patrolling in northern Russia, as well as for recreation. Aerosanis were used by the Soviet Red Army during the Winter War and World War II. The first aerosanis may have been built by young Igor Sikorsky in 1909–10, before he built multi-engine airplanes and helicopters. They were very light plywood vehicles on skis, propelled by old airplane engines and propellers. Scout car A scout car is a military armoured reconnaissance vehicle, capable of off-road mobility and often carrying mounted weapons such as machine guns for offensive capabilities and crew protection. They often only carry an operational crew aboard, which differentiates them from wheeled armoured personnel carriers (APCs) and Infantry Mobility Vehicles (IMVs), but early scout cars, such as the open-topped US M3 Scout Car could carry a crew of seven. The term is often used synonymously with the more general term armoured car, which also includes armored civilian vehicles. They are also differentiated by being designed and built for purpose, as opposed to improvised "technicals" which might serve in the same role. Reconnaissance vehicle A reconnaissance vehicle, also known as a scout vehicle, is a military vehicle used for forward reconnaissance. Both tracked and wheeled reconnaissance vehicles are in service. In some nations, light tanks such as the M551 Sheridan and AMX-13 are also used by scout platoons. Reconnaissance vehicles are usually designed with a low profile or small size and are lightly armoured, relying on speed and cover to escape detection. Their armament ranges from a medium machine gun to a large cannon. Modern examples are often fitted with ATGMs and a wide range of sensors. Some armoured personnel carriers and infantry mobility vehicle, such as the M113, TPz Fuchs, and Cadillac Gage Commando double in the reconnaissance role. Internal security vehicle An internal security vehicle (ISV), also known as an armoured security vehicle (ASV), is a combat vehicle used for suppressing civilian unrest. Security vehicles are typically armed with a turreted heavy machine gun and auxiliary medium machine gun. The vehicle is designed to minimize firepower dead space and the vehicles weapons can be depressed to a maximum of 12°. Non-lethal water cannons and tear gas cannons can provide suppressive fire in lieu of unnecessary deadly fire. The vehicle must be protected against weapons typical of riots. Protection from incendiary devices is achieved though coverage of the air intake and exhaust ports as well as a strong locking mechanism on the fuel opening. Turret and door locks prevent access to the interior of the vehicle by rioters. Vision blocks, ballistic glass and window shutters and outside surveillance cameras allow protected observation from within
War I moved on caterpillar tracks that had substantially lower ground pressure than wheeled vehicles, enabling them to pass the muddy, pocked terrain and slit trenches of the Battle of the Somme. Troop transport The tank eventually proved highly successful and, as technology improved, it became a weapon that could cross large distances at much higher speeds than supporting infantry and artillery. The need to provide the units that would fight alongside the tank led to the development of a wide range of specialised AFVs, especially during the Second World War (1939-1945). The armoured personnel carrier, designed to transport infantry troops to the frontline, emerged towards the end of World War I. During the first actions with tanks, it had become clear that close contact with infantry was essential in order to secure ground won by the tanks. Troops on foot were vulnerable to enemy fire, but they could not be transported in the tank because of the intense heat and noxious atmosphere. In 1917, Lieutenant G.J. Rackham was ordered to design an armoured vehicle that could fight and carry troops or supplies. The Mark IX tank was built by Armstrong, Whitworth & Co., although just three vehicles had been finished at the time of the Armistice in November 1918, and only 34 were built in total. Tankette Different tank classifications emerged in the interwar period. The tankette was conceived as a mobile, two-man model, mainly intended for reconnaissance. In 1925, Sir John Carden and Vivian Loyd produced the first such design to be adopted – the Carden Loyd tankette. Tankettes saw use in the Italian Royal Army during the Italian invasion of Ethiopia (1935–1936), the Spanish Civil War (1936–1939), and almost everywhere Italian soldiers fought during World War II. The Imperial Japanese Army used tankettes for jungle warfare. Self-propelled artillery The British Gun Carrier Mark I, the first Self-propelled artillery, was fielded in 1917. It was based on the first tank, the British Mark I, and carried a heavy field-gun. The next major advance was the Birch gun (1925), developed for the British motorised warfare experimental brigade (the Experimental Mechanized Force). This mounted a field gun, capable of the usual artillery trajectories and even anti-aircraft use, on a tankchassis. During World War II, most major military powers developed self-propelled artillery vehicles. These had guns mounted on a tracked chassis (often that of an obsolete or superseded tank) and provided an armoured superstructure to protect the gun and its crew. The first British design, "Bishop", carried the 25 pdr gun-howitzer in an extemporised mounting on a tank chassis that severely limited the gun's performance. It was replaced by the more effective Sexton. The Germans built many lightly armoured self-propelled anti-tank guns using captured French equipment (for example Marder I), their own obsolete light tank chassis (Marder II), or ex-Czech chassis (Marder III). These led to better-protected tank destroyers, built on a medium-tank chassis such as the Jagdpanzer IV or the Jagdpanther. Anti-aircraft vehicle The Self-propelled anti-aircraft weapon debuted in WWI. The German 88 mm anti-aircraft gun was truck-mounted and used to great effect against British tanks, and the British QF 3-inch 20 cwt was mounted on trucks for use on the Western Front. Although the Birch gun was a general purpose artillery piece on an armoured tracked chassis, it was capable of elevation for anti-aircraft use. Vickers Armstrong developed one of the first SPAAGs based on the chassis of the Mk.E 6-ton light tank/Dragon Medium Mark IV tractor, mounting a Vickers QF-1 "Pom-Pom" gun of 40 mm. The Germans fielded the Sd.Kfz. 10/4 and 6/2, cargo halftracks mounting single 20 mm or 37 mm AA guns (respectively) by the start of the war. Self-propelled multiple rocket-launcher Rocket launchers such as the Soviet Katyusha originated in the late 1930s. The Wehrmacht fielded self-propelled rocket artillery in World War II - the Panzerwerfer and Wurfrahmen 40 equipped half-track armoured fighting vehicles. Many modern multiple rocket launchers are self propelled by either truck or tank chassis. Cold War AFV By the end of World War II, most modern armies had vehicles to carry infantry, artillery and anti-aircraft weaponry. Most modern AFVs are superficially similar in design to their World War II counterparts, but with significantly better armour, weapons, engines, electronics, and suspension. The increase in the capacity of transport aircraft makes possible and practicable the transport of AFVs by air. Many armies are replacing some or all of their traditional heavy vehicles with lighter airmobile versions, often with wheels instead of tracks. Design Armour The level of armour protection between AFVs varies greatly – a main battle tank will normally be designed to take hits from other tank guns and anti-tank missiles, whilst light reconnaissance vehicles are often only armoured "just in case". Whilst heavier armour provides better protection, it makes vehicles less mobile (for a given engine power), limits its air-transportability, increases cost, uses more fuel and may limit the places it can go – for example, many bridges may be unable to support the weight of a main battle tank. A trend toward composite armour is taking the place of steel – composites are stronger for a given weight, allowing the tank to be lighter for the same protection as steel armour, or better protected for the same weight. Armour is being supplemented with active protection systems on a number of vehicles, allowing the AFV to protect itself from incoming projectiles. The level of protection also usually varies considerably throughout the individual vehicle too, depending on the role of the vehicle and the likely direction of attack. For example, a main battle tank will usually have the heaviest armour on the hull front and the turret, lighter armour on the sides of the hull and the thinnest armour on the top and bottom of the tank. Other vehicles – such as the MRAP family – may be primarily armoured against the threat from IEDs and so will have heavy, sloped armour on the bottom of the hull. Weaponry Weaponry varies by a very wide degree between AFVs – lighter vehicles for infantry carrying, reconnaissance or specialist roles may have only a cannon or machine gun (or no armament at all), whereas heavy self propelled artillery will carry large guns, mortars or rocket launchers. These weapons may be mounted on a pintle, affixed directly to the vehicle or placed in a turret or cupola. The greater the recoil of the weapon on an AFV, the larger the turret ring needs to be. A larger turret ring necessitates a larger vehicle. To avoid listing to the side, turrets on amphibious vehicles are usually located at the centre of the vehicle. Grenade launchers provide a versatile launch platform for a plethora of munitions including, smoke, phosphorus, tear gas, illumination, anti-personnel, infrared and radar-jamming rounds. Turret stabilization is an important capability because it enables firing on the move and prevents crew fatigue. Engine Modern AFVs have primarily used either petrol (gasoline) or diesel piston engines. More recently, gas turbines have been used. Most early AFVs used petrol engines, as they offer a good power-to-weight ratio. However, they fell out of favour during World War II due to the flammability of the fuel. Most current AFVs are powered by a diesel engine; modern technology, including the use of turbo-charging, helps to overcome the lower power-to-weight ratio of diesel engines compared to petrol. Gas turbine (turboshaft) engines offer a very high power-to-weight ratio and were starting to find favour in the late 20th century – however, they offer very poor fuel consumption and as such some armies are switching from gas turbines back to diesel engines (i.e. the Russian T-80 used a gas turbine engine, whereas the later T-90 does not). The US M1 Abrams is a notable example of a gas turbine powered tank. Modern classification by type and role Notable armoured fighting vehicles extending from post-World War I to today. Tank The tank is an all terrain AFV designed to fill almost all battlefield roles and to engage enemy forces by the use of direct fire in the frontal assault role. Though several configurations have been tried, particularly in the early experimental "golden days" of tank development, a standard, mature design configuration has since emerged to a generally accepted pattern. This features a main tank gun or artillery gun, mounted in a fully rotating turret atop a tracked automotive hull, with various additional secondary weapon systems throughout. Philosophically, the tank is, by its very nature, an offensive weapon. Being a protective encasement with at least one gun position, it is essentially a pillbox or small fortress (though these are static fortifications of a purely defensive nature) that can move toward the enemy – hence its offensive utility. Psychologically, the tank is a force multiplier that has a positive morale effect on the infantry it accompanies. It also instills fear in the opposing force who can often hear and even feel their arrival. Tank classifications Tanks were classified either by size or by role. Classification by relative size was common, as this also tended to influence the tanks' role. Light tanks are smaller tanks with thinner armour and lower-powered guns, allowing for better tactical mobility and ease of strategic transport. These are intended for armoured reconnaissance, skirmishing, artillery observation, expeditionary warfare and supplementing airborne or naval landings. Light tanks are typically cheaper to build and maintain, but fare poorly against heavier tanks. They may be held in reserve for exploiting any breakthroughs in enemy lines, with the goal of disrupting communications and supply lines. Medium tanks are mid-sized tanks with adequate armour and guns, and fair mobility, allowing for a balance of fighting abilities, mobility, cost-effectiveness, and transportability. Medium tanks are effective in groups when used against enemy tanks. Heavy tanks are larger tanks with thick armour and more powerful guns, but less mobile and more difficult to transport. They were intended to be more than a match for typical enemy medium tanks, easily penetrating their armour while being much less susceptible to their attacks. Heavy tanks cost more to both build and maintain, and their heavy armour proved most effective when deployed in support infantry assaulting entrenched fortifications. Over time, tanks tended to be designed with heavier armour and weapons, increasing the weight of all tanks, so these classifications are relative to the average for the nation's tanks for any given period. An older tank design might be reclassified over time, such as a tank being first deployed as a medium tank, but in later years relegated to light tank roles. Tanks were also classified by roles that were independent of size, such as cavalry tank, cruiser tank, fast tank, infantry tank, "assault" tank, or "breakthrough" tank. Military theorists initially tended to assign tanks to traditional military infantry, cavalry, and artillery roles, but later developed more specialized roles unique to tanks. In modern use, the heavy tank has fallen out of favour, being supplanted by more heavily armed and armoured descendant of the medium tanks – the universal main battle tank. The light tank has, in many armies, lost favour to cheaper, faster, lighter armoured cars; however, light tanks (or similar vehicles with other names) are still in service with a number of forces as reconnaissance vehicles, most notably the Russian Marines with the PT-76, the British Army with the Scimitar, and the Chinese Army with the Type 63. Main battle tank Modern main battle tanks or "universal tanks" incorporate recent advances in automotive, artillery, armour, and electronic technology to combine the best characteristics of the historic medium and heavy tanks into a single, all around type. They are also the most expensive to mass-produce. A main battle tank is distinguished by its high level of firepower, mobility and armour protection relative to other vehicles of its era. It can cross comparatively rough terrain at high speeds, but its heavy-dependency on fuel, maintenance, and ammunition makes it logistically demanding. It has the heaviest armour of any AFVs on the battlefield, and carries a powerful precision-guided munition weapon systems that may be able to engage a wide variety of both ground targets and air targets. Despite significant advances in anti-tank warfare, it still remains the most versatile and fearsome land-based weapon-systems of the 21st-century, valued for its shock action and high survivability. Tankette A tankette is a tracked armed and armoured vehicle resembling a small "ultra-light tank" or "super-light tank" roughly the size of a car, mainly intended for light infantry support or scouting. They were one or two-man vehicles armed with a machine gun. Colloquially it may also simply mean a "small tank". Tankettes were designed and built by several nations between the 1920s and 1940s following the British Carden Loyd tankette which was a successful implementation of "one man tank" ideas from Giffard Le Quesne Martel. They were very popular with smaller countries. Some saw some combat (with limited success) in World War II. However, the vulnerability of their light armour eventually caused the concept to be abandoned. However, the German Army uses a modern design of air-transportable armored weapons carriers, the Wiesel AWC, which resembles the concept of a tankette. Super-heavy tank The term "super-heavy tank" has been used to describe armoured fighting vehicles of extreme size, generally over 75 tonnes. Programs have been initiated on several occasions with the aim of creating an invincible siegeworks/breakthrough vehicle for penetrating enemy formations and fortifications without fear of being destroyed in combat. Examples were designed in World War I and World War II (such as the Panzer VIII Maus), along with a few in the Cold War. However, few working prototypes were built and there are no clear evidence any of these vehicles saw combat, as their immense size would have made most designs impractical. Missile tank A missile tank is a tank fulfilling the role of a main battle tank, but using only guided missiles for main armament. Several nations have experimented with prototypes, notably the Soviet Union during the tenure of Nikita Khrushchev (projects Object 167, Object 137Ml, Object 155Ml, Object 287, Object 775), Flame tank A flame tank is an otherwise-standard tank equipped with a flamethrower, most commonly used to supplement combined arms attacks against fortifications, confined spaces, or other obstacles. The type only reached significant use in the Second World War, during which the United States, Soviet Union, Germany, Italy, Japan and the United Kingdom (including members of the British Commonwealth) all produced flamethrower-equipped tanks. Usually, the flame projector replaced one of the tank's machineguns, however, some flame projectors replaced the tank's main gun. Fuel for the flame weapon was generally carried inside the tank, although a few designs mounted the fuel externally, such as the armoured trailer used on the Churchill Crocodile. Flame tanks have been superseded by thermobaric weapons such as the Russian TOS-1. Infantry tank The idea for this tank was developed during World War I by British and French. The infantry tank was designed to work in concert with infantry in the assault, moving mostly at a walking pace, and carrying heavy armour to survive defensive fire. Its main purpose was to suppress enemy fire, crush obstacles such as barbed-wire entanglements, and protect the infantry on their advance into and through enemy lines by giving mobile overwatch and cover. The French Renault FT was the first iteration of this concept. The British and French retained the concept between the wars and into the Second World War era. Because infantry tanks did not need to be fast, they could carry heavy armour. One of the best-known infantry tanks was the Matilda II of World War II. Other examples include the French R-35, the British Valentine, and the British Churchill. Cruiser tank A cruiser tank, or cavalry tank, was designed to move fast and exploit penetrations of the enemy front. The idea originated in "Plan 1919", a British plan to break the trench deadlock of World War I in part via the use of high-speed tanks. The first cruiser tank was the British Whippet. Between the wars, this concept was implemented in the "fast tanks" pioneered by J. Walter Christie. These led to the Soviet BT tank series and the British cruiser tank series. During World War II, British cruiser tanks were designed to complement infantry tanks, exploiting gains made by the latter to attack and disrupt the enemy rear areas. In order to give them the required speed, cruiser designs sacrificed armour and armament compared to the infantry tanks. Pure British cruisers were generally replaced by more capable medium tanks such as the US Sherman and, to a lesser extent, the Cromwell by 1943. The Soviet fast tank (bistrokhodniy tank, or BT tank) classification also came out of the infantry/cavalry concept of armoured warfare and formed the basis for the British cruisers after 1936. The T-34 was a development of this line of tanks as well, though their armament, armour, and all-round capability places them firmly in the medium tank category. Armoured car The armoured car is a wheeled, often lightly armoured, vehicle adapted as a fighting machine. Its earliest form consisted of a motorised ironside chassis fitted with firing ports. By World War I, this had evolved into a mobile fortress equipped with command equipment, searchlights, and machine guns for self-defence. It was soon proposed that the requirements for the armament and layout of armoured cars be somewhat similar to those on naval craft, resulting in turreted vehicles. The first example carried a single revolving cupola with a Vickers gun; modern armoured cars may boast heavier armament – ranging from twin machine guns to large calibre cannon. Some multi-axled wheeled fighting vehicles can be quite heavy, and superior to older or smaller tanks in terms of armour and armament. Others are often used in military marches and processions, or for the escorting of important figures. Under peacetime conditions, they form an essential part of most standing armies. Armoured car units can move without the assistance of transporters and cover great distances with fewer logistical problems than tracked vehicles. During World War II, armoured cars were used for reconnaissance alongside scout cars. Their guns were suitable for some defence if they encountered enemy armoured vehicles, but they were not intended to engage enemy tanks. Armoured cars have since been used in the offensive role against tanks with varying degrees of success, most notably during the South African Border War, Toyota War, the Invasion of Kuwait, and other lower-intensity conflicts. Aerosani An aerosani (, literally "aerosled") is a type of propeller-driven snowmobile, running on skis, used for communications, mail deliveries, medical aid, emergency recovery and border patrolling in northern Russia, as well as for recreation. Aerosanis were used by the Soviet Red Army during the Winter War and World War II. The first aerosanis may have been built by young Igor Sikorsky in 1909–10, before he built multi-engine airplanes and helicopters. They were very light plywood vehicles on skis, propelled by old airplane engines and propellers. Scout car A scout car is a military armoured reconnaissance vehicle, capable of off-road mobility and often carrying mounted weapons such as machine guns for offensive capabilities and crew protection. They often only carry an operational crew aboard, which differentiates them from wheeled armoured personnel carriers (APCs) and Infantry Mobility Vehicles (IMVs), but early scout cars, such as the open-topped US M3 Scout Car could carry a crew of seven. The term is often used synonymously with the more general term armoured car, which also includes armored civilian vehicles. They are also differentiated by being designed and built for purpose, as opposed to improvised "technicals" which might serve in the same role. Reconnaissance vehicle A reconnaissance vehicle, also known as a scout vehicle, is a military vehicle used for forward reconnaissance. Both tracked and wheeled reconnaissance vehicles are in service. In some nations, light tanks such as the M551 Sheridan and AMX-13 are also used by scout platoons. Reconnaissance vehicles are usually designed with a low profile or small size and are lightly armoured, relying on speed and cover to escape detection. Their armament ranges from a medium machine gun to a large cannon. Modern examples are often fitted with ATGMs and a wide range of sensors. Some armoured personnel carriers and infantry mobility vehicle, such as the M113, TPz Fuchs, and Cadillac Gage Commando double in the reconnaissance role. Internal security vehicle An internal security vehicle (ISV), also known as an armoured security vehicle (ASV), is a combat vehicle used for suppressing civilian unrest. Security vehicles are typically armed with a turreted heavy machine gun and auxiliary medium machine gun. The vehicle is designed to minimize firepower dead space and the vehicles weapons can be depressed to a maximum of 12°. Non-lethal water cannons and tear gas cannons can provide suppressive fire in lieu of unnecessary deadly fire. The vehicle must be protected against weapons typical of riots. Protection from incendiary devices is achieved though coverage of the air intake and exhaust ports as well as a strong locking mechanism on the fuel opening. Turret and door locks prevent access to the interior of the vehicle by rioters. Vision blocks, ballistic glass and window shutters and outside surveillance cameras allow protected observation from within the vehicle. Wheeled 4x4 and 6x6 configurations are typical of security vehicles. Tracked security vehicles are often cumbersome and leave negative political connotations for being perceived as an imperial invading force. Improvised fighting vehicle An improvised fighting vehicle is a combat vehicle resulting from modifications to a civilian or military non-combat vehicle in order to give it a fighting capability. Such modifications usually consist of the grafting of armour plating and weapon systems. Various militaries have procured such vehicles, ever since the introduction of the first automobiles into military service. During the early days, the absence of a doctrine for the military use of automobiles or of an industry dedicated to producing them, lead to much improvisation in the creation of early armoured cars, and other such vehicles. Later, despite the advent of arms industries in many countries, several armies still resorted to using ad hoc contraptions, often in response to unexpected military situations, or as a result of the development of new tactics for which no available vehicle was suitable. The construction of improvised fighting vehicles may also reflect a lack of means for the force that uses them. This is especially true in developing countries, where various armies and guerrilla forces have used them, as they are more affordable than military-grade combat vehicles. Modern examples include military gun truck used by units of regular armies or other official government armed forces, based on a conventional cargo truck, that is able to carry a large weight of weapons and armour. They have mainly been used by regular armies to escort military convoys in regions subject to ambush by guerrilla forces. "Narco tanks", used by Mexican drug cartels in the Mexican Drug War, are built from such trucks, which combines operational mobility, tactical offensive, and defensive capabilities. Troop carriers Troop-carrying AFVs are divided into three main types – armoured personnel carriers (APCs), infantry fighting vehicles (IFVs) and infantry mobility vehicles (IMV). The main difference between the three is their intended role – the APC is designed purely to transport troops and is armed for self-defence only – whereas the IFV is designed to provide close-quarters and anti-armour fire support
hall acknowledging defeat. Drexler approached Hitler and gave him a copy of his pamphlet My Political Awakening, which contained anti-Semitic, nationalist, anti-capitalist, and anti-Marxist ideas. Hitler claims the literature reflected the ideals he already believed in. Impressed with Hitler, Drexler encouraged him to join the DAP. On the orders of his army superiors, Hitler applied to join the party. Once accepted, Hitler began to make the party more public by drawing people in with his speaking abilities, leading up to his organizing the party's biggest meeting yet, which attracted 2,000 people to the Hofbräuhaus in Munich on 24 February 1920. It was in this speech that Hitler, for the first time, enunciated the twenty-five points of the German Worker's Party's manifesto that he had authored with Drexler and Feder. Through these points he gave the organisation a foreign policy, including the abrogation of the Treaty of Versailles, a Greater Germany, Eastern expansion, and exclusion of Jews from citizenship. On the same day the party was renamed the National Socialist German Workers' Party (Nationalsozialistische Deutsche Arbeiterpartei; NSDAP). Following an intraparty dispute, Hitler angrily tendered his resignation on 11 July 1921. Drexler and the members of the party's governing committee realised that the resignation of their leading public figure and speaker would mean the end of the party. So Dietrich Eckart was asked by the Party leadership to speak with Hitler and relay the conditions in which he would agree to return. Hitler announced he would rejoin the party on the condition that he would replace Drexler as party chairman, with dictatorial powers and the title of "Führer", and that the party headquarters would remain in Munich. The committee agreed and he rejoined the party as member 3,680. Drexler was thereafter moved to the purely symbolic position of honorary president and left the party in 1923. Drexler was also a member of a völkisch political club for affluent members of Munich society known as the Thule Society. His membership in the Nazi Party ended when it was temporarily outlawed in 1923 following the Beer Hall Putsch, although Drexler had not actually taken part in the coup attempt. In 1924 he was elected to the Bavarian state parliament for the Völkisch-Social Bloc party (VSB), in which he served as vice president until 1928. He played no role in the Nazi Party's re-founding in February
played a significant role in the emergence of the stab-in-the-back myth and the defamation of certain politicians as the "November Criminals". In March 1918, Drexler founded a branch of the Free Workers' Committee for a Good Peace (Der Freie Arbeiterausschuss für einen guten Frieden) league. Karl Harrer, a journalist and member of the Thule Society, convinced Drexler and several others to form the Political Workers' Circle (Politischer Arbeiter-Zirkel) in 1918. The members met periodically for discussions about nationalism and antisemitism. German Workers' Party Together with Harrer, Gottfried Feder and Dietrich Eckart, Drexler founded the German Workers' Party (DAP) in Munich on 5 January 1919. At a DAP meeting in Munich in September 1919, the main speaker was Gottfried Feder. When Feder's lecture concluded, Adolf Hitler – who attended the meeting as part of his assignment from the German Army to watch political agitators – got involved in a heated political argument with a visitor, Professor Adalbert Baumann, who questioned the soundness of Feder's arguments in support of Bavaria separatism and against capitalism. In vehemently attacking the man's arguments, Hitler made an impression on the other party members with his oratory abilities, and according to him, the professor left the hall acknowledging defeat. Drexler approached Hitler and gave him a copy of his pamphlet My Political Awakening, which contained anti-Semitic, nationalist, anti-capitalist, and anti-Marxist ideas. Hitler claims the literature reflected the ideals he already believed in. Impressed with Hitler, Drexler encouraged him to join the DAP. On the orders of his army superiors, Hitler applied to join the party. Once accepted, Hitler began to make the party more public by drawing people in with his speaking abilities, leading up to his organizing the party's biggest meeting yet, which attracted 2,000 people to the Hofbräuhaus in Munich on 24 February 1920. It was in this speech that Hitler, for the first time, enunciated the twenty-five points of the German Worker's Party's manifesto that he had authored with Drexler and Feder. Through these points he gave the organisation a foreign policy, including the abrogation of the Treaty of Versailles, a Greater Germany, Eastern expansion, and exclusion of Jews from citizenship. On the same day the party was renamed the National Socialist German Workers' Party (Nationalsozialistische Deutsche Arbeiterpartei; NSDAP). Following an intraparty dispute, Hitler angrily tendered his resignation on 11 July 1921. Drexler and the members of the party's governing committee realised that the resignation of their leading public figure and speaker would mean the end of the party. So Dietrich
one of his classmates. He is very popular with women; when he and his comrades meet three French women, he is the first to seduce one of them. Bäumer describes Leer's ability to attract women by saying "Leer is an old hand at the game". In chapter 11, Leer is hit by a shell fragment, which also hits Bertinck. The shrapnel tears open Leer's hip, causing him to bleed to death quickly. His death causes Paul to ask himself, "What use is it to him now that he was such a good mathematician in school?" Bertinck Lieutenant Bertinck is the leader of Bäumer's company. His men have a great respect for him, and Bertinck has great respect for his men. In the beginning of the book, he permits them to eat the rations of the men that had been killed in action, standing up to the chef Ginger who allowed them only their allotted share. Bertinck is genuinely despondent when he learns that few of his men had survived an engagement. When he and the other characters are trapped in a trench under heavy attack, Bertinck, who has been injured in the firefight, spots a flamethrower team advancing on them. He gets out of cover and takes aim on the flamethrower but misses, and gets hit by enemy fire. With his next shot he kills the flamethrower, and immediately afterwards an enemy shell explodes on his position blowing off his chin. The same explosion also fatally wounds Leer. Himmelstoss Corporal Himmelstoss (spelled Himmelstoß in some editions) was a postman before enlisting in the war. He is a power-hungry corporal with special contempt for Paul and his friends, taking sadistic pleasure in punishing the minor infractions of his trainees during their basic training in preparation for their deployment. Paul later figures that the training taught by Himmelstoss made them "hard, suspicious, pitiless, and tough" but most importantly it taught them comradeship. Bäumer and his comrades have a chance to get back at Himmelstoss because of his punishments, mercilessly whipping him on the night before they board trains to go to the front. Himmelstoss later joins them at the front, revealing himself as a coward who shirks his duties for fear of getting hurt or killed, and pretends to be wounded because of a scratch on his face. Paul Bäumer beats him because of it and when a lieutenant comes along looking for men for a trench charge, Himmelstoss joins and leads the charge. He carries Haie Westhus's body to Bäumer after he is fatally wounded. Matured and repentant through his experiences Himmelstoß later asks for forgiveness from his previous charges. As he becomes the new staff cook, to prove his friendship he secures two pounds of sugar for Bäumer and half a pound of butter for Tjaden. Detering Detering is a farmer who constantly longs to return to his wife and farm. He is also fond of horses and is angered when he sees them used in combat. He says, "It is of the vilest baseness to use horses in the war," when the group hears several wounded horses writhe and scream for a long time before dying during a bombardment. He tries to shoot them to put them out of their misery, but is stopped by Kat to keep their current position hidden. He is driven to desert when he sees a cherry tree in blossom, which reminds him of home too much and inspires him to leave. He is found by military police and court-martialed and is never heard from again. Josef Hamacher Hamacher is a patient at the Catholic hospital where Paul and Albert Kropp are temporarily stationed. He has an intimate knowledge of the workings of the hospital. He also has a "Special Permit," certifying him as sporadically not responsible for his actions due to a head wound, though he is clearly quite sane and exploiting his permit so he can stay in the hospital and away from the war as long as possible. Franz Kemmerich A young boy of only 19 years. Franz Kemmerich had enlisted in the army for World War I along with his best friend and classmate, Bäumer. Kemmerich is shot in the leg early in the story; his injured leg has to be amputated, and he dies shortly after. In anticipation of Kemmerich's imminent death, Müller was eager to get his boots. While in the hospital, someone steals Kemmerich's watch that he intended to give to his mother, causing him great distress and prompting him to ask about his watch every time his friends visit him in the hospital. Paul later finds the watch and hands it over to Kemmerich's mother, only to lie and say Franz died instantly and painlessly when questioned. Joseph Behm A student in Paul's class who is described as youthful and overweight. Behm was the only student that was not quickly influenced by Kantorek's patriotism to join the war, but eventually, due to pressure from friends and Kantorek, he joins the war. He is the first of Paul's friends to die. He is blinded in no man's land and believed to be dead by his friends. The next day, when he is seen walking blindly around no man's land, it is discovered that he was only unconscious, but he is killed before he can be rescued. Publication and reception From November 10 to December 9, 1928, All Quiet on the Western Front was published in serial form in Vossische Zeitung magazine. It was released in book form the following year to smashing success, selling one and a half million copies that same year. It was the best-selling work of fiction in America for the year 1929, according to Publishers Weekly. Although publishers had worried that interest in World War I had waned more than 10 years after the armistice, Remarque's realistic depiction of trench warfare from the perspective of young soldiers struck a chord with the war's survivors—soldiers and civilians alike—and provoked strong reactions, both positive and negative, around the world. With All Quiet on the Western Front, Remarque emerged as an eloquent spokesman for a generation that had been, in his own words, "destroyed by war, even though it might have escaped its shells." Remarque's harshest critics, in turn, were his countrymen, many of whom felt the book denigrated the German war effort, and that Remarque had exaggerated the horrors of war to further his pacifist agenda. The strongest voices against Remarque came from the emerging Nazi Party and its ideological allies. In 1933, when the Nazis rose to power, All Quiet on the Western Front became one of the first degenerate books to be publicly burnt; in 1930, screenings of the Academy Award-winning film based on the book were met with Nazi-organized protests and mob attacks on both movie theatres and audience members. Objections to Remarque's portrayal of the World War I German soldiers were not limited to those of the Nazis in 1933. Dr. was concerned about Remarque's depiction of the medical personnel as being inattentive, uncaring, or absent from frontline action. Dr. Kroner was specifically worried that the book would perpetuate German stereotypes abroad that had subsided since the First World War. He offered the following clarification: “People abroad will draw the following conclusions: if German doctors deal with their own fellow countrymen in this manner, what acts of inhumanity will they not perpetuate against helpless prisoners delivered up into their hands or against the populations of occupied territory?” A fellow patient of Remarque's in the military hospital in Duisburg objected to the negative depictions of the nuns and patients, and of the general portrayal of soldiers: “There were soldiers to whom the protection of homeland, protection of house and homestead, protection of family were the highest objective, and to whom this will to protect their homeland gave the strength to endure any extremities.” These criticisms suggest that perhaps experiences of the war and the personal reactions of individual soldiers to their experiences may be more diverse than Remarque portrays them; however, it is beyond question that Remarque gives voice to a side of the war and its experience that was overlooked or suppressed at the time. This perspective is crucial to understanding the true effects of World War I. The evidence can be seen in the lingering depression that Remarque and many of his friends and acquaintances were suffering a decade later. The book was also banned in other European countries on the ground of it being considered anti-war propaganda; Austrian soldiers were forbidden from reading the book in 1929, and Czechoslovakia banned it from its military libraries. The Italian translation was also banned in 1933. When the Nazis were re-militarizing Germany's military the book was banned as it was deemed counterproductive to German rearmament. In contrast, All Quiet on the Western Front was trumpeted by pacifists as an anti-war book. Remarque makes a
its sequel, The Road Back (1930), were among the books banned and burned in Nazi Germany. All Quiet on the Western Front sold 2.5 million copies in 22 languages in its first 18 months in print. In 1930, the book was adapted as an Academy Award-winning film of the same name, directed by Lewis Milestone. It was adapted again in 1979 by Delbert Mann, this time as a television film starring Richard Thomas and Ernest Borgnine. Title and translation The English translation by Arthur Wesley Wheen gives the title as All Quiet on the Western Front. The literal translation of "Im Westen nichts Neues" is "Nothing New in the West," with "West" being the Western Front; the phrase refers to the content of an official communiqué at the end of the novel. Brian Murdoch's 1993 translation rendered the phrase as "there was nothing new to report on the Western Front" within the narrative. However, in the foreword, he explains his retention of the original book title: Although it does not match the German exactly, Wheen's title has justly become part of the English language and is retained here with gratitude. The phrase "all quiet on the Western Front" has become a colloquial expression meaning stagnation, or lack of visible change, in any context. Murdoch also explains how, due to the time it was published, Wheen's translation was obliged to Anglicise some lesser-known German references and lessen the impact of certain passages, while omitting others entirely. Murdoch's translation is more accurate to the original text and completely unexpurgated. Plot summary The book tells the story of Paul Bäumer, who belongs to a group of German soldiers on the Western Front during World War I. The patriotic speeches of his teacher Kantorek had led the whole class to volunteer for the Imperial German Army shortly after the start of The Great War. He didn't have any experience when going into the war but he went in with an open mind and a kind heart. Paul lived with his father, mother, and sister in a charming German village, and attended school. His class was "scattered over the platoons amongst Frisian fishermen, peasants, and laborers." Bäumer arrives at the Western Front with his friends and schoolmates (Leer, Müller, Kropp, and a number of other characters). There they meet Stanislaus Katczinsky, an older soldier, nicknamed Kat, who becomes Paul's mentor. While fighting at the front, Bäumer and his comrades have to engage in frequent battles and endure the treacherous and filthy conditions of trench warfare. At the beginning of the book, Remarque writes, "This book is to be neither an accusation nor a confession, and least of all an adventure, for death is not an adventure to those who stand face to face with it. It will try simply to tell of a generation of men who, even though they may have escaped (its) shells, were destroyed by the war." The book does not focus on heroic stories of bravery, but rather gives a view of the conditions in which the soldiers find themselves. The monotony between battles, the constant threat of artillery fire and bombardments, the struggle to find food, the lack of training of young recruits (meaning lower chances of survival), and the overarching role of random chance in the lives and deaths of the soldiers are described in detail. The battles fought here have no names and seem to have little overall significance, except for the impending possibility of injury or death for Bäumer and his comrades. Only pitifully meager pieces of land are gained, about the size of a football field, which are often lost again later. Remarque often refers to the living soldiers as old and dead, emotionally drained and shaken. "We are not youth any longer. We don't want to take the world by storm. We are fleeing from ourselves, from our life. We were eighteen and had begun to love life and the world; and we had to shoot it to pieces." Paul's visiting his home highlights the cost of the war on his psyche. The town has not changed since he went off to war, but he has: he finds that he does "not belong here anymore, it is a foreign world." He feels disconnected from most of the townspeople. His father asks him "stupid and distressing" questions about his war experiences, not understanding "that a man cannot talk of such things." An old schoolmaster lectures him about strategy and advancing to Paris while insisting that Paul and his friends know only their "own little sector" of the war but nothing of the big picture. Indeed, the only person he remains connected to is his dying mother, with whom he shares a tender, yet restrained relationship. The night before he is to return from leave, he stays up with her, exchanging small expressions of love and concern for each other. He thinks to himself, "Ah! Mother, Mother! How can it be that I must part from you? Here I sit and there you are lying; we have so much to say, and we shall never say it." In the end, he concludes that he "ought never to have come [home] on leave." Paul feels glad to be reunited with his comrades. Soon after, he volunteers to go on a patrol and kills a man for the first time in hand-to-hand combat. He watches the man die, in pain for hours. He feels remorse and asks forgiveness from the man's corpse. He is devastated and later confesses to Kat and Albert, who try to comfort him and reassure him that it is only part of the war. They are then sent on what Paul calls a "good job." They must guard a supply depot in a village that was evacuated due to being shelled too heavily. During this time, the men are able to adequately feed themselves, unlike the near-starvation conditions in the German trenches. In addition, the men enjoy themselves while living off the spoils from the village and officers' luxuries from the supply depot (such as fine cigars). While evacuating the villagers (enemy civilians), Paul and Albert are taken by surprise by artillery fired at the civilian convoy and wounded by a shell. On the train back home, Albert takes a turn for the worse and cannot complete the journey, instead being sent off the train to recuperate in a Catholic hospital. Paul uses a combination of bartering and manipulation to stay by Albert's side. Albert eventually has his leg amputated, while Paul is deemed fit for service and returned to the front. By now, the war is nearing its end and the German Army is retreating. In despair, Paul watches as his friends fall one by one. It is the death of Kat that eventually makes Paul careless about living. In the final chapter, he comments that peace is coming soon, but he does not see the future as bright and shining with hope. Paul feels that he has no aims or goals left in life and that their generation will be different and misunderstood. In October 1918, Paul is finally killed on a remarkably peaceful day. The situation report from the frontline states a simple phrase: "All quiet on the Western Front." Paul's corpse displays a calm expression on its face, "as though almost glad the end had come." Themes One of the major themes of the novel is the difficulty of soldiers to revert to civilian life after having experienced extreme combat situations. This internal destruction can be found as early as the first chapter as Paul comments that, although all the boys are young, their youth has left them. In addition, the massive loss of life and negligible gains from the fighting are constantly emphasized. Soldiers' lives are thrown away by their commanding officers who are stationed comfortably away from the front, ignorant of the daily terrors of the front line. Another major theme is the concept of blind nationalism. Remarque often emphasizes the boys in the story were not forced to join the war effort against their will but rather by a sense of patriotism and pride. Kantorek called Paul's platoon the "Iron Youth", helping the boys imagine a romanticized version of warfare with glory and duty to the Fatherland. Only later did they realize the true horror of war as they engaged
economic and cultural reasons. New York City, Chicago, and Los Angeles have the highest decline in African Americans, while Atlanta, Dallas, and Houston have the highest increase respectively. Among cities of 100,000 or more, Detroit, Michigan had the highest percentage of Black residents of any U.S. city in 2010, with 82%. Other large cities with African-American majorities include Jackson, Mississippi (79.4%), Miami Gardens, Florida (76.3%), Baltimore, Maryland (63%), Birmingham, Alabama (62.5%), Memphis, Tennessee (61%), New Orleans, Louisiana (60%), Montgomery, Alabama (56.6%), Flint, Michigan (56.6%), Savannah, Georgia (55.0%), Augusta, Georgia (54.7%), Atlanta, Georgia (54%, see African Americans in Atlanta), Cleveland, Ohio (53.3%), Newark, New Jersey (52.35%), Washington, D.C. (50.7%), Richmond, Virginia (50.6%), Mobile, Alabama (50.6%), Baton Rouge, Louisiana (50.4%), and Shreveport, Louisiana (50.4%). The nation's most affluent community with an African-American majority resides in View Park–Windsor Hills, California with an annual median household income of $159,618. Other largely affluent and African-American communities include Prince George's County in Maryland (namely Mitchellville, Woodmore, and Upper Marlboro), Dekalb County and South Fulton in Georgia, Charles City County in Virginia, Baldwin Hills in California, Hillcrest and Uniondale in New York, and Cedar Hill, DeSoto, and Missouri City in Texas. Queens County, New York is the only county with a population of 65,000 or more where African Americans have a higher median household income than White Americans. Seatack, Virginia is currently the oldest African-American community in the United States. It survives today with a vibrant and active civic community. Education During slavery, anti-literacy laws were enacted in the U.S. that prohibited education for Black people. Slave owners saw literacy as a threat to the institution of slavery. As a North Carolina statute stated, "Teaching slaves to read and write, tends to excite dissatisfaction in their minds, and to produce insurrection and rebellion." In 1863, enslaved Americans became free citizens during a time when public educational systems were expanding across the country. By 1870, around seventy-four institutions in the south provided a form of advanced education for African American students, and by 1900, over a hundred programs at these schools provided training for Black professionals, including teachers. Many of the students at Fisk University, including W. E. B. Du Bois when he was a student there, taught school during the summers to support their studies. African Americans were very concerned to provide quality education for their children, but White supremacy limited their ability to participate in educational policymaking on the political level. State governments soon moved to undermine their citizenship by restricting their right to vote. By the late 1870s, Blacks were disenfranchised and segregated across the American South. White politicians in Mississippi and other states withheld financial resources and supplies from Black schools. Nevertheless, the presence of Black teachers, and their engagement with their communities both inside and outside the classroom, ensured that Black students had access to education despite these external constraints. Predominantly Black schools for kindergarten through twelfth grade students were common throughout the U.S. before the 1970s. By 1972, however, desegregation efforts meant that only 25% of Black students were in schools with more than 90% non-White students. However, since then, a trend towards re-segregation affected communities across the country: by 2011, 2.9 million African-American students were in such overwhelmingly minority schools, including 53% of Black students in school districts that were formerly under desegregation orders. As late as 1947, about one third of African Americans over 65 were considered to lack the literacy to read and write their own names. By 1969, illiteracy as it had been traditionally defined, had been largely eradicated among younger African Americans. U.S. Census surveys showed that by 1998, 89 percent of African Americans aged 25 to 29 had completed a high-school education, less than Whites or Asians, but more than Hispanics. On many college entrance, standardized tests and grades, African Americans have historically lagged behind Whites, but some studies suggest that the achievement gap has been closing. Many policy makers have proposed that this gap can and will be eliminated through policies such as affirmative action, desegregation, and multiculturalism. Between 1995 and 2009, freshmen college enrollment for African Americans increased by 73 percent and only 15 percent for Whites. Black women are enrolled in college more than any other race and gender group, leading all with 9.7% enrolled according to the 2011 U.S. Census Bureau. The average high school graduation rate of Blacks in the United States has steadily increased to 71% in 2013. Separating this statistic into component parts shows it varies greatly depending upon the state and the school district examined. 38% of Black males graduated in the state of New York but in Maine 97% graduated and exceeded the White male graduation rate by 11 percentage points. In much of the southeastern United States and some parts of the southwestern United States the graduation rate of White males was in fact below 70% such as in Florida where 62% of White males graduated from high school. Examining specific school districts paints an even more complex picture. In the Detroit school district the graduation rate of Black males was 20% but 7% for White males. In the New York City school district 28% of Black males graduate from high school compared to 57% of White males. In Newark County 76% of Black males graduated compared to 67% for White males. Further academic improvement has occurred in 2015. Roughly 23% of all Blacks have bachelor's degrees. In 1988, 21% of Whites had obtained a bachelor's degree versus 11% of Blacks. In 2015, 23% of Blacks had obtained a bachelor's degree versus 36% of Whites. Foreign born Blacks, 9% of the Black population, made even greater strides. They exceed native born Blacks by 10 percentage points. Historically Black colleges and universities Historically Black colleges and universities (HBCUs), which were founded when segregated institutions of higher learning did not admit African Americans, continue to thrive and educate students of all races today. There are 101 HBCUs representing three percent of the nation's colleges and universities with the majority established in the Southeast. HBCUs have been largely responsible for establishing and expanding the African-American middle-class. Economic status Economically, African Americans have benefited from the advances made during the civil rights era, particularly among the educated, but not without the lingering effects of historical marginalisation when considered as a whole. The racial disparity in poverty rates has narrowed. The Black middle class has grown substantially. In the first quarter of 2021, 45.1% of African Americans owned their homes, compared to 65.3% of all Americans. The poverty rate among African Americans has decreased from 24.7% in 2004 to 18.8% in 2020, compared to 10.5% for all Americans. African Americans have a combined buying power of over $892 billion currently and likely over $1.1 trillion by 2012. In 2002, African American-owned businesses accounted for 1.2 million of the US's 23 million businesses. African American-owned businesses account for approximately 2 million US businesses. Black-owned businesses experienced the largest growth in number of businesses among minorities from 2002 to 2011. Twenty-five percent of Blacks had white-collar occupations (management, professional, and related fields) in 2000, compared with 33.6% of Americans overall. In 2001, over half of African-American households of married couples earned $50,000 or more. Although in the same year African Americans were over-represented among the nation's poor, this was directly related to the disproportionate percentage of African-American families headed by single women; such families are collectively poorer, regardless of ethnicity. In 2006, the median earnings of African-American men was more than Black and non-Black American women overall, and in all educational levels. At the same time, among American men, income disparities were significant; the median income of African-American men was approximately 76 cents for every dollar of their European American counterparts, although the gap narrowed somewhat with a rise in educational level. Overall, the median earnings of African-American men were 72 cents for every dollar earned of their Asian American counterparts, and $1.17 for every dollar earned by Hispanic men. On the other hand, by 2006, among American women with post-secondary education, African-American women have made significant advances; the median income of African-American women was more than those of their Asian-, European- and Hispanic American counterparts with at least some college education. The U.S. public sector is the single most important source of employment for African Americans. During 2008–2010, 21.2% of all Black workers were public employees, compared with 16.3% of non-Black workers. Both before and after the onset of the Great Recession, African Americans were 30% more likely than other workers to be employed in the public sector. The public sector is also a critical source of decent-paying jobs for Black Americans. For both men and women, the median wage earned by Black employees is significantly higher in the public sector than in other industries. In 1999, the median income of African-American families was $33,255 compared to $53,356 of European Americans. In times of economic hardship for the nation, African Americans suffer disproportionately from job loss and underemployment, with the Black underclass being hardest hit. The phrase "last hired and first fired" is reflected in the Bureau of Labor Statistics unemployment figures. Nationwide, the October 2008 unemployment rate for African Americans was 11.1%, while the nationwide rate was 6.5%. The income gap between Black and White families is also significant. In 2005, employed Blacks earned 65% of the wages of Whites, down from 82% in 1975. The New York Times reported in 2006 that in Queens, New York, the median income among African-American families exceeded that of White families, which the newspaper attributed to the growth in the number of two-parent Black families. It noted that Queens was the only county with more than 65,000 residents where that was true. In 2011, it was reported that 72% of Black babies were born to unwed mothers. The poverty rate among single-parent Black families was 39.5% in 2005, according to Walter E. Williams, while it was 9.9% among married-couple Black families. Among White families, the respective rates were 26.4% and 6% in poverty. Collectively, African Americans are more involved in the American political process than other minority groups in the United States, indicated by the highest level of voter registration and participation in elections among these groups in 2004. African Americans also have the highest level of Congressional representation of any minority group in the U.S. Politics Since the mid 20th century, a large majority of African Americans support the Democratic Party. In the 2004 Presidential Election, Democrat John Kerry received 88% of the African-American vote compared to 11% for Republican George W. Bush. Although there is an African-American lobby in foreign policy, it has not had the impact that African-American organizations have had in domestic policy. Many African Americans were excluded from electoral politics in the decades following the end of Reconstruction. For those that could participate, until the New Deal, African Americans were supporters of the Republican Party because it was Republican President Abraham Lincoln who helped in granting freedom to American slaves; at the time, the Republicans and Democrats represented the sectional interests of the North and South, respectively, rather than any specific ideology, and both conservative and liberal were represented equally in both parties. The African-American trend of voting for Democrats can be traced back to the 1930s during the Great Depression, when Franklin D. Roosevelt's New Deal program provided economic relief to African Americans. Roosevelt's New Deal coalition turned the Democratic Party into an organization of the working class and their liberal allies, regardless of region. The African-American vote became even more solidly Democratic when Democratic presidents John F. Kennedy and Lyndon B. Johnson pushed for civil rights legislation during the 1960s. In 1960, nearly a third of African Americans voted for Republican Richard Nixon. Black national anthem "Lift Every Voice and Sing" is often referred to as the Black national anthem in the United States. In 1919, the National Association for the Advancement of Colored People (NAACP) had dubbed it the "Negro national anthem" for its power in voicing a cry for liberation and affirmation for African American people. Sexuality According to a Gallup survey, 4.6% of Black or African-Americans self-identified as LGBT in 2016, while the total portion of American adults in all ethnic groups identifying as LGBT was 4.1% in 2016. Health General The life expectancy for Black men in 2008 was 70.8 years. Life expectancy for Black women was 77.5 years in 2008. In 1900, when information on Black life expectancy started being collated, a Black man could expect to live to 32.5 years and a Black woman 33.5 years. In 1900, White men lived an average of 46.3 years and White women lived an average of 48.3 years. African-American life expectancy at birth is persistently five to seven years lower than European Americans. Black men have shorter lifespans than any other group in the US besides Native American men. Black people have higher rates of obesity, diabetes, and hypertension than the U.S. average. For adult Black men, the rate of obesity was 31.6% in 2010. For adult Black women, the rate of obesity was 41.2% in 2010. African Americans have higher rates of mortality than any other racial or ethnic group for 8 of the top 10 causes of death. In 2013, among men, Black men had the highest rate of getting cancer, followed by White, Hispanic, Asian/Pacific Islander (A/PI), and American Indian/Alaska Native (AI/AN) men. Among women, White women had the highest rate of getting cancer, followed by Black, Hispanic, Asian/Pacific Islander, and American Indian/Alaska Native women. Violence has an impact upon African-American life expectancy. A report from the U.S. Department of Justice states "In 2005, homicide victimization rates for blacks were 6 times higher than the rates for whites". The report also found that "94% of black victims were killed by blacks." Black boys and men age 15–44 are the only race/sex category for which homicide is a top-five cause of death. In 2022, COVID-19 became the third leading cause of death for African Americans. African Americans are less likely to be vaccinated against the virus. Sexual health According to the Centers for Disease Control and Prevention, African Americans have higher rates of sexually transmitted infections (STIs) compared to Whites, with 5 times the rates of syphilis and chlamydia, and 7.5 times the rate of gonorrhea. The disproportionately high incidence of HIV/AIDS among African-Americans has been attributed to homophobic influences and lack of access to proper healthcare. The prevalence of HIV/AIDS among Black men is seven times higher than the prevalence for White men, and Black men are more than nine times as likely to die from HIV/AIDS-related illness than White men. Mental health African Americans have several barriers for accessing mental health services. Counseling has been frowned upon and distant in utility and proximity to many people in the African American community. In 2004, a qualitative research study explored the disconnect with African Americans and mental health. The study was conducted as a semi-structured discussion which allowed the focus group to express their opinions and life experiences. The results revealed a couple key variables that create barriers for many African American communities to seek mental health services such as the stigma, lack of four important necessities; trust, affordability, cultural understanding and impersonal services. Historically, many African American communities did not seek counseling because religion was a part of the family values. African American who have a faith background are more likely to seek prayer as a coping mechanism for mental issues rather than seeking professional mental health services. In 2015 a study concluded, African Americans with high value in religion are less likely to utilize mental health services compared to those who have low value in religion. Most counseling approaches are westernized and do not fit within the African American culture. African American families tend to resolve concerns within the family, and it is viewed by the family as a strength. On the other hand, when African Americans seek counseling, they face a social backlash and are criticized. They may be labeled "crazy", viewed as weak, and their pride is diminished. Because of this, many African Americans instead seek mentorship within communities they trust. Terminology is another barrier in relation to African Americans and mental health. There is more stigma on the term psychotherapy versus counseling. In one study, psychotherapy is associated with mental illness whereas counseling approaches problem-solving, guidance and help. More African Americans seek assistance when it is called counseling and not psychotherapy because it is more welcoming within the cultural and community. Counselors are encouraged to be aware of such barriers for the well-being of African American clients. Without cultural competency training in health care, many African Americans go unheard and misunderstood. Although suicide is a top-10 cause of death for men overall in the US, it is not a top-10 cause of death for Black men. Genetics Genome-wide studies Recent surveys of African Americans using a genetic testing service have found varied ancestries which show different tendencies by region and sex of ancestors. These studies found that on average, African Americans have 73.2–82.1% West African, 16.7%–24% European, and 0.8–1.2% Native American genetic ancestry, with large variation between individuals. Genetics websites themselves have reported similar ranges, with some finding 1 or 2 percent Native American ancestry and Ancestry.com reporting an outlying percentage of European ancestry among African Americans, 29%. According to a genome-wide study by Bryc et al. (2009), the mixed ancestry of African Americans in varying ratios came about as the result of sexual contact between West/Central Africans (more frequently females) and Europeans (more frequently males). Consequently, the 365 African Americans in their sample have a genome-wide average of 78.1% West African ancestry and 18.5% European ancestry, with large variation among individuals (ranging from 99% to 1% West African ancestry). The West African ancestral component in African Americans is most similar to that in present-day speakers from the non-Bantu branches of the Niger-Congo (Niger-Kordofanian) family. Correspondingly, Montinaro et al. (2014) observed that around 50% of the overall ancestry of African Americans traces back to the Niger-Congo-speaking Yoruba of southwestern Nigeria and southern Benin, reflecting the centrality of this West African region in the Atlantic Slave Trade. The next most frequent ancestral component found among African Americans was derived from Great Britain, in keeping with historical records. It constitutes a little over 10% of their overall ancestry, and is most similar to the Northwest European ancestral component also carried by Barbadians. Zakharaia et al. (2009) found a similar proportion of Yoruba associated ancestry in their African-American samples, with a minority also drawn from Mandenka and Bantu populations. Additionally, the researchers observed an average European ancestry of 21.9%, again with significant variation between individuals. Bryc et al. (2009) note that populations from other parts of the continent may also constitute adequate proxies for the ancestors of some African-American individuals; namely, ancestral populations from Guinea Bissau, Senegal and Sierra Leone in West Africa and Angola in Southern Africa. Altogether, genetic studies suggest that African Americans are a genetically diverse people. According to DNA analysis led in 2006 by Penn State geneticist Mark D. Shriver, around 58 percent of African Americans have at least 12.5% European ancestry (equivalent to one European great-grandparent and his/her forebears), 19.6 percent of African Americans have at least 25% European ancestry (equivalent to one European grandparent and his/her forebears), and 1 percent of African Americans have at least 50% European ancestry (equivalent to one European parent and his/her forebears). According to Shriver, around 5 percent of African Americans also have at least 12.5% Native American ancestry (equivalent to one Native American great-grandparent and his/her forebears). Research suggests that Native American ancestry among people who identify as African American is a result of relationships that occurred soon after slave ships arrived in the American colonies, and European ancestry is of more recent origin, often from the decades before the Civil War. Y-DNA Africans bearing the E-V38 (E1b1a) likely traversed across the Sahara, from east to west, approximately 19,000 years ago. E-M2 (E1b1a1) likely originated in West Africa or Central Africa. According to a Y-DNA study by Sims et al. (2007), the majority (≈60%) of African Americans belong to various subclades of the E-M2 (E1b1a1, formerly E3a) paternal haplogroup. This is the most common genetic paternal lineage found today among West/Central African males, and is also a signature of the historical Bantu migrations. The next most frequent Y-DNA haplogroup observed among African Americans is the R1b clade, which around 15% of African Americans carry. This lineage is most common today among Northwestern European males. The remaining African Americans mainly belong to the paternal haplogroup I (≈7%), which is also frequent in Northwestern Europe. mtDNA According to an mtDNA study by Salas et al. (2005), the maternal lineages of African Americans are most similar to haplogroups that are today especially common in West Africa (>55%), followed closely by West-Central Africa and Southwestern Africa (<41%). The characteristic West African haplogroups L1b, L2b,c,d, and L3b,d and West-Central African haplogroups L1c and L3e in particular occur at high frequencies among African Americans. As with the paternal DNA of African Americans, contributions from other parts of the continent to their maternal gene pool are insignificant. Social status Formal political, economic and social discrimination against minorities has been present throughout American history. Leland T. Saito, Associate Professor of Sociology and American Studies & Ethnicity at the University of Southern California, writes, "Political rights have been circumscribed by race, class and gender since the founding of the United States, when the right to vote was restricted to White men of property. Throughout the history of the United States race has been used by Whites for legitimizing and creating difference and social, economic and political exclusion." Although they have gained a greater degree of social equality since the civil rights movement, African Americans have remained stagnant economically, which has hindered their ability to break into the middle class and beyond. As of 2020, the racial wealth gap between whites and blacks remains as large as it was in 1968, with the typical net worth of a white household equivalent to that of 11.5 black households. Despite this, African Americans have increased employment rates and gained representation in the highest levels of American government in the post–civil rights era. However, widespread racism remains an issue that continues to undermine the development of social status. Economic issues One of the most serious and long-standing issues within African-American communities is poverty. Poverty is associated with higher rates of marital stress and dissolution, physical and mental health problems, disability, cognitive deficits, low educational attainment, and crime. In 2004, almost 25% of African-American families lived below the poverty level. In 2007, the average income for African Americans was approximately $34,000, compared to $55,000 for Whites. African Americans experience a higher rate of unemployment than the general population. African Americans have a long and diverse history of business ownership. Although the first African-American business is unknown, slaves captured from West Africa are believed to have established commercial enterprises as peddlers and skilled craftspeople as far back as the 17th century. Around 1900, Booker T. Washington became the most famous proponent of African-American businesses. His critic and rival W. E. B. DuBois also commended business as a vehicle for African-American advancement. Policing and criminal justice Forty percent of prison inmates are African American. African American males are more likely to be killed by police when compared to other races. This is one of the factors that led to the creation of the Black Lives Matter movement in 2013. A historical issue in the U.S. where women have weaponized their White privilege in the country by reporting on Black people, often instigating racial violence, White women calling the police on Black people became widely publicized in 2020. In African-American culture there is a long history of calling a meddlesome White woman by a certain name, while The Guardian called 2020 "the year of Karen". Although in the last decade Black youth have had lower rates of cannabis (marijuana) consumption than Whites of the same age, they have disproportionately higher arrest rates than Whites: in 2010, for example, Blacks were 3.73 times as likely to get arrested for using cannabis than Whites, despite not significantly more frequently being users. Social issues After over 50 years, marriage rates for all Americans began to decline while divorce rates and out-of-wedlock births have climbed. These changes have been greatest among African Americans. After more than 70 years of racial parity Black marriage rates began to fall behind Whites. Single-parent households have become common, and according to U.S. census figures released in January 2010, only 38 percent of Black children live with both their parents. The first ever anti-miscegenation law was passed by the Maryland General Assembly in 1691, criminalizing interracial marriage. In a speech in Charleston, Illinois in 1858, Abraham Lincoln stated, "I am not, nor ever have been in favor of making voters or jurors of negroes, nor of qualifying them to hold office, nor to intermarry with white people". By the late 1800s, 38 US states had anti-miscegenation statutes. By 1924, the ban on interracial marriage was still in force in 29 states. While interracial marriage had been legal in California since 1948, in 1957 actor Sammy Davis Jr. faced a backlash for his involvement with White actress Kim Novak. Harry Cohn, the president of Columbia Pictures (with whom Novak was under contract) gave in to his concerns that a racist backlash against the relationship could hurt the studio. Davis briefly married Black dancer Loray White in 1958 to protect himself from mob violence. Inebriated at the wedding ceremony, Davis despairingly said to his best friend, Arthur Silber Jr., "Why won't they let me live my life?" The couple never lived together, and commenced divorce proceedings in September 1958. In 1958, officers in Virginia entered the home of Mildred and Richard Loving and dragged them out of bed for living together as an interracial couple, on the basis that “any white person intermarry with a colored person”— or vice versa—each party “shall be guilty of a felony” and face prison terms of five years. The law was ruled unconstitutional in 1967 by the U.S. Supreme Court in Loving v. Virginia. In 2008, Democrats overwhelmingly voted 70% against California Proposition 8, African Americans voted 58% in favor of it while 42% voted against Proposition 8. On May 9, 2012, Barack Obama, the first Black president, became the first U.S. president to support same-sex marriage. Since Obama's endorsement there has been a rapid growth in support for same-sex marriage among African Americans. As of 2012, 59% of African Americans support same-sex marriage, which is higher than support among the national average (53%) and White Americans (50%). Polls in North Carolina, Pennsylvania, Missouri, Maryland, Ohio, Florida, and Nevada have also shown an increase in support for same sex marriage among African Americans. On November 6, 2012, Maryland, Maine, and Washington all voted for approve of same-sex marriage, along with Minnesota rejecting a constitutional amendment banning same-sex marriage. Exit polls in Maryland show about 50% of African Americans voted for same-sex marriage, showing a vast evolution among African Americans on the issue and was crucial in helping pass same-sex marriage in Maryland. Black Americans hold far more conservative opinions on abortion, extramarital sex, and raising children out of wedlock than Democrats as a whole. On financial issues, however, African Americans are in line with Democrats, generally supporting a more progressive tax structure to provide more government spending on social services. Political legacy African Americans have fought in every war in the history of the United States. The gains made by African Americans in the civil rights movement and in the Black Power movement not only obtained certain rights for African Americans, but changed American society in far-reaching and fundamentally important ways. Prior to the 1950s, Black Americans in the South were subject to de jure discrimination, or Jim Crow laws. They were often the victims of extreme cruelty and violence, sometimes resulting in deaths: by the post World War II era, African Americans became increasingly discontented with their long-standing inequality. In the words of Martin Luther King Jr., African Americans and their supporters challenged the nation to "rise up and live out the true meaning of its creed that all men are created equal..." The civil rights movement marked an enormous change in American social, political, economic and civic life. It brought with it boycotts, sit-ins, nonviolent demonstrations and marches, court battles, bombings and other violence; prompted worldwide media coverage and intense public debate; forged enduring civic, economic and religious alliances; and disrupted and realigned the nation's two major political parties. Over time, it has changed in fundamental ways the manner in which Blacks and Whites interact with and relate to one another. The movement resulted in the removal of codified, de jure racial segregation and discrimination from American life and law, and heavily influenced other groups and movements in struggles for civil rights and social equality within American society, including the Free Speech Movement, the disabled, the women's movement, and migrant workers. It also inspired the Native American rights movement, and in King's 1964 book Why We Can't Wait he wrote the U.S. "was born in genocide when it embraced the doctrine that the original American, the Indian, was an inferior race." Media and coverage Some activists and academics contend that American news media coverage of African-American news, concerns, or dilemmas is inadequate, or that the news media present distorted images of African Americans. To combat this, Robert L. Johnson founded Black Entertainment Television (BET), a network that targets young African Americans and urban audiences in the United States. Over the years, the network has aired such programming as rap and R&B music videos, urban-oriented movies and television series, and some public affairs programs. On Sunday mornings, BET would broadcast Christian programming; the network would also broadcast non-affiliated Christian programs during the early morning hours daily. According to Viacom, BET is now a global network that reaches households in the United States, Caribbean, Canada, and the United Kingdom. The network has gone on to spawn several spin-off channels, including BET Her (originally launched as BET on Jazz), which originally showcased jazz music-related programming, and later expanded to include general-interest urban programs as well as some R&B, soul, and world music. Another network targeting African-Americans is TV One. TV One's original programming was formally focused on lifestyle and entertainment-oriented shows, movies, fashion, and music programming. The network also reruns classic series from as far back as the 1970s to current series such as Empire and Sister Circle. TV One is owned by Urban One, founded and controlled by Catherine Hughes. Urban One is one of the nation's largest radio broadcasting companies and the largest African-American-owned radio broadcasting company in the United States. In June 2009, NBC News launched a new website named The Grio in partnership with the production team that created the Black documentary film Meeting David Wilson. It is the first African-American video news site that focuses on underrepresented stories in existing national news. The Grio consists of a broad spectrum of original video packages, news articles, and contributor blogs on topics including breaking news, politics, health, business, entertainment and Black History. Other Black-owned and oriented media outlets include: The Africa Channel – Dedicated to programming representing the best in African culture. aspireTV – a digital cable and satellite channel owned by businessman and former basketball player Magic Johnson. ATTV – an independent public affairs and educational channel. Bounce TV – a digital multicast network owned by E. W. Scripps Company. Cleo TV – a sister network to TV One targeting African-American women. Fox Soul – a digital streaming channel primarily airing original talk
as early as 1683. One of the Dutch African arrivals, Anthony Johnson, would later own one of the first Black "slaves", John Casor, resulting from the court ruling of a civil case. The popular conception of a race-based slave system did not fully develop until the 18th century. The Dutch West India Company introduced slavery in 1625 with the importation of eleven Black slaves into New Amsterdam (present-day New York City). All the colony's slaves, however, were freed upon its surrender to the English. Massachusetts was the first English colony to legally recognize slavery in 1641. In 1662, Virginia passed a law that children of enslaved women took the status of the mother, rather than that of the father, as under common law. This legal principle was called partus sequitur ventrum. By an act of 1699, the colony ordered all free Blacks deported, virtually defining as slaves all people of African descent who remained in the colony. In 1670, the colonial assembly passed a law prohibiting free and baptized Blacks (and Indians) from purchasing Christians (in this act meaning White Europeans) but allowing them to buy people "of their owne nation". In the Spanish Louisiana although there was no movement toward abolition of the African slave trade, Spanish rule introduced a new law called coartación, which allowed slaves to buy their freedom, and that of others. Although some did not have the money to buy their freedom, government measures on slavery allowed many free Blacks. That brought problems to the Spaniards with the French Creoles who also populated Spanish Louisiana, French creoles cited that measure as one of the system's worst elements. First established in South Carolina in 1704, groups of armed White men—slave patrols—were formed to monitor enslaved Black people. Their function was to police slaves, especially fugitives. Slave owners feared that slaves might organize revolts or slave rebellions, so state militias were formed in order to provide a military command structure and discipline within the slave patrols so they could be used to detect, encounter, and crush any organized slave meetings which might lead to revolts or rebellions. The earliest African-American congregations and churches were organized before 1800 in both northern and southern cities following the Great Awakening. By 1775, Africans made up 20% of the population in the American colonies, which made them the second largest ethnic group after English Americans. From the American Revolution to the Civil War During the 1770s, Africans, both enslaved and free, helped rebellious American colonists secure their independence by defeating the British in the American Revolutionary War. Blacks played a role in both sides in the American Revolution. Activists in the Patriot cause included James Armistead, Prince Whipple and Oliver Cromwell. Around 15,000 Black Loyalists left with the British after the war, most of them ending up as free people in England or its colonies. In the Spanish Louisiana, Governor Bernardo de Gálvez organized Spanish free Black men into two militia companies to defend New Orleans during the American Revolution. They fought in the 1779 battle in which Spain captured Baton Rouge from the British. Gálvez also commanded them in campaigns against the British outposts in Mobile, Alabama, and Pensacola, Florida, he recruited slaves for the militia by pledging to free anyone who was seriously wounded and promised to secure a low price for coartación (buy their freedom and that of others) for those who received lesser wounds. During the 1790s, Governor Francisco Luis Héctor, baron of Carondelet reinforced local fortifications and recruit even more free Black men for the militia. Carondelet doubled the number of free Black men who served, creating two more militia companies—one made up of Black members and the other of pardo (mixed race). Serving in the militia brought free Black men one step closer to equality with Whites, allowing them, for example, the right to carry arms and boosting their earning power. However, actually these privileges distanced free Black men from enslaved Blacks and encouraged them to identify with Whites. Slavery had been tacitly enshrined in the U.S. Constitution through provisions such as Article I, Section 2, Clause 3, commonly known as the 3/5 compromise. Because of Section 9, Clause 1, Congress was unable to pass an Act Prohibiting Importation of Slaves until 1807. Fugitive slave laws (derived from the Fugitive Slave Clause of the Constitution) were passed by Congress in 1793 and 1850, guaranteeing the right for a slaveholder to recover an escaped slave within the U.S. Slavery, which by then meant almost exclusively Black people, was the most important political issue in the antebellum United States, leading to one crisis after another. Among these were the Missouri Compromise, the Compromise of 1850 and the Dred Scott decision. Prior to the Civil War, eight serving presidents owned slaves, a practice protected by the U.S. Constitution. By 1860, there were 3.5 to 4.4 million enslaved Black people in the U.S. due to the Atlantic slave trade, and another 488,000–500,000 Blacks lived free (with legislated limits) across the country. With legislated limits imposed upon them in addition to "unconquerable prejudice" from Whites according to Henry Clay, some Black people who were not enslaved left the U.S. for Liberia in West Africa. Liberia began as a settlement of the American Colonization Society (ACS) in 1821, with the abolitionist members of the ACS believing Blacks would face better chances for freedom and equality in Africa. The slaves not only constituted a large investment, they produced America's most valuable product and export: cotton. They not only helped build the U.S. Capitol, they built the White House and other District of Columbia buildings. (Washington was a slave trading center.) Similar building projects existed in slaveholding states. By 1815, the domestic slave trade had become a major economic activity in the United States; it lasted until the 1860s. Historians estimate nearly one million in total took part in the forced migration of this new "Middle Passage." The historian Ira Berlin called this forced migration of slaves the "central event" in the life of a slave between the American Revolution and the Civil War, writing that whether slaves were directly uprooted or lived in fear that they or their families would be involuntarily moved, "the massive deportation traumatized black people." Individuals lost their connection to families and clans, and many ethnic Africans lost their knowledge of varying tribal origins in Africa. The 1863 photograph of Wilson Chinn, a branded slave from Louisiana, like the one of Gordon and his scarred back, served as two early examples of how the newborn medium of photography could encapsulate the cruelty of slavery. Emigration of free Blacks to their continent of origin had been proposed since the Revolutionary war. After Haiti became independent, it tried to recruit African Americans to migrate there after it re-established trade relations with the United States. The Haitian Union was a group formed to promote relations between the countries. After riots against Blacks in Cincinnati, its Black community sponsored founding of the Wilberforce Colony, an initially successful settlement of African-American immigrants to Canada. The colony was one of the first such independent political entities. It lasted for a number of decades and provided a destination for about 200 Black families emigrating from a number of locations in the United States. In 1863, during the American Civil War, President Abraham Lincoln signed the Emancipation Proclamation. The proclamation declared that all slaves in Confederate-held territory were free. Advancing Union troops enforced the proclamation, with Texas being the last state to be emancipated, in 1865. Slavery in Union-held Confederate territory continued, at least on paper, until the passage of the Thirteenth Amendment in 1865. While the Naturalization Act of 1790 limited U.S. citizenship to Whites only, the 14th Amendment (1868) gave Black people citizenship, and the 15th Amendment (1870) gave Black males the right to vote (which would still be denied to all women until 1920). Reconstruction era and Jim Crow African Americans quickly set up congregations for themselves, as well as schools and community/civic associations, to have space away from White control or oversight. While the post-war Reconstruction era was initially a time of progress for African Americans, that period ended in 1876. By the late 1890s, Southern states enacted Jim Crow laws to enforce racial segregation and disenfranchisement. Segregation, which began with slavery, continued with Jim Crow laws, with signs used to show Blacks where they could legally walk, talk, drink, rest, or eat. For those places that were racially mixed, non-Whites had to wait until all White customers were dealt with. Most African Americans obeyed the Jim Crow laws, to avoid racially motivated violence. To maintain self-esteem and dignity, African Americans such as Anthony Overton and Mary McLeod Bethune continued to build their own schools, churches, banks, social clubs, and other businesses. In the last decade of the 19th century, racially discriminatory laws and racial violence aimed at African Americans began to mushroom in the United States, a period often referred to as the "nadir of American race relations". These discriminatory acts included racial segregation—upheld by the United States Supreme Court decision in Plessy v. Ferguson in 1896—which was legally mandated by southern states and nationwide at the local level of government, voter suppression or disenfranchisement in the southern states, denial of economic opportunity or resources nationwide, and private acts of violence and mass racial violence aimed at African Americans unhindered or encouraged by government authorities. Great migration and civil rights movement The desperate conditions of African Americans in the South sparked the Great Migration during the first half of the 20th century which led to a growing African-American community in Northern and Western United States. The rapid influx of Blacks disturbed the racial balance within Northern and Western cities, exacerbating hostility between both Blacks and Whites in the two regions. The Red Summer of 1919 was marked by hundreds of deaths and higher casualties across the U.S. as a result of race riots that occurred in more than three dozen cities, such as the Chicago race riot of 1919 and the Omaha race riot of 1919. Overall, Blacks in Northern and Western cities experienced systemic discrimination in a plethora of aspects of life. Within employment, economic opportunities for Blacks were routed to the lowest-status and restrictive in potential mobility. At the 1900 Hampton Negro Conference, Reverend Matthew Anderson said: "...the lines along most of the avenues of wage earning are more rigidly drawn in the North than in the South." Within the housing market, stronger discriminatory measures were used in correlation to the influx, resulting in a mix of "targeted violence, restrictive covenants, redlining and racial steering". While many Whites defended their space with violence, intimidation, or legal tactics toward African Americans, many other Whites migrated to more racially homogeneous suburban or exurban regions, a process known as White flight. Despite discrimination, drawing cards for leaving the hopelessness in the South were the growth of African-American institutions and communities in Northern cities. Institutions included Black oriented organizations (e.g., Urban League, NAACP), churches, businesses, and newspapers, as well as successes in the development in African-American intellectual culture, music, and popular culture (e.g., Harlem Renaissance, Chicago Black Renaissance). The Cotton Club in Harlem was a Whites-only establishment, with Blacks (such as Duke Ellington) allowed to perform, but to a White audience. Black Americans also found a new ground for political power in Northern cities, without the enforced disabilities of Jim Crow. By the 1950s, the civil rights movement was gaining momentum. A 1955 lynching that sparked public outrage about injustice was that of Emmett Till, a 14-year-old boy from Chicago. Spending the summer with relatives in Money, Mississippi, Till was killed for allegedly having wolf-whistled at a White woman. Till had been badly beaten, one of his eyes was gouged out, and he was shot in the head. The visceral response to his mother's decision to have an open-casket funeral mobilized the Black community throughout the U.S. Vann R. Newkirk| wrote "the trial of his killers became a pageant illuminating the tyranny of White supremacy". The state of Mississippi tried two defendants, but they were speedily acquitted by an all-White jury. One hundred days after Emmett Till's murder, Rosa Parks refused to give up her seat on the bus in Alabama—indeed, Parks told Emmett's mother Mamie Till that "the photograph of Emmett's disfigured face in the casket was set in her mind when she refused to give up her seat on the Montgomery bus." The March on Washington for Jobs and Freedom and the conditions which brought it into being are credited with putting pressure on presidents John F. Kennedy and Lyndon B. Johnson. Johnson put his support behind passage of the Civil Rights Act of 1964 that banned discrimination in public accommodations, employment, and labor unions, and the Voting Rights Act of 1965, which expanded federal authority over states to ensure Black political participation through protection of voter registration and elections. By 1966, the emergence of the Black Power movement, which lasted from 1966 to 1975, expanded upon the aims of the civil rights movement to include economic and political self-sufficiency, and freedom from White authority. During the post-war period, many African Americans continued to be economically disadvantaged relative to other Americans. Average Black income stood at 54 percent of that of White workers in 1947, and 55 percent in 1962. In 1959, median family income for Whites was $5,600, compared with $2,900 for non-White families. In 1965, 43 percent of all Black families fell into the poverty bracket, earning under $3,000 a year. The Sixties saw improvements in the social and economic conditions of many Black Americans. From 1965 to 1969, Black family income rose from 54 to 60 percent of White family income. In 1968, 23 percent of Black families earned under $3,000 a year, compared with 41 percent in 1960. In 1965, 19 percent of Black Americans had incomes equal to the national median, a proportion that rose to 27 percent by 1967. In 1960, the median level of education for Blacks had been 10.8 years, and by the late Sixties the figure rose to 12.2 years, half a year behind the median for Whites. Post–civil rights era Politically and economically, African Americans have made substantial strides during the post–civil rights era. In 1967, Thurgood Marshall became the first African-American Supreme Court Justice. In 1968, Shirley Chisholm became the first Black woman elected to the U.S. Congress. In 1989, Douglas Wilder became the first African American elected governor in U.S. history. Clarence Thomas succeeded Marshall to become the second African-American Supreme Court Justice in 1991. In 1992, Carol Moseley-Braun of Illinois became the first African-American woman elected to the U.S. Senate. There were 8,936 Black officeholders in the United States in 2000, showing a net increase of 7,467 since 1970. In 2001, there were 484 Black mayors. In 2005, the number of Africans immigrating to the United States, in a single year, surpassed the peak number who were involuntarily brought to the United States during the Atlantic Slave Trade. On November 4, 2008, Democratic Senator Barack Obama defeated Republican Senator John McCain to become the first African American to be elected president. At least 95 percent of African-American voters voted for Obama. He also received overwhelming support from young and educated Whites, a majority of Asians, and Hispanics, picking up a number of new states in the Democratic electoral column. Obama lost the overall White vote, although he won a larger proportion of White votes than any previous nonincumbent Democratic presidential candidate since Jimmy Carter. Obama was reelected for a second and final term, by a similar margin on November 6, 2012. In 2021, Kamala Harris became the first woman, the first African American, and the first Asian American to serve as Vice President of the United States. Demographics In 1790, when the first U.S. Census was taken, Africans (including slaves and free people) numbered about 760,000—about 19.3% of the population. In 1860, at the start of the Civil War, the African-American population had increased to 4.4 million, but the percentage rate dropped to 14% of the overall population of the country. The vast majority were slaves, with only 488,000 counted as "freemen". By 1900, the Black population had doubled and reached 8.8 million. In 1910, about 90% of African Americans lived in the South. Large numbers began migrating north looking for better job opportunities and living conditions, and to escape Jim Crow laws and racial violence. The Great Migration, as it was called, spanned the 1890s to the 1970s. From 1916 through the 1960s, more than 6 million Black people moved north. But in the 1970s and 1980s, that trend reversed, with more African Americans moving south to the Sun Belt than leaving it. The following table of the African-American population in the United States over time shows that the African-American population, as a percentage of the total population, declined until 1930 and has been rising since then. By 1990, the African-American population reached about 30 million and represented 12% of the U.S. population, roughly the same proportion as in 1900. At the time of the 2000 Census, 54.8% of African Americans lived in the South. In that year, 17.6% of African Americans lived in the Northeast and 18.7% in the Midwest, while only 8.9% lived in the western states. The west does have a sizable Black population in certain areas, however. California, the nation's most populous state, has the fifth largest African-American population, only behind New York, Texas, Georgia, and Florida. According to the 2000 Census, approximately 2.05% of African Americans identified as Hispanic or Latino in origin, many of whom may be of Brazilian, Puerto Rican, Dominican, Cuban, Haitian, or other Latin American descent. The only self-reported ancestral groups larger than African Americans are the Irish and Germans. According to the 2010 U.S. Census, nearly 3% of people who self-identified as Black had recent ancestors who immigrated from another country. Self-reported non-Hispanic Black immigrants from the Caribbean, mostly from Jamaica and Haiti, represented 0.9% of the U.S. population, at 2.6 million. Self-reported Black immigrants from Sub-Saharan Africa also represented 0.9%, at about 2.8 million. Additionally, self-identified Black Hispanics represented 0.4% of the United States population, at about 1.2 million people, largely found within the Puerto Rican and Dominican communities. Self-reported Black immigrants hailing from other countries in the Americas, such as Brazil and Canada, as well as several European countries, represented less than 0.1% of the population. Mixed-Race Hispanic and non-Hispanic Americans who identified as being part Black, represented 0.9% of the population. Of the 12.6% of United States residents who identified as Black, around 10.3% were "native Black American" or ethnic African Americans, who are direct descendants of West/Central Africans brought to the U.S. as slaves. These individuals make up well over 80% of all Blacks in the country. When including people of mixed-race origin, about 13.5% of the U.S. population self-identified as Black or "mixed with Black". However, according to the U.S. census bureau, evidence from the 2000 Census indicates that many African and Caribbean immigrant ethnic groups do not identify as "Black, African Am., or Negro". Instead, they wrote in their own respective ethnic groups in the "Some Other Race" write-in entry. As a result, the census bureau devised a new, separate "African American" ethnic group category in 2010 for ethnic African Americans. U.S. cities After 100 years of African Americans leaving the south in large numbers seeking better opportunities and treatment in the west and north, a movement known as the Great Migration, there is now a reverse trend, called the New Great Migration. As with the earlier Great Migration, the New Great Migration is primarily directed toward cities and large urban areas, such as Atlanta, Charlotte, Houston, Dallas, Raleigh, Tampa, San Antonio, Memphis, Nashville, Jacksonville, and so forth. A growing percentage of African-Americans from the west and north are migrating to the southern region of the U.S. for economic and cultural reasons. New York City, Chicago, and Los Angeles have the highest decline in African Americans, while Atlanta, Dallas, and Houston have the highest increase respectively. Among cities of 100,000 or more, Detroit, Michigan had the highest percentage of Black residents of any U.S. city in 2010, with 82%. Other large cities with African-American majorities include Jackson, Mississippi (79.4%), Miami Gardens, Florida (76.3%), Baltimore, Maryland (63%), Birmingham, Alabama (62.5%), Memphis, Tennessee (61%), New Orleans, Louisiana (60%), Montgomery, Alabama (56.6%), Flint, Michigan (56.6%), Savannah, Georgia (55.0%), Augusta, Georgia (54.7%), Atlanta, Georgia (54%, see African Americans in Atlanta), Cleveland, Ohio (53.3%), Newark, New Jersey (52.35%), Washington, D.C. (50.7%), Richmond, Virginia (50.6%), Mobile, Alabama (50.6%), Baton Rouge, Louisiana (50.4%), and Shreveport, Louisiana (50.4%). The nation's most affluent community with an African-American majority resides in View Park–Windsor Hills, California with an annual median household income of $159,618. Other largely affluent and African-American communities include Prince George's County in Maryland (namely Mitchellville, Woodmore, and Upper Marlboro), Dekalb County and South Fulton in Georgia, Charles City County in Virginia, Baldwin Hills in California, Hillcrest and Uniondale in New York, and Cedar Hill, DeSoto, and Missouri City in Texas. Queens County, New York is the only county with a population of 65,000 or more where African Americans have a higher median household income than White Americans. Seatack, Virginia is currently the oldest African-American community in the United States. It survives today with a vibrant and active civic community. Education During slavery, anti-literacy laws were enacted in the U.S. that prohibited education for Black people. Slave owners saw literacy as a threat to the institution of slavery. As a North Carolina statute stated, "Teaching slaves to read and write, tends to excite dissatisfaction in their minds, and to produce insurrection and rebellion." In 1863, enslaved Americans became free citizens during a time when public educational systems were expanding across the country. By 1870, around seventy-four institutions in the south provided a form of advanced education for African American students, and by 1900, over a hundred programs at these schools provided training for Black professionals, including teachers. Many of the students at Fisk University, including W. E. B. Du Bois when he was a student there, taught school during the summers to support their studies. African Americans were very concerned to provide quality education for their children, but White supremacy limited their ability to participate in educational policymaking on the political level. State governments soon moved to undermine their citizenship by restricting their right to vote. By the late 1870s, Blacks were disenfranchised and segregated across the American South. White politicians in Mississippi and other states withheld financial resources and supplies from Black schools. Nevertheless, the presence of Black teachers, and their engagement with their communities both inside and outside the classroom, ensured that Black students had access to education despite these external constraints. Predominantly Black schools for kindergarten through twelfth grade students were common throughout the U.S. before the 1970s. By 1972, however, desegregation efforts meant that only 25% of Black students were in schools with more than 90% non-White students. However, since then, a trend towards re-segregation affected communities across the country: by 2011, 2.9 million African-American students were in such overwhelmingly minority schools, including 53% of Black students in school districts that were formerly under desegregation orders. As late as 1947, about one third of African Americans over 65 were considered to lack the literacy to read and write their own names. By 1969, illiteracy as it had been traditionally defined, had been largely eradicated among younger African Americans. U.S. Census surveys showed that by 1998, 89 percent of African Americans aged 25 to 29 had completed a high-school education, less than Whites or Asians, but more than Hispanics. On many college entrance, standardized tests and grades, African Americans have historically lagged behind Whites, but some studies suggest that the achievement gap has been closing. Many policy makers have proposed that this gap can and will be eliminated through policies such as affirmative action, desegregation, and multiculturalism. Between 1995 and 2009, freshmen college enrollment for African Americans increased by 73 percent and only 15 percent for Whites. Black women are enrolled in college more than any other race and gender group, leading all with 9.7% enrolled according to the 2011 U.S. Census Bureau. The average high school graduation rate of Blacks in the United States has steadily increased to 71% in 2013. Separating this statistic into component parts shows it varies greatly depending upon the state and the school district examined. 38% of Black males graduated in the state of New York but in Maine 97% graduated and exceeded the White male graduation rate by 11 percentage points. In much of the southeastern United States and some parts of the southwestern United States the graduation rate of White males was in fact below 70% such as in Florida where 62% of White males graduated from high school. Examining specific school districts paints an even more complex picture. In the Detroit school district the graduation rate of Black males was 20% but 7% for White males. In the New York City school district 28% of Black males graduate from high school compared to 57% of White males. In Newark County 76% of Black males graduated compared to 67% for White males. Further academic improvement has occurred in 2015. Roughly 23% of all Blacks have bachelor's degrees. In 1988, 21% of Whites had obtained a bachelor's degree versus 11% of Blacks. In 2015, 23% of Blacks had obtained a bachelor's degree versus 36% of Whites. Foreign born Blacks, 9% of the Black population, made even greater strides. They exceed native born Blacks by 10 percentage points. Historically Black colleges and universities Historically Black colleges and universities (HBCUs), which were founded when segregated institutions of higher learning did not admit African Americans, continue to thrive and educate students of all races today. There are 101 HBCUs representing three percent of the nation's colleges and universities with the majority established in the Southeast. HBCUs have been largely responsible for establishing and expanding the African-American middle-class. Economic status Economically, African Americans have benefited from the advances made during the civil rights era, particularly among the educated, but not without the lingering effects of historical marginalisation when considered as a whole. The racial disparity in poverty rates has narrowed. The Black middle class has grown substantially. In the first quarter of 2021, 45.1% of African Americans owned their homes, compared to 65.3% of all Americans. The poverty rate among African Americans has decreased from 24.7% in 2004 to 18.8% in 2020, compared to 10.5% for all Americans. African Americans have a combined buying power of over $892 billion currently and likely over $1.1 trillion by 2012. In 2002, African American-owned businesses accounted for 1.2 million of the US's 23 million businesses. African American-owned businesses account for approximately 2 million US businesses. Black-owned businesses experienced the largest growth in number of businesses among minorities from 2002 to 2011. Twenty-five percent of Blacks had white-collar occupations (management, professional, and related fields) in 2000, compared with 33.6% of Americans overall. In 2001, over half of African-American households of married couples earned $50,000 or more. Although in the same year African Americans were over-represented among the nation's poor, this was directly related to the disproportionate percentage of African-American families headed by single women; such families are collectively poorer, regardless of ethnicity. In 2006, the median earnings of African-American men was more than Black and non-Black American women overall, and in all educational levels. At the same time, among American men, income disparities were significant; the median income of African-American men was approximately 76 cents for every dollar of their European American counterparts, although the gap narrowed somewhat with a rise in educational level. Overall, the median earnings of African-American men were 72 cents for every dollar earned of their Asian American counterparts, and $1.17 for every dollar earned by Hispanic men. On the other hand, by 2006, among American women with post-secondary education, African-American women have made significant advances; the median income of African-American women was more than those of their Asian-, European- and Hispanic American counterparts with at least some college education. The U.S. public sector is the single most important source of employment for African Americans. During 2008–2010, 21.2% of all Black workers were public employees, compared with 16.3% of non-Black workers. Both before and after the onset of the Great Recession, African Americans were 30% more likely than other workers to be employed in the public sector. The public sector is also a critical source of decent-paying jobs for Black Americans. For both men and women, the median wage earned by Black employees is significantly higher in the public sector than in other industries. In 1999, the median income of African-American families was $33,255 compared to $53,356 of European Americans. In times of economic hardship for the nation, African Americans suffer disproportionately from job loss and underemployment, with the Black underclass being hardest hit. The phrase "last hired and first fired" is reflected in the Bureau of Labor Statistics unemployment figures. Nationwide, the October 2008 unemployment rate for African Americans was 11.1%, while the nationwide rate was 6.5%. The income gap between Black and White families is also significant. In 2005, employed Blacks earned 65% of the wages of Whites, down from 82% in 1975. The New York Times reported in 2006 that in Queens, New York, the median income among African-American families exceeded that of White families, which the newspaper attributed to the growth in the number of two-parent Black families. It noted that Queens was the only county with more than 65,000 residents where that was true. In 2011, it was reported that 72% of Black babies were born to unwed mothers. The poverty rate among single-parent Black families was 39.5% in 2005, according to Walter E. Williams, while it was 9.9% among married-couple Black families. Among White families, the respective rates were 26.4% and 6% in poverty. Collectively, African Americans are more involved in the American political process than other minority groups in the United States, indicated by the highest level of voter registration and participation in elections among these groups in 2004. African Americans also have the highest level of Congressional representation of any minority group in the U.S. Politics Since the mid 20th century, a large majority of African Americans support the Democratic Party. In the 2004 Presidential Election, Democrat John Kerry received 88% of the African-American vote compared to 11% for Republican George W. Bush. Although there is an African-American lobby in foreign policy, it has not had the impact that African-American organizations have had in domestic policy. Many African Americans were excluded from electoral politics in the decades following the end of Reconstruction. For those that could participate, until the New Deal, African Americans were supporters of the Republican Party because it was Republican President Abraham Lincoln who helped in granting freedom to American slaves; at the time, the Republicans and Democrats represented the sectional interests of the North and South, respectively, rather than any specific ideology, and both conservative and liberal were represented equally in both parties. The African-American trend of voting for Democrats can be traced back to the 1930s during the Great Depression, when Franklin D. Roosevelt's New Deal program provided economic relief to African Americans. Roosevelt's New Deal coalition turned the Democratic Party into an organization of the working class and their liberal allies, regardless of region. The African-American vote became even more solidly Democratic when Democratic presidents John F. Kennedy and Lyndon B. Johnson pushed for civil rights legislation during the 1960s. In 1960, nearly a third of African Americans voted for Republican Richard Nixon. Black national anthem "Lift Every Voice and Sing" is often referred to as the Black national anthem in the United States. In 1919, the National Association for the Advancement of Colored People (NAACP) had dubbed it the "Negro national anthem" for its power in voicing a cry for liberation and affirmation for African American people. Sexuality According to a Gallup survey, 4.6% of Black or African-Americans self-identified as LGBT in 2016, while the total portion of American adults in all ethnic groups identifying as LGBT was 4.1% in 2016. Health General The life expectancy for Black men in 2008 was 70.8 years. Life expectancy for Black women was 77.5 years in 2008. In 1900, when information on Black life expectancy started being collated, a Black man could expect to live to 32.5 years and a Black woman 33.5 years. In 1900, White men lived an average of 46.3 years and White women lived an average of 48.3 years. African-American life expectancy at birth is persistently five to seven years lower than European Americans. Black men have shorter lifespans than any other group in the US besides Native American men. Black people have higher rates of obesity, diabetes, and hypertension than the U.S. average. For adult Black men, the rate of obesity was 31.6% in 2010. For adult Black women, the rate of obesity was 41.2% in 2010. African Americans have higher rates of mortality than any other racial or ethnic group for 8 of the top 10 causes of death. In 2013, among men, Black men had the highest rate of getting cancer, followed by White, Hispanic, Asian/Pacific Islander (A/PI), and American Indian/Alaska Native (AI/AN) men. Among women, White women had the highest rate of getting cancer, followed by Black, Hispanic, Asian/Pacific Islander, and American Indian/Alaska Native women. Violence has an impact upon African-American life expectancy. A report from the U.S. Department of Justice states "In 2005, homicide victimization rates for blacks were 6 times higher than the rates for whites". The report also found that "94% of black victims were killed by blacks." Black boys and men age 15–44 are the only race/sex category for which homicide is a top-five cause of death. In 2022, COVID-19 became the third leading cause of death for African Americans. African Americans are less likely to be vaccinated against the virus. Sexual health According to the Centers for Disease Control and Prevention, African Americans have higher rates of sexually transmitted infections (STIs) compared to Whites, with 5 times the rates of syphilis and chlamydia, and 7.5 times the rate of gonorrhea. The disproportionately high incidence of HIV/AIDS among African-Americans has been attributed to homophobic influences and lack of access to proper healthcare. The prevalence of HIV/AIDS among Black men is seven times higher than the prevalence for White men, and Black men are more than nine times as likely to die from HIV/AIDS-related illness than White men. Mental health African Americans have several barriers for accessing mental health services. Counseling has been frowned upon and distant in utility and proximity to many people in the African American community. In 2004, a qualitative research study explored the disconnect with African Americans and mental health. The study was conducted as a semi-structured discussion which allowed the focus group to express their opinions and life experiences. The results revealed a couple key variables that create barriers for many African American communities to seek mental health services such as the stigma, lack of four important necessities; trust, affordability, cultural understanding and impersonal services. Historically, many African American communities did not seek counseling because religion was a part of the family values. African American who have a faith background are more likely to seek prayer as a coping mechanism for mental issues rather than seeking professional mental health services. In 2015 a study concluded, African Americans with high value in religion are less likely to utilize mental health services compared to those who have low value in religion. Most counseling approaches are westernized and do not fit within the African American culture. African American families tend to resolve concerns within the family, and it is viewed by the family as a strength. On the other hand, when African Americans seek counseling, they face a social backlash and are criticized. They may be labeled "crazy", viewed as weak, and their pride is diminished. Because of this, many African Americans instead seek mentorship within communities they trust. Terminology is another barrier in relation to African Americans and mental health. There is more stigma on the term psychotherapy versus counseling. In one study, psychotherapy is associated with mental illness whereas counseling approaches problem-solving, guidance and help. More African Americans seek assistance when it is called counseling and not psychotherapy because it is more welcoming within the cultural and community. Counselors are encouraged to be aware of such barriers for the well-being of African American clients. Without cultural competency training in health care, many African Americans go unheard and misunderstood. Although suicide is a top-10 cause of death for men
with input from the Perl community. This resulted in the Artistic License 2.0, which has been approved as both a free software and open source license. The Artistic license 2.0 is also notable for its excellent license compatibility with other FOSS licenses due to a relicensing clause, a property other licenses like the GPL lack. It has been adopted by some of the Perl 6 implementations, the Mojolicious framework, and has been used by the Parrot virtual machine since version 0.4.13. It is also used by the SNEeSe emulator, which was formerly licensed under the Clarified Artistic License. The OSI recommends that all developers and projects licensing their products with the Artistic License adopt Artistic License 2.0. See also Software using the Artistic license (category) References External links Version 1.0 The Artistic LicenseThe original Artistic License 1.0, the one which is still used by Perl and CPAN; They use a disjunction of the Artistic License 1.0 and the GNU GPL for Perl 5 and above. The Clarified Artistic License Version 2.0 The Artistic License 2.0It's e.g. used by Parrot. 2.0 revision RFC process Prominent uses DuskThe first online Novel and Blog written
for Perl projects. In response to this, Bradley Kuhn, who later worked for the Free Software Foundation, made a minimal redraft to clarify the ambiguous passages. This was released as the Clarified Artistic License and was approved by the FSF. It is used by the Paros Proxy, the JavaFBP toolkit and NcFTP. The terms of the Artistic License 1.0 were at issue in Jacobsen v. Katzer in the initial 2009 ruling by the United States District Court for the Northern District of California declared that FOSS-like licenses could only be enforced through contract law rather than through copyright law, in contexts where contract damages would be difficult to establish. On appeal, a federal appellate court "determined that the terms of the Artistic License are enforceable copyright conditions". The case was remanded to the District Court, which did not apply the superior court's criteria on the grounds that, in the interim, the governing Supreme Court precedent applicable to the case had changed. However, this left undisturbed the finding that a free and open-source license nonetheless has economic value. Jacobsen ultimately prevailed in 2010, and the Case established a new standard making terms and conditions under Artistic License 1.0 enforceable through copyright statutes and relevant precedents. Artistic License 2.0 In response to the Request for Comments (RFC) process for improving the licensing position for Perl 6, Kuhn's draft was extensively rewritten by Roberta Cairney and Allison Randal for readability and legal clarity, with input from the Perl community. This resulted in the Artistic License 2.0, which has been approved as both a free software and open source license. The Artistic license 2.0 is also notable for its excellent
languages and English also speak Afrikaans as a second language. It is widely taught in South African schools, with about 10.3 million second-language students. Even in KwaZulu-Natal (where there are relatively few Afrikaans home-speakers), the majority of pupils opt for Afrikaans as their first additional language because it is regarded as easier than Zulu. Afrikaans is offered at many universities outside South Africa, for example in the Netherlands, Belgium, Germany, Poland, Russia, and the United States. Grammar In Afrikaans grammar, there is no distinction between the infinitive and present forms of verbs, with the exception of the verbs 'to be' and 'to have': In addition, verbs do not conjugate differently depending on the subject. For example, Only a handful of Afrikaans verbs have a preterite, namely the auxiliary ("to be"), the modal verbs, and the verb ("to think"). The preterite of ("may") is rare in contemporary Afrikaans. All other verbs use the perfect tense, het + past participle (ge-), for the past. Therefore, there is no distinction in Afrikaans between I drank and I have drunk. (In colloquial German, the past tense is also often replaced with the perfect.) When telling a longer story, Afrikaans speakers usually avoid the perfect and simply use the present tense, or historical present tense instead (as is possible, but less common, in English as well). A particular feature of Afrikaans is its use of the double negative; it is classified in Afrikaans as and is something that is absent from the other West Germanic standard languages. For example, English: He can not speak Afrikaans. / He can't speak Afrikaans. Both French and San origins have been suggested for double negation in Afrikaans. While double negation is still found in Low Franconian dialects in West Flanders and in some "isolated" villages in the centre of the Netherlands (such as Garderen), it takes a different form, which is not found in Afrikaans. The following is an example: * (lit. I want not this do not.) English: I do not want to do this. * Compare with , which changes the meaning to "I want not to do this." Whereas emphasizes a lack of desire to act, emphasizes the act itself. The was the Middle Dutch way to negate but it has been suggested that since became highly non-voiced, or was needed to complement the . With time the disappeared in most Dutch dialects. The double negative construction has been fully grammaticalised in standard Afrikaans and its proper use follows a set of fairly complex rules as the examples below show: A notable exception to this is the use of the negating grammar form that coincides with negating the English present participle. In this case there is only a single negation. English: He is in [the] hospital, though he eats not. Certain words in Afrikaans arise due to grammar. For example, , which literally means "must not", usually becomes ; although one does not have to write or say it like this, virtually all Afrikaans speakers will change the two words to in the same way as do not shifts to don't in English. The Dutch word ("it" in English) does not correspond to in Afrikaans. The Dutch words corresponding to Afrikaans are , , and . Phonology Vowels As phonemes, and occur only in the words 'mirror' and 'bullet', which used to be pronounced with sequences and , respectively. In other cases, and occur as allophones of, respectively, and before . is phonetically long before . is always stressed and occurs only in the word 'wedges'. The closest unrounded counterparts of are central , rather than front . occur only in a few words. occurs as an allophone of before , though this occurs primarily dialectally, most commonly in the former Transvaal and Free State provinces. Diphthongs occur mainly in loanwords. Consonants All obstruents at the ends of words are devoiced, so that e.g. a final is realized as . occur only in loanwords. is also an allophone of in some environments. is most often uvular . Velar occurs only in some speakers. is usually an alveolar trill or tap . In some parts of the former Cape Province, it is realized uvularly, either as a trill or a fricative . occurs as an allophone of at the end of a syllable. Dialects Following early dialectal studies of Afrikaans, it was theorised that three main historical dialects probably existed after the Great Trek in the 1830s. These dialects are the Northern Cape, Western Cape, and Eastern Cape dialects. Northern Cape dialect may have resulted from contact between Dutch settlers and the Khoi-Khoi people between the Great Karoo and the Kunene, and Eastern Cape dialect between the Dutch and the Xhosa. Remnants of these dialects still remain in present-day Afrikaans, although the standardising effect of Standard Afrikaans has contributed to a great levelling of differences in modern times. There is also a prison cant, known as Sabela, which is based on Afrikaans, yet heavily influenced by Zulu. This language is used as a secret language in prison and is taught to initiates. The term ("Cape Afrikaans") is sometimes erroneously used to refer to the entire Western Cape dialect; it is more commonly used for a particular sociolect spoken in the Cape Peninsula of South Africa. was once spoken by all population groups. However, it became increasingly restricted to the Cape Coloured ethnic group in Cape Town and environs. Kaapse Afrikaans is still understood by the large majority of native Afrikaans speakers in South Africa. preserves some features more similar to Dutch than to Afrikaans. The 1st person singular pronoun as in Dutch as opposed to Afrikaans The diminutive endings , pronounced as in Dutch and not as as in Afrikaans. The use of the form (compare Dutch ) as opposed to Afrikaans has some other features not typically found in Afrikaans. The pronunciation of , normally as in Dutch is often a . This is the strongest feature of . The insertion of after , and when followed by , e.g. as opposed to Standard Afrikaans . is also characterised by much code-switching between English and Afrikaans, especially in the inner-city and lower socio-economic status areas of Cape Town. An example of characteristic : : English (literal): And I say to you, what seek you here by me? I seek you not! No, go now away! English: And I'm telling you, what are you looking for here? I'm not looking for you! No, go away now! The term ("Afrikaans of the Orange River") is sometimes erroneously used to refer to the Northern Cape dialect; it is more commonly used for the regional peculiarities of standard Afrikaans spoken in the Upington/Orange River wine district of South Africa. Some of the characteristics of are the plural form (Ma-, ), variant pronunciation such as in ("Church") and ("money") and the ending , which indicates possession. Patagonian Afrikaans dialect A distinct dialect of Afrikaans is spoken by the 650-strong South African community of Argentina, in the region of Patagonia. Influences on Afrikaans from other languages Malay Due to the early settlement of a Cape Malay community in Cape Town, who are now known as Coloureds, numerous Classical Malay words were brought into Afrikaans. Some of these words entered Dutch via people arriving from, what is now known as Indonesia as part of their colonial heritage. Malay words in Afrikaans include: , which means 'very'/'much'/'many' (from ) is a very commonly used Afrikaans word, different from its Dutch equivalent or . , Afrikaans for jacket (from , ultimately from Persian), used where Dutch would use or . The word in Dutch is now considered archaic and only used in written, literary texts. bobotie, a traditional Cape-Malay dish, made from spiced minced meat baked with an egg-based topping. , which means banana. This is different from the common Dutch word . The Indonesian word is also used in Dutch, though usage is more common. , which means saucer (from , also from Persian). Portuguese Some words originally came from Portuguese such as ("umbrella") from the Portuguese , ("pen/cattle enclosure") from the Portuguese , and ("corn", from ). These words have become common in South Africa to an extent of being used in many other South African languages. Some of these words also exist in Dutch, like "parasol", though usage is less common and meanings can slightly differ. Khoisan languages , meaning cannabis , meaning lizard, diminutive adapted from Khoekhoe word , meaning insect, from the Khoisan xo-xo , blanket of animal hides , walking stick from Khoekhoe Some of these words also exist in Dutch, though with a more specific meaning: for example means "South-African tribal javelin" and means "South-African tribal blanket of animal hides". Bantu languages Loanwords from Bantu languages in Afrikaans include the names of indigenous birds, such as and , and indigenous plants, such as and . , from the Zulu word meaning "scholar" or "student", but used to mean someone who is a student of/expert on a certain subject, i.e. He is a language . , meaning bride price, from (and referring to) lobolo of the Nguni languages , the grey crowned crane, known in Latin as Balearica regulorum , medium-sized dioecious tree known in Latin as Sclerocarya birrea , species of thatching grass known as Hyparrhenia , deciduous tree also known by its Latin name, Spirostachys africana / , an adaption of the word , meaning "to go home" or "to knock off (from work)". French The revoking of the Edict of Nantes on 22 October 1685 was a milestone in the history of South Africa, for it marked the beginning of the great Huguenot exodus from France. It is estimated that between 250,000 and 300,000 Protestants left France between 1685 and 1700; out of these, according to Louvois, 100,000 had received military training. A measure of the calibre of these immigrants and of their acceptance by host countries (in particular South Africa) is given by H. V. Morton in his book: In Search of South Africa (London, 1948). The Huguenots were responsible for a great linguistic contribution to Afrikaans, particularly in terms of military terminology as many of them fought on the battlefields during the wars of the Great Trek. Most of the words in this list are descendants from Dutch borrowings from French, Old French or Latin, and are not direct influences from French on Afrikaans. Orthography The Afrikaans writing system is based on Dutch, using the 26 letters of the ISO basic Latin alphabet, plus 16 additional vowels with diacritics. The hyphen (e.g. in a compound like see-eend 'sea duck'), apostrophe (e.g. ma's 'mothers'), and a whitespace character (e.g. in multi-word units like Dooie See 'Dead Sea') is part of the orthography of words, while the indefinite article ʼn is a ligature. All the alphabet letters, including those with diacritics, have capital letters as allographs; the ʼn does not have a capital letter allograph. This means that Afrikaans has 88 graphemes with allographs in total. In Afrikaans, many consonants are dropped from the earlier Dutch spelling. For example, ('only') in Dutch becomes in Afrikaans. Also, Afrikaans and some Dutch dialects make no distinction between and , having merged the latter into the former; while the word for "south" is written in Dutch, it is spelled in Afrikaans (as well as dialectal Dutch writings) to represent this merger. Similarly, the Dutch digraph , normally pronounced as , corresponds to Afrikaans , except where it replaces the Dutch suffix which is pronounced as , as in > . Another difference is the indefinite article, in Afrikaans and in Dutch. "A book" is in Afrikaans, whereas it is either or in Dutch. This is usually pronounced as just a weak vowel, . The diminutive suffix in Afrikaans is , or , whereas in Dutch it is or , hence a "bit" is ʼn in Afrikaans and in Dutch. The letters c, q, x, and z occur almost exclusively in borrowings from French, English, Greek and Latin. This is usually because words that had c and ch in the original Dutch are spelled with k and g, respectively, in Afrikaans. Similarly original qu and x are most often spelt kw and ks, respectively. For example, instead of equatoriaal, and instead of excuus. The vowels with diacritics in non-loanword Afrikaans are: á, ä, é, è, ê, ë, í, î, ï, ó, ô, ö, ú, û, ü, ý. Diacritics are ignored when alphabetising, though they are still important, even when typing the diacritic forms may be difficult. For example, ("ate") instead of the 3 e's alongside each other: *, which can never occur in Afrikaans, or , which translates to "say", whereas is a possessive form. The acute's (á, é, í, ó, ú, ý) primary function is to place emphasis on a word (i.e. for emphatic reasons), by adding it to the emphasised syllable of the word. For example, sál ("will" (verb)), néé ('no'), móét ("must"), hý ("he"), gewéét ("knew"). The acute is only placed on the i if it is the only vowel in the emphasised word: wil ('want' (verb)) becomes wíl, but lui ('lazy') becomes lúi. Only a few non-loan words is spelled with acutes, e.g. dié ('this'), ná ('after'), óf ... óf ('either ... or'), nóg ... nóg ('neither ... nor'), etc. Only four non-loan words are spelled with the grave: ('yes?', 'right?', 'eh?'), ('here, take this!' or '[this is] yours!'), hè ('huh?', 'what?', 'eh?'), and appèl ('(formal) appeal' (noun)). Initial apostrophes A few short words in Afrikaans take initial apostrophes. In modern Afrikaans, these words are always written in lower case (except if the entire line is uppercase), and if they occur at the beginning of a sentence, the next word is capitalised. Three examples of such apostrophed words are . The last (the indefinite article) is the only apostrophed word that is common in modern written Afrikaans, since the other examples are shortened versions of other words ( and , respectively) and are rarely found outside of a poetic context. Here are a few examples: The apostrophe and the following letter are regarded as two separate characters, and are never written using a single glyph, although a single character variant of the indefinite article appears in Unicode, . Table of characters For more on the pronunciation of the letters below, see Help:IPA/Afrikaans. Afrikaans phrases Although there are many different dialects and accents, the transcription would be fairly standard. In the Dutch language the word means African, in the general sense. Consequently, Afrikaans is commonly denoted as . This ambiguity also exists in Afrikaans itself and is resolved either in the context of its usage, or by using in the adjective sense (e.g. Afrika-olifant for African elephant). A handful of Afrikaans words are exactly the same as in English. The following Afrikaans sentences, for example, are exactly the same in the two languages, in terms of both their meaning and spelling; only their pronunciation differs. () () Sample text Psalm 23 1983 translation: Die Here is my Herder, ek kom niks kort nie. Hy laat my rus in groen weivelde. Hy bring my by waters waar daar vrede is. Hy gee my nuwe krag. Hy lei my op die regte paaie tot eer van Sy naam. Selfs al gaan ek deur donker dieptes, sal ek nie bang wees nie, want U is by my. In U hande is ek veilig. Psalm 23 1953 translation: Die Here is my Herder, niks sal my ontbreek nie. Hy laat my neerlê in groen weivelde; na waters waar rus is, lei Hy my heen. Hy verkwik my siel; Hy lei my in die spore van geregtigheid, om sy Naam ontwil. Al gaan ek ook in 'n dal van doodskaduwee, ek sal geen onheil vrees nie; want U is met my: u stok en u staf die vertroos my. Lord's Prayer (Afrikaans New Living translation) Ons Vader in die hemel, laat U Naam geheilig word. Laat U koningsheerskappy spoedig kom. Laat U wil hier op aarde uitgevoer word soos in die hemel. Gee ons die porsie brood wat ons vir vandag nodig het. En vergeef ons ons sondeskuld soos ons ook óns skuldenaars vergewe het. Bewaar ons sodat ons nie aan verleiding sal toegee nie; en bevry ons van die greep van die Bose. Want van U is die koninkryk, en die krag, en die heerlikheid, tot in ewigheid. Amen Lord's Prayer (Original translation): Onse Vader wat in die hemel is, laat U Naam geheilig word; laat U koninkryk kom; laat U wil geskied op die aarde, net soos in die hemel. Gee ons vandag ons daaglikse brood; en vergeef ons ons skulde soos ons ons skuldenaars vergewe en laat ons nie in die versoeking nie maar verlos ons van die Bose Want aan U behoort die koninkryk en die krag en die heerlikheid tot in ewigheid. Amen See also Arts Festival Afrikaans literature Afrikaans speaking population in South Africa Arabic Afrikaans (Afrikaans Dictionary)
variety of Dutch. The Constitution of 1961 reversed the position of Afrikaans and Dutch, so that English and Afrikaans were the official languages, and Afrikaans was deemed to include Dutch. The Constitution of 1983 removed any mention of Dutch altogether. The Afrikaans Language Monument is located on a hill overlooking Paarl in the Western Cape Province. Officially opened on 10 October 1975, it was erected on the 100th anniversary of the founding of the Society of Real Afrikaners, and the 50th anniversary of Afrikaans being declared an official language of South Africa in distinction to Dutch. Standardisation The earliest Afrikaans texts were some doggerel verse from 1795 and a dialogue transcribed by a Dutch traveller in 1825. Afrikaans used the Latin alphabet around this time, although the Cape Muslim community used the Arabic script. In 1861, L.H. Meurant published his ("Conversation between Claus Truthsayer and John Doubter"), which is considered to be the first book published in Afrikaans. The first grammar book was published in 1876; a bilingual dictionary was later published in 1902. The main modern Afrikaans dictionary in use is the (HAT). A new authoritative dictionary, called (WAT), was under development as of 2018. The official orthography of Afrikaans is the , compiled by . The Afrikaans Bible The Afrikaner religion had stemmed from the Protestant practices of the Reformed Church of Holland during the 17th century, later on being influenced in South Africa by British ministries during the 1800s. A landmark in the development of the language was the translation of the whole Bible into Afrikaans. While significant advances had been made in the textual criticism of the Bible, especially the Greek New Testament, the 1933 translation followed the textus receptus and was closely akin to the . Before this, most Cape Dutch-Afrikaans speakers had to rely on the Dutch . This had its origins with the Synod of Dordrecht of 1618 and was thus in an archaic form of Dutch. This was hard for Dutch speakers to understand, and increasingly unintelligible for Afrikaans speakers. C. P. Hoogehout, , and Stephanus Jacobus du Toit were the first Afrikaans Bible translators. Important landmarks in the translation of the Scriptures were in 1878 with C. P. Hoogehout's translation of the (Gospel of Mark, lit. Gospel according to Mark); however, this translation was never published. The manuscript is to be found in the South African National Library, Cape Town. The first official translation of the entire Bible into Afrikaans was in 1933 by J. D. du Toit, E. E. van Rooyen, J. D. Kestell, H. C. M. Fourie, and BB Keet. This monumental work established Afrikaans as , that is "a pure and proper language" for religious purposes, especially amongst the deeply Calvinist Afrikaans religious community that previously had been sceptical of a Bible translation that varied from the Dutch version that they were used to. In 1983, a fresh translation marked the 50th anniversary of the 1933 version and provided a much-needed revision. The final editing of this edition was done by E. P. Groenewald, A. H. van Zyl, P. A. Verhoef, J. L. Helberg and W. Kempen. This translation was influenced by Eugene Nida's theory of dynamic-equavalence which focussed on finding the nearest equivalent in the receptor language to the idea that the Greek, Hebrew or Aramaic wanted to convey. The challenge to this type of translation is that it doesn't take into account that there are shifts in meaning in the receptor language. A new translation, Die Bybel: 'n Direkte Vertaling was released in November 2020. It is the first truly ecumenical translation of the Bible in Afrikaans as translators from various churches, including the Roman Catholic and Anglican Churches, are involved. Various commercial translations of the Bible in Afrikaans have also appeared since the 1990s, such as Die Boodskap and the Nuwe Lewende Vertaling. Most of these translations were published by Christelike Uitgewersmaatskappy (CUM). Classification Indo-European languages Germanic West Germanic Low Franconian Dutch Afrikaans, Dutch-based creoles Afrikaans descended from Dutch dialects in the 17th century. It belongs to a West Germanic sub-group, the Low Franconian languages. Other West Germanic languages related to Afrikaans are German, English, the Frisian languages, and the unstandardised languages Low German and Yiddish. Geographic distribution Statistics Sociolinguistics Some state that instead of Afrikaners, which refers to an ethnic group, the terms or (lit. Afrikaans speakers) should be used for people of any ethnic origin who speak Afrikaans. Linguistic identity has not yet established which terms shall prevail, and all three are used in common parlance. Afrikaans is also widely spoken in Namibia. Before independence, Afrikaans had equal status with German as an official language. Since independence in 1990, Afrikaans has had constitutional recognition as a national, but not official, language. There is a much smaller number of Afrikaans speakers among Zimbabwe's white minority, as most have left the country since 1980. Afrikaans was also a medium of instruction for schools in Bophuthatswana, an Apartheid-era Bantustan. Eldoret in Kenya was founded by Afrikaners. Many South Africans living and working in Belgium, the Netherlands, the United Kingdom, Republic of Ireland, Australia, New Zealand, Canada, the United States, the UAE and Kuwait are also Afrikaans-speaking. They have access to Afrikaans websites, news sites such as Netwerk24.com and Sake24, and radio broadcasts over the web, such as those from Radio Sonder Grense, Bokradio and Radio Pretoria. There are also many artists that tour to bring Afrikaans to the emigrants. Afrikaans has been influential in the development of South African English. Many Afrikaans loanwords have found their way into South African English, such as ("pickup truck"), ("barbecue"), ("tangerine"), (American "sneakers", British "trainers", Canadian "runners"). A few words in standard English are derived from Afrikaans, such as aardvark (lit. "earth pig"), trek ("pioneering journey", in Afrikaans lit. "pull" but used also for "migrate"), spoor ("animal track"), ("Southern African grassland" in Afrikaans, lit. "field"), commando from Afrikaans meaning small fighting unit, ("tree snake") and ("segregation"; more accurately "apartness" or "the state or condition of being apart"). In 1976, secondary-school pupils in Soweto began a rebellion in response to the government's decision that Afrikaans be used as the language of instruction for half the subjects taught in non-White schools (with English continuing for the other half). Although English is the mother tongue of only 8.2% of the population, it is the language most widely understood, and the second language of a majority of South Africans. Afrikaans is more widely spoken than English in the Northern and Western Cape provinces, several hundred kilometres from Soweto. The Black community's opposition to Afrikaans and preference for continuing English instruction was underlined when the government rescinded the policy one month after the uprising: 96% of Black schools chose English (over Afrikaans or native languages) as the language of instruction. Afrikaans-medium schools were also accused of using language policy to deter black African parents. Some of these parents, in part supported by provincial departments of education, initiated litigation which enabled enrolment with English as language of instruction. By 2006 there were 300 single-medium Afrikaans schools, compared to 2,500 in 1994, after most converted to dual-medium education. Due to Afrikaans being viewed as the "language of the white oppressor" by some, pressure has been increased to remove Afrikaans as a teaching language in South African universities, resulting in bloody student protests in 2015. Under South Africa's Constitution of 1996, Afrikaans remains an official language, and has equal status to English and nine other languages. The new policy means that the use of Afrikaans is now often reduced in favour of English, or to accommodate the other official languages. In 1996, for example, the South African Broadcasting Corporation reduced the amount of television airtime in Afrikaans, while South African Airways dropped its Afrikaans name from its livery. Similarly, South Africa's diplomatic missions overseas now display the name of the country only in English and their host country's language, and not in Afrikaans. Meanwhile, the constitution of the Western Cape, which went into effect in 1998, declares Afrikaans to be an official language of the province alongside English and Xhosa. In spite of these moves, the language has remained strong, and Afrikaans newspapers and magazines continue to have large circulation figures. Indeed, the Afrikaans-language general-interest family magazine has the largest readership of any magazine in the country. In addition, a pay-TV channel in Afrikaans called KykNet was launched in 1999, and an Afrikaans music channel, MK () (lit. 'Music Channel'), in 2005. A large number of Afrikaans books are still published every year, mainly by the publishers Human & Rousseau, , , and . The Afrikaans film trilogy (first released in 2008) caused a reawakening of the Afrikaans film industry (which had been moribund since the mid to late 1990s ) and Belgian-born singer Karen Zoid's debut single "" (released 2001) caused a resurgence in the Afrikaans music industry, as well as giving rise to the Afrikaans Rock genre. Afrikaans has two monuments erected in its honour. The first was erected in , South Africa, in 1893, and the second, nowadays better-known Afrikaans Language Monument (), was built in Paarl, South Africa, in 1975. When the British design magazine Wallpaper described Afrikaans as "one of the world's ugliest languages" in its September 2005 article about the monument, South African billionaire Johann Rupert (chairman of the Richemont Group), responded by withdrawing advertising for brands such as Cartier, Van Cleef & Arpels, Montblanc and Alfred Dunhill from the magazine. The author of the article, Bronwyn Davies, was an English-speaking South African. Mutual intelligibility with Dutch An estimated 90 to 95% of the Afrikaans lexicon is ultimately of Dutch origin, and there are few lexical differences between the two languages. Afrikaans has a considerably more regular morphology, grammar, and spelling. There is a high degree of mutual intelligibility between the two languages, particularly in written form. Afrikaans acquired some lexical and syntactical borrowings from other languages such as Malay, Khoisan languages, Portuguese, and Bantu languages, and Afrikaans has also been significantly influenced by South African English. Dutch speakers are confronted with fewer non-cognates when listening to Afrikaans than the other way round. Mutual intelligibility thus tends to be asymmetrical, as it is easier for Dutch speakers to understand Afrikaans than for Afrikaans speakers to understand Dutch. In general, mutual intelligibility between Dutch and Afrikaans is far better than between Dutch and Frisian or between Danish and Swedish. The South African poet writer Breyten Breytenbach, attempting to visualise the language distance for Anglophones once remarked that the differences between (Standard) Dutch and Afrikaans are comparable to those between the Received Pronunciation and Southern American English. Current status Post-apartheid South Africa has seen a loss of preferential treatment by the government for Afrikaans, in terms of education, social events, media (TV and radio), and general status throughout the country, given that it now shares its place as official language with ten other languages. Nevertheless, Afrikaans remains more prevalent in the media – radio, newspapers and television – than any of the other official languages, except English. More than 300 book titles in Afrikaans are published annually. South African census figures suggest a growing number of speakers in all nine provinces, a total of 6.85 million in 2011 compared to 5.98 million a decade earlier. The South African Institute of Race Relations (SAIRR) projects that a growing majority will be Coloured Afrikaans speakers. Afrikaans speakers experience higher employment rates than other South African language groups, though as of 2012 half a million remain unemployed. Despite the challenges of demotion and emigration that it faces in South Africa, the Afrikaans vernacular remains competitive, being popular in DSTV pay channels and several internet sites, while generating high newspaper and music CD sales. A resurgence in Afrikaans popular music since the late 1990s has invigorated the language, especially among a younger generation of South Africans. A recent trend is the increased availability of pre-school educational CDs and DVDs. Such media also prove popular with the extensive Afrikaans-speaking emigrant communities who seek to retain language proficiency in a household context. After years of slumber, Afrikaans language cinema is showing signs of new vigour. The 2007 film , the first full-length Afrikaans movie since Paljas in 1998, is seen as the dawn of a new era in Afrikaans cinema. Several short films have been created and more feature-length movies, such as and (both in 2008) have been produced, besides the 2011 Afrikaans-language film , which was the first Afrikaans film to screen at the Cannes Film Festival. The film was also released in 2011. The Afrikaans Film industry started gaining international recognition via the likes of big Afrikaans Hollywood film stars, like Charlize Theron (Monster) and Sharlto Copley (District 9) promoting their mother tongue. Afrikaans seems to be returning to the SABC. SABC3 announced early in 2009 that it would increase Afrikaans programming due to the "growing Afrikaans-language market and [their] need for working capital as Afrikaans advertising is the only advertising that sells in the current South African television market". In April 2009, SABC3 started screening several Afrikaans-language programmes. Further latent support for the language derives from its de-politicised image in the eyes of younger-generation South Africans, who less and less often view it as "the language of the oppressor". Indeed, there is a groundswell movement within Afrikaans to be inclusive, and to promote itself along with the other indigenous official languages. In Namibia, the percentage of Afrikaans speakers declined from 11.4% (2001 Census) to 10.4% (2011 Census). The major concentrations are in Hardap (41.0%), ǁKaras (36.1%), Erongo (20.5%), Khomas (18.5%), Omaheke (10.0%), Otjozondjupa (9.4%), Kunene (4.2%), and Oshikoto (2.3%). Many native speakers of Bantu languages and English also speak Afrikaans as a second language. It is widely taught in South African schools, with about 10.3 million second-language students. Even in KwaZulu-Natal (where there are relatively few Afrikaans home-speakers), the majority of pupils opt for Afrikaans as their first additional language because it is regarded as easier than Zulu. Afrikaans is offered at many universities outside South Africa, for example in the Netherlands, Belgium, Germany, Poland, Russia, and the United States. Grammar In Afrikaans grammar, there is no distinction between the infinitive and present forms of verbs, with the exception of the verbs 'to be' and 'to have': In addition, verbs do not conjugate differently depending on the subject. For example, Only a handful of Afrikaans verbs have a preterite, namely the auxiliary ("to be"), the modal verbs, and the verb ("to think"). The preterite of ("may") is rare in contemporary Afrikaans. All other verbs use the perfect tense, het + past participle (ge-), for the past. Therefore, there is no distinction in Afrikaans between I drank and I have drunk. (In colloquial German, the past tense is also often replaced with the perfect.) When telling a longer story, Afrikaans speakers usually avoid the perfect and simply use the present tense, or historical present tense instead (as is possible, but less common, in English as well). A particular feature of Afrikaans is its use of the double negative; it is classified in Afrikaans as and is something that is absent from the other West Germanic standard languages. For example, English: He can not speak Afrikaans. / He can't speak Afrikaans. Both French and San origins have been suggested for double negation in Afrikaans. While double negation is still found in Low Franconian dialects in West Flanders and in some "isolated" villages in the centre of the Netherlands (such as Garderen), it takes a different form, which is not found in Afrikaans. The following is an example: * (lit. I want not this do not.) English: I do not want to do this. * Compare with , which changes the meaning to "I want not to do this." Whereas emphasizes a lack of desire to act, emphasizes the act itself. The was the Middle Dutch way to negate but it has been suggested that since became highly non-voiced, or was needed to complement the . With time the disappeared in most Dutch dialects. The double negative construction has been fully grammaticalised in standard Afrikaans and its proper use follows a set of fairly complex rules as the examples below show: A notable exception to this is the use of the negating grammar form that coincides with negating the English present participle. In this case there is only a single negation. English: He is in [the] hospital, though he eats not. Certain words in Afrikaans arise due to grammar. For example, , which literally means "must not", usually becomes ; although one does not have to write or say it like this, virtually all Afrikaans speakers will change the two words to in the same way as do not shifts to don't in English. The Dutch word ("it" in English) does not correspond to in Afrikaans. The Dutch words corresponding to Afrikaans are , , and . Phonology Vowels As phonemes, and occur only in the words 'mirror' and 'bullet', which used to be pronounced with sequences and , respectively. In other cases, and occur as allophones of, respectively, and before . is phonetically long before . is always stressed and occurs only in the word 'wedges'. The closest unrounded counterparts of are central , rather than front . occur only in a few words. occurs as an allophone of before , though
of Thebes in the war of the Seven against Thebes. He was killed by Parthenopaeus. Aeolus, a Trojan companion of Aeneas in Italy, where he was killed by Turnus, King of the Rutulians. Aeolus was father of Clytius and Misenus. "Otherwise unknown to fame", he survived both the Greeks and Achilles at Troy, and Richard F. Thomas pointed out textual parallels between this passage and the Illiad, book 20. Notes References Apollodorus The Library with an English Translation by Sir James George Frazer, F.B.A., F.R.S. in 2 Volumes, Cambridge, MA, Harvard University Press; London, William Heinemann Ltd. 1921. ISBN 0-674-99135-4 Online version at the Perseus Digital Library Greek text available from the same website Gaius Julius Hyginus Fabulae from The
0-674-99135-4 Online version at the Perseus Digital Library Greek text available from the same website Gaius Julius Hyginus Fabulae from The Myths of Hyginus translated and edited by Mary Grant. University of Kansas Publications in Humanistic Studies Online version at the Topos Text Project Homer, The Odyssey with an English Translation by A.T. Murray, PH.D. in two volumes. Cambridge, Maine, Harvard University Press; London, William Heinemann, Ltd. 1919 Online version at the Perseus Digital Library Greek text available from the same website Publius Papinius Statius The Thebaid translated by John Henry Mozley. Loeb Classical Library Volumes. Cambridge, MA, Harvard University Press; London, William Heinemann Ltd. 1928. Online version at the Topos Text Project Publius Papinius Statius, The Thebaid. Vol I-II John Henry Mozley. London: William
of São Paulo, Brazil Albacete Airport, a joint civilian/military airport serving Albacete, Spain (IATA: ABC) Altnabreac railway station, Scotland, by National Rail code Appa Balwant Chowk, area of Pune, India, famous for its bookshops Brands and enterprises Companies Financial Agricultural Bank of China, a bank in the People's Republic of China Arab Banking Corporation, an international bank headquartered in Bahrain Food and beverage ABC (food), an Indonesian-based food division of the H. J. Heinz Company Aerated Bread Company, a once-famous British bakery and tea-room chain Appalachian Brewing Company, an American brewery Transport ABC (1906 automobile), an American car ABC (1920 automobile), an English car ABC (1922 automobile), a planned American car ABC motorcycles, a British motorcycle manufacturer ABC Motors, an English manufacturer of aircraft, aero engines and cars ABC Rail Guide, British railway guide published between 1853 and 2007 Other companies ABC Learning Centres, a former Australian childcare business ABC Stores (Hawaii), a chain of convenience stores in Hawaii Aircraft Builders Council, a provider of aviation products liability insurance Anglo Belgian Corporation, a diesel engine manufacturer Audit Bureau of Circulations (disambiguation), publication circulation auditing companies Audit Bureau of Circulations (India), a non-profit circulation-auditing organisation Audit Bureau of Circulations (North America) Audit Bureau of Circulations (UK) Mathematics abc conjecture, a concept in number theory ABC formula Approximate Bayesian computation, a family of statistical techniques Organizations Political organizations and unions ABC (Cuba), Cuban political organization 1931–1952, named after the system for labeling its clandestine cells All Basotho Convention, a political party in Lesotho Alliance for Barangay Concerns, a political party in the Philippines American Bakery and Confectionery Workers International Union, a predecessor to the contemporary Bakery, Confectionery, Tobacco Workers and Grain Millers' International Union Americans Battling Communism, founded 1947 Anarchist Black Cross, a political organization Anything But Conservative, a 2008 Canadian political campaign Association of Barangay Captains, an organization of all the barangays (villages) in the Philippines now known as the League of Barangays in the Philippines Association of British Counties, of historic counties Religious organizations American Baptist Convention, former name of American Baptist Churches USA Association of Baptist Churches in Ireland, in Ireland and the United Kingdom Sports organizations ABC Futebol Clube, a football (soccer) club based in Natal, Rio Grande do Norte, Brazil American Bowling Congress, which merged in 2005 with other bowling organizations to form the United States Bowling Congress (USBC) Association of Boxing Commissions, a North American not-for-profit professional boxing and mixed martial arts (MMA) organization Indianapolis ABCs, a 1900s Negro league baseball team Other organizations Academia Británica Cuscatleca, a school in Santa Tecla, El Salvador Accessible Books Consortium, a subunit of the World Intellectual Property Organization Afrikan Black Coalition, a University of California student organization American Bird Conservancy, a non-profit membership organization Association of Black Cardiologists, a North American non-profit Australian Bird Count, a project of the Royal Australasian Ornithologists Union Virginia Department of Alcoholic Beverage Control, Virginia, US Science and technology Biology and medicine
islands (Leeward Antilles), Aruba, Bonaire, and Curaçao ABC Region, an industrial area outside of São Paulo, Brazil Albacete Airport, a joint civilian/military airport serving Albacete, Spain (IATA: ABC) Altnabreac railway station, Scotland, by National Rail code Appa Balwant Chowk, area of Pune, India, famous for its bookshops Brands and enterprises Companies Financial Agricultural Bank of China, a bank in the People's Republic of China Arab Banking Corporation, an international bank headquartered in Bahrain Food and beverage ABC (food), an Indonesian-based food division of the H. J. Heinz Company Aerated Bread Company, a once-famous British bakery and tea-room chain Appalachian Brewing Company, an American brewery Transport ABC (1906 automobile), an American car ABC (1920 automobile), an English car ABC (1922 automobile), a planned American car ABC motorcycles, a British motorcycle manufacturer ABC Motors, an English manufacturer of aircraft, aero engines and cars ABC Rail Guide, British railway guide published between 1853 and 2007 Other companies ABC Learning Centres, a former Australian childcare business ABC Stores (Hawaii), a chain of convenience stores in Hawaii Aircraft Builders Council, a provider of aviation products liability insurance Anglo Belgian Corporation, a diesel engine manufacturer Audit Bureau of Circulations (disambiguation), publication circulation auditing companies Audit Bureau of Circulations (India), a non-profit circulation-auditing organisation Audit Bureau of Circulations (North America) Audit Bureau of Circulations (UK) Mathematics abc conjecture, a concept in number theory ABC formula Approximate Bayesian computation, a family of statistical techniques Organizations Political organizations and unions ABC (Cuba), Cuban political organization 1931–1952, named after the system for labeling its clandestine cells All Basotho Convention, a political party in Lesotho Alliance for Barangay Concerns, a political party in the Philippines American Bakery and Confectionery Workers International Union, a predecessor to the contemporary Bakery, Confectionery, Tobacco Workers and Grain Millers' International Union Americans Battling Communism, founded 1947 Anarchist Black Cross, a political organization Anything But Conservative, a 2008 Canadian political campaign Association of Barangay Captains, an organization of all the barangays (villages) in the Philippines now known as the League of Barangays in the Philippines Association of British Counties, of historic counties Religious organizations American Baptist Convention, former name of American Baptist Churches USA Association of Baptist Churches in Ireland, in Ireland and the United Kingdom Sports organizations ABC Futebol Clube, a football (soccer) club based in Natal, Rio Grande do Norte, Brazil American Bowling Congress, which merged in 2005 with other bowling organizations to form the United States Bowling Congress (USBC) Association of Boxing Commissions, a North American not-for-profit professional boxing and mixed martial arts (MMA) organization Indianapolis ABCs, a 1900s Negro league baseball team Other organizations Academia Británica Cuscatleca, a school in Santa Tecla, El Salvador Accessible Books Consortium, a subunit of the World Intellectual Property Organization Afrikan Black Coalition, a University of California student organization American Bird Conservancy, a non-profit membership organization Association of Black Cardiologists, a North American non-profit Australian Bird Count, a project of the Royal Australasian Ornithologists Union Virginia Department of Alcoholic Beverage Control, Virginia, US Science and technology Biology and medicine ABC (medicine), a mnemonic for "Airway, Breathing, Circulation" Abacavir, an antiretroviral drug used to treat HIV/AIDS ABC model of flower development, a genetic model Abortion–breast cancer hypothesis, a posited connection between breast cancer and abortion Alien big cat, large feline outside its indigenous range Aneurysmal bone cyst, a kind of lesion ATP-binding cassette transporter, a transmembrane protein Computing Hardware ABC, a line of computers by Dataindustrier AB Acorn Business Computer, a series of microcomputers announced at the end of 1983 by the British company Acorn Computers Atanasoff–Berry computer, an early electronic digital computer Other uses in computing ABC (computer virus), a memory-resident, file-infecting computer virus ABC (programming language), a programming language and environment ABC (stream
United States law, is a guilty plea in criminal court, whereby a defendant in a criminal case does not admit to the criminal act and asserts innocence. In entering an Alford plea, the defendant admits that the evidence presented by the prosecution would be likely to persuade a judge or jury to find the defendant guilty beyond a reasonable doubt. Alford pleas are legally permissible in nearly all U.S. federal and state courts, but are not allowed in the state courts of Indiana, Michigan, and New Jersey, or in the courts of the United States Armed Forces. Origin The Alford guilty plea is named after the United States Supreme Court case of North Carolina v. Alford (1970). Henry Alford had been indicted on a charge of first-degree murder in 1963. Evidence in the case included testimony from witnesses that Alford had said, after the victim's death, that he had killed the individual. Court testimony showed that Alford and the victim had argued at the victim's house. Alford left the house, and afterwards the victim received a fatal gunshot wound when he opened the door responding to a knock. Alford was faced with the possibility of capital punishment if convicted by a jury trial. The death penalty was the default sentence by North Carolina law at the time, if two requisites in the case were satisfied: the defendant had to have pleaded not guilty, and the jury did not instead recommend a life sentence. Had he pleaded guilty to first-degree murder, Alford would have had the possibility of a life sentence and would have avoided the death penalty, but he did not want to admit guilt. Nonetheless, Alford pleaded guilty to second-degree murder and said he was doing so to avoid a death sentence, were he to be convicted of first-degree murder, after attempting to contest that charge. Alford was sentenced to 30 years in prison after the trial judge accepted the plea bargain and ruled that the defendant had been adequately advised by his defense lawyer. Alford appealed and requested a new trial, arguing he was forced into a guilty plea because he was afraid of receiving a death sentence. The Supreme Court of North Carolina ruled that the defendant had voluntarily entered the guilty plea with knowledge of what that meant. Following this ruling, Alford petitioned for a writ of habeas corpus in the United States District Court for the Middle District of North Carolina, which upheld the initial ruling, and subsequently to the United States Court of Appeals for the Fourth Circuit, which ruled that Alford's plea was not voluntary, because it was made under fear of the death penalty. "I just pleaded guilty because they said if I didn't, they would gas me for it," wrote Alford in one of his appeals. The case was then appealed to the U.S. Supreme Court. Supreme Court Justice Byron White wrote the majority decision, which held that for the plea to be accepted, the defendant must have been advised by a competent lawyer who was able to inform the individual that his best decision in the case would be to enter a guilty plea. The Court ruled that the defendant can enter such a plea "when he concludes that his interests require a guilty plea and the record strongly indicates guilt." The Court allowed the guilty plea with a simultaneous protestation of innocence only because there was enough evidence to show that the prosecution had a strong case for a conviction and the defendant was entering such a plea to avoid this possible sentencing. The Court went on to note that even if the defendant could have shown that he would not have entered a guilty plea "but for" the rationale of receiving a lesser sentence, the plea itself would not have
the charges outlined by the prosecution. Others hold that an Alford plea is simply one form of a guilty plea, and, as with other guilty pleas, the judge must see there is some factual basis for the plea. Defendants can take advantage of the ability to use the Alford guilty plea, by admitting there is enough evidence to convict them of a higher crime, while at the same time pleading guilty to a lesser charge. Defendants usually enter an Alford guilty plea if they want to avoid a possible worse sentence were they to lose the case against them at trial. It affords defendants the ability to accept a plea bargain, while maintaining innocence. Court and government use This form of guilty plea has been frequently used in local and state courts in the United States, though it constitutes a small percentage of all plea bargains in the U.S. This form of plea is not allowed in courts of the United States military. In 2000, the United States Department of Justice noted, "In an Alford plea the defendant agrees to plead guilty because he or she realizes that there is little chance to win acquittal because of the strong evidence of guilt. About 17% of State inmates and 5% of Federal inmates submitted either an Alford plea or a no contest plea, regardless of the type of attorney. This difference reflects the relative readiness of State courts, compared to Federal courts, to accept an alternative plea." In the 1995 case State of Idaho v. Howry before the Idaho Court of Appeals, the Court commented on the impact of the Alford guilty plea on later sentencing. The Court ruled, "Although an Alford plea allows a defendant to plead guilty amid assertions of innocence, it does not require a court to accept those assertions. The sentencing court may, of necessity, consider a broad range of information, including the evidence of the crime, the defendant's criminal history and the demeanor of the defendant, including the presence or absence of remorse." In the 1999 South Carolina Supreme Court case State v. Gaines, the Court held that Alford guilty pleas were to be held valid in the absence of a specific on-the-record ruling that the pleas were voluntary – provided that the sentencing judge acted appropriately in accordance with the rules for acceptance of a plea made voluntarily by the defendant. The Court held that a ruling that the plea was entered into voluntarily is implied by the act of sentencing. In the 2006 case before the United States Court of Appeals for the Fifth Circuit, Ballard v. Burton, Judge Carl E. Stewart writing for the Court held that an Alford guilty plea is a "variation of an ordinary guilty plea". In October 2008, the United States Department of Justice defined an Alford plea as: "the defendant maintains his or her innocence with respect to the charge to which he or she offers to plead guilty". In March 2009, the Minnesota House of Representatives characterized the Alford plea as: "a form of a guilty plea in which the defendant asserts innocence but acknowledges on the record that the prosecutor could present enough evidence to prove guilt." The Minnesota Judicial Branch similarly states: "Alford Plea: A plea of guilty that may be accepted by a court even where the defendant does not admit guilt. In an Alford plea, defendant has to admit that he has reviewed the state's evidence, a reasonable jury could find him guilty, and he wants to take advantage of a plea offer that has been made. Court has discretion as to whether to accept this type of plea." The U.S. Attorneys' Manual states that in the federal system, Alford pleas "should be avoided except in the most unusual circumstances, even if no plea agreement is involved and the plea would cover all pending charges." U.S. Attorneys are required to obtain the approval of an Assistant Attorney General with supervisory responsibility over the subject matter before accepting such a plea. Commentary In his book American Criminal Justice (1972), Jonathan D. Casper comments on the Supreme Court decision, noting, "The Alford decision recognizes the plea-bargaining system, acknowledging that a man may maintain his innocence but still plead guilty in order to minimize his potential loss." Casper comments on the impact of the Supreme Court's decision to require evidence of guilt in such a plea: "By requiring that there be some evidence of guilt in such a situation, the decision attempts to protect the 'really' innocent from the temptations to which plea-bargaining and defense attorneys may subject them." US Air Force attorney Steven E. Walburn argues in a 1998 article in The Air Force Law Review that this form of guilty plea should be adopted for usage by the United States military. "In fairness to an accused, if, after consultation with his defense counsel, he knowingly and intelligently determines that his best interest is served by an Alford-type guilty plea, he should be free to choose this path. The system should not force him to lie under oath, nor to go to trial with no promise of the ultimate outcome concerning guilt or punishment. We must trust the accused to make such an important decision for himself. The military provides an accused facing court-martial with a qualified defense attorney. Together,
in the English alphabet. It may also refer to: Medicine ABC (medicine), also known as ABCD, a mnemonic for steps in resuscitation ABCD rating, a staging system for prostate cancer ABCD syndrome, a genetic disorder ABCD guideline, a heuristic for detecting melanomas ABCD2 score, a score for determining the risk of stroke after a transient ischemic attack (TIA) ABCD1, a protein Science ABCD matrix analysis, a type of ray tracing technique used in the design of some optical systems ABCD-parameters, a type of properties describing the electrical behavior of linear electrical networks ABCD Schema, a highly structured data exchange and access model for taxon occurrence data (specimens, observations, etc. of living organisms), i.e. primary biodiversity data Film ABCD: American-Born Confused Desi, a 2013 Malayalam comedy
a 2013 Bollywood film ABCD 2, a 2015 film based on dance ABCD (film), a 2005 Tamil film released in India ABCD – American Born Confused Desi, a 2019 Telugu drama film Other uses ABCd, American streaming service Action for Boston Community Development, a Boston, Massachusetts-based non-profit social services agency Asset-based community development, a methodology that seeks to uncover and highlight the strengths within communities CompTIA, also known as the Association of Better Computer Dealers ABCD Region, an industrial district outside of São Paulo, Brazil American-Born Confused Desi, refers to American youth of South Asian descent ABCD: add, browse, change, delete, another representation of Create, read, update and delete ABCD line, a Japanese term for embargoes placed against Japan by the Americans, British, Chinese and Dutch, as well
empirio-criticism, logical positivism, semantic anti-realism and scientific instrumentalism (see below). Mathematical anti-realism In the philosophy of mathematics, realism is the claim that mathematical entities such as 'number' have an observer-independent existence. Empiricism, which associates numbers with concrete physical objects, and Platonism, in which numbers are abstract, non-physical entities, are the preeminent forms of mathematical realism. The "epistemic argument" against Platonism has been made by Paul Benacerraf and Hartry Field. Platonism posits that mathematical objects are abstract entities. By general agreement, abstract entities cannot interact causally with physical entities ("the truth-values of our mathematical assertions depend on facts involving platonic entities that reside in a realm outside of space-time") Whilst our knowledge of physical objects is based on our ability to perceive them, and therefore to causally interact with them, there is no parallel account of how mathematicians come to have knowledge of abstract objects. Field developed his views into fictionalism. Benacerraf also developed the philosophy of mathematical structuralism, according to which there are no mathematical objects. Nonetheless, some versions of structuralism are compatible with some versions of realism. Counterarguments Anti-realist arguments hinge on the idea that a satisfactory, naturalistic account of thought processes can be given for mathematical reasoning. One line of defense is to maintain that this is false, so that mathematical reasoning uses some special intuition that involves contact with the Platonic realm, as in the argument given by Sir Roger Penrose. Another line of defense is to maintain that abstract objects are relevant to mathematical reasoning in a way that is non causal, and not analogous to perception. This argument is developed by Jerrold Katz in his 2000 book Realistic Rationalism. In this book, he put forward a position called realistic rationalism, which combines metaphysical realism and rationalism. A more radical defense is to deny the separation of physical world and the platonic world, i.e. the mathematical universe hypothesis (a variety of mathematicism). In that case, a mathematician's knowledge of mathematics is one mathematical object making contact with another. Semantic anti-realism The term "anti-realism" was introduced by Michael Dummett in his 1982 paper "Realism" in order to re-examine a number of classical philosophical disputes, involving such doctrines as nominalism, Platonic realism, idealism and phenomenalism. The novelty of Dummett's approach consisted in portraying these disputes as analogous to the dispute between intuitionism and Platonism in the philosophy of mathematics. According to intuitionists (anti-realists with respect to mathematical objects), the truth of a mathematical statement consists in our ability to prove it. According to Platonic realists, the truth of a statement is proven in its correspondence to objective reality. Thus, intuitionists are ready to accept a statement of the form "P or Q" as true only if we can prove P or if we can prove Q. In particular, we cannot in general claim that "P or not P" is true (the law of excluded middle), since in some cases we may not be able to prove the statement "P" nor prove the statement "not P". Similarly, intuitionists object to the existence property for classical logic, where one can prove , without being able to produce any term of which holds. Dummett argues that this notion of truth lies at the bottom of various classical forms of anti-realism, and uses it to re-interpret phenomenalism, claiming that it need not take the form of reductionism. Dummett's writings on anti-realism draw heavily on the later writings of Ludwig Wittgenstein, concerning meaning and rule following, and can be seen as an attempt to integrate central ideas from the Philosophical Investigations into the constructive tradition of analytic philosophy deriving from Gottlob Frege. Scientific anti-realism In philosophy of science, anti-realism applies chiefly to claims about the non-reality of "unobservable" entities such as electrons or genes, which are not detectable with human senses. One prominent variety of scientific anti-realism is instrumentalism, which takes a purely agnostic view towards the existence of unobservable entities, in which the
("the truth-values of our mathematical assertions depend on facts involving platonic entities that reside in a realm outside of space-time") Whilst our knowledge of physical objects is based on our ability to perceive them, and therefore to causally interact with them, there is no parallel account of how mathematicians come to have knowledge of abstract objects. Field developed his views into fictionalism. Benacerraf also developed the philosophy of mathematical structuralism, according to which there are no mathematical objects. Nonetheless, some versions of structuralism are compatible with some versions of realism. Counterarguments Anti-realist arguments hinge on the idea that a satisfactory, naturalistic account of thought processes can be given for mathematical reasoning. One line of defense is to maintain that this is false, so that mathematical reasoning uses some special intuition that involves contact with the Platonic realm, as in the argument given by Sir Roger Penrose. Another line of defense is to maintain that abstract objects are relevant to mathematical reasoning in a way that is non causal, and not analogous to perception. This argument is developed by Jerrold Katz in his 2000 book Realistic Rationalism. In this book, he put forward a position called realistic rationalism, which combines metaphysical realism and rationalism. A more radical defense is to deny the separation of physical world and the platonic world, i.e. the mathematical universe hypothesis (a variety of mathematicism). In that case, a mathematician's knowledge of mathematics is one mathematical object making contact with another. Semantic anti-realism The term "anti-realism" was introduced by Michael Dummett in his 1982 paper "Realism" in order to re-examine a number of classical philosophical disputes, involving such doctrines as nominalism, Platonic realism, idealism and phenomenalism. The novelty of Dummett's approach consisted in portraying these disputes as analogous to the dispute between intuitionism and Platonism in the philosophy of mathematics. According to intuitionists (anti-realists with respect to mathematical objects), the truth of a mathematical statement consists in our ability to prove it. According to Platonic realists, the truth of a statement is proven in its correspondence to objective reality. Thus, intuitionists are ready to accept a statement of the form "P or Q" as true only if we can prove P or if we can prove Q. In particular, we cannot in general claim that "P or not P" is true (the law of excluded middle), since in some cases we may not be able to prove the statement "P" nor prove the statement "not P". Similarly, intuitionists object to the existence property for classical logic, where one can prove , without being able to produce any term of which holds. Dummett argues that this notion of truth lies at the bottom of various classical forms of anti-realism, and uses it to re-interpret phenomenalism, claiming that it need not take the form of reductionism. Dummett's writings on anti-realism draw heavily on the later writings of Ludwig Wittgenstein, concerning meaning and rule following, and can be seen as an attempt to integrate central ideas from the Philosophical Investigations into the constructive tradition of analytic philosophy deriving from Gottlob Frege. Scientific anti-realism In philosophy of science, anti-realism applies chiefly to claims about the non-reality of "unobservable" entities such as electrons or genes, which are not detectable with human senses. One prominent variety of scientific anti-realism is instrumentalism, which takes a purely agnostic view towards the existence of unobservable entities, in which the unobservable entity X serves as an instrument to aid in the success of theory Y and does not require proof for the existence or non-existence of X. Moral anti-realism In the philosophy of ethics, moral anti-realism (or moral irrealism) is a meta-ethical doctrine that there are no objective moral values or normative facts. It is usually defined in opposition to moral realism, which holds that there are objective moral values, such that a moral claim may be either true or false. Specifically the moral anti-realist is committed to denying one of the following three statements: The Semantic Thesis: Moral statements have meaning, they express propositions, or are the kind of things that can be true or false. The Alethic Thesis: Some moral propositions are true. The Metaphysical Thesis: The metaphysical status of moral facts is robust and ordinary, not importantly different from other facts about the world. Different version of moral anti-realism deny different statements: specifically non-cognitivism denies the first claim, arguing that moral statements have no meaning or truth content, error theory denies the second claim, arguing that all moral statements are false, and ethical subjectivism denies
cannon, pointing eastwards, with the club's nickname, The Gunners, inscribed alongside it; this crest only lasted until 1925, when the cannon was reversed to point westward and its barrel slimmed down. In 1949, the club unveiled a modernised crest featuring the same style of cannon below the club's name, set in blackletter typography, and above the coat of arms of the Metropolitan Borough of Islington and a scroll inscribed with the club's newly adopted Latin motto, Victoria Concordia Crescit – "victory comes from harmony" – coined by the club's programme editor Harry Homer. For the first time, the crest was rendered in colour, which varied slightly over the crest's lifespan, finally becoming red, gold and green. Because of the numerous revisions of the crest, Arsenal were unable to copyright it. Although the club had managed to register the crest as a trademark, and had fought (and eventually won) a long legal battle with a local street trader who sold "unofficial" Arsenal merchandise, Arsenal eventually sought a more comprehensive legal protection. Therefore, in 2002 they introduced a new crest featuring more modern curved lines and a simplified style, which was copyrightable. The cannon once again faces east and the club's name is written in a sans-serif typeface above the cannon. Green was replaced by dark blue. The new crest was criticised by some supporters; the Arsenal Independent Supporters' Association claimed that the club had ignored much of Arsenal's history and tradition with such a radical modern design, and that fans had not been properly consulted on the issue. Until the 1960s, a badge was worn on the playing shirt only for high-profile matches such as FA Cup finals, usually in the form of a monogram of the club's initials in red on a white background. The monogram theme was developed into an Art Deco-style badge on which the letters A and C framed a football rather than the letter F, the whole set within a hexagonal border. This early example of a corporate logo, introduced as part of Herbert Chapman's rebranding of the club in the 1930s, was used not only on Cup Final shirts but as a design feature throughout Highbury Stadium, including above the main entrance and inlaid in the floors. From 1967, a white cannon was regularly worn on the shirts, until replaced by the club crest, sometimes with the addition of the nickname "The Gunners", in the 1990s. In the 2011–12 season, Arsenal celebrated their 125th anniversary. The celebrations included a modified version of the current crest worn on their jerseys for the season. The crest was all white, surrounded by 15 oak leaves to the right and 15 laurel leaves to the left. The oak leaves represent the 15 founding members of the club who met at the Royal Oak pub. The 15 laurel leaves represent the design detail on the six pence pieces paid by the founding fathers to establish the club. The laurel leaves also represent strength. To complete the crest, 1886 and 2011 are shown on either sides of the motto "Forward" at the bottom of the crest. Colours For much of Arsenal's history, their home colours have been bright red shirts with white sleeves and white shorts, though this has not always been the case. The choice of red is in recognition of a charitable donation from Nottingham Forest, soon after Arsenal's foundation in 1886. Two of Dial Square's founding members, Fred Beardsley and Morris Bates, were former Forest players who had moved to Woolwich for work. As they put together the first team in the area, no kit could be found, so Beardsley and Bates wrote home for help and received a set of kit and a ball. The shirt was redcurrant, a dark shade of red, and was worn with white shorts and socks with blue and white hoops. In 1933, Herbert Chapman, wanting his players to be more distinctly dressed, updated the kit, adding white sleeves and changing the shade to a brighter pillar box red. Two possibilities have been suggested for the origin of the white sleeves. One story reports that Chapman noticed a supporter in the stands wearing a red sleeveless sweater over a white shirt; another was that he was inspired by a similar outfit worn by the cartoonist Tom Webster, with whom Chapman played golf. Regardless of which story is true, the red and white shirts have come to define Arsenal and the team have worn the combination ever since, aside from two seasons. The first was 1966–67, when Arsenal wore all-red shirts; this proved unpopular and the white sleeves returned the following season. The second was 2005–06, the last season that Arsenal played at Highbury, when the team wore commemorative redcurrant shirts similar to those worn in 1913, their first season in the stadium; the club reverted to their normal colours at the start of the next season. In the 2008–09 season, Arsenal replaced the traditional all-white sleeves with red sleeves with a broad white stripe. Arsenal's home colours have been the inspiration for at least three other clubs. In 1909, Sparta Prague adopted a dark red kit like the one Arsenal wore at the time; in 1938, Hibernian adopted the design of the Arsenal shirt sleeves in their own green and white strip. In 1941, Luis Robledo, an England-schooled founder of Santa Fe and a fan of Arsenal, selected the main colors for his newly created team. In 1920, Sporting Clube de Braga's manager returned from a game at Highbury and changed his team's green kit to a duplicate of Arsenal's red with white sleeves and shorts, giving rise to the team's nickname of Os Arsenalistas. These teams still wear those designs to this day. For many years Arsenal's away colours were white or navy blue. However, in 1968 the FA banned navy shirts (they looked too similar to referees' black kit) so in the 1969–70 season, Arsenal introduced an away kit of yellow shirts with blue shorts. This kit was worn in the 1971 FA Cup Final as Arsenal beat Liverpool to secure the double for the first time in their history. The yellow and blue strip became almost as famous as their iconic red and white home kit. Arsenal reached the FA Cup final again the following year wearing the red and white home strip and were beaten by Leeds United. Arsenal then competed in three consecutive FA Cup finals between 1978 and 1980 wearing their "lucky" yellow and blue strip, which remained the club's away strip until the release of a green and navy away kit in 1982–83. The following season, Arsenal returned to the yellow and blue scheme, albeit with a darker shade of blue than before. When Nike took over from Adidas as Arsenal's kit provider in 1994, Arsenal's away colours were again changed to two-tone blue shirts and shorts. Since the advent of the lucrative replica kit market, the away kits have been changed regularly, with Arsenal usually releasing both away and third choice kits. During this period the designs have been either all blue designs, or variations on the traditional yellow and blue, such as the metallic gold and navy strip used in the 2001–02 season, the yellow and dark grey used from 2005 to 2007, and the yellow and maroon of 2010 to 2013. Until 2014, the away kit was changed every season, and the outgoing away kit became the third-choice kit if a new home kit was being introduced in the same year. Since Puma began manufacturing Arsenal's kits in 2014, new home, away and third kits were released every single season. In the 2017–18 season, Puma released a new color scheme for the away and third kits. The away kit was a light blue, which fades to a darker blue near the bottom, while the third kit was black with red highlight. Puma returned to the original color scheme for the 2018–19 season. From the 2019–20 season Arsenal's kits are manufactured by Adidas. In the 2020–21 season, Adidas unveiled the new away kit to mark the 15-year anniversary since leaving Highbury. The new away kit is white, with a marbled pattern all across to replicate the iconic marble hall in the East stand of Highbury. Kit suppliers and shirt sponsors Stadiums Before joining the Football League, Arsenal played briefly on Plumstead Common, then at the Manor Ground in Plumstead, then spent three years between 1890 and 1893 at the nearby Invicta Ground. Upon joining the Football League in 1893, the club returned to the Manor Ground and installed stands and terracing, upgrading it from just a field. Arsenal continued to play their home games there for the next twenty years (with two exceptions in the 1894–95 season), until the move to north London in 1913. Widely referred to as Highbury, Arsenal Stadium was the club's home from September 1913 until May 2006. The original stadium was designed by the renowned football architect Archibald Leitch, and had a design common to many football grounds in the UK at the time, with a single covered stand and three open-air banks of terracing. The entire stadium was given a massive overhaul in the 1930s: new Art Deco West and East stands were constructed, opening in 1932 and 1936 respectively, and a roof was added to the North Bank terrace, which was bombed during the Second World War and not restored until 1954. Highbury could hold more than 60,000 spectators at its peak, and had a capacity of 57,000 until the early 1990s. The Taylor Report and Premier League regulations obliged Arsenal to convert Highbury to an all-seater stadium in time for the 1993–94 season, thus reducing the capacity to 38,419 seated spectators. This capacity had to be reduced further during Champions League matches to accommodate additional advertising boards, so much so that for two seasons, from 1998 to 2000, Arsenal played Champions League home matches at Wembley, which could house more than 70,000 spectators. Expansion of Highbury was restricted because the East Stand had been designated as a Grade II listed building and the other three stands were close to residential properties. These limitations prevented the club from maximising matchday revenue during the 1990s and first decade of the 21st century, putting them in danger of being left behind in the football boom of that time. After considering various options, in 2000 Arsenal proposed building a new 60,361-capacity stadium at Ashburton Grove, since named the Emirates Stadium, about 500 metres south-west of Highbury. The project was initially delayed by red tape and rising costs, and construction was completed in July 2006, in time for the start of the 2006–07 season. The stadium was named after its sponsors, the airline company Emirates, with whom the club signed the largest sponsorship deal in English football history, worth around £100 million. Some fans referred to the ground as Ashburton Grove, or the Grove, as they did not agree with corporate sponsorship of stadium names. The stadium will be officially known as Emirates Stadium until at least 2028, and the airline will be the club's shirt sponsor until at least 2024. From the start of the 2010–11 season on, the stands of the stadium have been officially known as North Bank, East Stand, West Stand and Clock end. Arsenal's players train at the Shenley Training Centre in Hertfordshire, a purpose-built facility which opened in 1999. Before that the club used facilities on a nearby site owned by the University College of London Students' Union. Until 1961 they had trained at Highbury. Arsenal's Academy under-18 teams play their home matches at Shenley, while the reserves play their games at Meadow Park, which is also the home of Boreham Wood F.C. Both the Academy under-18 & the reserves occasionally play their big games at the Emirates in front of a crowd reduced to only the lower west stand. Supporters and rivalries Arsenal's fanbase are referred to as "Gooners" – the name derived from the club's nickname "The Gunners". Virtually all home matches sell out; in 2007–08 Arsenal had the second-highest average League attendance for an English club (60,070, which was 99.5% of available capacity), and, as of 2015, the third-highest all-time average attendance. Arsenal have the seventh highest average attendance of European football clubs only behind Borussia Dortmund, FC Barcelona, Manchester United, Real Madrid, Bayern Munich, and Schalke. The club's location, adjoining wealthy areas such as Canonbury and Barnsbury, mixed areas such as Islington, Holloway, Highbury, and the adjacent London Borough of Camden, and largely working-class areas such as Finsbury Park and Stoke Newington, has meant that Arsenal's supporters have come from a variety of social classes. Much of the Afro-Caribbean support comes from the neighbouring London Borough of Hackney and a large portion of the South Asian Arsenal supporters commute to the stadium from Wembley Park, North West of the capital. There was also traditionally a large Irish community that followed Arsenal, with the nearby Archway area having a particularly large community, but Irish migration to North London is much lower than in the 1960s or 1970s. Like all major English football clubs, Arsenal have a number of domestic supporters' clubs, including the Arsenal Football Supporters' Club, which works closely with the club, and the Arsenal Independent Supporters' Association, which maintains a more independent line. The Arsenal Supporters' Trust promotes greater participation in ownership of the club by fans. The club's supporters also publish fanzines such as The Gooner, Gunflash and the satirical Up The Arse!. In addition to the usual English football chants, supporters sing "One-Nil to the Arsenal" (to the tune of "Go West"). There have always been Arsenal supporters outside London, and since the advent of satellite television, a supporter's attachment to a football club has become less dependent on geography. Consequently, Arsenal have a significant number of fans from beyond London and all over the world; in 2007, 24 UK, 37 Irish and 49 other overseas supporters clubs were affiliated with the club. A 2011 report by SPORT+MARKT estimated Arsenal's global fanbase at 113 million. The club's social media activity was the fifth highest in world football during the 2014–15 season. Rivalries Arsenal's longest-running and deepest rivalry is with their nearest major neighbours, Tottenham Hotspur; matches between the two are referred to as North London derbies. Other rivalries within London include those with Chelsea, Fulham and West Ham United. In addition, Arsenal and Manchester United developed a strong on-pitch rivalry in the late 1980s, which intensified in recent years when both clubs were competing for the Premier League title – so much so that a 2003 online poll by the Football Fans Census listed Manchester United as Arsenal's biggest rivals, followed by Tottenham and Chelsea. A 2008 poll listed the Tottenham rivalry as more important. Mascot The club mascot is Gunnersaurus Rex, a smiling, 7-foot-tall green dinosaur, who first appeared at a home match against Manchester City in August 1994 (or 1993). He is based on a drawing by then 11-year-old Peter Lovell, whose design and another similar idea won a Junior Gunners contest; his official back story is that he hatched from an egg found during renovations at Highbury. The same person, Jerry Quy, has been inside the suit from the start; in early October 2020, as part of cost-cutting brought about by the COVID-19 pandemic, the club made him redundant from that and his other part-time job in supporter liaison, together with 55 full-time employees, although they later said Gunnersaurus could return after spectators were allowed back in stadiums. An online fundraiser was begun for Quy, and Mesut Özil offered to pay his salary himself as long as he remains with Arsenal. In November 2020, in advance of COVID-19 regulations being relaxed to allow supporters to attend home games from 3 December, Arsenal announced that Gunnersaurus would return, to be played by a roster of people that could include Quy if he wished. Ownership and finances The largest shareholder on the Arsenal board is American sports tycoon Stan Kroenke. Kroenke first launched a bid for the club in April 2007, and faced competition for shares from Red and White Securities, which acquired its first shares from David Dein in August 2007. Red & White Securities was co-owned by Russian billionaire Alisher Usmanov and Iranian London-based financier Farhad Moshiri, though Usmanov bought Moshiri's stake in 2016. Kroenke came close to the 30% takeover threshold in November 2009, when he increased his holding to 18,594 shares (29.9%). In April 2011, Kroenke achieved a full takeover by purchasing the shareholdings of Nina Bracewell-Smith and Danny Fiszman, taking his shareholding to 62.89%. In May 2017, Kroenke owned 41,721 shares (67.05%) and Red & White Securities owned 18,695 shares (30.04%). In January 2018, Kroenke expanded his ownership by buying twenty-two more shares, taking his total ownership to 67.09%. In August 2018, Kroenke bought out Usmanov for £550m. Now owning more than 90% of the shares, he had the required stake to complete the buyout of the remaining shares and become the sole owner. There has been criticism of Arsenal's poor performance since Kroenke took over, which has been attributed to his ownership. Ivan Gazidis was the club's Chief executive from 2009 to 2018. Arsenal's parent company, Arsenal Holdings plc, operates as a non-quoted public limited company, whose ownership is considerably different from that of other football clubs. Only 62,219 shares in Arsenal have been issued, and they are not traded on a public exchange such as the FTSE or AIM; instead, they are traded relatively infrequently on the ICAP Securities and Derivatives Exchange, a specialist market. On 29 May 2017, a single share in Arsenal had a mid price of £18,000, which sets the club's market capitalisation value at approximately £1,119.9m. Most football clubs are not listed on an exchange, which makes direct comparisons of their values difficult. Consultants Brand Finance valued the club's brand and intangible assets at $703m in 2015, and consider Arsenal an AAA global brand. Business magazine Forbes valued Arsenal as a whole at $2.238 billion (£1.69 billion) in 2018, ranked third in English football. Research by the Henley Business School ranked Arsenal second in English football, modelling the club's value at £1.118 billion in 2015. Arsenal's financial results for the 2019–20 season showed an after tax loss of £47.8m, due in part to the impact of the COVID-19 pandemic. The Deloitte Football Money League is a publication that homogenises and compares clubs' annual revenue. Deloitte put Arsenal's footballing revenue in 2019 at £392.7m (€445.6m), ranking Arsenal eleventh among world football clubs. Arsenal and Deloitte both listed the match day revenue generated in 2019 by the Emirates Stadium as €109.2m (£96.2m). In popular culture Arsenal have appeared in a number of media "firsts". On 22 January 1927, their match at Highbury against Sheffield United was the first English League match to be broadcast live on radio. A decade later, on 16 September 1937, an exhibition match between Arsenal's first team and the reserves was the first football match in the world to be televised live. Arsenal also featured in the first edition of the BBC's Match of the Day, which screened highlights of their match against Liverpool at Anfield on 22 August 1964. Sky's coverage of Arsenal's January 2010 match against Manchester United was the first live public broadcast of a sports event on 3D television. As one of the most successful teams in the country, Arsenal have often featured when football is depicted in the arts in Britain. They formed the backdrop to one of the earliest football-related novels, The Arsenal Stadium Mystery (1939), which was made into a film in the same year. The story centres on a friendly match between Arsenal and an amateur side, one of whose players is poisoned while playing. Many Arsenal players appeared as themselves in the film and manager George Allison was given a speaking part. The book Fever Pitch by Nick Hornby was an autobiographical account of Hornby's life and relationship with football and Arsenal in particular. Published in 1992, it formed part of the revival and rehabilitation of football in British society during the 1990s. The book was twice adapted for the cinema – the 1997 British film focuses on Arsenal's 1988–89 title win, and a 2005 American version features a fan of baseball's Boston Red Sox. Arsenal have often been stereotyped as a defensive and "boring" side, especially during the 1970s and 1980s. In the 1997 film The Full Monty the principal characters move forward in a line and raise their hands, deliberately mimicking the Arsenal defence's offside trap, in an attempt to co-ordinate their striptease routine. Fifteen years later an almost identical scene was included in the 2012 Disney science-fiction film John Carter (director and co-writer Andrew Stanton, a notable overseas supporter of the club), along with other visual cues and oblique dialogue hints and references to the club throughout the film. Another film reference to the club's defence comes in the film Plunkett & Macleane, in which two characters are named Dixon and Winterburn after Arsenal's long-serving full backs – the right-sided Lee Dixon and the left-sided Nigel Winterburn. In the community In 1985, Arsenal founded a community scheme, "Arsenal in the Community", which offered sporting, social inclusion, educational and charitable projects. The club support a number of charitable causes directly and in 1992 established The Arsenal Charitable Trust, which by 2006 had raised more than £2 million for local causes. An ex-professional and celebrity football team associated with the club also raised money by playing charity matches. The club
an England-schooled founder of Santa Fe and a fan of Arsenal, selected the main colors for his newly created team. In 1920, Sporting Clube de Braga's manager returned from a game at Highbury and changed his team's green kit to a duplicate of Arsenal's red with white sleeves and shorts, giving rise to the team's nickname of Os Arsenalistas. These teams still wear those designs to this day. For many years Arsenal's away colours were white or navy blue. However, in 1968 the FA banned navy shirts (they looked too similar to referees' black kit) so in the 1969–70 season, Arsenal introduced an away kit of yellow shirts with blue shorts. This kit was worn in the 1971 FA Cup Final as Arsenal beat Liverpool to secure the double for the first time in their history. The yellow and blue strip became almost as famous as their iconic red and white home kit. Arsenal reached the FA Cup final again the following year wearing the red and white home strip and were beaten by Leeds United. Arsenal then competed in three consecutive FA Cup finals between 1978 and 1980 wearing their "lucky" yellow and blue strip, which remained the club's away strip until the release of a green and navy away kit in 1982–83. The following season, Arsenal returned to the yellow and blue scheme, albeit with a darker shade of blue than before. When Nike took over from Adidas as Arsenal's kit provider in 1994, Arsenal's away colours were again changed to two-tone blue shirts and shorts. Since the advent of the lucrative replica kit market, the away kits have been changed regularly, with Arsenal usually releasing both away and third choice kits. During this period the designs have been either all blue designs, or variations on the traditional yellow and blue, such as the metallic gold and navy strip used in the 2001–02 season, the yellow and dark grey used from 2005 to 2007, and the yellow and maroon of 2010 to 2013. Until 2014, the away kit was changed every season, and the outgoing away kit became the third-choice kit if a new home kit was being introduced in the same year. Since Puma began manufacturing Arsenal's kits in 2014, new home, away and third kits were released every single season. In the 2017–18 season, Puma released a new color scheme for the away and third kits. The away kit was a light blue, which fades to a darker blue near the bottom, while the third kit was black with red highlight. Puma returned to the original color scheme for the 2018–19 season. From the 2019–20 season Arsenal's kits are manufactured by Adidas. In the 2020–21 season, Adidas unveiled the new away kit to mark the 15-year anniversary since leaving Highbury. The new away kit is white, with a marbled pattern all across to replicate the iconic marble hall in the East stand of Highbury. Kit suppliers and shirt sponsors Stadiums Before joining the Football League, Arsenal played briefly on Plumstead Common, then at the Manor Ground in Plumstead, then spent three years between 1890 and 1893 at the nearby Invicta Ground. Upon joining the Football League in 1893, the club returned to the Manor Ground and installed stands and terracing, upgrading it from just a field. Arsenal continued to play their home games there for the next twenty years (with two exceptions in the 1894–95 season), until the move to north London in 1913. Widely referred to as Highbury, Arsenal Stadium was the club's home from September 1913 until May 2006. The original stadium was designed by the renowned football architect Archibald Leitch, and had a design common to many football grounds in the UK at the time, with a single covered stand and three open-air banks of terracing. The entire stadium was given a massive overhaul in the 1930s: new Art Deco West and East stands were constructed, opening in 1932 and 1936 respectively, and a roof was added to the North Bank terrace, which was bombed during the Second World War and not restored until 1954. Highbury could hold more than 60,000 spectators at its peak, and had a capacity of 57,000 until the early 1990s. The Taylor Report and Premier League regulations obliged Arsenal to convert Highbury to an all-seater stadium in time for the 1993–94 season, thus reducing the capacity to 38,419 seated spectators. This capacity had to be reduced further during Champions League matches to accommodate additional advertising boards, so much so that for two seasons, from 1998 to 2000, Arsenal played Champions League home matches at Wembley, which could house more than 70,000 spectators. Expansion of Highbury was restricted because the East Stand had been designated as a Grade II listed building and the other three stands were close to residential properties. These limitations prevented the club from maximising matchday revenue during the 1990s and first decade of the 21st century, putting them in danger of being left behind in the football boom of that time. After considering various options, in 2000 Arsenal proposed building a new 60,361-capacity stadium at Ashburton Grove, since named the Emirates Stadium, about 500 metres south-west of Highbury. The project was initially delayed by red tape and rising costs, and construction was completed in July 2006, in time for the start of the 2006–07 season. The stadium was named after its sponsors, the airline company Emirates, with whom the club signed the largest sponsorship deal in English football history, worth around £100 million. Some fans referred to the ground as Ashburton Grove, or the Grove, as they did not agree with corporate sponsorship of stadium names. The stadium will be officially known as Emirates Stadium until at least 2028, and the airline will be the club's shirt sponsor until at least 2024. From the start of the 2010–11 season on, the stands of the stadium have been officially known as North Bank, East Stand, West Stand and Clock end. Arsenal's players train at the Shenley Training Centre in Hertfordshire, a purpose-built facility which opened in 1999. Before that the club used facilities on a nearby site owned by the University College of London Students' Union. Until 1961 they had trained at Highbury. Arsenal's Academy under-18 teams play their home matches at Shenley, while the reserves play their games at Meadow Park, which is also the home of Boreham Wood F.C. Both the Academy under-18 & the reserves occasionally play their big games at the Emirates in front of a crowd reduced to only the lower west stand. Supporters and rivalries Arsenal's fanbase are referred to as "Gooners" – the name derived from the club's nickname "The Gunners". Virtually all home matches sell out; in 2007–08 Arsenal had the second-highest average League attendance for an English club (60,070, which was 99.5% of available capacity), and, as of 2015, the third-highest all-time average attendance. Arsenal have the seventh highest average attendance of European football clubs only behind Borussia Dortmund, FC Barcelona, Manchester United, Real Madrid, Bayern Munich, and Schalke. The club's location, adjoining wealthy areas such as Canonbury and Barnsbury, mixed areas such as Islington, Holloway, Highbury, and the adjacent London Borough of Camden, and largely working-class areas such as Finsbury Park and Stoke Newington, has meant that Arsenal's supporters have come from a variety of social classes. Much of the Afro-Caribbean support comes from the neighbouring London Borough of Hackney and a large portion of the South Asian Arsenal supporters commute to the stadium from Wembley Park, North West of the capital. There was also traditionally a large Irish community that followed Arsenal, with the nearby Archway area having a particularly large community, but Irish migration to North London is much lower than in the 1960s or 1970s. Like all major English football clubs, Arsenal have a number of domestic supporters' clubs, including the Arsenal Football Supporters' Club, which works closely with the club, and the Arsenal Independent Supporters' Association, which maintains a more independent line. The Arsenal Supporters' Trust promotes greater participation in ownership of the club by fans. The club's supporters also publish fanzines such as The Gooner, Gunflash and the satirical Up The Arse!. In addition to the usual English football chants, supporters sing "One-Nil to the Arsenal" (to the tune of "Go West"). There have always been Arsenal supporters outside London, and since the advent of satellite television, a supporter's attachment to a football club has become less dependent on geography. Consequently, Arsenal have a significant number of fans from beyond London and all over the world; in 2007, 24 UK, 37 Irish and 49 other overseas supporters clubs were affiliated with the club. A 2011 report by SPORT+MARKT estimated Arsenal's global fanbase at 113 million. The club's social media activity was the fifth highest in world football during the 2014–15 season. Rivalries Arsenal's longest-running and deepest rivalry is with their nearest major neighbours, Tottenham Hotspur; matches between the two are referred to as North London derbies. Other rivalries within London include those with Chelsea, Fulham and West Ham United. In addition, Arsenal and Manchester United developed a strong on-pitch rivalry in the late 1980s, which intensified in recent years when both clubs were competing for the Premier League title – so much so that a 2003 online poll by the Football Fans Census listed Manchester United as Arsenal's biggest rivals, followed by Tottenham and Chelsea. A 2008 poll listed the Tottenham rivalry as more important. Mascot The club mascot is Gunnersaurus Rex, a smiling, 7-foot-tall green dinosaur, who first appeared at a home match against Manchester City in August 1994 (or 1993). He is based on a drawing by then 11-year-old Peter Lovell, whose design and another similar idea won a Junior Gunners contest; his official back story is that he hatched from an egg found during renovations at Highbury. The same person, Jerry Quy, has been inside the suit from the start; in early October 2020, as part of cost-cutting brought about by the COVID-19 pandemic, the club made him redundant from that and his other part-time job in supporter liaison, together with 55 full-time employees, although they later said Gunnersaurus could return after spectators were allowed back in stadiums. An online fundraiser was begun for Quy, and Mesut Özil offered to pay his salary himself as long as he remains with Arsenal. In November 2020, in advance of COVID-19 regulations being relaxed to allow supporters to attend home games from 3 December, Arsenal announced that Gunnersaurus would return, to be played by a roster of people that could include Quy if he wished. Ownership and finances The largest shareholder on the Arsenal board is American sports tycoon Stan Kroenke. Kroenke first launched a bid for the club in April 2007, and faced competition for shares from Red and White Securities, which acquired its first shares from David Dein in August 2007. Red & White Securities was co-owned by Russian billionaire Alisher Usmanov and Iranian London-based financier Farhad Moshiri, though Usmanov bought Moshiri's stake in 2016. Kroenke came close to the 30% takeover threshold in November 2009, when he increased his holding to 18,594 shares (29.9%). In April 2011, Kroenke achieved a full takeover by purchasing the shareholdings of Nina Bracewell-Smith and Danny Fiszman, taking his shareholding to 62.89%. In May 2017, Kroenke owned 41,721 shares (67.05%) and Red & White Securities owned 18,695 shares (30.04%). In January 2018, Kroenke expanded his ownership by buying twenty-two more shares, taking his total ownership to 67.09%. In August 2018, Kroenke bought out Usmanov for £550m. Now owning more than 90% of the shares, he had the required stake to complete the buyout of the remaining shares and become the sole owner. There has been criticism of Arsenal's poor performance since Kroenke took over, which has been attributed to his ownership. Ivan Gazidis was the club's Chief executive from 2009 to 2018. Arsenal's parent company, Arsenal Holdings plc, operates as a non-quoted public limited company, whose ownership is considerably different from that of other football clubs. Only 62,219 shares in Arsenal have been issued, and they are not traded on a public exchange such as the FTSE or AIM; instead, they are traded relatively infrequently on the ICAP Securities and Derivatives Exchange, a specialist market. On 29 May 2017, a single share in Arsenal had a mid price of £18,000, which sets the club's market capitalisation value at approximately £1,119.9m. Most football clubs are not listed on an exchange, which makes direct comparisons of their values difficult. Consultants Brand Finance valued the club's brand and intangible assets at $703m in 2015, and consider Arsenal an AAA global brand. Business magazine Forbes valued Arsenal as a whole at $2.238 billion (£1.69 billion) in 2018, ranked third in
novelty packaging elements like spray cheese in an aerosol can, pimento-stuffed olives, and drink pouches. The development of the microwave oven resulted in the creation of industrial food products and packaging intended to take advantage of the opportunities and overcome the unique challenges of that technology. Microwave popcorn is an example of such a product. Throughout the second half of the 20th century the US commercial food system has become increasingly dependent on subsidized maize (corn) production to provide feed for livestock and ingredients for human foods such as high-fructose corn syrup. It is estimated that the typical American gets 70 percent of his/her carbon intake from maize (corn) sources. The last half of the 20th century saw the development of controversial technological innovations intended to lower the cost of, improve the quality of, or increase the safety of commercial food including: food irradiation, genetically modified organisms, livestock treated with antibiotics/hormones, and concentrated animal feeding operations. Activists have raised concerns about the wholesomeness, safety, or humaneness of these innovations and recommend alternatives such as organic produce, veganism/vegetarianism, and locavore diets. Ethnic influences One signature characteristic of American cooking is the fusion of multiple ethnic or regional approaches into completely new cooking styles. For example, spaghetti is Italian, while hot dogs are German; a popular meal, especially among young children, is spaghetti containing slices of hot dogs. Since the 1960s, Asian cooking has played a particularly large role in American fusion cuisine. Some dishes that are typically considered American have their origins in other countries. American cooks and chefs have substantially altered these dishes over the years, to the degree that the dishes now enjoyed around the world are considered to be American. Hot dogs and hamburgers are both based on traditional German dishes, but in their modern popular form they can be reasonably considered American dishes. Pizza is based on the traditional Italian dish, brought by Italian immigrants to the United States, but varies highly in style based on the region of development since its arrival. For example, Chicago style has focus on a thicker, taller crust, whereas a "New York Slice" is known to have a much thinner crust which can be folded. These different types of pizza can be advertised throughout the country and are generally recognizable and well-known, with some restaurants going so far as to import New York tap water from a thousand or more miles away to recreate the signature style in other regions. Some dishes that Americans think of as being of "foreign" in origin and/or associated with a particular immigrant group were in fact invented in America and customized to American tastes. For example General Tso's chicken was invented by Chinese or Taiwanese chefs working in New York in the early 1970s. The dish is unknown in China, except for a distant resemblance to a much spicier dish from Hong Kong said to have influenced the American version. The fortune cookie was likewise invented in California in the early 1900s and is known in Asia only as an American style food. A wave of celebrity chefs began with Julia Child and Graham Kerr in the 1970s, with many more following after the rise of cable channels like Food Network. By the beginning of the 21st century, regional variations in consumption of meat began to reduce, as more meat was consumed overall. Saying they eat too much protein, the 2015–2020 Dietary Guidelines for Americans asked men and teenage boys to increase their consumption of underconsumed foods such as vegetables. New American During the 1980s, upscale restaurants introduced a mixing of cuisines that contain Americanized styles of cooking with foreign elements commonly referred as New American cuisine, a type of fusion cuisine combining flavors from the melting pot of traditional American cooking techniques with those from other cultures, sometimes adding molecular gastronomy components. Regional cuisines In the present day, the modern cuisine of the United States is very regional in nature. Excluding Alaska and Hawaii, the terrain spans from east to west and more than from north to south. Northeast New England New England is a Northeastern region of the United States bordering the Maritime Provinces of Canada and portions of Quebec in the north. It includes the six states of Connecticut, Maine, Massachusetts, New Hampshire, Rhode Island, and Vermont, with its largest city and cultural capital Boston, founded in 1630. Native American cuisine became part of the cookery style that the early colonists brought with them. Tribes like the Nipmuck, Wampanoag, Passamaquoddy and other Algonquian cultures were noted for slashing and burning areas to create meadows and bogs that would attract animals like moose and deer, but also encourage the growth of plants like black raspberries, blueberries, and cranberries. In the forest they would have collected nuts of species like the shagbark hickory, American hazel, and American chestnuts and fruits like wild grapes and black cherries. The Wabanaki tribal nations and other eastern woodlands peoples have made nut milk and infant formula made from nuts and cornmeal. All of these eventually showed up in the kitchens of colonial New England women and many were sent back to England and other portions of Europe to be catalogued by scientists, collectors, and horticulturalists. The style of New England cookery originated from its colonial roots. Early New England colonists were frugal and mostly unwilling to eat anything other than what they were used to from what they previously consumed in England. Most of the initial colonists came from East Anglia in England, with other groups following them over the ages like francophone regions of Canada (this was especially true of Northern New England, where there are still many speakers of a dialect of French), from Ireland, from Southern Italy, and most recently from Haiti, Brazil, the Dominican Republic, and Portugal. The oldest forms of the cuisine date to the early 17th century and in the case of Massachusetts, out of the entire country only the state of Virginia can claim recipes that are older. East Anglian cookery would have included recipes for dishes like suet puddings, wheaten breads, and a few shellfish delicacies, like winkles, and would have been at the time of settlement simple Puritan fare quite in contrast to the fineries and excesses expected in London cavalier circles. Most of the cuisine started with one-pot cookery, which resulted in such dishes as succotash, chowder, baked beans, and others. Starches are fairly simple, and typically encompass just a handful of classics like potatoes and cornmeal, and a few native breads like Anadama bread, johnnycakes, bulkie rolls, Parker house rolls, popovers, ployes, and New England brown bread. Because of the influence of New Englanders who include Sylvester Graham, this region is fairly conservative with its spices, but typical spices include nutmeg, ginger, cinnamon, cloves, and allspice, especially in desserts, and for savory foods, thyme, black pepper, sea salt, and sage. Typical condiments include maple syrup, grown from the native sugar maple, molasses, and cranberry sauce. The fruits of the region include the Vitis labrusca grapes used in grape juice made by companies such as Welch's, along with jelly, Kosher wine by companies like Mogen David and Manischewitz along with other wineries that make higher quality wines. Though not anywhere near as productive a region as the top three apple-producing regions, apples have been a staple of New England foodways since at least the 1640s, and it is here that a very high amount of heirloom varieties are found, many of them gaining renewed interest as part of locavore movements and the re-emergence of cider as a beverage of choice. Apples from New England would include varieties imported from their earliest in Europe and a few natives, like Baldwin, Lady, Mother, Pomme Grise, Porter, Roxbury Russet, Rhode Island Greening, Sops of Wine, Hightop Sweet, Peck's Pleasant, Titus Pippin, Westfield-Seek-No-Further, and Duchess of Oldenburg. Historically New England and the other original 13 colonies were major producers of hard cider and the only reason why this changed were that immigrants from Western and Central Europe preferred beer, especially lagers, to apple based alcohol. In more recent years cider has made a roaring comeback nationwide, with New England being the first to break out of the box and with many pomologists scouring the woods for abandoned apple trees and heirloom varieties to add to the cider press. Angry Orchard is a local commercial brand that began in New Hampshire but has since skyrocketed in sales, with other large marques following suit around the land. Beach plums a small native species with fruits the size of a pinball, are sought after in summer to make into a jam. Cranberries are another fruit indigenous to the region, often collected in autumn in huge flooded bogs. Thereafter they are juiced so they can be drunk fresh for breakfast, or dried and incorporated into salads and quickbreads. Winter squashes like pumpkin and butternut squashes have been a staple for generations owing to their ability to keep for long periods over icy New England winters and being an excellent source of beta carotene; in summer, they are replaced with pattypan and zucchini, the latter brought to the region by immigrants from Southern Italy a century ago. Blueberries are a very common summertime treat owing to them being an important crop, and find their way into muffins, pies and pancakes. Typical favorite desserts are quite diverse, and encompass hasty pudding, blueberry pie, whoopie pies, Boston cream pie, pumpkin pie, Joe Frogger cookies, hand-crafted ice cream, Hermit cookies, and the chocolate chip cookie, invented in Massachusetts in the 1930s. New England is noted for having a heavy emphasis on seafood, a legacy inherited from coastal tribes like the Wampanoag and Narragansett, who equally used the rich fishing banks offshore for sustenance. Favorite fish include cod, salmon, winter flounder, haddock, striped bass, pollock, hake, bluefish, and, in southern New England, tautog. All of these are prepared numerous ways, such as frying cod for fish fingers, grilling bluefish over hot coals for summertime, smoking salmon or serving a whole poached one chilled for feasts with a dill sauce, or, on cold winter nights, serving haddock baked in casserole dish with a creamy sauce and crumbled breadcrumbs as a top so it forms a crust. Clam cakes, a savory fritter based on chopped clams, are a specialty of Rhode Island. Also, a hard shell clam is unique to Rhode Island called the Quahoag which is used in clear chowders. Farther inland, brook trout, largemouth bass, and herring are sought after, especially in the rivers and icy finger lakes in upper New England where New Englanders will fly fish for them in summertime. Meat is present though not as prominent, and typically is either stewed in dishes like Yankee pot roast and New England boiled dinner or braised, as in a picnic ham; these dishes suit the weather better as summers are humid and hot but winters are raw and cold, getting below 0 °C for most of the winter and only just above it by March. The roasting of whole turkeys began here as a centerpiece for large American banquets, and like all other East Coast tribes, the Native American tribes of New England prized wild turkeys as a source of sustenance and later Anglophone settlers were enamored of cooking them using methods they knew from Europe: often that meant trussing the bird and spinning it on a string or spit roasting. Today turkey meat is a key ingredient in soups, and also a favorite in several sandwiches like the Pilgrim. For lunch, hot roast beef is sometimes chopped finely into small pieces and put on a roll with salami and American or provolone cheese to make a steak bomb. Bacon is often maple cured, and often bacon or salt pork drippings are an ingredient in corn chowder, a cousin of the clam chowder. Veal consumption was prevalent in the North Atlantic States prior to World War II. A variety of linguiça is favored as a breakfast food, introduced by Portuguese fishermen and Brazilian immigrants. In contrast with some parts of the United States, lamb (although less so mutton or goat) is a popular roasted or grilled meat across diverse groups in New England. Dairy farming and its resultant products figure strongly on the ingredient list, and homemade ice cream is a summertime staple of the region: it was a small seasonal roadside stand in Vermont that eventually became the internationally famous Ben and Jerry's ice cream. Vermont is known for producing farmhouse style cheeses, especially a type of cheddar. The recipe goes all the way back to colonial times when English settlers brought the recipe with them from England and found the rocky landscape eminently suitable to making the cheese. Today Vermont has more artisanal cheese makers per capita than any other state, and diversity is such that interest in goat's milk cheeses has become prominent. Crustaceans and mollusks are also an essential ingredient in the regional cookery. Maine and Massachusetts, in more recent years, have taken to harvesting peekytoe crab and Jonah crab and making crab bisques, based on cream with 35% milkfat, and crabcakes out of them: often these were overlooked as bycatch of lobster pots by fishermen of the region, but in the past 30 years their popularity has firmly established them as a staple. They even appear on the menu as far south as to be out of region in New York, where they are sold to four star restaurants in the form of cocktail claws. Squid are heavily fished for and eaten as fried calamari, and often are an ingredient in Italian American cooking in this region. Whelks are eaten in salad, and lobster, which is indigenous to the coastal waters of the region and are a feature of many dishes, baked, boiled, roasted, and steamed, or simply eaten as a sandwich, chilled with mayonnaise and chopped celery in Maine and Massachusetts, or slathered with melted butter on Long Island and in Connecticut. Shellfish of all sorts are part of the diet, and shellfish of the coastal regions include little neck clams, sea scallops, blue mussels, oysters, soft shell clams, and razor shell clams. Much of this shellfish contributes to New England tradition, the clambake. The clambake as known today is a colonial interpretation of an American Indian tradition. In summer, oysters and clams are dipped in batter and fried, often served in a basket with french fries, or commonly on a wheaten bun as a clam roll. Oysters are otherwise eaten chilled on a bed of crushed ice on the half shell with mignonette sauce, and are often branded on where they were harvested. Large quahogs are stuffed with breadcrumbs and seasoning and baked in their shells, and smaller ones often find their way into clam chowder. Other preparations include clams casino, clams on the half shell served stuffed with herbs like oregano and streaky bacon. Southern New England, particularly along the coast, shares many specialties with the Mid-Atlantic, including especially dishes from Jewish and Italian-American cuisine. Coastal Connecticut is known for distinctive kinds of pizza, locally called apizza (pronounced locally as abeetz), differing in texture (thin and slightly blackened) and toppings (such as clams) from pizza further south in the so-called pizza belt, which stretches from New Haven, Connecticut southward through New York, New Jersey, and into Maryland. Delaware Valley and Mid-Atlantic The mid-Atlantic states comprise the states of New York, New Jersey, Delaware, Pennsylvania, and Northern Maryland. The oldest major settlement in this area of the country is found in the most populous city in the nation, New York, founded in 1625 by the Dutch. Today, it is a major cultural capital of the United States. The influences on cuisine in this region are extremely eclectic owing to the fact that it has been and continues to be a gateway for international culture as well as a gateway for new immigrants. Going back to colonial times, each new group has left their mark on homegrown cuisine and in turn the cities in this region disperse trends to the wider United States. In addition, cities like New York and Philadelphia have had the past influence of Dutch, Italian, German, Irish, British, and Jewish cuisines, and that continues to this day. Baltimore has become the crossroads between North and South, a distinction it has held since the end of the Civil War. A global power city, New York is well known for its diverse and cosmopolitan dining scene. Its restaurants compete fiercely for good reviews in the Food and Dining section of The New York Times, online guides, and Zagat's, the last of which is widely considered the premier American dining guide, published yearly and headquartered in New York. Many of the more complicated dishes with rich ingredients like Lobster Newberg, waldorf salad, vichyssoise, eggs benedict, and the New York strip steak were born out of a need to entertain and impress the well-to-do in expensive bygone restaurants like Delmonico's and still standing establishments like the Waldorf-Astoria Hotel. Modern commercial American cream cheese was developed in 1872. Since the first reference to an alcoholic mixed drink called a cocktail comes from New York State in 1803, it is not a surprise that there have been many cocktails invented in New York and the surrounding environs. Even today New York bars are noted for being highly influential in making national trends. Cosmopolitans, Long Island iced teas, Manhattans, Rob Roys, Tom Collins, Aviations, and Greyhounds were all invented in New York bars, and the gin martini was popularized in New York in speakeasies during the 1920s, as evidenced by its appearance in the works of New Yorker and American writer F. Scott Fitzgerald. Like its neighbor Philadelphia, many rare and unusual liquors and liqueurs often find their way into a mixologist's cupboard or restaurant wine list. New York State is the third most productive area in the country for wine grapes, just behind California and Washington. It has AVA's near the Finger Lakes, the Catskills, and Long Island, and in the Hudson Valley has the second-most productive area in the country for growing apples, making it a center for hard cider production, just like New England. Pennsylvania has been growing rye since Germans began to emigrate to the area at the end of the 17th century and required a grain they knew from Germany. Therefore, overall it is not unusual to find New York grown Gewürtztraminer and Riesling, Pennsylvania rye whiskey, or marques of locally produced ciders like Original Sin on the same menu. Since their formative years, New York, Philadelphia, and Baltimore have welcomed immigrants of every kind to their shores, and all three have been an important gateway through which new citizens to the general United States arrive. Traditionally natives have eaten cheek to jowl with newcomers for centuries as the newcomers would open new restaurants and small businesses and all the different groups would interact. Even in colonial days this region was a very diverse mosaic of peoples, as settlers from Switzerland, Wales, England, Ulster, Wallonia, Holland, Gelderland, the British Channel Islands, and Sweden sought their fortune in this region. This is very evident in many signature dishes and local foods, all of which have evolved to become American dishes in their own right. The original Dutch settlers of New York brought recipes they knew and understood from the Netherlands and their mark on local cuisine is still apparent today: in many quarters of New York their version of apple pie with a streusel top is still baked. In the colony of New Amsterdam, their predilection for waffles in time evolved into the American national recipe and forms part of a New York brunch. They also made coleslaw, originally a Dutch salad, but today accented with the later 18th-century introduction of mayonnaise. The doughnut began its life originally as a New York pastry that arrived in the 18th century as the Dutch olykoek, with later additions from other nations of Europe like the Italian zeppole, the Jewish/Polish pączki, and the German Berliner arriving in the 19th century to complete the variety found in modern doughnuts today. Crab cakes were once a kind of English croquette, but over time as spices have been added they and the Maryland crab feast became two of Baltimore's signature dishes. Fishing for blue crab is a favorite summer pastime in the waters off Maryland, New Jersey, and Delaware where they may grace the table at summer picnics. Other mainstays of the region have been present since the early years of American history, like oysters from Cape May, the Chesapeake Bay, and Long Island, and lobster and tuna from the coastal waters found in New York and New Jersey. Philadelphia Pepper Pot, a tripe stew, was originally a British dish but today is a classic of home cooking in Pennsylvania alongside bookbinder soup, a type of turtle soup. In the winter, New York pushcarts sell roasted chestnuts, a delicacy dating back to English Christmas traditions, and it was in New York and Pennsylvania that the earliest Christmas cookies were introduced: Germans introduced crunchy molasses-based gingerbread and sugar cookies in Pennsylvania, and the Dutch introduced cinnamon-based cookies, all of which have become part of the traditional Christmas meal. Scrapple was originally a type of savory pudding that early Pennsylvania Germans made to preserve the offal of a pig slaughter. The Philadelphia soft pretzel was originally brought to Eastern Pennsylvania in the early 18th century, and later, 19th-century immigrants sold them to the masses from pushcarts to make them the city's best-known bread product, having evolved into its own unique recipe. After the 1820s, new groups began to arrive and the character of the region began to change. There had been some Irish from Ulster prior to 1820, however largely they had been Protestants with somewhat different culture and (often) a different language than the explosion of emigrants that came to Castle Garden and Locust Point in Baltimore in their masses starting in the 1840s. The Irish arrived in America in a rather woeful state, as Ireland at the time was often plagued by some of the worst poverty in Europe and often heavy disenfranchisement among the masses. Many of them arrived barely alive having ridden coffin ships to the New World, very sick with typhus and gaunt from prolonged starvation. In addition, they were the first to face challenges other groups did not have: they were the first large wave of Catholics. They faced prejudice for their faith and the cities of Philadelphia, New York, and Baltimore were not always set up for their needs. For example, Catholic bishops in the U.S. mandated until the 1960s that all Catholics were forbidden from eating red meat on Fridays and during Lent, and attending Mass sometimes conflicted with work as produce and meat markets would be open on high holy days; this was difficult for Irishmen supporting families since many worked as laborers. Unsurprisingly, many Irishmen also found their fortunes working as longshoremen, which would have given their families access to fish and shellfish whenever a fisherman made berth, which was frequent on the busy docks of Baltimore and New York. Though there had been some activity in Baltimore in founding a see earlier by the Carrolls, the Irish were the first major wave of Catholic worship in this region, and that meant bishops and cardinals sending away to Europe for wine. Wine, with water, is consecrated as part of the Catholic Mass. Taverns had existed prior to their emigration to America in the region, though the Irish brought their particular brand of pub culture and founded some of the first saloons and bars that served Dublin style stout and red ale; they brought with them the knowledge of single-malt style whiskey and sold it. The Irish were the first immigrant group to arrive in this region in massive millions, and these immigrants also founded some of the earliest saloons and bars in this region, of which McSorley's is a still operating example. It was also in this region that the Irish introduced something that today is a very important festival in American culture that involves a large amount of food, drink, and merry making: Halloween. In England and Wales, where prior immigrants had come from, the feast of All Hallows Eve had died out in the Reformation, dismissed as superstition and excess having nothing to do with the Bible and often replaced with the festival of Guy Fawkes Night. Other immigrant groups like the Germans preferred to celebrate October 31 as Reformation Day, and after the American Revolution all of the above were less and less eager to celebrate the legacy of an English festival given they had fought against Great Britain for their independence. The Catholicism of the Irish demanded attendance at church on November 1 and charity and deeds, not just faith, as a cornerstone of dogma, and many of their older traditions survived the Reformation and traveled with them. Naturally, they went door-to-door to collect victuals for masked parties as well as gave them out, like nuts to roast on the fire, whiskey, beer, or cider, and barmbracks; they also bobbed for apples and made dumb cakes. Later in the century they were joined by Scots going guising, children going door-to-door to ask for sweets and treats in costume. From the Mid-Atlantic this trend spread to be nationwide and evolved into American children trick-or-treating on October 31 wearing costumes and their older counterparts having wild costume parties with various foods and drinks such as caramel apples, candy apples, dirt cakes, punch, cocktails, cider (both alcoholic and non,) pumpkin pie, candy corn, chocolate turtles, peanut brittle, taffy, tipsy cake, and copious buckets full of candy; children carving jack-o-lanterns and eating squash derived foods derive from Halloween's heritage as a harvest festival and from Irish and Scottish traditions of carving turnips and eating root vegetables at this time of year. Bobbing for apples has survived to the present day as a Halloween party classic game, as has a variation on the parlor game of trying to grab an apple hanging from the ceiling blindfolded: it has evolved into trying to catch a donut in one's teeth. Immigrants from Southern Europe, namely Sicily, Campania, Lazio, and Calabria, appeared between 1880 and 1960 in New York, New Jersey, Pennsylvania, and Eastern Maryland hoping to escape the extreme poverty and corruption endemic to Italy. Typically none of them spoke English, but rather dialects of Italian and had a culture that was more closely tied to the village they were born in than the high culture only accessible to those who could afford it at this time; many could not read or write in any language. They were employed in manual labor or factory work but it is because of them that dishes like spaghetti with meatballs, New York-style pizza, calzones, and baked ziti exist, and Americans of today are very familiar with semolina based pasta noodles. Their native cuisine had less of an emphasis on meat, as evidenced by dishes they introduced like pasta e fagioli and minestrone, but the dishes they created in America often piled it on as a sign of wealth and newfound prosperity since for the first time even cheap cuts of it were affordable. The American recipe for lasagna is proof of this, as mostly it is derived from the Neapolitan version of the dish with large amounts of meat and cheese. New York-style hot dogs came about with German-speaking emigrants from Austria and Germany, particularly with the frankfurter sausage and the smaller wiener sausage; Jews would also contribute here by introducing the kosher version of these sausages, made of beef rather than pork. Today, the New York-style hot dog with sauerkraut, mustard, and the optional cucumber pickle relish is such a part of the local fabric, that it is one of the favorite comestibles of New York and both the pork and the beef versions are beloved. Hot dogs are a typical street food sold year round in all but the most inclement weather from thousands of pushcarts. As with all other stadiums in Major League Baseball they are an essential for New York Yankees and the New York Mets games though it is the local style of preparation that predominates without exception. Hot dogs are also the focus of a televised eating contest on the Fourth of July in Coney Island, at Nathan's Famous, one of the earliest hot dog stands opened in the United States in 1916 by Nathan Handwerker. Handwerker was a Jewish man who emigrated from what is now Ukraine in 1912 and whose influence is felt today around the world. Coney Island is most famous for being a traditional boardwalk amusement park and the site of the world's first rollercoaster, a precursor of modern theme parks. Hot dogs are a staple of amusement parks 100 years later. A summertime treat, Italian ice, began its life as a sweeter adaptation of the Sicilian granita that was strictly lemon-flavored and brought to New York and Philadelphia. Its Hispanic counterpart, piragua, is a common shaved-ice treat brought to New York by Puerto Ricans in the 1930s. Unlike the original dish which included flavors like tamarind, mango, coconut, piragua is evolving to include flavors like grape and cherry, fruits which are impossible to grow in the tropical Puerto Rican climate and get exported back to the island from New York. Taylor Ham, a meat delicacy of New Jersey, first appeared around the time of the Civil War and today is often served for breakfast with eggs and cheese on a kaiser roll, a variant of a roll brought to the area by Austrians in the second half of the 19th century, now commonly used for sandwiches at lunchtime, often topped with poppyseeds. This breakfast meat is generally known as pork roll in southern New Jersey and Philadelphia, and Taylor Ham in northern New Jersey. Other dishes came about during the early 20th century and have much to do with delicatessen fare, set up largely by Jewish immigrants from Eastern Europe who came to America incredibly poor, often illiterate in any other language but Yiddish, and often banished from mainstream society in their place of origin for centuries. Most often they were completely unable to partake in the outdoor food markets that the general population utilized as most of the food for sale was not kosher. The influence of European Jewry before their destruction in the Holocaust on modern mid-Atlantic cooking remains strong and reinforced by their many descendants in the region. These currently form the largest concentration of Jews outside Tel Aviv and very integrated into the local mainstream of New York in particular. American-style pickles, now a common addition to hamburgers and sandwiches, were brought by Polish Jews, and Austro-Hungarian Jews brought a recipe for almond horns that now is a common regional cookie, diverting from the original recipe in dipping the ends in dark chocolate. New York-style cheesecake has copious amounts of cream and eggs because animal rennet is not kosher and so could not be sold to a large number of the deli's clientele. New York inherited its bagels and bialys from Jews, as well as Challah bread. Pastrami first entered the country via Romanian Jews, and is a feature of many sandwiches, often eaten on marble rye, a bread that was born in the mid-Atlantic. Whitefish salad, lox, and matzoh ball soup are now standard fare made to order at local diners and delicatessens, but started their life as foods that made up a strict dietary code. Rugelach cookies and hamentashen are sweet staples still sold to the general public, but came to New York over a century ago with Ashkenazi Jews along with Jewish rye. Many of their dishes passed into the mainstream enough that they became standard fare in diners by the end of the 20th century, a type of restaurant that is now the most common in the region, and the subject matter of the artist Edward Hopper. In the past this sort of establishment was the haven of the short-order cook grilling or frying simple foods for the working man. Today typical service includes staples from this large region like beef on weck, Manhattan clam chowder, the club sandwich, Buffalo wings, Philadelphia cheesesteak, the black and white cookie, shoofly pie, snapper soup, Smith Island cake, blackout cake, grape pie, milkshakes, and the egg cream, a vanilla or chocolate fountain drink with a frothy top and fizzy taste. As in Hopper's painting from 1942, many of these businesses are open 24 hours a day. Midwest Midwestern cuisine today is a very eclectic and odd mix and match of foodways, covering everything from Kansas City-style barbecue to the Chicago-style hot dog, though many of its classics are very simple, hearty fare. This region was mostly untouched by European and American settlers until after the American Civil War, and excepting Missouri and the heavily forested states near the Great Lakes, was mainly populated by nomadic tribes like the Sioux, Osage, Arapaho, and Cheyenne. As with most other American Indians tribes, these tribes consumed the Three Sisters of beans, maize, and squash, but also for thousands of years followed the herds of bison, hunting them on foot and later on horseback, typically using bow and arrow. There are buffalo jumps dating back nearly 10,000 years and several photographs and written accounts of trappers and homesteaders attesting to their dependence on the buffalo and to a lesser degree elk. After nearly wiping out elk and bison, this region has taken to raising bison alongside cattle for their meat and at an enormous profit, making them into burgers and steaks. This region today comprises the states near the Great Lakes and also the Great Plains; much of it is prairie with a very flat terrain where the blue sky meets a neverending horizon. Winters are bitterly cold, windy, and wet. Often that means harsh blizzards especially near the Great Lakes where Arctic winds blow off of Canada, where ice on rivers and lakes freezes thick enough for ice hockey, and for ice fishing for pike, walleye and panfish to be ubiquitous. In Minnesota, Wisconsin, and Michigan, they often become part of the local fish fry. Population density is extremely low away from the Great Lakes and small towns dominated by enormous farms are the rule, larger cities being the exception. Detroit, Cleveland, St. Louis, Cincinnati, Indianapolis, Milwaukee, Minneapolis, and St. Paul dominate the landscape in wealth and size, owing to their ties with manufacturing, finance, transportation, and meatpacking. Smaller places like Omaha, Tulsa, and Kansas City are the local capitals, but the king is Chicago, third-largest city in the country, on the shores of Lake Michigan. Non-American Indian settlement began in Illinois, Minnesota, Wisconsin, Ohio, Indiana, and Michigan earlier than anywhere else in the region, and thus the food available here ranges from the sublime to the bizarre. As with all of the Midwest, the primary meats here are beef and poultry, since the Midwest has been raising turkeys, chickens, and geese for over 150 years. Chickens have been common for so long that the Midwest has several native breeds that are prized for both backyard farming and for farmer's markets, such as the Buckeye and Wyandotte. One, Billina, appears as a character in the second book of the Oz series by L. Frank Baum. Favorite fruits of the region include some native plants inherited from Native American tribes like the pawpaw, and American persimmons are also highly favored. As in the American South, pawpaws are the region's largest native fruit, about the size of a mango, often found growing wild come September; they are made into preserves and cakes and command quite a price at farmer's markets in Chicago. The American persimmon is often smaller than its Japanese cousin, about the size of a small plum, but in the Midwest and parts of the East it is the main ingredient in a steamed pudding called persimmon pudding, topped with crème anglaise. Other crops inherited from the Native Americans include wild rice, which grows on the banks of lakes and is a local favorite for fancy meals and today often used in stuffing for Thanksgiving. Typical fruits of the region are cold-weather crops. Once it was thought that its winters were too harsh for apples, but a breeder in Minnesota produced the Wealthy apple and it became the third-most productive region for apple growing in the land, with local varieties comprising Wolf River, Enterprise, Melrose, Paula Red, Rome Beauty, Honeycrisp, and the Red Delicious. Cherries are important to Michigan and Wisconsin grows many cranberries, a legacy of early-19th-century emigration of New England farmers. Crabapple jelly is a favorite condiment of the region. The influence of German, Scandinavian, and Slavic peoples on the northern portion of the region is very strong; many emigrated to Wisconsin, Minnesota, Michigan, Ohio, and Illinois in the 19th century to take advantage of jobs in the meatpacking business as well as being homesteaders and tradesmen. Bratwurst is a very common sausage eaten at tailgate parties for the Green Bay Packers, Chicago Bears, or Detroit Lions, often served boiled in lager beer with sauerkraut, different than many of the recipes currently found in Germany. Polish sausage, in particular a locally invented type of kielbasa, is essential for sporting events in Chicago: Chicago today has approximately 200,000 Polish speakers and has had a similar population for over 100 years. When Poles came to Chicago and surrounding cities from Europe, they brought with them long ropes of kielbasa, cabbage rolls, and pierogis. Poles that left Poland after the fall of the Berlin Wall and descendants of earlier immigrants still make them, and they remain common in local diners and delis. Today alongside the pierogi, the sausage is served on a long roll with mustard like a hot dog or as a Maxwell Street Polish, a sandwich with caramelized onions. In Cleveland, the same sausage is served in the form of the Polish boy, a sandwich made of french fries, spicy barbecue sauce, and coleslaw. Unlike cities in the East where the hot dog alone is traditional, fans of the Cleveland Indians, Detroit Tigers, Chicago Cubs, and Milwaukee Brewers favor two or three different kinds of sausage sold in the pushcarts outside the stadium. The hot dogs themselves tend to follow the Chicago style, loaded with mustard, and pickled vegetables. In Cincinnati, where the Cincinnati Reds play, there is a competitor in Cincinnati chili. Invented by Macedonian immigrants, it includes spaghetti as its base, chili with a Mediterranean-inspired spice mix, and cheddar cheese; the chili itself is often a topping for local hot dogs at games. In the Midwest and especially Minnesota, the tradition of the church potluck is a gathering where local foods reign, and has been since the era of the frontier; pioneers often needed to pool resources to have a celebration in the 19th century and that simply never changed. Nowhere is this more clear than with the hotdish, a type of casserole believed to have derived from a Norwegian recipe, it is usually topped with potatoes or tater tots. Next to the hotdish at potlucks usually glorified rice is found, a kind of rice pudding mixed with crushed pineapple and maraschino cherries. Next to that is the booyah, a thick soup made of meat, vegetables, and seasonings that is meant to simmer on the stove for up to two days. Lefse, traditionally a Scandinavian flatbread, has been handed down to descendants for over a hundred years and is common on the table. Behind that is venison, a popular meat around the Great Lakes and often eaten as steaks, sandwiches, and crown roasts for special events. Within Wisconsin, Minnesota and the Dakotas, tiger meat, a dish similar to steak tartare, is common. Last on the table are the dessert bars and brownies, created originally in 1898 in Chicago, now a global food and international favorite. Further South, barbecue has its own style in places in Kansas and St. Louis different from the South and American West. Kansas City and St. Louis were and are important hubs for the railroad that connected the plains with the Great Lakes and cities farther east, like Philadelphia. At the turn of the 19th century, the St. Louis area, Omaha, and Kansas City had huge stockyards, waystations for cattle and pigs on their way East to the cities of the coast and North to the Great Lakes. They all had large growing immigrant and migrant populations from Europe and the South respectively, so the region has developed unique styles of barbecue. St. Louis-style barbecue favors a heavy emphasis on a sticky sweet barbecue sauce. Its standbys include the pork steak, a cut taken from the shoulder of the pig, grilled then slowly stewed in a pan over charcoal; crispy snoots, a cut from the cheek and nose of the pig that is fried up like cracklins and eaten dipped in sauce; pork spare ribs; and a mix of either beer-boiled bratwurst or grilled Italian sausage, flavored with fennel. Dessert is usually something like gooey butter cake, invented in the city in the 1930s. Kansas City-style barbecue uses several different kinds of meat, more than most styles of American barbecue—turkey, mutton, pork, and beef to name a few—but is distinct from St. Louis in that the barbecue sauce adds molasses in with the tomato-based recipe and typically has a more tart taste. Traditionally, Kansas City uses a low-and-slow method of smoking the meat in addition to just stewing it in the sauce. It also favors using hickory wood for smoking and continual watering or layering of the sauce while cooking to form a glaze; with burnt ends this step is necessary to create the "bark" or charred outer layer of the brisket. Southern United States When referring to the American South as a region, typically it should indicate Southern Maryland and the states that were once part of the Old Confederacy, with the dividing line between the East and West jackknifing about 100 miles west of Dallas, Texas, and mostly south of the old Mason–Dixon line. Cities found in this area include New Orleans, Atlanta, Washington, D.C., Memphis, Charleston, and Charlotte with Houston, Texas being the largest. The Florida Panhandle is usually considered part of the South, but the Florida peninsula (especially its lower half) is not. These states are much more closely tied to each other and have been part of U.S. territory for much longer than states much farther west than East Texas, and in the case of food, the influences and cooking styles are strictly separated as the terrain begins to change to prairie and desert from bayou and hardwood forest. This section of the country has some of the oldest known U.S. foodways, with some recipes almost 400 years old. Native American influences are still quite visible in the use of cornmeal as an essential staple and found in the Southern predilection for hunting wild game, in particular wild turkey, deer, woodcock, and various kinds of waterfowl; for example, coastal North Carolina is a place where hunters will seek tundra swan as a part of Christmas dinner; the original English and Scottish settlers would have rejoiced at this revelation owing to the fact that such was banned among the commoner class in what is now the United Kingdom, and naturally, their descendants have not forgotten. Native Americans also consumed turtles and catfish, specifically the snapping turtle, the alligator snapping turtle, and blue catfish. Catfish are often caught with one's bare hands, gutted, breaded, and fried to make a Southern variation on English fish and chips and turtles are turned into stews and soups. Native American tribes of the region such as the Cherokee or Choctaw often cultivated or gathered local plants like pawpaw, maypop and several sorts of squashes and corn as food. They also used spicebush and sassafras as spices, and the aforementioned fruits are still cultivated as food in the South. Maize is to this day found in dishes for breakfast, lunch and dinner in the form of grits, hoecakes, baked cornbread, and spoonbread, and nuts like the hickory, black walnut and pecan are commonly included in desserts and pastries as varied as mince pies, pecan pie, pecan rolls and honey buns (both are types of sticky
but came to New York over a century ago with Ashkenazi Jews along with Jewish rye. Many of their dishes passed into the mainstream enough that they became standard fare in diners by the end of the 20th century, a type of restaurant that is now the most common in the region, and the subject matter of the artist Edward Hopper. In the past this sort of establishment was the haven of the short-order cook grilling or frying simple foods for the working man. Today typical service includes staples from this large region like beef on weck, Manhattan clam chowder, the club sandwich, Buffalo wings, Philadelphia cheesesteak, the black and white cookie, shoofly pie, snapper soup, Smith Island cake, blackout cake, grape pie, milkshakes, and the egg cream, a vanilla or chocolate fountain drink with a frothy top and fizzy taste. As in Hopper's painting from 1942, many of these businesses are open 24 hours a day. Midwest Midwestern cuisine today is a very eclectic and odd mix and match of foodways, covering everything from Kansas City-style barbecue to the Chicago-style hot dog, though many of its classics are very simple, hearty fare. This region was mostly untouched by European and American settlers until after the American Civil War, and excepting Missouri and the heavily forested states near the Great Lakes, was mainly populated by nomadic tribes like the Sioux, Osage, Arapaho, and Cheyenne. As with most other American Indians tribes, these tribes consumed the Three Sisters of beans, maize, and squash, but also for thousands of years followed the herds of bison, hunting them on foot and later on horseback, typically using bow and arrow. There are buffalo jumps dating back nearly 10,000 years and several photographs and written accounts of trappers and homesteaders attesting to their dependence on the buffalo and to a lesser degree elk. After nearly wiping out elk and bison, this region has taken to raising bison alongside cattle for their meat and at an enormous profit, making them into burgers and steaks. This region today comprises the states near the Great Lakes and also the Great Plains; much of it is prairie with a very flat terrain where the blue sky meets a neverending horizon. Winters are bitterly cold, windy, and wet. Often that means harsh blizzards especially near the Great Lakes where Arctic winds blow off of Canada, where ice on rivers and lakes freezes thick enough for ice hockey, and for ice fishing for pike, walleye and panfish to be ubiquitous. In Minnesota, Wisconsin, and Michigan, they often become part of the local fish fry. Population density is extremely low away from the Great Lakes and small towns dominated by enormous farms are the rule, larger cities being the exception. Detroit, Cleveland, St. Louis, Cincinnati, Indianapolis, Milwaukee, Minneapolis, and St. Paul dominate the landscape in wealth and size, owing to their ties with manufacturing, finance, transportation, and meatpacking. Smaller places like Omaha, Tulsa, and Kansas City are the local capitals, but the king is Chicago, third-largest city in the country, on the shores of Lake Michigan. Non-American Indian settlement began in Illinois, Minnesota, Wisconsin, Ohio, Indiana, and Michigan earlier than anywhere else in the region, and thus the food available here ranges from the sublime to the bizarre. As with all of the Midwest, the primary meats here are beef and poultry, since the Midwest has been raising turkeys, chickens, and geese for over 150 years. Chickens have been common for so long that the Midwest has several native breeds that are prized for both backyard farming and for farmer's markets, such as the Buckeye and Wyandotte. One, Billina, appears as a character in the second book of the Oz series by L. Frank Baum. Favorite fruits of the region include some native plants inherited from Native American tribes like the pawpaw, and American persimmons are also highly favored. As in the American South, pawpaws are the region's largest native fruit, about the size of a mango, often found growing wild come September; they are made into preserves and cakes and command quite a price at farmer's markets in Chicago. The American persimmon is often smaller than its Japanese cousin, about the size of a small plum, but in the Midwest and parts of the East it is the main ingredient in a steamed pudding called persimmon pudding, topped with crème anglaise. Other crops inherited from the Native Americans include wild rice, which grows on the banks of lakes and is a local favorite for fancy meals and today often used in stuffing for Thanksgiving. Typical fruits of the region are cold-weather crops. Once it was thought that its winters were too harsh for apples, but a breeder in Minnesota produced the Wealthy apple and it became the third-most productive region for apple growing in the land, with local varieties comprising Wolf River, Enterprise, Melrose, Paula Red, Rome Beauty, Honeycrisp, and the Red Delicious. Cherries are important to Michigan and Wisconsin grows many cranberries, a legacy of early-19th-century emigration of New England farmers. Crabapple jelly is a favorite condiment of the region. The influence of German, Scandinavian, and Slavic peoples on the northern portion of the region is very strong; many emigrated to Wisconsin, Minnesota, Michigan, Ohio, and Illinois in the 19th century to take advantage of jobs in the meatpacking business as well as being homesteaders and tradesmen. Bratwurst is a very common sausage eaten at tailgate parties for the Green Bay Packers, Chicago Bears, or Detroit Lions, often served boiled in lager beer with sauerkraut, different than many of the recipes currently found in Germany. Polish sausage, in particular a locally invented type of kielbasa, is essential for sporting events in Chicago: Chicago today has approximately 200,000 Polish speakers and has had a similar population for over 100 years. When Poles came to Chicago and surrounding cities from Europe, they brought with them long ropes of kielbasa, cabbage rolls, and pierogis. Poles that left Poland after the fall of the Berlin Wall and descendants of earlier immigrants still make them, and they remain common in local diners and delis. Today alongside the pierogi, the sausage is served on a long roll with mustard like a hot dog or as a Maxwell Street Polish, a sandwich with caramelized onions. In Cleveland, the same sausage is served in the form of the Polish boy, a sandwich made of french fries, spicy barbecue sauce, and coleslaw. Unlike cities in the East where the hot dog alone is traditional, fans of the Cleveland Indians, Detroit Tigers, Chicago Cubs, and Milwaukee Brewers favor two or three different kinds of sausage sold in the pushcarts outside the stadium. The hot dogs themselves tend to follow the Chicago style, loaded with mustard, and pickled vegetables. In Cincinnati, where the Cincinnati Reds play, there is a competitor in Cincinnati chili. Invented by Macedonian immigrants, it includes spaghetti as its base, chili with a Mediterranean-inspired spice mix, and cheddar cheese; the chili itself is often a topping for local hot dogs at games. In the Midwest and especially Minnesota, the tradition of the church potluck is a gathering where local foods reign, and has been since the era of the frontier; pioneers often needed to pool resources to have a celebration in the 19th century and that simply never changed. Nowhere is this more clear than with the hotdish, a type of casserole believed to have derived from a Norwegian recipe, it is usually topped with potatoes or tater tots. Next to the hotdish at potlucks usually glorified rice is found, a kind of rice pudding mixed with crushed pineapple and maraschino cherries. Next to that is the booyah, a thick soup made of meat, vegetables, and seasonings that is meant to simmer on the stove for up to two days. Lefse, traditionally a Scandinavian flatbread, has been handed down to descendants for over a hundred years and is common on the table. Behind that is venison, a popular meat around the Great Lakes and often eaten as steaks, sandwiches, and crown roasts for special events. Within Wisconsin, Minnesota and the Dakotas, tiger meat, a dish similar to steak tartare, is common. Last on the table are the dessert bars and brownies, created originally in 1898 in Chicago, now a global food and international favorite. Further South, barbecue has its own style in places in Kansas and St. Louis different from the South and American West. Kansas City and St. Louis were and are important hubs for the railroad that connected the plains with the Great Lakes and cities farther east, like Philadelphia. At the turn of the 19th century, the St. Louis area, Omaha, and Kansas City had huge stockyards, waystations for cattle and pigs on their way East to the cities of the coast and North to the Great Lakes. They all had large growing immigrant and migrant populations from Europe and the South respectively, so the region has developed unique styles of barbecue. St. Louis-style barbecue favors a heavy emphasis on a sticky sweet barbecue sauce. Its standbys include the pork steak, a cut taken from the shoulder of the pig, grilled then slowly stewed in a pan over charcoal; crispy snoots, a cut from the cheek and nose of the pig that is fried up like cracklins and eaten dipped in sauce; pork spare ribs; and a mix of either beer-boiled bratwurst or grilled Italian sausage, flavored with fennel. Dessert is usually something like gooey butter cake, invented in the city in the 1930s. Kansas City-style barbecue uses several different kinds of meat, more than most styles of American barbecue—turkey, mutton, pork, and beef to name a few—but is distinct from St. Louis in that the barbecue sauce adds molasses in with the tomato-based recipe and typically has a more tart taste. Traditionally, Kansas City uses a low-and-slow method of smoking the meat in addition to just stewing it in the sauce. It also favors using hickory wood for smoking and continual watering or layering of the sauce while cooking to form a glaze; with burnt ends this step is necessary to create the "bark" or charred outer layer of the brisket. Southern United States When referring to the American South as a region, typically it should indicate Southern Maryland and the states that were once part of the Old Confederacy, with the dividing line between the East and West jackknifing about 100 miles west of Dallas, Texas, and mostly south of the old Mason–Dixon line. Cities found in this area include New Orleans, Atlanta, Washington, D.C., Memphis, Charleston, and Charlotte with Houston, Texas being the largest. The Florida Panhandle is usually considered part of the South, but the Florida peninsula (especially its lower half) is not. These states are much more closely tied to each other and have been part of U.S. territory for much longer than states much farther west than East Texas, and in the case of food, the influences and cooking styles are strictly separated as the terrain begins to change to prairie and desert from bayou and hardwood forest. This section of the country has some of the oldest known U.S. foodways, with some recipes almost 400 years old. Native American influences are still quite visible in the use of cornmeal as an essential staple and found in the Southern predilection for hunting wild game, in particular wild turkey, deer, woodcock, and various kinds of waterfowl; for example, coastal North Carolina is a place where hunters will seek tundra swan as a part of Christmas dinner; the original English and Scottish settlers would have rejoiced at this revelation owing to the fact that such was banned among the commoner class in what is now the United Kingdom, and naturally, their descendants have not forgotten. Native Americans also consumed turtles and catfish, specifically the snapping turtle, the alligator snapping turtle, and blue catfish. Catfish are often caught with one's bare hands, gutted, breaded, and fried to make a Southern variation on English fish and chips and turtles are turned into stews and soups. Native American tribes of the region such as the Cherokee or Choctaw often cultivated or gathered local plants like pawpaw, maypop and several sorts of squashes and corn as food. They also used spicebush and sassafras as spices, and the aforementioned fruits are still cultivated as food in the South. Maize is to this day found in dishes for breakfast, lunch and dinner in the form of grits, hoecakes, baked cornbread, and spoonbread, and nuts like the hickory, black walnut and pecan are commonly included in desserts and pastries as varied as mince pies, pecan pie, pecan rolls and honey buns (both are types of sticky bun), and quick breads, which were themselves invented in the South during the American Civil War. Peaches have been grown in this region since the 17th century and are a staple crop as well as a favorite fruit, with peach cobbler being a signature dessert. Early history European influence began soon after the settlement of Jamestown in 1607 and the earliest recipes emerged by the end of the 17th century. Specific influences from Europe were quite varied, and they remain traditional and essential to the modern cookery overall. German speakers often settled in the Piedmont on small farms from the coast, and invented an American delicacy that is now nationally beloved, apple butter, based on their recipe for apfelkraut, and later they introduced red cabbage and rye. From the British Isles, an enormous amount of influence was bestowed upon the South, specifically foodways from 17th- and 18th-century Ulster, the borderlands between England and Scotland, the Scottish Highlands, portions of Wales, the West Midlands, the West Country, Black Country and Southern England. Settlers bound for America fled the tumult of the Civil War, Ulster and the Highland Clearances. Often ships' manifests show their belongings nearly always included cookpots or bakestones and seed stock for plants like peaches, plums, and apples to grow orchards which they planted in their hundreds. Each group brought foods and ideas from their respective regions. Settlers from Ireland and Scotland were well known for creating peatreak and poitín, strong hard liquor based on fermenting potatoes or barley. In time they came up with a method for distilling a corn mash with added sugar and aging in charred barrels made of select hardwoods, which created a whiskey with a high proof. This gave birth to American whiskey and Kentucky bourbon, and its cousins moonshine and Everclear. Closer to the coast, 18th-century recipes for English trifle turned into tipsy cakes, replacing the sherry with whiskey and their recipe for pound cake, brought to the South around the same time, still works with American baking units: 1 pound sugar, one pound eggs, one pound butter, one pound flour. Common features Pork is the popular choice in 80% of Southern style barbecue and features in other preparations like sausages and sandwiches. For most Southerners in the antebellum period, corn and pork were staples of the diet. Country sausage is an ingredient in the Southern breakfast dish of biscuits and gravy. Country ham is often served for breakfast and cured with salt or sugar and hickory-smoked. Accompanying many meals is the southern style fluffy biscuit, where the leavening agent is baking soda and often includes buttermilk, and for breakfast they often accompany country ham, grits, and scrambled eggs. Desserts Desserts in the South tend to be quite rich and very much a legacy of entertaining to impress guests, since a Southern housewife was (and to a degree still is) expected to show her hospitality by laying out as impressive a banquet as she is able to manage. Desserts are vast and encompass Lane cake, sweet potato pie, peach cobbler, pecan pie, hummingbird cake, Jefferson Davis pie, peanut brittle, coconut cake, apple fritters, peanut cookies, Moravian spice cookies, chess pie, doberge cake, Lady Baltimore cake, bourbon balls, and caramel cake. American-style sponge cakes tend to be the rule rather than the exception as is American buttercream, a place where Southern baking intersects with the rest of the United States. Nuts like pecan and hickory tend to be revered as garnishes for these desserts, and they make their way into local bakeries as fillings for chocolates. Cajun and Creole Cuisine of Louisiana In Louisiana, cooking methods have more in common with rustic French cuisines of the 17th and 18th century than anything ever found at the French court in Versailles or the bistros of 19th- and 20th-century Paris; this is especially true of Cajun cuisine. Cajun French is more closely related to dialects spoken in Northern Maine, New Brunswick, and to a lesser degree Haiti than anything spoken in modern France, and likewise their terminology, methodology, and culture concerning food is much more closely related to the styles of these former French colonies even today. Unlike other areas of the South, Cajuns were and still are largely Catholics and thus much of what they eat is seasonal; for example pork is an important component of the Cajun boucherie (a large community event where the hog is butchered, prepared with a fiery spice mix, and eaten snout to tail) but it is never consumed in the five weeks of Lent, when such would be forbidden. Cajun cuisine tends to focus on what is locally available, historically because Cajuns were often poor, illiterate, independent farmers and not plantation owners but today it is because such is deeply imbedded in local culture. Boudin is a type of sausage found only in this area of the country, and it is often by far more spicy than anything found in France or Belgium. Chaudin is unique to the area, and the method of cooking is comparable to the Scottish dish haggis: the stuffing includes onions, rice, bell peppers, spices, and pork sewn up in the stomach of a pig, and served in slices piping hot. Crayfish are a staple of the Cajun grandmother's cookpot, as they are abundant in the bayous of Southern Louisiana and a main source of livelihood, as are blue crabs, shrimp, corn on the cob, and red potatoes, since these are the basic ingredients of the Louisiana crawfish boil. New Orleans has been the capital of Creole culture since before Louisiana was a state. This culture is that of the colonial French and Spanish that evolved in the city of New Orleans, which was and still is quite distinct from the rural culture of Cajuns and dovetails with what would have been eaten in antebellum Louisiana plantation culture long ago. Cooking to impress and show one's wealth was a staple of Creole culture, which often mixed French, Spanish, Italian, German, African, Caribbean and Native American cooking methods, producing rich dishes like oysters bienville, pompano en papillote, and even the muffaletta sandwich. However, Louisiana Creole cuisine tends to diverge from the original ideas brought to the region in ingredients: profiteroles, for example, use a near identical choux pastry to that which is found in modern Paris but often use vanilla or chocolate ice cream rather than custard as the filling, pralines nearly always use pecan and not almonds, and bananas foster came about when New Orleans was a key port for the import of bananas from the Caribbean Sea. Gumbos tend to be thickened with okra, or the leaves of the sassafrass tree. Andouille is often used, but not the andouille currently known in France, since French andouille uses tripe whereas Louisiana andouille is made from a Boston butt, usually inflected with pepper flakes, and smoked for hours over pecan wood. Other ingredients that are native to Louisiana and not found in the cuisine of modern France would include rice, which has been a staple of both Creole and Cajun cooking for generations, and sugarcane, which has been grown in Louisiana since the early 1800s. Ground cayenne pepper is a key spice of the region, as is the meat of the American alligator, something settlers learned from the Choctaws and Houma. The maypop plant has been a favorite of Southerners for 350 years; it gives its name to the Ocoee River in Tennessee, a legacy of the Cherokees, and in Southern Louisiana it is known as liane de grenade, indicating its consumption by Cajuns. It is a close relative of the commercial passionfruit, similar in size, and is a common plant growing in gardens all over the South as a source of fresh summertime fruit. African American influences West African influences came with slaves from Ghana, Benin, Mali, Congo, Angola, Sierra Leone, Nigeria, and other portions of the Gold Coast, and the mark Africans and their descendants, the African Americans, have made on Southern food is strong today and an essential addition to the Southern table. Crops like okra, sorghum, sesame seeds, eggplant, and many different kinds of melons were brought with them from West Africa along with the incredibly important introduction of rice to the Carolinas and later to Texas and Louisiana, whence it became a staple grain of that region and still remains a staple in those areas today, found in dishes like Hoppin John, purloo, and Charleston red rice. Like the poorer indentured servants that came to the South, slaves often got the leftovers of what was slaughtered for the consumption of the master of the plantation and so many recipes had to be adapted for offal, like pig's ears and fatbacks though other methods encouraged low and slow methods of cooking to tenderize the tougher cuts of meat, like braising, smoking, and pit roasting, the last of which was a method known to West Africans in the preparation of roasting goat. Peanut soup is one of the oldest known recipes brought to Virginia by Africans and over time, through their descendants, it has become creamier and milder tasting than the original. Florida cuisine Certain portions of the South often have their own distinct subtypes of cuisine owing to local history and landscape. Floridian cuisine, for example, has a distinct way of cooking that includes different ingredients, especially south of Tampa and Orlando. Spain had control of the state until the early 19th century and used the southern tip as an outpost to guard the Spanish Main beginning in the 1500s, but Florida kept and still maintains ties with the Caribbean Sea, including the Bahamas Haiti, Cuba, Puerto Rico, the Dominican Republic, and Jamaica. South of Tampa, there are and have been for a long time many speakers of Caribbean Spanish, Haitian French, Jamaican Patois, and Haitian Creole and each Caribbean culture has a strong hold on cooking methods and spices in Florida. In turn, each mixes and matches with the foodways of the Seminole tribe and Anglophone settlers. Thus, for almost 200 years, Floridian cooking has had a more tropical flavor than any other Southern state. Allspice, a spice originally from Jamaica, is an ingredient found in spice mixes in summer barbecues along with ginger, garlic, scotch bonnet peppers, sea salt, and nutmeg; in Floridian cooking this is often a variant of Jamaican jerk spice. Coconuts are grown in the areas surrounding Miami and are shipped in daily through its port for consumption of the milk, meat, and water of the coconut. Bananas are not just the yellow Cavendish variety found in supermarkets across America: in Florida they are available as bananitos, colorados, plátanos, and maduros. The first of these is a tiny miniature banana only about 4-5 inches (10–13 cm) in length and it is sweet. The second has a red peel and an apple-like aftertaste, and the third and fourth are used as a starch on nearly every Caribbean island as a side dish, baked or fried: all of the above are a staple of Florida outdoor markets when in season and all have been grown in the Caribbean for almost 400 years. Mangoes are grown as a backyard plant in Southern Florida and otherwise are a favorite treat coming in many different shapes in sizes from Nam Doc Mai, brought to Florida after the Vietnam War, to Madame Francis, a mango from Haiti. Sweetsop and soursop are popular around Miami, but nearly unheard of in other areas of the South. Citrus is a major crop of Florida, and features at many breakfast tables and many markets, with the height of the season near the first week of January. Hamlin oranges are the main cultivar planted, and from this crop the rest of the United States and to a lesser extent Europe gets orange juice. Other plantings would include grapefruits, tangerines, clementine oranges, limes, and even a few more rare ones, like cara cara navels, tangelos, and the Jamaican Ugli fruit. Tomatoes, bell peppers, habanero peppers, and figs, especially taken from the Florida strangler fig, complete the produce menu. Blue crab, conch, Florida stone crab, red drum, dorado, and marlins tend to be local favorite ingredients. Dairy is available in this region, but it is less emphasized due to the year round warmth. Traditional key lime pie, a dessert from the islands off the coast of Miami, is made with condensed milk to form the custard with the eye wateringly tart limes native to the Florida Keys in part because milk would spoil in an age before refrigeration. Pork in this region tends to be roasted in methods similar to those found in Puerto Rico and Cuba, owing to mass emigration from those countries in the 20th century, especially in the counties surrounding Miami. Orange blossom honey is a specialty of the state, and is widely available in farmer's markets. Caribbean lobster is a favorite special meal eagerly sought after by Floridians as it is found as far north as Fort Myers: spear diving and collecting them from reefs in the Florida Keys and near rocky shoals is a common practice of local scuba divers. Other small game Ptarmigan, grouse, crow blackbirds, dove, ducks and other game fowl are consumed in the United States. In the American state of Arkansas, beaver tail stew is consumed in Cotton town. Squirrel, raccoon, possum, bear, muskrat, chipmunk, skunk, groundhog, pheasant, armadillo and rabbit are also consumed in the United States. Cuisine in the West Cooking in the American West gets its influence from Native American and Hispanophone cultures, as well as later settlers that came in the 19th century: Texas, for example, has some influence from Germany in its choice of barbecue by using sausages. Another instance can be found in the Northwestern region, which encompasses Oregon, Washington, and Northern California. All of the aforementioned rely on local seafood and a few classics of their own. In New Mexico, Colorado, Nevada, Arizona, Utah, West Texas, and Southern California, Mexican flavors and influences are extremely common, especially from the Mexican states of Chihuahua, Baja California, and Sonora. Northwest The Pacific Northwest as a region includes Alaska and the state of Washington near the Canada-US border and terminates near Sacramento, California. Here, the terrain is mostly temperate rainforest on the coast mixed with pine forest as one approaches the Canada-US border inland. One of the core favorite foodstuffs is Pacific salmon, native to many of the larger rivers of the area and often smoked or grilled on cedar planks. In Alaska, wild game like ptarmigan and moose meat feature extensively since much of the state is wilderness. Fresh fish like steelhead trout, Pacific cod, Pacific halibut, and pollock are fished for extensively and feature on the menu of many restaurants, as do a plethora of fresh berries and vegetables, like Cameo apples from Washington state, the headquarters of the U.S. apple industry, cherries from Oregon, blackberries, and marionberries, a feature of many pies. Hazelnuts are grown extensively in this region and are a feature of baking, such as in chocolate hazelnut pie, an Oregon favorite, and Almond Roca is a local candy. This region is also heavily dominated by some notable wineries producing a high-quality product. Like its counterpart on the opposite coast to the East, there is a grand variety of shellfish in this region. Geoducks are a native species of giant clam that have incredibly long necks; they are eaten by the bucketful and shipped to Asia for millions of dollars as they are believed to be an aphrodisiac. Gaper clams are a favorite food, often grilled or steamed in a sauce. Native California abalone is protected as a food source, and a traditional foodway predating settlement by whites, today featuring heavily in the cooking of fine restaurants as well as in home cooking, in mirin-flavored soups (the influence of Japanese cooking is strong in the region) noodle dishes and on the barbecue. Olympia oysters are served on the half shell as well as the Kumamoto oyster, introduced by Japanese immigrants and a staple at dinner as an appetizer. California mussels are a delicacy of the region, and have been a feature of the cooking for generations. There is evidence that Native American tribes consumed them up and down the California coast for centuries. Crabs are a delicacy, and included in this are Alaskan king crab, red crab, yellow crab, and Dungeness crab. Californian and Oregonian sportsmen pursue the last three extensively using hoop nets, and prepare them in a multitude of ways. Alaskan king crab, able to get up to 10 kg, is often served steamed for a whole table with lemon-butter sauce or put in chunks of salad with avocado, and native crabs are the base of dishes like the California roll, cioppino, a tomato-based fisherman's stew, and Crab Louie, another kind of salad native to San Francisco. Favorite grains are mainly wheat, and the region is known for sourdough bread. Cheeses of the region include Humboldt Fog, Cougar Gold and Teleme. Southwest and Southern California The states of the Four Corners (Arizona, New Mexico, Colorado, and Utah) plus Nevada, Southern California, and West Texas make up a large chunk of the United States. There is a distinct Hispanic accent to the cookery here, with each having cultural capitals in Albuquerque, Denver, Las Vegas, Los Angeles, Phoenix, Santa Fe, San Diego, and Tucson. For centuries, prior to California's statehood in the 1850s, it was part of the Spanish Empire, namely Alta California (modern California), Santa Fe de Nuevo México (modern New Mexico), and Tejas (modern Texas). Today it is home of a large population of Native Americans, Hispanos, descendants of the American frontier, Asian Americans, and immigrants from Mexico and Latin America. California, New Mexico, and Texas continue to hold their unique identities which is reflected in their distinct regional cuisines, the multiple cuisines of California, New Mexican cuisine, Texan cuisine, and Tex-Mex. Spanish is a commonly spoken secondary language here; the state of New Mexico has its own distinct dialect. With the exception of Southern California, the signature meat is beef, since this is one of the two regions in which cowboys lived and modern cattle ranchers still eke out their living today. High-quality beefstock is a feature that has been present in the region for more than 200 years and the many cuts of beef are unique to the United States. These cuts of meat are different from the related Mexican cuisine over the border in that certain kind of offal, like lengua (tongue) cabeza (head) and tripas (tripe) are considered less desirable and are thus less emphasized. Typical cuts would include the ribs, brisket, sirloin, flank steak, skirt steak, and t-bone. Historically, Spanish settlers that came to the region found it completely unsuitable to the mining operations that much older settlements in Mexico had to offer as their technology was not advanced enough to extract the silver that would later be found. They had no knowledge of the gold in California, which wouldn't be found until 1848, and knew even less about the silver in Nevada, undiscovered until after the Civil War. Instead, in order to make the pueblos prosper, they adapted the old rancho system of places like Andalusia in Spain and brought the earliest beefstock, among these were breeds that would go feral and become the Texas longhorn, and Navajo-Churro sheep, still used as breeding stock because they are easy to keep and well adapted to the extremely arid and hot climate, where temperatures easily exceed 38 °C. Later, cowboys learned from their management practices, many of which still stand today, like the practical management of stock on horseback using the Western saddle. Likewise, settlers learned the cooking methods of those who came before and local tribes as well, for example, portions of Arizona and New Mexico still use the aforementioned beehive shaped clay contraption called an horno, an outdoor wood-fired oven both Native American tribes like the Navajo and Spaniards used for roasting meat, maize, and baking bread. Meats that see frequent use are elk meat, a favorite in crown roasts and burgers, and nearer the Mexican border rattlesnake, often skinned and stewed. The taste for alcohol tends toward light and clean flavors found in tequila, a staple of this region since the days of the Wild West and a staple in the bartender's arsenal for cocktails, especially in Las Vegas. In Utah, a state heavily populated by Mormons, alcohol is frowned upon by the Church of Jesus Christ of Latter-day Saints but still available in area bars in Salt Lake City, mainly consumed by the populations of Catholics and other Protestant denominations living there. Introduction of agriculture was limited prior to the 20th century and the development of better irrigation techniques, but included the addition of peaches, a crop still celebrated by Native American tribes like the Havasupai, and oranges. Today in Arizona, Texas, and New Mexico the favored orange today is the Moro blood orange, which often finds its way into the local cuisine, like cakes and marmalade. Pine nuts are a particular regional specialty and feature often in fine dining and cookies; in Nevada the Native American tribes that live there are by treaty given rights to exclusive harvest, and in New Mexico they reserve usage of the term piñon for certain species of indigenous pine nuts. From Native Americans, Westerners learned the practice of eating cactus fruit from the myriad species of opuntia that occupy the Chihuahuan, Sonoran, and Mojave desert lands. In California, Spanish missionaries brought with them the mission fig, and today this fruit is a delicacy. Cuisine in this region tends to have certain key ingredients: tomatoes, onions, black beans, pinto beans, rice, bell peppers, chile peppers, and cheese, in particular Monterey Jack, invented in Southern California in the 19th century and itself often further altered into pepper Jack where spicy jalapeño peppers are incorporated into the cheese to create a smoky taste. Chili peppers play an important role in the cuisine, with a few native to the region. This is especially true with the region's distinct New Mexico chile pepper, still grown by Hispanos of New Mexico and Puebloans the most sought after of which come from the Hatch valley, Albuquerque's Central Rio Grande, Chimayo, and Pueblos. In New Mexico, chile is eaten on a variety of foods, such as the green chile cheeseburger, made popular by fast food chains such as Blake's Lotaburger. Indeed, even national fast food chains operating in the state, such as McDonald's, offer locally grown chile on many of their menu items. In the 20th century a few more recent additions have arrived like the poblano pepper, rocoto pepper, ghost pepper, thai chili pepper, and Korean pepper, the last three especially when discussing Southern California and its large population from East and South Asia. Cornbread is consumed, however the recipe differs from ones in the East in that the batter is cooked in a cast-iron skillet. Outdoor cooking is popular and still utilizes an old method settlers brought from the East with them, in which a cast-iron Dutch oven is covered with the coals of the fire and stacked or hung from a tripod: this is different from the earthenware pots of Mexico. Tortillas are still made the traditional way here and form an important component of the spicy breakfast burrito, which contains ham, eggs, and salsa or pico de gallo. They are also used for regular burritos, which contains any combination of marinated meats, vegetables, and piquant chilis; smothered burritos, often both containing and topped with New Mexico chile sauces; quesadillas, a much loved grilled dish where cheese and other ingredients are stuffed between two tortillas and served by the slice; and steak fajitas, where sliced skirt steak sizzles in a skillet with caramelized onions. Unlike Mexico, tortillas of this region also may incorporate vegetables like spinach into the flatbread dough to make wraps, which were invented in Southern California. Food here tends to use pungent spices and condiments, typically chili verde sauce, various kinds of hot sauce, sriracha sauce, chili powder, cayenne pepper, white pepper, cumin, paprika, onion powder, thyme and black pepper. Nowhere is this fiery mix of spice more evident than in the dishes chili con carne, a meaty stew, and cowboy beans, both of which are a feature of regional cookoffs. Southern California has several additions like five spice powder, rosemary, curry powder, kimchi, and lemongrass, with many of these brought by recent immigration to the region and often a feature of Southern California's fusion cuisine, popular in fine dining. In Texas, the local barbecue is often entirely made up of beef brisket or large rib racks, where the meat is seasoned with a spice rub and cooked over coals of mesquite. In other portions of the state they smoke the meat and peppery sausages over high heat using pecan, apple, and oak wood and serve it with a side of pickled vegetables, a legacy of German and Czech settlers of the late 1800s. California is home to Santa Maria-style barbecue, where the spices involved generally are black pepper, paprika, and garlic salt, and grill over the coals of coast live oak. Native American additions may include Navajo frybread and corn on the cob, often roasted on the grill in its husk. A typical accompaniment or appetizer of all these states is the tortilla chip, which sometimes includes cornmeal from cultivars of corn that are blue or red in addition to the standard yellow of sweetcorn, and is served with salsa of varying hotness. Tortilla chips also are an ingredient in the Tex Mex dish nachos, where these chips are loaded with any combination of ground beef, melted Monterey Jack, cheddar, or Colby cheese, guacamole, sour cream, and salsa, and Texas usually prefers a version of potato salad as a side dish. For alcohol, a key ingredient is tequila: this spirit has been made on both sides of the US-Mexican border for generations, and in modern cuisine it is a must-have in a bartender's arsenal as well as an addition to dishes for sauteeing. Southern California is focused more towards the coast and has had more contact with immigration from the West Pacific and Baja California, in addition to having the international city of Los Angeles as its capital. Here, the prime mode of transportation is by car. Drive through fast food was invented in this area, but so was the concept of the gourmet burger movement, giving birth to chains like In-N-Out Burger, with many variations of burgers including chili, multiple patties, avocado, special sauces, and Angus or wagyu beef. Common accompaniments include thick milkshakes in various flavors like mint, chocolate, peanut butter, vanilla, strawberry, and mango. Smoothies are a common breakfast item made with fresh fruit juice, yogurt, and crushed ice. Agua fresca, a drink originated by Mexican immigrants, is a common hot-weather beverage sold in many supermarkets and at mom and pop stands, available in citrus, watermelon, and strawberry flavors; the California version usually served chilled without grain in it. The weather in Southern California is such that the temperature rarely drops below 54 °F in winter, thus, sun-loving crops like pistachios, kiwifruit, avocadoes, strawberries, and tomatoes are staple crops of the region, the last often dried in the sun and a feature of salads and sandwiches. Olive oil is a staple cooking oil of the region and has been since the days of Junípero Serra; today the mission olive is a common tree growing in a Southern Californian's back garden. As a crop olives are increasingly a signature of the region along with Valencia oranges and Meyer lemons. Soybeans, bok choy, Japanese persimmon, thai basil, Napa cabbage, nori, mandarin oranges, water chestnuts, and mung beans are other crops brought to the region from East Asia and are common additions to salads as the emphasis on fresh produce in both Southern and Northern California is strong. Other vegetables and herbs have a distinct Mediterranean flavor which would include oregano, basil, summer squash, eggplant, and broccoli, with all of the above extensively available at farmers' markets all around Southern California. Naturally, salads native to Southern California tend to be hearty affairs, like Cobb salad and Chinese chicken salad, and dressings like green goddess and ranch are a staple. California-style pizza tends to have disparate ingredients with an emphasis on vegetables, with any combination of chili oil, prawns, eggs, chicken, shiitake mushrooms, olives, bell pepper, goat cheese, and feta cheese. Peanut noodles tend to include a sweet dressing with lo mein noodles and chopped peanuts. Fresh fish and shellfish in Southern California tends to be expensive in restaurants, but every year since the end of WWII, the Pismo clam festival has taken place where the local population takes a large species of clam and bakes, stuffs, and roasts it as it is a regional delicacy. Fishing for pacific species of octopus and the Humboldt squid are common, and both are a feature of East Asian and other L.A. fish markets. Lingcod is a coveted regional fish that is often caught in the autumn off the coast of San Diego and in the Channel Islands and often served baked. California sheephead are often grilled and are much sought after by spear fishermen and the immigrant Chinese population, in which case it is basket steamed. Most revered of all in recent years is the California spiny lobster, a beast that can grow to 44 lb, and is a delicacy that now rivals the fishery for Dungeness crab in its importance. Pacific and Hawaiian cuisine Hawaii is often considered to be one of the most culturally diverse U.S. states, as well as being the only state with an Asian-majority population and one of the few places where United States territory extends into the tropics. As a result, Hawaiian cuisine borrows elements of a variety of cuisines, particularly those of Asian and Pacific-rim cultures, as well as traditional native Hawaiian and a few additions from the American mainland. American influence in the last 150 years has brought cattle, goats, and sheep to the islands, introducing cheese, butter, and yogurt products, as well as crops like red cabbage. Major Asian and Polynesian influences on modern Hawaiian cuisine are from Japan, Korea, Vietnam, China (especially near the Pearl River delta,) Samoa, and the Philippines. From Japan, the concept of serving raw fish as a meal with rice was introduced, as was soft tofu, setting the stage for the popular dish called poke. From Korea, immigrants to Hawaii brought a love of spicy garlic marinades for meat and kimchi. From China, their version of char siu baau became modern manapua, a type of steamed pork bun with a spicy filling. Filipinos brought vinegar, bagoong, and lumpia, and during the 20th century immigrants from American Samoa brought the open pit fire umu and the Vietnamese introduced lemongrass and fish sauce. Each East Asian culture brought several different kinds of noodles, including udon, ramen, mei fun, and pho, and today these are common lunchtime meals. Much of this cuisine mixes and melts into traditions like the lu'au, whose traditional elaborate fare was once the prerogative of kings and queens but is today the subject of parties for both tourists and also private parties for the ‘ohana (meaning family and close friends.) Traditionally, women and men ate separately under the Hawaiian kapu system, a system of religious beliefs that honored the Hawaiian gods similar to the Maori tapu system, though in this case had some specific prohibitions towards females eating things like coconut, pork, turtle meat, and bananas as these were considered parts of the male gods. Punishment for violation could be severe, as a woman might endanger a man's mana, or soul, by eating with him or otherwise by eating the forbidden food because doing so dishonored the male gods. As the system broke down after 1810, introductions of foods from laborers on plantations began to be included at feasts and much cross pollination occurred, where Asian foodstuffs mixed with Polynesian foodstuffs like breadfruit, kukui nuts, and purple sweet potatoes. Some notable Hawaiian fare includes seared ahi tuna, opakapaka (snapper) with passionfruit, Hawaiian island-raised lamb, beef and meat products, Hawaiian plate lunch, and Molokai shrimp. Seafood traditionally is caught fresh in Hawaiian waters, and particular delicacies are ula poni, papaikualoa, ‘opihi, and ‘opihi malihini, better known as Hawaiian spiny lobster, Kona crab, Hawaiian limpet, and abalone, the last brought over with Japanese immigrants. Some cuisine also incorporates a broad variety of produce and locally grown agricultural products, including tomatoes, sweet Maui onions, taro, and macadamia nuts. Tropical fruits also play an important role in the cuisine as a flavoring in cocktails and in desserts, including local cultivars of bananas, sweetsop, mangoes, lychee, coconuts, papayas, and lilikoi (passionfruit). Pineapples have been an island staple since the 19th century and figure into many marinades and drinks. Common dishes found on a regional level Ethnicity-specific and immigrant influence The influence of ethnicity-specific cuisines like Italian cuisine and Mexican cuisine was present in the United States by World War I. There are recipes for Chilean meat pies, chicken chop suey, chow mein, Mexican pork pastries and Italian meatballs going back to at least the 1930s, but many of the recipes were Anglicized and they appeared relatively infrequently compared to Northern European recipes. 19th-century cookbooks bear evidence of diverse influences with some including recipes like Indian pickle, Italian pork and various curries. 19th-century literature shows knowledge of Jewish, Russian, Italian, Chinese and Greek-American cuisines, and foreign cookbooks continued to grow more detailed through World War I including recipes like Peruvian chicken, Mexican enchiladas, Chilean corn pudding and Hindustan chicken curry. Louise Rice, author of Dainty Dishes from Foreign Lands describes the recipes in her book as "not wholly vegetarian" though noting at the time of publication in 1911 that most of the recipes would likely be new to
combined forces. Haq, Massoud, and Karzai, Afghanistan's three leading moderates, could transcend the Pashtun – non-Pashtun, north-south divide." Steve Coll referred to this plan as a "grand Pashtun-Tajik alliance". The senior Hazara and Uzbek leaders took part in the process just like later Afghan president Hamid Karzai. They agreed to work under the banner of the exiled Afghan king Zahir Shah in Rome. In November 2000, leaders from all ethnic groups were brought together in Massoud's headquarters in northern Afghanistan, travelling from other parts of Afghanistan, Europe, the United States, Pakistan and India to discuss a Loya Jirga for a settlement of Afghanistan's problems and to discuss the establishment of a post-Taliban government. In September 2001, an international official who met with representatives of the alliance remarked, "It's crazy that you have this today ... Pashtuns, Tajiks, Uzbeks, Hazara ... They were all ready to buy in to the process". In early 2001, Ahmad Shah Massoud with leaders from all ethnicities of Afghanistan addressed the European Parliament in Brussels, asking the international community to provide humanitarian aid to the people of Afghanistan. He stated that the Taliban and al-Qaeda had introduced "a very wrong perception of Islam" and that without the support of Pakistan and Bin Laden the Taliban would not be able to sustain their military campaign for up to a year. On that visit to Europe, he also warned the U.S. about Bin Laden. The areas of Massoud Life in the areas under direct control of Massoud was different from the life in the areas under Taliban or Dostum's control. In contrast to the time of chaos in which all structures had collapsed in Kabul, Massoud was able to control most of the troops under his direct command well during the period starting in late 1996. Massoud always controlled the Panjshir, Takhar, parts of Parwan and Badakhshan during the war. Some other provinces (notably Kunduz, Baghlan, Nuristan and the north of Kabul) were captured by his forces from the Taliban and lost again from time to time as the frontlines varied. Massoud created democratic institutions which were structured into several committees: political, health, education and economic. Still, many people came to him personally when they had a dispute or problem and asked him to solve their problems. In September 2000, Massoud signed the Declaration of the Essential Rights of Afghan Women drafted by Afghan women. The declaration established gender equality in front of the law and the right of women to political participation, education, work, freedom of movement and speech. In the areas of Massoud, women and girls did not have to wear the Afghan burqa by law. They were allowed to work and to go to school. Although it was a time of war, girls' schools were operating in some districts. In at least two known instances, Massoud personally intervened against cases of forced marriage in favour of the women to make their own choice. While it was Massoud's stated personal conviction that men and women are equal and should enjoy the same rights, he also had to deal with Afghan traditions which he said would need a generation or more to overcome. In his opinion, that could only be achieved through education. Author Pepe Escobar wrote in Asia Times: Humayun Tandar, who took part as an Afghan diplomat in the 2001 International Conference on Afghanistan in Bonn, said that "strictures of language, ethnicity, region were [also] stifling for Massoud. That is why ... he wanted to create a unity which could surpass the situation in which we found ourselves and still find ourselves to this day." This applied also to strictures of religion. Jean-José Puig describes how Massoud often led prayers before a meal or at times asked his fellow Muslims to lead the prayer but also did not hesitate to ask the Jewish Princeton Professor Michael Barry or his Christian friend Jean-José Puig: "Jean-José, we believe in the same God. Please, tell us the prayer before lunch or dinner in your own language." International relations U.S. policy regarding Massoud, the Taliban and Afghanistan remained ambiguous and differed between the various U.S. government agencies. In 1997, U.S. State Department's Robin Raphel suggested to Massoud he should surrender to the Taliban. He soundly rejected the proposal. At one point in the war, in 1997, two top foreign policy officials in the Clinton administration flew to northern Afghanistan in an attempt to convince Massoud not to take advantage of a strategic opportunity to make crucial gains against the Taliban. In 1998, a U.S. Defense Intelligence Agency analyst, Julie Sirrs, visited Massoud's territories privately, having previously been denied official permission to do so by her agency. She reported that Massoud had conveyed warnings about strengthened ties between the Taliban and foreign Islamist terrorists. Returning home, she was sacked from her agency for insubordination, because at that time the U.S. administration had no trust in Massoud. In the meantime, the only collaboration between Massoud and another U.S. intelligence service, the Central Intelligence Agency (CIA), consisted of an effort to trace Osama bin Laden following the 1998 embassy bombings. The U.S. and the European Union provided no support to Massoud for the fight against the Taliban. A change of policy, lobbied for by CIA officers on the ground who had visited the area of Massoud, regarding support to Massoud, was underway in the course of 2001. According to Steve Coll's book Ghost Wars (who won the 2005 Pulitzer Prize for General Non-Fiction): U.S. Congressman Dana Rohrabacher also recalled: [B]etween Bush's inauguration and 9/11, I met with the new national security staff on 3 occasions, including one meeting with Condoleezza Rice to discuss Afghanistan. There were, in fact, signs noted in an overview story in The Washington Post about a month ago that some steps were being made to break away from the previous administration's Afghan policy. CIA lawyers, working with officers in the Near East Division and Counterterrorist Center, began to draft a formal, legal presidential finding for Bush's signature authorizing a new covert action program in Afghanistan, the first in a decade that sought to influence the course of the Afghan war in favour of Massoud. This change in policy was finalized in August 2001 when it was too late. After Pakistan had funded, directed and supported the Taliban's rise to power in Afghanistan, Massoud and the United Front received some assistance from India. The assistance provided by India was extensive, including uniforms, ordnance, mortars, small armaments, refurbished Kalashnikovs, combat and winter clothes, as well as funds. India was particularly concerned about Pakistan's Taliban strategy and the Islamic militancy in its neighborhood; it provided U.S.$70 million in aid including two Mi-17 helicopters, three additional helicopters in 2000 and US$8 million worth of high-altitude equipment in 2001. Also In the 1990s, India had run a field hospital at Farkor on the Tajik-Afghan border to treat wounded fighters from the then Northern Alliance that was battling the Taliban regime in Afghanistan. It was at the very same hospital that the Northern Alliance leader Ahmed Shah Masood was pronounced dead after being assassinated just two days before the 9/11 terror strikes in 2001. Furthermore, the alliance supposedly also received minor aid from Tajikistan, Russia and Iran because of their opposition to the Taliban and the Pakistani control over the Taliban's Emirate. Their support, however, remained limited to the most needed things. Meanwhile, Pakistan engaged up to 28,000 Pakistani nationals and regular Pakistani army troops to fight alongside the Taliban and Al Qaeda forces against Massoud. In April 2001, the president of the European Parliament, Nicole Fontaine (who called Massoud the "pole of liberty in Afghanistan"), invited Massoud with the support of French and Belgian politicians to address the European Parliament in Brussels, Belgium. In his speech, he asked for humanitarian aid for the people of Afghanistan. Massoud further went on to warn that his intelligence agents had gained limited knowledge about a large-scale terrorist attack on U.S. soil being imminent. Assassination Massoud, then aged 48, was the target of an assassination plot at Khwājah Bahā ud Dīn (Khvājeh Bahāuḏḏīn), in Takhar Province in northeastern Afghanistan on September 9, 2001. The attackers' names were alternately given as Dahmane Abd al-Sattar, husband of Malika El Aroud, and Bouraoui el-Ouaer; or 34-year-old Karim Touzani and 26-year-old Kacem Bakkali. The attackers claimed to be Belgians originally from Morocco. According to Le Monde they transited through the municipality of Molenbeek. Their passports turned out to be stolen and their nationality was later determined to be Tunisian. Waiting for almost three weeks (during which they also interviewed Burhanuddin Rabbani and Abdul Rasul Sayyaf) for an interview opportunity, on September 8, 2001, an aide to Massoud recalls the would-be suicide attackers "were so worried" and threatened to leave if the interview did not happen in the next 24 hours (until September 10, 2001). They were finally granted an interview. During the interview, they set off a bomb composed of explosives hidden in the camera and in a battery-pack belt. Massoud died in a helicopter that was taking him to an Indian military field hospital at Farkhor in nearby Tajikistan. The explosion also killed Mohammed Asim Suhail, a United Front official, while Mohammad Fahim Dashty and Massoud Khalili were injured. One of the suicide attackers, Bouraoui, was killed by the explosion, while Dahmane Abd al-Sattar was captured and shot while trying to escape. Despite initial denials by the United Front, news of Massoud's death was reported almost immediately, appearing on the BBC, and in European and North American newspapers on September 10, 2001. On September 16, the United Front officially announced that Massoud had died of injuries in the suicide attack. Massoud was buried in his home village of Bazarak in the Panjshir Valley. The funeral, although in a remote rural area, was attended by hundreds of thousands of people. Massoud had survived assassination attempts over a period of 26 years, including attempts made by al-Qaeda, the Taliban, the Pakistani ISI and before them the Soviet KGB, the Afghan communist KHAD and Hekmatyar. The first attempt on Massoud's life was carried out by Hekmatyar and two Pakistani ISI agents in 1975 when Massoud was 22 years old. In early 2001, al-Qaeda would-be assassins were captured by Massoud's forces while trying to enter his territory. Connection to September 11, 2001 The assassination of Massoud is considered to have a strong connection to the September 11 attacks in 2001 on U.S. soil, which killed nearly 3,000 people. It appeared to have been the major terrorist attack which Massoud had warned against in his speech to the European Parliament several months earlier. In late 2001, a computer was seized that was stolen from an office used by al-Qaida immediately after the fall of Kabul in November. This computer was mainly used by Aiman ​​al-Zawahri and contained the letter with the interview request for Massoud. The two assassins had completed military training in training camps in Afghanistan at the end of 2000 and were selected for the suicide mission in the spring or early summer of the following year. Following the assassination, bin Laden had an emissary deliver Dahmane Abd al-Sattar's widow a letter with $500 in an envelope to settle a debt. The Afghan publicist Waheed Muzhda, who worked for the Taliban in the Foreign Ministry, confirmed the two assassins met with al-Qaida officials in Kandahar and Osama bin Laden and Aiman ​​al-Zawahri have seen them off when they left. An al-Qaeda magazine in Saudi Arabia later published a biography of Youssef al-Aayyiri, who headed al-Qaeda’s operations in Saudi Arabia from 2002, which described al-Qaeda’s involvement in Massoud’s assassination. Osama bin Laden commissioned the assassination attempt to appease the Taliban because of the imminent terrorist attacks in the USA, which would cause serious problems for the Taliban. The Taliban denied any involvement in Massoud's assassination, and it is extremely unlikely that they were privy to the assassination plans. There were a few minor attacks by the Taliban after the attack, but no major offensive. Investigative commission In April 2003, the Karzai administration created a commission to investigate the assassination of Massoud. In 2003, French investigators and the FBI were able to trace the provenance of the camera used in the assassination, which had been stolen in France some time earlier. Legacy National Hero of Afghanistan Massoud was the only chief Afghan leader who never left Afghanistan in the fight against the Soviet Union and later in the fight against the Taliban Emirate. In the areas under his direct control, such as Panjshir, some parts of Parwan and Takhar, Massoud established democratic institutions. One refugee who cramped his family of 27 into an old jeep to flee from the Taliban to the area of Massoud described Massoud's territory in 1997 as "the last tolerant corner of Afghanistan". In 2001, the Afghan interim government under president Hamid Karzai officially awarded Massoud the title of "Hero of the Afghan Nation". One analyst in 2004 said: One man holds a greater political punch than all 18 living [Afghan] presidential candidates combined. Though already dead for three years.... Since his death on September 9, 2001 at the hands of two al Qaeda-linked Islamic radicals, Massoud has been transformed from mujahedin to national heroif not saint. Pictures of Massoud, the Afghan mujahedin who battled the Soviets, other warlords, and the Taliban for more than 20 years, vastly outnumber those of any other Afghan including those of Karzai. Today Panjshir, the home of Massoud, is arguably the most peaceful place in the entire country. A small US military reconstruction team is based here, but there are none of the signs of foreign occupation that exist elsewhere. Even Afghan soldiers are few and far between. Instead, the people like to boast about how they keep their own security. A Massoud Foundation was established in 2003, to provide humanitarian assistance to Afghans, especially in the fields of health care and education. It also runs programs in the fields of culture, construction, agriculture and welfare. A major road in Kabul was named Great Massoud Road. A monument to Massoud was installed outside the US Embassy. A street in New Delhi, India, is named after Ahmad Shah Massoud. It is the first time that such an honour has been extended to a leader from that country as part of close ties between Afghanistan and India. Magpul Massoud was a 7.62 NATO rifle produced by Magpul which was named after himself. The road near the Afghanistan Embassy is a "symbol of ties" that binds the two nations that have always "enjoyed excellent relations". His friend Abdullah Abdullah said that Massoud was different from the other guerilla leaders. "He is a hero who led a clear struggle for the values of the people". In a 2001 mourning ceremony at Moscow to honour the memory of Ahmad Shah Massoud, one-time foe Colonel Abdul Qadir stated: "Though Massoud and I used to be enemies, I am sure he deserves great respect as an outstanding military leader and, first of all, as a patriot of his country". Lion of Panjshir Massoud's byname, "Lion of Panjshir" (, "Shir-e-Panjshir"), earned for his role during the Soviet occupation, is a rhyming play on words in Persian, as the name of the valley means "five lions". The Wall Street Journal referred to Massoud as "The Afghan Who Won the Cold War", referring to the global significance of the Soviet defeat in Afghanistan for the subsequent collapse of the Eastern Bloc. Honors outside Afghanistan In 2007, the government of India decided to name a road in New Delhi's Chanakyapuri district after Massoud. In February 2021, the Council of Paris in France honored Massoud by installing a plaque in the 8th arrondissement of Paris. The decision reflected Massoud's unique connections with France. In March 2021, the Mayor of Paris named a pathway in the Champs-Élysées gardens after Massoud. The ceremony was attended by Massoud's son and former president Hamid Karzai. Civilian orders Tajikistan: Order of Ismoili Somoni – posthumously awarded on September 2, 2021. Views on Pakistan and potential al-Qaeda attacks Although Pakistan were
by arresting or executing those who resisted. Between 50,000 and 100,000 people were estimated to have been arrested and killed by communist troops in the countryside alone. Due to the repression, large parts of the country, especially the rural areas, organized into open revolt against the PDPA government. By spring 1979 unrest had reached 24 out of 28 Afghan provinces, including major urban areas. Over half of the Afghan army either deserted or joined the insurrection. Believing that an uprising against the Soviet-backed communists would be supported by the people, Massoud, on July 6, 1979, started an insurrection in the Panjshir, which initially failed. Massoud decided to avoid conventional confrontation with the larger government forces and to wage a guerrilla war. He subsequently took full control of Panjshir, pushing out Afghan communist troops. Oliver Roy writes that in the following period, Massoud's "personal prestige and the efficiency of his military organisation persuaded many local commanders to come and learn from him." Resistance against the Soviet Union (1979–1989) Following the 1979 Soviet invasion and occupation of Afghanistan, Massoud devised a strategic plan for expelling the invaders and overthrowing the communist regime. The first task was to establish a popularly based resistance force that had the loyalty of the people. The second phase was "active defense" of the Panjshir stronghold, while carrying out asymmetric warfare. In the third phase, the "strategic offensive", Massoud's forces would gain control of large parts of Northern Afghanistan. The fourth phase was the "general application" of Massoud's principles to the whole country, and the defeat of the Afghan communist government. Massoud's mujahideen attacked the occupying Soviet forces, ambushing Soviet and Afghan communist convoys travelling through the Salang Pass, and causing fuel shortages in Kabul. The Soviets mounted a series of offensives against the Panjshir. Between 1980 and 1985, these offensives were conducted twice a year. Despite engaging more men and hardware on each occasion, the Soviets were unable to defeat Massoud's forces. In 1982, the Soviets began deploying major combat units in the Panjshir, numbering up to 30,000 men. Massoud pulled his troops back into subsidiary valleys, where they occupied fortified positions. When the Soviet columns advanced onto these positions, they fell into ambushes. When the Soviets withdrew, Afghan army garrisons took over their positions. Massoud and his mujahideen forces attacked and recaptured them one by one. In 1983, the Soviets offered Massoud a temporary truce, which he accepted in order to rebuild his own forces and give the civilian population a break from Soviet attacks. He put the respite to good use. In this time he created the Shura-e Nazar (Supervisory Council), which subsequently united 130 commanders from 12 Afghan provinces in their fight against the Soviet army. This council existed outside the Peshawar parties, which were prone to internecine rivalry and bickering, and served to smooth out differences between resistance groups, due to political and ethnic divisions. It was the predecessor of what could have become a unified Islamic Afghan army. Relations with the party headquarters in Peshawar were often strained, as Rabbani insisted on giving Massoud no more weapons and supplies than to other Jamiat commanders, even those who did little fighting. To compensate for this deficiency, Massoud relied on revenues drawn from exports of emeralds and lapis lazuli, that are traditionally exploited in Northern Afghanistan. Regarding infighting among different mujahideen factions, following a Soviet truce, Massoud said in an interview: To organize support for the mujahideen, Massoud established an administrative system that enforced law and order (nazm) in areas under his control. The Panjshir was divided into 22 bases (qarargah) governed by a military commander and a civilian administrator, and each had a judge, a prosecutor and a public defender. Massoud's policies were implemented by different committees: an economic committee was charged with funding the war effort. The health committee provided health services, assisted by volunteers from foreign humanitarian non-governmental organizations, such as Aide médicale internationale. An education committee was charged with the training of the military and administrative cadre. A culture committee and a judiciary committee were also created. This expansion prompted Babrak Karmal to demand that the Red Army resume their offensives, in order to crush the Panjshir groups. However, Massoud had received warning of the attack through GCHQ intelligence and he evacuated all 130,000 inhabitants from the valley into the Hindukush mountains, leaving the Soviet bombings to fall on empty ground and the Soviet battalions to face the mountains. With the defeat of the Soviet-Afghan attacks, Massoud carried out the next phase of his strategic plan, expanding the resistance movement and liberating the northern provinces of Afghanistan. In August 1986, he captured Farkhar in Takhar Province. In November 1986, his forces overran the headquarters of the government's 20th division at Nahrin in Baghlan Province, scoring an important victory for the resistance. This expansion was also carried out through diplomatic means, as more mujahideen commanders were persuaded to adopt the Panjshir military system. Despite almost constant attacks by the Red Army and the Afghan army, Massoud increased his military strength. Starting in 1980 with a force of less than 1,000 ill-equipped guerrillas, the Panjshir valley mujahideen grew to a 5,000-strong force by 1984. After expanding his influence outside the valley, Massoud increased his resistance forces to 13,000 fighters by 1989. These forces were divided into different types of units: the locals (mahalli) were tasked with static defense of villages and fortified positions. The best of the mahalli were formed into units called grup-i zarbati (shock troops), semi-mobile groups that acted as reserve forces for the defense of several strongholds. A different type of unit was the mobile group (grup-i-mutaharek), a lightly equipped commando-like formation numbering 33 men, whose mission was to carry out hit-and-run attacks outside the Panjshir, sometimes as far as 100 km from their base. These men were professional soldiers, well-paid and trained, and, from 1983 on, they provided an effective strike force against government outposts. Uniquely among the mujahideen, these groups wore uniforms, and their use of the pakul made this headwear emblematic of the Afghan resistance. Massoud's military organization was an effective compromise between the traditional Afghan method of warfare and the modern principles of guerrilla warfare which he had learned from the works of Mao Zedong and Che Guevara. His forces were considered the most effective of all the various Afghan resistance movements. Britain's MI6 having activated long-established networks of contacts in Pakistan were able to support Massoud and soon became their key ally. MI6 sent an annual mission of two of their officers as well as military instructors to Massoud and his fighters. The United States provided Massoud with comparatively less support than other factions. Part of the reason was that it permitted its funding and arms distribution to be administered by Pakistan, which favored the rival mujahideen leader Gulbuddin Hekmatyar. In an interview, Massoud said, "We thought the CIA knew everything. But they didn't. They supported some bad people [meaning Hekmatyar]." Primary advocates for supporting Massoud were the US State Department's Edmund McWilliams and Peter Tomsen, who were on the ground in Afghanistan and Pakistan. Others included two Heritage Foundation foreign policy analysts, Michael Johns and James A. Phillips, both of whom championed Massoud as the Afghan resistance leader most worthy of U.S. support under the Reagan Doctrine. Thousands of foreign Islamic volunteers entered Afghanistan to fight with the mujahideen against the Soviet troops. The Soviet army and the Afghan communist army were mainly defeated by Massoud and his mujahideen in numerous small engagements between 1984 and 1988. After describing the Soviet Union's military engagement in Afghanistan as "a bleeding wound" in 1986, Soviet General Secretary Mikhail Gorbachev began a withdrawal of Soviet troops from the nation in May 1988. On February 15, 1989, in what was depicted as an improbable victory for the mujahideen, the last Soviet soldier left the nation. Fall of the Afghan communist regime (1992) After the departure of Soviet troops in 1989, the People's Democratic Party of Afghanistan regime, then headed by Mohammad Najibullah, held its own against the mujahideen. Backed by a massive influx of weapons from the Soviet Union, the Afghan armed forces reached a level of performance they had never reached under direct Soviet tutelage. They maintained control over all of Afghanistan's major cities. During late 1990, helped by hundreds of mujahideen forces, Massoud targeted the Tajik Supreme Soviet, trying to oust communism from the neighboring Tajikistan to further destabilize the dying Soviet Union, which would also impact the Afghan government. At that time, as per Asad Durrani, the director-general of the ISI during this period, Massoud's base camp was in Garam Chashma, in Pakistan. By 1992, after the collapse of the Soviet Union, the Afghan regime eventually began to crumble. Food and fuel shortages undermined the capacities of the government's army, and a resurgence of factionalism split the regime between Khalq and Parcham supporters. A few days after Najibullah had lost control of the nation, his army commanders and governors arranged to turn over authority to resistance commanders and local warlords throughout the country. Joint councils (shuras) were immediately established for local government, in which civil and military officials of the former government were usually included. In many cases, prior arrangements for transferring regional and local authority had been made between foes. Collusions between military leaders quickly brought down the Kabul government. In mid-January 1992, within three weeks of the demise of the Soviet Union, Massoud was aware of conflict within the government's northern command. General Abdul Momim, in charge of the Hairatan border crossing at the northern end of Kabul's supply highway, and other non-Pashtun generals based in Mazar-i-Sharif, feared removal by Najibullah and replacement by Pashtun officers. When the generals rebelled, Abdul Rashid Dostum, who held general rank as head of the Jowzjani militia, also based in Mazar-i-Sharif, took over. He and Massoud reached a political agreement, together with another major militia leader, Sayyed Mansour, of the Ismaili community based in Baghlan Province. These northern allies consolidated their position in Mazar-i-Sharif on March 21. Their coalition covered nine provinces in the north and northeast. As turmoil developed within the government in Kabul, no government force stood between the northern allies and the major air force base at Bagram, some seventy kilometers north of Kabul. By mid-April 1992, the Afghan air force command at Bagram had capitulated to Massoud. On March 18, 1992, Najibullah decided to resign. On April 17, as his government fell, he tried to escape but was stopped at Kabul Airport by Dostum's forces. He took refuge at the United Nations mission, where he remained unharmed until 1996, while Massoud controlled the area surrounding the mission. Senior communist generals and officials of the Najibullah administration acted as a transitional authority to transfer power to Ahmad Shah Massoud's alliance. The Kabul interim authority invited Massoud to enter Kabul as the new Head of State, but he held back. Massoud ordered his forces, positioned to the north of Kabul, not to enter the capital until a political solution was in place. He called on all the senior Afghan party leaders, many then based in exile in Peshawar, to work out a political settlement acceptable to all sides and parties. War in Afghanistan (1992–2001) War in Kabul and other parts of the country (1992–1996) Peace and power-sharing agreement (1992) With United Nations support, most Afghan political parties decided to appoint a legitimate national government to succeed communist rule, through an elite settlement. While the external Afghan party leaders were residing in Peshawar, the military situation around Kabul involving the internal commanders was tense. A 1991 UN peace process brought about some negotiations, but the attempted elite settlement did not develop. In April 1992, resistance leaders in Peshawar tried to negotiate a settlement. Massoud supported the Peshawar process of establishing a broad coalition government inclusive of all resistance parties, but Hekmatyar sought to become the sole ruler of Afghanistan, stating, "In our country coalition government is impossible because, this way or another, it is going to be weak and incapable of stabilizing the situation in Afghanistan." Massoud wrote: All the parties had participated in the war, in jihad in Afghanistan, so they had to have their share in the government, and in the formation of the government. Afghanistan is made up of different nationalities. We were worried about a national conflict between different tribes and different nationalities. In order to give everybody their own rights and also to avoid bloodshed in Kabul, we left the word to the parties so they should decide about the country as a whole. We talked about it for a temporary stage and then after that the ground should be prepared for a general election. A recorded radio communication between the two leaders showed the divide as Massoud asked Hekmatyar: The Kabul regime is ready to surrender, so instead of the fighting we should gather. ... The leaders are meeting in Peshawar. ... The troops should not enter Kabul, they should enter later on as part of the government. Hekmatyar's response: We will march into Kabul with our naked sword. No one can stop us. ... Why should we meet the leaders?" Massoud answered: "It seems to me that you don't want to join the leaders in Peshawar nor stop your threat, and you are planning to enter Kabul ... in that case I must defend the people. At that point Osama bin Laden, trying to mediate, urged Hekmatyar to "go back with your brothers" and to accept a compromise. Bin Laden reportedly "hated Ahmad Shah Massoud". Bin Laden was involved in ideological and personal disputes with Massoud and had sided with Gulbuddin Hekmatyar against Massoud in the inner-Afghan conflict since the late 1980s. But Hekmatyar refused to accept a compromise, confident that he would be able to gain sole power in Afghanistan. On April 24, 1992, the leaders in Peshawar agreed on and signed the Peshawar Accord, establishing the post-communist Islamic State of Afghanistan – which was a stillborn 'state' with a paralyzed 'government' right from its inception, until its final succumbing in September 1996. The creation of the Islamic State was welcomed though by the General Assembly of the United Nations and the Islamic State of Afghanistan was recognized as the legitimate entity representing Afghanistan until June 2002, when its successor, the Islamic Republic of Afghanistan, was established under the interim government of Hamid Karzai. Under the 1992 Peshawar Accord, the Defense Ministry was given to Massoud while the Prime Ministership was given to Hekmatyar. Hekmatyar refused to sign. With the exception of Hekmatyar's Hezb-e Islami, all of the other Peshawar resistance parties were unified under this peace and power-sharing accord in April 1992. Escalating war over Kabul (1992) Although repeatedly offered the position of prime minister, Gulbuddin Hekmatyar refused to recognize the peace and power-sharing agreement. His Hezb-e Islami militia initiated a massive bombardment campaign against the Islamic State and the capital city Kabul. Gulbuddin Hekmatyar received operational, financial and military support from neighboring Pakistan. The Director of the Centre for Arab and Islamic Studies at the Australian National University, Amin Saikal, writes in Modern Afghanistan: A History of Struggle and Survival that without Pakistan's support, Hekmatyar "would not have been able to target and destroy half of Kabul." Saikal states that Pakistan wanted to install a favorable regime under Hekmatyar in Kabul so that it could use Afghan territory for access to Central Asia. Hekmatyar's rocket bombardments and the parallel escalation of violent conflict between two militias, Ittihad and Wahdat, which had entered some suburbs of Kabul, led to a breakdown in law and order. Shia Iran and Sunni Wahabbi Saudi Arabia, as competitors for regional hegemony, encouraged conflict between the Ittihad and Wahdat factions. On the one side was the Shia Hazara Hezb-i Wahdat of Abdul Ali Mazari and on the other side, the Sunni Pashtun Ittihad-i Islami of Abdul Rasul Sayyaf. According to Human Rights Watch, Iran was strongly supporting the Hezb-i Wahdat forces, with Iranian intelligence officials providing direct orders, while Saudi Arabia supported Sayyaf and his Ittihad-i Islami faction to maximize Wahhabi influence. Kabul descended into lawlessness and chaos, as described in reports by Human Rights Watch and the Afghanistan Justice Project. Massoud's Jamiat commanders, the interim government, and the International Committee of the Red Cross (ICRC) repeatedly tried to negotiate ceasefires, which broke down in only a few days. Another militia, the Junbish-i Milli of former communist general Abdul Rashid Dostum, was backed by Uzbekistan. Uzbek president Islam Karimov was keen to see Dostum controlling as much of Afghanistan as possible, especially in the north. Dostum repeatedly changed allegiances. The Afghanistan Justice Project (AJP) says, that "while [Hekmatyar's anti-government] Hizb-i Islami is frequently named as foremost among the factions responsible for the deaths and destruction in the bombardment of Kabul, it was not the only perpetrator of these violations." According to the AJP, "the scale of the bombardment and kinds of weapons used represented disproportionate use of force" in a capital city with primarily residential areas by all the factions involved – including the government forces. Crimes were committed by individuals within the different armed factions. Gulbuddin Hekmatyar released 10,000 dangerous criminals from the main prisons into the streets of Kabul to destabilize the city and cut off Kabul from water, food and energy supplies. The Iran-controlled Wahdat of Abdul Ali Mazari, as well as the Ittihad of Abdul Rasul Sayyaf supported by Saudi Arabia, targeted civilians of the 'opposite side' in systematic atrocities. Abdul Rashid Dostum allowed crimes as a perceived payment for his troops. Afshar operation (February 1993) "The major criticism of Massoud's human rights record" is the escalation of the Afshar military operation in 1993. A report by the Afghanistan Justice Project describes Massoud as failing to prevent atrocities carried out by his forces and those of their factional ally, Ittihad-i Islami, against civilians on taking the suburb of Afshar during a military operation against an anti-state militia allied to Gulbuddin Hekmatyar. They shelled residential areas in the capital city in February 1993. Critics said that Massoud should have foreseen these problems. A meeting convened by Massoud on the next day ordered a halt to killing and looting, but it failed to stop abuses. Human Rights Watch, in a report based largely on the material collected by the Afghanistan Justice Project, concurs that Massoud's Jamiat forces bear a share of the responsibility for human rights abuses throughout the war, including the indiscriminate targeting of civilians in Afshar, and that Massoud was personally implicated in some of these abuses. Roy Gutman has argued that the witness reports about Afshar cited in the AJP report implicated only the Ittihad forces, and that these had not been under Massoud's direct command. Anthony Davis, who studied and observed Massoud's forces from 1981 to 2001, reported that during the observed period, there was "no pattern of repeated killings of enemy civilians or military prisoners" by Massoud's forces. Edward Girardet, who covered Afghanistan for over three decades, was also in Kabul during the war. He states that while Massoud was able to control most of his commanders well during the anti-Soviet and anti-Taliban resistance, he was not able to control every commander in Kabul. According to this and similar testimonies, this was due to a breakdown of law and order in Kabul and a war on multiple fronts, which they say, Massoud personally had done all in his power to prevent: Further war over Kabul (March–December 1993) In 1993, Massoud created the Cooperative Mohammad Ghazali Culture Foundation (Bonyad-e Farhangi wa Ta'wani Mohammad-e Ghazali) to further humanitarian assistance and politically independent Afghan culture. The Ghazali Foundation provided free medical services during some days of the week to residents of Kabul who were unable to pay for medical treatment. The Ghazali Foundation's department for distribution of auxiliary goods was the first partner of the Red Cross. The Ghazali Foundation's department of family consultation was a free advisory board, which was accessible seven days a week for the indigent. Although Massoud was responsible for the financing of the foundation, he did not interfere with its cultural work. A council led the foundation and a jury, consisting of impartial university lecturers, decided on the works of artists. The Ghazali foundation enabled Afghan artists to exhibit their works at different places in Kabul, and numerous artists and authors were honoured for their works; some of them neither proponents of Massoud nor the Islamic State government. In March 1993, Massoud resigned his government position in exchange for peace, as requested by Hekmatyar, who considered him as a personal rival. According to the Islamabad Accord, Burhanuddin Rabbani, belonging to the same party as Massoud, remained president, while Gulbuddin Hekmatyar took the long-offered position of prime minister. Two days after the Islamabad Accord was put into effect, however, Hekmatyar's allies of Hezb-e Wahdat renewed rocket attacks in Kabul. Both the Wahhabi Pashtun Ittehad-i Islami of Abdul Rasul Sayyaf backed by Saudi Arabia and the Shia Hazara Hezb-e Wahdat supported by Iran remained involved in heavy fighting against each other. Hekmatyar was afraid to enter Kabul proper, and chaired only one cabinet meeting. The author Roy Gutman of the United States Institute of Peace wrote in How We Missed the Story: Osama bin Laden, the Taliban, and the Hijacking of Afghanistan: Hekmatyar had become prime minister ... But after chairing one cabinet meeting, Hekmatyar never returned to the capital, fearing, perhaps, a lynching by Kabulis infuriated over his role in destroying their city. Even his close aides were embarrassed. Hekmatyar spokesman Qutbuddin Helal was still setting up shop in the prime minister's palace when the city came under Hezb[-i Islami] rocket fire late that month. "We are here in Kabul and he is rocketing us. Now we have to leave. We can't do anything," he told Massoud aides. Hekmatyar, who was generally opposed to coalition government and struggled for undisputed power, had conflicts with other parties over the selection of cabinet members. His forces started major attacks against Kabul for one month. The President, Burhanuddin Rabbani, was attacked when he attempted to meet Hekmatyar. Massoud resumed his responsibilities as minister of defense. In May 1993, a new effort was made to reinstate the Islamabad Accord. In August, Massoud reached out to Hekmatyar in an attempt to broaden the government. By the end of 1993, however, Hekmatyar and the former communist general and militia leader, Abdul Rashid Dostum, were involved in secret negotiations encouraged by Pakistan's secret Inter-Services Intelligence, Iran's intelligence service, and Uzbekistan's Karimov administration. They planned a coup to oust the Rabbani administration and to attack Massoud in his northern areas. War in Kabul, Taliban arise in the south (1994) In January 1994, Hekmatyar and Dostum mounted a bombardment campaign against the capital and attacked Massoud's core areas in the northeast. Amin Saikal writes, Hekmatyar had the following objectives in all his operations: The first was to make sure that Rabbani and Massoud were not allowed to consolidate power, build a credible administration, or expand their territorial control, so that the country would remain divided into small fiefdoms, run by various Muajhideen leaders and local warlords or a council of such elements, with only some of them allied to Kabul. The second was to ensure the Rabbani government acquired no capacity to dispense patronage, and to dissuade the Kabul population from giving more than limited support to the government. The third was to make Kabul an unsafe city for representatives of the international community and to prevent the Rabbani government from attracting the international support needed to begin the post-war reconstruction of Afghanistan and generate a level of economic activity which would enhance its credibility and popularity. By mid-1994, Hekmatyar and Dostum were on the defensive in Kabul against Islamic State forces led by Massoud. Southern Afghanistan had been neither under the control of foreign-backed militias nor of the government in Kabul, but was ruled by local Pashtun leaders, such as Gul Agha Sherzai, and their militias. In 1994, the Taliban (a movement originating from Jamiat Ulema-e-Islam-run religious schools for Afghan refugees in Pakistan) also developed in Afghanistan as a politico-religious force, reportedly in opposition to the tyranny of the local governor. When the Taliban took control of Kandahar in 1994, they forced the surrender of dozens of local Pashtun leaders who had presided over a situation of complete lawlessness and atrocities. In 1994, the Taliban took power in several provinces in southern and central Afghanistan. Taliban siege of Kabul (1995–1996) Hizb-i Islami had bombarded Kabul from January 1994 until February 1995 when the Taliban expelled Hizb from its Charasiab headquarters, after which the Taliban relaunched the bombardment of Kabul and started to besiege the town. By early 1995, Massoud initiated a nationwide political process with the goal of national consolidation and democratic elections. He arranged a conference in three parts uniting political and cultural personalities, governors, commanders, clergymen and representatives, in order to reach a lasting agreement. Massoud's favourite for candidacy to the presidency was Dr. Mohammad Yusuf, the first democratic prime minister under Zahir Shah, the former king. In the first meeting representatives from 15 different Afghan provinces met, in the second meeting there were already 25 provinces participating. Massoud also invited the Taliban to join the peace process wanting them to be a partner in providing stability to Afghanistan during such a process. But the Taliban, which had emerged over the course of 1994 in southern Afghanistan, were already at the doors of the capital city. Against the advice of his security personnel, Massoud went to talk to some Taliban leaders in Maidan Shar, Taliban territory. The Taliban declined to join the peace process leading towards general elections. When Massoud returned to Kabul unharmed, the Taliban leader who had received him as his guest paid with his life: he was killed by other senior Taliban for failing to assassinate Massoud while the possibility had presented itself. The Taliban, placing Kabul under a two-year siege and bombardment campaign from early 1995 onwards, in later years committed massacres against civilians, compared by United Nations observers to those that happened during the War in Bosnia. Neighboring Pakistan exerted strong influence over the Taliban. A publication with the George Washington University describes: "Initially, the Pakistanis supported ... Gulbuddin Hekmatyar ... When Hekmatyar failed to deliver for Pakistan, the administration began to support a new movement of religious students known as the Taliban." Many analysts like Amin Saikal describe the Taliban as developing into a proxy force for Pakistan's regional interests. The Taliban started shelling Kabul in early 1995 but were defeated by forces of the Islamic State government under Ahmad Shah Massoud. Amnesty International, referring to the Taliban offensive, wrote in a 1995 report: The Taliban's early victories in 1994 were followed by a series of defeats that resulted in heavy losses. The Taliban's first major offensive against the important western city of Herat, under the rule of Islamic state ally Ismail Khan, in February 1995 was defeated when Massoud airlifted 2,000 of his own core forces from Kabul to help defend Herat. Ahmed Rashid writes: "The Taliban had now been decisively pushed back on two fronts by the government and their political and military leadership was in disarray. Their image as potential peacemakers was badly dented, for in the eyes of many Afghans they had become nothing more than just another warlord party." International observers already speculated that the Taliban as a country-wide organization might have "run its course". Mullah Omar, however, consolidated his control of the Taliban and with foreign help rebuilt and re-equipped his forces. Pakistan increased its support to the Taliban. Its military advisers oversaw
away from Europe and Africa by earthquakes and flood... The traces of the ruptures are shown by the projections of Europe and Africa and the indentations of America in the parts of the coasts of these three said lands that face each other to anyone who, using a map of the world, carefully considered them. So that anyone may say with Strabo in Book 2, that what Plato says of the island of Atlantis on the authority of Solon is not a figment." Atlantis pseudohistory Early influential literature The term "utopia" (from "no place") was coined by Sir Thomas More in his sixteenth-century work of fiction Utopia. Inspired by Plato's Atlantis and travelers' accounts of the Americas, More described an imaginary land set in the New World. His idealistic vision established a connection between the Americas and utopian societies, a theme that Bacon discussed in The New Atlantis (c. 1623). A character in the narrative gives a history of Atlantis that is similar to Plato's and places Atlantis in America. People had begun believing that the Mayan and Aztec ruins could possibly be the remnants of Atlantis. Impact of Mayanism Much speculation began as to the origins of the Maya, which led to a variety of narratives and publications that tried to rationalize the discoveries within the context of the Bible and that had undertones of racism in their connections between the Old and New World. The Europeans believed the indigenous people to be inferior and incapable of building that which was now in ruins and by sharing a common history, they insinuate that another race must have been responsible. In the middle and late nineteenth century, several renowned Mesoamerican scholars, starting with Charles Etienne Brasseur de Bourbourg, and including Edward Herbert Thompson and Augustus Le Plongeon, formally proposed that Atlantis was somehow related to Mayan and Aztec culture. The French scholar Brasseur de Bourbourg traveled extensively through Mesoamerica in the mid-1800s, and was renowned for his translations of Mayan texts, most notably the sacred book Popol Vuh, as well as a comprehensive history of the region. Soon after these publications, however, Brasseur de Bourbourg lost his academic credibility, due to his claim that the Maya peoples had descended from the Toltecs, people he believed were the surviving population of the racially superior civilization of Atlantis. His work combined with the skillful, romantic illustrations of Jean Frederic Waldeck, which visually alluded to Egypt and other aspects of the Old World, created an authoritative fantasy that excited much interest in the connections between worlds. Inspired by Brasseur de Bourbourg's diffusion theories, the pseudoarchaeologist Augustus Le Plongeon traveled to Mesoamerica and performed some of the first excavations of many famous Mayan ruins. Le Plongeon invented narratives, such as the kingdom of Mu saga, which romantically drew connections to him, his wife Alice, and Egyptian deities Osiris and Isis, as well as to Heinrich Schliemann, who had just discovered the ancient city of Troy from Homer's epic poetry (that had been described as merely mythical). He also believed that he had found connections between the Greek and Mayan languages, which produced a narrative of the destruction of Atlantis. Ignatius Donnelly The 1882 publication of Atlantis: the Antediluvian World by Ignatius L. Donnelly stimulated much popular interest in Atlantis. He was greatly inspired by early works in Mayanism, and like them, attempted to establish that all known ancient civilizations were descended from Atlantis, which he saw as a technologically sophisticated, more advanced culture. Donnelly drew parallels between creation stories in the Old and New Worlds, attributing the connections to Atlantis, where he believed the Biblical Garden of Eden existed. As implied by the title of his book, he also believed that Atlantis was destroyed by the Great Flood mentioned in the Bible. Donnelly is credited as the "father of the nineteenth century Atlantis revival" and is the reason the myth endures today. He unintentionally promoted an alternative method of inquiry to history and science, and the idea that myths contain hidden information that opens them to "ingenious" interpretation by people who believe they have new or special insight. Madame Blavatsky and the Theosophists The Russian mystic Helena Petrovna Blavatsky and her partner Henry Steel Olcott founded their Theosophical Society in the 1870s with a philosophy that combined western romanticism and eastern religious concepts. Blavatsky and her followers in this group are often cited as the founders of New Age and other spiritual movements. Blavatsky took up Donnelly's interpretations when she wrote The Secret Doctrine (1888), which she claimed was originally dictated in Atlantis. She maintained that the Atlanteans were cultural heroes (contrary to Plato, who describes them mainly as a military threat). She believed in a form of racial evolution (as opposed to primate evolution). In her process of evolution the Atlanteans were the fourth "Root Race", which were succeeded by the fifth, the "Aryan race", which she identified with the modern human race. The Theosophists believed that the civilization of Atlantis reached its peak between 1,000,000 and 900,000 years ago, but destroyed itself through internal warfare brought about by the dangerous use of psychic and supernatural powers of the inhabitants. Rudolf Steiner, the founder of anthroposophy and Waldorf Schools, along with other well known Theosophists, such as Annie Besant, also wrote of cultural evolution in much the same vein. Some subsequent occultists have followed Blavatsky, at least to the point of tracing the lineage of occult practices back to Atlantis. Among the most famous is Dion Fortune in her Esoteric Orders and Their Work. Drawing on the ideas of Rudolf Steiner and Hanns Hörbiger, Egon Friedell started his book , and thus his historical analysis of antiquity, with the ancient culture of Atlantis. The book was published in 1940. Nazism and occultism Blavatsky was also inspired by the work of the 18th-century astronomer Jean-Sylvain Bailly, who had "Orientalized" the Atlantis myth in his mythical continent of Hyperborea, a reference to Greek myths featuring a Northern European region of the same name, home to a giant, godlike race. Dan Edelstein claims that her reshaping of this theory in The Secret Doctrine provided the Nazis with a mythological precedent and a pretext for their ideological platform and their subsequent genocide. However, Blavatsky's writings mention that the Atlantean were in fact olive-skinned peoples with Mongoloid traits who were the ancestors of modern Native Americans, Mongolians, and Malayans. The idea that the Atlanteans were Hyperborean, Nordic supermen who originated in the Northern Atlantic or even in the far North, was popular in the German ariosophic movement around 1900, propagated by Guido von List and others. It gave its name to the Thule Gesellschaft, an antisemite Münich lodge, which preceded the German Nazi Party (see Thule). The scholars (1920) and Herman Wirth (1928) were the first to speak of a "Nordic-Atlantean" or "Aryan-Nordic" master race that spread from Atlantis over the Northern Hemisphere and beyond. The Hyperboreans were contrasted with the Jewish people. Party ideologist Alfred Rosenberg (in The Myth of the Twentieth Century, 1930) and SS-leader Heinrich Himmler made it part of the official doctrine. The idea was followed up by the adherents of Esoteric Nazism such as Julius Evola (1934) and, more recently, Miguel Serrano (1978). The idea of Atlantis as the homeland of the Caucasian race would contradict the beliefs of older Esoteric and Theosophic groups, which taught that the Atlanteans were non-Caucasian brown-skinned peoples. Modern Esoteric groups, including the Theosophic Society, do not consider Atlantean society to have been superior or Utopian—they rather consider it a lower stage of evolution. Edgar Cayce The clairvoyant Edgar Cayce spoke frequently of Atlantis. During his "life readings", he claimed that many of his subjects were reincarnations of people who had lived there. By tapping into their collective consciousness, the "Akashic Records" (a term borrowed from Theosophy), Cayce declared that he was able to give detailed descriptions of the lost continent. He also asserted that Atlantis would "rise" again in the 1960s (sparking much popularity of the myth in that decade) and that there is a "Hall of Records" beneath the Egyptian Sphinx which holds the historical texts of Atlantis. Recent times As continental drift became widely accepted during the 1960s, and the increased understanding of plate tectonics demonstrated the impossibility of a lost continent in the geologically recent past, most "Lost Continent" theories of Atlantis began to wane in popularity. Plato scholar Julia Annas, Regents Professor of Philosophy at the University of Arizona, had this to say on the matter: One of the proposed explanations for the historical context of the Atlantis story is a warning of Plato to his contemporary fourth-century fellow-citizens against their striving for naval power. Kenneth Feder points out that Critias's story in the Timaeus provides a major clue. In the dialogue, Critias says, referring to Socrates' hypothetical society: Feder quotes A. E. Taylor, who wrote, "We could not be told much more plainly that the whole narrative of Solon's conversation with the priests and his intention of writing the poem about Atlantis are an invention of Plato's fancy." Location hypotheses Since Donnelly's day, there have been dozens of locations proposed for Atlantis, to the point where the name has become a generic concept, divorced from the specifics of Plato's account. This is reflected in the fact that many proposed sites are not within the Atlantic at all. Few today are scholarly or archaeological hypotheses, while others have been made by psychic (e.g., Edgar Cayce) or other pseudoscientific means. (The Atlantis researchers Jacques Collina-Girard and Georgeos Díaz-Montexano, for instance, each claim the other's hypothesis is pseudoscience.) Many of the proposed sites share some of the characteristics of the Atlantis story (water, catastrophic end, relevant time period), but none has been demonstrated to be a true historical Atlantis. In or near the Mediterranean Sea Most of the historically proposed locations are in or near the Mediterranean Sea: islands such as Sardinia, Crete, Santorini (Thera), Sicily, Cyprus, and Malta; land-based cities or states such as Troy, Tartessos, and Tantalis (in the province of Manisa, Turkey); Israel-Sinai or Canaan; and northwestern Africa. The Thera eruption, dated to the seventeenth or sixteenth century BC, caused a large tsunami that some experts hypothesize devastated the Minoan civilization on the nearby island of Crete, further leading some to believe that this may have been the catastrophe that inspired the story. In the area of the Black Sea the following locations have been proposed: Bosporus and Ancomah (a legendary place near Trabzon). Others have noted that, before the sixth century BC, the mountains on either side of the Gulf of Laconia were called the "Pillars of Hercules", and they could be the geographical location being described in ancient reports upon which Plato was basing his story. The mountains stood at either side of the southernmost gulf in Greece, the largest in the Peloponnese, and that gulf opens onto the Mediterranean Sea. If from the beginning of discussions, misinterpretation of Gibraltar as the location rather than being at the Gulf of Laconia, would lend itself to many erroneous concepts regarding the location of Atlantis. Plato may have not been aware of the difference. The Laconian pillars open to the south toward Crete and beyond which is Egypt. The Thera eruption and the Late Bronze Age collapse affected that area and might have been the devastation to which the sources used by Plato referred. Significant events such as these would have been likely material for tales passed from one generation to another for almost a thousand years. In the Atlantic Ocean The location of Atlantis in the Atlantic Ocean has a certain appeal given the closely related names. Popular culture often places Atlantis there, perpetuating the original Platonic setting as they understand it. The Canary Islands and Madeira Islands have been identified as a possible location, west of the Straits of Gibraltar, but in relative proximity to the Mediterranean Sea. Detailed studies of their geomorphology and geology have demonstrated, however, that they have been steadily uplifted, without any significant periods of subsidence, over the last four million years, by geologic processes such as erosional unloading, gravitational unloading, lithospheric flexure induced by adjacent islands, and volcanic underplating. Various islands or island groups in the Atlantic were also identified as possible locations, notably the Azores. Similarly, cores of sediment covering the ocean bottom surrounding the Azores and other evidence demonstrate that it has been an undersea plateau for millions of years. The area is known for its volcanism however, which is associated with rifting along the Azores Triple Junction. The spread of the crust along the existing faults and fractures has produced many volcanic and seismic events. The area is supported by a buoyant upwelling in the deeper mantle, which some associate with an Azores hotspot. Most of the volcanic activity has occurred primarily along the Terceira Rift. From the beginning of the islands' settlement, around the 15th century, there have been about 30 volcanic eruptions (terrestrial and submarine) as well as numerous, powerful earthquakes. The island of São Miguel in the Azores is the site of the Sete Cidades volcano and caldera, which are the byproducts of historical volcanic activity in the Azores. The submerged island of Spartel near the Strait of Gibraltar has also been suggested. Ireland In 2004, Swedish physiographist Ulf Erlingsson proposed that the legend of Atlantis was based on Stone Age Ireland. He later stated that he does not believe that Atlantis ever existed but maintained that his hypothesis that its description matches Ireland's geography has a 99.8% probability. The director of the National Museum of Ireland commented that there was no archaeology supporting this. In Europe Several hypotheses place the sunken island in northern Europe, including Doggerland in the North Sea, and Sweden (by Olof Rudbeck in Atland, 1672–1702). Doggerland, as well as Viking Bergen Island, is thought to have been flooded by a megatsunami following the Storegga slide of c. 6100 BC. Some have proposed the Celtic Shelf as a possible location, and
fell in love with Cleito, the daughter of Evenor and Leucippe, who bore him five pairs of male twins. The eldest of these, Atlas, was made rightful king of the entire island and the ocean (called the Atlantic Ocean in his honor), and was given the mountain of his birth and the surrounding area as his fiefdom. Atlas's twin Gadeirus, or Eumelus in Greek, was given the extremity of the island toward the pillars of Hercules. The other four pairs of twins—Ampheres and Evaemon, Mneseus and Autochthon, Elasippus and Mestor, and Azaes and Diaprepes—were also given "rule over many men, and a large territory." Poseidon carved the mountain where his love dwelt into a palace and enclosed it with three circular moats of increasing width, varying from one to three stadia and separated by rings of land proportional in size. The Atlanteans then built bridges northward from the mountain, making a route to the rest of the island. They dug a great canal to the sea, and alongside the bridges carved tunnels into the rings of rock so that ships could pass into the city around the mountain; they carved docks from the rock walls of the moats. Every passage to the city was guarded by gates and towers, and a wall surrounded each ring of the city. The walls were constructed of red, white, and black rock, quarried from the moats, and were covered with brass, tin, and the precious metal orichalcum, respectively. According to Critias, 9,000 years before his lifetime a war took place between those outside the Pillars of Hercules at the Strait of Gibraltar and those who dwelt within them. The Atlanteans had conquered the parts of Libya within the Pillars of Hercules, as far as Egypt, and the European continent as far as Tyrrhenia, and had subjected its people to slavery. The Athenians led an alliance of resistors against the Atlantean empire, and as the alliance disintegrated, prevailed alone against the empire, liberating the occupied lands. The logographer Hellanicus of Lesbos wrote an earlier work entitled Atlantis, of which only a few fragments survive. Hellanicus' work appears to have been a genealogical one concerning the daughters of Atlas (Ἀτλαντὶς in Greek means "of Atlas"), but some authors have suggested a possible connection with Plato's island. John V. Luce notes that when Plato writes about the genealogy of Atlantis's kings, he writes in the same style as Hellanicus, suggesting a similarity between a fragment of Hellanicus's work and an account in the Critias. Rodney Castleden suggests that Plato may have borrowed his title from Hellanicus, who may have based his work on an earlier work about Atlantis. Castleden has pointed out that Plato wrote of Atlantis in 359 BC, when he returned to Athens from Sicily. He notes a number of parallels between the physical organisation and fortifications of Syracuse and Plato's description of Atlantis. Gunnar Rudberg was the first who elaborated upon the idea that Plato's attempt to realize his political ideas in the city of Syracuse could have heavily inspired the Atlantis account. Interpretations Ancient Some ancient writers viewed Atlantis as fictional or metaphorical myth; others believed it to be real. Aristotle believed that Plato, his teacher, had invented the island to teach philosophy. The philosopher Crantor, a student of Plato's student Xenocrates, is cited often as an example of a writer who thought the story to be historical fact. His work, a commentary on Timaeus, is lost, but Proclus, a Neoplatonist of the fifth century AD, reports on it. The passage in question has been represented in the modern literature either as claiming that Crantor visited Egypt, had conversations with priests, and saw hieroglyphs confirming the story, or, as claiming that he learned about them from other visitors to Egypt. Proclus wrote: The next sentence is often translated "Crantor adds, that this is testified by the prophets of the Egyptians, who assert that these particulars [which are narrated by Plato] are written on pillars which are still preserved." But in the original, the sentence starts not with the name Crantor but with the ambiguous He; whether this referred to Crantor or to Plato is the subject of considerable debate. Proponents of both Atlantis as a metaphorical myth and Atlantis as history have argued that the pronoun refers to Crantor. Alan Cameron argues that the pronoun should be interpreted as referring to Plato, and that, when Proclus writes that "we must bear in mind concerning this whole feat of the Athenians, that it is neither a mere myth nor unadorned history, although some take it as history and others as myth", he is treating "Crantor's view as mere personal opinion, nothing more; in fact he first quotes and then dismisses it as representing one of the two unacceptable extremes". Cameron also points out that whether he refers to Plato or to Crantor, the statement does not support conclusions such as Otto Muck's "Crantor came to Sais and saw there in the temple of Neith the column, completely covered with hieroglyphs, on which the history of Atlantis was recorded. Scholars translated it for him, and he testified that their account fully agreed with Plato's account of Atlantis" or J. V. Luce's suggestion that Crantor sent "a special enquiry to Egypt" and that he may simply be referring to Plato's own claims. Another passage from the commentary by Proclus on the "Timaeus" gives a description of the geography of Atlantis: Marcellus remains unidentified. Other ancient historians and philosophers who believed in the existence of Atlantis were Strabo and Posidonius. Some have theorized that, before the sixth century BC, the "Pillars of Hercules" may have applied to mountains on either side of the Gulf of Laconia, and also may have been part of the pillar cult of the Aegean. The mountains stood at either side of the southernmost gulf in Greece, the largest in the Peloponnese, and it opens onto the Mediterranean Sea. This would have placed Atlantis in the Mediterranean, lending credence to many details in Plato's discussion. The fourth-century historian Ammianus Marcellinus, relying on a lost work by Timagenes, a historian writing in the first century BC, writes that the Druids of Gaul said that part of the inhabitants of Gaul had migrated there from distant islands. Some have understood Ammianus's testimony as a claim that at the time of Atlantis's sinking into the sea, its inhabitants fled to western Europe; but Ammianus, in fact, says that "the Drasidae (Druids) recall that a part of the population is indigenous but others also migrated in from islands and lands beyond the Rhine" (Res Gestae 15.9), an indication that the immigrants came to Gaul from the north (Britain, the Netherlands, or Germany), not from a theorized location in the Atlantic Ocean to the south-west. Instead, the Celts who dwelled along the ocean were reported to venerate twin gods, (Dioscori), who appeared to them coming from that ocean. Jewish and Christian During the early first century, the Hellenistic Jewish philosopher Philo wrote about the destruction of Atlantis in his On the Eternity of the World, xxvi. 141, in a longer passage allegedly citing Aristotle's successor Theophrastus: The theologian Joseph Barber Lightfoot (Apostolic Fathers, 1885, II, p. 84) noted on this passage: "Clement may possibly be referring to some known, but hardly accessible land, lying without the pillars of Hercules. But more probably he contemplated some unknown land in the far west beyond the ocean, like the fabled Atlantis of Plato ..." Other early Christian writers wrote about Atlantis, although they had mixed views on whether it once existed or was an untrustworthy myth of pagan origin. Tertullian believed Atlantis was once real and wrote that in the Atlantic Ocean once existed "[the isle] that was equal in size to Libya or Asia" referring to Plato's geographical description of Atlantis. The early Christian apologist writer Arnobius also believed Atlantis once existed, but blamed its destruction on pagans. Cosmas Indicopleustes in the sixth century wrote of Atlantis in his Christian Topography in an attempt to prove his theory that the world was flat and surrounded by water: Modern Aside from Plato's original account, modern interpretations regarding Atlantis are an amalgamation of diverse, speculative movements that began in the sixteenth century, when scholars began to identify Atlantis with the New World. Francisco Lopez de Gomara was the first to state that Plato was referring to America, as did Francis Bacon and Alexander von Humboldt; Janus Joannes Bircherod said in 1663 orbe novo non-novo ("the New World is not new"). Athanasius Kircher accepted Plato's account as literally true, describing Atlantis as a small continent in the Atlantic Ocean. Contemporary perceptions of Atlantis share roots with Mayanism, which can be traced to the beginning of the Modern Age, when European imaginations were fueled by their initial encounters with the indigenous peoples of the Americas. From this era sprang apocalyptic and utopian visions that would inspire many subsequent generations of theorists. Most of these interpretations are considered pseudohistory, pseudoscience, or pseudoarchaeology, as they have presented their works as academic or scientific, but lack the standards or criteria. The Flemish cartographer and geographer Abraham Ortelius is believed to have been the first person to imagine that the continents were joined before drifting to their present positions. In the 1596 edition of his Thesaurus Geographicus he wrote: "Unless it be a fable, the island of Gadir or Gades will be the remaining part of the island of Atlantis or America, which was not sunk (as Plato reports in the Timaeus) so much as torn away from Europe and Africa by earthquakes and flood... The traces of the ruptures are shown by the projections of Europe and Africa and the indentations of America in the parts of the coasts of these three said lands that face each other to anyone who, using a map of the world, carefully considered them. So that anyone may say with Strabo in Book 2, that what Plato says of the island of Atlantis on the authority of Solon is not a figment." Atlantis pseudohistory Early influential literature The term "utopia" (from "no place") was coined by Sir Thomas More in his sixteenth-century work of fiction Utopia. Inspired by Plato's Atlantis and travelers' accounts of the Americas, More described an imaginary land set in the New World. His idealistic vision established a connection between the Americas and utopian societies, a theme that Bacon discussed in The New Atlantis (c. 1623). A character in the narrative gives a history of Atlantis that is similar to Plato's and places Atlantis in America. People had begun believing that the Mayan and Aztec ruins could possibly be the remnants of Atlantis. Impact of Mayanism Much speculation began as to the origins of the Maya, which led to a variety of narratives and publications that tried to rationalize the discoveries within the context of the Bible and that had undertones of racism in their connections between the Old and New World. The Europeans believed the indigenous people to be inferior and incapable of building that which was now in ruins and by sharing a common history, they insinuate that another race must have been responsible. In the middle and late nineteenth century, several renowned Mesoamerican scholars, starting with Charles Etienne Brasseur de Bourbourg, and including Edward Herbert Thompson and Augustus Le Plongeon, formally proposed that Atlantis was
first Western autobiography ever written, and became an influential model for Christian writers throughout the Middle Ages. It tells of the hedonistic lifestyle Augustine lived for a time within his youth, associating with young men who boasted of their sexual exploits; his following and leaving of the anti-sex and anti-marriage Manichaeism in attempts to seek sexual morality; and his subsequent return to Christianity due to his embracement of Skepticism and the New Academy movement (developing the view that sex is good, and that virginity is better, comparing the former to silver and the latter to gold; Augustine's views subsequently strongly influenced Western theology). Confessions will always rank among the great masterpieces of western literature. In the spirit of Augustine's Confessions is the 12th-century Historia Calamitatum of Peter Abelard, outstanding as an autobiographical document of its period. Early autobiographies In the 15th century, Leonor López de Córdoba, a Spanish noblewoman, wrote her Memorias, which may be the first autobiography in Castillian. Zāhir ud-Dīn Mohammad Bābur, who founded the Mughal dynasty of South Asia kept a journal Bāburnāma (Chagatai/; literally: "Book of Babur" or "Letters of Babur") which was written between 1493 and 1529. One of the first great autobiographies of the Renaissance is that of the sculptor and goldsmith Benvenuto Cellini (1500–1571), written between 1556 and 1558, and entitled by him simply Vita (Italian: Life). He declares at the start: "No matter what sort he is, everyone who has to his credit what are or really seem great achievements, if he cares for truth and goodness, ought to write the story of his own life in his own hand; but no one should venture on such a splendid undertaking before he is over forty." These criteria for autobiography generally persisted until recent times, and most serious autobiographies of the next three hundred years conformed to them. Another autobiography of the period is De vita propria, by the Italian mathematician, physician and astrologer Gerolamo Cardano (1574). The earliest known autobiography written in English is the Book of Margery Kempe, written in 1438. Following in the earlier tradition of a life story told as an act of Christian witness, the book describes Margery Kempe's pilgrimages to the Holy Land and Rome, her attempts to negotiate a celibate marriage with her husband, and most of all her religious experiences as a Christian mystic. Extracts from the book were published in the early sixteenth century but the whole text was published for the first time only in 1936. Possibly the first publicly available autobiography written in English was Captain John Smith's autobiography published in 1630 which was regarded by many as not much more than a collection of tall tales told by someone
early example is that of Julius Caesar's Commentarii de Bello Gallico, also known as Commentaries on the Gallic Wars. In the work, Caesar describes the battles that took place during the nine years that he spent fighting local armies in the Gallic Wars. His second memoir, Commentarii de Bello Civili (or Commentaries on the Civil War) is an account of the events that took place between 49 and 48 BC in the civil war against Gnaeus Pompeius and the Senate. Leonor López de Córdoba (1362–1420) wrote what is supposed to be the first autobiography in Spanish. The English Civil War (1642–1651) provoked a number of examples of this genre, including works by Sir Edmund Ludlow and Sir John Reresby. French examples from the same period include the memoirs of Cardinal de Retz (1614–1679) and the Duc de Saint-Simon. Fictional autobiography The term "fictional autobiography" signifies novels about a fictional character written as though the character were writing their own autobiography, meaning that the character is the first-person narrator and that the novel addresses both internal and external experiences of the character. Daniel Defoe's Moll Flanders is an early example. Charles Dickens' David Copperfield is another such classic, and J.D. Salinger's The Catcher in the Rye is a well-known modern example of fictional autobiography. Charlotte Brontë's Jane Eyre is yet another example of fictional autobiography, as noted on the front page of the original version. The term may also apply to works of fiction purporting to be autobiographies of real characters, e.g., Robert Nye's Memoirs of Lord Byron. Autobiography through the ages The classical period: Apologia, oration, confession In antiquity such works were typically entitled apologia, purporting to be self-justification rather than self-documentation. John Henry Newman's Christian confessional work (first published in 1864) is entitled Apologia Pro Vita Sua in reference to this tradition. The Jewish historian Flavius Josephus introduces his autobiography (Josephi Vita, c. 99) with self-praise, which is followed by a justification of his actions as a Jewish rebel commander of Galilee. The pagan rhetor Libanius (c. 314–394) framed his life memoir (Oration I begun in 374) as one of his orations, not of a public kind, but of a literary kind that could not be aloud in privacy. Augustine (354–430) applied the title Confessions to his autobiographical work, and Jean-Jacques Rousseau used the same title in the 18th century, initiating the chain of confessional and sometimes racy and highly self-critical, autobiographies of the Romantic era and beyond. Augustine's was arguably the first Western autobiography ever written, and became an influential model for Christian writers throughout the Middle Ages. It tells of the hedonistic lifestyle Augustine lived for a time within his youth, associating with young men who boasted of their sexual exploits; his following and leaving of the anti-sex and anti-marriage Manichaeism in attempts to seek sexual morality; and his subsequent return to Christianity due to his embracement of Skepticism and the New Academy movement (developing the view that sex is good, and that virginity is better, comparing the former to silver and the latter to gold; Augustine's views subsequently strongly influenced Western theology). Confessions will always rank among the great masterpieces of western literature. In the spirit of Augustine's Confessions is the 12th-century Historia Calamitatum of Peter Abelard, outstanding as an autobiographical document of its period. Early autobiographies In the 15th century, Leonor López de Córdoba, a Spanish noblewoman, wrote her Memorias, which may be the first autobiography in Castillian. Zāhir ud-Dīn Mohammad Bābur, who founded the Mughal dynasty of South Asia kept a journal Bāburnāma (Chagatai/; literally: "Book of Babur" or "Letters of Babur") which was written between 1493 and 1529. One of the first great autobiographies of the Renaissance is that of the sculptor and goldsmith Benvenuto Cellini (1500–1571), written between 1556 and 1558, and entitled by him simply Vita (Italian: Life). He declares at the start: "No matter what sort he is, everyone who has to his credit what are or really seem great achievements, if he cares for truth and goodness, ought to write the story of his own life in his own hand; but no one should venture on such a splendid undertaking before he is over forty." These criteria for autobiography generally persisted until recent times, and most serious autobiographies of the next three hundred years conformed to them. Another autobiography of the period is De vita propria, by the Italian mathematician, physician and astrologer Gerolamo Cardano (1574). The earliest known autobiography written in English is the Book of Margery Kempe, written in 1438. Following in the earlier tradition of a life story told as an act of Christian witness, the book describes Margery Kempe's pilgrimages to the Holy Land and Rome, her attempts to negotiate a celibate marriage with her husband, and most of all her religious experiences as a Christian mystic. Extracts from the book were published in the early sixteenth century but the whole text was published for the first time only in 1936. Possibly the first publicly available autobiography written in English was Captain John Smith's autobiography published in
presided over a synod in 403 (the Synod of the Oak) to charge Chrysostom with heresy. Although Arcadius originally supported Chrysostom, the Archbishop's decision not to participate caused Arcadius to change his mind and support Theophilus, resulting in Chrysostom's deposition and banishment. He was called back by Arcadius almost immediately, as the people started rioting over his departure, even threatening to burn the imperial palace. There was an earthquake the night of his arrest, which Eudoxia took for a sign of God's anger, prompting her to ask Arcadius for John's reinstatement. Peace was short-lived. In September 403 a silver statue of Eudoxia was erected in the Augustaion, near the Magna Ecclesia church. Chrysostom, who was conducting a mass at the time, denounced the noisy dedication ceremonies as pagan and spoke against the Empress in harsh terms: "Again Herodias raves; again she is troubled; she dances again; and again desires to receive John's head in a charger", an allusion to the events surrounding the death of John the Baptist. This time Arcadius was unwilling to overlook the insult to his wife; a new synod was called in early 404 where Chrysostom was condemned. Arcadius hesitated until Easter to enforce the sentence, but Chrysostom refused to go, even after Arcadius sent in a squad of soldiers to escort him into exile. Arcadius procrastinated, but by 20 June 404, the emperor finally managed to get the Archbishop to submit, and he was taken away to his place of banishment, this time to Abkhazia in the Caucasus. Eudoxia did not get to enjoy her victory for long, dying later that year. Death With the passing of Eudoxia, Arcadius once again fell under the domination of a member of his court, this time the competent Anthemius, the Praetorian Prefect. He would rule in Arcadius's name for the final four years of his reign, seeking to repair the harm done by his predecessors. He attempted to heal the divisions of the past decade by trying to make peace with Stilicho in the West. Stilicho, however, had lost patience with the eastern court, and in 407 encouraged Alaric and the Visigoths to seize the Praetorian prefecture of Illyricum and hand it over to the western empire. Stilicho's plan failed, and soon after, on 1 May 408, Arcadius died. He was succeeded by his young son, Theodosius. Like Constantine the Great and several of his successors, he was buried in the Church of the Holy Apostles, in a porphyry sarcophagus that was described in the 10th century by Constantine VII Porphyrogenitus in the De Ceremoniis. Character and achievements In noting the character of Arcadius, the historian J. B. Bury described him and his abilities thus: He was of short stature, of dark complexion, thin and inactive, and the dullness of his wit was betrayed by his speech and by his sleepy, drooping eyes. His mental deficiency and the weakness of his character made it inevitable that he should be governed by the strong personalities of his court. Traditional interpretations of the reign of Arcadius have revolved around his weakness as an Emperor, and the formulation of policy by prominent individuals (and the court parties that formed and regrouped round them) towards curtailing the increasing influence of barbarians in the military, which in Constantinople at this period meant the Goths. Scholars such as the historian J. B. Bury spoke of a group in Arcadius's court with Germanic interests and, opposed to them, a Roman faction. So when interpreting the revolt of Gainas and the massacre of the Goths in Constantinople in 400, the episode has been traditionally interpreted by scholars such as Otto Seeck as a violent anti-barbarian reaction that functioned to stabilize the East and prevent the rise of all powerful Romanised barbarian military leaders such as Stilicho in the West - what has been termed the victory of anti-Germanism in the eastern empire. The main source of this interpretation has been the works Synesius of Cyrene, specifically Aegyptus sive de providentia and De regno. Both works have traditionally been interpreted to support the thesis that there were anti-barbarian and pro-barbarian groups, with the Praetorian Prefect Aurelianus being the leader of the anti-barbarian faction. Recent scholarly research has revised this interpretation, and has instead favoured the interaction of personal ambition and enmities among the principal participants as being the leading cause for the court intrigue throughout Arcadius's reign. The gradual decline of the use of Gothic mercenaries in the eastern empire's armies that began in the reign of Arcadius was driven by recruitment issues, as the regions beyond the Danube were made inaccessible by the Huns, forcing the empire to seek recruitment in Asia Minor. The current consensus can be summarised by the historian Thomas S. Burns: "Despite much civilian distrust and outright hatred of the army and the barbarians in it, there were no anti-barbarian or pro-barbarian parties at the court." With respect to Arcadius himself, as emperor was more concerned with appearing to be a pious Christian than he was with political or military matters. Not being a military leader, he began to promote a new type of imperial victory through images, not via the traditional military achievements, but focusing on his piety. Arcadius's reign saw the growing push towards the outright abolishment of paganism. On 13 July 399, Arcadius issued an edict ordering that all remaining non-Christian temples should be immediately demolished. In terms of buildings and monuments, a new forum was built in the name of Arcadius, on the seventh hill of Constantinople, the Xērolophos, in which a column was begun to commemorate his 'victory' over Gainas (although the column was only completed after Arcadius' death by Theodosius II). The Pentelic marble portrait head of Arcadius (now in the Istanbul Archaeology Museum) was discovered in Istanbul close to the Forum Tauri, in June 1949, in excavating foundations for new buildings of the university at Beyazit. The neck was designed to be inserted in a torso, but no statue,
in Chrysostom's deposition and banishment. He was called back by Arcadius almost immediately, as the people started rioting over his departure, even threatening to burn the imperial palace. There was an earthquake the night of his arrest, which Eudoxia took for a sign of God's anger, prompting her to ask Arcadius for John's reinstatement. Peace was short-lived. In September 403 a silver statue of Eudoxia was erected in the Augustaion, near the Magna Ecclesia church. Chrysostom, who was conducting a mass at the time, denounced the noisy dedication ceremonies as pagan and spoke against the Empress in harsh terms: "Again Herodias raves; again she is troubled; she dances again; and again desires to receive John's head in a charger", an allusion to the events surrounding the death of John the Baptist. This time Arcadius was unwilling to overlook the insult to his wife; a new synod was called in early 404 where Chrysostom was condemned. Arcadius hesitated until Easter to enforce the sentence, but Chrysostom refused to go, even after Arcadius sent in a squad of soldiers to escort him into exile. Arcadius procrastinated, but by 20 June 404, the emperor finally managed to get the Archbishop to submit, and he was taken away to his place of banishment, this time to Abkhazia in the Caucasus. Eudoxia did not get to enjoy her victory for long, dying later that year. Death With the passing of Eudoxia, Arcadius once again fell under the domination of a member of his court, this time the competent Anthemius, the Praetorian Prefect. He would rule in Arcadius's name for the final four years of his reign, seeking to repair the harm done by his predecessors. He attempted to heal the divisions of the past decade by trying to make peace with Stilicho in the West. Stilicho, however, had lost patience with the eastern court, and in 407 encouraged Alaric and the Visigoths to seize the Praetorian prefecture of Illyricum and hand it over to the western empire. Stilicho's plan failed, and soon after, on 1 May 408, Arcadius died. He was succeeded by his young son, Theodosius. Like Constantine the Great and several of his successors, he was buried in the Church of the Holy Apostles, in a porphyry sarcophagus that was described in the 10th century by Constantine VII Porphyrogenitus in the De Ceremoniis. Character and achievements In noting the character of Arcadius, the historian J. B. Bury described him and his abilities thus: He was of short stature, of dark complexion, thin and inactive, and the dullness of his wit was betrayed by his speech and by his sleepy, drooping eyes. His mental deficiency and the weakness of his character made it inevitable that he should be governed by the strong personalities of his court. Traditional interpretations of the reign of Arcadius have revolved around his weakness as an Emperor, and the formulation of policy by prominent individuals (and the court parties that formed and regrouped round them) towards curtailing the increasing influence of barbarians in the military, which in Constantinople at this period meant the Goths. Scholars such as the historian J. B. Bury spoke of a group in Arcadius's court with Germanic interests and, opposed to them, a Roman faction. So when interpreting the revolt of Gainas and the massacre of the Goths in Constantinople in 400, the episode has been traditionally interpreted by scholars such as Otto Seeck as a violent anti-barbarian reaction that functioned to stabilize the East and prevent the rise of all powerful Romanised barbarian military leaders such as Stilicho in the West - what has been termed the victory of anti-Germanism in the eastern empire. The main source of this interpretation has been the works Synesius of Cyrene, specifically Aegyptus sive de providentia and De regno. Both works have traditionally been interpreted to support the thesis that there were anti-barbarian and pro-barbarian groups, with the Praetorian Prefect Aurelianus being the leader of the anti-barbarian faction. Recent scholarly research has revised this interpretation, and has instead favoured the interaction of personal ambition and enmities among the principal participants as being the leading cause for the court intrigue throughout Arcadius's reign. The gradual decline of the use of Gothic mercenaries in the eastern empire's armies that began in the reign of Arcadius was driven by recruitment issues, as the regions beyond the Danube were made inaccessible by the Huns, forcing the empire to seek recruitment in Asia Minor. The current consensus can be summarised by the historian Thomas S. Burns: "Despite much civilian distrust and outright hatred of the army and the barbarians in it, there were no anti-barbarian or pro-barbarian parties at the court." With respect to Arcadius himself, as emperor was more concerned with appearing to be a pious Christian than he was with political or military matters. Not being a military leader, he began to promote a new type of imperial victory through images, not via the traditional military achievements, but focusing on his piety. Arcadius's reign saw the growing push towards the outright abolishment of paganism. On 13 July 399, Arcadius issued an edict ordering that all remaining non-Christian temples should be immediately demolished. In terms of buildings and monuments, a new forum was built in the name of Arcadius, on the seventh hill of Constantinople, the Xērolophos, in which a column was begun to commemorate his 'victory' over Gainas (although the column was only completed after Arcadius' death by Theodosius II). The Pentelic marble portrait head of Arcadius (now in the Istanbul Archaeology Museum) was discovered in Istanbul close to the Forum Tauri, in June 1949, in excavating foundations for new buildings of the university at Beyazit. The neck was designed to be inserted in a torso, but no statue, base or inscription was found. The diadem is a fillet with rows of pearls along its edges and a rectangular stone set about with pearls over the young Emperor's forehead. A more nuanced assessment of Arcadius's reign
of religious affiliations and practices. In the pre-Islamic era, most Arabs followed polytheistic religions. Some tribes had adopted Christianity or Judaism and a few individuals, the hanifs, apparently observed another form of monotheism. Today, about 93% of Arabs are adherents of Islam and there are sizable Christian minorities. Arab Muslims primarily belong to the Sunni, Shiite, Ibadi and Alawite denominations. Arab Christians generally follow one of the Eastern Christian Churches, such as those within the Oriental Orthodox churches, Eastern Catholic churches, or Eastern Protestant churches. There also exist small numbers of Arab Jews still living in Arab countries and a much larger population of Jews descended from Arab Jewish communities living in Israel and various Western countries, who may or may not consider themselves Arab today. Christian minorities in Arab-majority states may also not consider themselves Arab, such as Copts and Assyrians. Other smaller minority religions also exist, such as the Druze, Zoroastrianism and the Baháʼí Faith. Arabs have greatly influenced and contributed to diverse fields, notably the arts and architecture, language, philosophy, mythology, ethics, literature, politics, business, music, dance, cinema, medicine, science and technology in ancient and modern history. Etymology The earliest documented use of the word Arab in reference to a people appears in the Kurkh Monoliths, an Akkadian-language record of the Assyrian conquest of Aram (9th century BCE). The Monoliths used the term to refer to Bedouins of the Arabian Peninsula under King Gindibu, who fought as part of a coalition opposed to Assyria. Listed among the booty captured by the army of the Assyrian king Shalmaneser III in the Battle of Qarqar (853 BCE) are 1000 camels of "Gi-in-di-bu'u the ar-ba-a-a" or "[the man] Gindibu belonging to the Arabs" (ar-ba-a-a being an adjectival nisba of the noun ʿarab). The related word ʾaʿrāb is used to refer to Bedouins today, in contrast to ʿarab which refers to Arabs in general. Both terms are mentioned around 40 times in pre-Islamic Sabaean inscriptions. The term ʿarab ('Arab') occurs also in the titles of the Himyarite kings from the time of 'Abu Karab Asad until MadiKarib Ya'fur. According to Sabaean grammar, the term ʾaʿrāb is derived from the term ʿarab. The term is also mentioned in Quranic verses, referring to people who were living in Madina and it might be a south Arabian loanword into Quranic language. The oldest surviving indication of an Arab national identity is an inscription made in an archaic form of Arabic in 328 CE using the Nabataean alphabet, which refers to Imru' al-Qays ibn 'Amr as 'King of all the Arabs'. Herodotus refers to the Arabs in the Sinai, southern Palestine, and the frankincense region (Southern Arabia). Other Ancient-Greek historians like Agatharchides, Diodorus Siculus and Strabo mention Arabs living in Mesopotamia (along the Euphrates), in Egypt (the Sinai and the Red Sea), southern Jordan (the Nabataeans), the Syrian steppe and in eastern Arabia (the people of Gerrha). Inscriptions dating to the 6th century BCE in Yemen include the term 'Arab'. The most popular Arab account holds that the word Arab came from an eponymous father named Ya'rub, who was supposedly the first to speak Arabic. Abu Muhammad al-Hasan al-Hamdani had another view; he states that Arabs were called gharab ('westerners') by Mesopotamians because Bedouins originally resided to the west of Mesopotamia; the term was then corrupted into arab. Yet another view is held by al-Masudi that the word Arab was initially applied to the Ishmaelites of the Arabah valley. In Biblical etymology, Arab (Hebrew: arvi) comes from the desert origin of the Bedouins it originally described (arava means 'wilderness'). The root ʿ-r-b has several additional meanings in Semitic languages—including 'west, sunset', 'desert', 'mingle', 'mixed', 'merchant' and 'raven'—and are "comprehensible" with all of these having varying degrees of relevance to the emergence of the name. It is also possible that some forms were metathetical from , 'moving around' (Arabic: , 'traverse') and hence, it is alleged, 'nomadic'. History Antiquity Pre-Islamic Arabia refers to the Arabian Peninsula prior to the rise of Islam in the 630s. The study of Pre-Islamic Arabia is important to Islamic studies as it provides the context for the development of Islam. Some of the settled communities in the Arabian Peninsula developed into distinctive civilizations. Sources for these civilizations are not extensive, and are limited to archaeological evidence, accounts written outside of Arabia, and Arab oral traditions later recorded by Islamic scholars. Among the most prominent civilizations was Dilmun, which arose around the 4th millennium BCE and lasted to 538 BCE, and Thamud, which arose around the 1st millennium BCE and lasted to about 300 CE. Additionally, from the beginning of the first millennium BCE, Southern Arabia was the home to a number of kingdoms, such as the Sabaean kingdom (, possibly Sheba), and the coastal areas of Eastern Arabia were controlled by the Parthian and Sassanians from 300 BCE. Origins and early history According to Arab-Islamic-Jewish traditions, Ishmael was father of the Arabs, to be the ancestor of the Ishmaelites. Both Judaism and Islam see him as the ancestor of Arab peoples. Ishmael is recognized by Muslims as the ancestor of several prominent Arab tribes and being the forefather of Muhammad. A–Z of Prophets in Islam and Judaism, Wheeler, Ishmael Muslims also believe that Muhammad was the descendant of Ishmael that would establish a great nation, as promised by God in the Old Testament. Genesis 17:20 Ishmael was considered the ancestor of the Northern Arabs and Muhammad was linked to him through the lineage of the patriarch Adnan. Ishmael may also have been the ancestor of the Southern Arabs through his descendant Qahtan. Assyrians referred to the Arab Tribes as Ishmaelites, or "Shumu'ilu" as recorded in their inscriptions. "Zayd ibn Amr" was another Pre-Islamic figure who refused idolatry and preached monotheism, claiming it was the original belief of their [Arabs] father Ishmael. The tribes of Central West Arabia called themselves the "people of Abraham and the offspring of Ishmael." Gibb, Hamilton A. R., and J. H. Kramers. 1965. Shorter Encyclopedia of Islam. Ithaca, NY: Cornell University Press. pp. 191–98 </ref> The first written attestation of the ethnonym Arab occurs in an Assyrian inscription of 853 BCE, where Shalmaneser III lists a King Gindibu of mâtu arbâi (Arab land) as among the people he defeated at the Battle of Qarqar. Some of the names given in these texts are Aramaic, while others are the first attestations of Ancient North Arabian dialects. In fact several different ethnonyms are found in Assyrian texts that are conventionally translated "Arab": Arabi, Arubu, Aribi and Urbi. Many of the Qedarite queens were also described as queens of the aribi. The Hebrew Bible occasionally refers to Aravi peoples (or variants thereof), translated as "Arab" or "Arabian." The scope of the term at that early stage is unclear, but it seems to have referred to various desert-dwelling Semitic tribes in the Syrian Desert and Arabia. Arab tribes came into conflict with the Assyrians during the reign of the Assyrian king Ashurbanipal, and he records military victories against the powerful Qedar tribe among others. Old Arabic diverges from Central Semitic by the beginning of the 1st millennium BCE. Medieval Arab genealogists divided Arabs into three groups: "Ancient Arabs", tribes that had vanished or been destroyed, such as ʿĀd and Thamud, often mentioned in the Qur'an as examples of God's power to vanquish those who fought his prophets. "Pure Arabs" of South Arabia, descending from Qahtan. The Qahtanites (Qahtanis) are said to have migrated from the land of Yemen following the destruction of the Ma'rib Dam (sadd Ma'rib). The "Arabized Arabs" (mustaʿribah) of Central Arabia (Najd) and North Arabia, descending from Ishmael the elder son of Abraham, through Adnan (hence, Adnanites). The Book of Genesis narrates that God promised Hagar to beget from Ishmael twelve princes and turn him to a great nation. The Book of Jubilees claims that the sons of Ishmael intermingled with the 6 sons of Keturah, from Abraham, and their descendants were called Arabs and Ishmaelites: Assyrian and Babylonian Royal Inscriptions and North Arabian inscriptions from 9th to 6th century BCE, mention the king of Qedar as king of the Arabs and King of the Ishmaelites. Of the names of the sons of Ishmael the names "Nabat, Kedar, Abdeel, Dumah, Massa, and Teman" were mentioned in the Assyrian Royal Inscriptions as tribes of the Ishmaelites. Jesur was mentioned in Greek inscriptions in the 1st century BCE. Ibn Khaldun's Muqaddima distinguishes between sedentary Arab Muslims who used to be nomadic, and Bedouin nomadic Arabs of the desert. He used the term "formerly nomadic" Arabs and refers to sedentary Muslims by the region or city they lived in, as in Yemenis. The Christians of Italy and the Crusaders preferred the term Saracens for all the Arabs, Muslims. The Christians of Iberia used the term Moor to describe all the Arabs and Muslims of that time. Muslims of Medina referred to the nomadic tribes of the deserts as the A'raab, and considered themselves sedentary, but were aware of their close racial bonds. The term "A'raab" mirrors the term Assyrians used to describe the closely related nomads they defeated in Syria. The Qur'an does not use the word , only the nisba adjective . The Qur'an calls itself , "Arabic", and , "clear". The two qualities are connected for example in Quran 43:2-3, "By the clear Book: We have made it an Arabic recitation in order that you may understand". The Qur'an became regarded as the prime example of the , the language of the Arabs. The term ʾiʿrāb has the same root and refers to a particularly clear and correct mode of speech. The plural noun refers to the Bedouin tribes of the desert who resisted Muhammad, for example in at-Tawba 97, "the Bedouin are the worst in disbelief and hypocrisy". Based on this, in early Islamic terminology, referred to the language, and to the Arab Bedouins, carrying a negative connotation due to the Qur'anic verdict just cited. But after the Islamic conquest of the eighth century, the language of the nomadic Arabs became regarded as the most pure by the grammarians following Abi Ishaq, and the term , "language of the Arabs", denoted the uncontaminated language of the Bedouins. Classical kingdoms Proto-Arabic, or Ancient North Arabian, texts give a clearer picture of the Arabs' emergence. The earliest are written in variants of epigraphic south Arabian musnad script, including the 8th century BCE Hasaean inscriptions of eastern Saudi Arabia, the 6th century BCE Lihyanite texts of southeastern Saudi Arabia and the Thamudic texts found throughout the Arabian Peninsula and Sinai (not in reality connected with Thamud). The Nabataeans were nomadic Arabs who moved into territory vacated by the Edomites – Semites who settled the region centuries before them. Their early inscriptions were in Aramaic, but gradually switched to Arabic, and since they had writing, it was they who made the first inscriptions in Arabic. The Nabataean alphabet was adopted by Arabs to the south, and evolved into modern Arabic script around the 4th century. This is attested by Safaitic inscriptions (beginning in the 1st century BCE) and the many Arabic personal names in Nabataean inscriptions. From about the 2nd century BCE, a few inscriptions from Qaryat al-Faw reveal a dialect no longer considered proto-Arabic, but pre-classical Arabic. Five Syriac inscriptions mentioning Arabs have been found at Sumatar Harabesi, one of which dates to the 2nd century CE. Arabs arrived in the Palmyra in the late first millennium BCE. The soldiers of the sheikh Zabdibel, who aided the Seleucids in the battle of Raphia (217 BCE), were described as Arabs; Zabdibel and his men were not actually identified as Palmyrenes in the texts, but the name "Zabdibel" is a Palmyrene name leading to the conclusion that the sheikh hailed from Palmyra. Palmyra was conquered by the Rashidun Caliphate after its 634 capture by the Arab general Khalid ibn al-Walid, who took the city on his way to Damascus; an 18-day march by his army through the Syrian Desert from Mesopotamia. By then Palmyra was limited to the Diocletian camp. After the conquest, the city became part of Homs Province. Palmyra prospered as part of the Umayyad Caliphate, and its population grew. It was a key stop on the East-West trade route, with a large souq (, market), built by the Umayyads, who also commissioned part of the Temple of Bel as a mosque. During this period, Palmyra was a stronghold of the Banu Kalb tribe. After being defeated by Marwan II during a civil war in the caliphate, Umayyad contender Sulayman ibn Hisham fled to the Banu Kalb in Palmyra, but eventually pledged allegiance to Marwan in 744; Palmyra continued to oppose Marwan until the surrender of the Banu Kalb leader al-Abrash al-Kalbi in 745. That year, Marwan ordered the city's walls demolished. In 750 a revolt, led by Majza'a ibn al-Kawthar and Umayyad pretender Abu Muhammad al-Sufyani, against the new Abbasid Caliphate swept across Syria; the tribes in Palmyra supported the rebels. After his defeat Abu Muhammad took refuge in the city, which withstood an Abbasid assault long enough to allow him to escape. Late kingdoms The Ghassanids, Lakhmids and Kindites were the last major migration of pre-Islamic Arabs out of Yemen to the north. The Ghassanids increased the Semitic presence in the then Hellenized Syria, the majority of Semites were Aramaic peoples. They mainly settled in the Hauran region and spread to modern Lebanon, Palestine and Jordan. Greeks and Romans referred to all the nomadic population of the desert in the Near East as Arabi. The Romans called Yemen "Arabia Felix". The Romans called the vassal nomadic states within the Roman Empire Arabia Petraea, after the city of Petra, and called unconquered deserts bordering the empire to the south and east Arabia Magna. The Emesene were a Roman client dynasty of Arab priest-kings known to have ruled from Emesa, Syria. Roman empress Julia Domna, matriarch of the Severan dynasty of Roman emperors, was one of their descendants. The Lakhmids as a dynasty inherited their power from the Tanukhids, the mid Tigris region around their capital Al-Hira. They ended up allying with the Sassanids against the Ghassanids and the Byzantine Empire. The Lakhmids contested control of the Central Arabian tribes with the Kindites with the Lakhmids eventually destroying the Kingdom of Kinda in 540 after the fall of their main ally Himyar. The Persian Sassanids dissolved the Lakhmid dynasty in 602, being under puppet kings, then under their direct control. The Kindites migrated from Yemen along with the Ghassanids and Lakhmids, but were turned back in Bahrain by the Abdul Qais Rabi'a tribe. They returned to Yemen and allied themselves with the Himyarites who installed them as a vassal kingdom that ruled Central Arabia from "Qaryah Dhat Kahl" (the present-day called Qaryat al-Faw). They ruled much of the Northern/Central Arabian peninsula, until they were destroyed by the Lakhmid king Al-Mundhir, and his son 'Amr. Medieval period Arab caliphates Rashidun era (632–661) After the death of Muhammad in 632, Rashidun armies launched campaigns of conquest, establishing the Caliphate, or Islamic Empire, one of the largest empires in history. It was larger and lasted longer than the previous Arab empire of Queen Mawia or the Aramean-Arab Palmyrene Empire. The Rashidun state was a completely new state and unlike the Arab kingdoms of its century such as the Himyarite, Lakhmids or Ghassanids. Umayyad era (661–750 & 756–1031) In 661, the Rashidun Caliphate fell into the hands of the Umayyad dynasty and Damascus was established as the empire's capital. The Umayyads were proud of their Arab identity and sponsored the poetry and culture of pre-Islamic Arabia. They established garrison towns at Ramla, Raqqa, Basra, Kufa, Mosul and Samarra, all of which developed into major cities. Caliph Abd al-Malik established Arabic as the Caliphate's official language in 686. This reform greatly influenced the conquered non-Arab peoples and fueled the Arabization of the region. However, the Arabs' higher status among non-Arab Muslim converts and the latter's obligation to pay heavy taxes caused resentment. Caliph Umar II strove to resolve the conflict when he came to power in 717. He rectified the disparity, demanding that all Muslims be treated as equals, but his intended reforms did not take effect, as he died after only three years of rule. By now, discontent with the Umayyads swept the region and an uprising occurred in which the Abbasids came to power and moved the capital to Baghdad. Umayyads expanded their Empire westwards capturing North Africa from the Byzantines. Before the Arab conquest, North Africa was conquered or settled by various people including Punics, Vandals and Romans. After the Abbasid Revolution, the Umayyads lost most of their territories with the exception of Iberia. Their last holding became known as the Emirate of Córdoba. It wasn't until the rule of the grandson of the founder of this new emirate that the state entered a new phase as the Caliphate of Córdoba. This new state was characterized by an expansion of trade, culture and knowledge, and saw the construction of masterpieces of al-Andalus architecture and the library of Al-Ḥakam II which housed over 400,000 volumes. With the collapse of the Umayyad state in 1031 CE, Islamic Spain was divided into small kingdoms. Abbasid era (750–1258 & 1261–1517) The Abbasids were the descendants of Abbas ibn Abd al-Muttalib, one of the youngest uncles of Muhammad and of the same Banu Hashim clan. The Abbasids led a revolt against the Umayyads and defeated them in the Battle of the Zab effectively ending their rule in all parts of the Empire with the exception of al-Andalus. In 762, the second Abbasid Caliph al-Mansur founded the city of Baghdad and declared it the capital of the Caliphate. Unlike the Umayyads, the Abbasids had the support of non-Arab subjects. The Islamic Golden Age was inaugurated by the middle of the 8th century by the ascension of the Abbasid Caliphate and the transfer of the capital from Damascus to the newly founded city of Baghdad. The Abbassids were influenced by the Qur'anic injunctions and hadith such as "The ink of the scholar is more holy than the blood of martyrs" stressing the value of knowledge. During this period the Muslim world became an intellectual centre for science, philosophy, medicine and education as the Abbasids championed the cause of knowledge and established the "House of Wisdom" () in Baghdad. Rival dynasties such as the Fatimids of Egypt and the Umayyads of al-Andalus were also major intellectual centres with cities such as Cairo and Córdoba rivaling Baghdad. The Abbasids ruled for 200 years before they lost their central control when Wilayas began to fracture in the 10th century; afterwards, in the 1190s, there was a revival of their power, which was ended by the Mongols, who conquered Baghdad in 1258 and killed the Caliph Al-Musta'sim. Members of the Abbasid royal family escaped the massacre and resorted to Cairo, which had broken from the
of the Northern Arabs and Muhammad was linked to him through the lineage of the patriarch Adnan. Ishmael may also have been the ancestor of the Southern Arabs through his descendant Qahtan. Assyrians referred to the Arab Tribes as Ishmaelites, or "Shumu'ilu" as recorded in their inscriptions. "Zayd ibn Amr" was another Pre-Islamic figure who refused idolatry and preached monotheism, claiming it was the original belief of their [Arabs] father Ishmael. The tribes of Central West Arabia called themselves the "people of Abraham and the offspring of Ishmael." Gibb, Hamilton A. R., and J. H. Kramers. 1965. Shorter Encyclopedia of Islam. Ithaca, NY: Cornell University Press. pp. 191–98 </ref> The first written attestation of the ethnonym Arab occurs in an Assyrian inscription of 853 BCE, where Shalmaneser III lists a King Gindibu of mâtu arbâi (Arab land) as among the people he defeated at the Battle of Qarqar. Some of the names given in these texts are Aramaic, while others are the first attestations of Ancient North Arabian dialects. In fact several different ethnonyms are found in Assyrian texts that are conventionally translated "Arab": Arabi, Arubu, Aribi and Urbi. Many of the Qedarite queens were also described as queens of the aribi. The Hebrew Bible occasionally refers to Aravi peoples (or variants thereof), translated as "Arab" or "Arabian." The scope of the term at that early stage is unclear, but it seems to have referred to various desert-dwelling Semitic tribes in the Syrian Desert and Arabia. Arab tribes came into conflict with the Assyrians during the reign of the Assyrian king Ashurbanipal, and he records military victories against the powerful Qedar tribe among others. Old Arabic diverges from Central Semitic by the beginning of the 1st millennium BCE. Medieval Arab genealogists divided Arabs into three groups: "Ancient Arabs", tribes that had vanished or been destroyed, such as ʿĀd and Thamud, often mentioned in the Qur'an as examples of God's power to vanquish those who fought his prophets. "Pure Arabs" of South Arabia, descending from Qahtan. The Qahtanites (Qahtanis) are said to have migrated from the land of Yemen following the destruction of the Ma'rib Dam (sadd Ma'rib). The "Arabized Arabs" (mustaʿribah) of Central Arabia (Najd) and North Arabia, descending from Ishmael the elder son of Abraham, through Adnan (hence, Adnanites). The Book of Genesis narrates that God promised Hagar to beget from Ishmael twelve princes and turn him to a great nation. The Book of Jubilees claims that the sons of Ishmael intermingled with the 6 sons of Keturah, from Abraham, and their descendants were called Arabs and Ishmaelites: Assyrian and Babylonian Royal Inscriptions and North Arabian inscriptions from 9th to 6th century BCE, mention the king of Qedar as king of the Arabs and King of the Ishmaelites. Of the names of the sons of Ishmael the names "Nabat, Kedar, Abdeel, Dumah, Massa, and Teman" were mentioned in the Assyrian Royal Inscriptions as tribes of the Ishmaelites. Jesur was mentioned in Greek inscriptions in the 1st century BCE. Ibn Khaldun's Muqaddima distinguishes between sedentary Arab Muslims who used to be nomadic, and Bedouin nomadic Arabs of the desert. He used the term "formerly nomadic" Arabs and refers to sedentary Muslims by the region or city they lived in, as in Yemenis. The Christians of Italy and the Crusaders preferred the term Saracens for all the Arabs, Muslims. The Christians of Iberia used the term Moor to describe all the Arabs and Muslims of that time. Muslims of Medina referred to the nomadic tribes of the deserts as the A'raab, and considered themselves sedentary, but were aware of their close racial bonds. The term "A'raab" mirrors the term Assyrians used to describe the closely related nomads they defeated in Syria. The Qur'an does not use the word , only the nisba adjective . The Qur'an calls itself , "Arabic", and , "clear". The two qualities are connected for example in Quran 43:2-3, "By the clear Book: We have made it an Arabic recitation in order that you may understand". The Qur'an became regarded as the prime example of the , the language of the Arabs. The term ʾiʿrāb has the same root and refers to a particularly clear and correct mode of speech. The plural noun refers to the Bedouin tribes of the desert who resisted Muhammad, for example in at-Tawba 97, "the Bedouin are the worst in disbelief and hypocrisy". Based on this, in early Islamic terminology, referred to the language, and to the Arab Bedouins, carrying a negative connotation due to the Qur'anic verdict just cited. But after the Islamic conquest of the eighth century, the language of the nomadic Arabs became regarded as the most pure by the grammarians following Abi Ishaq, and the term , "language of the Arabs", denoted the uncontaminated language of the Bedouins. Classical kingdoms Proto-Arabic, or Ancient North Arabian, texts give a clearer picture of the Arabs' emergence. The earliest are written in variants of epigraphic south Arabian musnad script, including the 8th century BCE Hasaean inscriptions of eastern Saudi Arabia, the 6th century BCE Lihyanite texts of southeastern Saudi Arabia and the Thamudic texts found throughout the Arabian Peninsula and Sinai (not in reality connected with Thamud). The Nabataeans were nomadic Arabs who moved into territory vacated by the Edomites – Semites who settled the region centuries before them. Their early inscriptions were in Aramaic, but gradually switched to Arabic, and since they had writing, it was they who made the first inscriptions in Arabic. The Nabataean alphabet was adopted by Arabs to the south, and evolved into modern Arabic script around the 4th century. This is attested by Safaitic inscriptions (beginning in the 1st century BCE) and the many Arabic personal names in Nabataean inscriptions. From about the 2nd century BCE, a few inscriptions from Qaryat al-Faw reveal a dialect no longer considered proto-Arabic, but pre-classical Arabic. Five Syriac inscriptions mentioning Arabs have been found at Sumatar Harabesi, one of which dates to the 2nd century CE. Arabs arrived in the Palmyra in the late first millennium BCE. The soldiers of the sheikh Zabdibel, who aided the Seleucids in the battle of Raphia (217 BCE), were described as Arabs; Zabdibel and his men were not actually identified as Palmyrenes in the texts, but the name "Zabdibel" is a Palmyrene name leading to the conclusion that the sheikh hailed from Palmyra. Palmyra was conquered by the Rashidun Caliphate after its 634 capture by the Arab general Khalid ibn al-Walid, who took the city on his way to Damascus; an 18-day march by his army through the Syrian Desert from Mesopotamia. By then Palmyra was limited to the Diocletian camp. After the conquest, the city became part of Homs Province. Palmyra prospered as part of the Umayyad Caliphate, and its population grew. It was a key stop on the East-West trade route, with a large souq (, market), built by the Umayyads, who also commissioned part of the Temple of Bel as a mosque. During this period, Palmyra was a stronghold of the Banu Kalb tribe. After being defeated by Marwan II during a civil war in the caliphate, Umayyad contender Sulayman ibn Hisham fled to the Banu Kalb in Palmyra, but eventually pledged allegiance to Marwan in 744; Palmyra continued to oppose Marwan until the surrender of the Banu Kalb leader al-Abrash al-Kalbi in 745. That year, Marwan ordered the city's walls demolished. In 750 a revolt, led by Majza'a ibn al-Kawthar and Umayyad pretender Abu Muhammad al-Sufyani, against the new Abbasid Caliphate swept across Syria; the tribes in Palmyra supported the rebels. After his defeat Abu Muhammad took refuge in the city, which withstood an Abbasid assault long enough to allow him to escape. Late kingdoms The Ghassanids, Lakhmids and Kindites were the last major migration of pre-Islamic Arabs out of Yemen to the north. The Ghassanids increased the Semitic presence in the then Hellenized Syria, the majority of Semites were Aramaic peoples. They mainly settled in the Hauran region and spread to modern Lebanon, Palestine and Jordan. Greeks and Romans referred to all the nomadic population of the desert in the Near East as Arabi. The Romans called Yemen "Arabia Felix". The Romans called the vassal nomadic states within the Roman Empire Arabia Petraea, after the city of Petra, and called unconquered deserts bordering the empire to the south and east Arabia Magna. The Emesene were a Roman client dynasty of Arab priest-kings known to have ruled from Emesa, Syria. Roman empress Julia Domna, matriarch of the Severan dynasty of Roman emperors, was one of their descendants. The Lakhmids as a dynasty inherited their power from the Tanukhids, the mid Tigris region around their capital Al-Hira. They ended up allying with the Sassanids against the Ghassanids and the Byzantine Empire. The Lakhmids contested control of the Central Arabian tribes with the Kindites with the Lakhmids eventually destroying the Kingdom of Kinda in 540 after the fall of their main ally Himyar. The Persian Sassanids dissolved the Lakhmid dynasty in 602, being under puppet kings, then under their direct control. The Kindites migrated from Yemen along with the Ghassanids and Lakhmids, but were turned back in Bahrain by the Abdul Qais Rabi'a tribe. They returned to Yemen and allied themselves with the Himyarites who installed them as a vassal kingdom that ruled Central Arabia from "Qaryah Dhat Kahl" (the present-day called Qaryat al-Faw). They ruled much of the Northern/Central Arabian peninsula, until they were destroyed by the Lakhmid king Al-Mundhir, and his son 'Amr. Medieval period Arab caliphates Rashidun era (632–661) After the death of Muhammad in 632, Rashidun armies launched campaigns of conquest, establishing the Caliphate, or Islamic Empire, one of the largest empires in history. It was larger and lasted longer than the previous Arab empire of Queen Mawia or the Aramean-Arab Palmyrene Empire. The Rashidun state was a completely new state and unlike the Arab kingdoms of its century such as the Himyarite, Lakhmids or Ghassanids. Umayyad era (661–750 & 756–1031) In 661, the Rashidun Caliphate fell into the hands of the Umayyad dynasty and Damascus was established as the empire's capital. The Umayyads were proud of their Arab identity and sponsored the poetry and culture of pre-Islamic Arabia. They established garrison towns at Ramla, Raqqa, Basra, Kufa, Mosul and Samarra, all of which developed into major cities. Caliph Abd al-Malik established Arabic as the Caliphate's official language in 686. This reform greatly influenced the conquered non-Arab peoples and fueled the Arabization of the region. However, the Arabs' higher status among non-Arab Muslim converts and the latter's obligation to pay heavy taxes caused resentment. Caliph Umar II strove to resolve the conflict when he came to power in 717. He rectified the disparity, demanding that all Muslims be treated as equals, but his intended reforms did not take effect, as he died after only three years of rule. By now, discontent with the Umayyads swept the region and an uprising occurred in which the Abbasids came to power and moved the capital to Baghdad. Umayyads expanded their Empire westwards capturing North Africa from the Byzantines. Before the Arab conquest, North Africa was conquered or settled by various people including Punics, Vandals and Romans. After the Abbasid Revolution, the Umayyads lost most of their territories with the exception of Iberia. Their last holding became known as the Emirate of Córdoba. It wasn't until the rule of the grandson of the founder of this new emirate that the state entered a new phase as the Caliphate of Córdoba. This new state was characterized by an expansion of trade, culture and knowledge, and saw the construction of masterpieces of al-Andalus architecture and the library of Al-Ḥakam II which housed over 400,000 volumes. With the collapse of the Umayyad state in 1031 CE, Islamic Spain was divided into small kingdoms. Abbasid era (750–1258 & 1261–1517) The Abbasids were the descendants of Abbas ibn Abd al-Muttalib, one of the youngest uncles of Muhammad and of the same Banu Hashim clan. The Abbasids led a revolt against the Umayyads and defeated them in the Battle of the Zab effectively ending their rule in all parts of the Empire with the exception of al-Andalus. In 762, the second Abbasid Caliph al-Mansur founded the city of Baghdad and declared it the capital of the Caliphate. Unlike the Umayyads, the Abbasids had the support of non-Arab subjects. The Islamic Golden Age was inaugurated by the middle of the 8th century by the ascension of the Abbasid Caliphate and the transfer of the capital from Damascus to the newly founded city of Baghdad. The Abbassids were influenced by the Qur'anic injunctions and hadith such as "The ink of the scholar is more holy than the blood of martyrs" stressing the value of knowledge. During this period the Muslim world became an intellectual centre for science, philosophy, medicine and education as the Abbasids championed the cause of knowledge and established the "House of Wisdom" () in Baghdad. Rival dynasties such as the Fatimids of Egypt and the Umayyads of al-Andalus were also major intellectual centres with cities such as Cairo and Córdoba rivaling Baghdad. The Abbasids ruled for 200 years before they lost their central control when Wilayas began to fracture in the 10th century; afterwards, in the 1190s, there was a revival of their power, which was ended by the Mongols, who conquered Baghdad in 1258 and killed the Caliph Al-Musta'sim. Members of the Abbasid royal family escaped the massacre and resorted to Cairo, which had broken from the Abbasid rule two years earlier; the Mamluk generals taking the political side of the kingdom while Abbasid Caliphs were engaged in civil activities and continued patronizing science, arts and literature. Fatimid Caliphate (909–1171) The Fatimid caliphate was founded by al-Mahdi Billah, a descendant of Fatimah, the daughter of Muhammad, in the early 10th century. Egypt was the political, cultural, and religious centre of the Fatimid empire. The Fatimid state took shape among the Kutama Berbers, in the West of the North African littoral, in Algeria, in 909 conquering Raqqada, the Aghlabid capital. In 921 the Fatimids established the Tunisian city of Mahdia as their new capital. In 948 they shifted their capital to Al-Mansuriya, near Kairouan in Tunisia, and in 969 they conquered Egypt and established Cairo as the capital of their caliphate. Intellectual life in Egypt during the Fatimid period achieved great progress and activity, due to many scholars who lived in or came to Egypt, as well as the number of books available. Fatimid Caliphs gave prominent positions to scholars in their courts, encouraged students, and established libraries in their palaces, so that scholars might expand their knowledge and reap benefits from the work of their predecessors. The Fatimids were also known for their exquisite arts. Many traces of Fatimid architecture exist in Cairo today; the most defining examples include Al-Hakim Mosque and the Al-Azhar University. It was not until the 11th century that the Maghreb saw a large influx of ethnic Arabs. Starting with the 11th century, the Arab bedouin Banu Hilal tribes migrated to the West. Having been sent by the Fatimids to punish the Berber Zirids for abandoning Shias, they travelled westwards. The Banu Hilal quickly defeated the Zirids and deeply weakened the neighboring Hammadids. According to some modern historians. their influx was a major factor in the arabization of the Maghreb. Although Berbers ruled the region until the 16th century (under such powerful dynasties as the Almoravids, the Almohads, Hafsids, etc.), the arrival of these tribes eventually helped Arabize much of it ethnically, in addition to the linguistic and political impact on local non-Arabs. Ottoman Empire From 1517 to 1918, much of the Arab world was under the suzerainty of the Ottoman Empire. The Ottomans defeated the Mamluk Sultanate in Cairo, and ended the Abbasid Caliphate. Arabs did not feel the change of administration because the Ottomans modeled their rule after the previous Arab administration systems. In 1911, Arab intellectuals and politicians from throughout the Levant formed al-Fatat ("the Young Arab Society"), a small Arab nationalist club, in Paris. Its stated aim was "raising the level of the Arab nation to the level of modern nations." In the first few years of its existence, al-Fatat called for greater autonomy within a unified Ottoman state rather than Arab independence from the empire. Al-Fatat hosted the Arab Congress of 1913 in Paris, the purpose of which was to discuss desired reforms with other dissenting individuals from the Arab world. However, as the Ottoman authorities cracked down on the organization's activities and members, al-Fatat went underground and demanded the complete independence and unity of the Arab provinces. After World War I, when the Ottoman Empire was overthrown by the British Empire, former Ottoman colonies were divided up between the British and French as League of Nations mandates. Modern period Arabs in modern times live in the Arab world, which comprises 22 countries in Western Asia, North Africa, and parts of the Horn of Africa. They are all modern states and became significant as distinct political entities after the fall and defeat and dissolution of the Ottoman Empire (1908–1922). Identity Arab identity is defined independently of religious identity, and pre-dates the spread of Islam, with historically attested Arab Christian kingdoms and Arab Jewish tribes. Today, however, most Arabs are Muslim, with a minority adhering to other faiths, largely Christianity, but also Druze and Baháʼí. Paternal descent has traditionally been considered the main source of affiliation in the Arab world when it comes to membership into an ethnic group or clan. Today, the main unifying characteristic among Arabs is Arabic, a Central Semitic language from the Afroasiatic language family. Modern Standard Arabic serves as the standardized and literary variety of Arabic used in writing. The Arabs are first mentioned in the mid-ninth century BCE as a tribal people dwelling in the central Arabian Peninsula subjugated by Upper Mesopotamia-based state of Assyria. The Arabs appear to have remained largely under the vassalage of the Neo-Assyrian Empire (911–605 BCE), and then the succeeding Neo-Babylonian Empire (605–539 BCE), Persian Achaemenid Empire (539–332 BCE), Greek Macedonian/Seleucid Empire and Parthian Empire. Arab tribes, most notably the Ghassanids and Lakhmids begin to appear in the south Syrian deserts and southern Jordan from the mid 3rd century CE onwards, during the mid to later stages of the Roman Empire and Sasanian Empire. Also, before them the Nabataeans of Jordan and arguably the Emessans, Edessans, and Hatrans all appear to have been an Aramaic speaking ethnic Arabs who came to rule much of the pre-Islamic fertile crescent often as vassals of the two rival empires, the Sasanian (Persian) and the Byzantine (Eastern Roman). Thus, although a more limited diffusion of Arab culture and language was felt in some areas by these migrant minority Arabs in pre-Islamic times through Arabic-speaking Christian kingdoms and Jewish tribes, it was only after the rise of Islam in the mid-7th century that Arab culture, people and language began their wholesale spread from the central Arabian Peninsula (including the south Syrian desert) through conquest and trade. Subgroups Arabs in the narrow sense are the indigenous Arabians who trace their roots back to the tribes of Arabia and their immediate descendant groups in the Levant and North Africa. Within the people of the Arabian Peninsula, distinction is made between: "Perishing Arabs" (), which are ancient tribes about whose history little is known. They include ʿĀd (), Thamûd (), Tasm, Jadis, Imlaq and others. Jadis and Tasm perished because of genocide. 'Aad and Thamud perished because of their decadence, as recorded in the Qur'an. Archaeologists have recently uncovered inscriptions that contain references to Iram dhāṫ al-'Imād (, Iram of the Pillars), which was a major city of the 'Aad. Imlaq is the singular form of 'Amaleeq and is probably synonymous to the biblical Amalek. "Pure Arabs" () or Qahtanites from Yemen, taken to be descended from Ya'rub ibn Yashjub ibn Qahtan and further from Hud. "Arabized Arabs" () or Adnanites, taken to be the descendants of Ishmael son of Abraham. Arabians are most prevalent in the Arabian Peninsula, but are also found in large numbers in Mesopotamia (Arab tribes in Iraq), the Levant and Sinai (Negev Bedouin, Tarabin bedouin), as well as the Maghreb (Eastern Libya, South Tunisia and South Algeria) and the Sudan region. This traditional division of the Arabs of Arabia may have arisen at the time of the First Fitna. Of the Arabian tribes that interacted with Muhammad, the most prominent was the Quraysh. The Quraysh subclan, the Banu Hashim, was the clan of Muhammad. During the early Muslim conquests and the Islamic Golden Age, the political rulers of Islam were exclusively members of the Quraysh. The Arab presence in Iran did not begin with the Arab conquest of Persia in 633 CE. For centuries, Iranian rulers had maintained contacts with Arabs outside their borders, dealt with Arab subjects and client states (such as those of Iraq and Yemen), and settled Arab tribesmen in various parts of the Iranian plateau. It follows that the "Arab" conquests and settlements were by no means the exclusive work of Arabs from the Hejaz and the tribesmen of inner Arabia. The Arab infiltration into Iran began before the Muslim conquests and continued as a result of the joint exertions of the civilized Arabs (ahl al-madar) as well as the desert Arabs (ahl al-wabar). The largest group of Iranian Arabs are the Ahwazi Arabs, including Banu Ka'b, Bani Turuf and the Musha'sha'iyyah sect. Smaller groups are the Khamseh nomads in Fars Province and the Arabs in Khorasan. The Arabs of the Levant are traditionally divided into Qays and Yaman tribes. This tribal division is likewise taken to date to the Umayyad period. The Yemen trace their origin to South Arabia or Yemen; they include Banu Kalb, Kinda, Ghassanids, and Lakhmids. Since the 1834 Peasants' revolt in Palestine, the Arabic-speaking population of Palestine has shed its formerly tribal structure and emerged as the Palestinians. Native Jordanians are either descended from Bedouins (of which, 6% live a nomadic lifestyle), or from the many deeply rooted non bedouin communities across the country, most notably Al-Salt city west of Amman which was at the time of Emirate the largest urban settlement east of the Jordan River. Along with indigenous communities in Al Husn, Aqaba, Irbid, Al Karak, Madaba, Jerash, Ajloun, Fuheis and Pella. In Jordan, there is no official census data for how many inhabitants have Palestinian roots but they are estimated to constitute half of the population, which in 2008 amounted to about 3 million. Palestinian Central Bureau of Statistics put their number at 3.24 million in 2009. The Bedouins of western Egypt and eastern Libya are traditionally divided into Saʿada and Murabtin, the Saʿada having higher social status. This may derive from a historical feudal system in which the Murabtin were vassals to the Saʿada. In Sudan, there are numerous Arabic-speaking tribes, including the Shaigya, Ja'alin and Shukria, who are ancestrally related to the Nubians. These groups are collectively known as Sudanese Arabs. In addition, there are other Afroasiatic-speaking populations, such as Copts and Beja. The medieval trans-Saharan slave trade in the Sudan drove a wedge between the Arabized Sudanese and the non-Arabized Nilotic Sudanese populations. It has contributed to ethnic conflict in the region, such as the Sudanese conflict in South Kordofan and Blue Nile, Northern Mali conflict, or the Boko Haram insurgency. The Arabs of the Maghreb are descendants of Arabian tribes of Banu Hilal, the Banu Sulaym and the Maqil native of Middle East and of other tribes native to Saudi Arabia, Yemen and Iraq. Arabs and Arabic-speakers inhabit plains and cities. The Banu Hilal spent almost a century in Egypt before moving to Libya, Tunisia and Algeria, and another century later some moved to Morocco, it is logical to think that they are mixed with inhabitants of Egypt and with Libya. Demographics The total number of Arabic speakers living in the Arab nations is estimated at 366 million by the CIA Factbook (as of 2014). The estimated number of Arabs in countries outside the Arab League is estimated at 17.5 million, yielding a total of close to 384 million. Arab world According to the Charter of the Arab League (also known as the Pact of the League of Arab States), the League of Arab States is composed of independent Arab states that are signatories to the Charter. Although all Arab states have Arabic as an official language, there are many non-Arabic-speaking populations native to the Arab world. Among these are Berbers, Toubou, Nubians, Jews, Assyrians, Armenians, Kurds. Additionally, many Arab countries in the Persian Gulf have sizable non-Arab immigrant populations (10–70%). Iraq, Bahrain, Kuwait, Qatar, United Arab Emirates and Oman have a Persian speaking minority. The same countries also have Hindi-Urdu speakers and Filipinos as sizable minority. Balochi speakers are a good size minority in Oman. Additionally, countries like Bahrain, UAE, Oman and Kuwait have significant non-Arab and non-Muslim minorities (10–20%) like Hindus and Christians from South Asia and the Philippines. The table below shows the distribution of populations in the Arab world, as well as the official language(s) within the various Arab states. Arab diaspora Arab diaspora refers to descendants of the Arab immigrants who, voluntarily or as refugees, emigrated from their native lands in non-Arab countries, primarily in East Africa, South America, Europe, North America, Australia and parts of South Asia, Southeast Asia, the Caribbean, and West Africa. According to the International Organization for Migration, there are 13 million first-generation Arab migrants in the world, of which 5.8 million reside in Arab countries. Arab expatriates contribute to the circulation of financial and human capital in the region and thus significantly promote regional development. In 2009, Arab countries received a total of 35.1 billion USD in remittance in-flows and remittances sent to Jordan, Egypt and Lebanon from other Arab countries are 40 to 190 per cent higher than trade revenues between these and other Arab countries. The 250,000 strong Lebanese community in West Africa is the largest non-African group in the region. Arab traders have long operated in Southeast Asia and along the East Africa's Swahili coast. Zanzibar was once ruled by Omani Arabs. Most of the prominent Indonesians, Malaysians, and Singaporeans of Arab descent are Hadhrami people with origins in southern Arabia in the Hadramawt coastal region. There are millions of Arabs living in Europe, mostly concentrated in France (about 6,000,000 in 2005). Most Arabs in France are from the Maghreb but some also come from the Mashreq areas of the Arab world. Arabs in France form the second largest ethnic group after ethnically French people. In Italy, Arabs first arrived on the southern island of Sicily in the 9th century. The largest modern societies on the island from the Arab world are Tunisians and Moroccans, who make up 10.9% and 8% respectively of the foreign population of Sicily, which in itself constitutes 3.9% of the island's total population. The modern Arab population of Spain numbers 1,800,000, and there have been Arabs in Spain since the early 8th century when the Umayyad conquest of Hispania created the state of Al-Andalus. In Germany the Arab population numbers over 1,000,000, in the United Kingdom between 366,769 and 500,000, and in Greece between 250,000 and 750,000). In addition, Greece is home to people from Arab countries who have the status of refugees (e.g. refugees of the Syrian civil war). In the Netherlands 180,000, and in Denmark 121,000. Other European countries are also home to Arab populations, including Norway, Austria, Bulgaria, Switzerland, North Macedonia, Romania and Serbia. As of late 2015, Turkey had a total population of 78.7 million, with Syrian refugees accounting for 3.1% of that figure based on conservative estimates. Demographics indicated that the country previously had 1,500,000 to 2,000,000 Arab residents, so Turkey's Arab population is now 4.5 to 5.1% of the total population, or approximately 4–5 million people. Arab immigration to the United States began in sizable numbers during the 1880s. Today, it is estimated that nearly 3.7 million Americans trace their roots to an Arab country. Arab Americans are found in every state, but more than two thirds of them live in just ten states: California, Michigan, New York, Florida, Texas, New Jersey, Illinois, Ohio, Pennsylvania, and Virginia. Metropolitan Los Angeles, Detroit, and New York City are home to one-third of the population. Contrary to popular assumptions or stereotypes, the majority of Arab Americans are native-born, and nearly 82% of Arabs in the U.S. are citizens. Arabs immigrants began to arrive in Canada in small numbers in 1882. Their immigration was relatively limited until 1945, after which time it increased progressively, particularly in the 1960s and thereafter. According to the website "Who are Arab Canadians," Montreal, the Canadian city with the largest Arab population, has approximately 267,000 Arab inhabitants. Latin America has the largest Arab population outside of the Arab World. Latin America is home to anywhere from 17–25 to 30 million people of Arab descent, which is more than any other diaspora region in the world. The Brazilian and Lebanese governments claim there are 7 million Brazilians of Lebanese descent. Also, the Brazilian government claims there are 4 million Brazilians of Syrian descent. According to research conducted by IBGE in 2008, covering only the states of Amazonas, Paraíba, São Paulo, Rio Grande do Sul, Mato Grosso and Distrito Federal, 0.9% of white Brazilian respondents said they had family origins in
Family Chlamyphoridae Subfamily Chlamyphorinae Genus Calyptophractus Greater fairy armadillo, Calyptophractus retusus Genus Chlamyphorus Pink fairy armadillo, Chlamyphorus truncatus Subfamily Euphractinae Genus Chaetophractus Screaming hairy armadillo, Chaetophractus vellerosus Big hairy armadillo, Chaetophractus villosus Andean hairy armadillo, Chaetophractus nationi Genus †Macroeuphractus Genus †Paleuphractus Genus †Proeuphractus Genus †Doellotatus Genus †Peltephilus †Horned armadillo, Peltephilus ferox Genus Euphractus Six-banded armadillo, Euphractus sexcinctus Genus Zaedyus Pichi, Zaedyus pichiy Subfamily Tolypeutinae Genus †Kuntinaru Genus Cabassous Northern naked-tailed armadillo, Cabassous centralis Chacoan naked-tailed armadillo, Cabassous chacoensis Southern naked-tailed armadillo, Cabassous unicinctus Greater naked-tailed armadillo, Cabassous tatouay Genus Priodontes Giant armadillo, Priodontes maximus Genus Tolypeutes Southern three-banded armadillo, Tolypeutes matacus Brazilian three-banded armadillo, Tolypeutes tricinctus † indicates extinct taxon Phylogeny Below is a recent simplified phylogeny of the xenarthran families, which includes armadillos, based on Slater et al. (2016) and Delsuc et al. (2016). The dagger symbol, "†", denotes extinct groups. }} Evolution Recent genetic research suggests that an extinct group of giant armored mammals, the glyptodonts, should be included within the lineage of armadillos, having diverged some 35 million years ago, more recently than previously assumed. Distribution Like all of the Xenarthra lineages, armadillos originated in South America. Due to the continent's former isolation, they were confined there for most of the Cenozoic. The recent formation of the Isthmus of Panama allowed a few members of the family to migrate northward into southern North America by the early Pleistocene, as part of the Great American Interchange. (Some of their much larger cingulate relatives, the pampatheres and chlamyphorid glyptodonts, made the same journey.) Today, all extant armadillo species are still present in South America. They are particularly diverse in Paraguay (where 11 species exist) and surrounding areas. Many species are endangered. Some, including four species of Dasypus, are widely distributed over the Americas, whereas others, such as Yepes's mulita, are restricted to small ranges. Two species, the northern naked-tailed armadillo and nine-banded armadillo, are found in Central America; the latter has also reached the United States, primarily in the south-central states (notably Texas), but with a range that extends as far east as North Carolina and Florida, and as far north as southern Nebraska and southern Indiana. Their range has consistently expanded in North America over the last century due to a lack of natural predators. Characteristics Size The smallest species of armadillo, the pink fairy armadillo, weighs around and is in total length. The largest species, the giant armadillo, can weigh up to , and can be long. Diet and predation The diets of different armadillo species vary, but consist mainly of insects, grubs, and other invertebrates. Some species, however, feed almost entirely on ants and termites. They are prolific diggers. Many species use their sharp claws to dig for food, such as grubs, and to dig dens. The nine-banded armadillo prefers to build burrows in moist
when surprised, so consequently often collides with the undercarriage or fenders of passing vehicles to its demise. Movement Armadillos have short legs, but can move quite quickly. The nine-banded armadillo is noted for its movement through water which is accomplished via two different methods: it can walk underwater for short distances, holding its breath for as long as six minutes; also, to cross larger bodies of water, it is capable of increasing its buoyancy by swallowing air, inflating its stomach and intestines. Reproduction Gestation lasts from 60 to 120 days, depending on species, although the nine-banded armadillo also exhibits delayed implantation, so the young are not typically born for eight months after mating. Most members of the genus Dasypus give birth to four monozygotic young (that is, identical quadruplets), but other species may have typical litter sizes that range from one to eight. The young are born with soft, leathery skin which hardens within a few weeks. They reach sexual maturity in three to twelve months, depending on the species. Armadillos are solitary animals that do not share their burrows with other adults. Armadillos and humans In science Disease Armadillos are often used in the study of leprosy, since they, along with mangabey monkeys, rabbits, and mice (on their footpads), are among the few known species that can contract the disease systemically. They are particularly susceptible due to their unusually low body temperature, which is hospitable to the leprosy bacterium, Mycobacterium leprae. (The leprosy bacterium is difficult to culture and armadillos have a body temperature of , similar to human skin.) Humans can acquire a leprosy infection from armadillos by handling them or consuming armadillo meat. Armadillos are a presumed vector and natural reservoir for the disease in Texas, Louisiana and Florida. Prior to the arrival of Europeans in the late 15th century, leprosy was unknown in the New World. Given that armadillos are native to the New World, at some point they must have acquired the disease from old-world humans. The armadillo is also a natural reservoir for Chagas disease. Reproduction The nine-banded armadillo also serves science through its unusual reproductive system, in which four genetically identical offspring are born, the result of one original egg. Because they are always genetically identical, the group of four young provides a good subject for scientific, behavioral, or medical tests that need consistent biological and genetic makeup in the test subjects. This is the only reliable manifestation of polyembryony in the class Mammalia, and exists only within the genus Dasypus and not in all armadillos, as is commonly believed. Other species that display this trait include parasitoid wasps, certain flatworms, and various aquatic invertebrates. Education Armadillos (mainly Dasypus) are common roadkill due to their habit of jumping 3–4 ft vertically when startled, which puts them into collision with the underside of vehicles. Wildlife enthusiasts are using the northward march of the armadillo as an opportunity to educate others
book. In March 1921, Musa Khazem El Husseini, Mayor of Jerusalem, told Winston Churchill "The Jews have been amongst the most active advocates of destruction in many lands. ... It is well known that the disintegration of Russia was wholly or in great part brought about by the Jews, and a large proportion of the defeat of Germany and Austria must also be put at their door." Matthias Küntzel has suggested that the decisive transfer of Jewish conspiracy theory took place between 1937 and 1945 under the impact of Nazi propaganda targeted at the Arab world. According to Kuntzel, the Nazi Arabic radio service had a staff of 80 and broadcast every day in Arabic, stressing the similarities between Islam and Nazism and supported by the activities of the Grand Mufti of Jerusalem, Amin al-Husseini (who broadcast pro-Nazi propaganda from Berlin). Alongside al-Husseini's collaboration with the Nazis, cooperative political and military relationships between the Arab world and the Axis powers (Nazi Germany and Fascist Italy) were founded on shared antisemitic scorn and hostilities toward common enemies: the United Kingdom, France, and Zionism. The Nazi regime also provided funding to the Egyptian Moslem Brotherhood, which began calling for boycotts of Jewish businesses in 1936. Bernard Lewis also describes Nazi influence in the Arab world, including its impact on Michel Aflaq, the principal founder of Ba'athist thought (which later dominated Syria and Iraq). After the promulgation of the Nuremberg Laws, Hitler received telegrams of congratulation from all over the Arab and Muslim world, especially from Morocco and Palestine, where the Nazi propaganda had been most active.... Before long political parties of the Nazi and Fascist type began to appear, complete with paramilitary youth organizations, colored shirts, strict discipline and more or less charismatic leaders. George Gruen attributes the increased animosity towards Jews in the Arab world to the defeat and breakdown of the Ottoman Empire and traditional Islamic society; domination by Western colonial powers under which Jews gained a disproportionately large role in the commercial, professional, and administrative life of the region; the rise of Arab nationalism, whose proponents sought the wealth and positions of local Jews through government channels; resentment over Jewish nationalism and the Zionist movement; and the readiness of unpopular Arab regimes to scapegoat local Jews for political purposes. After the 1948 Arab–Israeli War, the Palestinian exodus, the creation of the state of Israel, and the independence of Arab countries from European control, conditions for Jews in the Arab world deteriorated. Over the next few decades, almost all would flee the Arab world, some willingly, and some under threat (see Jewish exodus from Arab and Muslim countries). In 1945 there were between 758,000 and 866,000 Jews (see table below) living in communities throughout the Arab world. Today, there are fewer than 8,000. In some Arab states, such as Libya (which was once around 3% Jewish), the Jewish community no longer exists; in other Arab countries, only a few hundred Jews remain. Harvard University Professor Ruth R. Wisse claims that "anti-Semitism / Zionism has been the cornerstone of pan-Arab politics since the Second World War" and that it is the "strongest actual and potential source of unity" in the Arab world. This is because Jews and Israel function as substitutes for Western values that challenge the hegemony of religious and political power in the Middle East. Antisemitism is also malleable enough that it can unite right-wing and left-wing groups within the Arab world. Robert Bernstein, founder of Human Rights Watch, says that antisemitism is "deeply ingrained and institutionalized" in "Arab nations in modern times". Contemporary attitudes Israeli Arabs In 2003, Israeli-Arab Raed Salah, the leader of the northern branch of the Islamic Movement in Israel published the following poem in the Islamic Movement's periodical: You Jews are criminal bombers of mosques, Slaughterers of pregnant women and babies. Robbers and germs in all times, The Creator sentenced you to be loser monkeys, Victory belongs to Muslims, from the Nile to the Euphrates. During a speech in 2007, Salah accused Jews of using children's blood to bake bread. "We have never allowed ourselves to knead [the dough for] the bread that breaks the fast in the holy month of Ramadan with children's blood," he said. "Whoever wants a more thorough explanation, let him ask what used to happen to some children in Europe, whose blood was mixed in with the dough of the [Jewish] holy bread.". Kamal Khatib, deputy leader of the northern branch of the Islamic movement, referred in one of his speeches to the Jews as "fleas" Of all groups surveyed, a 2010 Pew Research global poll found that Israeli Arabs have the lowest rate of anti-Jewish attitudes in the Middle East. Egypt Egyptian Muslim Brotherhood leader Mohammed Mahdi Akef has denounced what he called "the myth of the Holocaust" in defending Iranian president Mahmoud Ahmadinejad's denial of it. The Egyptian government-run newspaper, Al Akhbar, on April 29, 2002, published an editorial denying the Holocaust as a fraud. The next paragraph decries the failure of the Holocaust to eliminate all of the Jews: With regard to the fraud of the Holocaust.... Many French studies have proven that this is no more than a fabrication, a lie, and a fraud!! That is, it is a 'scenario' the plot of which was carefully tailored, using several faked photos completely unconnected to the truth. Yes, it is a film, no more and no less. Hitler himself, whom they accuse of Nazism, is in my eyes no more than a modest 'pupil' in the world of murder and bloodshed. He is completely innocent of the charge of frying them in the hell of his false Holocaust!! The entire matter, as many French and British scientists and researchers have proven, is nothing more than a huge Israeli plot aimed at extorting the German government in particular and the European countries in general. But I, personally and in light of this imaginary tale, complain to Hitler, even saying to him from the bottom of my heart, 'If only you had done it, brother, if only it had really happened, so that the world could sigh in relief [without] their evil and sin.' In an article in October 2000 columnist Adel Hammoda alleged in the state-owned Egyptian newspaper al-Ahram that Jews made Matza from the blood of (non-Jewish) children. Mohammed Salmawy, editor of Al-Ahram Hebdo, "defended the use of old European myths like the blood libel" in his newspapers. In August 2010, Saudi columnist Iman Al-Quwaifli sharply criticized the "phenomenon of sympathy for Adolf Hitler and for Nazism in the Arab world", specifically citing the words of Hussam Fawzi Jabar, an Islamic cleric who justified Hitler's actions against the Jews in an Egyptian talk show one month earlier. In an October 2012 sermon broadcast on Egyptian Channel 1 (which was attended by Egyptian President Muhammad Morsi) Futouh Abd Al-Nabi Mansour, the Head of Religious Endowment of the Matrouh Governorate, prayed (as translated by MEMRI): Jordan Jordan does not allow entry to Jews with visible signs of Judaism or even with personal religious items in their possession. The Jordanian ambassador to Israel replied to a complaint by a religious Jew denied entry that security concerns required that travelers entering the Hashemite Kingdom not do so with prayer shawls (Tallit) and phylacteries (Tefillin). Jordanian authorities state that the policy is in order to ensure the Jewish tourists' safety. In July 2009, six Breslov Hasidim were deported after attempting entry into Jordan in order to visit the tomb of Aaron / Sheikh Harun on Mount Hor, near Petra, because of an alert from the Ministry of Tourism. The group had taken a ferry from Sinai, Egypt because they understood that Jordanian authorities were making it hard for visible Jews to enter from Israel. The Israeli Ministry of Foreign Affairs is aware of the issue. Saudi Arabia Hostility toward Jews is common in Saudi Arabian media, religious sermons, school curriculum, and official government policy. Indoctrination against Jews is a part of school curriculum in Saudi Arabia. Children are advised not to befriend Jews, are given false information about them (such as the claim that
Islam during the 1980s and afterwards provided a new mutation of Islamic antisemitism, giving the hatred of Jews a religious component. In their 2008 report on contemporary Arab-Muslim antisemitism, the Israeli Intelligence and Terrorism Information Center dates the beginning of this phenomenon to the spread of classic European Christian antisemitism into the Arab world starting in the late 19th century. In 2014, the Anti-Defamation League published a global survey of worldwide antisemitic attitudes, reporting that in the Middle East, 74% of adults agreed with a majority of the survey's eleven antisemitic propositions, including that "Jews have too much power in international financial markets" and that "Jews are responsible for most of the world's wars." Medieval times Jews, along with Christians, Sabians, and Zoroastrians living under early and medieval Muslim rule were known as "People of the Book" to Muslims and subjected to the status of dhimmi ("protected" minority) in the lands conquered by Muslim Arabs, a status generally applied to Non-Muslim minorities that was later also extended to other Non-Muslims like Sikhs, Hindus, Jains, and Buddhists. Jews were generally seen as a religious group (not a separate race), thus being a part of the "Arab family". Dhimmi were subjected to a number of restrictions, the application and severity of which varied with time and place. Restrictions included residency in segregated quarters, obligation to wear distinctive clothing such as the Yellow badge, public subservience to Muslims, prohibitions against proselytizing and against marrying Muslim women, and limited access to the legal system (the testimony of a Jew did not count if contradicted by that of a Muslim). Dhimmi had to pay a special poll tax (the jizya), which exempted them from military service, and also from payment of the zakat alms tax required of Muslims. In return, dhimmi were granted limited rights, including a degree of tolerance, community autonomy in personal matters, and protection from being killed outright. Jewish communities, like Christian ones, were typically constituted as semi-autonomous entities managed by their own laws and leadership, who carried the responsibility for the community towards the Muslim rulers. By medieval standards, conditions for Jews under Islam were generally more formalized and better than those of Jews in Christian lands, in part due to the sharing of minority status with Christians in these lands. There is evidence for this claim in that the status of Jews in lands with no Christian minority was usually worse than their status in lands with one. For example, there were numerous incidents of massacres and ethnic cleansing of Jews in North Africa, especially in Morocco, Libya, and Algeria where eventually Jews were forced to live in ghettos. Decrees ordering the destruction of synagogues were enacted in the Middle Ages in Egypt, Syria, Iraq, and Yemen. At certain times in Yemen, Morocco, and Baghdad, Jews were forced to convert to Islam or face the death penalty. The situation where Jews both enjoyed cultural and economic prosperity at times, but were widely persecuted at other times, was summarised by G. E. Von Grunebaum: It would not be difficult to put together the names of a very sizable number of Jewish subjects or citizens of the Islamic area who have attained to high rank, to power, to great financial influence, to significant and recognized intellectual attainment; and the same could be done for Christians. But it would again not be difficult to compile a lengthy list of persecutions, arbitrary confiscations, attempted forced conversions, or pogroms. Views in modernity Some scholars hold that Arab antisemitism in the modern world arose in the nineteenth century, against the backdrop of conflicting Jewish and Arab nationalism, and was imported into the Arab world primarily by nationalistically minded Christian Arabs (and only subsequently was it "Islamized"), Mark Cohen states. According to Bernard Lewis: 19th century The Damascus affair was an accusation of ritual murder and a blood libel against Jews in Damascus in 1840. On February 5, 1840, Franciscan Capuchin friar Father Thomas and his Greek servant were reported missing, never to be seen again. The Turkish governor and the French consul Ratti-Menton believed accusations of ritual murder and blood libel, as the alleged murder occurred before the Jewish Passover. An investigation was staged, and Solomon Negrin, a Jewish barber, confessed under torture and accused other Jews. Two other Jews died under torture, and one (Moses Abulafia) converted to Islam to escape torture. More arrests and atrocities followed, culminating in 63 Jewish children being held hostage and mob attacks on Jewish communities throughout the Middle East. International outrage led to Ibrahim Pasha in Egypt ordering an investigation. Negotiations in Alexandria eventually secured the unconditional release and recognition of innocence of the nine prisoners still remaining alive (out of thirteen). Later in Constantinople, Moses Montefiore (leader of the British Jewish community) persuaded Sultan Abdülmecid I to issue a firman (edict) intended to halt the spread of blood libel accusations in the Ottoman Empire: ... and for the love we bear to our subjects, we cannot permit the Jewish nation, whose innocence for the crime alleged against them is evident, to be worried and tormented as a consequence of accusations which have not the least foundation in truth.... Nevertheless, the blood libel spread through the Middle East and North Africa: Aleppo (1810, 1850, 1875), Damascus (1840, 1848, 1890), Beirut (1862, 1874), Dayr al-Qamar (1847), Jerusalem (1847), Cairo (1844, 1890, 1901–02), Mansura (1877), Alexandria (1870, 1882, 1901–02), Port Said (1903, 1908), and Damanhur (1871, 1873, 1877, 1892). The Dreyfus affair of the late 19th century had consequences in the Arab world. Passionate outbursts of antisemitism in France were echoed in areas of French influence, especially Maronite Lebanon. The Muslim Arab press, however, was sympathetic to the falsely accused Captain Dreyfus, and criticized the persecution of Jews in France. 20th century Pre-state antisemitism While Arab antisemitism has increased in the wake of the Arab–Israeli conflict, there were pogroms against Jews prior to the establishment of the State of Israel in May 1948, including Nazi-inspired pogroms in Algeria in the 1930s, and attacks on the Jews of Iraq and Libya in the 1940s. In 1941, 180 Jews were murdered and 700 were injured in the anti-Jewish riots known as "the Farhud". Four hundred Jews were injured in violent demonstrations in Egypt in 1945 and Jewish property was vandalized and looted. In Libya, 130 Jews were killed and 266 injured. In December 1947, 13 Jews were killed in Damascus, including 8 children, and 26 were injured. In Aleppo, rioting resulted in dozens of Jewish casualties, damage to 150 Jewish homes, and the torching of 5 schools and 10 synagogues. In Yemen, 97 Jews were murdered and 120 injured. Speculated causes Antisemitism in the Arab world increased in the 20th century, as resentment against Jewish immigration and Zionist activities in Palestine Mandate grew. Around this time, the fabricated antisemitic text The Protocols of the Elders of Zion started to become available in Palestine. A translation of the text in Arabic was done by an Arab Christian in Cairo in 1927 or 1928, this time as a published book. In March 1921, Musa Khazem El Husseini, Mayor of Jerusalem, told Winston Churchill "The Jews have been amongst the most active advocates of destruction in many lands. ... It is well known that the disintegration of Russia was wholly or in great part brought about by the Jews, and a large proportion of the defeat of Germany and Austria must also be put at their door." Matthias Küntzel has suggested that the decisive transfer of Jewish conspiracy theory took place between 1937 and 1945 under the impact of Nazi propaganda targeted at the Arab world. According to Kuntzel, the Nazi Arabic radio service had a staff of 80 and broadcast every day in Arabic, stressing the similarities between Islam and Nazism and supported by the activities of the Grand Mufti of Jerusalem, Amin al-Husseini (who broadcast pro-Nazi propaganda from Berlin). Alongside al-Husseini's collaboration with the Nazis, cooperative political and military relationships between the Arab world and the Axis powers (Nazi Germany and Fascist Italy) were founded on shared antisemitic scorn and hostilities toward common enemies: the United Kingdom, France, and Zionism. The Nazi regime also provided funding to the Egyptian Moslem Brotherhood, which began calling for boycotts of Jewish businesses in 1936. Bernard Lewis also describes Nazi influence in the Arab world, including its impact on Michel Aflaq, the principal founder of Ba'athist thought (which later dominated Syria and Iraq). After the promulgation of the Nuremberg Laws, Hitler received telegrams of congratulation from all over the Arab and Muslim world, especially from Morocco and Palestine, where the Nazi propaganda had been most active.... Before long political parties of the Nazi and Fascist type began to appear, complete with paramilitary youth organizations, colored shirts, strict discipline and more or less charismatic leaders. George Gruen attributes the increased animosity towards Jews in the Arab world to the defeat and breakdown of the Ottoman Empire and traditional Islamic society; domination by Western colonial powers under which Jews gained a disproportionately large role in the commercial, professional, and administrative life of the region; the rise of Arab nationalism, whose proponents sought the wealth and positions of local Jews through government channels; resentment over Jewish nationalism and the Zionist movement; and the readiness of unpopular Arab regimes to scapegoat local Jews for political purposes. After the 1948 Arab–Israeli War, the Palestinian exodus, the creation of the state of Israel, and the independence of Arab countries from European control, conditions for Jews in the Arab world deteriorated. Over the next few decades, almost all would flee the Arab world, some willingly, and some under threat (see Jewish exodus from Arab and Muslim countries). In 1945 there were between 758,000 and 866,000 Jews (see table below) living in communities throughout the Arab world. Today, there are fewer than 8,000. In some Arab states, such as Libya (which was once around 3% Jewish), the Jewish community no longer exists; in other Arab countries, only a few hundred Jews remain. Harvard University Professor Ruth R. Wisse claims that "anti-Semitism / Zionism has been the cornerstone of pan-Arab politics since the Second World War" and that it is the "strongest actual and potential source of unity" in the Arab world. This is because Jews and Israel function as substitutes for Western values that challenge the hegemony of religious and political power in the Middle East. Antisemitism is also malleable enough that it can unite right-wing and left-wing groups within the Arab world. Robert Bernstein, founder of Human Rights Watch, says that antisemitism is "deeply ingrained and institutionalized" in "Arab nations in modern times". Contemporary attitudes Israeli Arabs In 2003, Israeli-Arab Raed Salah, the leader of the northern branch of the Islamic Movement in Israel published the following poem in the Islamic Movement's periodical: You Jews are criminal bombers of mosques, Slaughterers of pregnant women and babies. Robbers and germs in all times, The Creator sentenced you to be loser monkeys, Victory belongs to Muslims, from the Nile to the Euphrates. During a speech in 2007, Salah accused Jews of using children's blood to bake bread. "We have never allowed ourselves to knead [the dough for] the bread that breaks the fast in the holy month of Ramadan with children's blood," he said. "Whoever wants a more thorough explanation, let him ask what used to happen to some children in Europe, whose blood was mixed in with the dough of the [Jewish] holy bread.". Kamal Khatib, deputy leader of the northern branch of the Islamic movement, referred in one of his speeches to the Jews as "fleas" Of all groups surveyed, a 2010 Pew Research global poll found that Israeli Arabs have the lowest rate of anti-Jewish attitudes in the Middle East. Egypt Egyptian Muslim Brotherhood leader Mohammed Mahdi Akef has denounced what he called "the myth of the Holocaust" in defending Iranian president Mahmoud Ahmadinejad's denial of it. The Egyptian government-run newspaper, Al Akhbar, on April 29, 2002, published an editorial denying the Holocaust as a fraud. The next paragraph decries the failure of the Holocaust to eliminate all of the Jews: With regard to the fraud of the Holocaust.... Many French studies have proven that this is no more than a fabrication, a lie, and a fraud!! That is, it is a 'scenario' the plot of which was carefully tailored, using several faked photos completely unconnected to the truth. Yes, it is a film, no more and no less. Hitler himself, whom they accuse of Nazism, is in my eyes no more than a modest 'pupil' in the world of murder and bloodshed. He is completely innocent of the charge of frying them in the hell of his false Holocaust!! The entire matter, as many French and British scientists and researchers have proven, is nothing more than a huge Israeli plot aimed at extorting the German government in particular and the European countries in general. But I, personally and in light of this imaginary tale, complain to Hitler, even saying
Takayoshi, Japanese samurai and politician (d. 1877) 1836 – Warren Brown, American historian and politician (d. 1919) 1837 – Marie François Sadi Carnot, French engineer and politician, 4th President of the French Republic (d. 1894) 1855 – John Hodges, Australian cricketer (d. 1933) 1858 – Christiaan Eijkman, Dutch physician and academic, Nobel Prize laureate (d. 1930) 1860 – Ottó Bláthy, Hungarian engineer and chess player (d. 1939) 1870 – Tom Richardson, English cricketer (d. 1912) 1874 – Princess Louise Charlotte of Saxe-Altenburg (d. 1953) 1877 – Adolph M. Christianson, American lawyer and judge (d. 1954) 1878 – Oliver W. F. Lodge, English poet and author (d. 1955) 1881 – Aleksander Aberg, Estonian wrestler (d. 1920) 1884 – Hermann Wlach, Austrian-Swiss actor (d. 1962) 1885 – Stephen Butterworth, English physicist and engineer (d. 1958) 1891 – Stancho Belkovski, Bulgarian architect and educator (d. 1962) 1891 – Edgar Zilsel, Austrian historian and philosopher of science, linked to the Vienna Circle (d. 1944) 1892 – Hugh MacDiarmid, Scottish poet and linguist (d. 1978) 1892 – Eiji Yoshikawa, Japanese author (d. 1962) 1897 – Enid Blyton, English author, poet, and educator (d. 1968) 1897 – Louise Bogan, American poet and critic (d. 1970) 1898 – Peter Mohr Dam, Faroese educator and politician, 3rd Prime Minister of the Faroe Islands (d. 1968) 1900 – Charley Paddock, American sprinter (d. 1943) 1900 – Philip Phillips, American archaeologist and scholar (d. 1994) 1901–present 1902 – Alfredo Binda, Italian cyclist (d. 1986) 1902 – Lloyd Nolan, American actor (d. 1985) 1902 – Christian de Castries, French general (d. 1991) 1905 – Erwin Chargaff, Austrian-American biochemist and academic (d. 2002) 1905 – Ernst Jaakson, Estonian diplomat (d. 1998) 1907 – Ted a'Beckett, Australian cricketer and lawyer (d. 1989) 1908 – Don Freeman, American author and illustrator (d. 1978) 1908 – Torgny T:son Segerstedt, Swedish sociologist and philosopher (d. 1999) 1909 – Yūji Koseki, Japanese composer (d. 1989) 1909 – Uku Masing, Estonian philosopher and theologian (d. 1985) 1911 – Thanom Kittikachorn, Thai field marshal and politician, 10th Prime Minister of Thailand (d. 2004) 1912 – Eva Ahnert-Rohlfs, German astronomer and academic (d. 1954) 1912 – Raphael Blau, American screenwriter and producer (d. 1996) 1913 – Paul Dupuis, Canadian actor (d. 1976) 1913 – Bob Scheffing, American baseball player and manager (d. 1985) 1913 – Angus Wilson, English author and academic (d. 1991) 1915 – Morris Weiss, American author and illustrator (d. 2014) 1916 – Johnny Claes, English-Belgian race car driver and trumpet player (d. 1956) 1919 – Luis Olmo, Puerto Rican-American baseball player and manager (d. 2017) 1920 – Mike Douglas, American singer and talk show host (d. 2006) 1920 – Chuck Rayner, Canadian ice hockey player (d. 2002) 1921 – Alex Haley, American historian and author (d. 1992) 1922 – John "Mule" Miles, American baseball player (d. 2013) 1923 – Stan Chambers, American journalist and actor (d. 2015) 1925 – Floyd Curry, Canadian ice hockey player and manager (d. 2006) 1925 – Arlene Dahl, American actress, businesswoman and writer (d. 2021) 1926 – Aaron Klug, Lithuanian-English chemist and biophysicist, Nobel Prize laureate (d. 2018) 1927 – Raymond Leppard, English harpsichord player and conductor (d. 2019) 1927 – Stuart Rosenberg, American director and producer (d. 2007) 1932 – Fernando Arrabal, Spanish actor, director, and playwright 1932 – Izzy Asper, Canadian lawyer, businessman, and politician, founded Canwest (d. 2003) 1932 – Geoffrey Cass, English businessman 1932 – Peter Eisenman, American architect, designed the City of Culture of Galicia 1932 – John Gorrie, English director and screenwriter 1933 – Jerry Falwell, American minister and television host (d. 2007) 1933 – Jerzy Grotowski, Polish director and producer (d. 1999) 1933 – Tamás Vásáry, Hungarian pianist and conductor 1934 – Bob Hepple, South African lawyer and academic (d. 2015) 1936 – Andre Dubus, American short story writer, essayist, and memoirist (d. 1999) 1936 – Bill Monbouquette, American baseball player and coach (d. 2015) 1936 – Jonathan Spence, English-American historian and academic (d. 2021) 1937 – Anna Massey, English actress (d. 2011) 1937 – Patrick Joseph McGovern, American businessman, founded International Data Group (d. 2014) 1939 – James Mancham, first President of Seychelles (d. 2017) 1939 – Ronnie Dawson, American singer and guitarist (d. 2003) 1940 – Glenys Page, New Zealand cricketer (d. 2012) 1941 – John Ellison, American-Canadian musician and songwriter 1942 – Mike Hugg, English drummer and keyboard player 1943 – Jim Kale, Canadian bass player 1943 – Pervez Musharraf, Pakistani general and politician, 10th President of Pakistan 1943 – Denis Payton, English saxophonist (d. 2006) 1944 – Martin Linton, Swedish-English journalist and politician 1944 – Frederick W. Smith, American businessman, founded FedEx 1944 – Ian McDiarmid, Scottish actor 1946 – John Conlee, American singer-songwriter 1946 – Marilyn vos Savant, American journalist and author 1947 – Theo de Jong, Dutch footballer, coach, and manager 1947 – Georgios Karatzaferis, Greek journalist and politician 1948 – Don Boyd, Scottish director, producer, and screenwriter 1949 – Eric Carmen, American singer-songwriter and guitarist 1949 – Tim Hutchinson, American lawyer and politician 1949 – Ian Charleson, Scottish-English actor and singer (d. 1990) 1950 – Erik Brann, American singer-songwriter and guitarist (d. 2003) 1950 – Gennadiy Nikonov, Russian engineer, designed the AN-94 rifle (d. 2003) 1950 – Steve Wozniak, American computer scientist and programmer, co-founded Apple Inc. 1952 – Reid Blackburn, American photographer (d. 1980) 1952 – Bob Mothersbaugh, American singer, guitarist, and producer 1953 – Hulk Hogan, American wrestler 1953 – Wijda Mazereeuw, Dutch swimmer 1954 – Bryan Bassett, American guitarist 1954 – Vance Heafner, American golfer and coach (d. 2012) 1954 – Joe Jackson, English singer-songwriter and musician 1954 – Tarmo Rüütli, Estonian footballer, coach, and manager 1954 – Yashpal Sharma, Indian cricketer and umpire (d. 2021) 1955 – Marc Bureau, Canadian politician, 16th Mayor of Gatineau 1955 – Sylvia Hermon, Northern Irish academic and politician 1956 – Pierre-Louis Lions, French mathematician and academic 1957 – Ian Stuart Donaldson, English singer-songwriter and guitarist (d. 1993) 1957 – Masayoshi Son, Japanese technology entrepreneur and investor 1958 – Steven Pokere, New Zealand rugby player 1958 – Jah Wobble, English singer-songwriter and bass player 1959 – Gustavo Cerati, Argentinian singer-songwriter, guitarist, and producer (d. 2014) 1959 – Yoshiaki Murakami, Japanese businessman 1959 – Taraki Sivaram, Sri Lankan journalist and author (d. 2005) 1959 – Richard Scudamore, English businessman 1959 – László Szlávics, Jr., Hungarian sculptor 1961 – David Brooks, American journalist and author 1961 – Craig Ehlo, American basketball player and coach 1962 – Brian Azzarello, American author 1962 – Charles Cecil, English video game designer and co-founded Revolution Software 1962 – John Micklethwait, English journalist and author 1962 – Rob Minkoff, American director and producer 1963 – Hiromi Makihara, Japanese baseball player 1964 – Jim Lee, South Korean-American author and illustrator 1964 – Grant Waite, New Zealand golfer 1965 – Marc Bergevin, Canadian ice hockey player and manager 1965 – Embeth Davidtz, American actress 1965 – Viola Davis, American actress 1966 – Nigel Martyn, English footballer and coach 1966 – Juan María Solare, Argentinian pianist and composer 1967 – Massimiliano Allegri, Italian footballer and manager 1967 – Enrique Bunbury, Spanish singer-songwriter and guitarist 1967 – Joe Rogan, American actor, comedian, and television host 1967 – Petter Wettre, Norwegian saxophonist and composer 1968 – Sophie Okonedo, British actress 1968 – Charlie Sexton, American singer-songwriter and guitarist 1970 – Dirk Hannemann, German footballer and manager 1970 – Gianluca Pessotto, Italian footballer 1971 – Alejandra Barros, Mexican actress and screenwriter 1971 – Tommy Mooney, English footballer 1973 – Kristin Armstrong, American cyclist 1974 – Marie-France Dubreuil, Canadian figure skater 1974 – Hadiqa Kiani, Pakistani singer, songwriter and philanthropist 1974 – Audrey Mestre, French biologist and diver (d. 2002) 1974 – Carolyn Murphy, American model and actress 1975 – Chris Cummings, Canadian singer-songwriter 1976 – Iván Córdoba, Colombian footballer and manager 1976 – Bubba Crosby, American baseball player 1976 – Will Friedle, American actor and screenwriter 1976 – Ben Gibbard, American singer-songwriter and guitarist 1976 – Ľubomír Višňovský, Slovak ice hockey player 1977 – Gemma Hayes, Irish singer-songwriter 1977 – Dênio Martins, Brazilian footballer 1978 – Spyros Gogolos, Greek footballer 1978 – Charlotte Leslie, British politician 1978 – Lillian Nakate, Ugandan politician 1978 – Isy Suttie, English comedian, musician, actress, and writer 1979 – Walter Ayoví, Ecuadorian footballer 1980 – Daniel Lloyd, English cyclist and sportscaster 1980 – Lee Suggs, American football player 1981 – Daniel Poohl, Swedish journalist 1983 – Chris Hemsworth, Australian actor 1983 – Luke Lewis, Australian rugby league player 1983 – Pavel 183, Russian painter (d. 2013) 1984 – Melky Cabrera, Dominican baseball player 1984 – Lucas di Grassi, Brazilian race car driver 1985 – Jacqueline Fernandez, Bahraini–Sri Lankan actress 1986 – Mokhtar Benmoussa, Algerian footballer 1986 – Pablo Sandoval, Venezuelan baseball player 1987 – Dany N'Guessan, French footballer 1987 – Drew Storen, American baseball player 1988 – Rabeh Al-Hussaini, Filipino basketball player 1988 – Patty Mills, Australian basketball player 1988 – Mustafa Pektemek, Turkish footballer 1989 – Junior Heffernan, Irish cyclist and triathlete
the Faroe Islands (d. 1968) 1900 – Charley Paddock, American sprinter (d. 1943) 1900 – Philip Phillips, American archaeologist and scholar (d. 1994) 1901–present 1902 – Alfredo Binda, Italian cyclist (d. 1986) 1902 – Lloyd Nolan, American actor (d. 1985) 1902 – Christian de Castries, French general (d. 1991) 1905 – Erwin Chargaff, Austrian-American biochemist and academic (d. 2002) 1905 – Ernst Jaakson, Estonian diplomat (d. 1998) 1907 – Ted a'Beckett, Australian cricketer and lawyer (d. 1989) 1908 – Don Freeman, American author and illustrator (d. 1978) 1908 – Torgny T:son Segerstedt, Swedish sociologist and philosopher (d. 1999) 1909 – Yūji Koseki, Japanese composer (d. 1989) 1909 – Uku Masing, Estonian philosopher and theologian (d. 1985) 1911 – Thanom Kittikachorn, Thai field marshal and politician, 10th Prime Minister of Thailand (d. 2004) 1912 – Eva Ahnert-Rohlfs, German astronomer and academic (d. 1954) 1912 – Raphael Blau, American screenwriter and producer (d. 1996) 1913 – Paul Dupuis, Canadian actor (d. 1976) 1913 – Bob Scheffing, American baseball player and manager (d. 1985) 1913 – Angus Wilson, English author and academic (d. 1991) 1915 – Morris Weiss, American author and illustrator (d. 2014) 1916 – Johnny Claes, English-Belgian race car driver and trumpet player (d. 1956) 1919 – Luis Olmo, Puerto Rican-American baseball player and manager (d. 2017) 1920 – Mike Douglas, American singer and talk show host (d. 2006) 1920 – Chuck Rayner, Canadian ice hockey player (d. 2002) 1921 – Alex Haley, American historian and author (d. 1992) 1922 – John "Mule" Miles, American baseball player (d. 2013) 1923 – Stan Chambers, American journalist and actor (d. 2015) 1925 – Floyd Curry, Canadian ice hockey player and manager (d. 2006) 1925 – Arlene Dahl, American actress, businesswoman and writer (d. 2021) 1926 – Aaron Klug, Lithuanian-English chemist and biophysicist, Nobel Prize laureate (d. 2018) 1927 – Raymond Leppard, English harpsichord player and conductor (d. 2019) 1927 – Stuart Rosenberg, American director and producer (d. 2007) 1932 – Fernando Arrabal, Spanish actor, director, and playwright 1932 – Izzy Asper, Canadian lawyer, businessman, and politician, founded Canwest (d. 2003) 1932 – Geoffrey Cass, English businessman 1932 – Peter Eisenman, American architect, designed the City of Culture of Galicia 1932 – John Gorrie, English director and screenwriter 1933 – Jerry Falwell, American minister and television host (d. 2007) 1933 – Jerzy Grotowski, Polish director and producer (d. 1999) 1933 – Tamás Vásáry, Hungarian pianist and conductor 1934 – Bob Hepple, South African lawyer and academic (d. 2015) 1936 – Andre Dubus, American short story writer, essayist, and memoirist (d. 1999) 1936 – Bill Monbouquette, American baseball player and coach (d. 2015) 1936 – Jonathan Spence, English-American historian and academic (d. 2021) 1937 – Anna Massey, English actress (d. 2011) 1937 – Patrick Joseph McGovern, American businessman, founded International Data Group (d. 2014) 1939 – James Mancham, first President of Seychelles (d. 2017) 1939 – Ronnie Dawson, American singer and guitarist (d. 2003) 1940 – Glenys Page, New Zealand cricketer (d. 2012) 1941 – John Ellison, American-Canadian musician and songwriter 1942 – Mike Hugg, English drummer and keyboard player 1943 – Jim Kale, Canadian bass player 1943 – Pervez Musharraf, Pakistani general and politician, 10th President of Pakistan 1943 – Denis Payton, English saxophonist (d. 2006) 1944 – Martin Linton, Swedish-English journalist and politician 1944 – Frederick W. Smith, American businessman, founded FedEx 1944 – Ian McDiarmid, Scottish actor 1946 – John Conlee, American singer-songwriter 1946 – Marilyn vos Savant, American journalist and author 1947 – Theo de Jong, Dutch footballer, coach, and manager 1947 – Georgios Karatzaferis, Greek journalist and politician 1948 – Don Boyd, Scottish director, producer, and screenwriter 1949 – Eric Carmen, American singer-songwriter and guitarist 1949 – Tim Hutchinson, American lawyer and politician 1949 – Ian Charleson, Scottish-English actor and singer (d. 1990) 1950 – Erik Brann, American singer-songwriter and guitarist (d. 2003) 1950 – Gennadiy Nikonov, Russian engineer, designed the AN-94 rifle (d. 2003) 1950 – Steve Wozniak, American computer scientist and programmer, co-founded Apple Inc. 1952 – Reid Blackburn, American photographer (d. 1980) 1952 – Bob Mothersbaugh, American singer, guitarist, and producer 1953 – Hulk Hogan, American wrestler 1953 – Wijda Mazereeuw, Dutch swimmer 1954 – Bryan Bassett, American guitarist 1954 – Vance Heafner, American golfer and coach (d. 2012) 1954 – Joe Jackson, English singer-songwriter and musician 1954 – Tarmo Rüütli, Estonian footballer, coach, and manager 1954 – Yashpal Sharma, Indian cricketer and umpire (d. 2021) 1955 – Marc Bureau, Canadian politician, 16th Mayor of Gatineau 1955 – Sylvia Hermon, Northern Irish academic and politician 1956 – Pierre-Louis Lions, French mathematician and academic 1957 – Ian Stuart Donaldson, English singer-songwriter and guitarist (d. 1993) 1957 – Masayoshi Son, Japanese technology entrepreneur and investor 1958 – Steven Pokere, New Zealand rugby player 1958 – Jah Wobble, English singer-songwriter and bass player 1959 – Gustavo Cerati, Argentinian singer-songwriter, guitarist, and producer (d. 2014) 1959 – Yoshiaki Murakami, Japanese businessman 1959 – Taraki Sivaram, Sri Lankan journalist and author (d. 2005) 1959 – Richard Scudamore, English businessman 1959 – László Szlávics, Jr., Hungarian sculptor 1961 – David Brooks, American journalist and author 1961 – Craig Ehlo, American basketball player and coach 1962 – Brian Azzarello, American author 1962 – Charles Cecil, English video game designer and co-founded Revolution Software 1962 – John Micklethwait, English journalist and author 1962 – Rob Minkoff, American director and producer 1963 – Hiromi Makihara, Japanese baseball player 1964 – Jim Lee, South Korean-American author and illustrator 1964 – Grant Waite, New Zealand golfer 1965 – Marc Bergevin, Canadian ice hockey player and manager 1965 – Embeth Davidtz, American actress 1965 – Viola Davis, American actress 1966 – Nigel Martyn, English footballer and coach 1966 – Juan María Solare, Argentinian pianist and composer 1967 – Massimiliano Allegri, Italian footballer and manager 1967 – Enrique Bunbury, Spanish singer-songwriter and guitarist 1967 – Joe Rogan, American actor, comedian, and television host 1967 – Petter Wettre, Norwegian saxophonist and composer 1968 – Sophie Okonedo, British actress 1968 – Charlie Sexton, American singer-songwriter and guitarist 1970 – Dirk Hannemann, German footballer and manager 1970 – Gianluca Pessotto, Italian footballer 1971 – Alejandra Barros, Mexican actress and screenwriter 1971 – Tommy Mooney, English footballer 1973 – Kristin Armstrong, American cyclist 1974 – Marie-France Dubreuil, Canadian figure skater 1974 – Hadiqa Kiani, Pakistani singer, songwriter and philanthropist 1974 – Audrey Mestre, French biologist and diver (d. 2002) 1974 – Carolyn Murphy, American model and actress 1975 – Chris Cummings, Canadian singer-songwriter 1976 – Iván Córdoba, Colombian footballer and manager 1976 – Bubba Crosby, American baseball player 1976 – Will Friedle, American actor and screenwriter 1976 – Ben Gibbard, American singer-songwriter and guitarist 1976 – Ľubomír Višňovský, Slovak ice hockey player 1977 – Gemma Hayes, Irish singer-songwriter 1977 – Dênio Martins, Brazilian footballer 1978 – Spyros Gogolos, Greek footballer 1978 – Charlotte Leslie, British politician 1978 – Lillian Nakate, Ugandan politician 1978 – Isy Suttie, English comedian, musician, actress, and writer 1979 – Walter Ayoví, Ecuadorian footballer 1980 – Daniel Lloyd, English cyclist and sportscaster 1980 – Lee Suggs, American football player 1981 – Daniel Poohl, Swedish journalist 1983 – Chris Hemsworth, Australian actor 1983 – Luke Lewis, Australian rugby league player 1983 – Pavel 183, Russian painter (d. 2013) 1984 – Melky Cabrera, Dominican baseball player 1984 – Lucas di Grassi, Brazilian race car driver 1985 – Jacqueline Fernandez, Bahraini–Sri Lankan actress 1986 – Mokhtar Benmoussa, Algerian footballer 1986 – Pablo Sandoval, Venezuelan baseball player 1987 – Dany N'Guessan, French footballer 1987 – Drew Storen, American baseball player 1988 – Rabeh Al-Hussaini, Filipino basketball player 1988 – Patty Mills, Australian basketball player 1988 – Mustafa Pektemek, Turkish footballer 1989 – Junior Heffernan, Irish cyclist and triathlete (d. 2013) 1989 – Sebastian Huke, German footballer 1990 – Lenka Juríková, Slovak tennis player 1991 – Cristian Tello, Spanish footballer 1994 – Storm Sanders, Australian tennis player 1994 – Anton Cooper, New
construction in central Arizona since 1970. Designed by Paolo Soleri, its primary purpose is to demonstrate Soleri's personal designs, his application of principles of arcology to create a pedestrian-friendly urban form. Many cities in the world have proposed projects adhering to the design principles of the arcology concept, like Tokyo, and Dongtan near Shanghai. The Dongtan project may have collapsed, and it failed to open for the Shanghai World Expo in 2010. McMurdo Station of the United States Antarctic Program and other scientific research stations on Antarctica resemble the popular conception of an arcology as a technologically advanced, relatively self-sufficient human community. The Antarctic research base provides living and entertainment amenities for roughly 3,000 staff who visit each year. Its remoteness and the measures needed to protect its population from the harsh environment give it an insular character. The station is not self-sufficientthe U.S. military delivers 30,000 cubic metres (8,000,000 US gal) of fuel and of supplies and equipment yearly through its Operation Deep Freeze resupply effortbut it is isolated from conventional support networks. Under international treaty, it must avoid damage to the surrounding ecosystem. Begich Towers operates like a small-scale arcology encompassing nearly all of the population of Whittier, Alaska. The building contains residential housing as well as a police station, grocery, and municipal offices. Whittier once boasted a second structure known as the Buckner Building. The Buckner Building still stands but was deemed unfit for habitation after the 1969 earthquake. In popular culture Most proposals to build real arcologies have failed due to financial, structural or conceptual shortcomings. Arcologies are therefore found primarily in fictional works. In Robert Silverberg's The World Inside, most of the global population of 75 billion live inside giant skyscrapers, called "urbmons", each of which contains hundreds of thousands of people. The urbmons are arranged in
a portmanteau of "architecture" and "ecology", is a field of creating architectural design principles for very densely populated and ecologically low-impact human habitats. The term was coined in 1969 by architect Paolo Soleri, who believed that a completed arcology would provide space for a variety of residential, commercial, and agricultural facilities while minimizing individual human environmental impact. These structures have been largely hypothetical, as no arcology, even one envisioned by Soleri himself, has yet been built. The concept has been popularized by various science fiction writers. Larry Niven and Jerry Pournelle provided a detailed description of an arcology in their 1981 novel Oath of Fealty. William Gibson mainstreamed the term in his seminal 1984 cyberpunk novel Neuromancer, where each corporation has its own self-contained city known as arcologies. More recently, authors such as Peter Hamilton in Neutronium Alchemist and Paolo Bacigalupi in The Water Knife explicitly used arcologies as part of their scenarios. They are often portrayed as self-contained or economically self-sufficient. Development An arcology is distinguished from a merely large building in that it is designed to lessen the impact of human habitation on any given ecosystem. It could be self-sustainable, employing all or most of its own available resources for a comfortable life: power, climate control, food production, air and water conservation and purification, sewage treatment, etc. An arcology is designed to make it possible to supply those items for a large population. An arcology would supply and maintain its own municipal or urban infrastructures in order to operate and connect with other urban environments apart from its own. Arcology was proposed to reduce human impact on natural resources. Arcology designs might apply conventional building and civil engineering techniques in very large, but practical projects in order to achieve pedestrian economies of scale that have proven, post-automobile, to be difficult to achieve in other ways. Frank Lloyd Wright proposed an early version called Broadacre City although, in contrast to an arcology, his idea is comparatively two-dimensional and depends on a road network. Wright's plan described transportation, agriculture, and commerce systems that would support an economy. Critics said that Wright's solution failed to account for population growth, and assumed a more rigid democracy than the US actually has. Buckminster Fuller proposed the Old Man River's City project, a domed city with a capacity of 125,000, as a solution to the housing problems in East St. Louis, Illinois. Paolo Soleri proposed later solutions, and coined the term "arcology". Soleri describes ways of compacting city structures in three dimensions to combat two-dimensional urban sprawl, to economize on transportation and other energy uses. Like Wright, Soleri proposed changes in transportation, agriculture, and commerce. Soleri explored reductions in resource consumption and duplication, land reclamation; he also proposed to eliminate most private transportation. He advocated for greater "frugality" and favored greater use of shared social resources, including public
(d. 1891) 1834 – Wilhelm Olbers Focke, German medical doctor and botanist (d. 1922) 1834 – Frank R. Stockton, American writer and humorist (d. 1902) 1835 – Vítězslav Hálek, Czech poet, writer, journalist, dramatist and theatre critic. (d. 1874) 1837 – Algernon Charles Swinburne, English poet, playwright, novelist, and critic (d. 1909) 1839 – Robert Smalls, African-American ship's pilot, sea captain, and politician (d. 1915) 1840 – Ghazaros Aghayan, Armenian historian and linguist (d. 1911) 1842 – Hans Hildebrand, Swedish archaeologist (d. 1913) 1845 – Friedrich Sigmund Merkel, German anatomist and histopathologist (d. 1919) 1845 – Jules Cambon, French diplomat (d. 1935) 1846 – Sigmund Exner, Austrian physiologist (d. 1926) 1846 – Henry Wellesley, British peer and politician (d. 1900) 1848 – Thure de Thulstrup, American illustrator (d. 1930) 1848 – Ulrich Wille, Swiss army general (d. 1925) 1850 – Enrico Mazzanti, Italian engineer and cartoonist (d. 1910) 1852 – Émile Billard, French sailor (d. 1930) 1852 – Walter W. Winans, American marksman and sculptor (d. 1920) 1852 – Franz Eckert, German composer and musician (d. 1916) 1856 – Booker T. Washington, African-American educator, essayist and historian (d. 1915) 1857 – Alexander of Battenberg (d. 1893) 1858 – Washington Atlee Burpee, Canadian businessman, founded Burpee Seeds (d. 1915) 1859 – Reinhold Seeberg, German theologian (d. 1935) 1860 – Harry S. Barlow, British tennis player (d. 1917) 1862 – Louis Ganne, French conductor (d. 1923) 1862 – Leo Stern, English cellist (d. 1904) 1863 – Princess Victoria of Hesse and by Rhine (d. 1950) 1867 – Ernest Lewis, British tennis player (d. 1930) 1869 – Sergey Chaplygin, Russian physicist, mathematician, and engineer (d. 1942) 1869 – Albert Roussel, French composer (d. 1937) 1870 – Motobu Chōki, Japanese karateka (d. 1944) 1871 – Stanisław Grabski, Polish economist and politician (d. 1949) 1872 – Samuel Cate Prescott, American microbiologist and chemist (d. 1962) 1873 – Joseph Rheden, Austrian astronomer (d. 1946) 1874 – Emmanuel Célestin Suhard, French Cardinal of the Catholic Church (d. 1949) 1874 – Manuel María Ponce Brousset, President of Peru (d. 1966) 1878 – Albert Champion, French cyclist (d. 1927) 1878 – Georg Misch, German philosopher (d. 1965) 1878 – Paul Weinstein, German high jumper (d. 1964) 1879 – Arthur Berriedale Keith, Scottish lawyer (d. 1944) 1879 – Nikolaus zu Dohna-Schlodien, German naval officer and author (d. 1956) 1880 – Eric Carlberg, Swedish Army officer, diplomat, shooter, fencer and modern pentathlete (d. 1963) 1880 – Vilhelm Carlberg, Swedish Army officer and shooter (d. 1970) 1882 – Song Jiaoren, Chinese revolutionary (d. 1913) 1882 – Natalia Sedova, 2nd wife of Leon Trotsky (d. 1962) 1883 – Walter Huston, Canadian-American actor and singer (d. 1950) 1884 – Ion Inculeț, Bessarabian academic and politician, President of Moldova (d. 1940) 1885 – Dimitrie Cuclin, Romanian composer (d. 1978) 1886 – Gotthelf Bergsträsser, German linguist (d. 1933) 1886 – Frederick Lindemann, British physicist (d. 1957) 1886 – Gustavo Jiménez, Peruvian colonel and politician, 73rd President of Peru (d. 1933) 1887 – William Cowhig, British gymnast (d. 1964) 1889 – Vicente Ferreira Pastinha, Brazilian martial artist (d. 1981) 1890 – Karl Kirk, Danish gymnast (d. 1955) 1890 – William Moore, British track and field athlete (d. 1956) 1891 – Arnold Jackson, English runner, soldier, and lawyer (d. 1972) 1891 – Laura Vicuña, Chilean nun (d. 1904) 1892 – Raymond Bonney, American ice hockey player (d. 1964) 1893 – Frithjof Andersen, Norwegian wrestler (d. 1975) 1893 – Clas Thunberg, Finnish speed skater (d. 1973) 1894 – Lawrence Dale Bell, American industrialist and founder of Bell Aircraft Corporation (d. 1956) 1894 – Hans Hüttig, German SS officer (d. 1980) 1894 – Carl Rudolf Florin, Swedish botanist (d. 1965) 1895 – Mike O'Dowd, American boxer (d. 1957) 1896 – Einar Lundborg, Swedish aviator (d. 1931) 1897 – Hans Schuberth, German politician (d. 1976) 1899 – Alfred Blalock, American surgeon and academic (d. 1964) 1900 – Herbert Bayer, Austrian-American graphic designer, painter, and photographer (d. 1985) 1900 – Roman Steinberg, Estonian wrestler (d. 1939) 1900 – Spencer Tracy, American actor (d. 1967) 1901–present 1901 – Curt Bois, German actor (d. 1991) 1901 – Chester Bowles, American diplomat and ambassador (d. 1986) 1901 – Melvyn Douglas, American actor (d. 1981) 1901 – Doggie Julian, American football, basketball, and baseball player and coach (d. 1967) 1902 – Menachem Mendel Schneerson, Russian-American rabbi (d. 1994) 1903 – Marion Aye, American actress (d. 1951) 1904 – Richard Eberhart, American poet and academic (d. 2005) 1906 – Albert Charles Smith, American botanist (d. 1999) 1906 – Fernando Germani, Italian organist (d. 1998) 1906 – Ted Morgan, New Zealand boxer (d. 1952) 1907 – Sanya Dharmasakti, Thai jurist (d. 2002) 1908 – Bette Davis, American actress (d. 1989) 1908 – Kurt Neumann, German director (d. 1958) 1908 – Jagjivan Ram, Indian politician, 4th Deputy Prime Minister of India (d. 1986) 1908 – Herbert von Karajan, Austrian conductor and manager (d. 1989) 1909 – Albert R. Broccoli, American film producer, co-founded Eon Productions (d. 1996) 1909 – Giacomo Gentilomo, Italian film director and painter (d. 2001) 1909 – Károly Sós, Hungarian footballer and manager (d. 1991) 1909 – Erwin Wegner, German hurdler (d. 1945) 1910 – Sven Andersson, Swedish politician (d. 1987) 1910 – Oronzo Pugliese, Italian football manager (d. 1990) 1911 – Hedi Amara Nouira, Tunisian politician (d. 1993) 1911 – Johnny Revolta, American golfer (d. 1991) 1912 – Jehan Buhan, French fencer (d. 1999) 1912 – Habib Elghanian, Iranian businessman (d. 1979) 1912 – Antonio Ferri, Italian scientist (d. 1975) 1912 – Carlos Guastavino, Argentine composer (d. 2000) 1912 – Makar Honcharenko, Ukrainian footballer and manager (d. 1997) 1912 – John Le Mesurier, English actor (d. 1983) 1912 – István Örkény, Hungarian author and playwright (d. 1979) 1912 – Bill Roberts, English sprinter and soldier (d. 2001) 1913 – Antoni Clavé, Catalan artist (d. 2005) 1913 – Nicolas Grunitzky, 2nd President of Togo (d. 1969) 1913 – Ruth Smith, Faroese artist (d. 1958) 1914 – Felice Borel, Italian footballer (d. 1993) 1916 – Gregory Peck, American actor, political activist, and producer (d. 2003) 1917 – Robert Bloch, American author (d. 1994) 1917 – Frans Gommers, Belgian footballer (d. 1996) 1919 – Lester James Peries, Sri Lankan director, screenwriter, and producer (d. 2018) 1920 – Barend Biesheuvel, Dutch politician, Prime Minister of the Netherlands (d. 2001) 1920 – Arthur Hailey, English-Canadian soldier and author (d. 2004) 1920 – Alfonso Thiele, Turkish-Italian race car driver (d. 1986) 1920 – John Willem Gran, Swedish bishop (d. 2008) 1921 – Christopher Hewett, English actor and theatre director (d. 2001) 1922 – Tom Finney, English footballer (d. 2014) 1922 – Harry Freedman, Polish-Canadian horn player, composer, and educator (d. 2005) 1922 – Andy Linden, American race car driver (d. 1987) 1922 – Gale Storm, American actress and singer (d. 2009) 1923 – Ernest Mandel, German-born Belgian Marxist economist, Trotskyist activist and theorist (d. 1995) 1923 – Michael V. Gazzo, American actor (d. 1995) 1923 – Nguyễn Văn Thiệu, Vietnamese general and politician, 5th President of South Vietnam (d. 2001) 1924 – Igor Borisov, Soviet rower (d. before 2005) 1925 – Janet Rowley, American human geneticist (d. 2013) 1925 – Pierre Nihant, Belgian cyclist (d. 1993) 1926 – Roger Corman, American actor, director, producer, and screenwriter 1926 – Liang Yusheng, Chinese writer (d. 2009) 1927 – Thanin Kraivichien, Thai lawyer and politician 1927 – Arne Hoel, Norwegian ski jumper (d. 2006) 1928 – Enzo Cannavale, Italian actor (d. 2011) 1928 – Tony Williams, American singer (d. 1992) 1929 – Hugo Claus, Belgian author, poet, and painter (d. 2008) 1929 – Ivar Giaever, Norwegian-American physicist and academic, Nobel Prize laureate 1929 – Nigel Hawthorne, English actor and producer (d. 2001) 1929 – Joe Meek, English songwriter and producer (d. 1967) 1929 – Mahmoud Mollaghasemi, Iranian wrestler 1930 – Mary Costa, American singer and actress 1930 – Pierre Lhomme, French director of photography (d. 2019) 1931 – Jack Clement, American singer-songwriter and producer (d. 2013) 1931 – Héctor Olivera, Argentine director, producer and screenwriter 1933 – Feridun Buğeker, Turkish footballer (d. 2014) 1933 – Frank Gorshin, American actor (d. 2005) 1933 – Barbara Holland, American author (d. 2010) 1933 – K. Kailasapathy, Sri Lankan journalist and academic (d. 1982) 1934 – John Carey, English author and critic 1934 – Roman Herzog, German lawyer and politician, 7th President of Germany (d. 2017) 1934 – Moise Safra, Brazilian businessman and philanthropist, co-founded Banco Safra (d. 2014) 1934 – Stanley Turrentine, American saxophonist and composer (d. 2000) 1935 – Giovanni Cianfriglia, Italian actor 1935 – Peter Grant, English talent manager (d. 1995) 1935 – Donald Lynden-Bell, English astrophysicist and astronomer (d. 2018) 1935 – Frank Schepke, German rower (d. 2017) 1936 – Ronnie Bucknum, American race car driver (d. 1992) 1936 – Glenn Jordan, American director and producer 1936 – Dragoljub Minić, Yugoslavian chess Grandmaster (d. 2005) 1937 – Joseph Lelyveld, American journalist and author 1937 – Colin Powell, American general and politician, 65th United States Secretary of State (d. 2021) 1937 – Andrzej Schinzel, Polish mathematician (d. 2021) 1937 – Arie Selinger, Israeli volleyball player and manager 1937 – Juan Vicente Lezcano, Paraguayan footballer (d. 2012) 1938 – Colin Bland, Zimbabwean-South African cricketer (d. 2018) 1938 – Mal Colston, Australian educator and politician (d. 2003) 1938 – Nancy Holt, American sculptor and painter (d. 2014) 1938 – Natalya Kustinskaya, Soviet actress (d. 2012) 1939 – Leka I, Crown Prince of Albania (d. 2011) 1939 – Crispian St. Peters, English singer-songwriter (d. 2010) 1939 – Haidar Abu Bakr al-Attas, Prime Minister of Yemen 1939 – Ronald White, American singer-songwriter (d. 1995) 1939 – David Winters, English-American actor, choreographer and producer (d. 2019) 1940 – Tommy Cash, American singer-songwriter and guitarist 1940 – Gilles Proulx, Canadian journalist, historian, and radio host 1941 – Michael Moriarty, American-Canadian actor 1941 – Dave Swarbrick, English singer-songwriter and fiddler (d. 2016) 1942 – Allan Clarke, English singer-songwriter 1942 – Pascal Couchepin, Swiss politician 1942 – Juan Gisbert Sr., Spanish tennis player 1942 – Peter Greenaway, Welsh director and screenwriter 1943 – Dean Brown, Australian politician, 41st Premier of South Australia 1943 – Max Gail, American actor and director 1943 – Fighting Harada, Japanese boxer 1943 – Miet Smet, Belgian politician 1943 – Jean-Louis Tauran, French cardinal (d. 2018) 1944 – Willeke van Ammelrooy, Dutch actress and director 1944 – János Martonyi, Hungarian politician 1944 – Evan Parker, British musician 1944 – Douangchay Phichit, Laotian politician (d. 2014) 1944 – Willy Planckaert, Belgian cyclist 1944 – Pedro Rosselló, Puerto Rican physician and politician, 7th Governor of Puerto Rico 1944 – Peter T. King, American soldier, lawyer, and politician 1945 – Ove Bengtson, Swedish tennis player 1945 – Steve Carver, American director and producer (d. 2021) 1945 – Cem Karaca, Turkish musician (d. 2004) 1945 – Tommy Smith, English footballer (d. 2019) 1946 – Jane Asher, English actress 1946 – Julio Ángel Fernández, Uruguayan astronomer 1946 – Björn Granath, Swedish actor (d. 2017) 1946 – Georgi Markov, Bulgarian Greco-Roman wrestler 1947 – Đurđica Bjedov, Yugoslav swimmer 1947 – Willy Chirino, Cuban-American musician 1947 – Gloria Macapagal Arroyo, Filipino academic and politician, 14th President of the Philippines 1947 – Ramón Mifflin, Peruvian footballer 1947 – Virendra Sharma, Indian-English lawyer and politician 1948 – Pierre-Albert Chapuisat, Swiss footballer 1948 – Dave Holland, English drummer (d. 2018) 1948 – Roy McFarland, English footballer and manager 1949 – Stanley Dziedzic, American wrestler 1949 – Larry Franco, American film producer 1949 – Judith Resnik, American engineer and astronaut (d. 1986) 1950 – Ann C. Crispin, American writer (d. 2013) 1950 – Franklin Chang Díaz, Costa Rican-Chinese American astronaut and physicist 1950 – Agnetha Fältskog, Swedish singer-songwriter and producer 1950 – Toshiko Fujita, Japanese actress, singer and narrator (d. 2018) 1950 – Miki Manojlović, Serbian actor 1951 – Les Binks, Irish drummer and songwriter 1951 – Yevgeniy Gavrilenko, Belarusian hurdler 1951 – Nedim Gürsel, Turkish writer 1951 – Dean Kamen, American inventor and businessman, founded Segway Inc. 1951 – Dave McArtney, New Zealand singer-songwriter and guitarist (d. 2013) 1951 – Ubol Ratana, Thai Princess 1952 – Alfie Conn, Scottish international footballer 1952 – John C. Dvorak, American author and editor 1952 – Sandy Mayer, American tennis player 1952 – Dennis Mortimer, English footballer 1952 – Mitch Pileggi, American actor 1953 – Frank Gaffney, American journalist and radio host 1953 – Keiko Han, Japanese actress 1953 – Tae Jin-ah, South Korean singer 1953 – Raleb Majadele, Israeli politician 1953 – Ian Swales, English accountant and politician 1954 – Guy Bertrand, Canadian linguist and radio host 1954 – Peter Case, American singer-songwriter and guitarist 1954 – Mohamed Ben Mouza, Tunisian footballer 1954 – Stan Ridgway, American singer-songwriter and guitarist 1954 – Yoshiichi Watanabe, Japanese footballer 1955 – Charlotte de Turckheim, French actress, producer, and screenwriter 1955 – Ricardo Ferrero, Argentine footballer (d. 2015) 1955 – Christian Gourcuff, French footballer and manager 1955 – Anthony Horowitz, English author and screenwriter 1955 – Bernard Longley, English prelate 1955 – Akira Toriyama, Japanese illustrator 1955 – Takayoshi Yamano, Japanese footballer 1956 – Diamond Dallas Page, American wrestler and actor 1956 – Leonid Fedun, Russian businessman 1956 – Reid Ribble, American politician 1957 – Sebastian Adayanthrath, Indian bishop 1957 – Karin Roßley, German hurdler 1958 – Kevin Dann, Australian rugby league player (d. 2021) 1958 – Henrik Dettmann, Finnish basketball coach 1958 – Ryoichi Kawakatsu, Japanese footballer 1958 – Johan Kriek, South African-American tennis player 1958 – Daniel Schneidermann, French journalist 1958 – Lasantha Wickrematunge, Sri Lankan lawyer and journalist (d. 2009) 1959 – Paul Chung, Hong Kong actor and host (d. 1989) 1960 – Asteris Koutoulas, Romanian-German record producer, manager, and author 1960 – Larry McCray, American singer-songwriter and guitarist 1960 – Ian Redford, Scottish footballer and manager (d. 2014) 1960 – Hiromi Taniguchi, Japanese long-distance runner 1960 – Adnan Terzić, Bosnian politician 1961 – Andrea Arnold, English filmmaker and actress 1961 – Anna Caterina Antonacci, Italian soprano 1961 – Abdulhadi al-Khawaja, Bahraini-Danish human rights activist 1961 – Lisa Zane, American actress and singer 1962 – Lana Clarkson, American actress and model (d. 2003) 1962 – Sara Danius, Swedish scholar of literature and aesthetics (d. 2019) 1962 – Richard Gough, Swedish born Scottish international footballer 1962 – Arild Monsen, Norwegian cross-country skier 1962 – Kirsan Ilyumzhinov, Russian businessman and politician, 1st President of Kalmykia 1963 – Arthur Adams, American comic book artist and writer 1964 – Neil Eckersley, British judoka 1964 – Vakhtang Iagorashvili, Soviet modern pentathlete 1964 – Levon Julfalakyan, Soviet Armenian Greco-Roman wrestler 1964 – Marius Lăcătuș, Romanian footballer and coach 1965 – Aykut Kocaman, Turkish footballer and manager 1965 – Lang Tzu-yun, Taiwanese actress 1965 – Elizabeth McIntyre, American freestyle skier 1965 – Svetlana Paramygina, Belarusian biathlete 1966 – Yoon Hyun, South Korean judoka 1966 – Mike McCready, American guitarist and songwriter 1966 – Peter Overton, English-Australian journalist and television host 1967 – Troy Gentry, American singer-songwriter and guitarist (d. 2017) 1967 – Franck Silvestre, French footballer 1967 – Erland Johnsen, Norwegian footballer 1967 – Laima Zilporytė, Soviet cyclist 1968 – Paula Cole, American singer-songwriter and pianist 1969 – Dinos Angelidis, Greek basketball player 1969 – Viatcheslav Djavanian, Russian cyclist 1969 – Pontus Kåmark, Swedish footballer 1969 – Pavlo Khnykin, Ukrainian swimmer 1969 – Tomislav Piplica, Bosnian footballer and manager 1969 – Ravindra Prabhat, Indian writer and journalist 1970 – Soheil Ayari, French race car driver 1970 – Valérie Bonneton, French actress 1970 – Diamond D, American hip hop producer 1970 – Petar Genov, Bulgarian chess grandmaster 1970 – Thea Gill, Canadian actress 1970 – Miho Hatori, Japanese singer-songwriter 1970 – Irina Timofeyeva, Russian long-distance runner 1971 – Dong Abay, Filipino singer-songwriter and guitarist 1971 – Krista Allen, American actress 1971 – Austin Berry, Costa Rican footballer 1971 – Simona Cavallari, Italian actress 1971 – Victoria Hamilton, English actress 1971 – Nelson Parraguez, Chilean footballer 1971 – Kim Soo-nyung, South Korean archer 1972 – Nima Arkani-Hamed, American-Canadian theoretical physicist 1972 – Tom Coronel, Dutch race car driver 1972 – Paul Okon, Australian footballer and manager 1972 – Duncan Spencer, English cricketer 1972 – Yasuhiro Takemoto, Japanese animator and director (d. 2019) 1972 – Junko Takeuchi, Japanese actress 1973 – Élodie Bouchez, French-American actress 1973 – Brendan Cannon, Australian rugby player 1973 – Lidia Trettel, Italian snowboarder 1973 – Pharrell Williams, American singer, songwriter and rapper 1974 – Sandra Bagarić, Croatian opera singer and actress 1974 – Julien Boutter, French tennis player 1974 – Katja Holanti, Finnish biathlete 1974 – Oleg Khodkov, Russian handball player 1974 – Ariel López, Argentine footballer 1974 – Lukas Ridgeston, Slovak actor and director 1974 – Vyacheslav Voronin, Russian high jumper 1975 – Sarah Baldock, English organist and conductor 1975 – John Hartson, Welsh footballer and coach 1975 – Juicy J, American rapper and producer 1975 – Serhiy Klymentiev, Ukrainian ice hockey player 1975 – Caitlin Moran, English journalist, author, and critic 1975 – Marcos Vales, Spanish footballer 1975 – Shammond Williams, American basketball player and coach 1976 – Luis de Agustini, Uruguayan footballer 1976 – Péter Biros, Hungarian water polo player 1976 – Sterling K. Brown, American actor 1976 – Aleksei Budõlin, Estonian judoka 1976 – Simone Inzaghi, Italian footballer 1976 – Fernando Morientes, Spanish footballer and coach 1976 – Natascha Ragosina, Russian boxer 1976 – Henrik Stenson, Swedish golfer 1976 – Valeria Straneo, Italian long-distance runner 1976 – Indrek Tobreluts, Estonian biathlete 1976 – Anouska van der Zee, Dutch cyclist 1977 – Jonathan Erlich, Israeli tennis player 1977 – Trevor Letowski, Canadian ice hockey player and coach 1977 – Daniel Majstorović, Swedish footballer 1978 – Dwain Chambers, British track sprinter 1978 – Marcone Amaral Costa, Qatari footballer 1978 – Tarek El-Said, Egyptian footballer 1978 – Jairo Patiño, Colombian footballer 1978 – Sohyang, South Korean singer 1978 – Stephen Jackson, American basketball player 1978 – Arnaud Tournant, French cyclist 1978 – Franziska van Almsick, German swimmer 1978 – Günther Weidlinger, Austrian long-distance runner 1979 – Vlada Avramov, Serbian footballer 1979 – Josh Boone, American screenwriter and director 1979 – Song Dae-nam, South Korean judoka 1979 – Timo Hildebrand, German footballer 1979 – Imany, French singer 1979 – Barel Mouko, Congolese footballer 1979 – Cesare Natali, Italian footballer 1979 – Mitsuo Ogasawara, Japanese footballer 1979 – Alexander Resch, German luger 1979 – Andrius Velička, Lithuanian footballer 1979 – Dante Wesley, American football player 1979 – Chen Yanqing, Chinese weightlifter 1980 – Matt Bonner, American basketball player 1980 – Alberta Brianti, Italian tennis player 1980 – Rafael Cavalcante, Brazilian mixed martial artist 1980 – David Chocarro, Argentinian baseball player and actor 1980 – Mike Glumac, Canadian ice hockey player 1980 – Mario Kasun, Croatian basketball player 1980 – Lee Jae-won, South Korean DJ and singer 1980 – Joris Mathijsen, Dutch footballer 1980 – Rasmus Quist Hansen, Danish rower 1980 – Odlanier Solís, Cuban boxer 1981 – Matthew Emmons, American rifle shooter 1981 – Michael A. Monsoor, American sailor, Medal of Honor recipient (d. 2006) 1981 – Mariqueen Maandig, Filipino-American musician and singer-songwriter 1981 – Daba Modibo Keïta, Malian taekwondo athlete 1981 – Marissa Nadler, American musician 1981 – Tom Riley, English actor and producer 1981 – Mompati Thuma, Botswana footballer 1981 – Pieter Weening, Dutch cyclist 1982 – Hayley Atwell, English-American actress 1982 – Matheus Coradini Vivian, Brazilian footballer 1982 – Thomas Hitzlsperger, German footballer 1982 – Kelly Pavlik, American boxer 1982 – Matt Pickens, American soccer player 1982 – Alexandre Prémat, French race car driver 1982 – Danylo Sapunov, Ukrainian-Kazakhstani triathlete 1982 – Hubert Schwab, Swiss cyclist 1982 – Marcel Seip, Dutch former footballer 1983 – Jaime Castrillón, Colombian footballer 1983 – Jorge Andrés Martínez, Uruguayan footballer 1983 – Brock Radunske, Canadian-South Korean ice hockey player 1983 – Yohann Sangaré, French basketball player 1983 – Cécile Storti, French cross-country skier 1983 – Shikha Uberoi, Indian-American tennis player 1984 – Marshall Allman, American actor 1984 – Aram Mp3, Armenian singer and comedian 1984 – Rune Brattsveen, Norwegian biathlete 1984 – Alexei Glukhov, Russian ice hockey player 1984 – Maartje Goderie, Dutch field hockey player 1984 – Darija Jurak, Croatian tennis player 1984 – Dejan Kelhar, Slovenian footballer 1984 – Dmitry Kozonchuk, Russian cyclist 1984 – Shin Min-a, South Korean actress 1984 – Jess Sum, Hong Kong actress 1984 – Peter Penz, Austrian luger 1984 – Samuele Preisig, Swiss footballer 1984 – Cristian Săpunaru, Romanian footballer 1984 – Fabio Vitaioli, San Marinese footballer 1984 – Kisho Yano, Japanese footballer 1984 – Saba Qamar, Pakistani actress-model 1985 – Daniel Congré, French footballer 1985 – Erwin l'Ami, Dutch chess player 1985 – Jolanda Keizer, Dutch heptathlete 1985 – Sergey Khachatryan, Armenian violinist 1985 – Linas Pilibaitis, Lithuanian footballer 1985 – Jan Smeets, Dutch chess grandmaster 1985 – Kristof Vandewalle, Belgian cyclist 1986 – Anna Sophia Berglund, American model and actress 1986 – Anzor Boltukayev, Chechen wrestler 1986 – Diego Chará, Colombian footballer 1986 – Charlotte Flair, American wrestler, author and actress 1986 – Róbert Kasza, Hungarian Modern pentathlete 1986 – Eetu Muinonen, Finnish footballer 1986 – Manuel Ruz, Spanish footballer 1986 – Albert Selimov, Azerbaijani boxer 1987 – Max Grün, German footballer 1987 – Balázs Hárai, Hungarian water polo player 1987 – Anton Kokorin, Russian sprint athlete 1987 – Fyodor Kudryashov, Russian footballer 1987 – Etiënne Reijnen, Dutch footballer 1988 – Gerson Acevedo, Chilean footballer 1988 – Teresa Almeida, Angolan handball player 1988 – Quade Cooper, New Zealand-Australian rugby player and boxer 1988 – Jonathan Davies, Welsh rugby union player 1988 – Gevorg Ghazaryan, Armenian footballer 1988 – Alisha Glass, American ex-indoor volleyball player 1988 – Vurğun Hüseynov, Azerbaijani footballer 1988 – Matthias Jaissle, German footballer and manager 1988 – Jon Kwang-ik, North Korean footballer 1988 – Christopher Papamichalopoulos, Cypriot skier 1988 – Zack Smith, Canadian ice hockey player 1988 – Pape Sy, French basketball player 1988 – Alexey Volkov, Russian biathlete 1989 – Kader Amadou, Nigerien footballer 1989 – Yémi Apithy, Beninese fencer 1989 – Liemarvin Bonevacia, Dutch sprinter 1989 – Freddie Fox, English actor 1989 – Emre Güral, Turkish footballer 1989 – Justin Holiday, American basketball player 1989 – Rachel Homan, Canadian curler 1989 – Lily James, English actress 1989 – Trevor Marsicano, American speed skater 1989 – Jonathan Rossini, Swiss footballer 1989 – Kiki Sukezane, Japanese actress 1989 – Sosuke Takatani, Japanese wrestler 1990 – Amer Said Al-Shatri, Omani footballer 1990 – Alex Cuthbert, Welsh rugby player 1990 – Patrick Dangerfield, Australian footballer 1990 – Fredy Hinestroza, Colombian footballer 1990 – Chen Huijia, Chinese swimmer 1990 – Haruma Miura, Japanese actor and singer (d. 2020) 1990 – Ismaeel Mohammad, Qatari footballer 1990 – Iryna Pamialova, Belarusian canoeist 1990 – Jakub Sedláček, Czech ice hockey player 1990 – Sercan Yıldırım, Turkish footballer 1990 – Género Zeefuik, Dutch footballer 1991 – Yassine Bounou, Moroccan footballer 1991 – Nathaniel Clyne, English footballer 1991 – Adriano Grimaldi, Italian-German footballer 1991 – Joël Mall, Swiss footballer 1991 – Guilherme dos Santos Torres, Brazilian footballer 1992 – Emmalyn Estrada, Canadian singer-songwriter and dancer 1992 – Shintaro Kurumaya, Japanese footballer 1992 – Kaveh Rezaei, Iranian footballer 1992 – Dmytro Ryzhuk, Ukrainian footballer 1993 – Andreas Bouchalakis, Greek footballer 1993 – Maya DiRado, American swimmer 1993 – Laura Feiersinger, Austrian footballer 1993 – Benjamin Garcia, French rugby league player 1993 – Scottie Wilbekin, American-Turkish basketball player 1994 – Mateusz Bieniek, Polish volleyball player 1994 – Edem Rjaïbi, Tunisian footballer 1994 – Richard Sánchez, Mexican footballer 1995 – Viliame Kikau, Fijian rugby league player 1995 – Sei Muroya, Japanese footballer 1995 – Gleb Rassadkin, Belarusian footballer 1995 – Sebastian Starke Hedlund, Swedish footballer 1996 – Nicolas Beer, Danish race car driver 1996 – Raouf Benguit, Algerian footballer 1997 – Borja Mayoral, Spanish footballer 2000 – Ayush Mahesh Khedekar, Indian actor 2001 – Thylane Blondeau, French model and actress Deaths Pre-1600 517 – Timothy I, Byzantine patriarch 582 – Eutychius, Byzantine patriarch 584 – Ruadán of Lorrha, Irish abbot 828 – Nikephoros I, Byzantine patriarch 902 – Al-Mu'tadid, Abbasid caliph 1168 – Robert de Beaumont,
New Zealand boxer (d. 1952) 1907 – Sanya Dharmasakti, Thai jurist (d. 2002) 1908 – Bette Davis, American actress (d. 1989) 1908 – Kurt Neumann, German director (d. 1958) 1908 – Jagjivan Ram, Indian politician, 4th Deputy Prime Minister of India (d. 1986) 1908 – Herbert von Karajan, Austrian conductor and manager (d. 1989) 1909 – Albert R. Broccoli, American film producer, co-founded Eon Productions (d. 1996) 1909 – Giacomo Gentilomo, Italian film director and painter (d. 2001) 1909 – Károly Sós, Hungarian footballer and manager (d. 1991) 1909 – Erwin Wegner, German hurdler (d. 1945) 1910 – Sven Andersson, Swedish politician (d. 1987) 1910 – Oronzo Pugliese, Italian football manager (d. 1990) 1911 – Hedi Amara Nouira, Tunisian politician (d. 1993) 1911 – Johnny Revolta, American golfer (d. 1991) 1912 – Jehan Buhan, French fencer (d. 1999) 1912 – Habib Elghanian, Iranian businessman (d. 1979) 1912 – Antonio Ferri, Italian scientist (d. 1975) 1912 – Carlos Guastavino, Argentine composer (d. 2000) 1912 – Makar Honcharenko, Ukrainian footballer and manager (d. 1997) 1912 – John Le Mesurier, English actor (d. 1983) 1912 – István Örkény, Hungarian author and playwright (d. 1979) 1912 – Bill Roberts, English sprinter and soldier (d. 2001) 1913 – Antoni Clavé, Catalan artist (d. 2005) 1913 – Nicolas Grunitzky, 2nd President of Togo (d. 1969) 1913 – Ruth Smith, Faroese artist (d. 1958) 1914 – Felice Borel, Italian footballer (d. 1993) 1916 – Gregory Peck, American actor, political activist, and producer (d. 2003) 1917 – Robert Bloch, American author (d. 1994) 1917 – Frans Gommers, Belgian footballer (d. 1996) 1919 – Lester James Peries, Sri Lankan director, screenwriter, and producer (d. 2018) 1920 – Barend Biesheuvel, Dutch politician, Prime Minister of the Netherlands (d. 2001) 1920 – Arthur Hailey, English-Canadian soldier and author (d. 2004) 1920 – Alfonso Thiele, Turkish-Italian race car driver (d. 1986) 1920 – John Willem Gran, Swedish bishop (d. 2008) 1921 – Christopher Hewett, English actor and theatre director (d. 2001) 1922 – Tom Finney, English footballer (d. 2014) 1922 – Harry Freedman, Polish-Canadian horn player, composer, and educator (d. 2005) 1922 – Andy Linden, American race car driver (d. 1987) 1922 – Gale Storm, American actress and singer (d. 2009) 1923 – Ernest Mandel, German-born Belgian Marxist economist, Trotskyist activist and theorist (d. 1995) 1923 – Michael V. Gazzo, American actor (d. 1995) 1923 – Nguyễn Văn Thiệu, Vietnamese general and politician, 5th President of South Vietnam (d. 2001) 1924 – Igor Borisov, Soviet rower (d. before 2005) 1925 – Janet Rowley, American human geneticist (d. 2013) 1925 – Pierre Nihant, Belgian cyclist (d. 1993) 1926 – Roger Corman, American actor, director, producer, and screenwriter 1926 – Liang Yusheng, Chinese writer (d. 2009) 1927 – Thanin Kraivichien, Thai lawyer and politician 1927 – Arne Hoel, Norwegian ski jumper (d. 2006) 1928 – Enzo Cannavale, Italian actor (d. 2011) 1928 – Tony Williams, American singer (d. 1992) 1929 – Hugo Claus, Belgian author, poet, and painter (d. 2008) 1929 – Ivar Giaever, Norwegian-American physicist and academic, Nobel Prize laureate 1929 – Nigel Hawthorne, English actor and producer (d. 2001) 1929 – Joe Meek, English songwriter and producer (d. 1967) 1929 – Mahmoud Mollaghasemi, Iranian wrestler 1930 – Mary Costa, American singer and actress 1930 – Pierre Lhomme, French director of photography (d. 2019) 1931 – Jack Clement, American singer-songwriter and producer (d. 2013) 1931 – Héctor Olivera, Argentine director, producer and screenwriter 1933 – Feridun Buğeker, Turkish footballer (d. 2014) 1933 – Frank Gorshin, American actor (d. 2005) 1933 – Barbara Holland, American author (d. 2010) 1933 – K. Kailasapathy, Sri Lankan journalist and academic (d. 1982) 1934 – John Carey, English author and critic 1934 – Roman Herzog, German lawyer and politician, 7th President of Germany (d. 2017) 1934 – Moise Safra, Brazilian businessman and philanthropist, co-founded Banco Safra (d. 2014) 1934 – Stanley Turrentine, American saxophonist and composer (d. 2000) 1935 – Giovanni Cianfriglia, Italian actor 1935 – Peter Grant, English talent manager (d. 1995) 1935 – Donald Lynden-Bell, English astrophysicist and astronomer (d. 2018) 1935 – Frank Schepke, German rower (d. 2017) 1936 – Ronnie Bucknum, American race car driver (d. 1992) 1936 – Glenn Jordan, American director and producer 1936 – Dragoljub Minić, Yugoslavian chess Grandmaster (d. 2005) 1937 – Joseph Lelyveld, American journalist and author 1937 – Colin Powell, American general and politician, 65th United States Secretary of State (d. 2021) 1937 – Andrzej Schinzel, Polish mathematician (d. 2021) 1937 – Arie Selinger, Israeli volleyball player and manager 1937 – Juan Vicente Lezcano, Paraguayan footballer (d. 2012) 1938 – Colin Bland, Zimbabwean-South African cricketer (d. 2018) 1938 – Mal Colston, Australian educator and politician (d. 2003) 1938 – Nancy Holt, American sculptor and painter (d. 2014) 1938 – Natalya Kustinskaya, Soviet actress (d. 2012) 1939 – Leka I, Crown Prince of Albania (d. 2011) 1939 – Crispian St. Peters, English singer-songwriter (d. 2010) 1939 – Haidar Abu Bakr al-Attas, Prime Minister of Yemen 1939 – Ronald White, American singer-songwriter (d. 1995) 1939 – David Winters, English-American actor, choreographer and producer (d. 2019) 1940 – Tommy Cash, American singer-songwriter and guitarist 1940 – Gilles Proulx, Canadian journalist, historian, and radio host 1941 – Michael Moriarty, American-Canadian actor 1941 – Dave Swarbrick, English singer-songwriter and fiddler (d. 2016) 1942 – Allan Clarke, English singer-songwriter 1942 – Pascal Couchepin, Swiss politician 1942 – Juan Gisbert Sr., Spanish tennis player 1942 – Peter Greenaway, Welsh director and screenwriter 1943 – Dean Brown, Australian politician, 41st Premier of South Australia 1943 – Max Gail, American actor and director 1943 – Fighting Harada, Japanese boxer 1943 – Miet Smet, Belgian politician 1943 – Jean-Louis Tauran, French cardinal (d. 2018) 1944 – Willeke van Ammelrooy, Dutch actress and director 1944 – János Martonyi, Hungarian politician 1944 – Evan Parker, British musician 1944 – Douangchay Phichit, Laotian politician (d. 2014) 1944 – Willy Planckaert, Belgian cyclist 1944 – Pedro Rosselló, Puerto Rican physician and politician, 7th Governor of Puerto Rico 1944 – Peter T. King, American soldier, lawyer, and politician 1945 – Ove Bengtson, Swedish tennis player 1945 – Steve Carver, American director and producer (d. 2021) 1945 – Cem Karaca, Turkish musician (d. 2004) 1945 – Tommy Smith, English footballer (d. 2019) 1946 – Jane Asher, English actress 1946 – Julio Ángel Fernández, Uruguayan astronomer 1946 – Björn Granath, Swedish actor (d. 2017) 1946 – Georgi Markov, Bulgarian Greco-Roman wrestler 1947 – Đurđica Bjedov, Yugoslav swimmer 1947 – Willy Chirino, Cuban-American musician 1947 – Gloria Macapagal Arroyo, Filipino academic and politician, 14th President of the Philippines 1947 – Ramón Mifflin, Peruvian footballer 1947 – Virendra Sharma, Indian-English lawyer and politician 1948 – Pierre-Albert Chapuisat, Swiss footballer 1948 – Dave Holland, English drummer (d. 2018) 1948 – Roy McFarland, English footballer and manager 1949 – Stanley Dziedzic, American wrestler 1949 – Larry Franco, American film producer 1949 – Judith Resnik, American engineer and astronaut (d. 1986) 1950 – Ann C. Crispin, American writer (d. 2013) 1950 – Franklin Chang Díaz, Costa Rican-Chinese American astronaut and physicist 1950 – Agnetha Fältskog, Swedish singer-songwriter and producer 1950 – Toshiko Fujita, Japanese actress, singer and narrator (d. 2018) 1950 – Miki Manojlović, Serbian actor 1951 – Les Binks, Irish drummer and songwriter 1951 – Yevgeniy Gavrilenko, Belarusian hurdler 1951 – Nedim Gürsel, Turkish writer 1951 – Dean Kamen, American inventor and businessman, founded Segway Inc. 1951 – Dave McArtney, New Zealand singer-songwriter and guitarist (d. 2013) 1951 – Ubol Ratana, Thai Princess 1952 – Alfie Conn, Scottish international footballer 1952 – John C. Dvorak, American author and editor 1952 – Sandy Mayer, American tennis player 1952 – Dennis Mortimer, English footballer 1952 – Mitch Pileggi, American actor 1953 – Frank Gaffney, American journalist and radio host 1953 – Keiko Han, Japanese actress 1953 – Tae Jin-ah, South Korean singer 1953 – Raleb Majadele, Israeli politician 1953 – Ian Swales, English accountant and politician 1954 – Guy Bertrand, Canadian linguist and radio host 1954 – Peter Case, American singer-songwriter and guitarist 1954 – Mohamed Ben Mouza, Tunisian footballer 1954 – Stan Ridgway, American singer-songwriter and guitarist 1954 – Yoshiichi Watanabe, Japanese footballer 1955 – Charlotte de Turckheim, French actress, producer, and screenwriter 1955 – Ricardo Ferrero, Argentine footballer (d. 2015) 1955 – Christian Gourcuff, French footballer and manager 1955 – Anthony Horowitz, English author and screenwriter 1955 – Bernard Longley, English prelate 1955 – Akira Toriyama, Japanese illustrator 1955 – Takayoshi Yamano, Japanese footballer 1956 – Diamond Dallas Page, American wrestler and actor 1956 – Leonid Fedun, Russian businessman 1956 – Reid Ribble, American politician 1957 – Sebastian Adayanthrath, Indian bishop 1957 – Karin Roßley, German hurdler 1958 – Kevin Dann, Australian rugby league player (d. 2021) 1958 – Henrik Dettmann, Finnish basketball coach 1958 – Ryoichi Kawakatsu, Japanese footballer 1958 – Johan Kriek, South African-American tennis player 1958 – Daniel Schneidermann, French journalist 1958 – Lasantha Wickrematunge, Sri Lankan lawyer and journalist (d. 2009) 1959 – Paul Chung, Hong Kong actor and host (d. 1989) 1960 – Asteris Koutoulas, Romanian-German record producer, manager, and author 1960 – Larry McCray, American singer-songwriter and guitarist 1960 – Ian Redford, Scottish footballer and manager (d. 2014) 1960 – Hiromi Taniguchi, Japanese long-distance runner 1960 – Adnan Terzić, Bosnian politician 1961 – Andrea Arnold, English filmmaker and actress 1961 – Anna Caterina Antonacci, Italian soprano 1961 – Abdulhadi al-Khawaja, Bahraini-Danish human rights activist 1961 – Lisa Zane, American actress and singer 1962 – Lana Clarkson, American actress and model (d. 2003) 1962 – Sara Danius, Swedish scholar of literature and aesthetics (d. 2019) 1962 – Richard Gough, Swedish born Scottish international footballer 1962 – Arild Monsen, Norwegian cross-country skier 1962 – Kirsan Ilyumzhinov, Russian businessman and politician, 1st President of Kalmykia 1963 – Arthur Adams, American comic book artist and writer 1964 – Neil Eckersley, British judoka 1964 – Vakhtang Iagorashvili, Soviet modern pentathlete 1964 – Levon Julfalakyan, Soviet Armenian Greco-Roman wrestler 1964 – Marius Lăcătuș, Romanian footballer and coach 1965 – Aykut Kocaman, Turkish footballer and manager 1965 – Lang Tzu-yun, Taiwanese actress 1965 – Elizabeth McIntyre, American freestyle skier 1965 – Svetlana Paramygina, Belarusian biathlete 1966 – Yoon Hyun, South Korean judoka 1966 – Mike McCready, American guitarist and songwriter 1966 – Peter Overton, English-Australian journalist and television host 1967 – Troy Gentry, American singer-songwriter and guitarist (d. 2017) 1967 – Franck Silvestre, French footballer 1967 – Erland Johnsen, Norwegian footballer 1967 – Laima Zilporytė, Soviet cyclist 1968 – Paula Cole, American singer-songwriter and pianist 1969 – Dinos Angelidis, Greek basketball player 1969 – Viatcheslav Djavanian, Russian cyclist 1969 – Pontus Kåmark, Swedish footballer 1969 – Pavlo Khnykin, Ukrainian swimmer 1969 – Tomislav Piplica, Bosnian footballer and manager 1969 – Ravindra Prabhat, Indian writer and journalist 1970 – Soheil Ayari, French race car driver 1970 – Valérie Bonneton, French actress 1970 – Diamond D, American hip hop producer 1970 – Petar Genov, Bulgarian chess grandmaster 1970 – Thea Gill, Canadian actress 1970 – Miho Hatori, Japanese singer-songwriter 1970 – Irina Timofeyeva, Russian long-distance runner 1971 – Dong Abay, Filipino singer-songwriter and guitarist 1971 – Krista Allen, American actress 1971 – Austin Berry, Costa Rican footballer 1971 – Simona Cavallari, Italian actress 1971 – Victoria Hamilton, English actress 1971 – Nelson Parraguez, Chilean footballer 1971 – Kim Soo-nyung, South Korean archer 1972 – Nima Arkani-Hamed, American-Canadian theoretical physicist 1972 – Tom Coronel, Dutch race car driver 1972 – Paul Okon, Australian footballer and manager 1972 – Duncan Spencer, English cricketer 1972 – Yasuhiro Takemoto, Japanese animator and director (d. 2019) 1972 – Junko Takeuchi, Japanese actress 1973 – Élodie Bouchez, French-American actress 1973 – Brendan Cannon, Australian rugby player 1973 – Lidia Trettel, Italian snowboarder 1973 – Pharrell Williams, American singer, songwriter and rapper 1974 – Sandra Bagarić, Croatian opera singer and actress 1974 – Julien Boutter, French tennis player 1974 – Katja Holanti, Finnish biathlete 1974 – Oleg Khodkov, Russian handball player 1974 – Ariel López, Argentine footballer 1974 – Lukas Ridgeston, Slovak actor and director 1974 – Vyacheslav Voronin, Russian high jumper 1975 – Sarah Baldock, English organist and conductor 1975 – John Hartson, Welsh footballer and coach 1975 – Juicy J, American rapper and producer 1975 – Serhiy Klymentiev, Ukrainian ice hockey player 1975 – Caitlin Moran, English journalist, author, and critic 1975 – Marcos Vales, Spanish footballer 1975 – Shammond Williams, American basketball player and coach 1976 – Luis de Agustini, Uruguayan footballer 1976 – Péter Biros, Hungarian water polo player 1976 – Sterling K. Brown, American actor 1976 – Aleksei Budõlin, Estonian judoka 1976 – Simone Inzaghi, Italian footballer 1976 – Fernando Morientes, Spanish footballer and coach 1976 – Natascha Ragosina, Russian boxer 1976 – Henrik Stenson, Swedish golfer 1976 – Valeria Straneo, Italian long-distance runner 1976 – Indrek Tobreluts, Estonian biathlete 1976 – Anouska van der Zee, Dutch cyclist 1977 – Jonathan Erlich, Israeli tennis player 1977 – Trevor Letowski, Canadian ice hockey player and coach 1977 – Daniel Majstorović, Swedish footballer 1978 – Dwain Chambers, British track sprinter 1978 – Marcone Amaral Costa, Qatari footballer 1978 – Tarek El-Said, Egyptian footballer 1978 – Jairo Patiño, Colombian footballer 1978 – Sohyang, South Korean singer 1978 – Stephen Jackson, American basketball player 1978 – Arnaud Tournant, French cyclist 1978 – Franziska van Almsick, German swimmer 1978 – Günther Weidlinger, Austrian long-distance runner 1979 – Vlada Avramov, Serbian footballer 1979 – Josh Boone, American screenwriter and director 1979 – Song Dae-nam, South Korean judoka 1979 – Timo Hildebrand, German footballer 1979 – Imany, French singer 1979 – Barel Mouko, Congolese footballer 1979 – Cesare Natali, Italian footballer 1979 – Mitsuo Ogasawara, Japanese footballer 1979 – Alexander Resch, German luger 1979 – Andrius Velička, Lithuanian footballer 1979 – Dante Wesley, American football player 1979 – Chen Yanqing, Chinese weightlifter 1980 – Matt Bonner, American basketball player 1980 – Alberta Brianti, Italian tennis player 1980 – Rafael Cavalcante, Brazilian mixed martial artist 1980 – David Chocarro, Argentinian baseball player and actor 1980 – Mike Glumac, Canadian ice hockey player 1980 – Mario Kasun, Croatian basketball player 1980 – Lee Jae-won, South Korean DJ and singer 1980 – Joris Mathijsen, Dutch footballer 1980 – Rasmus Quist Hansen, Danish rower 1980 – Odlanier Solís, Cuban boxer 1981 – Matthew Emmons, American rifle shooter 1981 – Michael A. Monsoor, American sailor, Medal of Honor recipient (d. 2006) 1981 – Mariqueen Maandig, Filipino-American musician and singer-songwriter 1981 – Daba Modibo Keïta, Malian taekwondo athlete 1981 – Marissa Nadler, American musician 1981 – Tom Riley, English actor and producer 1981 – Mompati Thuma, Botswana footballer 1981 – Pieter Weening, Dutch cyclist 1982 – Hayley Atwell, English-American actress 1982 – Matheus Coradini Vivian, Brazilian footballer 1982 – Thomas Hitzlsperger, German footballer 1982 – Kelly Pavlik, American boxer 1982 – Matt Pickens, American soccer player 1982 – Alexandre Prémat, French race car driver 1982 – Danylo Sapunov, Ukrainian-Kazakhstani triathlete 1982 – Hubert Schwab, Swiss cyclist 1982 – Marcel Seip, Dutch former footballer 1983 – Jaime Castrillón, Colombian footballer 1983 – Jorge Andrés Martínez, Uruguayan footballer 1983 – Brock Radunske, Canadian-South Korean ice hockey player 1983 – Yohann Sangaré, French basketball player 1983 – Cécile Storti, French cross-country skier 1983 – Shikha Uberoi, Indian-American tennis player 1984 – Marshall Allman, American actor 1984 – Aram Mp3, Armenian singer and comedian 1984 – Rune Brattsveen, Norwegian biathlete 1984 – Alexei Glukhov, Russian ice hockey player 1984 – Maartje Goderie, Dutch field hockey player 1984 – Darija Jurak, Croatian tennis player 1984 – Dejan Kelhar, Slovenian footballer 1984 – Dmitry Kozonchuk, Russian cyclist 1984 – Shin Min-a, South Korean actress 1984 – Jess Sum, Hong Kong actress 1984 – Peter Penz, Austrian luger 1984 – Samuele Preisig, Swiss footballer 1984 – Cristian Săpunaru, Romanian footballer 1984 – Fabio Vitaioli, San Marinese footballer 1984 – Kisho Yano, Japanese footballer 1984 – Saba Qamar, Pakistani actress-model 1985 – Daniel Congré, French footballer 1985 – Erwin l'Ami, Dutch chess player 1985 – Jolanda Keizer, Dutch heptathlete 1985 – Sergey Khachatryan, Armenian violinist 1985 – Linas Pilibaitis, Lithuanian footballer 1985 – Jan Smeets, Dutch chess grandmaster 1985 – Kristof Vandewalle, Belgian cyclist 1986 – Anna Sophia Berglund, American model and actress 1986 – Anzor Boltukayev, Chechen wrestler 1986 – Diego Chará, Colombian footballer 1986 – Charlotte Flair,
allowed to go free rather than face a retrial for murder, after his demand for trial by battle is upheld. 1828 – René Caillié becomes the second non-Muslim to enter (and the first to return from) Timbuktu, following Major Gordon Laing. 1836 – U.S. Congress passes an act creating the Wisconsin Territory. 1861 – American Civil War: Robert E. Lee resigns his commission in the United States Army in order to command the forces of the state of Virginia. 1861 – Thaddeus S. C. Lowe, attempting to display the value of balloons, makes record journey, flying 900 miles from Cincinnati to South Carolina. 1862 – Louis Pasteur and Claude Bernard complete the experiment disproving the theory of spontaneous generation. 1865 – Astronomer Angelo Secchi demonstrates the Secchi disk, which measures water clarity, aboard Pope Pius IX's yacht, the L'Immaculata Concezion. 1876 – The April Uprising begins. Its suppression shocks European opinion, and Bulgarian independence becomes a condition for ending the Russo-Turkish War. 1884 – Pope Leo XIII publishes the encyclical Humanum genus, condemning Freemasonry. 1898 – U.S. President William McKinley signed a joint resolution to Congress for declaration of war against Spain, beginning the Spanish–American War. 1901–present 1902 – Pierre and Marie Curie refine radium chloride. 1914 – Nineteen men, women, and children participating in a strike are killed in the Ludlow Massacre during the Colorado Coalfield War. 1918 – Manfred von Richthofen, a.k.a. The Red Baron, shoots down his 79th and 80th victims, his final victories before his death the following day. 1922 – The Soviet government creates South Ossetian Autonomous Oblast within Georgian SSR. 1945 – World War II: U.S. troops capture Leipzig, Germany, only to later cede the city to the Soviet Union. 1945 – World War II: Führerbunker: On his 56th birthday Adolf Hitler makes his last trip to the surface to award Iron Crosses to boy soldiers of the Hitler Youth. 1945 – Twenty Jewish children used in medical experiments at Neuengamme are killed in the basement of the Bullenhuser Damm school. 1946 – The League of Nations officially dissolves, giving most of its power to the United Nations. 1961 – Cold War: Failure of the Bay of Pigs Invasion of US-backed Cuban exiles against Cuba. 1968 – English politician Enoch Powell makes his controversial "Rivers of Blood" speech. 1972 – Apollo program: Apollo 16 lunar module, commanded by John Young and piloted by Charles Duke, lands on the moon. 1998 – Air France Flight 422 crashes after taking off from El Dorado International Airport in Bogotá, Colombia, killing all 53 people on board. 1999 – Columbine High School massacre: Eric Harris and Dylan Klebold kill 13 people and injure 24 others before committing suicide at Columbine High School in Columbine, Colorado. 2007 – Johnson Space Center shooting: William Phillips with a handgun barricades himself in NASA's Johnson Space Center in Houston, Texas before killing a male hostage and himself. 2008 – Danica Patrick wins the Indy Japan 300 becoming the first female driver in history to win an Indy car race. 2010 – The Deepwater Horizon drilling rig explodes in the Gulf of Mexico, killing eleven workers and beginning an oil spill that would last six months. 2012 – One hundred twenty-seven people are killed when a plane crashes in a residential area near the Benazir Bhutto International Airport near Islamabad, Pakistan. 2013 – A 6.6-magnitude earthquake strikes Lushan County, Ya'an, in China's Sichuan province, killing more than 150 people and injuring thousands. 2015 – Ten people are killed in a bomb attack on a convoy carrying food supplies to a United Nations compound in Garowe in the Somali region of Puntland. 2021 – State of Minnesota v. Derek Michael Chauvin: Derek Chauvin is found guilty of all charges in the murder of George Floyd by the Fourth Judicial District Court of Minnesota. Births Pre-1600 1494 – Johannes Agricola, German theologian and reformer (d. 1566) 1544 – Renata of Lorraine, Duchess consort of Bavaria (d. 1602) 1586 – Rose of Lima, Peruvian mystic and saint (d. 1617) 1601–1900 1633 – Emperor Go-Kōmyō of Japan (d. 1654) 1646 – Charles Plumier, French botanist and author (d. 1704) 1650 – William Bedloe, English spy (d. 1680) 1718 – David Brainerd, American missionary (d. 1747) 1723 – Cornelius Harnett, American merchant, farmer, and politician (d. 1781) 1727 – Florimond Claude, Comte de Mercy-Argenteau, Belgian-Austrian minister and diplomat (d. 1794) 1745 – Philippe Pinel, French physician and psychiatrist (d. 1826) 1748 – Georg Michael Telemann, German composer and theologian (d. 1831) 1808 – Napoleon III, French politician, 1st President of France (d. 1873) 1816 – Bogoslav Šulek, Croatian philologist, historian, and lexicographer (d. 1895) 1818 – Heinrich Göbel, German-American mechanic and engineer (d. 1893) 1826 – Dinah Craik, English author and poet (d. 1887) 1836 – Eli Whitney Blake, Jr., American scientist and academic (d. 1895) 1839 – Carol I of Romania, King of Romania (d. 1914) 1840 – Odilon Redon, French painter and illustrator (d. 1916) 1850 – Daniel Chester French, American sculptor, designed the Lincoln statue (d. 1931) 1851 – Alexander Dianin, Russian chemist (d. 1918) 1851 – Siegmund Lubin, Polish-American businessman, founded the Lubin Manufacturing Company (d. 1923) 1860 – Justinien de Clary, French target shooter (d. 1933) 1871 – Sydney Chapman, English economist and civil servant (d. 1951) 1873 – James Harcourt, English character actor (d. 1951) 1875 – Vladimir Vidrić, Croatian poet and lawyer (d. 1909) 1879 – Paul Poiret, French fashion designer (d. 1944) 1882 – Holland Smith, American general (d. 1967) 1884 – Princess Beatrice of Saxe-Coburg and Gotha (d. 1966) 1884 – Oliver Kirk, American boxer (d. 1960) 1884 – Daniel Varoujan, Armenian poet and educator (d. 1915) 1889 – Albert Jean Amateau, Turkish rabbi, lawyer, and activist (d. 1996) 1889 – Prince Erik, Duke of Västmanland (d. 1918) 1889 – Marie-Antoinette de Geuser, French mystic (d. 1918) 1889 – Adolf Hitler, Austrian born German politician, Führer of Nazi Germany (d. 1945) 1889 – Tonny Kessler, Dutch footballer (d. 1960) 1890 – Maurice Duplessis, Canadian lawyer and politician, 16th Premier of Quebec (d. 1959) 1890 – Adolf Schärf, Austrian soldier and politician, 6th President of Austria (d. 1965) 1891 – Dave Bancroft, American baseball player and manager (d. 1972) 1893 – Harold Lloyd, American actor, comedian, and producer (d. 1971) 1893 – Joan Miró, Spanish painter and sculptor (d. 1983) 1895 – Emile Christian, American trombonist and composer (d. 1973) 1895 – Henry de Montherlant, French essayist, novelist, and dramatist (d. 1972) 1896 – Wop May, Canadian captain and pilot (d. 1952) 1899 – Alan Arnett McLeod, Canadian lieutenant, Victoria Cross recipient (d. 1918) 1901–present 1904 – Bruce Cabot, American actor (d. 1972) 1907 – Augoustinos Kantiotes, Greek bishop (d. 2010) 1908 – Lionel Hampton, American vibraphone player, pianist, bandleader, and actor (d. 2002) 1910 – Fatin Rüştü Zorlu, Turkish diplomat and politician (d. 1961) 1913 – Mimis Fotopoulos, Greek actor and poet (d. 1986) 1913 – Willi Hennig, German biologist and entomologist (d. 1976) 1914 – Betty Lou Gerson, American actress (d. 1999) 1915 – Joseph Wolpe, South African psychotherapist and physician (d. 1997) 1916 – Nasiba Zeynalova, Azerbaijani actress (d. 2004) 1918 – Kai Siegbahn, Swedish physicist and academic, Nobel Prize laureate (d. 2007) 1919 – Richard Hillary, Australian lieutenant and pilot (d. 1943) 1920 – Frances Ames, South African neurologist, psychiatrist, and human rights activist (d. 2002) 1920 – Clement Isong, Nigerian banker and politician, Governor of Cross River State (d. 2000) 1920 – John Paul Stevens, American lawyer and jurist, Associate Justice of the Supreme Court of the United States (d. 2019) 1923 – Mother Angelica, American nun and broadcaster, founded Eternal Word Television Network (d. 2016) 1923 – Irene Lieblich, Polish-American painter and illustrator (d. 2008) 1923 – Tito Puente, American drummer and producer (d. 2000) 1924 – Nina Foch, Dutch-American actress (d. 2008) 1924 – Leslie Phillips, English actor and producer 1924 – Guy Rocher, Canadian sociologist and academic 1925 – Ernie Stautner, German-American football player and coach (d. 2006) 1925 – Elena Verdugo, American actress (d. 2017) 1927 – Bud Cullen, Canadian judge and politician, 1st Canadian Minister of Employment and Immigration (d. 2005) 1927 – Phil Hill, American race car driver (d. 2008) 1927 – K. Alex Müller, Swiss physicist and academic, Nobel Prize laureate 1928 – Robert Byrne, American chess player and author (d. 2013) 1928 – Johnny Gavin, Irish international footballer (d. 2007) 1929 – Harry Agganis, American baseball and football player (d. 1955) 1929 – Bobby Hollander, American film director, actor, and magazine publisher (d. 2002) 1930 – Dwight Gustafson, American composer and conductor (d. 2014) 1930 – Antony Jay, English director and screenwriter (d. 2016) 1931 – Michael Allenby, 3rd Viscount Allenby, English lieutenant and politician (d. 2014) 1931 – John Eccles, 2nd Viscount Eccles, English businessman and politician 1932 – Myriam Bru, French actress 1933 – Kristaq Dhamo, Albanian actor and film director 1936 – Lisa Davis, English-American actress 1936 – Pauli Ellefsen, Faroese technician, surveyor, and politician, 6th Prime Minister of the Faroe Islands (d. 2012) 1936 – Pat Roberts, American captain, journalist, and politician 1937 – Jiří Dienstbier, Czech journalist and politician, Czech Minister of Foreign Affairs (d. 2011) 1937 – Antonios Kounadis, Greek discus thrower 1937 – Harvey Quaytman, American painter and educator (d. 2002) 1937 – George Takei, American actor 1938 – Betty Cuthbert, Australian sprinter (d. 2017) 1938 – Manfred Kinder, German runner 1938 – Eszter Tamási, Hungarian actress (d. 1991) 1939 – Elspeth Ballantyne, Australian actress 1939 – Peter
1809 – Two Austrian army corps in Bavaria are defeated by a First French Empire army led by Napoleon at the Battle of Abensberg on the second day of a four-day campaign that ended in a French victory. 1818 – The case of Ashford v Thornton ends, with Abraham Thornton allowed to go free rather than face a retrial for murder, after his demand for trial by battle is upheld. 1828 – René Caillié becomes the second non-Muslim to enter (and the first to return from) Timbuktu, following Major Gordon Laing. 1836 – U.S. Congress passes an act creating the Wisconsin Territory. 1861 – American Civil War: Robert E. Lee resigns his commission in the United States Army in order to command the forces of the state of Virginia. 1861 – Thaddeus S. C. Lowe, attempting to display the value of balloons, makes record journey, flying 900 miles from Cincinnati to South Carolina. 1862 – Louis Pasteur and Claude Bernard complete the experiment disproving the theory of spontaneous generation. 1865 – Astronomer Angelo Secchi demonstrates the Secchi disk, which measures water clarity, aboard Pope Pius IX's yacht, the L'Immaculata Concezion. 1876 – The April Uprising begins. Its suppression shocks European opinion, and Bulgarian independence becomes a condition for ending the Russo-Turkish War. 1884 – Pope Leo XIII publishes the encyclical Humanum genus, condemning Freemasonry. 1898 – U.S. President William McKinley signed a joint resolution to Congress for declaration of war against Spain, beginning the Spanish–American War. 1901–present 1902 – Pierre and Marie Curie refine radium chloride. 1914 – Nineteen men, women, and children participating in a strike are killed in the Ludlow Massacre during the Colorado Coalfield War. 1918 – Manfred von Richthofen, a.k.a. The Red Baron, shoots down his 79th and 80th victims, his final victories before his death the following day. 1922 – The Soviet government creates South Ossetian Autonomous Oblast within Georgian SSR. 1945 – World War II: U.S. troops capture Leipzig, Germany, only to later cede the city to the Soviet Union. 1945 – World War II: Führerbunker: On his 56th birthday Adolf Hitler makes his last trip to the surface to award Iron Crosses to boy soldiers of the Hitler Youth. 1945 – Twenty Jewish children used in medical experiments at Neuengamme are killed in the basement of the Bullenhuser Damm school. 1946 – The League of Nations officially dissolves, giving most of its power to the United Nations. 1961 – Cold War: Failure of the Bay of Pigs Invasion of US-backed Cuban exiles against Cuba. 1968 – English politician Enoch Powell makes his controversial "Rivers of Blood" speech. 1972 – Apollo program: Apollo 16 lunar module, commanded by John Young and piloted by Charles Duke, lands on the moon. 1998 – Air France Flight 422 crashes after taking off from El Dorado International Airport in Bogotá, Colombia, killing all 53 people on board. 1999 – Columbine High School massacre: Eric Harris and Dylan Klebold kill 13 people and injure 24 others before committing suicide at Columbine High School in Columbine, Colorado. 2007 – Johnson Space Center shooting: William Phillips with a handgun barricades himself in NASA's Johnson Space Center in Houston, Texas before killing a male hostage and himself. 2008 – Danica Patrick wins the Indy Japan 300 becoming the first female driver in history to win an Indy car race. 2010 – The Deepwater Horizon drilling rig explodes in the Gulf of Mexico, killing eleven workers and beginning an oil spill that would last six months. 2012 – One hundred twenty-seven people are killed when a plane crashes in a residential area near the Benazir Bhutto International Airport near Islamabad, Pakistan. 2013 – A 6.6-magnitude earthquake strikes Lushan County, Ya'an, in China's Sichuan province, killing more than 150 people and injuring thousands. 2015 – Ten people are killed in a bomb attack on a convoy carrying food supplies to a United Nations compound in Garowe in the Somali region of Puntland. 2021 – State of Minnesota v. Derek Michael Chauvin: Derek Chauvin is found guilty of all charges in the murder of George Floyd by the Fourth Judicial District Court of Minnesota. Births Pre-1600 1494 – Johannes Agricola, German theologian and reformer (d. 1566) 1544 – Renata of Lorraine, Duchess consort of Bavaria (d. 1602) 1586 – Rose of Lima, Peruvian mystic and saint (d. 1617) 1601–1900 1633 – Emperor Go-Kōmyō of Japan (d. 1654) 1646 – Charles Plumier, French botanist and author (d. 1704) 1650 – William Bedloe, English spy (d. 1680) 1718 – David Brainerd, American missionary (d. 1747) 1723 – Cornelius Harnett, American merchant, farmer, and politician (d. 1781) 1727 – Florimond Claude, Comte de Mercy-Argenteau, Belgian-Austrian minister and diplomat (d. 1794) 1745 – Philippe Pinel, French physician and psychiatrist (d. 1826) 1748 – Georg Michael Telemann, German composer and theologian (d. 1831) 1808 – Napoleon III, French politician, 1st President of France (d. 1873) 1816 – Bogoslav Šulek, Croatian philologist, historian, and lexicographer (d. 1895) 1818 – Heinrich Göbel, German-American mechanic and engineer (d. 1893) 1826 – Dinah Craik, English author and poet (d. 1887) 1836 – Eli Whitney Blake, Jr., American scientist and academic (d. 1895) 1839 – Carol I of Romania, King of Romania (d. 1914) 1840 – Odilon Redon, French painter and illustrator (d. 1916) 1850 – Daniel Chester French, American sculptor, designed the Lincoln statue (d. 1931) 1851 – Alexander Dianin, Russian chemist (d. 1918) 1851 – Siegmund Lubin, Polish-American businessman, founded the Lubin Manufacturing Company (d. 1923) 1860 – Justinien de Clary, French target shooter (d. 1933) 1871 – Sydney Chapman, English economist and civil servant (d. 1951) 1873 – James Harcourt, English character actor (d. 1951) 1875 – Vladimir Vidrić, Croatian poet and lawyer (d. 1909) 1879 – Paul Poiret, French fashion designer (d. 1944) 1882 – Holland Smith, American general (d. 1967) 1884 – Princess Beatrice of Saxe-Coburg and Gotha (d. 1966) 1884 – Oliver Kirk, American boxer (d. 1960) 1884 – Daniel Varoujan, Armenian poet and educator (d. 1915) 1889 – Albert Jean Amateau, Turkish rabbi, lawyer, and activist (d. 1996) 1889 – Prince Erik, Duke of Västmanland (d. 1918) 1889 – Marie-Antoinette de Geuser, French mystic (d. 1918) 1889 – Adolf Hitler, Austrian born German politician, Führer of Nazi Germany (d. 1945) 1889 – Tonny Kessler, Dutch footballer (d. 1960) 1890 – Maurice Duplessis, Canadian lawyer and politician, 16th Premier of Quebec (d. 1959) 1890 – Adolf Schärf, Austrian soldier and politician, 6th President of Austria (d. 1965) 1891 – Dave Bancroft, American baseball player and manager (d. 1972) 1893 – Harold Lloyd, American actor, comedian, and producer (d. 1971) 1893 – Joan Miró, Spanish painter and sculptor (d. 1983) 1895 – Emile Christian, American trombonist and composer (d. 1973) 1895 – Henry de Montherlant, French essayist, novelist, and dramatist (d. 1972) 1896 – Wop May, Canadian captain and pilot (d. 1952) 1899 – Alan Arnett McLeod, Canadian lieutenant, Victoria Cross recipient (d. 1918) 1901–present 1904 – Bruce Cabot, American actor (d. 1972) 1907 – Augoustinos Kantiotes, Greek bishop (d. 2010) 1908 – Lionel Hampton,
Augustin Fresnel signs his preliminary "Note on the Theory of Diffraction" (deposited on the following day). The document ends with what we now call the Fresnel integrals. 1839 – The Treaty of London establishes Belgium as a kingdom and guarantees its neutrality. 1861 – American Civil War: Baltimore riot of 1861: A pro-Secession mob in Baltimore attacks United States Army troops marching through the city. 1901–present 1903 – The Kishinev pogrom in Kishinev (Bessarabia) begins, forcing tens of thousands of Jews to later seek refuge in Palestine and the Western world. 1927 – Mae West is sentenced to ten days in jail for obscenity for her play Sex. 1942 – World War II: In German-occupied Poland, the Majdan-Tatarski ghetto is established, situated between the Lublin Ghetto and a Majdanek subcamp. 1943 – World War II: In German-occupied Poland, the Warsaw Ghetto Uprising begins, after German troops enter the Warsaw Ghetto to round up the remaining Jews. 1943 – Albert Hofmann deliberately doses himself with LSD for the first time, three days after having discovered its effects on April 16. 1956 – Actress Grace Kelly marries Prince Rainier of Monaco. 1960 – Students in South Korea hold a nationwide pro-democracy protest against president Syngman Rhee, eventually forcing him to resign. 1971 – Sierra Leone becomes a republic, and Siaka Stevens the president. 1971 – Launch of Salyut 1, the first space station. 1971 – Charles Manson is sentenced to death (later commuted to life imprisonment) for conspiracy in the Tate–LaBianca murders. 1973 – The Portuguese Socialist Party is founded in the German town of Bad Münstereifel. 1975 – India's first satellite Aryabhata launched in orbit from Kapustin Yar, Russia. 1975 – South Vietnamese forces withdrew from the town of Xuan Loc in the last major battle of the Vietnam War. 1984 – Advance Australia Fair is proclaimed as Australia's national anthem, and green and gold as the national colours. 1985 – Two hundred ATF and FBI agents lay siege to the compound of the white supremacist survivalist group The Covenant, the Sword, and the Arm of the Lord in Arkansas; the CSA surrenders two days later. 1987 – The Simpsons first appear as a series of shorts on The Tracey Ullman Show, first starting with "Good Night". 1989 – A gun turret explodes on the , killing 47 sailors. 1993 – The 51-day FBI siege of the Branch Davidian building in Waco, Texas, USA, ends when a fire breaks out. 76 Davidians, including eighteen children under the age of ten, died in the fire. 1995 – Oklahoma City bombing: The Alfred P. Murrah Federal Building in Oklahoma City, USA, is bombed, killing 168 people including 19 children under the age of six. 1999 – The German Bundestag returns to Berlin. 2000 – Air Philippines Flight 541 crashes in Samal, Davao del Norte, killing all 131 people on board. 2005 – Cardinal Joseph Ratzinger is elected to the papacy and becomes Pope Benedict XVI. 2011 – Fidel Castro resigns as First Secretary of the Communist Party of Cuba after holding the title since July 1961. 2013 – Boston Marathon bombing suspect Tamerlan Tsarnaev is killed in a shootout with police. His brother Dzhokhar is later captured hiding in a boat inside a backyard in the suburb of Watertown. 2020 – A killing spree in Nova Scotia, Canada, leaves 22 people and the perpetrator dead, making it the deadliest rampage in the country's history. 2021 – The Ingenuity helicopter becomes the first aircraft to achieve flight on another planet. Births Pre-1600 1452 – Frederick IV, King of Naples (d. 1504) 1593 – Sir John Hobart, 2nd Baronet, English politician (d. 1647) 1601–1900 1603 – Michel Le Tellier, French politician, French Minister of Defence (d. 1685) 1613 – Christoph Bach, German musician (d. 1661) 1633 – Willem Drost, Dutch painter (d. 1659) 1655 – George St Lo(e), Royal Navy officer and administrator (d. 1718) 1658 – Johann Wilhelm, Elector Palatine, German husband of Archduchess Maria Anna Josepha of Austria (d. 1716) 1665 – Jacques Lelong, French author (d. 1721) 1686 – Vasily Tatishchev, Russian ethnographer and politician (d. 1750) 1715 – James Nares, English organist and composer (d. 1783) 1721 – Roger Sherman, American lawyer and politician (d. 1793) 1734 – Karl von Ordóñez, Austrian violinist and composer (d. 1786) 1757 – Edward Pellew, 1st Viscount Exmouth, English admiral and politician (d. 1833) 1758 – William Carnegie, 7th Earl of Northesk, Scottish admiral (d. 1831) 1785 – Alexandre Pierre François Boëly, French pianist and composer (d. 1858) 1787 – Deaf Smith, American soldier (d. 1837) 1793 – Ferdinand I of Austria (d. 1875) 1806 – Sarah Bagley, American labor organizer (d. 1889) 1814 – Louis Amédée Achard, French journalist and author (d. 1875) 1831 – Mary Louise Booth, American writer, editor and translator (d. 1889) 1832 – José Echegaray, Spanish poet and playwright, Nobel Prize laureate (d. 1916) 1835 – Julius Krohn, Finnish poet and journalist (d. 1888) 1863 – Hemmo Kallio, Finnish actor (d. 1940) 1872 – Alice Salomon, German social reformer (d. 1948) 1873 – Sydney Barnes, English cricketer (d. 1967) 1874 – Ernst Rüdin, Swiss psychiatrist, geneticist, and eugenicist (d. 1952) 1877 – Ole Evinrude, Norwegian-American engineer, invented the outboard motor (d. 1934) 1879 – Arthur Robertson, Scottish runner (d. 1957) 1882 – Getúlio Vargas, Brazilian lawyer and politician, 14th President of Brazil (d. 1954) 1883 – Henry Jameson, American soccer player (d. 1938) 1883 – Richard von Mises, Austrian-American mathematician and physicist (d. 1953) 1885 – Karl Tarvas, Estonian architect (d. 1975) 1889 – Otto Georg Thierack, German jurist and politician (d. 1946) 1891 – Françoise Rosay, French actress (d. 1974) 1892 – Germaine Tailleferre, French composer and educator (d. 1983) 1894 – Elizabeth Dilling, American author and activist (d. 1966) 1897 – Peter de Noronha, Indian businessman and philanthropist (d. 1970) 1897 – Jiroemon Kimura, Japanese super-centenarian, oldest verified man ever (d. 2013) 1898 – Constance Talmadge, American actress and producer (d. 1973) 1899 – George O'Brien, American actor (d. 1985) 1899 – Cemal Tollu, Turkish lieutenant and painter (d. 1968) 1900 – Iracema de Alencar, Brazilian film actress (d. 1978) 1900 – Richard Hughes, English author, poet, and playwright (d. 1976) 1900 – Roland Michener, Canadian lawyer and politician, 20th Governor General of Canada (d. 1991) 1900 – Rhea Silberta, American Yiddish songwriter and singing teacher (d. 1959) 1901–present 1902 – Veniamin Kaverin, Russian author and screenwriter (d. 1989) 1903 – Eliot Ness, American law enforcement agent (d. 1957) 1907 – Alan Wheatley, English actor (d. 1991) 1908 – Irena Eichlerówna, Polish actress (d. 1990) 1912 – Glenn T. Seaborg, American chemist and academic, Nobel Prize laureate (d. 1999) 1913 – Ken Carpenter, American discus thrower and coach (d. 1984) 1917 – Sven Hassel, Danish-German soldier and author (d. 2012) 1919 – Sol Kaplan, American pianist and composer (d. 1990) 1920 – Gene Leis, American guitarist, composer, and producer (d. 1993) 1920 – Marvin Mandel, American lawyer and politician, 56th Governor of Maryland (d. 2015) 1920 – John O'Neil, American baseball player and manager
Louis-Nicolas Davout at the Battle of Teugen-Hausen in Bavaria, part of a four-day campaign that ended in a French victory. 1810 – Venezuela achieves home rule: Vicente Emparán, Governor of the Captaincy General is removed by the people of Caracas and a junta is installed. 1818 – French physicist Augustin Fresnel signs his preliminary "Note on the Theory of Diffraction" (deposited on the following day). The document ends with what we now call the Fresnel integrals. 1839 – The Treaty of London establishes Belgium as a kingdom and guarantees its neutrality. 1861 – American Civil War: Baltimore riot of 1861: A pro-Secession mob in Baltimore attacks United States Army troops marching through the city. 1901–present 1903 – The Kishinev pogrom in Kishinev (Bessarabia) begins, forcing tens of thousands of Jews to later seek refuge in Palestine and the Western world. 1927 – Mae West is sentenced to ten days in jail for obscenity for her play Sex. 1942 – World War II: In German-occupied Poland, the Majdan-Tatarski ghetto is established, situated between the Lublin Ghetto and a Majdanek subcamp. 1943 – World War II: In German-occupied Poland, the Warsaw Ghetto Uprising begins, after German troops enter the Warsaw Ghetto to round up the remaining Jews. 1943 – Albert Hofmann deliberately doses himself with LSD for the first time, three days after having discovered its effects on April 16. 1956 – Actress Grace Kelly marries Prince Rainier of Monaco. 1960 – Students in South Korea hold a nationwide pro-democracy protest against president Syngman Rhee, eventually forcing him to resign. 1971 – Sierra Leone becomes a republic, and Siaka Stevens the president. 1971 – Launch of Salyut 1, the first space station. 1971 – Charles Manson is sentenced to death (later commuted to life imprisonment) for conspiracy in the Tate–LaBianca murders. 1973 – The Portuguese Socialist Party is founded in the German town of Bad Münstereifel. 1975 – India's first satellite Aryabhata launched in orbit from Kapustin Yar, Russia. 1975 – South Vietnamese forces withdrew from the town of Xuan Loc in the last major battle of the Vietnam War. 1984 – Advance Australia Fair is proclaimed as Australia's national anthem, and green and gold as the national colours. 1985 – Two hundred ATF and FBI agents lay siege to the compound of the white supremacist survivalist group The Covenant, the Sword, and the Arm of the Lord in Arkansas; the CSA surrenders two days later. 1987 – The Simpsons first appear as a series of shorts on The Tracey Ullman Show, first starting with "Good Night". 1989 – A gun turret explodes on the , killing 47 sailors. 1993 – The 51-day FBI siege of the Branch Davidian building in Waco, Texas, USA, ends when a fire breaks out. 76 Davidians, including eighteen children under the age of ten, died in the fire. 1995 – Oklahoma City bombing: The Alfred P. Murrah Federal Building in Oklahoma City, USA, is bombed, killing 168 people including 19 children under the age of six. 1999 – The German Bundestag returns to Berlin. 2000 – Air Philippines Flight 541 crashes in Samal, Davao del Norte, killing all 131 people on board. 2005 – Cardinal Joseph Ratzinger is elected to the papacy and becomes Pope Benedict XVI. 2011 – Fidel Castro resigns as First Secretary of the Communist Party of Cuba after holding the title since July 1961. 2013 – Boston Marathon bombing suspect Tamerlan Tsarnaev is killed in a shootout with police. His brother Dzhokhar is later captured hiding in a boat inside a backyard in the suburb of Watertown. 2020 – A killing spree in Nova Scotia, Canada, leaves 22 people and the perpetrator dead, making it the deadliest rampage in the country's history. 2021 – The Ingenuity helicopter becomes the first aircraft to achieve flight on another planet. Births Pre-1600 1452 – Frederick IV, King of Naples (d. 1504) 1593 – Sir John Hobart, 2nd Baronet, English politician (d. 1647) 1601–1900 1603 – Michel Le Tellier, French politician, French Minister of Defence (d. 1685) 1613 – Christoph Bach, German musician (d. 1661) 1633 – Willem Drost, Dutch painter (d. 1659) 1655 – George St Lo(e), Royal Navy officer and administrator (d. 1718) 1658 – Johann Wilhelm, Elector Palatine, German husband of Archduchess Maria Anna Josepha of Austria (d. 1716) 1665 – Jacques Lelong, French author (d. 1721) 1686 – Vasily Tatishchev, Russian ethnographer and politician (d. 1750) 1715 – James Nares, English organist and composer (d. 1783) 1721 – Roger Sherman, American lawyer and politician (d. 1793) 1734 – Karl von Ordóñez, Austrian violinist and composer (d. 1786) 1757 – Edward Pellew, 1st Viscount Exmouth, English admiral and politician (d. 1833) 1758 – William Carnegie, 7th Earl of Northesk, Scottish admiral (d. 1831) 1785 – Alexandre Pierre François Boëly, French pianist and composer (d. 1858) 1787 – Deaf Smith, American soldier (d. 1837) 1793 – Ferdinand I of Austria (d. 1875) 1806 – Sarah Bagley, American labor organizer (d. 1889) 1814 – Louis Amédée Achard, French journalist and author (d. 1875) 1831 – Mary Louise Booth, American writer, editor and translator (d. 1889) 1832 – José Echegaray, Spanish poet and playwright, Nobel Prize laureate (d. 1916) 1835 – Julius Krohn, Finnish poet and journalist (d. 1888) 1863 – Hemmo Kallio, Finnish actor (d. 1940) 1872 – Alice Salomon, German social reformer (d. 1948) 1873 – Sydney Barnes, English cricketer (d. 1967) 1874 – Ernst Rüdin, Swiss psychiatrist, geneticist, and eugenicist (d. 1952) 1877 – Ole Evinrude, Norwegian-American engineer, invented the outboard motor (d. 1934) 1879 – Arthur Robertson, Scottish runner (d. 1957) 1882 – Getúlio Vargas, Brazilian lawyer and politician, 14th President of Brazil (d. 1954) 1883 – Henry Jameson, American soccer player (d. 1938) 1883 – Richard von Mises, Austrian-American mathematician and physicist (d. 1953) 1885 – Karl Tarvas, Estonian architect (d. 1975) 1889 – Otto Georg Thierack, German jurist and politician (d. 1946) 1891 – Françoise Rosay, French actress (d. 1974) 1892 – Germaine Tailleferre, French composer and educator (d. 1983) 1894 – Elizabeth Dilling, American author and activist (d. 1966) 1897 – Peter de Noronha, Indian businessman and philanthropist (d. 1970) 1897 – Jiroemon Kimura, Japanese super-centenarian, oldest verified man ever (d. 2013) 1898 – Constance Talmadge, American actress and producer (d. 1973) 1899 – George O'Brien, American actor (d. 1985) 1899 – Cemal Tollu, Turkish lieutenant and painter (d. 1968) 1900 – Iracema de Alencar, Brazilian film actress (d. 1978) 1900 – Richard Hughes, English author, poet, and playwright (d. 1976) 1900 – Roland Michener, Canadian lawyer and politician, 20th Governor General of Canada (d. 1991) 1900 – Rhea Silberta, American Yiddish songwriter and singing teacher (d. 1959) 1901–present 1902 – Veniamin Kaverin, Russian
the official Amstrad firmware manual. The machines also feature a 9-pin Atari joystick port that will either directly take one joystick, or two joysticks by use of a splitter cable. Peripherals RS232 serial adapters Amstrad issued two RS-232-C D25 serial interfaces, attached to the expansion connector on the rear of the machine, with a through-connector for the CPC464 disk drive or other peripherals. The original interface came with a Book of Spells for facilitating data transfer between other systems using a proprietary protocol in the device's own ROM, as well as terminal software to connect to British Telecom's Prestel service. A separate version of the ROM was created for the U.S. market due to the use of the commands "|SUCK" and "|BLOW", which were considered unacceptable there. Software and hardware limitations in this interface led to its replacement with an Amstrad-branded version of a compatible alternative by Pace. Serial interfaces were also available from third-party vendors such as KDS Electronics and Cirkit. Software BASIC and operating system Like most home computers at the time, the CPC has its OS and a BASIC interpreter built in as ROM. It uses Locomotive BASIC - an improved version of Locomotive Software's Z80 BASIC for the BBC Microcomputer co-processor board. It is particularly notable for providing easy access to the machine's video and audio resources in contrast to the POKE commands required on generic Microsoft implementations. Other unusual features include timed event handling with the AFTER and EVERY commands, and text-based windowing. CP/M Digital Research's CP/M operating system was supplied with the 664 and 6128 disk-based systems, and the DDI-1 disk expansion unit for the 464. 64k machines shipped with CP/M 2.2 alone, while the 128k machines also include CP/M 3.1. The compact CP/M 2.2 implementation is largely stored on the boot sectors of a 3" disk in what was called "System format"; typing |CPM from Locomotive BASIC would load code from these sectors, making it a popular choice for custom game loading routines. The CP/M 3.1 implementation is largely in a separate file which is in turn loaded from the boot sector. Much public domain CP/M software was made available for the CPC, from word-processors such as VDE to complete bulletin board systems such as ROS. Other languages Although it was possible to obtain compilers for Locomotive BASIC, C and Pascal, the majority of the CPC's software was written in native Z80 assembly language. Popular assemblers were Hisoft's Devpac, Arnor's Maxam, and (in France) DAMS. Disk-based CPC (not Plus) systems shipped with an interpreter for the educational language LOGO, booted from CP/M 2.2 but largely CPC-specific with much code resident in the AMSDOS ROM; 6128 machines also include a CP/M 3.1, non-ROM version. A C compiler was also written and made available for the European market through Tandy Europe, by Micro Business products. Roland In an attempt to give the CPC a recognisable mascot, a number of games by Amstrad's in-house software publisher Amsoft have been tagged with the Roland name. However, as the games had not been designed around the Roland character and only had the branding added later, the character design varies immensely, from a spiky-haired blonde teenager (Roland Goes Digging) to a white cube with legs (Roland Goes Square Bashing) or a mutant flea (Roland in the Caves). The only two games with similar gameplay and main character design are Roland in Time and its sequel Roland in Space. The Roland character was named after Roland Perry, one of the lead designers of the original CPC range. Schneider Computer Division In order to market its computers in Germany, Austria, and Switzerland where Amstrad did not have any distribution structures, Amstrad entered a partnership with Schneider Rundfunkwerke AG, a German company that - very much like Amstrad itself - was previously only known for value-priced audio products. In 1984, Schneider's Schneider Computer Division daughter company was created specifically for the task, and the complete Amstrad CPC line-up was branded and sold as Schneider CPC. Although they are based on the same hardware, the Schneider CPC models differ from the Amstrad CPC models in several details. Most prominently, the Schneider CPC464 and CPC664 keyboards featured grey instead of coloured keys, but still in the original British keyboard layout. To achieve a German "QWERTZ" keyboard layout, Schneider marketed a small software program to reassign the keys as well as sticker labels for the keys. In order to conform with stricter German EMC regulations, the complete Schneider CPC line-up is equipped with an internal metal shielding. For the same reason, the Schneider CPC6128 features micro ribbon type connectors instead of edge connectors. Both the greyscale keyboard and the micro ribbon connectors found their way up into the design of later Amstrad CPC models. In 1988, after Schneider refused to market Amstrad's AT-compatible computer line, the cooperation ended. Schneider went on to sell the remaining stock of Schneider CPC models and used their now well-established market position to introduce its own PC designs. With the formation of its German daughter company Amstrad GmbH to distribute its product lines including the CPC464 and CPC6128, Amstrad attempted but ultimately failed to establish their own brand in the German-speaking parts of Europe. Community The Amstrad CPC enjoyed a strong and long lifetime, mainly due to the machines use for businesses as well as gaming. Dedicated programmers continued working on the CPC range, even producing graphical user interface (GUI) operating systems such as SymbOS. Internet sites devoted to the CPC have appeared from around the world featuring forums, news, hardware, software, programming and games. CPC Magazines appeared during the 1980s including publications in countries such as Britain, France, Spain, Germany, Denmark, Australia, and Greece. Titles included the official Amstrad Computer User publication, as well as independent titles like Amstrad Action, Amtix!, Computing with the Amstrad CPC, CPC Attack, Australia's The Amstrad User, France's Amstrad Cent Pour Cent and Amstar. Following the CPC's end of production, Amstrad gave permission for the CPC ROMs to be distributed freely as long as the copyright message is not changed and that it is acknowledged that Amstrad still holds copyright, giving emulator authors the possibility to ship the CPC firmware with their programs. Influence on other Amstrad machines Amstrad followed their success with the CPC 464 by launching the Amstrad PCW word-processor range, another Z80-based machine with a 3" disk drive and software by Locomotive Software. The PCW was originally developed to be partly compatible with an improved version of the CPC (ANT, or Arnold Number Two - the CPC's development codename was Arnold). However, Amstrad decided to focus on the PCW, and the ANT project never came to market. On 7 April 1986, Amstrad announced it had bought from Sinclair Research "...the worldwide rights to sell and manufacture all existing and future Sinclair computers and computer products, together with the Sinclair brand name and those intellectual property rights where they relate to computers and computer-related products." which included the ZX Spectrum, for £5 million. This included Sinclair's unsold stock of Sinclair QLs and Spectrums. Amstrad made more than £5 million on selling these surplus machines alone. Amstrad launched two new variants of the Spectrum: the ZX Spectrum +2, based on the ZX Spectrum 128, with a built-in tape drive (like the CPC 464) and, the following year, the ZX Spectrum +3, with a built-in floppy disk drive (similar to the CPC 664 and 6128), taking the 3" discs that Amstrad CPC machines used. Production Timeline See also Amstrad CPC character set Amstrad CP/M Plus character set List of Amstrad
display resolutions are available: 160×200 pixels with 16 colours ("Mode 0", 20 text columns), 320×200 pixels with 4 colours ("Mode 1", 40 text columns), and 640×200 pixels with 2 colours ("Mode 2", 80 text columns). Increased screen size can be achieved by reprogramming the CRTC. The original CPC video hardware supports a colour palette of 27 colours, generated from RGB colour space with each colour component assigned as either off, half on, or on (3 level RGB palette). The plus range extended the palette to 4096 colours, also generated from RGB with 4 bits each for red, green and blue (12-bit RGB). With the exception of the GX4000, all CPC models lack an RF television or composite video output and instead shipped with a 6-pin RGB DIN connector, also used by Acorn computers, to connect the supplied Amstrad monitor. This connector delivers a 1v p-p analogue RGB with a 50 Hz composite sync signal that, if wired correctly, can drive a 50 Hz SCART television. External adapters for RF television were available as a first-party hardware accessory. Audio The CPC uses the General Instrument AY-3-8912 sound chip, providing three channels, each configurable to generate square waves, white noise or both. A small array of hardware volume envelopes are available. Output is provided in mono by a small (4 cm) built-in loudspeaker with volume control, driven by an internal amplifier. Stereo output is provided through a headphones jack. It is possible to play back digital sound samples at a resolution of approximately 5-bit by sending a stream of values to the sound chip. This technique is very processor-intensive and hard to combine with any other processing. Examples are the title screens or other non-playable scenes of games like Chase H.Q., Meltdown, and RoboCop. The later Plus models incorporated a DMA engine in order to offload this processing. Floppy disk drive Amstrad uses Matsushita's 3" floppy disk drive [ref: CPCWiki], which was comptible with Hitachi's existing 3" floppy disk format. The chosen drive (built-in for later models) is a single-sided 40-track unit that requires the user to remove and flip the disk to access the other side. Each side has its own independent write-protect switch. The sides are termed "A" and "B", with each one commonly formatted to 180 KB (in AMSDOS format, comprising 2 KB directory and 178 KB storage) for a total of 360 KB per disk. The interface with the drives is a NEC 765 FDC, used for the same purpose in the IBM PC/XT, PC/AT and PS/2 machines. Its features are not fully used in order to cut costs, namely DMA transfers and support for single density disks; they were formatted as double density using modified frequency modulation. Discs were shipped in a paper sleeve or a hard plastic case resembling a compact disc "jewel" case. The casing is thicker and more rigid than that of 3.5 inch diskettes, and designed to be mailed without any additional packaging. A sliding metal cover to protect the media surface is internal to the casing and latched, unlike the simple external sliding cover of Sony's version. They were significantly more expensive than both 5.25 inch and 3.5 inch alternatives. This, combined with their low nominal capacities and their essentially proprietary nature, led to the format being discontinued shortly after the CPC itself was discontinued. Apart from Amstrad's other 3 inch machines (the PCW and the ZX Spectrum +3), the few other computer systems to use them included the Sega SF-7000 and CP/M systems such as the Tatung Einstein and Osborne machines. They also found use on embedded systems. The Shugart-standard interface means that Amstrad CPC machines are able to use standard 3", 3½" or 5¼" drives as their second drive. Programs such as ROMDOS and ParaDOS extend the standard AMSDOS system to provide support for double-sided, 80-track formats, enabling up to 800 KB to be stored on a single disk. The 3 inch disks themselves are usually known as "discs" on the CPC, following the spelling on the machine's plastic casing and conventional British English spelling. Expansion The hardware and firmware was designed to be able to access software provided on external ROMs. Each ROM has to be a 16 kB block and is switched in and out of the memory space shared with the video RAM. The Amstrad firmware is deliberately designed so that new software could be easily accessed from these ROMs with a minimum of fuss. Popular applications were marketed on ROM, particularly word processing and programming utility software (examples are Protext and Brunword of the former, and the MAXAM assembler of the latter type). Such extra ROM chips do not plug directly into the CPC itself, but into extra plug-in "rom boxes" which contain sockets for the ROM chips and a minimal amount of decoding circuitry for the main machine to be able to switch between them. These boxes were either marketed commercially or could be built by competent hobbyists and they attached to the main expansion port at the back of the machine. Software on ROM loads much faster than from disc or tape and the machine's boot-up sequence was designed to evaluate ROMs it found and optionally hand over control of the machine to them. This allows significant customisation of the functionality of the machine, something that enthusiasts exploited for various purposes. However, the typical users would probably not be aware of this added ROM functionality unless they read the CPC press, as it is not described in the user manual and was hardly ever mentioned in marketing literature. It is, however, documented in the official Amstrad firmware manual. The machines also feature a 9-pin Atari joystick port that will either directly take one joystick, or two joysticks by use of a splitter cable. Peripherals RS232 serial adapters Amstrad issued two RS-232-C D25 serial interfaces, attached to the expansion connector on the rear of the machine, with a through-connector for the CPC464 disk drive or other peripherals. The original interface came with a Book of Spells for facilitating data transfer between other systems using a proprietary protocol in the device's own ROM, as well as terminal software to connect to British Telecom's Prestel service. A separate version of the ROM was created for the U.S. market due to the use of the commands "|SUCK" and "|BLOW", which were considered unacceptable there. Software and hardware limitations in this interface led to its replacement with an Amstrad-branded version of a compatible alternative by Pace. Serial interfaces were also available from third-party vendors such as KDS Electronics and Cirkit. Software BASIC and operating system Like most home computers at the time, the CPC has its OS and a BASIC interpreter built in as ROM. It uses Locomotive BASIC - an improved version of Locomotive Software's Z80 BASIC for the BBC Microcomputer co-processor board. It is particularly notable for providing easy access to the machine's video and audio resources in contrast to the POKE commands required on generic Microsoft implementations. Other unusual features include timed event handling with the AFTER and EVERY commands, and text-based windowing. CP/M Digital Research's CP/M operating system was supplied with the 664 and 6128 disk-based systems, and the DDI-1 disk expansion unit for the 464. 64k machines shipped with CP/M 2.2 alone, while the 128k machines also include CP/M 3.1. The compact CP/M 2.2 implementation is largely stored on the boot sectors of a 3" disk in what was called "System format"; typing |CPM from Locomotive BASIC would load code from these sectors, making it a popular choice for custom game loading routines. The CP/M 3.1 implementation is largely in a separate file which is in turn loaded from the boot sector. Much public domain CP/M software was made available for the CPC, from word-processors such as VDE to complete bulletin board systems such as ROS. Other languages Although it was possible to obtain compilers for Locomotive BASIC, C and Pascal, the majority of the CPC's software was written in native Z80 assembly language. Popular assemblers were Hisoft's Devpac, Arnor's Maxam, and (in France) DAMS. Disk-based CPC (not Plus) systems shipped with an interpreter for the educational language LOGO, booted from CP/M 2.2 but largely CPC-specific with much code resident in the AMSDOS ROM; 6128 machines also include a CP/M 3.1, non-ROM version. A C compiler was also written and made available for the European market through Tandy Europe, by Micro Business products. Roland In an attempt to give the CPC a recognisable mascot, a number of games by Amstrad's in-house software publisher Amsoft have been tagged with the Roland name. However, as the games had not been designed around the Roland character and only had the branding added later, the character design varies immensely, from a spiky-haired blonde teenager (Roland Goes Digging) to a white cube with legs (Roland Goes Square Bashing) or a mutant flea (Roland in the Caves). The only two games with similar gameplay and main character design are Roland in Time and its sequel Roland in Space. The Roland character was named after Roland Perry, one of the lead designers of the original CPC range. Schneider Computer Division In order to market its computers in Germany, Austria, and Switzerland where Amstrad did not have any distribution structures, Amstrad entered a partnership with Schneider Rundfunkwerke AG, a German company that - very much like Amstrad itself - was previously only known for value-priced audio products. In 1984, Schneider's Schneider Computer
up Omari from the Milner Hotel in Boston, Massachusetts, and the two drove their rented Nissan to a Comfort Inn in South Portland, Maine, where they spent the night in room 232. It was initially reported that Adnan and Ameer Bukhari were the two hijackers who had rented and driven the car. In the early hours of September 11, they boarded a commuter flight back to Boston to connect to American Airlines Flight 11. American 11 was hijacked 15 minutes after the flight departed by Omari and four other hijackers, which allowed trained pilot Mohamed Atta to crash the Boeing 767 into the North Tower of the World Trade Center as part of an attack that killed thousands of people. Mistaken identity allegations Controversy over Omari's identity erupted shortly after the attacks. At first, the FBI had named Abdul Rahman al-Omari, a pilot for Saudi Arabian Airlines, as the pilot of Flight 11. It was quickly shown that this person was still alive, and the FBI issued an apology. It was also quickly determined that Mohamed Atta was the pilot among the hijackers. The FBI then named Abdulaziz al-Omari as a hijacker. A man with the same name as those given by the FBI turned up alive in Saudi Arabia, saying that he had studied at the University of Denver and his passport was stolen there in 1995. The name, origin, birth date, and occupation were released by the FBI, but the picture was not of him. "I couldn't believe it when the FBI put me on their list", he said. "They gave my name and my date of birth, but I am not a suicide bomber. I am here. I am alive. I have no idea how to fly a plane. I had nothing to do with this." See also PENTTBOM Hijackers in the September 11 attacks References External links The Final 9/11 Commission Report portal.telegraph.co.uk (Article which reports that the Saudi Arabian Airlines pilot named Omari
it is unclear whether some information refers to Omari or another person by that name. He had used the birth date May 28, 1979. It is alleged al-Omari graduated with honors from high school, attained a degree from Imam Muhammad ibn Saud Islamic University, was married and had a daughter briefly before the attacks. Career He is alleged to have often served as an imam at his mosque in Saudi Arabia and is believed by American authorities to have been a student of Saudi cleric Sulaiman Al-Alwan, whose mosque is located in Al-Qassim Province. According to Walid bin Attash, Omari was one of a group of future hijackers who provided security at Kandahar airport after their basic training at an al-Qaeda camp. During the 2000 Al Qaeda Summit in Kuala Lumpur, American authorities state that immigration records show that a person named Abdulaziz al-Omari was visiting the country, although they say they are not sure that this was the same person. In the autumn of 2001, after the September 11 attacks, al Jazeera television broadcast a tape they claim was made by Omari. The speaker made a farewell suicide video. In it he read, "I am writing this with my full conscience and I am writing this in expectation of the end, which is near. . . God praise everybody who trained and helped me, namely the leader Sheikh Osama bin Laden." According to FBI director
2009) was a Danish nuclear physicist who shared the Nobel Prize in Physics in 1975 with Ben Mottelson and James Rainwater "for the discovery of the connection between collective motion and particle motion in atomic nuclei and the development of the theory of the structure of the atomic nucleus based on this connection". Starting from Rainwater's concept of an irregular-shaped liquid drop model of the nucleus, Bohr and Mottelson developed a detailed theory that was in close agreement with experiments. Since his father, Niels Bohr, had won the prize in 1922, he and his father are one of the six pairs of fathers and sons who have both won the Nobel Prize and one of the four pairs who have both won the Nobel Prize in Physics. Early life and education Aage Niels Bohr was born in Copenhagen on 19 June 1922, the fourth of six sons of the physicist Niels Bohr and his wife Margrethe Bohr (née Nørlund). His oldest brother, Christian, died in a boating accident in 1934, and his youngest, Harald, from childhood meningitis. Of the others, Hans became a physician; Erik, a chemical engineer; and Ernest, a lawyer and Olympic athlete who played field hockey for Denmark at the 1948 Summer Olympics in London. The family lived at the Institute of Theoretical Physics at the University of Copenhagen, now known as the Niels Bohr Institute, where he grew up surrounded by physicists who were working with his father, such as Hans Kramers, Oskar Klein, Yoshio Nishina, Wolfgang Pauli and Werner Heisenberg. In 1932, the family moved to the Carlsberg Æresbolig, a mansion donated by Carl Jacobsen, the heir to Carlsberg breweries, to be used as an honorary residence by the Dane who had made the most prominent contribution to science, literature, or the arts. Bohr went to high school at Sortedam Gymnasium in Copenhagen. In 1940, shortly after the German occupation of Denmark in April, he entered the University of Copenhagen, where he studied physics. He assisted his father, helping draft correspondence and articles related to epistemology and physics. In September 1943, word reached his family that the Nazis considered them to be Jewish, because Aage's grandmother, Ellen Adler Bohr, had been Jewish, and that they therefore were in danger of being arrested. The Danish resistance helped the family escape by sea to Sweden. Bohr arrived there in October 1943, and then flew to Britain on a de Havilland Mosquito operated by British Overseas Airways Corporation. The Mosquitoes were unarmed high-speed bomber aircraft that had been converted to carry small, valuable cargoes or important passengers. By flying at high speed and high altitude, they could cross German-occupied Norway, and yet avoid German fighters. Bohr, equipped with parachute, flying suit and oxygen mask, spent the three-hour flight lying on a mattress in the aircraft's bomb bay. On arrival in London, Bohr rejoined his father, who had flown to Britain the week before. He officially became a junior researcher at the Department of Scientific and Industrial Research, but actually served as personal assistant and secretary to his father. The two worked on Tube Alloys, the British atomic bomb project. On 30 December 1943, they made the first of a number of visits to the United States, where his father was a consultant to the Manhattan Project. Due to his father's fame, they were given false names; Bohr became James Baker, and his father, Nicholas Baker. In 1945, the director of the Los Alamos Laboratory, Robert Oppenheimer, asked them to review the design of the modulated neutron initiator. They reported that it would work. That they had reached this conclusion put Enrico Fermi's concerns about the viability of the design to rest. The
model with Rainwater's concept. This work stimulated many new theoretical and experimental studies. Bohr, Mottelson and Rainwater were jointly awarded the 1975 Nobel Prize in Physics "for the discovery of the connection between collective motion and particle motion in atomic nuclei and the development of the theory of the structure of the atomic nucleus based on this connection". Because his father had been awarded the prize in 1922, Bohr became one of only four pairs of fathers and sons to win the Nobel Prize in Physics. Only after doing his Nobel Prize-winning research did Bohr receive his doctorate from the University of Copenhagen, in 1954, writing his thesis on "Rotational States of Atomic Nuclei". Bohr became a professor at the University of Copenhagen in 1956, and, following his father's death in 1962, succeeded him as director of the Niels Bohr Institute, a position he held until 1970. He remained active there until he retired in 1992. He was also a member of the board of the Nordic Institute for Theoretical Physics (Nordita) from its inception in 1957, and was its director from 1975 to 1981. In addition to the Nobel Prize, he won the Dannie Heineman Prize for Mathematical Physics in 1960, the Atoms for Peace Award in 1969, H.C. Ørsted Medal in 1970, Rutherford Medal and Prize in 1972, John Price Wetherill Medal in 1974, and the Ole Rømer medal in 1976. Bohr and Mottelson continued to work together, publishing a two-volume monograph, Nuclear Structure. The first volume, Single-Particle Motion, appeared in 1969; the second, Nuclear Deformations, in 1975. In 1972 he was awarded an honorary degree, doctor philos. honoris causa, at the Norwegian Institute of Technology, later part of Norwegian University of Science and Technology. He was also a member of the Norwegian Academy of Science and Letters from 1980. In 1981, Bohr became a founding member of the World Cultural Council. His wife Marietta died on 2 October 1978. In 1981, he married Bente Scharff Meyer (1926–2011). His son, Tomas Bohr, is a Professor of Physics at the Technical University of Denmark, working in the area of fluid dynamics. Aage Bohr died in Copenhagen on 9 September 2009. He was outlived by his second wife and children. Notes References External links including the Nobel Lecture, 11 December 1975 Rotational Motion in Nuclei Oral History interview transcript with Aage Bohr 23 & 30 January 1963, American Institute of Physics, Niels Bohr Library and Archives 1922 births 2009 deaths Atoms for Peace Award recipients Danish Nobel laureates Danish nuclear physicists Danish people of Jewish descent 20th-century Danish physicists Founding members of the World Cultural Council Members of the Pontifical Academy of Sciences Members of
Cartesian geometry, is the study of geometry using a coordinate system. This contrasts with synthetic geometry. Analytic geometry is used in physics and engineering, and also in aviation, rocketry, space science, and spaceflight. It is the foundation of most modern fields of geometry, including algebraic, differential, discrete and computational geometry. Usually the Cartesian coordinate system is applied to manipulate equations for planes, straight lines, and circles, often in two and sometimes three dimensions. Geometrically, one studies the Euclidean plane (two dimensions) and Euclidean space. As taught in school books, analytic geometry can be explained more simply: it is concerned with defining and representing geometric shapes in a numerical way and extracting numerical information from shapes' numerical definitions and representations. That the algebra of the real numbers can be employed to yield results about the linear continuum of geometry relies on the Cantor–Dedekind axiom. History Ancient Greece The Greek mathematician Menaechmus solved problems and proved theorems by using a method that had a strong resemblance to the use of coordinates and it has sometimes been maintained that he had introduced analytic geometry. Apollonius of Perga, in On Determinate Section, dealt with problems in a manner that may be called an analytic geometry of one dimension; with the question of finding points on a line that were in a ratio to the others. Apollonius in the Conics further developed a method that is so similar to analytic geometry that his work is sometimes thought to have anticipated the work of Descartes by some 1800 years. His application of reference lines, a diameter and a tangent is essentially no different from our modern use of a coordinate frame, where the distances measured along the diameter from the point of tangency are the abscissas, and the segments parallel to the tangent and intercepted between the axis and the curve are the ordinates. He further developed relations between the abscissas and the corresponding ordinates that are equivalent to rhetorical equations of curves. However, although Apollonius came close to developing analytic geometry, he did not manage to do so since he did not take into account negative magnitudes and in every case the coordinate system was superimposed upon a given curve a posteriori instead of a priori. That is, equations were determined by curves, but curves were not determined by equations. Coordinates, variables, and equations were subsidiary notions applied to a specific geometric situation. Persia The 11th-century Persian mathematician Omar Khayyam saw a strong relationship between geometry and algebra and was moving in the right direction when he helped close the gap between numerical and geometric algebra with his geometric solution of the general cubic equations, but the decisive step came later with Descartes. Omar Khayyam is credited with identifying the foundations of algebraic geometry, and his book Treatise on Demonstrations of Problems of Algebra (1070), which laid down the principles of analytic geometry, is part of the body of Persian mathematics that was eventually transmitted to Europe. Because of his thoroughgoing geometrical approach to algebraic equations, Khayyam can be considered a precursor to Descartes in the invention of analytic geometry. Western Europe Analytic geometry was independently invented by René Descartes and Pierre de Fermat, although Descartes is sometimes given sole credit. Cartesian geometry, the alternative term used for analytic geometry, is named after Descartes. Descartes made significant progress with the methods in an essay titled La Geometrie (Geometry), one of the three accompanying essays (appendices) published in 1637 together with his Discourse on the Method for Rightly Directing One's Reason and Searching for Truth in the Sciences, commonly referred to as Discourse on Method. La Geometrie, written in his native French tongue, and its philosophical principles, provided a foundation for calculus in Europe. Initially the work was not well received, due, in part, to the many gaps in arguments and complicated equations. Only after the translation into Latin and the addition of commentary by van Schooten in 1649 (and further work thereafter) did Descartes's masterpiece receive due recognition. Pierre de Fermat also pioneered the development of analytic geometry. Although not published in his lifetime, a manuscript form of Ad locos planos et solidos isagoge (Introduction to Plane and Solid Loci) was circulating in Paris in 1637, just prior to the publication of Descartes' Discourse. Clearly written and well received, the Introduction also laid the groundwork for analytical geometry. The key difference between Fermat's and Descartes' treatments is a matter of viewpoint: Fermat always started with an algebraic equation and then described the geometric curve that satisfied it, whereas Descartes started with geometric curves and produced their equations as one of several properties of the curves. As a consequence of this approach, Descartes had to deal with more complicated equations and he had to develop the methods to work with polynomial equations of higher degree. It was Leonhard Euler who first applied the coordinate method in a systematic study of space curves and surfaces. Coordinates In analytic geometry, the plane is given a coordinate system, by which every point has a pair of real number coordinates. Similarly, Euclidean space is given coordinates where every point has three coordinates. The value of the coordinates depends on the choice of the initial point of origin. There are a variety of coordinate systems used, but the most common are the following: Cartesian coordinates (in a plane or space) The most common coordinate system to use is the Cartesian coordinate system, where each point has an x-coordinate representing its horizontal position, and a y-coordinate representing its vertical position. These are typically written as an ordered pair (x, y). This system can also be used for three-dimensional geometry, where every point in Euclidean space is represented by an ordered triple of coordinates (x, y, z). Polar coordinates (in a plane) In polar coordinates, every point of the plane is represented by its distance r from the origin and its angle θ, with θ normally measured counterclockwise from the positive x-axis. Using this notation, points are typically written as an ordered pair (r, θ). One may transform back and forth between two-dimensional Cartesian and polar coordinates by using these formulae: This system may be generalized to three-dimensional space through the use of cylindrical or spherical coordinates. Cylindrical coordinates (in a space) In cylindrical
a coordinate system. This contrasts with synthetic geometry. Analytic geometry is used in physics and engineering, and also in aviation, rocketry, space science, and spaceflight. It is the foundation of most modern fields of geometry, including algebraic, differential, discrete and computational geometry. Usually the Cartesian coordinate system is applied to manipulate equations for planes, straight lines, and circles, often in two and sometimes three dimensions. Geometrically, one studies the Euclidean plane (two dimensions) and Euclidean space. As taught in school books, analytic geometry can be explained more simply: it is concerned with defining and representing geometric shapes in a numerical way and extracting numerical information from shapes' numerical definitions and representations. That the algebra of the real numbers can be employed to yield results about the linear continuum of geometry relies on the Cantor–Dedekind axiom. History Ancient Greece The Greek mathematician Menaechmus solved problems and proved theorems by using a method that had a strong resemblance to the use of coordinates and it has sometimes been maintained that he had introduced analytic geometry. Apollonius of Perga, in On Determinate Section, dealt with problems in a manner that may be called an analytic geometry of one dimension; with the question of finding points on a line that were in a ratio to the others. Apollonius in the Conics further developed a method that is so similar to analytic geometry that his work is sometimes thought to have anticipated the work of Descartes by some 1800 years. His application of reference lines, a diameter and a tangent is essentially no different from our modern use of a coordinate frame, where the distances measured along the diameter from the point of tangency are the abscissas, and the segments parallel to the tangent and intercepted between the axis and the curve are the ordinates. He further developed relations between the abscissas and the corresponding ordinates that are equivalent to rhetorical equations of curves. However, although Apollonius came close to developing analytic geometry, he did not manage to do so since he did not take into account negative magnitudes and in every case the coordinate system was superimposed upon a given curve a posteriori instead of a priori. That is, equations were determined by curves, but curves were not determined by equations. Coordinates, variables, and equations were subsidiary notions applied to a specific geometric situation. Persia The 11th-century Persian mathematician Omar Khayyam saw a strong relationship between geometry and algebra and was moving in the right direction when he helped close the gap between numerical and geometric algebra with his geometric solution of the general cubic equations, but the decisive step came later with Descartes. Omar Khayyam is credited with identifying the foundations of algebraic geometry, and his book Treatise on Demonstrations of Problems of Algebra (1070), which laid down the principles of analytic geometry, is part of the body of Persian mathematics that was eventually transmitted to Europe. Because of his thoroughgoing geometrical approach to algebraic equations, Khayyam can be considered a precursor to Descartes in the invention of analytic geometry. Western Europe Analytic geometry was independently invented by René Descartes and Pierre de Fermat, although Descartes is sometimes given sole credit. Cartesian geometry, the alternative term used for analytic geometry, is named after Descartes. Descartes made significant progress with the methods in an essay titled La Geometrie (Geometry), one of the three accompanying essays (appendices) published in 1637 together with his Discourse on the Method for Rightly Directing One's Reason and Searching for Truth in the Sciences, commonly referred to as Discourse on Method. La Geometrie, written in his native French tongue, and its philosophical principles, provided a foundation for calculus in Europe. Initially the work was not well received, due, in part, to the many gaps in arguments and complicated equations. Only after the translation into Latin and the addition of commentary by van Schooten in 1649 (and further work thereafter) did Descartes's masterpiece receive due recognition. Pierre de Fermat also pioneered the development of analytic geometry. Although not published in his lifetime, a manuscript form of Ad locos planos et solidos isagoge (Introduction to Plane and Solid Loci) was circulating in Paris in 1637, just prior to the publication of Descartes' Discourse. Clearly written and well received, the Introduction also laid the groundwork for analytical geometry. The key difference between Fermat's and Descartes' treatments is a matter of viewpoint: Fermat always started with an algebraic equation and then described the geometric curve that satisfied it, whereas Descartes started with geometric curves and produced their equations as one of several properties of the curves. As a consequence of this approach, Descartes had to deal with more complicated equations and he had to develop the methods to work with polynomial equations of higher degree. It was Leonhard Euler who first applied the coordinate method in a systematic study of space curves and surfaces. Coordinates In analytic geometry, the plane is given a coordinate system, by which every point has a pair of real number coordinates. Similarly, Euclidean space is given coordinates where every point has three coordinates. The value of the coordinates depends on the choice of the initial point of origin. There are a variety of coordinate systems used, but the most common are the following: Cartesian coordinates (in a plane or space) The most common coordinate system to use is the Cartesian coordinate system, where each point has an x-coordinate representing its horizontal position, and a y-coordinate representing its vertical position. These are typically written as an ordered pair (x, y). This system can also be used for three-dimensional geometry, where every point in Euclidean space is represented by an ordered triple of coordinates (x, y, z). Polar coordinates (in a plane) In polar coordinates, every point of the plane is represented by its distance r from the origin and its angle θ, with θ normally measured counterclockwise from the positive x-axis. Using this notation, points are typically written as an ordered pair (r, θ). One may transform back and forth between two-dimensional Cartesian and polar coordinates by using these formulae: This system may be generalized to three-dimensional space through the use of cylindrical or spherical coordinates. Cylindrical coordinates (in a space) In cylindrical coordinates, every point of space is represented by its height z, its radius r from the z-axis and the angle θ its projection on the xy-plane makes with respect to the horizontal axis. Spherical coordinates (in a space) In spherical coordinates, every point in space is represented by its distance ρ from the origin, the angle θ its projection on the xy-plane makes with respect to the horizontal axis, and the angle φ that it makes with respect to the z-axis. The names of the angles are often reversed in physics. Equations and curves In analytic geometry, any equation involving the coordinates specifies a subset of the plane, namely the solution set for the equation, or locus. For example, the equation y = x corresponds to the set of all the points on the plane whose x-coordinate and y-coordinate are equal. These points form a line, and y = x is said to be the equation for this line. In general, linear equations involving x and y specify lines, quadratic equations specify conic sections, and more complicated equations describe more complicated figures. Usually, a single equation corresponds to a curve on the plane. This is not always the case: the trivial equation x = x specifies the entire plane, and the equation x2 + y2 = 0 specifies only the single point (0, 0). In three dimensions, a single equation usually gives a surface, and a curve must be specified as the intersection of two surfaces (see below), or as a system of parametric equations. The equation x2 + y2 = r2 is the equation for any circle centered at the origin (0, 0) with a radius of r. Lines and planes Lines
is indicated by doubling the vowel diacritic at the end of the word. Vowels Users of Arabic usually write long vowels but omit short ones, so readers must utilize their knowledge of the language in order to supply the missing vowels. However, in the education system and particularly in classes on Arabic grammar these vowels are used since they are crucial to the grammar. An Arabic sentence can have a completely different meaning by a subtle change of the vowels. This is why in an important text such as the the three basic vowel signs (see below) are mandated, like the ḥarakāt and all the other diacritics or other types of marks, for example the cantillation signs. Short vowels In the Arabic handwriting of everyday use, in general publications, and on street signs, short vowels are typically not written. On the other hand, copies of the cannot be endorsed by the religious institutes that review them unless the diacritics are included. Children's books, elementary school texts, and Arabic-language grammars in general will include diacritics to some degree. These are known as "vocalized" texts. Short vowels may be written with diacritics placed above or below the consonant that precedes them in the syllable, called . All Arabic vowels, long and short, follow a consonant; in Arabic, words like "Ali" or "alif", for example, start with a consonant: , . Long vowels In the fully vocalized Arabic text found in texts such as Quran, a long following a consonant other than a is written with a short sign () on the consonant plus an after it; long is written as a sign for short () plus a ; and long as a sign for short () plus a . Briefly, = ; = ; and = . Long following a may be represented by an or by a free followed by an (two consecutive s are never allowed in Arabic). The table below shows vowels placed above or below a dotted circle replacing a primary consonant letter or a sign. For clarity in the table, the primary letters on the left used to mark these long vowels are shown only in their isolated form. Most consonants do connect to the left with , and written then with their medial or final form. Additionally, the letter in the last row may connect to the letter on its left, and then will use a medial or initial form. Use the table of primary letters to look at their actual glyph and joining types. In unvocalized text (one in which the short vowels are not marked), the long vowels are represented by the vowel in question: , , or . Long vowels written in the middle of a word of unvocalized text are treated like consonants with a (see below) in a text that has full diacritics. Here also, the table shows long vowel letters only in isolated form for clarity. Combinations and are always pronounced and respectively. The exception is the suffix in verb endings where is silent, resulting in or . In addition, when transliterating names and loanwords, Arabic language speakers write out most or all the vowels as long ( with , and with , and and with ), meaning it approaches a true alphabet. Diphthongs The diphthongs and are represented in vocalized text as follows: Vowel omission An Arabic syllable can be open (ending with a vowel) or closed (ending with a consonant): open: CV [consonant-vowel] (long or short vowel) closed: CVC (short vowel only) A normal text is composed only of a series of consonants plus vowel-lengthening letters; thus, the word qalb, "heart", is written qlb, and the word qalaba "he turned around", is also written qlb. To write qalaba without this ambiguity, we could indicate that the l is followed by a short a by writing a fatḥah above it. To write qalb, we would instead indicate that the l is followed by no vowel by marking it with a diacritic called sukūn (), like this: . This is one step down from full vocalization, where the vowel after the q would also be indicated by a fatḥah: . The Qurʾān is traditionally written in full vocalization. The long i sound in some editions of the Qur’ān is written with a kasrah followed by a diacritic-less y, and long u by a ḍammah followed by a bare w. In others, these y and w carry a sukūn. Outside of the Qur’ān, the latter convention is extremely rare, to the point that y with sukūn will be unambiguously read as the diphthong , and w with sukūn will be read . For example, the letters can be read like English meel or mail, or (theoretically) also like mayyal or mayil. But if a sukūn is added on the y then the m cannot have a sukūn (because two letters in a row cannot be sukūnated), cannot have a ḍammah (because there is never an uy sound in Arabic unless there is another vowel after the y), and cannot have a kasrah (because kasrah before sukūnated y is never found outside the Qur’ān), so it must have a fatḥah and the only possible pronunciation is (meaning mile, or even e-mail). By the same token, m-y-t with a sukūn over the y can be mayt but not mayyit or meet, and m-w-t with a sukūn on the w can only be mawt, not moot (iw is impossible when the w closes the syllable). Vowel marks are always written as if the i‘rāb vowels were in fact pronounced, even when they must be skipped in actual pronunciation. So, when writing the name Aḥmad, it is optional to place a sukūn on the ḥ, but a sukūn is forbidden on the d, because it would carry a ḍammah if any other word followed, as in Aḥmadu zawjī "Ahmad is my husband". Another example: the sentence that in correct literary Arabic must be pronounced Aḥmadu zawjun shirrīr "Ahmad is a wicked husband", is usually mispronounced (due to influence from vernacular Arabic varieties) as Aḥmad zawj shirrīr. Yet, for the purposes of Arabic grammar and orthography, is treated as if it were not mispronounced and as if yet another word followed it, i.e., if adding any vowel marks, they must be added as if the pronunciation were Aḥmadu zawjun sharrīrun with a tanwīn 'un' at the end. So, it is correct to add an un tanwīn sign on the final r, but actually pronouncing it would be a hypercorrection. Also, it is never correct to write a sukūn on that r, even though in actual pronunciation it is (and in correct Arabic MUST be) sukūned. Of course, if the correct i‘rāb is a sukūn, it may be optionally written. ٰٰ The sukūn is also used for transliterating words into the Arabic script. The Persian word (mâsk, from the English word "mask"), for example, might be written with a sukūn above the to signify that there is no vowel sound between that letter and the . Additional letters Regional variations Some letters take a traditionally different form in specific regions: Non-native letters to Standard Arabic Some modified letters are used to represent non-native sounds of Modern Standard Arabic. These letters are used in transliterated names, loanwords and dialectal words. is considered a native phoneme/allophone in some dialects, e.g.
Most consonants do connect to the left with , and written then with their medial or final form. Additionally, the letter in the last row may connect to the letter on its left, and then will use a medial or initial form. Use the table of primary letters to look at their actual glyph and joining types. In unvocalized text (one in which the short vowels are not marked), the long vowels are represented by the vowel in question: , , or . Long vowels written in the middle of a word of unvocalized text are treated like consonants with a (see below) in a text that has full diacritics. Here also, the table shows long vowel letters only in isolated form for clarity. Combinations and are always pronounced and respectively. The exception is the suffix in verb endings where is silent, resulting in or . In addition, when transliterating names and loanwords, Arabic language speakers write out most or all the vowels as long ( with , and with , and and with ), meaning it approaches a true alphabet. Diphthongs The diphthongs and are represented in vocalized text as follows: Vowel omission An Arabic syllable can be open (ending with a vowel) or closed (ending with a consonant): open: CV [consonant-vowel] (long or short vowel) closed: CVC (short vowel only) A normal text is composed only of a series of consonants plus vowel-lengthening letters; thus, the word qalb, "heart", is written qlb, and the word qalaba "he turned around", is also written qlb. To write qalaba without this ambiguity, we could indicate that the l is followed by a short a by writing a fatḥah above it. To write qalb, we would instead indicate that the l is followed by no vowel by marking it with a diacritic called sukūn (), like this: . This is one step down from full vocalization, where the vowel after the q would also be indicated by a fatḥah: . The Qurʾān is traditionally written in full vocalization. The long i sound in some editions of the Qur’ān is written with a kasrah followed by a diacritic-less y, and long u by a ḍammah followed by a bare w. In others, these y and w carry a sukūn. Outside of the Qur’ān, the latter convention is extremely rare, to the point that y with sukūn will be unambiguously read as the diphthong , and w with sukūn will be read . For example, the letters can be read like English meel or mail, or (theoretically) also like mayyal or mayil. But if a sukūn is added on the y then the m cannot have a sukūn (because two letters in a row cannot be sukūnated), cannot have a ḍammah (because there is never an uy sound in Arabic unless there is another vowel after the y), and cannot have a kasrah (because kasrah before sukūnated y is never found outside the Qur’ān), so it must have a fatḥah and the only possible pronunciation is (meaning mile, or even e-mail). By the same token, m-y-t with a sukūn over the y can be mayt but not mayyit or meet, and m-w-t with a sukūn on the w can only be mawt, not moot (iw is impossible when the w closes the syllable). Vowel marks are always written as if the i‘rāb vowels were in fact pronounced, even when they must be skipped in actual pronunciation. So, when writing the name Aḥmad, it is optional to place a sukūn on the ḥ, but a sukūn is forbidden on the d, because it would carry a ḍammah if any other word followed, as in Aḥmadu zawjī "Ahmad is my husband". Another example: the sentence that in correct literary Arabic must be pronounced Aḥmadu zawjun shirrīr "Ahmad is a wicked husband", is usually mispronounced (due to influence from vernacular Arabic varieties) as Aḥmad zawj shirrīr. Yet, for the purposes of Arabic grammar and orthography, is treated as if it were not mispronounced and as if yet another word followed it, i.e., if adding any vowel marks, they must be added as if the pronunciation were Aḥmadu zawjun sharrīrun with a tanwīn 'un' at the end. So, it is correct to add an un tanwīn sign on the final r, but actually pronouncing it would be a hypercorrection. Also, it is never correct to write a sukūn on that r, even though in actual pronunciation it is (and in correct Arabic MUST be) sukūned. Of course, if the correct i‘rāb is a sukūn, it may be optionally written. ٰٰ The sukūn is also used for transliterating words into the Arabic script. The Persian word (mâsk, from the English word "mask"), for example, might be written with a sukūn above the to signify that there is no vowel sound between that letter and the . Additional letters Regional variations Some letters take a traditionally different form in specific regions: Non-native letters to Standard Arabic Some modified letters are used to represent non-native sounds of Modern Standard Arabic. These letters are used in transliterated names, loanwords and dialectal words. is considered a native phoneme/allophone in some dialects, e.g. Kuwaiti and Iraqi dialects. is considered a native phoneme in Levantine and North African dialects and as an allophone in others. is considered a native phoneme/allophone in most modern Arabic dialects. Used in languages other than Arabic Numerals There are two main kinds of numerals used along with Arabic text; Western Arabic numerals and Eastern Arabic numerals. In most of present-day North Africa, the usual Western Arabic numerals are used. Like Western Arabic numerals, in Eastern Arabic numerals, the units are always right-most, and the highest value left-most. Eastern Arabic numbers are written from left to right. Letters as numerals In addition, the Arabic alphabet can be used to represent numbers (Abjad numerals). This usage is based on the order of the alphabet. is 1, is 2, is 3, and so on until = 10, = 20, = 30, ..., = 200, ..., = 1000. This is sometimes used to produce chronograms. History The Arabic alphabet can be traced back to the Nabataean alphabet used to write Nabataean. The first known text in the Arabic alphabet is a late 4th-century inscription from (50 km east of ) in Jordan, but the first dated one is a trilingual inscription at Zebed in Syria from 512. However, the epigraphic record is extremely sparse, with only five certainly pre-Islamic Arabic inscriptions surviving, though some others may be pre-Islamic. Later, dots were added above and below the letters to differentiate them. (The Aramaic language had fewer phonemes than the Arabic, and some originally distinct Aramaic letters had become indistinguishable in shape, so that in the early writings 15 distinct letter-shapes had to do duty for 28 sounds; cf. the similarly ambiguous Pahlavi alphabet.) The first surviving document that definitely uses these dots is also the first surviving Arabic papyrus (PERF 558), dated April 643, although they did not become obligatory until much later. Important texts were and still are frequently memorized, especially in Qurʾan memorization. Later still, vowel marks and the were introduced, beginning some time in the latter half of the 7th century, preceding the first invention of Syriac and Hebrew vocalization. Initially, this was done by a system of red dots, said to have been commissioned in the Umayyad era by Abu al-Aswad al-Du'ali a dot above = , a dot below = , a dot on the line = , and doubled dots indicated nunation. However, this was cumbersome and easily confusable with the letter-distinguishing dots, so about 100 years later, the modern system was adopted. The system was finalized around 786 by . Arabic printing Medieval Arabic blockprinting flourished from the 10th century until the 14th. It was devoted only to very small texts, usually for use in amulets. In 1514, following Gutenberg's invention of the printing press in 1450, Gregorio de Gregorii, a Venetian, published an entire prayer-book in Arabic script; it was entitled Kitab Salat al-Sawa'i and was intended for eastern Christian communities. Between 1580 and 1586, type designer Robert Granjon designed Arabic typefaces for Cardinal Ferdinando de' Medici, and the Medici press published many Christian prayer and scholarly Arabic texts in the late 16th century. Maronite monks at the Maar Quzhayy Monastery in Mount Lebanon published the first Arabic books to use movable type in the Middle East. The monks transliterated the Arabic language using Syriac script. Although Napoleon Bonaparte generally receives credit for introducing the printing press to Egypt during his invasion of that country in 1798, and though he did indeed bring printing presses and Arabic script presses to print the French occupation's official newspaper Al-Tanbiyyah ("The Courier"), printing in the Arabic language started several centuries earlier. A goldsmith (like Gutenberg) designed and implemented an Arabic-script movable-type printing-press in the Middle East. The Greek Orthodox monk Abd Allah Zakhir set up an Arabic printing press using movable type at the monastery of Saint John at the town of Dhour El Shuwayr in Mount Lebanon, the first homemade press in Lebanon using Arabic script. He personally cut the type molds and did the founding of the typeface. The first book came off his press in 1734; this press continued in use until 1899. Computers The Arabic alphabet can be encoded using several character sets, including ISO-8859-6, Windows-1256 and Unicode (see links in Infobox above), latter thanks to the "Arabic segment", entries U+0600 to U+06FF. However, none of the sets indicates the form that each character should take in context. It is left to the rendering engine to select the proper glyph to display for each character. Each letter has a position-independent encoding in Unicode, and the rendering software can infer the correct glyph form (initial, medial, final or isolated) from its joining context. That is the current recommendation. However, for compatibility with previous standards, the initial, medial, final and isolated forms can also be encoded separately. Unicode As of Unicode 14.0, the Arabic script is contained in the following blocks: Arabic (0600–06FF, 256 characters) Arabic Supplement (0750–077F, 48 characters) Arabic Extended-A (08A0–08FF, 96 characters) Arabic Extended-B (0870–089F, 41 characters) Arabic Presentation Forms-A (FB50–FDFF, 631 characters) Arabic Presentation Forms-B (FE70–FEFF, 141 characters) Rumi Numeral Symbols (10E60–10E7F, 31 characters) Indic Siyaq Numbers (1EC70–1ECBF, 68 characters) Ottoman Siyaq Numbers (1ED00–1ED4F, 61 characters) Arabic Mathematical Alphabetic Symbols (1EE00—1EEFF, 143 characters) The basic Arabic range encodes the standard letters and diacritics but does not encode contextual forms (U+0621-U+0652 being directly based on ISO 8859-6). It also includes the most common diacritics and Arabic-Indic digits. U+06D6 to
that you may know that they leave the heights and the most elevated dwelling to approach human nature. Accordingly, the wings attributed to these powers have no other meaning than to indicate the sublimity of their nature." From then on Christian art generally represented angels with wings, as in the cycle of mosaics in the Basilica di Santa Maria Maggiore (432–440). Multi-winged angels, often with only their face and wings showing, drawn from the higher grades of angels, especially cherubim and seraphim, are derived from Persian art, and are usually shown only in heavenly contexts, as opposed to performing tasks on earth. They often appear in the pendentives of domes or semi-domes of churches. Byzantine art Angels appear in Byzantine art in mosaics and icons. Artists found some of their inspiration from winged Greek figures such as "Victory". They also drew from imperial iconography. Court eunuchs could rise to positions of authority in the Empire. They performed ceremonial functions and served as trusted messengers. Amelia R. Brown points out that legislation under Justinian indicates that many of them came from the Caucasus, having light eyes, hair, and skin, as well as the "comely features and fine bodies" desired by slave traders. Those "castrated in childhood developed a distinctive skeletal structure, lacked full masculine musculature, body hair and beards,...." As officials, they would wear a white tunic decorated with gold. Brown suggests that "Byzantine artists drew, consciously or not, on this iconography of the court eunuch". Daniel 10: 5–6 describes an angel as clothed in linen and girt with gold. Angels, especially the archangel Michael, who were depicted as military-style agents of God, came to be shown wearing Late Antique military uniform. This could be either the normal military dress, with a tunic to about the knees, armour breastplate and pteruges, but also often the specific dress of the bodyguard of the Byzantine Emperor, with a long tunic and the loros, a long gold and jewelled pallium restricted to the Imperial family and their closest guards, and in icons to archangels. The basic military dress it is still worn in pictures into the Baroque period and beyond in the West, and up to the present day in Eastern Orthodox icons. Other angels came to be conventionally depicted in long robes. Medieval art Medieval depictions of angels borrow from the Byzantine. In the French Hours of Anne of Brittany, Gabriel wears a dalmatic. In the later Middle Ages they often wear the vestments of a deacon, a cope over a dalmatic, especially Gabriel in Annunciation scenes - for example The Annunciation by Jan van Eyck. This indicated that, for all their powers, they could not perform the Eucharist, and were in this respect outranked by every priest, reinforcing the prestige of the clergy. In Early Christian art white robes were almost invariably adopted, sometimes bound with the "golden girdle" of Revelation. During the mediæval period senior angels were often clad in every brilliant colour, while junior ranks wore white. Early Renaissance painters such as Jan van Eyck and Fra Angelico painted angels with multi-colored wings. Depictions of angels came to combine medieval notions of beauty with feminine ideals of grace and beauty, as in da Panicale's 1435 Baptism of Christ. Renaissance art The classical erotes or putto re-appeared in art during the Italian Renaissance in both religious and mythological art, and is often known in English as a cherub, the singular of cherubim, actually one of the higher ranks in the Christian angelic hierarchy. They normally appear in groups and are generally given wings in religious art, and are sometimes represented as just a winged head. They generally are just in attendance, except that they may be amusing Christ or John the Baptist as infants in scenes of the Holy Family. Victorian art In the late 19th century artists' model Jane Burden Morris came to embody an ideal of beauty for Pre-Raphaelite painters. With the use of her long dark hair and features made somewhat more androgynous, they created a
wings is on what is called the Prince's Sarcophagus, discovered at Sarigüzel, near Istanbul, in the 1930s, and attributed to the time of Theodosius I (379-395). Flying winged angels, very often in pairs flanking a central figure or subject, are derivations in visual terms from pairs of winged Victories in classical art. In this same period, Saint John Chrysostom explained the significance of angels' wings: "They manifest a nature's sublimity. That is why Gabriel is represented with wings. Not that angels have wings, but that you may know that they leave the heights and the most elevated dwelling to approach human nature. Accordingly, the wings attributed to these powers have no other meaning than to indicate the sublimity of their nature." From then on Christian art generally represented angels with wings, as in the cycle of mosaics in the Basilica di Santa Maria Maggiore (432–440). Multi-winged angels, often with only their face and wings showing, drawn from the higher grades of angels, especially cherubim and seraphim, are derived from Persian art, and are usually shown only in heavenly contexts, as opposed to performing tasks on earth. They often appear in the pendentives of domes or semi-domes of churches. Byzantine art Angels appear in Byzantine art in mosaics and icons. Artists found some of their inspiration from winged Greek figures such as "Victory". They also drew from imperial iconography. Court eunuchs could rise to positions of authority in the Empire. They performed ceremonial functions and served as trusted messengers. Amelia R. Brown points out that legislation under Justinian indicates that many of them came from the Caucasus, having light eyes, hair, and skin, as well as the "comely features and fine bodies" desired by slave traders. Those "castrated in childhood developed a distinctive skeletal structure, lacked full masculine musculature, body hair and beards,...." As officials, they would wear a white tunic decorated with gold. Brown suggests that "Byzantine artists drew, consciously or not, on this iconography of the court eunuch". Daniel 10: 5–6 describes an angel as clothed in linen and girt with gold. Angels, especially the archangel Michael, who were depicted as military-style agents of God, came to be shown wearing Late Antique military uniform. This could be either the normal military dress, with a tunic to about the knees, armour breastplate and pteruges, but also often the specific dress of the bodyguard of the Byzantine Emperor, with a long tunic and the loros, a long gold and jewelled pallium restricted to the Imperial family and their closest guards, and in icons to archangels. The basic military dress it is still worn in pictures into the Baroque period and beyond in the West, and up to the present day in Eastern Orthodox icons. Other angels came to be conventionally depicted in long robes. Medieval art Medieval depictions of angels borrow from the Byzantine. In the French Hours of Anne of Brittany, Gabriel wears a dalmatic. In the later Middle Ages they often wear the vestments of a deacon, a cope over a dalmatic, especially Gabriel in Annunciation scenes - for example The Annunciation by Jan van Eyck. This indicated that, for all their powers, they could not perform the Eucharist, and were in this respect outranked by every priest, reinforcing the prestige of the clergy. In Early Christian art white robes were almost invariably adopted, sometimes bound with the "golden girdle" of Revelation. During the mediæval period senior angels were often clad in every brilliant colour, while junior ranks wore white. Early Renaissance painters such as Jan van Eyck and Fra Angelico painted angels with multi-colored wings. Depictions of angels came to combine medieval notions of beauty with feminine ideals of grace and beauty, as in da Panicale's 1435 Baptism of Christ. Renaissance art The classical erotes or putto re-appeared in
ground. These are complex systems of tunnels covering as much as and are often in eskers, long ridges of sedimentary material deposited in formerly glaciated regions. These dens may be in existence for many decades and are used by many generations of foxes. Arctic foxes tend to select dens that are easily accessible with many entrances, and that are clear from snow and ice making it easier to burrow in. The Arctic fox builds and chooses dens that face southward towards the sun, which makes the den warmer. Arctic foxes prefer large, maze-like dens for predator evasion and a quick escape especially when red foxes are in the area. Natal dens are typically found in rugged terrain, which may provide more protection for the pups. But, the parents will also relocate litters to nearby dens to avoid predators. When red foxes are not in the region, Arctic foxes will use dens that the red fox previously occupied. Shelter quality is more important to the Arctic fox than the proximity of spring prey to a den. The main prey in the tundra is lemmings, which is why the white fox is often called the “lemming fox.” The white fox's reproduction rates reflect the lemming population density, which cyclically fluctuates every 3–5 years. When lemmings are abundant, the white fox can give birth to 18 pups, but they often do not reproduce when food is scarce. The “coastal fox” or blue fox lives in an environment where food availability is relatively consistent, and they will have up to 5 pups every year. Breeding usually takes place in April and May, and the gestation period is about 52 days. Litters may contain as many as 25 (the largest litter size in the order Carnivora). The young emerge from the den when 3 to 4 weeks old and are weaned by 9 weeks of age. Arctic foxes are primarily monogamous and both parents will care for the offspring. When predators and prey are abundant, Arctic foxes are more likely to be promiscuous (exhibited in both males and females) and display more complex social structures. Larger packs of foxes consisting of breeding or non-breeding males or females can guard a single territory more proficiently to increase pup survival. When resources are scarce, competition increases and the number of foxes in a territory decreases. On the coasts of Svalbard, the frequency of complex social structures is larger than inland foxes that remain monogamous due to food availability. In Scandinavia, there are more complex social structures compared to other populations due to the presence of the red fox. Also, conservationists are supplying the declining population with supplemental food. One unique case, however, is Iceland where monogamy is the most prevalent. The older offspring (1-year-olds) often remain within their parent's territory even though predators are absent and there are fewer resources, which may indicate kin selection in the fox. Diet Arctic foxes generally eat any small animal they can find, including lemmings, voles, other rodents, hares, birds, eggs, fish, and carrion. They scavenge on carcasses left by larger predators such as wolves and polar bears, and in times of scarcity also eat their feces. In areas where they are present, lemmings are their most common prey, and a family of foxes can eat dozens of lemmings each day. In some locations in northern Canada, a high seasonal abundance of migrating birds that breed in the area may provide an important food source. On the coast of Iceland and other islands, their diet consists predominantly of birds. During April and May, the Arctic fox also preys on ringed seal pups when the young animals are confined to a snow den and are relatively helpless. They also consume berries and seaweed, so they may be considered omnivores. This fox is a significant bird-egg predator, consuming eggs of all except the largest tundra bird species. When food is overabundant, the Arctic fox buries (caches) the surplus as a reserve. Arctic foxes survive harsh winters and food scarcity by either hoarding food or storing body fat. Fat is deposited subcutaneously and viscerally in Arctic foxes. At the beginning of winter, the foxes have approximately 14740 kJ of energy storage from fat alone. Using the lowest BMR value measured in Arctic foxes, an average sized fox () would need 471 kJ/day during the winter to survive. Arctic foxes can acquire goose eggs (from greater snow geese in Canada) at a rate of 2.7–7.3 eggs/h, and they store 80–97% of them. Scats provide evidence that they eat the eggs during the winter after caching. Isotope analysis shows that eggs can still be eaten after a year, and the metabolizable energy of a stored goose egg only decreases by 11% after 60 days (a fresh egg has about 816 kJ). Researchers have also noted that some eggs stored in the summer are accessed later the following spring prior to reproduction. Adaptations The Arctic fox lives in some of the most frigid extremes on the planet, but they do not start to shiver until the temperature drops to . Among its adaptations for survival in the cold is its dense, multilayered pelage, which provides excellent insulation. Additionally, the Arctic fox is the only canid whose foot pads are covered in fur. There are two genetically distinct coat color morphs: white and blue. The white morph has seasonal camouflage, white in winter and brown along the back with light grey around the abdomen in summer. The blue morph is often a dark blue, brown, or grey color year-round. Although the blue allele is dominant over the white allele, 99% of the Arctic fox population is the white morph. Two similar mutations to MC1R cause the blue color and the lack of seasonal color change. The fur of the Arctic fox provides the best insulation of any mammal. The fox has a low surface area to volume ratio, as evidenced by its generally compact body shape, short muzzle and legs, and short, thick ears. Since less of its surface area is exposed to the Arctic cold, less heat escapes from its body. Sensory modalities The Arctic fox has a functional hearing range between 125 Hz–16 kHz with a sensitivity that is ≤ 60 dB in air, and an average peak sensitivity of 24 dB at 4 kHz. Overall, the Arctic foxes hearing is less sensitive than the dog and the kit fox. The Arctic fox and the kit fox have a low upper-frequency limit compared to the domestic dog and other carnivores. The Arctic fox can easily hear lemmings burrowing under 4-5 inches of snow. When it has located its prey, it pounces and punches through the snow to catch its prey. The Arctic fox also has a keen sense of smell. They can smell carcasses that are often left by polar bears anywhere from 10 to 40 km. It is possible that they use their sense of smell to also track down polar bears. Additionally, Arctic foxes can smell and find frozen lemmings under 46–77 cm of snow, and can detect a subnivean seal lair under 150 cm of snow. Physiology The Arctic
many generations of foxes. Arctic foxes tend to select dens that are easily accessible with many entrances, and that are clear from snow and ice making it easier to burrow in. The Arctic fox builds and chooses dens that face southward towards the sun, which makes the den warmer. Arctic foxes prefer large, maze-like dens for predator evasion and a quick escape especially when red foxes are in the area. Natal dens are typically found in rugged terrain, which may provide more protection for the pups. But, the parents will also relocate litters to nearby dens to avoid predators. When red foxes are not in the region, Arctic foxes will use dens that the red fox previously occupied. Shelter quality is more important to the Arctic fox than the proximity of spring prey to a den. The main prey in the tundra is lemmings, which is why the white fox is often called the “lemming fox.” The white fox's reproduction rates reflect the lemming population density, which cyclically fluctuates every 3–5 years. When lemmings are abundant, the white fox can give birth to 18 pups, but they often do not reproduce when food is scarce. The “coastal fox” or blue fox lives in an environment where food availability is relatively consistent, and they will have up to 5 pups every year. Breeding usually takes place in April and May, and the gestation period is about 52 days. Litters may contain as many as 25 (the largest litter size in the order Carnivora). The young emerge from the den when 3 to 4 weeks old and are weaned by 9 weeks of age. Arctic foxes are primarily monogamous and both parents will care for the offspring. When predators and prey are abundant, Arctic foxes are more likely to be promiscuous (exhibited in both males and females) and display more complex social structures. Larger packs of foxes consisting of breeding or non-breeding males or females can guard a single territory more proficiently to increase pup survival. When resources are scarce, competition increases and the number of foxes in a territory decreases. On the coasts of Svalbard, the frequency of complex social structures is larger than inland foxes that remain monogamous due to food availability. In Scandinavia, there are more complex social structures compared to other populations due to the presence of the red fox. Also, conservationists are supplying the declining population with supplemental food. One unique case, however, is Iceland where monogamy is the most prevalent. The older offspring (1-year-olds) often remain within their parent's territory even though predators are absent and there are fewer resources, which may indicate kin selection in the fox. Diet Arctic foxes generally eat any small animal they can find, including lemmings, voles, other rodents, hares, birds, eggs, fish, and carrion. They scavenge on carcasses left by larger predators such as wolves and polar bears, and in times of scarcity also eat their feces. In areas where they are present, lemmings are their most common prey, and a family of foxes can eat dozens of lemmings each day. In some locations in northern Canada, a high seasonal abundance of migrating birds that breed in the area may provide an important food source. On the coast of Iceland and other islands, their diet consists predominantly of birds. During April and May, the Arctic fox also preys on ringed seal pups when the young animals are confined to a snow den and are relatively helpless. They also consume berries and seaweed, so they may be considered omnivores. This fox is a significant bird-egg predator, consuming eggs of all except the largest tundra bird species. When food is overabundant, the Arctic fox buries (caches) the surplus as a reserve. Arctic foxes survive harsh winters and food scarcity by either hoarding food or storing body fat. Fat is deposited subcutaneously and viscerally in Arctic foxes. At the beginning of winter, the foxes have approximately 14740 kJ of energy storage from fat alone. Using the lowest BMR value measured in Arctic foxes, an average sized fox () would need 471 kJ/day during the winter to survive. Arctic foxes can acquire goose eggs (from greater snow geese in Canada) at a rate of 2.7–7.3 eggs/h, and they store 80–97% of them. Scats provide evidence that they eat the eggs during the winter after caching. Isotope analysis shows that eggs can still be eaten after a year, and the metabolizable energy of a stored goose egg only decreases by 11% after 60 days (a fresh egg has about 816 kJ). Researchers have also noted that some eggs stored in the summer are accessed later the following spring prior to reproduction. Adaptations The Arctic fox lives in some of the most frigid extremes on the planet, but they do not start to shiver until the temperature drops to . Among its adaptations for survival in the cold is its dense, multilayered pelage, which provides excellent insulation. Additionally, the Arctic fox is the only canid whose foot pads are covered in fur. There are two genetically distinct coat color morphs: white and blue. The white morph has seasonal camouflage, white in winter and brown along the back with light grey around the abdomen in summer. The blue morph is often a dark blue, brown, or grey color year-round. Although the blue allele is dominant over the white allele, 99% of the Arctic fox population is the white morph. Two similar mutations to MC1R cause the blue color and the lack of seasonal color change. The fur of the Arctic fox provides the best insulation of any mammal. The fox has a low surface area to volume ratio, as evidenced by its generally compact body shape, short muzzle and legs, and short, thick ears. Since less of its surface area is exposed to the Arctic cold, less heat escapes from its body. Sensory modalities The Arctic fox has a functional hearing range between 125 Hz–16 kHz with a sensitivity that is ≤ 60 dB in air, and an average peak sensitivity of 24 dB at 4 kHz. Overall, the Arctic foxes hearing is less sensitive than the dog and the kit fox. The Arctic fox and the kit fox have a low upper-frequency limit compared to the domestic dog
the putative Caucasian sub-races Anglo-Saxon England, the history of Anglo-Saxons Anglo-Saxon model, modern macroeconomic term Anglo-Saxon world, modern societies based on or influenced by English customs Old English or Anglo-Saxon, the earliest historical form of the English
based on or influenced by English customs Old English or Anglo-Saxon, the earliest historical form of the English language , one of various ships
the 1940s and peaked in popularity in the mid-1960s. Its roots went earlier, and performers like Burl Ives, Woody Guthrie, Lead Belly, and Oscar Brand had enjoyed a limited general popularity in the 1930s and 1940s. The revival brought forward musical styles that had, in earlier times, contributed to the development of country & western, jazz, and rock and roll music. African-American music Slavery was introduced to the Thirteen Colonies beginning in the early 17th century in Virginia. The ancestors of today's African-American population were brought from hundreds of tribes across West Africa and brought with them certain traits of West African music. This included call and response vocals, complex rhythmic music, syncopated beats, shifting accents, incorporation of hums and moans, which are sounds with no distinct meaning, and a combination of sound and body movements. The African musical focus on rhythmic singing and dancing was brought to the New World, where it became part of a distinct folk culture that helped Africans "retain continuity with their past through music." Along with retaining many African elements, there was also a continuation of instruments. Enslaved Africans would either take with them African instruments or reconstructed them once in the New World. The first slaves in the United States sang work songs and field hollers. However, slave music was used for a variety of reasons. Music was included in religious ceremonies and celebrations, used to coordinate work, and to conceal hidden messages, like when they were commenting on slave owners. African American slave songs can be divided into three groups: religious, work, and recreational songs. African American Spirituals Protestant hymns written mostly by New England preachers became a feature of camp meetings held among devout Christians across the South. Most slaves were either animists or Muslims, so they did not know about Christianity. To destroy any remnants of African culture or make more people disciples, slaves would be encouraged and taken to church. They became attracted to the grace and freedom that was preached within the church, which was very different from the lives they were living. Slaves would learn the same hymns that their masters sang, and when they came together they developed and sang adapted versions of these hymns, they were called Negro spirituals. It was from these roots, of spiritual songs, work songs, and field hollers, that blues, jazz, and gospel developed. Negro spirituals were primarily expressions of religious faith. These songs provided them a voice for their longing for freedom and to experience it. Around the 1840s, slaves knew that in the northern states slavery was illegal, and some northerners wanted the complete abolishment of slavery. So when they sang about heaven, it was also about possibly escaping north. In the early 19th century the Underground railroad was developed, containing a network of secret routes and safe houses, and it greatly impacted slaves’ religious music. When there was any mention of trains, stations, etc. in spirituals they were directly referencing the Underground Railroad, such as the song “Swing Low, Sweet Chariot.” These songs were designed so that slave owners thought that slaves were only singing about heaven. African American Work Songs Work Songs at least had two functions: one to benefit the slaves and another to benefit overseers. When a group of slaves had to work together on a hard task, like carrying a heavy load, singing would provide a rhythm that allowed them to coordinate their movements. When picking crops, music was not necessary, but when there was silence it would be uncomfortable for the overseers. Even though there was a presence of melancholy in songs, Southern slave owners would interpret that their slaves were happy and content, possibly because of their singing. African American Recreational Songs Even if slave owners attempted to forbid things like drums or remnants of African culture, they did not seem to mind them learning European instruments and music. In some cases, black string players would be invited to play to entertain white audiences. Between the week of Christmas and New Years’, owners would give their slaves a holiday. This provided a chance for slave families who had different masters to come together, otherwise, they would not go anywhere. Some slaves would craft items, but masters detested industrious slaves. So most slaves would spend their recreational time doing other things, like dancing and singing. Masters approved of such activities, but they may not have listened carefully to the songs that were performed. Folk songs The original Thirteen Colonies of the United States were all former British possessions, and Anglo culture became a major foundation for American folk and popular music. Many American folk songs are identical to British songs in arrangements, but with new lyrics, often as parodies of the original material. Anglo-American traditional music also includes a variety of broadside ballads, humorous stories and tall tales, and disaster songs regarding mining, shipwrecks and murder. Folk songs may be classified by subject matter, such as: drinking songs, sporting songs, train songs, work songs, war songs, and ballads. The Star-Spangled Banner's tune was adapted from an old English drinking song by John Stafford Smith called "To Anacreon in Heaven." "The Ballad of Casey Jones" is a traditional song about railroad engineer Casey Jones and his death at the controls of the train he was driving. It tells of how Jones and his fireman Sim Webb raced their locomotive to make up for lost time, but discovered another train ahead of them on the line, and how Jones remained on board to try to stop the train as Webb jumped to safety. "When Johnny Comes Marching Home" (sometimes "When Johnny Comes Marching Home Again") is a popular song of the American Civil War that expressed people's longing for the return of their friends and relatives who were fighting in the war. The Irish anti-war song "Johnny I Hardly Knew Ye" and "When Johnny Comes Marching Home" share the same melodic material. Based on internal textual references, "Johnny I Hardly Knew Ye" apparently dates from the early 1820s, while When Johnny Comes Marching Home was first published in 1863. "Johnny I Hardly Knew Ye" is a popular traditional Irish anti-war and anti-recruiting song. It is generally dated to the early 19th century, when soldiers from Athy, County Kildare served the British East India Company. "Oh My Darling, Clementine" (1884) is an American western folk ballad believed to have been based on another song called Down by the River Liv'd a Maiden (1863). The words are those of a bereaved lover singing about his darling, the daughter of a miner in the 1849 California Gold Rush. He loses her in a drowning accident. The song plays during the opening credits for the highly acclaimed John Ford movie "My Darling Clementine". It also runs as a background score all through the movie. The Yellow Rose of Texas is a traditional folk song. The original love song has become associated with the legend that Emily D. West, a biracial indentured servant, "helped win the Battle of San Jacinto, the decisive battle in the Texas Revolution". "Take Me Out to the Ball Game" is a 1908 Tin Pan Alley song by Jack Norworth and Albert Von Tilzer which has become the unofficial anthem of baseball, although neither of its authors had attended a game prior to writing the song. The song is traditionally sung during the seventh-inning stretch of a baseball game. Fans are generally encouraged to sing along. Other American folksongs include: "She'll Be Coming 'Round the Mountain", "Skewball", "Big Bad John", "Stagger Lee", "Camptown Races" and "The Battle Hymn of the Republic". Sea shanties Work songs sung by sailors between the 18th and 20th centuries are known as sea shanties. The shanty was a distinct type of work song, developed especially in American-style merchant vessels that had come to prominence in decades prior to the American Civil War. These songs were typically performed while adjusting the rigging, raising anchor, and other tasks where men would need to pull in rhythm. These songs usually have a very punctuated rhythm precisely for this reason, along with a call-and-answer format. Well before the 19th century, sea songs were common on rowing vessels. Such songs were also very rhythmic in order to keep the rowers together. They were notably influenced by songs of African Americans, such as those sung whilst manually loading vessels with cotton in ports of the southern United States. The work contexts in which African-Americans sang songs comparable to shanties included: boat-rowing on rivers of the southeastern U.S. and Caribbean; the work of stokers or "firemen", who cast wood into the furnaces of steamboats plying great American rivers;and stevedoring on the U.S. eastern seaboard, the Gulf Coast, and the Caribbean—including "cotton-screwing": the loading of ships with cotton in ports of the American South. During the first half of the 19th century, some of the songs African Americans sang also began to appear in use for shipboard tasks, i.e. as shanties. Shanty repertoire borrowed from the contemporary popular music enjoyed by sailors, including minstrel music, popular marches, and land-based folk songs, which were adapted to suit musical forms matching the various labor tasks required to operate a sailing ship. Such tasks, which usually required a coordinated group effort in either a pulling or pushing action, included weighing anchor and setting sail. "Poor Paddy Works on the Railway" is a popular Irish and American folk song. Historically, it was often sung as a sea chanty. The song portrays an Irish worker working on a railroad. There are numerous titles of the song including, "Pat Works on the Railway" and "Paddy on the Railway". "Paddy Works on the Erie" is another version of the song. "Paddy on the Railway" is attested as a chanty in the earliest known published work to use the word "chanty", G. E. Clark's Seven Years of a Sailor's Life (1867). Clark recounted experiences fishing on the Grand Banks of Newfoundland, in a vessel out of Provincetown, Mass. c. 1865–66. At one point, the crew is getting up the anchor in a storm, by means of a pump-style windlass. One of the chanties the men sing while performing this task is mentioned by title, "Paddy on the Railway." Shaker music The Shakers is a religious sect founded in 18th-century England upon the teachings of Ann Lee. Shakers today are most known for their cultural contributions, especially style of music and furniture. The Shakers composed thousands of songs, and also created many dances; both were an important part of the Shaker worship services. In Shaker society, a spiritual "gift" could also be a musical revelation, and they considered it important to record musical inspirations as they occurred. "Simple Gifts" was composed by Elder Joseph Brackett and originated in the Alfred Shaker community in Maine in 1848. Aaron Copland's iconic 1944 ballet score Appalachian Spring, uses the now famous Shaker tune "Simple Gifts" as the basis of its finale. Folk dancing Folk dances of British origin include the square dance, descended from the quadrille, combined with the American innovation of a caller instructing the dancers. The religious communal society known as the Shakers emigrated from England during the 18th century and developed their own folk dance style. Locations and landmarks the "Lost Colony" of Roanoke Island: In 1587, Sir Walter Raleigh recruited over 100 men, women and children to journey from England to Roanoke Island on North Carolina's coast and establish the first English settlement in America under the direction of John White as governor. Virginia Dare (born August 18, 1587) was the first child born in the Americas to English parents, Ananias and Eleanor White Dare in the short-lived Roanoke Colony. The fact of her birth is known because the governor of the settlement, Virginia Dare's grandfather, John White, returned to England in 1587 to seek fresh supplies. When White eventually returned three years later, Virginia and the other colonists were gone. During the past four hundred years, Virginia Dare has become a prominent figure in American myth and folklore, symbolizing different things to different groups of people. She is the subject of a poem (Peregrine White and Virginia Dare) by Rosemary and Stephen Vincent Benet, and the North Carolina Legend of the White Doe. While often cited as an Indian legend, the white doe seems to have its roots in English folklore. White deer are common in English legends and often used as symbols of Christian virtue. A similar story of a young girl transformed into a white deer can be found in Yorkshire, where it formed the basis for Wordsworth's poem The White Doe of Rylstone. In the four centuries since their disappearance, the Roanoke colonists have been the subject of a mystery that still challenges historians and archaeologists as one of America's oldest. Times Square is a major commercial intersection in Midtown Manhattan, New York City, at the junction of Broadway and Seventh Avenue and stretching from West 42nd to West 47th Streets. Times Square – iconified as "The Crossroads of the World" is the brightly illuminated hub of the Broadway Theater District. Formerly Longacre Square, Times Square was renamed in April 1904 after The New York Times moved its headquarters to the newly erected Times Building site of the annual ball drop on New Year's Eve. The northern triangle of Times Square is technically Duffy Square, dedicated in 1937 to Chaplain Francis P. Duffy of New York City's "Fighting 69th" Infantry Regiment; a memorial to Duffy is located there, along with a statue of George M. Cohan. The Duffy Statue and the square were listed on the National Register of Historic Places in 2001. Empire State Building is a 102-story skyscraper located in New York City at the intersection of Fifth Avenue and West 34th Street. Its name is derived from the nickname for New York, the Empire State. It stood as the world's tallest
citation of this legend in his 1806 book, The Life of George Washington: With Curious Anecdotes, Equally Honorable to Himself and Exemplary to His Young Countrymen. This anecdote cannot be independently verified. Samuel Clemens, also known as Mark Twain, is also known to have spread the story while lecturing, personalizing it by adding "I have a higher and greater standard of principle. Washington could not lie. I can lie but I won't." Patrick Henry Patrick Henry (May 29, 1736 – June 6, 1799) was an attorney, planter and politician who became known as an orator during the movement for independence in Virginia in the 1770s. Patrick Henry is best known for the speech he made in the House of Burgesses on March 23, 1775, in Saint John's Church in Richmond, Virginia. With the House undecided on whether to mobilize for military action against the encroaching British military force, Henry argued in favor of mobilization. Forty-two years later, Henry's first biographer, William Wirt, working from oral histories, tried to reconstruct what Henry said. According to Wirt, Henry ended his speech with words that have since become immortalized: "I know not what course others may take; but as for me, Give me Liberty, or give me Death!" The crowd, by Wirt's account, jumped up and shouted "To Arms! To Arms!". For 160 years Wirt's account was taken at face value. In the 1970s, historians began to question the authenticity of Wirt's reconstruction. Betsy Ross Betsy Ross (January 1, 1752 – January 30, 1836) is widely credited with making the first American flag. There is, however, no credible historical evidence that the story is true. Research conducted by the National Museum of American History notes that the story of Betsy Ross making the first American flag for General George Washington entered into American consciousness about the time of the 1876 centennial celebrations. In the 2008 book The Star-Spangled Banner: The Making of an American Icon, Smithsonian experts point out that accounts of the event appealed to Americans eager for stories about the revolution and its heroes and heroines. Betsy Ross was promoted as a patriotic role model for young girls and a symbol of women's contributions to American history. Other Revolutionary War heroes who became figures of American folklore include: Benedict Arnold, Benjamin Franklin, Nathan Hale, John Hancock, John Paul Jones and Francis Marion. Tall Tales The tall tale is a fundamental element of American folk literature. The tall tale's origins are seen in the bragging contests that often occurred when men of the American frontier gathered. A tall tale is a story with unbelievable elements, relayed as if it were true and factual. Some such stories are exaggerations of actual events; others are completely fictional tales set in a familiar setting, such as the American Old West, or the beginning of the Industrial Revolution. They are usually humorous or good-natured. The line between myth and tall tale is distinguished primarily by age; many myths exaggerate the exploits of their heroes, but in tall tales, the exaggeration looms large, to the extent of becoming the whole of the story. Based on historical figures John Chapman (September 26, 1774 – March 18, 1845), widely known as Johnny Appleseed, was an American pioneer nurseryman who introduced apple trees to large parts of Pennsylvania, Ohio, Indiana, and Illinois. He became an American legend while still alive, largely because of his kind and generous ways, and the symbolic importance he attributed to apples. Johnny Appleseed is remembered in American popular culture by his traveling song or Swedenborgian hymn ("The Lord is good to me..."). Daniel Boone (November 2, 1734 [O.S. October 22] – September 26, 1820) was an American pioneer, explorer, and frontiersman whose frontier exploits made him one of the first folk heroes of the United States. Davy Crockett (August 17, 1786 – March 6, 1836) was a 19th-century American folk hero, frontiersman, soldier and politician. He is commonly referred to in popular culture by the epithet, "King of the Wild Frontier". He represented Tennessee in the U.S. House of Representatives, served in the Texas Revolution, and died at the Battle of the Alamo. Mike Fink (c. 1770/1780 – c. 1823) called "king of the keelboaters", was a semi-legendary brawler and river boatman who exemplified the tough and hard-drinking men who ran keelboats up and down the Ohio and Mississippi Rivers. Martha Jane Canary (May 1, 1852 – August 1, 1903), better known as Calamity Jane, was an American frontierswoman, and professional scout best known for her claim of being an acquaintance of Wild Bill Hickok. She is said to have also exhibited kindness and compassion, especially to the sick and needy. It was from her that Bret Harte took his famous character of Cherokee Sal in The Luck of Roaring Camp. Jigger Johnson (1871–1935), was a lumberjack and log driver from northern New England who is known for his numerous off-the-job exploits, such as catching bobcats alive with his bare hands, and drunken brawls.Monahan, Robert. "Jigger Johnson", New Hampshire Profiles magazine, Northeast Publications, Concord, New Hampshire, April, 1957. John Henry was an African-American railroad worker who is said to have worked as a "steel-driving man"—a man tasked with hammering a steel drill into rock to make holes for explosives to blast the rock away in constructing a railroad tunnel. According to legend, John Henry's prowess as a steel-driver was measured in a race against a steam-powered hammer, which he won, only to die in victory with his hammer in his hand and his heart giving out from stress. The "Ballad of John Henry" is a musical rendition of his story. Molly Pitcher was a nickname given to a woman said to have fought in the American Battle of Monmouth, who is generally believed to have been Mary Hays. Since various Molly Pitcher tales grew in the telling, many historians regard Molly Pitcher as folklore rather than history, or suggest that Molly Pitcher may be a composite image inspired by the actions of a number of real women. The name itself may have originated as a nickname given to women who carried water to men on the battlefield during the war. Other historical figures include Titanic survivor Molly Brown, Wild West showman Buffalo Bill Cody, and sharpshooter Annie Oakley. Fictional characters Paul Bunyan is a lumberjack figure in North American folklore and tradition. One of the most famous and popular North American folklore heroes, he is usually described as a giant as well as a lumberjack of unusual skill, and is often accompanied in stories by his animal companion, Babe the Blue Ox. The character originated in folktales circulated among lumberjacks in the Northeastern United States and eastern Canada, first appearing in print in a story published by Northern Michigan journalist James MacGillivray in 1906. The Lone Ranger is a fictional hero of the west who fought raiders and robbers in the Texas area. The sole survivor of a group of six rangers, he set out to bring the criminals who killed his brother to justice. The Lone Ranger is said to have been based on Bass Reeves by Historian Art Burton but that is in dispute. Johnny Kaw is a mythical Kansas settler whose exploits created elements of the Kansas landscape and helped establish wheat and sunflowers as major crops. The character dates to the 1955 centennial of Kansas and has been explored in numerous books. John the Conqueror also known as High John the Conqueror, and many other folk variants, is a folk hero from African-American folklore. John the Conqueror was an African prince who was sold as a slave in the Americas. Despite his enslavement, his spirit was never broken and he survived in folklore as a sort of a trickster figure, because of the tricks he played to evade his masters. Joel Chandler Harris's 'Br'er Rabbit' of the Uncle Remus stories is said to be patterned after High John the Conqueror. Pecos Bill is an American cowboy, apocryphally immortalized in numerous tall tales of the Old West during American westward expansion into the Southwest of Texas, New Mexico, Southern California, and Arizona Captain Stormalong was an American folk hero and the subject of numerous nautical-themed tall tales originating in Massachusetts. Stormalong was said to be a sailor and a giant, some 30 feet tall; he was the master of a huge clipper ship known in various sources as either the Courser or the Tuscarora, a ship so tall that it had hinged masts to avoid catching on the moon. Legendary and folkloric creatures Bigfoot, also known as "Sasquatch", is the name given to an ape-like creature that some believe inhabit mostly forests in the Pacific Northwest region of, and throughout the entirety of, North America. Bigfoot is usually described as a large, hairy, bipedal humanoid, although descriptions vary depending on location. The height range is about 6 to 10 feet tall with black, dark brown, or dark reddish hair. One of the most famous accounts of Bigfoot is the Patterson-Gimlin film, where a supposedly female Bigfoot marches across the screen with giant strides, turns to face the camera, then marches off up a steep hill and into the forest. There are more than 100 sightings reported yearly. Among these reporters are veterans, campers, hikers, explorers, hunters, and more. There are several websites, podcasts and organizations related to Bigfoot. Champ is the name given to a reputed lake monster living in Lake Champlain, a natural freshwater lake in North America. The lake crosses the U.S.–Canada border, located partially in the Canadian province of Quebec and partially in the U.S. states of Vermont and New York. There is no scientific evidence for Champ's existence, though there have been over 300 reported sightings. Punxsutawney Phil is a semi-mythical groundhog central to the most well-known Groundhog Day ceremony, a Pennsylvania Dutch superstition that claims to predict the arrival of spring. According to tradition, the same groundhog has made predictions ever since the 1800s. The Jersey Devil is a legendary creature said to inhabit the Pine Barrens of Southern New Jersey in the United States. The creature is often described as a flying biped with hooves, but there are many different variations. The most common description is that of a kangaroo-like creature with the face of a horse, the head of a dog, leathery bat-like wings, horns, small arms with clawed hands, red eyes, cloven hooves and a forked tail. It has been reported to move quickly, as to avoid human contact, and often is described as emitting a "blood-curdling scream". The legend goes as such: a woman named Mother Leeds gave birth to her 13th child on a dark, stormy night. Mother Leed is said to be a witch and her 13th child was born the Devil. It soon grew wings and hooves, killed the midwife, and took off into the night. The White Lady is a type of female ghost reportedly seen in rural areas and associated with some local legend of tragedy. Common to many of them is the theme of losing or being betrayed by a husband or fiancé. They are often associated with an individual family line or said to be a harbinger of death, similar to a banshee. Mothman is a mythical creature from Point Pleasant, West Virginia described as a large humanoid with glowing red eyes on its face and large bird-like wings with fur covering its body. Mothman has been blamed for the collapse of the Silver Bridge. The Hodag is a mythical beast that is said to inhabit the forests of Northern Wisconsin, particularly around the city of Rhinelander. The Hodag has a reptilian body with the horns of a bull and is said to have a penchant for mischief. Old Black Eyes is a spectral hound said to frequent an area known as the Baker Rocks, located near the top of the Black Mountains of North Carolina. Old Black Eyes is said to be the spirit of Jim Baker, who lived at the rocks and was regarded as a witch with supernatural powers by the local mountain people. According to legend, Jim Baker performed some sort of ritual at an old Indian cemetery, near the Black Mountains, where he proceeded to sell his soul to the Devil. The Devil proceeded to turn Baker's pupils "unnaturally black" as a sign of their deal and hell's claim on his soul. Upon his death, Baker was said to take the spirit of a "devil dog", identifiable by the large black pupils of its eyes, that people feared to approach, believing it was surrounded in black magic. It was said the only way to get rid of Old Black Eyes was to draw its picture, pin it to a tree, and then shoot it with a gun. In North American folklore, Fearsome critters were tall tale animals jokingly said to inhabit the wilderness in or around logging camps, especially in the Great Lakes region. Today, the term may also be applied to similar fabulous beasts. Other folkloric creatures include the Chupacabra, Jackalope, the Nain Rouge of Detroit, Michigan, Wendigo of Minnesota and Chessie, a legendary sea monster said to live in Chesapeake Bay. Literature Santa Claus, also known as Saint Nicholas, Father Christmas, or simply "Santa", is a figure with legendary, mythical, historical and folkloric origins. The modern figure of Santa Claus was derived from the Dutch figure, Sinterklaas, which may, in turn, have its origins in the hagiographical tales concerning the Christian Saint Nicholas. "A Visit from St. Nicholas", also known as "The Night Before Christmas" is a poem first published anonymously in 1823 and generally attributed to Clement Clarke Moore. The poem, which has been called "arguably the best-known verses ever written by an American", is largely responsible for the conception of Santa Claus from the mid-nineteenth century to today, including his physical appearance, the night of his visit, his mode of transportation, the number and names of his reindeer, as well as the tradition that he brings toys to children. The poem has influenced ideas about St. Nicholas and Santa Claus from the United States to the rest of the English-speaking world and beyond. Is There a Santa Claus? was the title of an editorial appearing in the September 21, 1897, edition of The (New York) Sun. The editorial, which included the famous reply "Yes, Virginia, there is a Santa Claus", has become a part of popular Christmas folklore in the United States and Canada. The Headless Horseman is a fictional character from the short story "The Legend of Sleepy Hollow" by American author Washington Irving. The story, from Irving's collection of short stories, entitled The Sketch Book of Geoffrey Crayon, has worked itself into known American folklore/legend through
by the player from the 14 possible leaders in Alpha Centauri and Alien Crossfire, and Planet (voiced by Alena Kanka). The characters are developed from the faction leaders' portraits, the spoken monologues accompanying scientific discoveries and the "photographs in the corner of a commlink – home towns, first steps, first loves, family, graduation, spacewalk." The leaders in Alpha Centauri comprise: Lady Deirdre Skye, a Scottish activist (voiced by Carolyn Dahl), of Gaia's Stepdaughters; Chairman Sheng-Ji Yang, a Chinese Legalist official (voiced by Lu Yu), of the Human Hive; Academician Prokhor Zakharov, a Russian academic (voiced by Yuri Nesteroff) of the University of Planet; CEO Nwabudike Morgan, a Namibian businessman (voiced by Regi Davis), of Morgan Industries; Colonel Corazon Santiago, a Puerto Rican militiawoman (voiced by Wanda Niño), of the Spartan Federation; Sister Miriam Godwinson, an American minister and social psychologist (voiced by Gretchen Weigel), of the Lord's Believers; and Commissioner Pravin Lal, an Indian surgeon and diplomat (voiced by Hesh Gordon), of the Peacekeeping Forces. The player controls one of the leaders and competes against the others to colonize and conquer Planet. The Datalinks (voiced by Robert Levy and Katherine Ferguson) are minor characters who provide information to the player. Each faction excels at one or two important aspects of the game and follows a distinct philosophical belief, such as technological utopianism, Conclave Christianity, "free-market" capitalism, militarist survivalism, Chinese Legalism, U.N. Charter humanitarianism, or Environmentalist Gaia philosophy. The game takes place on Planet, with its "rolling red ochre plains" and "bands of lonely terraformed green". The seven additional faction leaders in Alien Crossfire are Prime Function Aki Zeta-Five, a Norwegian research assistant-turned-cyborg (voiced by Allie Rivenbark), of The Cybernetic Consciousness; Captain Ulrik Svensgaard, an American fisherman and naval officer (voiced by James Liebman), of The Nautilus Pirates; Foreman Domai, an Australian labor leader (voiced by Frederick Serafin), of The Free Drones; Datajack Sinder Roze, a Trinidadian hacker (voiced by Christine Melton), of The Data Angels; Prophet Cha Dawn, a human born on Planet (voiced by Stacy Spenser) of The Cult of Planet; Guardian Lular H'minee, a Progenitor leader (voiced by Jeff Gordon), of The Manifold Caretakers; and Conqueror Judaa Maar, a Progenitor leader (voiced by Jeff Gordon), of The Manifold Usurpers. Plot The story unfolds via the introduction video, explanations of new technologies, videos obtained for completing secret projects, interludes, and cut-scenes. The native life consists primarily of simple wormlike alien parasites and a type of red fungus that spreads rapidly via spores. The fungus is difficult to traverse, provides invisibility for the enemy, provides few resources, and spawns "mindworms" that attack population centres and military units by neurally parasitising them. Mindworms can eventually be captured and bred in captivity and used as terroristic bioweapons, and the player eventually discovers that the fungus and mindworms can think collectively. A voice intrudes into the player's dreams and soon waking moments, threatening more attacks if the industrial pollution and terraforming by the colonists is not reversed. The player discovers that Planet is a dormant semi-sentient hive organism that will soon experience a metamorphosis which will destroy all human life. To counter this threat, the player or a computer faction builds "The Voice of Alpha Centauri" secret project, which artificially links Planet's distributed nervous system into the human Datalinks, delaying Planet's metamorphosis into full self-awareness but incidentally increasing its ultimate intelligence substantially by giving it access to all of humanity's accumulated knowledge. Finally, the player or a computer faction embraces the "Ascent to Transcendence" in which humans too join their brains with the hive organism in its metamorphosis to godhood. Thus, Alpha Centauri closes "with a swell of hope and wonder in place of the expected triumphalism", reassuring "that the events of the game weren’t the entirety of mankind’s future, but just another step." Gameplay Alpha Centauri, a turn-based strategy game with a science fiction setting, is played from an isometric perspective. Many game features from Civilization II are present, but renamed or slightly tweaked: players establish bases (Civilization II's cities), build facilities (buildings) and secret projects (Wonders of the World), explore territory, research technology, and conquer other factions (civilizations). In addition to conquering all non-allied factions, players may also win by obtaining votes from three quarters of the total population (similar to Civilization IVs Diplomatic victory), "cornering the Global Energy Market", completing the Ascent to Transcendence secret project, or for alien factions, constructing six Subspace Generators. The main map (the upper two thirds of the screen) is divided into squares, on which players can establish bases, move units and engage in combat. Through terraforming, players may modify the effects of the individual map squares on movement, combat and resources. Resources are used to feed the population, construct units and facilities, and supply energy. Players can allocate energy between research into new technology and energy reserves. Unlike Civilization II, new technology grants access to additional unit components rather than pre-designed units, allowing players to design and re-design units as their factions' priorities shift. Energy reserves allow the player to upgrade units, maintain facilities, and attempt to win by the Global Energy Market scenario. Bases are military strongpoints and objectives that are vital for all winning strategies. They produce military units, house the population, collect energy, and build secret projects and Subspace Generators. Facilities and secret projects improve the performance of individual bases and of the entire faction. In addition to terraforming, optimizing individual base performance and building secret projects, players may also benefit their factions through social engineering, probe teams, and diplomacy. Social engineering modifies the ideologically based bonuses and penalties forced by the player's choice of faction. Probe teams can sabotage and steal information, units, technology, and energy from enemy bases, while diplomacy lets the player create coalitions with other factions. It also allows the trade or transfer of units, bases, technology and energy. The Planetary Council, similar to the United Nations Security Council, takes Planet-wide actions and determines population victories. In addition to futuristic technological advances and secret projects, the game includes alien life, structures and machines. "Xenofungus" and "sea fungus" provide movement, combat, and resource penalties, as well as concealment for "mind worms" and "spore launchers". Immobile "fungal towers" spawn native life. Native life, including the seaborne "Isles of the Deep" and "Sealurks" and airborne "Locusts of Chiron", use psionic combat, an alternate form of combat which ignores weapons and armor. Monoliths repair units and provide resources; artifacts yield new technology and hasten secret projects; landmarks provide resource bonuses; and random events add danger and opportunity. Excessive development leads to terraforming-destroying fungus blooms and new native life. Alpha Centauri provides a single player mode and supports customization and multiplayer. Players may customize the game by choosing options at the beginning of the game, using the built-in scenario and map editors, and modifying Alpha Centauris game files. In addition to a choice of seven (or 14 in Alien Crossfire) factions, pre-game options include scenario game, customized random map, difficulty level, and game rules that include victory conditions, research control, and initial map knowledge. The scenario and map editors allow players to create customized scenarios and maps. The game's basic rules, diplomatic dialog, and the factions' starting abilities are in text files, which "the designers have done their best to make it reasonably easy to modify..., even for non-programmers." Alpha Centauri supports play by email ("PBEM") and TCP/IP mode featuring simultaneous movement, and introduces direct player-to-player negotiation, allowing the unconstrained trade of technology, energy, maps, and other elements. Development Inspirations In 1996, MicroProse released the lauded Civilization II, designed by Brian Reynolds. Spectrum Holobyte who owned MicroProse at the time, opted to consolidate their business under the MicroProse name, moving the company from Maryland to California by the time the game shipped, and laying off several MicroProse employees. Disagreements between the new management and its employees prompted Reynolds, Jeff Briggs, and Sid Meier (designer of the original Civilization) to leave MicroProse and found Firaxis. Although unable to use the same intellectual property as Civilization II, the new company felt that players wanted "a new sweeping epic of a turn-based game". Having just completed a game of human history up to the present, they wanted a fresh topic and chose science fiction. With no previous experience in science fiction games, the developers believed future history was a fitting first foray. For the elements of exploring and terraforming an alien world, they chose a plausible near future situation of a human mission to colonize the solar system's nearest neighbour and human factions. Reynolds researched science fiction for the game's writing. His inspiration included "classic works of science fiction", including Frank Herbert's The Jesus Incident and Hellstrom's Hive, A Fire Upon the Deep by Vernor Vinge, and The Mote in God's Eye by Larry Niven and Jerry Pournelle for alien races; Kim Stanley Robinson's Red Mars, Slant by Greg Bear, and Stephen R. Donaldson's The Real Story for future technology and science; and Dune by Herbert and Bear's Anvil of Stars for negative interactions between humans. Alpha Centauri set out to capture the whole sweep of humanity's future, including technology, futuristic warfare, social and economic development, the future of the human condition, spirituality, and philosophy. Reynolds also said that "getting philosophy into the game" was one of the attractions of the game. Believing good science fiction thrives on constraint, the developers began with near-future technologies. As they proceeded into the future, they tried to present a coherent, logical, and detailed picture of future developments in physics, biology, information technology, economics, society, government, and philosophy. Alien ecologies and mysterious intelligences were incorporated into Alpha Centauri as external "natural forces" intended to serve as flywheels for the backstory and a catalyst for many player intelligences. Chris Pine, creator of the in-game map of Planet, strove to make Planet look like a real planet, which resulted in evidence of tectonic action. Another concern was that Planet matched the story, which resulted in the fungus being connected across continents, as it is supposed to be a gigantic neural network. Terraforming is a natural outgrowth of colonizing an alien world. The first playable prototype was just a map generator that tested climate changes during the game. This required the designers to create a world builder program and climatic model far more powerful than anything they'd done before. Temperature, wind, and rainfall patterns were modeled in ways that allow players to make changes: for example, creating a ridge-line and then watching the effects. In addition to raising terrain, the player can also divert rivers, dig huge boreholes into the planet's mantle, and melt ice caps. In addition to scientific advances, the designers speculated on the future development of human society. The designers allow the player to decide on a whole series of value choices and choose a "ruthless", "moderate", or "idealistic" stance. Reynolds said the designers don't promote a single "right" answer, instead giving each value choice positive and negative consequences. This design was intended to force the player to "think" and make the game "addictive". He also commented that Alpha Centauris fictional nature allowed them to draw their characters "a lot more sharply and distinctly than the natural blurring and greyness of history". Chiron, the name of the planet, is the name of the only non-barbaric centaur in Greek mythology and an important loregiver and teacher for humanity. The name also pays homage to James P. Hogan's 1982 space opera novel Voyage from Yesteryear, in which a human colony is artificially planted by an automatic probe on a planet later named by colonists as Chiron. In the game, Chiron has two moons, named after the centaurs Nessus and Pholus, with the combined tidal force of Earth's Moon, and is the second planet out from Alpha Centauri A, the innermost planet being the Mercury-like planet named after the centaur Eurytion. Alpha Centauri B is also dubbed Hercules, a reference to him killing several centaurs in mythology, and the second star preventing the formation of larger planets. The arrival on Chiron is referred to as "Planetfall", which is a term used in many science fiction novels, including Robert A. Heinlein's Future History series, and Infocom's celebrated comic interactive fiction adventure Planetfall. Vernor Vinge's concept of technological singularity is the origin of the Transcendence concept. The game's cutscenes use montages of live-action video, CGI, or both; most of the former is from the 1992 experimental documentary Baraka. Alpha Centauri In July 1996, Firaxis began work on Alpha Centauri, with Reynolds heading the project. Meier and Reynolds wrote playable prototype code and Jason Coleman wrote the first lines of the development libraries. Because the development of Gettysburg took up most of Firaxis' time, the designers spent the first year prototyping the basic ideas. By late 1996, the developers were playing games on the prototype, and by the middle of the next year, they were working on a multiplayer engine. Although Firaxis intended to include multiplayer support in its games, an important goal was to create games with depth and longevity in single-player mode because they believed that the majority of players spend most of their time playing this way. Reynolds felt that smart computer opponents are an integral part of a classic computer game, and considered it a challenge to make them so. Reynolds' previous games omitted internet support because he believed that complex turn-based games with many player options and opportunities for player input are difficult to facilitate online. Reynolds said that the most important principle of game design is for the designer to play the game as it is developed; Reynolds claimed that this was how a good artificial intelligence (AI) was built. To this end, he would track the decisions he made and why he made them as he played the game. The designer also watched what the computer players did, noting "dumb" actions and trying to discover why the computer made them. Reynolds then taught the computer his reasoning process so the AI could find the right choice when presented several attractive possibilities. He said the AI for diplomatic personalities was the best he had done up to that point. Doug Kaufman, a co-designer of Civilization II, was invited to join development as a game balancer. Reynolds cited the Alpha Centauris balance for the greater sense of urgency and the more pressing pacing than in his earlier game, Sid Meier's Colonization. According to producer Timothy Train, in designing the strengths and weaknesses of the factions, the goal was to suggest, without requiring, certain strategies and give the player interesting and fun things to do without unbalancing the game. He didn't want a faction to be dependent on its strength or a faction's power to be dominant over the rest. Train felt that fun meant the factions always have something fun to do with their attributes. Around the summer of 1997, the staff began research on the scientific realities involved in interstellar travel. In late 1997, Bing Gordon—then Chief Creative Officer of Electronic Arts—joined the team, and was responsible for the Planetary Council, extensive diplomacy, and landmarks. A few months before the 1998 Electronic Entertainment Expo (E3), the team incorporated the Explore/Discover/Build/Conquer marketing campaign into the game. The game was announced in May 1998 at E3. In the latter half of 1998, the team produced a polished and integrated interface, wrote the game manual and foreign language translations, painted the faction leader portraits and terrain, built the 3D vehicles and vehicle parts, and created the music. Michael Ely directed the Secret Project movies and cast the faction leaders. 25 volunteers participated in Firaxis' first public beta test. The beta testers suggested the Diplomatic and Economic victories and the Random Events. The design team started with a very simple playable game. They strengthened the "fun" aspects and fixed or removed the unenjoyable ones, a process Sid Meier called "surrounding the fun". After the revision, they played it again, repeating the cycle of revision and play. Playing the game repeatedly and in-depth was a rule
neurally parasitising them. Mindworms can eventually be captured and bred in captivity and used as terroristic bioweapons, and the player eventually discovers that the fungus and mindworms can think collectively. A voice intrudes into the player's dreams and soon waking moments, threatening more attacks if the industrial pollution and terraforming by the colonists is not reversed. The player discovers that Planet is a dormant semi-sentient hive organism that will soon experience a metamorphosis which will destroy all human life. To counter this threat, the player or a computer faction builds "The Voice of Alpha Centauri" secret project, which artificially links Planet's distributed nervous system into the human Datalinks, delaying Planet's metamorphosis into full self-awareness but incidentally increasing its ultimate intelligence substantially by giving it access to all of humanity's accumulated knowledge. Finally, the player or a computer faction embraces the "Ascent to Transcendence" in which humans too join their brains with the hive organism in its metamorphosis to godhood. Thus, Alpha Centauri closes "with a swell of hope and wonder in place of the expected triumphalism", reassuring "that the events of the game weren’t the entirety of mankind’s future, but just another step." Gameplay Alpha Centauri, a turn-based strategy game with a science fiction setting, is played from an isometric perspective. Many game features from Civilization II are present, but renamed or slightly tweaked: players establish bases (Civilization II's cities), build facilities (buildings) and secret projects (Wonders of the World), explore territory, research technology, and conquer other factions (civilizations). In addition to conquering all non-allied factions, players may also win by obtaining votes from three quarters of the total population (similar to Civilization IVs Diplomatic victory), "cornering the Global Energy Market", completing the Ascent to Transcendence secret project, or for alien factions, constructing six Subspace Generators. The main map (the upper two thirds of the screen) is divided into squares, on which players can establish bases, move units and engage in combat. Through terraforming, players may modify the effects of the individual map squares on movement, combat and resources. Resources are used to feed the population, construct units and facilities, and supply energy. Players can allocate energy between research into new technology and energy reserves. Unlike Civilization II, new technology grants access to additional unit components rather than pre-designed units, allowing players to design and re-design units as their factions' priorities shift. Energy reserves allow the player to upgrade units, maintain facilities, and attempt to win by the Global Energy Market scenario. Bases are military strongpoints and objectives that are vital for all winning strategies. They produce military units, house the population, collect energy, and build secret projects and Subspace Generators. Facilities and secret projects improve the performance of individual bases and of the entire faction. In addition to terraforming, optimizing individual base performance and building secret projects, players may also benefit their factions through social engineering, probe teams, and diplomacy. Social engineering modifies the ideologically based bonuses and penalties forced by the player's choice of faction. Probe teams can sabotage and steal information, units, technology, and energy from enemy bases, while diplomacy lets the player create coalitions with other factions. It also allows the trade or transfer of units, bases, technology and energy. The Planetary Council, similar to the United Nations Security Council, takes Planet-wide actions and determines population victories. In addition to futuristic technological advances and secret projects, the game includes alien life, structures and machines. "Xenofungus" and "sea fungus" provide movement, combat, and resource penalties, as well as concealment for "mind worms" and "spore launchers". Immobile "fungal towers" spawn native life. Native life, including the seaborne "Isles of the Deep" and "Sealurks" and airborne "Locusts of Chiron", use psionic combat, an alternate form of combat which ignores weapons and armor. Monoliths repair units and provide resources; artifacts yield new technology and hasten secret projects; landmarks provide resource bonuses; and random events add danger and opportunity. Excessive development leads to terraforming-destroying fungus blooms and new native life. Alpha Centauri provides a single player mode and supports customization and multiplayer. Players may customize the game by choosing options at the beginning of the game, using the built-in scenario and map editors, and modifying Alpha Centauris game files. In addition to a choice of seven (or 14 in Alien Crossfire) factions, pre-game options include scenario game, customized random map, difficulty level, and game rules that include victory conditions, research control, and initial map knowledge. The scenario and map editors allow players to create customized scenarios and maps. The game's basic rules, diplomatic dialog, and the factions' starting abilities are in text files, which "the designers have done their best to make it reasonably easy to modify..., even for non-programmers." Alpha Centauri supports play by email ("PBEM") and TCP/IP mode featuring simultaneous movement, and introduces direct player-to-player negotiation, allowing the unconstrained trade of technology, energy, maps, and other elements. Development Inspirations In 1996, MicroProse released the lauded Civilization II, designed by Brian Reynolds. Spectrum Holobyte who owned MicroProse at the time, opted to consolidate their business under the MicroProse name, moving the company from Maryland to California by the time the game shipped, and laying off several MicroProse employees. Disagreements between the new management and its employees prompted Reynolds, Jeff Briggs, and Sid Meier (designer of the original Civilization) to leave MicroProse and found Firaxis. Although unable to use the same intellectual property as Civilization II, the new company felt that players wanted "a new sweeping epic of a turn-based game". Having just completed a game of human history up to the present, they wanted a fresh topic and chose science fiction. With no previous experience in science fiction games, the developers believed future history was a fitting first foray. For the elements of exploring and terraforming an alien world, they chose a plausible near future situation of a human mission to colonize the solar system's nearest neighbour and human factions. Reynolds researched science fiction for the game's writing. His inspiration included "classic works of science fiction", including Frank Herbert's The Jesus Incident and Hellstrom's Hive, A Fire Upon the Deep by Vernor Vinge, and The Mote in God's Eye by Larry Niven and Jerry Pournelle for alien races; Kim Stanley Robinson's Red Mars, Slant by Greg Bear, and Stephen R. Donaldson's The Real Story for future technology and science; and Dune by Herbert and Bear's Anvil of Stars for negative interactions between humans. Alpha Centauri set out to capture the whole sweep of humanity's future, including technology, futuristic warfare, social and economic development, the future of the human condition, spirituality, and philosophy. Reynolds also said that "getting philosophy into the game" was one of the attractions of the game. Believing good science fiction thrives on constraint, the developers began with near-future technologies. As they proceeded into the future, they tried to present a coherent, logical, and detailed picture of future developments in physics, biology, information technology, economics, society, government, and philosophy. Alien ecologies and mysterious intelligences were incorporated into Alpha Centauri as external "natural forces" intended to serve as flywheels for the backstory and a catalyst for many player intelligences. Chris Pine, creator of the in-game map of Planet, strove to make Planet look like a real planet, which resulted in evidence of tectonic action. Another concern was that Planet matched the story, which resulted in the fungus being connected across continents, as it is supposed to be a gigantic neural network. Terraforming is a natural outgrowth of colonizing an alien world. The first playable prototype was just a map generator that tested climate changes during the game. This required the designers to create a world builder program and climatic model far more powerful than anything they'd done before. Temperature, wind, and rainfall patterns were modeled in ways that allow players to make changes: for example, creating a ridge-line and then watching the effects. In addition to raising terrain, the player can also divert rivers, dig huge boreholes into the planet's mantle, and melt ice caps. In addition to scientific advances, the designers speculated on the future development of human society. The designers allow the player to decide on a whole series of value choices and choose a "ruthless", "moderate", or "idealistic" stance. Reynolds said the designers don't promote a single "right" answer, instead giving each value choice positive and negative consequences. This design was intended to force the player to "think" and make the game "addictive". He also commented that Alpha Centauris fictional nature allowed them to draw their characters "a lot more sharply and distinctly than the natural blurring and greyness of history". Chiron, the name of the planet, is the name of the only non-barbaric centaur in Greek mythology and an important loregiver and teacher for humanity. The name also pays homage to James P. Hogan's 1982 space opera novel Voyage from Yesteryear, in which a human colony is artificially planted by an automatic probe on a planet later named by colonists as Chiron. In the game, Chiron has two moons, named after the centaurs Nessus and Pholus, with the combined tidal force of Earth's Moon, and is the second planet out from Alpha Centauri A, the innermost planet being the Mercury-like planet named after the centaur Eurytion. Alpha Centauri B is also dubbed Hercules, a reference to him killing several centaurs in mythology, and the second star preventing the formation of larger planets. The arrival on Chiron is referred to as "Planetfall", which is a term used in many science fiction novels, including Robert A. Heinlein's Future History series, and Infocom's celebrated comic interactive fiction adventure Planetfall. Vernor Vinge's concept of technological singularity is the origin of the Transcendence concept. The game's cutscenes use montages of live-action video, CGI, or both; most of the former is from the 1992 experimental documentary Baraka. Alpha Centauri In July 1996, Firaxis began work on Alpha Centauri, with Reynolds heading the project. Meier and Reynolds wrote playable prototype code and Jason Coleman wrote the first lines of the development libraries. Because the development of Gettysburg took up most of Firaxis' time, the designers spent the first year prototyping the basic ideas. By late 1996, the developers were playing games on the prototype, and by the middle of the next year, they were working on a multiplayer engine. Although Firaxis intended to include multiplayer support in its games, an important goal was to create games with depth and longevity in single-player mode because they believed that the majority of players spend most of their time playing this way. Reynolds felt that smart computer opponents are an integral part of a classic computer game, and considered it a challenge to make them so. Reynolds' previous games omitted internet support because he believed that complex turn-based games with many player options and opportunities for player input are difficult to facilitate online. Reynolds said that the most important principle of game design is for the designer to play the game as it is developed; Reynolds claimed that this was how a good artificial intelligence (AI) was built. To this end, he would track the decisions he made and why he made them as he played the game. The designer also watched what the computer players did, noting "dumb" actions and trying to discover why the computer made them. Reynolds then taught the computer his reasoning process so the AI could find the right choice when presented several attractive possibilities. He said the AI for diplomatic personalities was the best he had done up to that point. Doug Kaufman, a co-designer of Civilization II, was invited to join development as a game balancer. Reynolds cited the Alpha Centauris balance for the greater sense of urgency and the more pressing pacing than in his earlier game, Sid Meier's Colonization. According to producer Timothy Train, in designing the strengths and weaknesses of the factions, the goal was to suggest, without requiring, certain strategies and give the player interesting and fun things to do without unbalancing the game. He didn't want a faction to be dependent on its strength or a faction's power to be dominant over the rest. Train felt that fun meant the factions always have something fun to do with their attributes. Around the summer of 1997, the staff began research on the scientific realities involved in interstellar travel. In late 1997, Bing Gordon—then Chief Creative Officer of Electronic Arts—joined the team, and was responsible for the Planetary Council,
Osani (a cousin of Abu Sabaya, one of the rebel leaders), whom he had met online. ASG demanded a $10 million ransom. Rebels also sarcastically threatened to behead him in 2001 as a "birthday present" to then Philippine President Gloria Macapagal Arroyo, who responded by declaring "all-out war" on them. The beheading threat was withdrawn after Schilling's mother, Carol, flew to the Philippines and appealed for mercy on local radio. On April 12, 2001, Philippine soldiers raided a rebel camp and rescued the American. The United States praised the Philippine government for freeing Schilling. Many commentators have been critical of Schilling, who claims to have walked willingly into the camp after he was invited by his wife's cousin, a member of Abu Sayyaf. Schilling was one of more than 40 hostages taken by Abu Sayyaf in 2000, including 21 tourists and workers seized in a raid on Sipadan diving resort in neighboring Malaysia. Many of the hostages were released after Libya paid millions of dollars. A Libyan official stated that Schilling had visited the Jolo camp often before his capture. Philippine intelligence sources say he was interested in selling military equipment to the rebels, while the bandits accused him of being a CIA agent. Abu Sayyaf threatened several times to kill Schilling. At one stage, Schilling reportedly went on a hunger strike to win his freedom. Martin and Gracia Burnham On May 27, 2001, an Abu Sayyaf raid kidnapped about 20 people from Dos Palmas, an expensive resort in Honda Bay, taking them to the north of Puerto Princesa City on the island of Palawan, which had been "considered completely safe". The most "valuable" hostages were three North Americans, Martin and Gracia Burnham, a missionary couple, and Guillermo Sobero, a Peruvian-American tourist who was later beheaded, following a $1 million ransom demand. The hostages and hostage-takers then returned to Abu Sayyaf territories in Mindanao. According to Bowden, the leader of the raid was Abu Sabaya. According to Gracia Burnham, she told her husband "to identify his kidnappers" to authorities "as 'the Osama bin Laden Group,' but Burnham was unfamiliar with that name and stuck with" Abu Sayyaf. After returning to Mindanao, Abu Sayyaf conducted numerous raids, including one that culminated in the Siege of Lamitan and "one at a coconut plantation called Golden Harvest; they took about 15 people captive there and later used bolo knives to hack the heads off two men. The number of hostages waxed and waned as some were ransomed and released, new ones were taken and others were killed." On June 7, 2002, about a year after the raid, Philippine army troops conducted a rescue operation in which Martin Burnham and Filipino nurse Ediborah Yap were killed. The remaining hostage was wounded and the hostage takers escaped. In July 2004, Gracia Burnham testified at a trial of eight Abu Sayyaf members and identified six of the suspects as her captors, including Alhamzer Limbong, Abdul Azan Diamla, Abu Khari Moctar, Bas Ishmael, Alzen Jandul, and Dazid Baize. "The eight suspects sat silently during her three-hour testimony, separated from her by a wooden grill. They face the death sentence if found guilty of kidnapping for ransom. The trial began this year and is not expected to end for several months." Alhamzer Limbong was later killed in a prison uprising. Burnham claimed that Philippine military officials were colluding with her captors, saying that the Armed Forces of the Philippines "didn't pursue us...As time went on, we noticed that they never pursued us". 2007 Father Bossi kidnapping On June 10, 2007, Italian priest Reverend Giancarlo Bossi was kidnapped near Pagadian, capital of Zamboanga del Sur Province in the southern Philippines. Pope Benedict XVI made an appeal to free him. Bossi was released on July 19, 2007 at Karumatan, a Muslim town in Lanao del Norte Province, allegedly after the payment of ransom. Father Bossi died in Italy on September 23, 2012. In December 2020, Samad Awang, alias Ahmad Jamal, of the Abdussalam kidnap-for-ransom group was killed in a firefight with government troops in Zamboanga City. Awang was reportedly involved in the kidnapping of Italian missionary Fr. Giancarlo Bossi in 2007, businessman Joel Endino in 2011, and teacher Kathy Kasipong in 2013. 2009 Red Cross kidnapping On January 15, 2009, Abu Sayyaf kidnapped International Committee of the Red Cross (ICRC) delegates in Patikul, Sulu Province, Philippines. Three ICRC workers had finished conducting fieldwork in Sulu province, located in the southwest of the country when they were abducted by an unknown group, later confirmed as Albader Parad's group. All three were eventually released. According to a CNN story, Parad was reportedly killed, along with five other militants, in an assault by Philippine marines in Sulu province on Sunday, February 21, 2010. 2009 Irish priest kidnapping On October 11, 2009, Irish Catholic missionary Michael Sinnott, aged 79, from Barntown County Wexford was kidnapped from a gated compound in Pagadian, the capital of Zamboanga del Sur province, suspected to be part of ASG and some renegade members of MILF. Six kidnappers forced the priest into a mini-van and drove towards Sta. Lucia (district), where they transferred to a boat. Sinnott had a heart condition and was without medication when abducted. In early November, a demand for $US2 million ransom was made. On November 11, 2009, Father Sinnott was released in Zamboanga City. The Department of Foreign Affairs (Ireland) claimed that no ransom was paid by the Irish Government. 2010 Japanese treasure hunter On July 16, 2010, Japanese national Toshio Ito was kidnapped from Pangutaran, Sulu. At one point, the Philippine police believed the "treasure hunter," a Muslim convert also known by his Muslim name Mamaito Katayama, was acting as a cook for Abu Sayyaf; however, this was disputed by other nations, including the United States, which included him on its list of kidnap victims. A classified document obtained by Rappler lists Ito first, saying he was held captive by Abu Sayyaf's most senior leader, Radullan Sahiron, in Langpas, Indanan, Sulu early in 2013. 2011 Malaysian gecko trader On May 8, 2011, Malaysian gecko trader Mohammad Nasauddin Bin Saidin was kidnapped while hunting for gecko (tuko) in Indanan, Sulu. Saidin was freed on May 12, 2012. 2011 Indian national kidnapping On June 22, 2011, Indian national Biju Kolara Veetil was captured by four armed men while visiting his wife's relatives on the island of Jolo. A$10 million ransom was demanded. Veetil later denied that he was released in August 2012 because he had converted to Islam during captivity. Warren Rodwell Warren Richard Rodwell, a former Australian Army soldier and university English teacher, was shot through the right hand when seized from his home at Ipil, Zamboanga Sibugay on the island of Mindanao in the southern Philippines on December 5, 2011 by ASG militants. Rodwell later had to have a finger amputated. ASG threatened to behead Rodwell if their $US2 million ransom demand was not met. Both the Australian and Philippine governments had strict policies against paying ransoms. Australia formed a multi-agency task force to liaise with Rodwell's family and assist Philippine authorities. A news blackout was imposed. Filipino politicians helped negotiate the release. After the payment of $AUD94,000 for "board and lodging" expenses by his siblings, Rodwell was released on March 23, 2013. Arrests and killings On June 16, 2014, suspects Jimmy Nurilla (alias Doc) and Bakrin Haris were arrested. Both reportedly worked under Basilan-based Abu Sayyaf leader Khair Mundos and Furuji Indama. Authorities believed Nurilla and Haris took part in the Rodwell kidnapping, as well as the separate abduction of US citizen Gerfa Yeatts Lunsman and her son Kevin in 2012. In January 2015, Mindanao Examiner newspaper reported the arrest of Barahama Ali kidnap gang sub-leaders linked to the kidnapping of Rodwell, who was seized by at least 5 gunmen (disguised as policemen), and eventually handed over or sold by the kidnappers to the Abu Sayyaf in Basilan province. In May 2015, ex-Philippine National Police (PNP) officer Jun A. Malban, alias Michael Zoo, was arrested in Kota Kinabalu, Malaysia, for the crime of "Kidnapping for Ransom" after Rodwell identified him as the negotiator/spokesperson. Further PNP investigation revealed that Malban is the cousin of Abu Sayyaf leaders Khair and Borhan Mundos (both of whom were arrested in 2014). The director of the Anti-Kidnapping Group (AKG) stated that Malban's arrest resulted from close co-ordination by the PNP, National Bureau of Investigation (Philippines) and Presidential Anti-Organized Crime Commission with the Malaysian counterparts and through Interpol. In January 2018, Rodwell attended a court hearing for Malban and others in Ipil, Zamboanga Sibugay, pursuant to a Supreme Court petition to transfer his case for security reasons to a court in either Manila or Zamboanga City. In August 2015, Edeliza Sumbahon Ulep, alias Gina Perez, was arrested at Trento, Agusan del Sur during a joint manhunt operation by police and military units. Ulep was tagged as the ransom courier in the kidnapping. In August 2016, The Manila Times reported the arrest of the kidnap-for-ransom group of Barahama Alih sub-leader, Hasim Calon alias Husien (also a notorious drug dealer), in his hideout in Tenan village in Ipil town. Hasim Calon was involved in Rodwell's abduction. Earlier in 2016, police forces killed Waning Abdulsalam, a former MILF leader, in the village of Singkilon. Abdulsalam was one of the most wanted criminals in the southern Philippines and connected to ASG. He was linked to the kidnappings of Rodwell in 2011, Irish missionary Michael Sinnott in 2009 in Pagadian City, and Italian Catholic priest Giancarlo Bossi in Zamboanga del Sur's Payao town in 2007. In March 2019, combined security forces of the 44th Infantry Battalion, Philippine National Police, Philippine Drugs Enforcement Agency, National Bureau of Investigation and Philippine Coast Guard arrested five members (Benhazer Anduhol, Solaiman Calonof, Nicanel Maningo, Jay-ar Abba Quartocruz and Hashim Lucas Samdani) of Barahama Alih criminal gang during drug operations with warrants in Barangay Tenan of Ipil town, Zamboanga Sibugay. Military sources allege Barahama Alih Group was responsible for a number of kidnapping incidents in previous years including the abduction of Australian national Warren Rodwell, Italian priest Giancarlo Bossi, and some local Filipinos. In February 2018, Abu Sayyaf sub-commander Nurhassan Jamiri was reported by Malaysia regional intelligence sources as one of three gunmen killed in a gunfight with police in Sabah. Jamiri was atop the Philippines' most wanted list and implicated in dozens of ransom kidnappings including Rodwell. In March 2018, Jamiri turned up alive when he and thirteen followers surrendered to authorities in Basilan. Over the preceding two years, many Abu Sayyaf bandits had surrendered to authorities in Basilan, Sulu, and Tawi-Tawi. More were expected to yield because of the regional government's Program Against Violence and Extremism (PAVE), designed to provide opportunities and interventions, including psychosocial sessions, medical check-ups, introduction to farming systems, and expository tours outside the island provinces to facilitate the reintegration of former combatants into society. In April 2018, Rodwell lauded the surrenders and reintegration program, but said he would not interfere with the legal processing of any charges already filed against anyone involved with his own kidnapping. In June 2020, Inquirer newspaper reported the killing of Mamay Aburi by government troops in Titay, Zamboanga Sibugay after authorities attended to serve a warrant of arrest. Aburi was allegedly a subleader of a kidnap-for-ransom group and had been linked with the Abu Sayyaf Group based in Sulu. The provincial director of the Criminal Investigation and Detection Group (CIDG) said Aburi was involved in the 2011 kidnapping of Australian national Warren Rodwell and the 2019 abduction of the Hyrons couple in Tukuran, Zamboanga del Sur. In February 2021, The Manila Times reported that Abu Sayyaf subleader Arrasid Halissam was shot dead when he opened fire on police serving a warrant on him in the village of Santa Maria, Zamboanga City. Halissam was linked to numerous kidnappings such as Australian adventurer Warren Rodwell, Americans Gerfa Lunsmann and son Kevin, Chinese Yuan Lin Kai and Jian Luo, South Korean Nwi Seong Hong, and almost a dozen Filipinos. Halissam was also allegedly involved in the 2015 bombing in Zamboanga that killed two people and injured over fifty others. 2012 European bird watchers On February 1, 2012, two European bird watchers were seized on Tawi Tawi island. Swiss Lorenzo Vinciguerra escaped in December 2014 as government troops attacked the jungle camp where he was captive on the island of Jolo. Vinciguerra was shot by rebels as he escaped; however, his injuries were non-life-threatening. Dutch captive Ewold Horn was reportedly unable to escape. The whereabouts of Horn remained unknown. On May 31, 2019, Western Mindanao Command confirmed that Horn was shot dead during a clash with military in Patikul, Sulu. Additionally, the military advised that the wife of ASG leader Radulan Sahiron and five other ASG members were also killed. 2012 Mayor Jeffrey Lim Kidnapping On April 2, 2012, Mayor Jeffrey Lim of Salug, Zamboanga del Norte was kidnapped by ten armed men disguised as policemen. Lim was reportedly handed over to Abu Sayyaf. On November 6, he was freed near Zamboanga City after payment of P1.3M ($US25,000) ransom. On August 9, 2013, a Mindanao Pagadian Frontline report named a "Sehar Muloc" aka "Red Eye" as a suspect in the 2012 kidnapping of Mayor Jeffrey Lim. Abner Gumandol, alias Sehar Muloc and Red Eye, was said to be the leader of a criminal syndicate called the Muloc Group. Gumandol was arrested on June 12, 2016. 2014 Kabasalan ZSP kidnapping On September 11, 2014, Chinese national Li Pei Zhei was abducted by four gunmen in Kabasalan, Zamboanga Sibugay and taken to Basilan. He was released in Sitio Lugay-Lugay, Barangay Naga-Naga, Alicia, Zamboanga Sibugay on November 5, 2014. Police subsequently charged Ibni Basaludin, Yug Enriquez, Brahama Ali, and Ging-Ging Calon, all residents of Barangay Tenan, Ipil, Zamboanga Sibugay with kidnapping with serious illegal detention. 2015 Roseller Lim ZSP kidnapping On January 24, 2015, Korean national Nwi Seong Hong was abducted by armed men in Roseller Lim, Zamboanga Sibugay Province. The victim's son, Abby, escaped after he fought off the kidnappers. According to intelligence information from the JTG-SULU, the captors of were Algabsy Misaya, Idang Susukan, Alden Bagade and Mohammad Salud alias Ama Maas, Indanan-based members led by sub-leaders Isang Susukan and Anga Adji. On October 31, 2015, the body of 74-year-old Nwi Seong Hong was found in Barangay Bangkal, Patikul, Sulu. Investigators said the victim died due to severe illness. 2015 Samal Island kidnappings On September 21, 2015, Canadians Robert Hall and John Ridsdel, as well as Norwegian Kjartan Sekkingstad, and (Hall's girlfriend) Marites Flor; a Filipino woman, were abducted on Samai island near Davao. Ridsdel was beheaded by Abu Sayyaf on April 25, 2016 following a ransom deadline. ASG reportedly demanded more than $8.1 million for Ridsdel and the others. On May 3, 2016, a video of the Ridsdel execution was released, along with new demands for the remaining hostages. A masked captor said, "Note to the Philippine government and to the Canadian government: The lesson is clear. John Ridsdel has been beheaded. Now there are three remaining captives here. If you procrastinate once again the negotiations, we will behead this all anytime". On May 15, Hall appeared in a new video, announcing that he and Norwegian Kjartan Sekkingstad would be decapitated at 3 pm on Monday June 13 absent a ransom of $16 million. Both hostages wore orange coveralls, similar to hostages in videos produced by IS, to which Abu Sayyaf had previously pledged allegiance. The deadline passed. Hall was beheaded. On June 24, Abu Sayyaf released Filipina Marites Flor. She was subsequently flown to Davao to meet President-elect Rodrigo Duterte. Duterte said he directed negotiations with the Abu Sayyaf. He did not elaborate. On September 17, 2016, remaining hostage Norwegian Kjartan Sekkingstad was released on Jolo island. Abu Rami, an ASG spokesman, claimed $638,000 was paid as ransom. 2015 Dipolog City kidnapping On October 7, 2015, Italian national and pizza restaurant owner Rolando del Torchio was kidnapped in Dipolog City, capital of Zamboanga del Norte Province. On April 8, 2016, Del Torchio
than being consciously fighting for the betterment of their region as well rights to living under their minority religion without any discrimination from the majority Filipinos. Its spokesman known as Abu Rami ( 2017) appeared to lack knowledge of the activities of other members, as the group had apparently separated into many small groups with their own leaders. Targets Most Abu Sayyaf victims have been Filipinos; however, in recent years (especially from 2011 onwards), Australian, British, Canadian, Chinese, Dutch, French, German, Indonesian, Japanese, Korean, Malaysian, Norwegian, Swiss and Vietnamese nationals have been kidnapped or attacked. Previously, Americans were particularly targeted. An unnamed ASG spokesman allegedly stated, "We have been trying hard to get an American because they may think we are afraid of them". He added, "We want to fight the American people." In 1993, Abu Sayyaf kidnapped an American Bible translator. In 2000, Abu Sayyaf captured an American Muslim and demanded that the United States release Sheikh Omar Abdel Rahman and Ramzi Yousef, who were jailed for their involvement in the 1993 World Trade Center bombing in New York City. Between March 2016 – July 2017, the majority of Abu Sayyaf kidnap for ransom operations shifted to the high seas. Seventeen ships were boarded and some sixty-five hostages from six countries were taken. In total, thirty hostages have been released (usually after a ransom was paid), seven escaped, three were rescued by Philippine security forces, and four were executed. Two others were killed during the attacks while eight seamen escaped during the shipjackings. An additional forty seamen were not taken hostage. Crimes and terrorism Abu Sayyaf has carried out numerous bombings, kidnappings, assassinations, and extortion activities. These include the 2000 Sipadan kidnappings, the 2001 Dos Palmas kidnappings and the 2004 SuperFerry 14 bombing. Kidnappings Although the group has engaged in kidnapping hostages to be exchanged for ransom for many years, this means of funding grew dramatically beginning in 2014, providing funds for the group's rapid growth. In the Philippines Journalists abducted since 2000 ABS-CBN's Newsbreak reported that Abu Sayyaf abducted at least 20 journalists from 2000 to 2008 (mostly foreign journalists). All of them were eventually released upon payment of ransom. GMA-7 television reporter Susan Enriquez (April 2000, Basilan, a few days); 10 Foreign journalists (7 German, 1 French, 1 Australian and 1 Danish, in May 2000, Jolo, for 10 hours); German Andreas Lorenz of the magazine Der Spiegel (July 2000, Jolo, for 25 days; he was also kidnapped in May); French television reporter Maryse Burgot and cameraman Jean-Jacques Le Garrec and sound technician Roland Madura (July 2000, Jolo, for 2 months); ABS-CBN television reporter Maan Macapagal and cameraman Val Cuenca (July 2000, Jolo, for 4 days); Philippine Daily Inquirer contributor and Net 25 television reporter Arlyn de la Cruz (January 2002, Zamboanga, for 3 months) GMA-7 television reporter Carlo Lorenzo and cameraman Gilbert Ordiales (September 2002, Jolo, for 6 days). Filipino Ces Drilon and news cameramen Jimmy Encarnacion and Angelo Valderrama released unharmed after ransom paid (June 2008 Maimbung, Sulu for 9 days). Jordanian TV journalist Baker Atyani and his two Filipino crews were kidnapped in June 2012 by the Abu Sayyaf militants they had sought to interview in the jungles of Sulu province. The two crew were freed in February 2013. Al Arabiya News Channel stated that their correspondent, Atyani, was handed over to the local governor's office on December 4, 2013. However, police and military officials could not ascertain whether Atyani had escaped from his captors or was freed. Jeffrey Schilling On August 31, 2000, American citizen and Muslim convert Jeffrey Schilling from Oakland, California, was captured on Jolo while visiting a terrorist camp with his new wife, Ivy Osani (a cousin of Abu Sabaya, one of the rebel leaders), whom he had met online. ASG demanded a $10 million ransom. Rebels also sarcastically threatened to behead him in 2001 as a "birthday present" to then Philippine President Gloria Macapagal Arroyo, who responded by declaring "all-out war" on them. The beheading threat was withdrawn after Schilling's mother, Carol, flew to the Philippines and appealed for mercy on local radio. On April 12, 2001, Philippine soldiers raided a rebel camp and rescued the American. The United States praised the Philippine government for freeing Schilling. Many commentators have been critical of Schilling, who claims to have walked willingly into the camp after he was invited by his wife's cousin, a member of Abu Sayyaf. Schilling was one of more than 40 hostages taken by Abu Sayyaf in 2000, including 21 tourists and workers seized in a raid on Sipadan diving resort in neighboring Malaysia. Many of the hostages were released after Libya paid millions of dollars. A Libyan official stated that Schilling had visited the Jolo camp often before his capture. Philippine intelligence sources say he was interested in selling military equipment to the rebels, while the bandits accused him of being a CIA agent. Abu Sayyaf threatened several times to kill Schilling. At one stage, Schilling reportedly went on a hunger strike to win his freedom. Martin and Gracia Burnham On May 27, 2001, an Abu Sayyaf raid kidnapped about 20 people from Dos Palmas, an expensive resort in Honda Bay, taking them to the north of Puerto Princesa City on the island of Palawan, which had been "considered completely safe". The most "valuable" hostages were three North Americans, Martin and Gracia Burnham, a missionary couple, and Guillermo Sobero, a Peruvian-American tourist who was later beheaded, following a $1 million ransom demand. The hostages and hostage-takers then returned to Abu Sayyaf territories in Mindanao. According to Bowden, the leader of the raid was Abu Sabaya. According to Gracia Burnham, she told her husband "to identify his kidnappers" to authorities "as 'the Osama bin Laden Group,' but Burnham was unfamiliar with that name and stuck with" Abu Sayyaf. After returning to Mindanao, Abu Sayyaf conducted numerous raids, including one that culminated in the Siege of Lamitan and "one at a coconut plantation called Golden Harvest; they took about 15 people captive there and later used bolo knives to hack the heads off two men. The number of hostages waxed and waned as some were ransomed and released, new ones were taken and others were killed." On June 7, 2002, about a year after the raid, Philippine army troops conducted a rescue operation in which Martin Burnham and Filipino nurse Ediborah Yap were killed. The remaining hostage was wounded and the hostage takers escaped. In July 2004, Gracia Burnham testified at a trial of eight Abu Sayyaf members and identified six of the suspects as her captors, including Alhamzer Limbong, Abdul Azan Diamla, Abu Khari Moctar, Bas Ishmael, Alzen Jandul, and Dazid Baize. "The eight suspects sat silently during her three-hour testimony, separated from her by a wooden grill. They face the death sentence if found guilty of kidnapping for ransom. The trial began this year and is not expected to end for several months." Alhamzer Limbong was later killed in a prison uprising. Burnham claimed that Philippine military officials were colluding with her captors, saying that the Armed Forces of the Philippines "didn't pursue us...As time went on, we noticed that they never pursued us". 2007 Father Bossi kidnapping On June 10, 2007, Italian priest Reverend Giancarlo Bossi was kidnapped near Pagadian, capital of Zamboanga del Sur Province in the southern Philippines. Pope Benedict XVI made an appeal to free him. Bossi was released on July 19, 2007 at Karumatan, a Muslim town in Lanao del Norte Province, allegedly after the payment of ransom. Father Bossi died in Italy on September 23, 2012. In December 2020, Samad Awang, alias Ahmad Jamal, of the Abdussalam kidnap-for-ransom group was killed in a firefight with government troops in Zamboanga City. Awang was reportedly involved in the kidnapping of Italian missionary Fr. Giancarlo Bossi in 2007, businessman Joel Endino in 2011, and teacher Kathy Kasipong in 2013. 2009 Red Cross kidnapping On January 15, 2009, Abu Sayyaf kidnapped International Committee of the Red Cross (ICRC) delegates in Patikul, Sulu Province, Philippines. Three ICRC workers had finished conducting fieldwork in Sulu province, located in the southwest of the country when they were abducted by an unknown group, later confirmed as Albader Parad's group. All three were eventually released. According to a CNN story, Parad was reportedly killed, along with five other militants, in an assault by Philippine marines in Sulu province on Sunday, February 21, 2010. 2009 Irish priest kidnapping On October 11, 2009, Irish Catholic missionary Michael Sinnott, aged 79, from Barntown County Wexford was kidnapped from a gated compound in Pagadian, the capital of Zamboanga del Sur province, suspected to be part of ASG and some renegade members of MILF. Six kidnappers forced the priest into a mini-van and drove towards Sta. Lucia (district), where they transferred to a boat. Sinnott had a heart condition and was without medication when abducted. In early November, a demand for $US2 million ransom was made. On November 11, 2009, Father Sinnott was released in Zamboanga City. The Department of Foreign Affairs (Ireland) claimed that no ransom was paid by the Irish Government. 2010 Japanese treasure hunter On July 16, 2010, Japanese national Toshio Ito was kidnapped from Pangutaran, Sulu. At one point, the Philippine police believed the "treasure hunter," a Muslim convert also known by his Muslim name Mamaito Katayama, was acting as a cook for Abu Sayyaf; however, this was disputed by other nations, including the United States, which included him on its list of kidnap victims. A classified document obtained by Rappler lists Ito first, saying he was held captive by Abu Sayyaf's most senior leader, Radullan Sahiron, in Langpas, Indanan, Sulu early in 2013. 2011 Malaysian gecko trader On May 8, 2011, Malaysian gecko trader Mohammad Nasauddin Bin Saidin was kidnapped while hunting for gecko (tuko) in Indanan, Sulu. Saidin was freed on May 12, 2012. 2011 Indian national kidnapping On June 22, 2011, Indian national Biju Kolara Veetil was captured by four armed men while visiting his wife's relatives on the island of Jolo. A$10 million ransom was demanded. Veetil later denied that he was released in August 2012 because he had converted to Islam during captivity. Warren Rodwell Warren Richard Rodwell, a former Australian Army soldier and university English teacher, was shot through the right hand when seized from his home at Ipil, Zamboanga Sibugay on the island of Mindanao in the southern Philippines on December 5, 2011 by ASG militants. Rodwell later had to have a finger amputated. ASG threatened to behead Rodwell if their $US2 million ransom demand was not met. Both the Australian and Philippine governments had strict policies against paying ransoms. Australia formed a multi-agency task force to liaise with Rodwell's family and assist Philippine authorities. A news blackout was imposed. Filipino politicians helped negotiate the release. After the payment of $AUD94,000 for "board and lodging" expenses by his siblings, Rodwell was released on March 23, 2013. Arrests and killings On June 16, 2014, suspects Jimmy Nurilla (alias Doc) and Bakrin Haris were arrested. Both reportedly worked under Basilan-based Abu Sayyaf leader Khair Mundos and Furuji Indama. Authorities believed Nurilla and Haris took part in the Rodwell kidnapping, as well as the separate abduction of US citizen Gerfa Yeatts Lunsman and her son Kevin in 2012. In January 2015, Mindanao Examiner newspaper reported the arrest of Barahama Ali kidnap gang sub-leaders linked to the kidnapping of Rodwell, who was seized by at least 5 gunmen (disguised as policemen), and eventually handed over or sold by the kidnappers to the Abu Sayyaf in Basilan province. In May 2015, ex-Philippine National Police (PNP) officer Jun A. Malban, alias Michael Zoo, was arrested in Kota Kinabalu, Malaysia, for the crime of "Kidnapping for Ransom" after Rodwell identified him as the negotiator/spokesperson. Further PNP investigation revealed that Malban is the cousin of Abu Sayyaf leaders Khair and Borhan Mundos (both of whom were arrested in 2014). The director of the Anti-Kidnapping Group (AKG) stated that Malban's arrest resulted from close co-ordination by the PNP, National Bureau of Investigation (Philippines) and Presidential Anti-Organized Crime Commission with the Malaysian counterparts and through Interpol. In January 2018, Rodwell attended a court hearing for Malban and others in Ipil, Zamboanga Sibugay, pursuant to a Supreme Court petition to transfer his case for security reasons to a court in either Manila or Zamboanga City. In August 2015, Edeliza Sumbahon Ulep, alias Gina Perez, was arrested at Trento, Agusan del Sur during a joint manhunt operation by police and military units. Ulep was tagged as the ransom courier in the kidnapping. In August 2016, The Manila Times reported the arrest of the kidnap-for-ransom group of Barahama Alih sub-leader, Hasim Calon alias Husien (also a notorious drug dealer), in his hideout in Tenan village in Ipil town. Hasim Calon was involved in Rodwell's abduction. Earlier in 2016, police forces killed Waning Abdulsalam, a former MILF leader, in the village of Singkilon. Abdulsalam was one of the most wanted criminals in the southern Philippines and connected to ASG. He was linked to the kidnappings of Rodwell in 2011, Irish missionary Michael Sinnott in 2009 in Pagadian City, and Italian Catholic priest Giancarlo Bossi in Zamboanga del Sur's Payao town in 2007. In March 2019, combined security forces of the 44th Infantry Battalion, Philippine National Police, Philippine Drugs Enforcement Agency, National Bureau of Investigation and Philippine Coast Guard arrested five members (Benhazer Anduhol, Solaiman Calonof, Nicanel Maningo, Jay-ar Abba Quartocruz and Hashim Lucas Samdani) of Barahama Alih criminal gang during drug operations with warrants in Barangay Tenan of Ipil town, Zamboanga Sibugay. Military sources allege Barahama Alih Group was responsible for a number of kidnapping incidents in previous years including the abduction of Australian national Warren Rodwell, Italian priest Giancarlo Bossi, and some local Filipinos. In February 2018, Abu Sayyaf sub-commander Nurhassan Jamiri was reported by Malaysia regional intelligence sources as one of three gunmen killed in a gunfight with police in Sabah. Jamiri was atop the Philippines' most wanted list and implicated in dozens of ransom kidnappings including Rodwell. In March 2018, Jamiri turned up alive when he and thirteen followers surrendered to authorities in Basilan. Over the preceding two years, many Abu Sayyaf bandits had surrendered to authorities in Basilan, Sulu, and Tawi-Tawi. More were expected to yield because of the regional government's Program Against Violence and Extremism (PAVE), designed to provide opportunities and interventions, including psychosocial sessions, medical check-ups, introduction to farming systems, and expository tours outside the island provinces to facilitate the reintegration of former combatants into society. In April 2018, Rodwell lauded the surrenders and reintegration program, but said he would not interfere with the legal processing of any charges already filed against anyone involved with his own kidnapping. In June 2020, Inquirer newspaper reported the killing of Mamay Aburi by government troops in Titay, Zamboanga Sibugay after authorities attended to serve a warrant of arrest. Aburi was allegedly a subleader of a kidnap-for-ransom group and had been linked with the Abu Sayyaf Group based in Sulu. The provincial director of the Criminal Investigation and Detection Group (CIDG) said Aburi was involved in the 2011 kidnapping of Australian national Warren Rodwell and the 2019 abduction of the Hyrons couple in Tukuran, Zamboanga del Sur. In February 2021, The Manila Times reported that Abu Sayyaf subleader Arrasid Halissam was shot dead when he opened fire on police serving a warrant on him in the village of Santa Maria, Zamboanga City. Halissam was linked to numerous kidnappings such as Australian adventurer Warren Rodwell, Americans Gerfa Lunsmann and son Kevin, Chinese Yuan Lin Kai and Jian Luo, South Korean Nwi Seong Hong, and almost a dozen Filipinos. Halissam was also allegedly involved in the 2015 bombing in Zamboanga that killed two people and injured over fifty others. 2012 European bird watchers On February 1, 2012, two European bird watchers were seized on Tawi Tawi island. Swiss Lorenzo Vinciguerra escaped in December 2014 as government troops attacked the jungle camp where he was captive on the island of Jolo. Vinciguerra was shot by rebels as he escaped; however, his injuries were non-life-threatening. Dutch captive Ewold Horn was reportedly unable to escape. The whereabouts of Horn remained unknown. On May 31, 2019, Western Mindanao Command confirmed that Horn was shot dead during a clash with military in Patikul, Sulu. Additionally, the military advised that the wife of ASG leader Radulan Sahiron and five other ASG members were also killed. 2012 Mayor Jeffrey Lim Kidnapping On April 2, 2012, Mayor Jeffrey Lim of Salug, Zamboanga del Norte was kidnapped by ten armed men disguised as policemen. Lim was reportedly handed over to Abu Sayyaf. On November 6, he was freed near Zamboanga City after payment of P1.3M ($US25,000) ransom. On August 9, 2013, a Mindanao Pagadian Frontline report named a "Sehar Muloc" aka "Red Eye" as a suspect in the 2012 kidnapping of Mayor Jeffrey Lim. Abner Gumandol, alias Sehar Muloc and Red Eye, was said to be the leader of a criminal syndicate called the Muloc Group. Gumandol was arrested on June 12, 2016. 2014 Kabasalan ZSP kidnapping On September 11, 2014, Chinese national Li Pei Zhei was abducted by four gunmen in Kabasalan, Zamboanga Sibugay and taken to Basilan. He was released in Sitio Lugay-Lugay, Barangay Naga-Naga, Alicia, Zamboanga Sibugay on November 5, 2014. Police subsequently charged Ibni Basaludin, Yug Enriquez, Brahama Ali, and Ging-Ging Calon, all residents of Barangay Tenan, Ipil, Zamboanga Sibugay with kidnapping with serious illegal detention. 2015 Roseller Lim ZSP kidnapping On January 24, 2015, Korean national Nwi Seong Hong was abducted by armed men in Roseller Lim, Zamboanga Sibugay Province. The victim's son, Abby, escaped after he fought off the kidnappers. According to intelligence information from the JTG-SULU, the captors of were Algabsy Misaya, Idang Susukan, Alden Bagade and Mohammad Salud alias Ama Maas, Indanan-based members led by sub-leaders Isang Susukan and Anga Adji. On October 31, 2015, the body of 74-year-old Nwi Seong Hong was found in Barangay Bangkal, Patikul, Sulu. Investigators said the victim died due to severe illness. 2015 Samal Island kidnappings On September 21, 2015, Canadians Robert Hall and John Ridsdel, as well as Norwegian Kjartan Sekkingstad, and (Hall's girlfriend) Marites Flor; a Filipino woman, were abducted on Samai island near Davao. Ridsdel was beheaded by Abu Sayyaf on April 25, 2016 following a ransom deadline. ASG reportedly demanded more than $8.1 million for Ridsdel and the others. On May 3, 2016, a video of the Ridsdel execution was released, along with new demands for the remaining hostages. A masked captor said, "Note to the Philippine government and to the Canadian government: The lesson is clear. John Ridsdel has been beheaded. Now there are three remaining captives here. If you procrastinate once again the negotiations, we will behead this all anytime". On May 15, Hall appeared in a new video, announcing that he and Norwegian Kjartan Sekkingstad would be decapitated at 3 pm on Monday June 13 absent a ransom of $16 million. Both hostages wore orange coveralls, similar to hostages in videos produced by IS, to which Abu Sayyaf had previously pledged allegiance. The deadline passed. Hall was beheaded. On June 24, Abu Sayyaf released Filipina Marites Flor. She was subsequently flown to Davao to meet President-elect Rodrigo Duterte. Duterte said he directed negotiations with the Abu Sayyaf. He did not elaborate. On September 17, 2016, remaining hostage Norwegian Kjartan Sekkingstad was released on Jolo island. Abu Rami, an ASG spokesman, claimed $638,000 was paid as ransom. 2015 Dipolog City kidnapping On October 7, 2015, Italian national and pizza restaurant owner Rolando del Torchio was kidnapped in Dipolog City, capital of Zamboanga
with classical Greek and Latin, but the modern language, like modern Greek, has undergone many transformations, adding some analytic features. Noun Classical Armenian has no grammatical gender, not even in the pronoun, but there is a feminine suffix ( "-uhi"). For example, (usucʻičʻ, "teacher") becomes (usucʻčʻuhi, female teacher). This suffix, however, does not have a grammatical effect on the sentence. The nominal inflection, however, preserves several types of inherited stem classes. Traditionally, nouns are declined for one of seven cases: nominative (ուղղական uġġakan), accusative (հայցական haycʻakan), locative (ներգոյական nergoyakan), genitive (սեռական seṙakan), dative (տրական trakan), ablative (բացառական bacʻaṙakan), or instrumental (գործիական gorciakan), but in the modern language, the distinctions between nominative and accusative, and dative and genitive, are gone. Examples of noun declension in Eastern Armenian Which case the direct object takes is split based on animacy. Inanimate nouns take the nominative, while animate nouns take the dative. Additionally, animate nouns can never take the locative case. Examples of noun declension in Western Armenian Verb Verbs in Armenian have an expansive system of conjugation with two main verb types in Eastern Armenian and three in Western Armenian changing form based on tense, mood and aspect. Dialects Armenian is a pluricentric language, having two modern standardized forms: Eastern Armenian and Western Armenian. The most distinctive feature of Western Armenian is that it has undergone several phonetic mergers; these may be due to proximity to Arabic- and Turkish-speaking communities. Classical Armenian (Grabar), which remained the standard until the 18th century, was quite homogeneous across the different regions that works in it were written; it may have been a cross-regional standard. The Middle Armenian variety used in the court of Cilician Armenia (1080–1375) provides a window into the development of Western Armenian, which came to be based on what became the dialect of Istanbul, while the standard for Eastern Armenian was based on the dialect around Mount Ararat and Yerevan. Although the Armenian language is often divided into "east" and "west", the two standards are actually relatively close to each other in light of wealth of the diversity present among regional non-standard Armenian dialects. The different dialects have experienced different degrees of language contact effects, often with Turkic and Caucasian languages; for some, the result has been significant phonological and syntactic changes. Fortson notes that the modern standard as well has now attained a subordinate clausal structure that greatly resembles a Turkic language. Eastern Armenian speakers pronounce () as [tʰ], () as [d], and () as a tenuis occlusive [t˭]. Western Armenian has simplified the occlusive system into a simple division between voiced occlusives and aspirated ones; the first series corresponds to the tenuis series of Eastern Armenian, and the second corresponds to the Eastern voiced and aspirated series. Thus, the Western dialect pronounces both () and () as [tʰ], and the () letter as [d]. There is no precise linguistic border between one dialect and another because there is nearly always a dialect transition zone of some size between pairs of geographically identified dialects. Armenian can be divided into two major dialectal blocks and those blocks into individual dialects, though many of the Western Armenian dialects have become extinct due to the effects of the Armenian genocide. In addition, neither dialect is completely homogeneous: any dialect can be subdivided into several subdialects. Although Western and Eastern Armenian are often described as different dialects of the same language, many subdialects are not readily mutually intelligible. Nevertheless, a fluent speaker of one of two greatly varying dialects who is also literate in one of the standards, when exposed to the other dialect for a period of time will be able to understand the other with relative ease. Distinct Western Armenian varieties currently in use include Homshetsi, spoken by the Hemshin peoples; the dialects of Armenians of Kessab (Քեսապի բարբառ), Latakia and Jisr al-Shughur (Syria), Anjar, Lebanon, and Vakıflı, Samandağ (Turkey), part of the "Sueidia" dialect (Սուէտիայի բարբառ). Forms of the Karin dialect of Western Armenian are spoken by several hundred thousand people in Northern Armenia, mostly in Gyumri, Artik, Akhuryan, and around 130 villages in Shirak Province, and by Armenians in Samtskhe–Javakheti province of Georgia (Akhalkalaki, Akhaltsikhe). Nakhichevan-on-Don Armenians speak another Western Armenian variety based on the dialect of Armenians in Crimea, where they came from in order to establish the town and surrounding villages in 1779 (Նոր Նախիջևանի բարբառ). Western Armenian dialects are currently spoken also in Gavar (formerly Nor Bayazet and Kamo, on the west of Lake Sevan), Aparan, and Talin in Armenia (Mush dialect), and by the large Armenian population residing in Abkhazia, where they are considered to be the first or second ethnic minority, or even equal in number to the local Abkhaz population Orthography The Armenian alphabet ( or ) is a graphically unique alphabetical writing system that is used to write the Armenian language. It was introduced around AD 405 by Mesrop Mashtots, an Armenian linguist and ecclesiastical leader, and originally contained 36 letters. Two more letters, օ (ō) and ֆ (f), were added in the Middle Ages. During the 1920s orthography reform in Soviet Armenia, a new letter և (capital ԵՎ) was added, which was a ligature before ե+ւ, whereas the letter Ւ ւ was discarded and reintroduced as part of a new letter ՈՒ ու (which was a digraph before). This alphabet and associated orthography is used by most Armenian speakers of Armenia and the countries of the former Soviet Union. Neither the alphabet nor the orthography has been adopted by Diaspora Armenians, including Eastern Armenian speakers of Iran and all Western Armenian speakers, who keep using the traditional alphabet and spelling. Vocabulary Indo-European cognates Armenian is an Indo-European language, so many of its Proto-Indo-European-descended words are cognates of words in other Indo-European languages such as English, Latin, Greek, and Sanskrit. However, due to extensive loaning, only around 1,500 words (G. Jahukyan) are known to have been inherited from Indo-European by the Classical Armenian stage; the rest were lost, a fact that presents a major challenge to endeavors to better understand Proto-Armenian and its place within the family, especially as many of the sound changes along the way from Indo-European to Armenian remain quite difficult to analyze. This table lists only some of the more recognizable cognates that Armenian shares with English (more specifically, with English words descended from Old English). (Source: Online
of the Armenian branch of the Indo-European family, Aram Kossian has suggested that the hypothetical Mushki language may have been a (now extinct) Armenic language. Early contacts W. M. Austin (1942) concluded that there was early contact between Armenian and Anatolian languages, based on what he considered common archaisms, such as the lack of a feminine gender and the absence of inherited long vowels. However, unlike shared innovations (or synapomorphies), the common retention of archaisms (or symplesiomorphy) is not considered conclusive evidence of a period of common isolated development. There are words used in Armenian that are generally believed to have been borrowed from Anatolian languages, particularly from Luwian, although some researchers have identified possible Hittite loanwords as well. One notable loanword from Anatolian is Armenian xalam, "skull", cognate to Hittite ḫalanta, "head". In 1985, Soviet linguist Igor M. Diakonoff noted the presence in Classical Armenian of what he calls a "Caucasian substratum" identified by earlier scholars, consisting of loans from the Kartvelian and Northeast Caucasian languages. Noting that Hurro-Urartian-speaking peoples inhabited the Armenian homeland in the second millennium BC, Diakonoff identifies in Armenian a Hurro-Urartian substratum of social, cultural, and animal and plant terms such as ałaxin "slave girl" ( ← Hurr. al(l)a(e)ḫḫenne), cov "sea" ( ← Urart. ṣûǝ "(inland) sea"), ułt "camel" ( ← Hurr. uḷtu), and xnjor "apple (tree)" ( ← Hurr. ḫinzuri). Some of the terms he gives admittedly have an Akkadian or Sumerian provenance, but he suggests they were borrowed through Hurrian or Urartian. Given that these borrowings do not undergo sound changes characteristic of the development of Armenian from Proto-Indo-European, he dates their borrowing to a time before the written record but after the Proto-Armenian language stage. Contemporary linguists, such as Hrach Martirosyan, have rejected many of the Hurro-Urartian and Northeast Caucasian origins for these words and instead suggest native Armenian etymologies, leaving the possibility that these words may have been loaned into Hurro-Urartian and Caucasian languages from Armenian, and not vice versa. A notable example is arciv, meaning "eagle," believed to have been the origin of Urartian Arṣibi and Northeast Caucasian arzu. This word is derived from Proto-Indo-European *h₂r̥ǵipyós, with cognates in Sanskrit (ऋजिप्य, ṛjipyá), Avestan (erezef), and Greek (αἰγίπιος, aigípios). Hrach Martirosyan and Armen Petrosyan propose additional borrowed words of Armenian origin loaned into Urartian and vice versa, including grammatical words and parts of speech, such as Urartian eue ("and"), attested in the earliest Urartian texts and likely a loan from Armenian (compare to Armenian , ultimately from Proto-Indo-European *h₁epi). Other loans from Armenian into Urartian includes personal names, toponyms, and names of deities. Loan words from Iranian languages, along with the other ancient accounts such as that of Xenophon above, initially led linguists to erroneously classify Armenian as an Iranian language. Scholars such as Paul de Lagarde and F. Müller believed that the similarities between the two languages meant that Armenian belonged to the Iranian language family. The distinctness of Armenian was recognized when philologist Heinrich Hübschmann (1875) used the comparative method to distinguish two layers of Iranian words from the older Armenian vocabulary. He showed that Armenian often had 2 morphemes for the one concept, and the non-Iranian components yielded a consistent PIE pattern distinct from Iranian, and also demonstrated that the inflectional morphology was different from that in Iranian languages. Graeco-Armenian hypothesis The hypothesis that Greek is Armenian's closest living relative originates with Holger Pedersen (1924), who noted that the number of Greek-Armenian lexical cognates is greater than that of agreements between Armenian and any other Indo-European language. Antoine Meillet (1925, 1927) further investigated morphological and phonological agreement, postulating that the parent languages of Greek and Armenian were dialects in immediate geographical proximity in the Proto-Indo-European period. Meillet's hypothesis became popular in the wake of his book Esquisse d'une histoire de la langue latine (1936). Georg Renatus Solta (1960) does not go as far as postulating a Proto-Graeco-Armenian stage, but he concludes that considering both the lexicon and morphology, Greek is clearly the dialect most closely related to Armenian. Eric P. Hamp (1976, 91) supports the Graeco-Armenian thesis, anticipating even a time "when we should speak of Helleno-Armenian" (meaning the postulate of a Graeco-Armenian proto-language). Armenian shares the augment, and a negator derived from the set phrase Proto-Indo-European language ("never anything" or "always nothing"), and the representation of word-initial laryngeals by prothetic vowels, and other phonological and morphological peculiarities with Greek. Nevertheless, as Fortson (2004) comments, "by the time we reach our earliest Armenian records in the 5th century AD, the evidence of any such early kinship has been reduced to a few tantalizing pieces". Greco-Armeno-Aryan hypothesis Graeco-(Armeno)-Aryan is a hypothetical clade within the Indo-European family, ancestral to the Greek language, the Armenian language, and the Indo-Iranian languages. Graeco-Aryan unity would have become divided into Proto-Greek and Proto-Indo-Iranian by the mid-third millennium BC. Conceivably, Proto-Armenian would have been located between Proto-Greek and Proto-Indo-Iranian, consistent with the fact that Armenian shares certain features only with Indo-Iranian (the satem change) but others only with Greek (s > h). Graeco-Aryan has comparatively wide support among Indo-Europeanists who believe the Indo-European homeland to be located in the Armenian Highlands, the "Armenian hypothesis". Early and strong evidence was given by Euler's 1979 examination on shared features in Greek and Sanskrit nominal flection. Used in tandem with the Graeco-Armenian hypothesis, the Armenian language would also be included under the label Aryano-Greco-Armenic, splitting into proto-Greek/Phrygian and "Armeno-Aryan" (ancestor of Armenian and Indo-Iranian). Evolution Classical Armenian (Arm: grabar), attested from the 5th century to the 19th century as the literary standard (up to the 11th century also as a spoken language with different varieties), was partially superseded by Middle Armenian, attested from the 12th century to the 18th century. Specialized literature prefers "Old Armenian" for grabar as a whole, and designates as "Classical" the language used in the 5th century literature, "Post-Classical" from the late 5th to 8th centuries, and "Late Grabar" that of the period covering the 8th to 11th centuries. Later, it was used mainly in religious and specialized literature, with the exception of a revival during the early modern period, when attempts were made to establish it as the language of a literary renaissance, with neoclassical inclinations, through the creation and dissemination of literature in varied genres, especially by the Mekhitarists. The first Armenian periodical, Azdarar, was published in grabar in 1794. The classical form borrowed numerous words from Middle Iranian languages, primarily Parthian, and contains smaller inventories of loanwords from Greek, Syriac, Aramaic, Arabic, Mongol, Persian, and indigenous languages such as Urartian. An effort to modernize the language in Bagratid Armenia and the Armenian Kingdom of Cilicia (11–14th centuries) resulted in the addition of two more characters to the alphabet ("" and ""), bringing the total number to 38. The Book of Lamentations by Gregory of Narek (951–1003) is an example of the development of a literature and writing style of Old Armenian by the 10th century. In addition to elevating the literary style and vocabulary of the Armenian language by adding well above a thousand new words, through his other hymns and poems Gregory paved the way for his successors to include secular themes and vernacular language in their writings. The thematic shift from mainly religious texts to writings with secular outlooks further enhanced and enriched the vocabulary. “A Word of Wisdom”, a poem by Hovhannes Sargavak devoted to a starling, legitimizes poetry devoted to nature, love, or female beauty. Gradually, the interests of the population at large were reflected in other literary works as well. Konsdantin Yerzinkatsi and several others even take the unusual step of criticizing the ecclesiastic establishment and addressing the social issues of the Armenian homeland. However, these changes represented the nature of the literary style and syntax, but they did not constitute immense changes to the fundamentals of the grammar or the morphology of the language. Often, when writers codify a spoken dialect, other language users are then encouraged to imitate that structure through the literary device known as parallelism. In the 19th century, the traditional Armenian homeland was once again divided. This time Eastern Armenia was conquered from Qajar Iran by the Russian Empire, while Western Armenia, containing two thirds of historical Armenia, remained under Ottoman control. The antagonistic relationship between the Russian and Ottoman empires led to creation of two separate and different environments under which Armenians lived. Halfway through the 19th century, two important concentrations of Armenian communities were further consolidated. Because of persecutions or the search for better economic opportunities, many Armenians living under Ottoman rule gradually moved to Istanbul, whereas Tbilisi became the center of Armenians living under Russian rule. These two cosmopolitan cities very soon became the primary poles of Armenian intellectual and cultural life. The introduction of new literary forms and styles, as well as many new ideas sweeping Europe, reached Armenians living in both regions. This created an ever-growing need to elevate the vernacular, Ashkharhabar, to the dignity of a modern literary language, in contrast to the now-anachronistic Grabar. Numerous dialects existed in the traditional Armenian regions, which, different as they were, had certain morphological and phonetic features in common. On the basis of these features two major standards emerged: Western standard: The influx of immigrants from different parts of the traditional Armenian homeland to Istanbul crystallized the common elements of the regional dialects, paving the way for a style of writing that required a shorter and more flexible learning curve than Grabar. Eastern standard: The Yerevan dialect provided the primary elements of Eastern Armenian, centered in Tbilisi, Georgia. Similar to the Western Armenian variant, the Modern Eastern was in many ways more practical and accessible to the masses than Grabar. Both centers vigorously pursued the promotion of Ashkharhabar. The proliferation of newspapers in both versions (Eastern & Western) and the development of a network of schools where modern Armenian was taught, dramatically increased the rate of literacy (in spite of the obstacles by the colonial administrators), even in remote rural areas. The emergence of literary works entirely written in the modern versions increasingly legitimized the language's existence. By the turn of the 20th century both varieties of the one modern Armenian language prevailed over Grabar and opened the path to a new and simplified grammatical structure of the language in the two different cultural spheres. Apart from several morphological, phonetic, and grammatical differences, the largely common vocabulary and generally analogous rules of grammatical fundamentals allows users of one variant to understand the other as long as they are fluent in one of the literary standards. After World War I, the existence
mean sound synthesis techniques that sum simple elements to create more complex timbres, even when the elements are not sine waves. For example, F. Richard Moore listed additive synthesis as one of the "four basic categories" of sound synthesis alongside subtractive synthesis, nonlinear synthesis, and physical modeling. In this broad sense, pipe organs, which also have pipes producing non-sinusoidal waveforms, can be considered as a variant form of additive synthesizers. Summation of principal components and Walsh functions have also been classified as additive synthesis. Implementation methods Modern-day implementations of additive synthesis are mainly digital. (See section Discrete-time equations for the underlying discrete-time theory) Oscillator bank synthesis Additive synthesis can be implemented using a bank of sinusoidal oscillators, one for each partial. Wavetable synthesis In the case of harmonic, quasi-periodic musical tones, wavetable synthesis can be as general as time-varying additive synthesis, but requires less computation during synthesis. As a result, an efficient implementation of time-varying additive synthesis of harmonic tones can be accomplished by use of wavetable synthesis. Group additive synthesis Group additive synthesis is a method to group partials into harmonic groups (having different fundamental frequencies) and synthesize each group separately with wavetable synthesis before mixing the results. Inverse FFT synthesis An inverse Fast Fourier transform can be used to efficiently synthesize frequencies that evenly divide the transform period or "frame". By careful consideration of the DFT frequency-domain representation it is also possible to efficiently synthesize sinusoids of arbitrary frequencies using a series of overlapping frames and the inverse Fast Fourier transform. Additive analysis/resynthesis It is possible to analyze the frequency components of a recorded sound giving a "sum of sinusoids" representation. This representation can be re-synthesized using additive synthesis. One method of decomposing a sound into time varying sinusoidal partials is short-time Fourier transform (STFT)-based McAulay-Quatieri Analysis. By modifying the sum of sinusoids representation, timbral alterations can be made prior to resynthesis. For example, a harmonic sound could be restructured to sound inharmonic, and vice versa. Sound hybridisation or "morphing" has been implemented by additive resynthesis. Additive analysis/resynthesis has been employed in a number of techniques including Sinusoidal Modelling, Spectral Modelling Synthesis (SMS), and the Reassigned Bandwidth-Enhanced Additive Sound Model. Software that implements additive analysis/resynthesis includes: SPEAR, LEMUR, LORIS, SMSTools, ARSS. Products New England Digital Synclavier had a resynthesis feature where samples could be analyzed and converted into ”timbre frames" which were part of its additive synthesis engine. Technos acxel, launched in 1987, utilized the additive analysis/resynthesis model, in an FFT implementation. Also a vocal synthesizer, Vocaloid have been implemented on the basis of additive analysis/resynthesis: its spectral voice model called Excitation plus Resonances (EpR) model is extended based on Spectral Modeling Synthesis (SMS), and its diphone concatenative synthesis is processed using spectral peak processing (SPP) technique similar to modified phase-locked vocoder (an improved phase vocoder for formant processing). Using these techniques, spectral components (formants) consisting of purely harmonic partials can be appropriately transformed into desired form for sound modeling, and sequence of short samples (diphones or phonemes) constituting desired phrase, can be smoothly connected by interpolating matched partials and formant peaks, respectively, in the inserted transition region between different samples. (See also Dynamic timbres) Applications Musical instruments Additive synthesis is used in electronic musical instruments. It is the principal sound generation technique used by Eminent organs. Speech synthesis In linguistics research, harmonic additive synthesis was used in 1950s to play back modified and synthetic speech spectrograms. Later, in early 1980s, listening tests were carried out on synthetic speech stripped of
synthesis output is Each envelope should vary slowly relative to the frequency spacing between adjacent sinusoids. The bandwidth of should be significantly less than . Inharmonic form Additive synthesis can also produce inharmonic sounds (which are aperiodic waveforms) in which the individual overtones need not have frequencies that are integer multiples of some common fundamental frequency. While many conventional musical instruments have harmonic partials (e.g. an oboe), some have inharmonic partials (e.g. bells). Inharmonic additive synthesis can be described as where is the constant frequency of th partial. Time-dependent frequencies In the general case, the instantaneous frequency of a sinusoid is the derivative (with respect to time) of the argument of the sine or cosine function. If this frequency is represented in hertz, rather than in angular frequency form, then this derivative is divided by . This is the case whether the partial is harmonic or inharmonic and whether its frequency is constant or time-varying. In the most general form, the frequency of each non-harmonic partial is a non-negative function of time, , yielding Broader definitions Additive synthesis more broadly may mean sound synthesis techniques that sum simple elements to create more complex timbres, even when the elements are not sine waves. For example, F. Richard Moore listed additive synthesis as one of the "four basic categories" of sound synthesis alongside subtractive synthesis, nonlinear synthesis, and physical modeling. In this broad sense, pipe organs, which also have pipes producing non-sinusoidal waveforms, can be considered as a variant form of additive synthesizers. Summation of principal components and Walsh functions have also been classified as additive synthesis. Implementation methods Modern-day implementations of additive synthesis are mainly digital. (See section Discrete-time equations for the underlying discrete-time theory) Oscillator bank synthesis Additive synthesis can be implemented using a bank of sinusoidal oscillators, one for each partial. Wavetable synthesis In the case of harmonic, quasi-periodic musical tones, wavetable synthesis can be as general as time-varying additive synthesis, but requires less computation during synthesis. As a result, an efficient implementation of time-varying additive synthesis of harmonic tones can be accomplished by use of wavetable synthesis. Group additive synthesis Group additive synthesis is a method to group partials into harmonic groups (having different fundamental frequencies) and synthesize each group separately with wavetable synthesis before mixing the results. Inverse FFT synthesis An inverse Fast Fourier transform can be used to efficiently synthesize frequencies that evenly divide the transform period or "frame". By careful consideration of the DFT frequency-domain representation it is also possible to efficiently synthesize sinusoids of arbitrary frequencies using a series of overlapping frames and the inverse Fast Fourier transform. Additive analysis/resynthesis It is possible to analyze the frequency components of a recorded sound giving a "sum of sinusoids" representation. This representation can be re-synthesized using additive synthesis. One method of decomposing a sound into time varying sinusoidal partials is short-time Fourier transform (STFT)-based McAulay-Quatieri Analysis. By modifying the sum of sinusoids representation, timbral alterations can be made prior to resynthesis. For example, a harmonic sound could be restructured to sound inharmonic, and vice versa. Sound hybridisation or "morphing" has been implemented by additive resynthesis. Additive analysis/resynthesis has been employed in a number of techniques including Sinusoidal Modelling, Spectral Modelling Synthesis (SMS), and the Reassigned Bandwidth-Enhanced Additive Sound Model. Software that implements additive analysis/resynthesis includes: SPEAR, LEMUR, LORIS, SMSTools, ARSS. Products New England Digital Synclavier had a resynthesis feature where samples could be analyzed and converted into ”timbre frames" which were part of its additive synthesis engine. Technos acxel, launched in 1987, utilized the additive analysis/resynthesis model, in an FFT implementation. Also a vocal synthesizer, Vocaloid have been implemented on the basis of additive analysis/resynthesis: its spectral voice model called Excitation plus Resonances (EpR) model is extended based on Spectral Modeling Synthesis (SMS), and its diphone concatenative synthesis is processed using spectral peak processing (SPP) technique similar to modified phase-locked vocoder (an improved phase vocoder for formant processing). Using these techniques, spectral components (formants) consisting of purely harmonic partials can be appropriately transformed into desired form for sound modeling, and sequence of short samples (diphones or phonemes) constituting desired phrase, can be smoothly connected by interpolating matched partials and formant peaks, respectively, in the inserted transition region between different samples. (See also Dynamic timbres) Applications Musical instruments Additive synthesis is used in electronic musical instruments. It is the principal sound generation technique used by Eminent organs. Speech synthesis In linguistics research, harmonic additive synthesis was used in 1950s to play back modified and synthetic speech spectrograms. Later, in early 1980s, listening tests were carried out on synthetic speech stripped of acoustic cues to assess their significance. Time-varying formant frequencies and amplitudes derived by linear predictive coding were synthesized additively as pure tone whistles. This method is called sinewave synthesis. Also the composite sinusoidal modeling (CSM) used on a singing speech synthesis feature on Yamaha CX5M (1984), is known to use a similar
Additionally, the angled flight deck allows for simultaneous launch and recovery. Jet blast deflectors became necessary to protect aircraft and handlers from jet blast. The first US Navy carriers to be fitted with them were the wooden-decked s which were adapted to operate jets in the late 1940s. Later versions had to be water-cooled because of increasing engine power. Optical landing systems were developed to facilitate the very precise landing angles required by jet aircraft, which have a fast landing speed giving little time to correct mistakes. The first system was fitted to in 1952. Aircraft carrier designs have increased in size to accommodate continuous increase in aircraft size. The 1950s saw US Navy's commission of "supercarriers", designed to operate naval jets, which offered better performance at the expense of bigger size and demanded more ordnance to be carried on-board (fuel, spare parts, electronics, etc.). Increase in size and requirements of being capable of more than 30 knots and to be at sea for long periods meant nuclear reactors are now used by aboard larger aircraft carriers to generate the steam used to produce power for propulsion, electric power, catapulting airplanes in aircraft carriers, and a few more minor uses. Modern navies that operate such aircraft carriers treat them as the capital ship of the fleet, a role previously held by the sailing galleons, frigates and ships-of-the-line and later steam or diesel powered battleships. This change took place during World War II in response to air power becoming a significant factor in warfare, driven by the superior range, flexibility and effectiveness of carrier-launched aircraft. Following the war, carrier operations continued to increase in size and importance, and along with, carrier designs also increased in size and ability. Some of these larger carriers, dubbed by the media as "supercarriers", displacing 75,000 tonnes or greater, have become the pinnacle of carrier development. Some are powered by nuclear reactors and form the core of a fleet designed to operate far from home. Amphibious assault ships, such as the and classes, serve the purpose of carrying and landing Marines, and operate a large contingent of helicopters for that purpose. Also known as "commando carriers" or "helicopter carriers", many have the capability to operate VSTOL aircraft. The threatening role of aircraft carriers has a place in modern asymmetric warfare, like the gunboat diplomacy of the past. Carriers also facilitate quick and precise projections of overwhelming military power into such local and regional conflicts. Lacking the firepower of other warships, carriers by themselves are considered vulnerable to attack by other ships, aircraft, submarines, or missiles. Therefore, an aircraft carrier is generally accompanied by a number of other ships to provide protection for the relatively unwieldy carrier, to carry supplies and perform other support services, and to provide additional offensive capabilities. The resulting group of ships is often termed a battle group, carrier group, carrier battle group or carrier strike group. There is a view among some military pundits that modern anti-ship weapons systems, such as torpedoes and missiles, or even ballistic missiles with nuclear warheads have made aircraft carriers and carrier groups too vulnerable for modern combat. like the German U24 of the conventional 206 class which in 2001 "fired" at the Enterprise during the exercise JTFEX 01-2 in the Caribbean Sea by firing flares and taking a photograph through its periscope or the Swedish Gotland which managed the same feat in 2006 during JTFEX 06-2 by penetrating the defensive measures of Carrier Strike Group 7 which was protecting . Description Structure Carriers are large and long ships, although there is a high degree of variation depending on their intended role and aircraft complement. The size of the carrier has varied over history and among navies, to cater to the various roles that global climates have demanded from naval aviation. Regardless of size, the ship itself must house their complement of aircraft, with space for launching, storing, and maintaining them. Space is also required for the large crew, supplies (food, munitions, fuel, engineering parts), and propulsion. US aircraft carriers are notable for having nuclear reactors powering their systems and propulsion. This makes the carrier reasonably tall. The top of the carrier is the flight deck, where aircraft are launched and recovered. On the starboard side of this is the island, where the funnel, air-traffic control and the bridge are located. The constraints of constructing a flight deck affect the role of a given carrier strongly, as they influence the weight, type, and configuration of the aircraft that may be launched. For example, assisted launch mechanisms are used primarily for heavy aircraft, especially those loaded with air-to-ground weapons. CATOBAR is most commonly used on US Navy fleet carriers as it allows the deployment of heavy jets with full load-outs, especially on ground-attack missions. STOVL is used by other navies because it is cheaper to operate and still provides good deployment capability for fighter aircraft. Due to the busy nature of the flight deck, only 20 or so aircraft may be on it at any one time. A hangar storage several decks below the flight deck is where most aircraft are kept, and aircraft are taken from the lower storage decks to the flight deck through the use of an elevator. The hangar is usually quite large and can take up several decks of vertical space. Munitions are commonly stored on the lower decks because they are highly explosive. Usually this is below the waterline so that the area can be flooded in case of emergency. Flight deck As "runways at sea", aircraft carriers have a flat-top flight deck, which launches and recovers aircraft. Aircraft launch forward, into the wind, and are recovered from astern. The flight deck is where the most notable differences between a carrier and a land runway are found. Creating such a surface at sea poses constraints on the carrier. For example, the fact that it is a ship means that a full-length runway would be costly to construct and maintain. This affects take-off procedure, as a shorter runway length of the deck requires that aircraft accelerate more quickly to gain lift. This either requires a thrust boost, a vertical component to its velocity, or a reduced take-off load (to lower mass). The differing types of deck configuration, as above, influence the structure of the flight deck. The form of launch assistance a carrier provides is strongly related to the types of aircraft embarked and the design of the carrier itself. There are two main philosophies in order to keep the deck short: add thrust to the aircraft, such as using a Catapult Assisted Take-Off (CATO-); and changing the direction of the airplanes' thrust, as in Vertical and/or Short Take-Off (V/STO-). Each method has advantages and disadvantages of its own: Catapult assisted take-off but arrested recovery (CATOBAR): A steam- or electric-powered catapult is connected to the aircraft, and is used to accelerate conventional aircraft to a safe flying speed. By the end of the catapult stroke, the aircraft is airborne and further propulsion is provided by its own engines. This is the most expensive method as it requires complex machinery to be installed under the flight deck, but allows for even heavily loaded aircraft to take off. Short take-off but arrested recovery (STOBAR) depends on increasing the net lift on the aircraft. Aircraft do not require catapult assistance for take off; instead on nearly all ships of this type an upwards vector is provided by a ski-jump at the forward end of the flight deck, often combined with thrust vectoring by the aircraft. Alternatively, by reducing the fuel and weapon load, an aircraft is able to reach faster speeds and generate more upwards lift and launch without a ski-jump or catapult. Short take-off vertical-landing (STOVL): On aircraft carriers, non-catapult-assisted, fixed-wing short takeoffs are accomplished with the use of thrust vectoring, which may also be used in conjunction with a runway "ski-jump". Use of STOVL tends to allow aircraft to carry a larger payload as compared to during VTOL use, while still only requiring a short runway. The most famous examples are the Hawker Siddeley Harrier and the Sea Harrier. Although technically VTOL aircraft, they are operationally STOVL aircraft due to the extra weight carried at take-off for fuel and armaments. The same is true of the F-35B Lightning II, which demonstrated VTOL capability in test flights but is operationally STOVL. Vertical take-off and landing (VTOL): Aircraft are specifically designed for the purpose of using very high degrees of thrust vectoring (e.g. if the thrust to weight-force ratio is greater than 1, it can take off vertically), but are usually slower than conventionally propelled aircraft. On the recovery side of the flight deck, the adaptation to the aircraft load-out is mirrored. Non-VTOL or conventional aircraft cannot decelerate on their own, and almost all carriers using them must have arrested-recovery systems (-BAR, e.g. CATOBAR or STOBAR) to recover their aircraft. Aircraft that are landing extend a tailhook that catches on arrestor wires stretched across the deck to bring themselves to a stop in a short distance. Post-WWII Royal Navy research on safer CATOBAR recovery eventually led to universal adoption of a landing area angled off axis to allow aircraft who missed the arresting wires to "bolt" and safely return to flight for another landing attempt rather than crashing into aircraft on the forward deck. If the aircraft are VTOL-capable or helicopters, they do not need to decelerate and hence there is no such need. The arrested-recovery system has used an angled deck since the 1950s because, in case the aircraft does not catch the arresting wire, the short deck allows easier take off by reducing the number of objects between the aircraft and the end of the runway. It also has the advantage of separating the recovery operation area from the launch area. Helicopters and aircraft capable of vertical or short take-off and landing (V/STOL) usually recover by coming abreast of the carrier on the port side and then using their hover capability to move over the flight deck and land vertically without the need for arresting gear. Staff and deck operations Carriers steam at speed, up to into the wind during flight deck operations to increase wind speed over the deck to a safe minimum. This increase in effective wind speed provides a higher launch airspeed for aircraft at the end of the catapult stroke or ski-jump, as well as making recovery safer by reducing the difference between the relative speeds of the aircraft and ship. Since the early 1950s on conventional carriers it has been the practice to recover aircraft at an angle to port of the axial line of the ship. The primary function of this angled deck is to allow aircraft that miss the arresting wires, referred to as a bolter, to become airborne again without the risk of hitting aircraft parked forward. The angled deck allows the installation of one or two "waist" catapults in addition to the two bow cats. An angled deck also improves launch and recovery cycle flexibility with the option of simultaneous launching and recovery of aircraft. Conventional ("tailhook") aircraft rely upon a landing signal officer (LSO, radio call sign paddles) to monitor the aircraft's approach, visually gauge glideslope, attitude, and airspeed, and transmit that data to the pilot. Before the angled deck emerged in the 1950s, LSOs used colored paddles to signal corrections to the pilot (hence the nickname). From the late 1950s onward, visual landing aids such as the optical landing system have provided information on proper glide slope, but LSOs still transmit voice calls to approaching pilots by radio. Key personnel involved in the flight deck include the shooters, the handler, and the air boss. Shooters are naval aviators or naval flight officers and are responsible for launching aircraft. The handler works just inside the island from the flight deck and is responsible for the movement of aircraft before launching and after recovery. The "air boss" (usually a commander) occupies the top bridge (Primary Flight Control, also called primary or the tower) and has the overall responsibility for controlling launch, recovery and "those aircraft in the air near the ship, and the movement of planes on the flight deck, which itself resembles a well-choreographed ballet." The captain of the ship spends most of his time one level below primary on the Navigation Bridge. Below this is the Flag Bridge, designated for the embarked admiral and his staff. To facilitate working on the flight deck of a US aircraft carrier, the sailors wear colored shirts that designate their responsibilities. There are at least seven different colors worn by flight deck personnel for modern United States Navy carrier air operations. Carrier operations of other nations use similar color schemes. Deck structures The superstructure of a carrier (such as the bridge, flight control tower) are concentrated in a relatively small area called an island, a feature pioneered on in 1923. While the island is usually built on the starboard side of the flight deck, the Japanese aircraft carriers and had their islands built on the port side. Very few carriers have been designed or built without an island. The flush deck configuration proved to have significant drawbacks, primary of which was management of the exhaust from the power plant. Fumes coming across the deck were a major issue in . In addition, lack of an island meant difficulties managing the flight deck, performing air traffic control, a lack of radar housing placements and problems with navigating and controlling the ship itself. Another deck structure that can be seen is a ski-jump ramp at the forward end of the flight deck. This was first developed to help launch STOVL aircraft take off at far higher weights than is possible with a vertical or rolling takeoff on flat decks. Originally developed by the Royal Navy, it since has been adopted by many navies for smaller carriers. A ski-jump ramp works by converting some of the forward rolling movement of the aircraft into vertical velocity and is sometimes combined with the aiming of jet thrust partly downwards. This allows heavily loaded and fueled aircraft a few more precious seconds to attain sufficient air velocity and lift to sustain normal flight. Without a ski-jump, launching fully-loaded and fueled aircraft such as the Harrier would not be possible on a smaller flat deck ship before either stalling out or crashing directly into the sea. Although STOVL aircraft are capable of taking off vertically from a spot on the deck, using the ramp and a running start is far more fuel efficient and permits a heavier launch weight. As catapults are unnecessary, carriers with this arrangement reduce weight, complexity, and space needed for complex steam or electromagnetic launching equipment. Vertical landing aircraft also remove the need for arresting cables and related hardware. Russian, Chinese, and future Indian carriers include a ski-jump ramp for launching lightly loaded conventional fighter aircraft but recover using traditional carrier arresting cables and a tailhook on their aircraft. The disadvantage of the ski-jump is the penalty it exacts on aircraft size, payload, and fuel load (and thus range); heavily laden aircraft can not launch using a ski-jump because their high loaded weight requires either a longer takeoff roll than is possible on a carrier deck, or assistance from a catapult or JATO rocket. For example, the Russian Su-33 is only able to launch from the carrier with a minimal armament and fuel load. Another disadvantage is on mixed flight deck operations where helicopters are also present, such as on a US landing helicopter dock or landing helicopter assault amphibious assault
often termed a battle group, carrier group, carrier battle group or carrier strike group. There is a view among some military pundits that modern anti-ship weapons systems, such as torpedoes and missiles, or even ballistic missiles with nuclear warheads have made aircraft carriers and carrier groups too vulnerable for modern combat. like the German U24 of the conventional 206 class which in 2001 "fired" at the Enterprise during the exercise JTFEX 01-2 in the Caribbean Sea by firing flares and taking a photograph through its periscope or the Swedish Gotland which managed the same feat in 2006 during JTFEX 06-2 by penetrating the defensive measures of Carrier Strike Group 7 which was protecting . Description Structure Carriers are large and long ships, although there is a high degree of variation depending on their intended role and aircraft complement. The size of the carrier has varied over history and among navies, to cater to the various roles that global climates have demanded from naval aviation. Regardless of size, the ship itself must house their complement of aircraft, with space for launching, storing, and maintaining them. Space is also required for the large crew, supplies (food, munitions, fuel, engineering parts), and propulsion. US aircraft carriers are notable for having nuclear reactors powering their systems and propulsion. This makes the carrier reasonably tall. The top of the carrier is the flight deck, where aircraft are launched and recovered. On the starboard side of this is the island, where the funnel, air-traffic control and the bridge are located. The constraints of constructing a flight deck affect the role of a given carrier strongly, as they influence the weight, type, and configuration of the aircraft that may be launched. For example, assisted launch mechanisms are used primarily for heavy aircraft, especially those loaded with air-to-ground weapons. CATOBAR is most commonly used on US Navy fleet carriers as it allows the deployment of heavy jets with full load-outs, especially on ground-attack missions. STOVL is used by other navies because it is cheaper to operate and still provides good deployment capability for fighter aircraft. Due to the busy nature of the flight deck, only 20 or so aircraft may be on it at any one time. A hangar storage several decks below the flight deck is where most aircraft are kept, and aircraft are taken from the lower storage decks to the flight deck through the use of an elevator. The hangar is usually quite large and can take up several decks of vertical space. Munitions are commonly stored on the lower decks because they are highly explosive. Usually this is below the waterline so that the area can be flooded in case of emergency. Flight deck As "runways at sea", aircraft carriers have a flat-top flight deck, which launches and recovers aircraft. Aircraft launch forward, into the wind, and are recovered from astern. The flight deck is where the most notable differences between a carrier and a land runway are found. Creating such a surface at sea poses constraints on the carrier. For example, the fact that it is a ship means that a full-length runway would be costly to construct and maintain. This affects take-off procedure, as a shorter runway length of the deck requires that aircraft accelerate more quickly to gain lift. This either requires a thrust boost, a vertical component to its velocity, or a reduced take-off load (to lower mass). The differing types of deck configuration, as above, influence the structure of the flight deck. The form of launch assistance a carrier provides is strongly related to the types of aircraft embarked and the design of the carrier itself. There are two main philosophies in order to keep the deck short: add thrust to the aircraft, such as using a Catapult Assisted Take-Off (CATO-); and changing the direction of the airplanes' thrust, as in Vertical and/or Short Take-Off (V/STO-). Each method has advantages and disadvantages of its own: Catapult assisted take-off but arrested recovery (CATOBAR): A steam- or electric-powered catapult is connected to the aircraft, and is used to accelerate conventional aircraft to a safe flying speed. By the end of the catapult stroke, the aircraft is airborne and further propulsion is provided by its own engines. This is the most expensive method as it requires complex machinery to be installed under the flight deck, but allows for even heavily loaded aircraft to take off. Short take-off but arrested recovery (STOBAR) depends on increasing the net lift on the aircraft. Aircraft do not require catapult assistance for take off; instead on nearly all ships of this type an upwards vector is provided by a ski-jump at the forward end of the flight deck, often combined with thrust vectoring by the aircraft. Alternatively, by reducing the fuel and weapon load, an aircraft is able to reach faster speeds and generate more upwards lift and launch without a ski-jump or catapult. Short take-off vertical-landing (STOVL): On aircraft carriers, non-catapult-assisted, fixed-wing short takeoffs are accomplished with the use of thrust vectoring, which may also be used in conjunction with a runway "ski-jump". Use of STOVL tends to allow aircraft to carry a larger payload as compared to during VTOL use, while still only requiring a short runway. The most famous examples are the Hawker Siddeley Harrier and the Sea Harrier. Although technically VTOL aircraft, they are operationally STOVL aircraft due to the extra weight carried at take-off for fuel and armaments. The same is true of the F-35B Lightning II, which demonstrated VTOL capability in test flights but is operationally STOVL. Vertical take-off and landing (VTOL): Aircraft are specifically designed for the purpose of using very high degrees of thrust vectoring (e.g. if the thrust to weight-force ratio is greater than 1, it can take off vertically), but are usually slower than conventionally propelled aircraft. On the recovery side of the flight deck, the adaptation to the aircraft load-out is mirrored. Non-VTOL or conventional aircraft cannot decelerate on their own, and almost all carriers using them must have arrested-recovery systems (-BAR, e.g. CATOBAR or STOBAR) to recover their aircraft. Aircraft that are landing extend a tailhook that catches on arrestor wires stretched across the deck to bring themselves to a stop in a short distance. Post-WWII Royal Navy research on safer CATOBAR recovery eventually led to universal adoption of a landing area angled off axis to allow aircraft who missed the arresting wires to "bolt" and safely return to flight for another landing attempt rather than crashing into aircraft on the forward deck. If the aircraft are VTOL-capable or helicopters, they do not need to decelerate and hence there is no such need. The arrested-recovery system has used an angled deck since the 1950s because, in case the aircraft does not catch the arresting wire, the short deck allows easier take off by reducing the number of objects between the aircraft and the end of the runway. It also has the advantage of separating the recovery operation area from the launch area. Helicopters and aircraft capable of vertical or short take-off and landing (V/STOL) usually recover by coming abreast of the carrier on the port side and then using their hover capability to move over the flight deck and land vertically without the need for arresting gear. Staff and deck operations Carriers steam at speed, up to into the wind during flight deck operations to increase wind speed over the deck to a safe minimum. This increase in effective wind speed provides a higher launch airspeed for aircraft at the end of the catapult stroke or ski-jump, as well as making recovery safer by reducing the difference between the relative speeds of the aircraft and ship. Since the early 1950s on conventional carriers it has been the practice to recover aircraft at an angle to port of the axial line of the ship. The primary function of this angled deck is to allow aircraft that miss the arresting wires, referred to as a bolter, to become airborne again without the risk of hitting aircraft parked forward. The angled deck allows the installation of one or two "waist" catapults in addition to the two bow cats. An angled deck also improves launch and recovery cycle flexibility with the option of simultaneous launching and recovery of aircraft. Conventional ("tailhook") aircraft rely upon a landing signal officer (LSO, radio call sign paddles) to monitor the aircraft's approach, visually gauge glideslope, attitude, and airspeed, and transmit that data to the pilot. Before the angled deck emerged in the 1950s, LSOs used colored paddles to signal corrections to the pilot (hence the nickname). From the late 1950s onward, visual landing aids such as the optical landing system have provided information on proper glide slope, but LSOs still transmit voice calls to approaching pilots by radio. Key personnel involved in the flight deck include the shooters, the handler, and the air boss. Shooters are naval aviators or naval flight officers and are responsible for launching aircraft. The handler works just inside the island from the flight deck and is responsible for the movement of aircraft before launching and after recovery. The "air boss" (usually a commander) occupies the top bridge (Primary Flight Control, also called primary or the tower) and has the overall responsibility for controlling launch, recovery and "those aircraft in the air near the ship, and the movement of planes on the flight deck, which itself resembles a well-choreographed ballet." The captain of the ship spends most of his time one level below primary on the Navigation Bridge. Below this is the Flag Bridge, designated for the embarked admiral and his staff. To facilitate working on the flight deck of a US aircraft carrier, the sailors wear colored shirts that designate their responsibilities. There are at least seven different colors worn by flight deck personnel for modern United States Navy carrier air operations. Carrier operations of other nations use similar color schemes. Deck structures The superstructure of a carrier (such as the bridge, flight control tower) are concentrated in a relatively small area called an island, a feature pioneered on in 1923. While the island is usually built on the starboard side of the flight deck, the Japanese aircraft carriers and had their islands built on the port side. Very few carriers have been designed or built without an island. The flush deck configuration proved to have significant drawbacks, primary of which was management of the exhaust from the power plant. Fumes coming across the deck were a major issue in . In addition, lack of an island meant difficulties managing the flight deck, performing air traffic control, a lack of radar housing placements and problems with navigating and controlling the ship itself. Another deck structure that can be seen is a ski-jump ramp at the forward end of the flight deck. This was first developed to help launch STOVL aircraft take off at far higher weights than is possible with a vertical or rolling takeoff on flat decks. Originally developed by the Royal Navy, it since has been adopted by many navies for smaller carriers. A ski-jump ramp works by converting some of the forward rolling movement of the aircraft into vertical velocity and is sometimes combined with the aiming of jet thrust partly downwards. This allows heavily loaded and fueled aircraft a few more precious seconds to attain sufficient air velocity and lift to sustain normal flight. Without a ski-jump, launching fully-loaded and fueled aircraft such as the Harrier would not be possible on a smaller flat deck ship before either stalling out or crashing directly into the sea. Although STOVL aircraft are capable of taking off vertically from a spot on the deck, using the ramp and a running start is far more fuel efficient and permits a heavier launch weight. As catapults are unnecessary, carriers with this arrangement reduce weight, complexity, and space needed for complex steam or electromagnetic launching equipment. Vertical landing aircraft also remove the need for arresting cables and related hardware. Russian, Chinese, and future Indian carriers include a ski-jump ramp for launching lightly loaded conventional fighter aircraft but recover using traditional carrier arresting cables and a tailhook on their aircraft. The disadvantage of the ski-jump is the penalty it exacts on aircraft size, payload, and fuel load (and thus range); heavily laden aircraft can not launch using a ski-jump because their high loaded weight requires either a longer takeoff roll than is possible on a carrier deck, or assistance from a catapult or JATO rocket. For example, the Russian Su-33 is only able to launch from the carrier with a minimal armament and fuel load. Another disadvantage is on mixed flight deck operations where helicopters are also present, such as on a US landing helicopter dock or landing helicopter assault amphibious assault ship. A ski jump is not included as this would eliminate one or more helicopter landing areas; this flat deck limits the loading of Harriers but is somewhat mitigated by the longer rolling start provided by a long flight deck compared to many STOVL carriers. National fleets The US Navy has the largest fleet of carriers in the world, with eleven supercarriers currently in service. The UK has two STOVL carriers in service. China has two STOBAR carriers in service. The navies of France, India, and Russia each operate a single medium-size carrier. The US also has nine similarly sized Amphibious Warfare Ships. There are three small light carriers in use capable of operating both fixed-wing aircraft and helicopters, Italy operates two, and Spain one. Additionally there are seventeen small carriers which only operate helicopters serving the navies of Australia (2), Brazil (1), China (2), Egypt (2), France (3), Japan (4), South Korea (2), and Thailand (1). Australia Current The Royal Australian Navy operates two s. The two-ship class, based on the Spanish vessel and built by Navantia and BAE Systems Australia, represents the largest ships ever built for the Royal Australian Navy. underwent sea trials in late 2013 and was commissioned in 2014. Her sister ship, , was commissioned in December 2015. The Australian ships retain the ski-ramp from the Juan Carlos I design, although the RAN has not acquired carrier-based fixed-wing aircraft. Brazil Current In December 2017, the Brazilian Navy confirmed the purchase of for (GBP) £84.6 million (equivalent to R$359.5M and US$113.2M) and renamed it . The ship was decommissioned from Royal Navy service in March 2018. The Brazilian Navy commissioned the carrier on 29 June 2018 in the United Kingdom. After undertaking a period of maintenance in the UK, was expected to travel to its home port, Arsenal do Rio de Janeiro (AMRJ) and be fully operational by 2020. The helicopter carrier package for Brazil includes an Artisan 3D search radar, KH1007 surface surveillance radar system, four 30 mm DS30M Mk 2 remote weapon systems and four Mk 5B landing craft. The three original 20 mm Mk 15 Block 1B Phalanx close-in weapon systems, the torpedo defense systems and 7.62 mm M134 machine guns were removed from the ship before its transfer to Brazil. The ship displaces 21,578 tonnes, is long and has a range of . Atlântico will undergo operational sea training under the Royal Navy's Flag Officer Sea Training (FOST) program. China Current 2 STOBAR carriers: was originally built as the Soviet carrier Varyag and was later purchased as a hulk in 1998 on the pretext of use as a floating casino, then towed to China for rebuild and completion. Liaoning was commissioned on 25 September 2012 and began service for testing and training. In November 2012, Liaoning launched and recovered Shenyang J-15 naval fighter aircraft for the first time. After a refit in January 2019, she was assigned to the North Sea Fleet, a change from its previous role as a training carrier. was launched on 26 April 2017. She is the first to be built domestically, to an improved Kuznetsov-class design. Shandong started sea trials on 23 April 2018, and entered service in December 2019. 1 Landing helicopter dock A Type 075 LHD, was commissioned on 23 April 2021 at the naval base in Sanya. A second ship, Guangxi, was commissioned on 26 December 2021. Future Chinese officials stated that a third carrier, also known as Type 003 carrier is being constructed in the Shanghai Jiangnan Shipyard. She will be the first Chinese aircraft carrier to use catapult take off system (CATOBAR). In May 2019, the Center for Strategic and International Studies released satellite images of what they said was the third carrier under construction at Jiangnan Shipyard near Shanghai. China has had a long-term plan to operate six large aircraft carriers with two carriers per fleet. China is planning a class of eight landing helicopter dock vessels, the Type 075 (NATO reporting name Yushen-class landing helicopter assault). This is a class of amphibious assault ship under construction by the Hudong–Zhonghua Shipbuilding company. The first ship was commissioned in April 2021. China is also planning a modified class of the same concept, the Type 076 landing helicopter dock, that will also be equipped with an electromagnetic catapult launch system. Egypt Current Egypt signed a contract with French shipbuilder DCNS to buy two helicopter carriers for approximately 950 million euros. The two ships were originally destined for Russia, but the deal was cancelled by France due to Russian involvement in Ukraine. On 2 June 2016, Egypt received the first of two helicopter carriers acquired in October 2015, the landing helicopter dock . The flag transfer ceremony took place in the presence of Egyptian and French Navies' chiefs of staff, chairman and chief executive officers of both DCNS and STX France, and senior Egyptian and French officials. On 16 September 2016, DCNS delivered the second of two helicopter carriers, the landing helicopter dock which also participated in a joint military exercise with the French Navy before arriving at its home port of Alexandria. Egypt is so far the only country in Africa or the Middle East to possess a helicopter carrier. France Current The French Navy operates the , a 42,000-tonne nuclear-powered aircraft carrier, commissioned in 2001 and is the flagship of the French Navy. The ship carries a complement of Dassault Rafale M and E‑2C Hawkeye aircraft, EC725 Caracal and AS532 Cougar helicopters for combat search and rescue, as well as modern electronics and Aster missiles. She is a CATOBAR-type carrier that uses two 75 m C13‑3 steam catapults of a shorter version of the catapult system installed on the US carriers, one catapult at the bow and one across the front of the landing area. In addition, the French Navy operates three s. Future In October 2018, the French Ministry of Defence began an 18-month study for €40 million for the eventual future replacement of the beyond 2030. In December 2020, President Macron announced that construction of the next generation carrier would begin in around 2025 with sea trials to start in about 2036. The carrier is planned to have a displacement of around 75,000 tons and to carry about 32 next-generation fighters, two to three E-2D Advanced Hawkeyes and a yet-to-be-determined number of unmanned carrier air vehicles. India Current 1 STOBAR carrier: , 45,400 tonnes, modified Kiev class. The carrier was purchased by India on 20 January 2004 after years of negotiations at a final price of $2.35 billion. The ship successfully completed her sea trials in July 2013 and aviation trials in September 2013. She was formally commissioned on 16 November 2013 at a ceremony held at Severodvinsk, Russia. Future India started building , also known as Indigenous Aircraft Carrier 1 (IAC-1) a 45,000-tonne, aircraft carrier in 2009. The new carrier will operate MiG-29K and naval HAL Tejas aircraft. The ship will be powered by four gas-turbine engines and will have a range of , carrying 160 officers, 1,400 sailors, and 40 aircraft. The ship was launched in 2013, sea-trials began in August 2021 and commissioning is scheduled in 2022. A second carrier, , also known as Indigenous Aircraft Carrier 2 (IAC-2) with a displacement of over 65,000 tonnes is planned with a CATOBAR system to launch and recover heavier aircraft. Italy Current 2 STOVL carriers: : 14,000-tonne Italian STOVL carrier, commissioned in 1985. : 27,000-tonne Italian STOVL carrier designed and built with secondary amphibious assault facilities, commissioned in 2008. Future Italy plans to replace ageing aircraft carrier Giuseppe Garibaldi, as well as one of the landing helicopter docks, with a new amphibious assault ship, to be named . The ship will be significantly larger than her predecessors with a displacement of 38,000 tonnes at full load. Trieste is to carry the F-35B Joint Strike Fighter. Meanwhile, Giuseppe Garibaldi will be transferred to Italian Space Operation Command for use as a satellite launch platform. Japan Current 4 helicopter carriers: 2 s – 19,000-tonne (full load) anti-submarine warfare carriers with enhanced command-and-control capabilities allowing them to serve as fleet flagships. 2 s – , 19,500-tonne (27,000 tonnes full load) helicopter carrier Izumo was launched August 2013 and commissioned March 2015. This is the largest military ship Japan has had since World War II. Izumos sister ship, Kaga, was commissioned in 2017. Future 2 STOVL carriers: In December 2018, the Japanese Cabinet gave approval to convert both Izumo-class destroyers into aircraft carriers for F-35B STOVL operations. The conversion of Izumo was underway as of mid-2020. The modification of maritime escort vessels is to "increase operational flexibility" and enhance Pacific air defense, the Japanese defense ministry's position is "We are not creating carrier air wings or carrier air squadrons" similar to the US Navy. The Japanese STOVL F-35s, when delivered, will be operated by the Japan Air Self Defense Force from land bases; according to the 2020 Japanese Defense Ministry white paper the STOVL model was chosen for the JASDF due the lack of appropriately long runways to support air superiority capability across all of Japanese airspace. Japan has requested that the USMC deploy STOVL F-35s and crews aboard the Izumo-class ships "for cooperation and advice on how to operate the fighter on the deck of the modified ships". Russia Current 1 STOBAR carrier: Admiral Flota Sovetskogo Soyuza Kuznetsov: 55,000-tonne STOBAR aircraft carrier. Launched in 1985 as Tbilisi, renamed and operational from 1995. Without catapults she can launch and recover lightly fueled naval fighters for air defense or anti-ship missions but not heavy conventional bombing strikes. Officially designated an aircraft carrying cruiser, she is unique in carrying a heavy cruiser's complement of defensive weapons and large P-700 Granit offensive missiles. The P-700 systems will be removed in the coming refit to enlarge her below decks aviation facilities as well as upgrading her defensive systems. Future The Russian Government has been considering the potential replacement of Admiral Kuznetsov for some time and has considered the Shtorm-class aircraft carrier as a possible option. This carrier will be a hybrid of CATOBAR and STOBAR, given the fact that she utilizes both systems of launching aircraft. The carrier is expected to cost . As of 2020, the project had not yet been approved and, given the financial costs, it was unclear whether it would be made a priority over other elements of Russian naval modernization. A class of 2 LHD, Project 23900 is planned and an official keel laying ceremony for the project happened on 20 July 2020. South Korea Current Two 18,860-tonne full deck amphibious assault ships with hospital and well deck and facilities to serve as fleet flagships. Future South Korea has set tentative plans for procuring two light aircraft carriers by 2033, which would help make the ROKN a blue water navy. In December 2020, details of South Korea's planned carrier program (CVX) were finalized. A vessel of about 40,000 tons is envisaged carrying about 20 F-35B fighters as well as future maritime attack helicopters. Service entry had been anticipated in the early 2030s. The program has encountered opposition in the National Assembly. In November 2021, the National Defense Committee of the National Assembly reduced the program's requested budget of 7.2 billion KRW and to just 500 million KRW (about $400K USD), effectively putting the project on hold, at least temporarily. However, on 3 December 2021 the full budget of 7.2 billion won was passed by the National Assembly. Basic design work is to begin in earnest starting 2022. Spain Current : 27,000-tonne, specially designed multipurpose strategic projection ship which can operate as an amphibious assault ship and aircraft carrier. Juan Carlos I has full facilities for both functions including a ski jump for STOVL operations, is equipped with the AV-8B Harrier II attack aircraft. Also, well deck, and vehicle storage area which can be used as additional hangar space, launched in 2008, commissioned 30 September 2010. Thailand Current 1 offshore helicopter support ship: helicopter carrier: 11,400-tonne STOVL carrier based on Spanish design. Commissioned in 1997. The AV-8S Matador/Harrier STOVL fighter wing, mostly inoperable by 1999, was retired from service without replacement in 2006. As of 2010, the ship is used for helicopter operations and for disaster relief. Turkey Future is a 24,660-tonne planned amphibious assault ship (LHD) of the Turkish Navy that can be configured as a 27,079-tonne light aircraft carrier. Construction began on 30 April 2016 by Sedef Shipbuilding Inc. at their Istanbul shipyard and is expected to be completed by the end of 2020. The construction of a sister ship, to be named TCG Trakya, is currently being planned by the Turkish Navy. In 2018, İÇDAŞ, a Turkish company, started the construction of the Kızılelma Shipyard in the Biga district of Çanakkale Province specifically for building a new type of large aircraft carrier which is currently being designed by the Turkish Naval Forces. The dry dock of the Kızılelma Shipyard, completed in 2020, is long and wide. United Kingdom Current Two 65,000-tonne Queen Elizabeth-class STOVL carriers which will operate the F-35 Lightning II. was commissioned in December 2017 and in December 2019. Queen Elizabeth is anticipated to take her first operational deployment in 2021. Each Queen Elizabeth-class ship is able to operate around 40 aircraft during
the vector to the salivary glands where they are injected into the new vertebrate host when the insect vector feeds again. Marosporida The class Marosporida Mathur, Kristmundsson, Gestal, Freeman, and Keeling 2020 is a newly recognized lineage of apicomplexans that is sister to the Coccidia and Hematozoa. It is defined as a phylogenetic clade containing Aggregata octopiana Frenzel 1885, Merocystis kathae Dakin, 1911 (both Aggregatidae, originally coccidians), Rhytidocystis sp. 1 and Rhytidocystis sp. 2 Janouškovec et al. 2019 (Rhytidocystidae Levine, 1979, originally coccidians, Agamococcidiorida), and Margolisiella islandica Kristmundsson et al. 2011 (closely related to Rhytidocystidae). Marosporida infect marine invertebrates. Members of this clade retain plastid genomes and the canonical apicomplexan plastid metabolism. However, marosporidians have the most reduced apicoplast genomes sequenced to date, lack canonical plastidial RNA polymerase and so provide new insights into reductive organelle evolution. Ecology and distribution Many of the apicomplexan parasites are important pathogens of human and domestic animals. In contrast to bacterial pathogens, these apicomplexan parasites are eukaryotic and share many metabolic pathways with their animal hosts. This makes therapeutic target development extremely difficult – a drug that harms an apicomplexan parasite is also likely to harm its human host. At present, no effective vaccines are available for most diseases caused by these parasites. Biomedical research on these parasites is challenging because it is often difficult, if not impossible, to maintain live parasite cultures in the laboratory and to genetically manipulate these organisms. In recent years, several of the apicomplexan species have been selected for genome sequencing. The availability of genome sequences provides a new opportunity for scientists to learn more about the evolution and biochemical capacity of these parasites. The predominant source of this genomic information is the EuPathDB family of websites, which currently provides specialised services for Plasmodium species (PlasmoDB), coccidians (ToxoDB), piroplasms (PiroplasmaDB), and Cryptosporidium species (CryptoDB). One possible target for drugs is the plastid, and in fact existing drugs such as tetracyclines, which are effective against apicomplexans, seem to operate against the plastid. Many Coccidiomorpha have an intermediate host, as well as a primary host, and the evolution of hosts proceeded in different ways and at different times in these groups. For some coccidiomorphs, the original host has become the intermediate host, whereas in others it has become the definitive host. In the genera Aggregata, Atoxoplasma, Cystoisospora, Schellackia, and Toxoplasma, the original is now definitive, whereas in Akiba, Babesiosoma, Babesia, Haemogregarina, Haemoproteus, Hepatozoon, Karyolysus, Leucocytozoon, Plasmodium, Sarcocystis, and Theileria, the original hosts are now intermediate. Similar strategies to increase the likelihood of transmission have evolved in multiple genera. Polyenergid oocysts and tissue cysts are found in representatives of the orders Protococcidiorida and Eimeriida. Hypnozoites are found in Karyolysus lacerate and most species of Plasmodium; transovarial transmission of parasites occurs in lifecycles of Karyolysus and Babesia. Horizontal gene transfer appears to have occurred early on in this phylum's evolution with the transfer of a histone H4 lysine 20 (H4K20) modifier, KMT5A (Set8), from an animal host to the ancestor of apicomplexans. A second gene—H3K36 methyltransferase (Ashr3 in plants)—may have also be horizontally transferred. Blood-borne genera Within the Apicomplexa are three suborders of parasites: suborder Adeleorina—eight genera suborder Haemosporina—all genera in this suborder suborder Eimeriorina—two genera (Lankesterella and Schellackia) Within the Adelorina are species that infect invertebrates and others that infect vertebrates. The Eimeriorina—the largest suborder in this phylum—the lifecycle involves both sexual and asexual stages. The asexual stages reproduce by schizogony. The male gametocyte produces a large number of gametes and the zygote gives rise to an oocyst, which is the infective stage. The majority are monoxenous (infect one host only), but a few are heteroxenous (lifecycle involves two or more hosts). The number of families in this later suborder is debated, with the number of families being between one and 20 depending on the authority and the number of genera being between 19 and 25. Taxonomy History The first Apicomplexa protozoan was seen by Antonie van Leeuwenhoek, who in 1674 saw probably oocysts of Eimeria stiedae in the gall bladder of a rabbit. The first species of the phylum to be described, Gregarina ovata in earwigs intestines, was named by Dufour in 1828. He thought that they were a peculiar group related to the trematodes, at that time included in Vermes. Since then, many more have been identified and named. During 1826–1850, 41 species and six genera of Apicomplexa were named. In 1951–1975, 1873 new species and 83 new genera were added. The older taxon Sporozoa, included in Protozoa, was created by Leuckart in 1879 and adopted by Bütschli in 1880. Through history, it grouped with the current Apicomplexa many unrelated groups. For example, Kudo (1954) included in the Sporozoa species of the Ascetosporea (Rhizaria), Microsporidia (Fungi), Myxozoa (Animalia), and Helicosporidium (Chlorophyta), while Zierdt (1978) included the genus Blastocystis (Stramenopiles). Dermocystidium was also thought to be sporozoan. Not all of these groups had spores, but all were parasitic. However, other parasitic or symbiotic unicellular organisms were included too in protozoan groups outside Sporozoa (Flagellata, Ciliophora and Sarcodina), if they had flagella (e.g., many Kinetoplastida, Retortamonadida, Diplomonadida, Trichomonadida, Hypermastigida), cilia (e.g., Balantidium) or pseudopods (e.g., Entamoeba, Acanthamoeba, Naegleria). If they had cell walls, they also could be included in plant kingdom between bacteria or yeasts.
phylum are four groups — coccidians, gregarines, haemosporidians (or haematozoans, including in addition piroplasms), and marosporidians. The coccidians and haematozoans appear to be relatively closely related. Perkinsus , while once considered a member of the Apicomplexa, has been moved to a new phylum — Perkinsozoa. Gregarines The gregarines are generally parasites of annelids, arthropods, and mollusks. They are often found in the guts of their hosts, but may invade the other tissues. In the typical gregarine lifecycle, a trophozoite develops within a host cell into a schizont. This then divides into a number of merozoites by schizogony. The merozoites are released by lysing the host cell, which in turn invade other cells. At some point in the apicomplexan lifecycle, gametocytes are formed. These are released by lysis of the host cells, which group together. Each gametocyte forms multiple gametes. The gametes fuse with another to form oocysts. The oocysts leave the host to be taken up by a new host. Coccidians In general, coccidians are parasites of vertebrates. Like gregarines, they are commonly parasites of the epithelial cells of the gut, but may infect other tissues. The coccidian lifecycle involves merogony, gametogony, and sporogony. While similar to that of the gregarines it differs in zygote formation. Some trophozoites enlarge and become macrogamete, whereas others divide repeatedly to form microgametes (anisogamy). The microgametes are motile and must reach the macrogamete to fertilize it. The fertilized macrogamete forms a zygote that in its turn forms an oocyst that is normally released from the body. Syzygy, when it occurs, involves markedly anisogamous gametes. The lifecycle is typically haploid, with the only diploid stage occurring in the zygote, which is normally short-lived. The main difference between the coccidians and the gregarines is in the gamonts. In the coccidia, these are small, intracellular, and without epimerites or mucrons. In the gregarines, these are large, extracellular, and possess epimerites or mucrons. A second difference between the coccidia and the gregarines also lies in the gamonts. In the coccidians, a single gamont becomes a macrogametocyte, whereas in the gregarines, the gamonts give rise to multiple gametocytes. Haemosporidia The Haemosporidia have more complex lifecycles that alternate between an arthropod and a vertebrate host. The trophozoite parasitises erythrocytes or other tissues in the vertebrate host. Microgametes and macrogametes are always found in the blood. The gametes are taken up by the insect vector during a blood meal. The microgametes migrate within the gut of the insect vector and fuse with the macrogametes. The fertilized macrogamete now becomes an ookinete, which penetrates the body of the vector. The ookinete then transforms into an oocyst and divides initially by meiosis and then by mitosis (haplontic lifecycle) to give rise to the sporozoites. The sporozoites escape from the oocyst and migrate within the body of the vector to the salivary glands where they are injected into the new vertebrate host when the insect vector feeds again. Marosporida The class Marosporida Mathur, Kristmundsson, Gestal, Freeman, and Keeling 2020 is a newly recognized lineage of apicomplexans that is sister to the Coccidia and Hematozoa. It is defined as a phylogenetic clade containing Aggregata octopiana Frenzel 1885, Merocystis kathae Dakin, 1911 (both Aggregatidae, originally coccidians), Rhytidocystis sp. 1 and Rhytidocystis sp. 2 Janouškovec et al. 2019 (Rhytidocystidae Levine, 1979, originally coccidians, Agamococcidiorida), and Margolisiella islandica Kristmundsson et al. 2011 (closely related to Rhytidocystidae). Marosporida infect marine invertebrates. Members of this clade retain plastid genomes and the canonical apicomplexan plastid metabolism. However, marosporidians have the most reduced apicoplast genomes sequenced to date, lack canonical plastidial RNA polymerase and so provide new insights into reductive organelle evolution. Ecology and distribution Many of the apicomplexan parasites are important pathogens of human and domestic animals. In contrast to bacterial pathogens, these apicomplexan parasites are eukaryotic and share many metabolic pathways with their animal hosts. This makes therapeutic target development extremely difficult – a drug that harms an apicomplexan parasite is also likely to harm its human host. At present, no effective vaccines are available for most diseases caused by these parasites. Biomedical research on these parasites is challenging because it is often difficult, if not impossible, to maintain live parasite cultures in the laboratory and to genetically manipulate these organisms. In recent years, several of the apicomplexan species have been selected for genome sequencing. The availability of genome sequences provides a new opportunity for scientists to learn more about the evolution and biochemical capacity of these parasites. The predominant source of this genomic information is the EuPathDB family of websites, which currently provides specialised services for Plasmodium species (PlasmoDB), coccidians (ToxoDB), piroplasms (PiroplasmaDB), and Cryptosporidium species (CryptoDB). One possible target for drugs is the plastid, and in fact existing drugs such as tetracyclines, which are effective against apicomplexans, seem to operate against the plastid. Many Coccidiomorpha have an intermediate host, as well as a primary host, and the evolution of hosts proceeded in different ways and at different times in these groups. For some coccidiomorphs, the original host has become the intermediate host, whereas in others it has become the definitive host. In the genera Aggregata, Atoxoplasma, Cystoisospora, Schellackia, and Toxoplasma, the original is now definitive, whereas in Akiba, Babesiosoma, Babesia, Haemogregarina, Haemoproteus, Hepatozoon, Karyolysus, Leucocytozoon, Plasmodium, Sarcocystis, and Theileria, the original hosts are now intermediate. Similar strategies to increase the likelihood of transmission have evolved in multiple genera. Polyenergid oocysts and tissue cysts are found in representatives of the orders Protococcidiorida and Eimeriida. Hypnozoites are found in Karyolysus lacerate and most species of Plasmodium; transovarial transmission of parasites occurs in lifecycles of Karyolysus and Babesia. Horizontal gene transfer appears to have occurred early on in this phylum's evolution with the transfer of a histone H4 lysine 20 (H4K20) modifier, KMT5A (Set8), from an animal host to the ancestor of apicomplexans. A second gene—H3K36 methyltransferase (Ashr3 in plants)—may have also be horizontally transferred. Blood-borne genera Within the Apicomplexa are three suborders of parasites: suborder Adeleorina—eight genera suborder Haemosporina—all genera in this suborder suborder Eimeriorina—two genera (Lankesterella and Schellackia) Within the Adelorina are species that infect invertebrates and others that infect vertebrates. The Eimeriorina—the largest suborder in this phylum—the lifecycle involves both sexual and asexual stages. The asexual stages reproduce by schizogony. The male gametocyte produces a large number of gametes and the zygote gives rise to an oocyst, which is the infective stage. The majority are monoxenous (infect one host only), but a few are heteroxenous (lifecycle involves two or more hosts). The number of families in this later suborder is debated, with the number of families being between one and 20 depending on the authority and the number of genera being between 19 and 25. Taxonomy History The first Apicomplexa protozoan was seen by Antonie van Leeuwenhoek, who in 1674 saw probably oocysts of Eimeria stiedae in the gall bladder of a rabbit. The first species of the phylum to be described, Gregarina ovata in earwigs intestines, was named by Dufour in 1828. He thought that they were a peculiar group related to the trematodes, at that time included in Vermes. Since then, many more have been identified and named. During 1826–1850, 41 species and six genera of Apicomplexa were named. In 1951–1975, 1873 new species and 83 new genera were added. The older taxon Sporozoa, included in Protozoa, was created by Leuckart in 1879 and adopted by Bütschli in 1880. Through history, it grouped with the current Apicomplexa many unrelated groups. For example, Kudo (1954) included in the Sporozoa species of the Ascetosporea (Rhizaria), Microsporidia (Fungi), Myxozoa (Animalia), and Helicosporidium (Chlorophyta), while Zierdt (1978) included the genus Blastocystis (Stramenopiles). Dermocystidium was also thought to be sporozoan. Not all of these groups had spores, but all were parasitic. However, other parasitic or symbiotic unicellular organisms were included too in protozoan groups outside Sporozoa (Flagellata, Ciliophora and Sarcodina), if they had flagella (e.g., many Kinetoplastida, Retortamonadida, Diplomonadida, Trichomonadida, Hypermastigida), cilia (e.g., Balantidium) or pseudopods (e.g., Entamoeba, Acanthamoeba, Naegleria). If they had cell walls, they also could be included in plant kingdom between bacteria or yeasts. Sporozoa is no longer regarded as biologically valid and its use is discouraged, although some authors still use it as a synonym for the Apicomplexa. More recently, other groups were excluded from Apicomplexa, e.g., Perkinsus and Colpodella (now in Protalveolata). The field of classifying Apicomplexa is in flux and classification has changed throughout the years since it was formally named in 1970. By 1987, a comprehensive survey of the phylum was completed: in all, 4516 species and 339 genera had been named. They consisted of: Class Conoidasida Subclass Gregarinasina p.p. Order Eugregarinorida, with 1624 named species and 231 named genera Subclass Coccidiasina p.p Order Eucoccidiorida p.p Suborder Adeleorina p.p Group Hemogregarines, with 399 species and four genera Suborder Eimeriorina, with 1771 species and 43 genera Class Aconoidasida Order Haemospororida, with 444 species and nine genera Order Piroplasmorida, with 173 species and 20 genera Other minor groups omitted above, with 105 species and 32 genera Although considerable revision of this phylum has
for a light evening meal. A sweet paste, dulce de leche is another treasured national food, used to fill cakes and pancakes, spread over toasted bread for breakfast, or served with ice cream. Alfajores are shortbread cookies sandwiched together with chocolate and dulce de leche or a fruit paste. The "policeman's" or "truck driver's" sweet is cheese with quince paste or dulce de membrillo. Dulce de batata is made of sweet potato/yam: this with cheese is the Martín Fierros sweet. Apples, pears, peaches, kiwifruits, avocados, and plums are major exports. A traditional drink of Argentina is an infusion called mate (in Spanish, mate, with the accent on the first syllable [MAH-teh]). The name comes from the hollow gourd from which it is traditionally drunk. The mate (gourd) or other small cup is filled about three-quarters full with yerba mate, the dried leaves and twigs of the Ilex paraguariensis. The drink, which is rather bitter, is sipped through a metal or cane straw called a bombilla. Mate can be sweetened with sugar, or flavoured with aromatic herbs or dried orange peel. Hot but not boiling water is poured into the gourd, drunk, then the mate is refilled. The mate is nearly full of leaves, so each refill only makes a small drink, but many refills are possible before the yerba is spent. In small gatherings it is traditional for one mate to be passed from person to person, filled by whoever has the kettle. It is customary not to thank the refiller routinely; a final gracias (thank you) implies that the drinker has had enough. Drinking mate together is an important social ritual. Mate cocido is the same leaf, which rather than brewed is boiled and served, like tea, with milk and sugar to taste. Other typical drinks include wine (sometimes with soda water added); tea and coffee are equally important. Quilmes is the national brand of pale lager, named after the town of Quilmes, Buenos Aires, where it was first produced. Ingredients Argentine cuisine uses locally-grown cereals, grains, oil seeds, fruits and vegetables, as well as meat. Meat products have been dominant in the country since the 16th century. The country is regarded as a major beef, pork and poultry producing and consuming country. Certain areas such as those located in the south are usually engaged in activities involving sheep and lamb breeding, and shellfish, crustaceans, molluscs and salmonides fishing. The vast breeding activity involving any type of cattle has given rise to a highly developed dairy industry that includes products like cow, sheep and camelide, dulce de leche and yogurts. Some of the cheeses from Argentina are reggianito, sardo, provoleta and cremoso. Argentina can also be conceived as a great industry engaged in the production of dried fruits, olives, all types of oils and spices. In the Mesopotamia region, river fish such as silverside, surubi, dorado or boga are common. Regional differences Argentine cuisine is heavily influenced by its European roots and has regional variations. Asado, dulce de leche, empanadas, and yerba mate are found throughout Argentina. In many parts of the country, food is prepared differently and different kinds of foods are made; this includes to a smaller degree food from pre-Columbian times, as in the Northwest. Central region and la Pampa For long periods, urban areas such as Buenos Aires, Rosario, and Córdoba welcomed European immigrants, including, above all, those of Italian and Spanish descent. Nevertheless, there was also a migratory flow of German, Swiss, and Middle-Eastern immigrants arriving in Argentina. Among the countless changes this melting pot brought was the enrichment of culinary art. Dishes such as pasta, pizza, pucheros (stews), croquetas (fritters), sauces, embutidos (sausages), and chicken and meat courses brought a wider scope of options to daily menus. Furthermore, the bread-making, dessert, pastry, and dairy industries have achieved considerable development in this region. The above-mentioned dishes have developed a distinctively Argentine nuance. That is why, for example, Argentine pasta includes a wide variety of dishes ranging from spaghetti, fusiles (fusilli), ñoquis (gnocchi), ravioli, cintas (pasta ribbons), and lasagne to the Argentine-made sorrentinos, agnolottis (agnolotti), canelones (cannelloni), and fetuchines (fettuccine). Pizza—made with very thin, and sometimes thick, high-rising doughs, with or without cheese, cooked in the oven or a la piedra (on a stone oven), and stuffed with numerous ingredients—is a dish which can be found in nearly every corner of the country. Buenos Aires, Rosario, and Córdoba also serve it with fainá, which is a chick pea-flour dough placed over the piece of pizza. People say that what makes Argentine pizza unique is the blending of Italian and Spanish cultures. At the turn of the 19th century, immigrants from Naples and Genoa opened the first pizza bars, though Spanish residents subsequently owned most of the pizza businesses. Bread products are consumed all around the country. The deeply rooted bread, pastry, and dessert-making tradition derive from blending the above nationalities' products. Bakeries sell not only a wide scope of bread, cookies, and cakes, but also pastries. The latter resembles a sort of roll pastry whose main dough ingredient is either butter or fat and which may be simple or stuffed with dulce de leche, milk, jam, crema pastel, or quince or apple jelly, among other fillings. The most popular type of pastry is said to be that of medialunas (singular: medialuna, literally half-moon, that is to say, crescent), based upon French croissants. Furthermore, sandwiches de miga are another type of bread products; they are made only with thin layers of white bread (generally referred to as crustless bread) and stuffed with food items ranging from ham and cheese to other more sophisticated combinations such as raw ham, tomatoes, olives, hard-boiled eggs, tuna, lettuce, red pepper, and the like. Desserts and sweets are usually stuffed or covered with dulce de leche. The latter can be eaten alone or on top of cakes, alfajores, panqueques (crepes), and pastries, or as a topping spread over flan de leche. Chantilly cream is widely consumed and used in preparing sweets and desserts. Additionally, cakes, sponge cakes, and puddings are very popular dishes. Italian ice-creams in this region also achieved a significant degree of development by adding local flavours that somehow preserved the local spirit involved in their preparation. Although Asado is eaten all over the country, its origin may be traced back to the Pampas. It entails manifold types of meat, which are generally eaten as follows: achuras (offal, or the cow's inner parts), morcilla (blood sausage), and sometimes also a provoleta (a piece of provolone cheese cooked on the grill with oregano) are eaten first. Then comes the choripán (a kind of spiced sausage made with pork or lamb and placed between two slices of bread), and lastly meat such as asado de tira, vacío (flank steak), lomo (tenderloin), colita de cuadril (rump), matambre (rolled stuffed steak cut into slices and served cold), entraña (hanger steak); the list is never-ending. It is quite common to eat and enjoy a dish known as cabrito al asador (roast kid or goat) in the province of Córdoba. Northwest and Cuyo This region is regarded as perhaps the one most influenced by Native Americans, and its foods are closely linked to the Andean-Incan tradition. When preparing regional dishes, potatoes and corn or wheat are almost always used, including quinoa (a cereal typically used in Incan cuisine), peppers, squashes and tomatoes. The most celebrated dishes are humita and tamal, in which the corn husk is stuffed with the corn filling itself, seasonings or meat. This region is the most suitable to taste empanadas, particularly those stuffed with meat and offering different types of tempting varieties such as the meat empanada, salteña also filled with potatoes, or the empanada tucumana, which is stuffed with matambre and cut with a knife, or empanadas made with cheese. Empanadas are individual-sized and closed savoury pastries which may be fried or baked in the oven and are generally eaten with the hands. Stews such as locro, carbonada, pollo al disco, and cazuelas (casseroles) are also typical dishes characterizing this region, which also include pumpkin or potato pudding stuffed with meat. Mesopotamia The humid and verdant area of north-east Argentina known as Mesopotamia, comprising the provinces of Corrientes, Misiones and Entre Ríos is another area influenced by Native Americans, particularly by the Guaraní tribe. Abounding in rivers and shores, it offers a wide diversity of fish species, such as dorado, pacú, surubi, boga and silverside. Widely grown in this area, cassava is typically included in the region's dishes, as are other components of meals, such as the chipá (cassava and cheese bread). However, in this area Cassava is cooked alone too, boiled or fried, often as a side dish for Asado and empanadas. As well, mbeyú, chipá avatí, sopa paraguaya, sopa correntina, chipa solo or chipá con carne, el quibebé, el borí borí, chipá guasú o pastel de choclo, mbaipy, chipá mbocá o chipá caburé and some other similar meals that have as basis:manioc, corn, cheese and, sometimes, some meat.. Chipá from Cassava is often eaten during breakfast with yerba mate, prepared with hot water, or with café con leche. Sopa Paraguaya and pastel/Carta de Choclo are eaten for lunch or dinner. As regards products made with sugar, Papaya (mamón in Argentine Spanish) jam is typical of the north of this region. The principal product of this region is certainly yerba mate. Consumed countrywide, this product features a peculiarity of its own in this area: it is not only prepared with hot water but, driven by the region's high temperatures, it is common to see it prepared with cold water as well, in which case the beverage is known as tereré. Patagonia Foods produced in the large southern region of Patagonia include fish and seafood from the sea and rivers and the products of the sheep are widely farmed there. Marine species such as salmon, spider crabs, squid and other shellfish and molluscs may be caught in the Atlantic Ocean. There are trout in the rivers. The many berries grown in the area include cherries, bilberries, strawberries, rosa mosqueta and elders, which are made into jams. The Northern and Central European settlements in this region have built up large-scale production of chocolate and its by-products. Viennese and German cuisine and pastries are also typically associated with this region. Mutton and lamb, together with wild boar and venison tend to make up the region's meat-based dishes. Also typical of the southern region are smoked products, including salmon, stag, wild boar, and pheasant. Patagonia has been profoundly influenced by the tribes living there since long before Europeans arrived, in particular, the Mapuches and the Araucanos. A typical dish prepared by the latter is the curanto (a term meaning "hot stone"). Its preparation involves making a fire in a hole about 150 cm deep in the ground, and heating stones in it. A bed of nalca or maqui leaves is arranged on top of the stones, and ingredients are added in turn on top. Ingredients vary, but may include beef, lamb, pork, chicken, Argentine chorizos (pork sausages), potatoes, sweet potatoes, apples and holed squashes filled with cheese, cream and peas. The food is covered with leaves and damp pieces of cloth to keep the heat in, and covered with plenty of soil. Alcoholic beverages Though wine (vino) has traditionally been the most popular alcoholic beverage in Argentina, beer (cerveza; the
itself, seasonings or meat. This region is the most suitable to taste empanadas, particularly those stuffed with meat and offering different types of tempting varieties such as the meat empanada, salteña also filled with potatoes, or the empanada tucumana, which is stuffed with matambre and cut with a knife, or empanadas made with cheese. Empanadas are individual-sized and closed savoury pastries which may be fried or baked in the oven and are generally eaten with the hands. Stews such as locro, carbonada, pollo al disco, and cazuelas (casseroles) are also typical dishes characterizing this region, which also include pumpkin or potato pudding stuffed with meat. Mesopotamia The humid and verdant area of north-east Argentina known as Mesopotamia, comprising the provinces of Corrientes, Misiones and Entre Ríos is another area influenced by Native Americans, particularly by the Guaraní tribe. Abounding in rivers and shores, it offers a wide diversity of fish species, such as dorado, pacú, surubi, boga and silverside. Widely grown in this area, cassava is typically included in the region's dishes, as are other components of meals, such as the chipá (cassava and cheese bread). However, in this area Cassava is cooked alone too, boiled or fried, often as a side dish for Asado and empanadas. As well, mbeyú, chipá avatí, sopa paraguaya, sopa correntina, chipa solo or chipá con carne, el quibebé, el borí borí, chipá guasú o pastel de choclo, mbaipy, chipá mbocá o chipá caburé and some other similar meals that have as basis:manioc, corn, cheese and, sometimes, some meat.. Chipá from Cassava is often eaten during breakfast with yerba mate, prepared with hot water, or with café con leche. Sopa Paraguaya and pastel/Carta de Choclo are eaten for lunch or dinner. As regards products made with sugar, Papaya (mamón in Argentine Spanish) jam is typical of the north of this region. The principal product of this region is certainly yerba mate. Consumed countrywide, this product features a peculiarity of its own in this area: it is not only prepared with hot water but, driven by the region's high temperatures, it is common to see it prepared with cold water as well, in which case the beverage is known as tereré. Patagonia Foods produced in the large southern region of Patagonia include fish and seafood from the sea and rivers and the products of the sheep are widely farmed there. Marine species such as salmon, spider crabs, squid and other shellfish and molluscs may be caught in the Atlantic Ocean. There are trout in the rivers. The many berries grown in the area include cherries, bilberries, strawberries, rosa mosqueta and elders, which are made into jams. The Northern and Central European settlements in this region have built up large-scale production of chocolate and its by-products. Viennese and German cuisine and pastries are also typically associated with this region. Mutton and lamb, together with wild boar and venison tend to make up the region's meat-based dishes. Also typical of the southern region are smoked products, including salmon, stag, wild boar, and pheasant. Patagonia has been profoundly influenced by the tribes living there since long before Europeans arrived, in particular, the Mapuches and the Araucanos. A typical dish prepared by the latter is the curanto (a term meaning "hot stone"). Its preparation involves making a fire in a hole about 150 cm deep in the ground, and heating stones in it. A bed of nalca or maqui leaves is arranged on top of the stones, and ingredients are added in turn on top. Ingredients vary, but may include beef, lamb, pork, chicken, Argentine chorizos (pork sausages), potatoes, sweet potatoes, apples and holed squashes filled with cheese, cream and peas. The food is covered with leaves and damp pieces of cloth to keep the heat in, and covered with plenty of soil. Alcoholic beverages Though wine (vino) has traditionally been the most popular alcoholic beverage in Argentina, beer (cerveza; the Italian birra is frequently used) in recent decades has competed with wine in popularity. Breweries appeared in Argentina at the end of the 1860s, started by Alsatian colonists. The first were nearly all in the downtown of Buenos Aires (el égido de la Ciudad Autónoma de Buenos Aires), and soon Polish brewers began industrial production of beer: San Carlos in the province of Santa Fe, Río Segundo and Córdoba in the province of Córdoba, Quilmes and Llavallol on the outskirts of La Plata (in Buenos Aires Province), San Miguel de Tucumán in the province of Tucumán and on the outskirts of the cities of Mendoza and Salta. The local consumption of beer has risen dramatically in the last generation: Argentines consumed 233 million litres in 1980 and 1.57 billion in 2007 (40 litres per capita). Outpacing that of wine since 2001, the growing production and consumption of beer have supported the existence of related events, for example, beer festivals called Oktoberfests or "Fiestas de la Cerveza" in locations that have a significant German population (Villa General Belgrano in Córdoba, San Carlos and Esperanza in the province of Santa Fe, etc.). Such celebrations copy, in an Argentine manner, Munich's Oktoberfest, and similarly are tourist attractions. However, the presence of a vigorous population of Celtic lineage, principally of Irish origin, has supported the creation of other celebrations of beer, often for marketing purposes, such as Saint Patrick's Day (Día de San Patricio), patron of Ireland, which is celebrated with abundant libations. The consumption of alcoholic beverages in Argentina is similar to that of the United States and somewhat lower than the Western European average. Argentines enjoy a variety of alcoholic beverages and Argentina can boast a varied array of elaboraciones, whether industrial or artisanal. Besides beer and wine, Argentines frequently drink cider (here again, the heritage comes from Spain and Italy, more precisely from Asturias and Campania). Cider is the most popular beverage of the middle and lowers economic classes at Christmas and New Year (the upper classes proverbially preferring to celebrate with locally produced champagne, although real old-line "creole" aristocrats will still drink cider, which is much more traditional). Other widely consumed spirits are aguardiente (firewater) made from sugar cane, known as caña quemada ("burnt cane") or, simply, 'caña'''' ("cane"). A folkloric note about caña quemada: until 21 June it is traditional to drink caña quemada with ruda macho (a variant of common rue), it is supposed that this mixture prevents the flu and other illnesses. Caña competes, mainly in rural areas, with gin ("ginebra"—as in the Dutch kind of gin.) The bitter spirit Fernet, and particularly the Italian brand Fernet-Branca, is highly popular in Argentina. (A study in 2017 found that Argentines consume more than 75% of all fernet produced globally.) Fernet is most commonly enjoyed as a mixed drink with Coca-Cola. Given Fernet's qualities as a digestive aid, it is a common choice for an after-dinner digestif. There are many artisanally produced liqueurs (distilled, flavoured alcoholic beverages) in Argentina, for example, those flavoured with orange, egg, anise, coffee, cherry and, inevitably, dulce de leche. The Hesperidina is a type of liqueur made from orange peels, invented in Argentina around 1890. One may also encounter chitronchelo or (in Italian) citronella, based on lemon. This beverage arrived with immigrants from the Mezzogiorno and is produced both artisanally and industrially (for example, at Mar del Plata). Non-alcoholic specialties Argentines enjoy a wide variety of non-alcoholic infusions (although now and then both "families" are mixed; the for example, is mate mixed with caña or gin). Among these, mate has long been the most widely enjoyed; in 2006, over 700,000 metric tons were harvested in Argentina, mostly for domestic consumption. Mate is also one of the top exports from Argentina, as it is valued all over the world. The fact that mate is so prevalent in the Southern Cone, however, should not necessarily make visitors think that other infusions are rare in the region; in Argentina especially, given the strong European cultural imprint, the consumption of coffee is very common (141 cups per capita, annually). Chocolate infusions are also popular (the eating of chocolate is a Spanish influence, although the plant originated in Mesoamerica). This consumption grows during autumn and winter, or in the cold regions of the country; there are two dates where consumption of chocolate infusions is traditional in the primary educational centres: 25 May and 9 July, that is, the two national dates of Argentina. English cultural influence (reinforced at the end of the 19th century and the beginnings of the 20th by British contacts with the Far East) has also made the
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Cobb, American architect and academic, co-founded Pei Cobb Freed & Partners (d. 2020) 1926 – Shecky Greene, American comedian 1926 – Jürgen Moltmann, German theologian and academic 1927 – Tilly Armstrong, English author (d. 2010) 1927 – Ollie Mitchell, American trumpet player and bandleader (d. 2013) 1928 – Fred Ebb, American lyricist (d. 2004) 1929 – Jacques Brel, Belgian singer-songwriter and actor (d. 1978) 1929 – Renzo De Felice, Italian historian and author (d. 1996) 1930 – Carlos Hugo, Duke of Parma (d. 2010) 1931 – John Gavin, American actor and diplomat, United States Ambassador to Mexico (d. 2018) 1932 – Iskandar of Johor (d. 2010) 1933 – James Lockhart, American scholar of colonial Latin America, especially Nahua peoples (d. 2014) 1934 – Kisho Kurokawa, Japanese architect, designed the Nakagin Capsule Tower and Singapore Flyer (d. 2007) 1935 – Oscar Zeta Acosta, American lawyer and politician (d. 1974) 1935 – Albert Bustamante, American soldier, educator, and politician 1937 – Tony Barton, English footballer and manager (d. 1993) 1937 – Seymour Hersh, American journalist and author 1937 – Momo Kapor, Serbian author and painter (d. 2010) 1938 – Kofi Annan, Ghanaian economist and diplomat, 7th Secretary-General of the United Nations (d. 2018) 1938 – John Hamm, Canadian physician and politician, 25th Premier of Nova Scotia 1938 – Mary W. 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C. Kamalasabayson, Sri Lankan lawyer and politician, 39th Attorney General of Sri Lanka (d. 2007) 1949 – John Madden, English director and producer 1949 – Brenda Russell, African-American-Canadian singer-songwriter and keyboard player 1949 – John Scott, English sociologist and academic 1950 – Grzegorz Lato, Polish footballer and coach 1951 – Gerd Andres, German politician 1951 – Geir Haarde, Icelandic economist, journalist, and politician, 23rd Prime Minister of Iceland 1951 – Mel Schacher, American bass player 1951 – Joan Sebastian, Mexican singer-songwriter and actor (d. 2015) 1951 – Phil Schaap, American jazz disc jockey and historian (d. 2021) 1952 – Ahmet Piriştina, Turkish politician (d. 2004) 1954 – Gary Carter, American baseball player and coach (d. 2012) 1954 – Princess Lalla Amina of Morocco (d. 2012) 1954 – G.V. Loganathan, Indian-American engineer and academic (d. 2007) 1955 – Ricky Bell, American football player (d. 1984) 1955 – Gerrie Coetzee, South African boxer 1955 – Ron Johnson, American businessman and politician 1955 – Barbara Kingsolver, American novelist, essayist and poet 1955 – David Wu, Taiwanese-American lawyer and politician 1956 – Michael Benton, Scottish-English paleontologist and academic 1956 – Christine Boisson, French actress 1956 – Roman Dragoun, Czech singer-songwriter and keyboard player 1956 – Jim Piddock, English actor, producer, and screenwriter 1957 – Fred Smerlas, American football player and radio host 1958 – Detlef Bruckhoff, German footballer 1958 – Tom Petranoff, American javelin thrower and coach 1959 – Alain Bondue, French cyclist 1960 – John Schneider, American actor and country singer 1961 – Richard Hatch, American reality contestant 1961 – Brian McDermott, English footballer and manager 1962 – Paddy Lowe, English engineer 1962 – Izzy Stradlin, American guitarist and songwriter 1963 – Tine Asmundsen, Norwegian bassist 1963 – Julian Lennon, English singer-songwriter 1963 – Terry Porter, American basketball player and coach 1963 – Donita Sparks, American singer-songwriter and guitarist 1963 – Alec Stewart, English cricketer 1963 – Seth Tobias, American businessman (d. 2007) 1964 – Biz Markie, American rapper, producer, and actor (d. 2021) 1964 – John McGinlay, Scottish footballer and manager 1965 – Steven Blaney, Canadian businessman and politician, 5th Canadian Minister of Public Safety 1965 – Michael Jones, New Zealand rugby player and coach 1966 – Iveta Bartošová, Czech singer and actress (d. 2014) 1966 – Mark Blundell, English race car driver 1966 – Andy Currier, English rugby league player 1966 – Charlotte Dawson, New Zealand-Australian television host (d. 2014) 1966 – Dalton Grant, English high jumper 1966 – Mazinho, Brazilian footballer, coach, and manager 1966 – Harri Rovanperä, Finnish race car driver 1966 – Evripidis Stylianidis, Greek lawyer and politician, Greek Minister for the Interior 1966 – Robin Wright, American actress, director, producer 1967 – Kenny Benjamin, Antiguan cricketer 1968 – Patricia Arquette, French-Canadian Russian/Polish Jewish-American actress and director 1968 – Patricia Girard, French runner and hurdler 1968 – Tracy Grammer, American singer-songwriter and guitarist 1971 – Darren Jessee, American singer-songwriter and drummer 1972 – Paul Gray, American bass player and songwriter (d. 2010) 1972 – Sergei Magnitsky, Russian lawyer and accountant (d. 2009) 1973 – Khaled Badra, Tunisian footballer 1973 – Emma Caulfield, American actress 1974 – Toutai Kefu, Tongan-Australian rugby player 1974 – Nnedi Okorafor, Nigerian-American author and educator 1975 – Anouk, Dutch singer 1975 – Francesco Flachi, Italian footballer 1975 – Timo Pérez, Dominican-American baseball player 1975 – Funda Arar, Turkish singer 1977 – Ana de la Reguera, Mexican actress 1977 – Mehran Ghassemi, Iranian journalist and author (d. 2008) 1977 – Mark Spencer, American computer programmer and engineer 1978 – Daigo, Japanese singer-songwriter, actor, and voice actor 1978 – Bernt Haas, Austrian-Swiss footballer 1978 – Rachel Roberts, Canadian model and actress 1978 – Jocelyn Robichaud, Canadian tennis player and coach 1978 – Evans Rutto, Kenyan runner 1979 – Alexi Laiho, Finnish singer-songwriter and guitarist (d. 2020) 1979 – Amit Trivedi, Indian singer-songwriter 1980 – Manuel Ortega, Austrian singer 1980 – Katee Sackhoff, American actress 1980 – Mariko Seyama, Japanese announcer, photographer, and model 1981 – Frédérick Bousquet, French swimmer 1981 – Ofer Shechter, Israeli model, actor, and screenwriter 1982 – Gennady Golovkin, Kazakhstani boxer 1982 – Brett White, Australian rugby league player 1983 – Tatyana Petrova Arkhipova, Russian runner 1984 – Michelle Donelan, British politician 1984 – Ezra Koenig, American singer-songwriter and guitarist 1984 – Pablo Portillo, Mexican singer and actor 1984 – Taran Noah Smith, American actor 1985 – Patrick Schliwa, German rugby player 1985 – Yemane Tsegay, Ethiopian runner 1986 – Igor Akinfeev, Russian footballer 1986 – Félix Hernández, Venezuelan-American baseball player 1987 – Royston Drenthe, Dutch footballer 1987 – Jeremy Hellickson, American baseball player 1987 – Elton John, Trinidadian footballer 1987 – Sam Rapira, New Zealand rugby league player 1988 – Jenni Asserholt, Swedish ice hockey player 1988 – Kim Myung-sung, South Korean baseball player 1990 – Kim Jong-hyun, South Korean singer (d. 2017) 1993 – Viktor Arvidsson, Swedish ice hockey player 1993 – Zac Santo, Australian rugby league player 1994 – Josh Chudleigh, Australian rugby league player 1995 – Cedi Osman, Turkish professional basketball player 1997 – Kim Woo-jin, South Korean singer 1997 – Saygrace, Australian singer and songwriter 1997 – Arno Verschueren, Belgian professional football player 2002 – Skai Jackson, American actress Deaths Pre-1600 217 – Caracalla, Roman emperor (b. 188) 622 – Shōtoku, Japanese prince (b.
1320 – Peter I of Portugal (d. 1367) 1408 – Jadwiga of Lithuania, Polish princess (d. 1431) 1435 – John Clifford, 9th Baron de Clifford, English noble (d. 1461) 1533 – Claudio Merulo, Italian organist and composer (d. 1604) 1536 – Barbara of Hesse (d. 1597) 1541 – Michele Mercati, Italian physician and archaeologist (d. 1593) 1580 – William Herbert, 3rd Earl of Pembroke, English noble, courtier and patron of the arts (d. 1630) 1596 – Juan van der Hamen, Spanish artist (d. 1631) 1601–1900 1605 – Philip IV of Spain (d. 1665) 1605 – Mary Stuart, English-Scottish princess (d. 1607) 1641 – Henry Sydney, 1st Earl of Romney, English general and politician, Secretary of State for the Northern Department (d. 1704) 1692 – Giuseppe Tartini, Italian violinist and composer (d. 1770) 1726 – Lewis Morris, American judge and politician (d. 1798) 1732 – David Rittenhouse, American astronomer and mathematician (d. 1796) 1761 – William Joseph Chaminade, French priest, founded the Society of Mary (d. 1850) 1770 – John Thomas Campbell, Irish-Australian banker and politician (d. 1830) 1798 – Dionysios Solomos, Greek poet and author (d. 1857) 1818 – Christian IX of Denmark (d. 1906) 1818 – August Wilhelm von Hofmann, German chemist and academic (d. 1892) 1826 – Pancha Carrasco, Costa Rican soldier (d. 1890) 1827 – Ramón Emeterio Betances, Puerto Rican ophthalmologist, journalist, and politician (d. 1898) 1842 – Elizabeth Bacon Custer, American author and educator (d. 1933) 1859 – Edmund Husserl, German Jewish-Austrian mathematician and philosopher (d. 1938) 1864 – Carlos Deltour, French rower and rugby player (d. 1920) 1867 – Allen Butler Talcott, American painter and educator (d. 1908) 1869 – Harvey Cushing, American surgeon and academic (d. 1939) 1871 – Clarence Hudson White, American photographer and educator (d. 1925) 1874 – Manuel Díaz, Cuban fencer (d. 1929) 1874 – Stanisław Taczak, Polish general (d. 1960) 1875 – Albert I of Belgium (d. 1934) 1882 (O.S. 27 March) – Dmytro Doroshenko, Lithuanian-Ukrainian historian and politician, Minister of Foreign Affairs of Ukraine and Prime Minister of Ukraine (d. 1951) 1883 – R. P. Keigwin, English cricketer and academic (d. 1972) 1883 – Julius Seljamaa, Estonian journalist and politician, Minister of Foreign Affairs of Estonia (d. 1936) 1885 – Dimitrios Levidis, Greek-French soldier, composer, and educator (d. 1951) 1886 – Margaret Ayer Barnes, American author and playwright (d. 1967) 1888 – Dennis Chávez, American journalist and politician (d. 1962) 1889 – Adrian Boult, English conductor (d. 1983) 1892 – Richard Neutra, Austrian-American architect, designer of the Los Angeles County Hall of Records (d. 1970) 1892 – Mary Pickford, Canadian-American actress, producer, screenwriter and co-founder of United Artists (d. 1979) 1896 – Yip Harburg, American composer (d. 1981) 1900 – Marie Byles, Australian solicitor (d. 1979) 1901–present 1902 – Andrew Irvine, English mountaineer and explorer (d. 1924) 1902 – Maria Maksakova Sr., Russian soprano (d. 1974) 1904 – John Hicks, English economist and academic, Nobel Prize laureate (d. 1989) 1904 – Hirsch Jacobs, American horse trainer (d. 1970) 1905 – Joachim Büchner, German sprinter and graphic designer (d. 1978) 1905 – Helen Joseph, English-South African activist (d. 1992) 1905 – Erwin Keller, German field hockey player (d. 1971) 1906 – Raoul Jobin, Canadian tenor and educator (d. 1974) 1908 – Hugo Fregonese, Argentinian director and screenwriter (d. 1987) 1909 – John Fante, American author and screenwriter (d. 1983) 1910 – George Musso, American football player and police officer (d. 2000) 1911 – Melvin Calvin, American chemist and academic, Nobel Prize laureate (d. 1997) 1911 – Emil Cioran, Romanian-French philosopher and academic (d. 1995) 1912 – Alois Brunner, Austrian-German SS officer (d. 2001 or 2010) 1912 – Sonja Henie, Norwegian-American figure skater and actress (d. 1969) 1914 – María Félix, Yaqui/Basque-Mexican actress (d. 2002) 1915 – Ivan Supek, Croatian physicist, philosopher and writer (d. 2007) 1917 – Winifred Asprey, American mathematician and computer scientist (d. 2007) 1917 – Lloyd Bott, Australian public servant (d. 2004) 1917 – Hubertus Ernst, Dutch bishop (d. 2017) 1917 – Grigori Kuzmin, Russian-Estonian astronomer (d. 1988) 1918 – Betty Ford, American wife of Gerald Ford, 40th First Lady of the United States (d. 2011) 1918 – Glendon Swarthout, American author and academic (d. 1992) 1919 – Ian Smith, Zimbabwean lieutenant and politician, 1st Prime Minister of Rhodesia (d. 2007) 1921 – Franco Corelli, Italian tenor and actor (d. 2003) 1920 – Carmen McRae, American singer-songwriter, pianist, and actress (d. 1994) 1921 – Jan Novák, Czech composer (d. 1984) 1921 – Herman van Raalte, Dutch footballer (d. 2013) 1923 – George Fisher, American cartoonist (d. 2003) 1923 – Edward Mulhare, Irish-American actor (d. 1997) 1924 – Frédéric Back, German-Canadian animator, director, and screenwriter (d. 2013) 1924 – Anthony Farrar-Hockley, English general and historian (d. 2006) 1924 – Kumar Gandharva, Hindustani classical singer (d. 1992) 1924 – Sara Northrup Hollister, American occultist (d. 1997) 1926 – Henry N. Cobb, American architect and academic, co-founded Pei Cobb Freed & Partners (d. 2020) 1926 – Shecky Greene, American comedian 1926 – Jürgen Moltmann, German theologian and academic 1927 – Tilly Armstrong, English author (d. 2010) 1927 – Ollie Mitchell, American trumpet player and bandleader (d. 2013) 1928 – Fred Ebb, American lyricist (d. 2004) 1929 – Jacques Brel, Belgian singer-songwriter and actor (d. 1978) 1929 – Renzo De Felice, Italian historian and author (d. 1996) 1930 – Carlos Hugo, Duke of Parma (d. 2010) 1931 – John Gavin, American actor and diplomat, United States Ambassador to Mexico (d. 2018) 1932 – Iskandar of Johor (d. 2010) 1933 – James Lockhart, American scholar of colonial Latin America, especially Nahua peoples (d. 2014) 1934 – Kisho Kurokawa, Japanese architect, designed the Nakagin Capsule Tower and Singapore Flyer (d. 2007) 1935 – Oscar Zeta Acosta, American lawyer and politician (d. 1974) 1935 – Albert Bustamante, American soldier, educator, and politician 1937 – Tony Barton, English footballer and manager (d. 1993) 1937 – Seymour Hersh, American journalist and author 1937 – Momo Kapor, Serbian author and painter (d. 2010) 1938 – Kofi Annan, Ghanaian economist and diplomat, 7th Secretary-General of the United Nations (d. 2018) 1938 – John Hamm, Canadian physician and politician, 25th Premier of Nova Scotia 1938 – Mary W. Gray, American mathematician, statistician, and lawyer 1939 – John Arbuthnott, Scottish microbiologist and academic 1939 – Trina Schart Hyman, American author and illustrator (d. 2004) 1940 – John Havlicek, American basketball player (d. 2019) 1941 – Vivienne Westwood, English fashion designer 1942 – Tony Banks, Baron Stratford, Northern Irish politician, Minister for Sport and the Olympics (d. 2006) 1942 – Roger Chapman, English singer-songwriter and guitarist 1942 – Douglas Trumbull, American director, producer, and special effects artist (d. 2022) 1943 – Michael Bennett, American dancer, choreographer, and director (d. 1987) 1943 – Miller Farr, American football player 1943 – James Herbert, English author and illustrator (d. 2013) 1943 – Chris Orr, English painter and illustrator 1944 – Hywel Bennett, Welsh actor (d. 2017) 1944 – Odd Nerdrum, Swedish-Norwegian painter and illustrator 1945 – Derrick Walker, Scottish businessman 1945 – Jang Yong, South Korean actor 1946 – Catfish Hunter, American baseball player (d. 1999) 1946 – Tim Thomerson, American actor and producer 1947 – Tom DeLay, American lawyer and politician 1947 – Steve Howe, English guitarist, songwriter, and producer 1947 – Robert Kiyosaki, American businessman, co-founded Cashflow Technologies 1947 – Pascal Lamy, French businessman and politician, European Commissioner for Trade 1947 – Larry Norman, American singer-songwriter, and producer (d. 2008) 1948 – Barbara Young, Baroness Young of Old Scone, Scottish academic and politician 1949 – K. C. Kamalasabayson, Sri Lankan lawyer and politician, 39th Attorney General of Sri Lanka (d. 2007) 1949 – John Madden, English director and producer 1949 – Brenda Russell, African-American-Canadian singer-songwriter and keyboard player 1949 – John Scott, English sociologist and academic 1950 – Grzegorz Lato, Polish footballer and coach 1951 – Gerd Andres, German politician 1951 – Geir Haarde, Icelandic economist, journalist, and politician, 23rd Prime Minister of Iceland 1951 – Mel Schacher, American bass player 1951 – Joan Sebastian, Mexican singer-songwriter and actor (d. 2015) 1951 – Phil Schaap, American jazz disc jockey and historian (d. 2021) 1952 – Ahmet Piriştina, Turkish politician (d. 2004) 1954 – Gary Carter, American baseball player and coach (d. 2012) 1954 – Princess Lalla Amina of Morocco (d. 2012) 1954 – G.V. Loganathan, Indian-American engineer and academic (d. 2007) 1955 – Ricky Bell, American football player (d. 1984) 1955 – Gerrie Coetzee, South African boxer 1955 – Ron Johnson, American businessman and politician 1955 – Barbara Kingsolver, American novelist, essayist and poet 1955 – David Wu, Taiwanese-American lawyer and politician 1956 – Michael Benton, Scottish-English paleontologist and academic 1956 – Christine Boisson, French actress 1956 – Roman Dragoun, Czech singer-songwriter and keyboard player 1956 – Jim Piddock, English actor, producer, and screenwriter 1957 – Fred Smerlas, American football player and radio host 1958 – Detlef Bruckhoff, German footballer 1958 – Tom Petranoff, American javelin thrower and coach 1959 – Alain Bondue, French cyclist 1960 – John Schneider, American actor and country singer 1961 – Richard Hatch, American reality contestant 1961 – Brian McDermott, English footballer and manager 1962 – Paddy Lowe, English engineer 1962 – Izzy Stradlin, American guitarist and songwriter 1963 – Tine Asmundsen, Norwegian bassist 1963 – Julian Lennon, English singer-songwriter 1963 – Terry Porter, American basketball player and coach 1963 – Donita Sparks, American singer-songwriter and guitarist 1963 – Alec Stewart, English cricketer 1963 – Seth Tobias, American businessman (d. 2007) 1964 – Biz Markie, American rapper, producer, and actor (d. 2021) 1964 – John McGinlay, Scottish footballer and manager 1965 – Steven Blaney, Canadian businessman and politician, 5th Canadian Minister of Public Safety 1965 – Michael Jones, New Zealand rugby player and coach 1966 – Iveta Bartošová, Czech singer and actress (d. 2014) 1966 – Mark Blundell, English race car driver 1966 – Andy Currier, English rugby league player 1966 – Charlotte Dawson, New Zealand-Australian television host (d. 2014) 1966 – Dalton Grant, English high jumper 1966 – Mazinho, Brazilian footballer, coach, and manager 1966 – Harri Rovanperä,
to the criticism of a critic by implying that the critic is motivated by undisclosed favorability or affiliation to an out-group, rather than responding to the criticism itself. The fallacy implicitly alleges that the critic does not appreciate the values and customs of the criticized group or is traitorous, and thus suggests that the critic should avoid the question or topic entirely, typically by leaving the criticized group. Guilt by association Guilt by association, that is accusing an arguer because of his alleged connection with a discredited person or group, can sometimes also be a type of ad hominem fallacy when the argument attacks a source because of the similarity between the views of someone making an argument and other proponents of the argument. This form of the argument is as follows: Individual S makes claim C. Individual S is also associated with Group G, who has an unfavorable reputation Therefore, individual S and his views are questionable. Academic Leigh Kolb gives as an example that the 2008 US vice‐presidential candidate Sarah Palin attacked Barack Obama for having worked with Bill Ayers, who had been a leader in the Weather Underground terrorist group in the 1960s. Despite Obama denouncing every act of terrorism, he was still associated by his opponents with terrorism. Guilt by association is frequently found in social and political debates. It also appears after major events (such as scandals and terrorism) linked to a specific group. An example, given also by Leigh Kolb, is the peak of attacks against Muslims in the US after the September 11 attacks. Tu quoque Ad hominem tu quoque (literally: "You also") is a response to a personal attack (or ad hominem argument) that itself is a personal attack. Tu quoque appears as: A makes a claim a. B attacks the character of A by saying they hold a property x, which is bad. A defends themself by attacking B, saying they also hold the same property x. Here is an example given by philosophy professor George Wrisley to illustrate the above: A businessman and politician is giving a lecture at a University about how good his company is and how nicely the system works. A student asks him "Is it true that you and your company are selling weapons to third world rulers who use those arms against their own people?" and the businessman replies "is it true that your university gets funding by the same company that you are claiming is selling guns to those countries? You are not a white dove either". The ad hominem accusation of the student is relevant to the narrative the businessman tries to project thus not fallacious. On the other hand, the attack on the student (that is, the student being inconsistent) is irrelevant to the opening narrative. So the businessman's tu quoque response is fallacious. Canadian philosopher Christopher Tindale approaches the tu quoque fallacy somewhat differently. According to Tindale, a tu quoque fallacy appears when a response to an argument is made concerning the history of the arguer. This argument is also invalid because it does not disprove the premise. If the premise is true, then source A may be a hypocrite or even may have changed their mind, but this does not make the statement less credible from a logical perspective. A common example, given by Tindale, is when a doctor advises a patient to lose weight, but the patient argues that there is no need for him to go on a diet because the doctor is also overweight. Whataboutism Whataboutism, also known as whataboutery, is a variant of the tu quoque logical fallacy that attempts to discredit an opponent's position by charging them with hypocrisy without directly refuting or disproving their argument. Abusive ad hominem The term "ad hominem" is sometimes used to refer to abusive language which is not directly connected to an argument over a particular proposition. For example, a politician who refers to an opponent as "a crook", might be accused of arguing "ad hominem". Poisoning the well Poisoning the well (or attempting to poison the well) is a type of informal fallacy where adverse information about a target is preemptively presented to an audience with the intention of discrediting or ridiculing something that the target person is about to say. The term was first used in the sense of an ad hominem by John Henry Newman in his work Apologia Pro Vita Sua (1864). The origin of the term lies in well poisoning, an ancient wartime practice of pouring poison into sources of fresh water before an invading army, to diminish the attacked army's strength. Valid types of ad hominem arguments Argument from commitment An ad hominem argument from commitment is a type of valid argument that employs, as a dialectical strategy, the exclusive utilization of the beliefs, convictions, and assumptions of those holding the position being argued against, i.e., arguments constructed on the basis of what other people hold to be true. This usage is generally only encountered in specialist philosophical usage or in pre-20th century usages. This type of argument is also known as the ex concessis argument (Latin for "from what has been conceded already"). Ad hominem arguments, testimony and authority Ad hominem arguments are relevant where the person being criticised is advancing arguments from authority, or testimony based on personal experience, rather than proposing a formal syllogism. An example is a dialogue at the court, where the attorney cross-examines an eyewitness, bringing to light the fact that the witness was convicted in the past for lying. This might suggest the conclusion that the witness should not be trusted, which would not be a fallacy. Usage Improper usage Contrary to popular belief, merely insulting someone is not a fallacious ad hominem. A character attack is only considered a fallacious ad hominem if it is used in exchange for a genuine argument. Examples: Pure abuse: B says of an opponent A, "You are a moron". In this case, there is no argument, only abuse. Fallacious: A makes an argument, B responds with "You are a moron and you are also ugly, you cannot possibly be correct". B has not offered a genuine response or argument, only abuse – this is fallacious. Non-fallacious: A makes an argument, B responds with "(Genuine refutation of As argument), also you are a moron". While potentially childish, B has genuinely offered a response to As argument and has just bolted on an insult. This is not a fallacy, as an insult or character attack was not exchanged for an argument; rather one was provided alongside of an argument. Usage in debates Ad hominem fallacies are considered to be uncivil and do not help create a constructive atmosphere for dialogue to flourish. An ad hominem attack is an attack on the character of the target, who tends to feel the necessity to defend himself or herself from the accusation of being hypocritical.
hominem argument) that itself is a personal attack. Tu quoque appears as: A makes a claim a. B attacks the character of A by saying they hold a property x, which is bad. A defends themself by attacking B, saying they also hold the same property x. Here is an example given by philosophy professor George Wrisley to illustrate the above: A businessman and politician is giving a lecture at a University about how good his company is and how nicely the system works. A student asks him "Is it true that you and your company are selling weapons to third world rulers who use those arms against their own people?" and the businessman replies "is it true that your university gets funding by the same company that you are claiming is selling guns to those countries? You are not a white dove either". The ad hominem accusation of the student is relevant to the narrative the businessman tries to project thus not fallacious. On the other hand, the attack on the student (that is, the student being inconsistent) is irrelevant to the opening narrative. So the businessman's tu quoque response is fallacious. Canadian philosopher Christopher Tindale approaches the tu quoque fallacy somewhat differently. According to Tindale, a tu quoque fallacy appears when a response to an argument is made concerning the history of the arguer. This argument is also invalid because it does not disprove the premise. If the premise is true, then source A may be a hypocrite or even may have changed their mind, but this does not make the statement less credible from a logical perspective. A common example, given by Tindale, is when a doctor advises a patient to lose weight, but the patient argues that there is no need for him to go on a diet because the doctor is also overweight. Whataboutism Whataboutism, also known as whataboutery, is a variant of the tu quoque logical fallacy that attempts to discredit an opponent's position by charging them with hypocrisy without directly refuting or disproving their argument. Abusive ad hominem The term "ad hominem" is sometimes used to refer to abusive language which is not directly connected to an argument over a particular proposition. For example, a politician who refers to an opponent as "a crook", might be accused of arguing "ad hominem". Poisoning the well Poisoning the well (or attempting to poison the well) is a type of informal fallacy where adverse information about a target is preemptively presented to an audience with the intention of discrediting or ridiculing something that the target person is about to say. The term was first used in the sense of an ad hominem by John Henry Newman in his work Apologia Pro Vita Sua (1864). The origin of the term lies in well poisoning, an ancient wartime practice of pouring poison into sources of fresh water before an invading army, to diminish the attacked army's strength. Valid types of ad hominem arguments Argument from commitment An ad hominem argument from commitment is a type of valid argument that employs, as a dialectical strategy, the exclusive utilization of the beliefs, convictions, and assumptions of those holding the position being argued against, i.e., arguments constructed on the basis of what other people hold to be true. This usage is generally only encountered in specialist philosophical usage or in pre-20th century usages. This type of argument is also known as the ex concessis argument (Latin for "from what has been conceded already"). Ad hominem arguments, testimony and authority Ad hominem arguments are relevant where the person being criticised is advancing arguments from authority, or testimony based on personal experience, rather than proposing a formal syllogism. An example is a dialogue at the court, where the attorney cross-examines an eyewitness, bringing to light the fact that the witness was convicted in the past for lying. This might suggest the conclusion that the witness should not be trusted, which would not be a fallacy. Usage Improper usage Contrary to popular belief, merely insulting someone is not a fallacious ad hominem. A character attack is only considered a fallacious ad hominem if it is used in exchange for a genuine argument. Examples: Pure abuse: B says of an opponent A, "You are a moron". In this case, there is no argument, only abuse. Fallacious: A makes an argument, B responds with "You are a moron and you are also ugly, you cannot possibly be correct". B has not offered a genuine response or argument, only abuse – this is fallacious. Non-fallacious: A makes an argument, B responds with "(Genuine refutation of As argument), also you are a moron". While potentially childish, B has genuinely offered a response to As argument and has just bolted on an insult. This is not a fallacy, as an insult or character attack was not exchanged for an argument; rather one was provided alongside of an argument. Usage in debates Ad hominem fallacies are considered to be uncivil and do not help create a constructive atmosphere for dialogue to flourish. An ad hominem attack is an attack on the character of the target, who tends to feel the necessity to defend himself or herself from the accusation of being hypocritical. Walton has noted that it is so powerful an argument that it is employed in many political debates. Since it is associated with negativity and dirty tricks, ad hominem attacks have erroneously been assumed to always be fallacious. Eithan Orkibi describes two forms of ad hominem attacks that are common during election periods. The first is the precedent ad hominem, according to which the previous history of someone means that they are not fit for the office. For example: "My opponent was (allegedly) wrong in the past, therefore he is wrong now". The second one is a behavioral ad hominem: "My opponent was not decent in his arguments in the past, so now he is not either". These kinds of attacks are based on the inability of the audience to have a clear view of the amount of false statements by both parties of the debate. Criticism as a fallacy Walton has argued that ad hominem reasoning is not always fallacious, and that in some instances, questions of personal conduct, character, motives, etc., are
be used to measure an algorithm's run-time in practice, they cannot provide timing data for all infinitely many possible inputs; the latter can only be achieved by the theoretical methods of run-time analysis. Shortcomings of empirical metrics Since algorithms are platform-independent (i.e. a given algorithm can be implemented in an arbitrary programming language on an arbitrary computer running an arbitrary operating system), there are additional significant drawbacks to using an empirical approach to gauge the comparative performance of a given set of algorithms. Take as an example a program that looks up a specific entry in a sorted list of size n. Suppose this program were implemented on Computer A, a state-of-the-art machine, using a linear search algorithm, and on Computer B, a much slower machine, using a binary search algorithm. Benchmark testing on the two computers running their respective programs might look something like the following: Based on these metrics, it would be easy to jump to the conclusion that Computer A is running an algorithm that is far superior in efficiency to that of Computer B. However, if the size of the input-list is increased to a sufficient number, that conclusion is dramatically demonstrated to be in error: Computer A, running the linear search program, exhibits a linear growth rate. The program's run-time is directly proportional to its input size. Doubling the input size doubles the run-time, quadrupling the input size quadruples the run-time, and so forth. On the other hand, Computer B, running the binary search program, exhibits a logarithmic growth rate. Quadrupling the input size only increases the run-time by a constant amount (in this example, 50,000 ns). Even though Computer A is ostensibly a faster machine, Computer B will inevitably surpass Computer A in run-time because it's running an algorithm with a much slower growth rate. Orders of growth Informally, an algorithm can be said to exhibit a growth rate on the order of a mathematical function if beyond a certain input size , the function times a positive constant provides an upper bound or limit for the run-time of that algorithm. In other words, for a given input size greater than some 0 and a constant , the run-time of that algorithm will never be larger than . This concept is frequently expressed using Big O notation. For example, since the run-time of insertion sort grows quadratically as its input size increases, insertion sort can be said to be of order . Big O notation is a convenient way to express the worst-case scenario for a given algorithm, although it can also be used to express the average-case — for example, the worst-case scenario for quicksort is , but the average-case run-time is . Empirical orders of growth Assuming the run-time follows power rule, , the coefficient can be found by taking empirical measurements of run-time } at some problem-size points }, and calculating so that . In other words, this measures the slope of the empirical line on the log–log plot of run-time vs. input size, at some size point. If the order of growth indeed follows the power rule (and so the line on log–log plot is indeed a straight line), the empirical value of will stay constant at different ranges, and if not, it will change (and the line is a curved line)—but still could serve for comparison of any two given algorithms as to their empirical local orders of growth behaviour. Applied to the above table: It is clearly seen that the first algorithm exhibits a linear order of growth indeed following the power rule. The empirical values for the second one are diminishing rapidly, suggesting it follows another rule of growth and in any case has much lower local orders of growth (and improving further still), empirically, than the first one. Evaluating run-time complexity The run-time complexity for the worst-case scenario of a given algorithm can sometimes be evaluated by examining the structure of the algorithm and making some simplifying assumptions. Consider the following pseudocode: 1 get a positive integer n from input 2 if n > 10 3 print "This might take a while..." 4 for i = 1 to n 5 for j = 1 to i 6 print i * j 7 print "Done!" A given computer will take a discrete amount of time to execute each of the instructions involved with carrying out this algorithm. The specific amount of time to carry out a given instruction will vary depending on which instruction is being executed and which computer is executing it, but on a conventional computer, this amount will be deterministic. Say that the actions carried out in step 1 are considered to consume time T1, step 2 uses time T2, and so forth. In the algorithm above, steps 1, 2 and 7 will only be run once. For a worst-case evaluation, it should be assumed that step 3 will be run as well. Thus the total amount of time to run steps 1-3 and step 7 is: The loops in steps 4, 5 and 6 are trickier to evaluate. The outer loop test in step 4 will execute ( n + 1 ) times (note that an extra step is required to terminate the for loop, hence n + 1 and not n executions), which will consume T4( n + 1 ) time. The inner loop, on the other hand, is governed by the value of j, which iterates from 1 to i. On the first pass through the outer loop, j iterates from 1 to 1: The inner loop makes one pass, so running the inner loop body (step 6) consumes T6 time, and the inner loop test (step 5) consumes 2T5 time. During the next pass through the outer loop, j iterates from 1 to 2: the inner loop makes two passes, so running the inner loop body (step 6) consumes 2T6 time, and the inner loop test (step 5) consumes 3T5 time. Altogether, the total time required to run the inner loop body can be expressed as an arithmetic progression: which can be factored as The total time required to run the
size greater than some 0 and a constant , the run-time of that algorithm will never be larger than . This concept is frequently expressed using Big O notation. For example, since the run-time of insertion sort grows quadratically as its input size increases, insertion sort can be said to be of order . Big O notation is a convenient way to express the worst-case scenario for a given algorithm, although it can also be used to express the average-case — for example, the worst-case scenario for quicksort is , but the average-case run-time is . Empirical orders of growth Assuming the run-time follows power rule, , the coefficient can be found by taking empirical measurements of run-time } at some problem-size points }, and calculating so that . In other words, this measures the slope of the empirical line on the log–log plot of run-time vs. input size, at some size point. If the order of growth indeed follows the power rule (and so the line on log–log plot is indeed a straight line), the empirical value of will stay constant at different ranges, and if not, it will change (and the line is a curved line)—but still could serve for comparison of any two given algorithms as to their empirical local orders of growth behaviour. Applied to the above table: It is clearly seen that the first algorithm exhibits a linear order of growth indeed following the power rule. The empirical values for the second one are diminishing rapidly, suggesting it follows another rule of growth and in any case has much lower local orders of growth (and improving further still), empirically, than the first one. Evaluating run-time complexity The run-time complexity for the worst-case scenario of a given algorithm can sometimes be evaluated by examining the structure of the algorithm and making some simplifying assumptions. Consider the following pseudocode: 1 get a positive integer n from input 2 if n > 10 3 print "This might take a while..." 4 for i = 1 to n 5 for j = 1 to i 6 print i * j 7 print "Done!" A given computer will take a discrete amount of time to execute each of the instructions involved with carrying out this algorithm. The specific amount of time to carry out a given instruction will vary depending on which instruction is being executed and which computer is executing it, but on a conventional computer, this amount will be deterministic. Say that the actions carried out in step 1 are considered to consume time T1, step 2 uses time T2, and so forth. In the algorithm above, steps 1, 2 and 7 will only be run once. For a worst-case evaluation, it should be assumed that step 3 will be run as well. Thus the total amount of time to run steps 1-3 and step 7 is: The loops in steps 4, 5 and 6 are trickier to evaluate. The outer loop test in step 4 will execute ( n + 1 ) times (note that an extra step is required to terminate the for loop, hence n + 1 and not n executions), which will consume T4( n + 1 ) time. The inner loop, on the other hand, is governed by the value of j, which iterates from 1 to i. On the first pass through the outer loop, j iterates from 1 to 1: The inner loop makes one pass, so running the inner loop body (step 6) consumes T6 time, and the inner loop test (step 5) consumes 2T5 time. During the next pass through the outer loop, j iterates from 1 to 2: the inner loop makes two passes, so running the inner loop body (step 6) consumes 2T6 time, and the inner loop test (step 5) consumes 3T5 time. Altogether, the total time required to run the inner loop body can be expressed as an arithmetic progression: which can be factored as The total time required to run the outer loop test can be evaluated similarly: which can be factored as Therefore, the total run-time for this algorithm is: which reduces to As a rule-of-thumb, one can assume that the highest-order term in any given function dominates its rate of growth and thus defines its run-time order. In this example, n2 is the highest-order term, so one can conclude that . Formally this can be proven as follows: A more elegant approach to analyzing this algorithm would be to declare that [T1..T7] are all equal to one unit of time, in a system of units chosen so that one unit is greater than or equal to the actual times for these steps. This would mean that the algorithm's run-time breaks down as follows: Growth rate analysis of other resources The methodology of run-time analysis can also be utilized for predicting other growth rates, such as consumption of memory space. As an example, consider the following pseudocode which manages and reallocates memory usage by
witnessed by the kings who had power to grant the land. They are one of the key documentary sources for Anglo-Saxon history, but no original charters survive from earlier than 679. There are other early writers whose works can shed light on Ælle's time, though they do not mention either him or his kingdom. Gildas's description of the state of Britain in his time is useful for understanding the ebb and flow of the Anglo-Saxon incursions. Procopius, a Byzantine historian, writing not long after Gildas, adds to the meagre sources on population movement by including a chapter on England in one of his works. He records that the peoples of Britain—he names the English, the British, and the Frisians—were so numerous that they were migrating to the kingdom of the Franks in great numbers every year, although this is probably a reference to Britons emigrating to Armorica to escape the Anglo-Saxons. They subsequently gave their name to the area they settled as Brittany, or la petite Bretagne (lit., "little Britain"). Evidence from place names in Sussex The early dates given in the Anglo-Saxon Chronicle for the colonization of Sussex are supported by an analysis of the place names of the region. The strongest evidence comes from place names that end in "-ing", such as Worthing and Angmering. These are known to derive from an earlier form ending in "-ingas". "Hastings" for example, derives from "Hæstingas" which may mean "the followers or dependents of a person named Hæsta", although others suggest the heavily Romanised region may have had names of Gallo-Roman origin derived from "-ienses". From west of Selsey Bill to east of Pevensey can be found the densest concentration of these names anywhere in Britain. There are a total of about forty-five place names in Sussex of this form, but personal names either were not associated with these places or fell out of use. This does not necessarily mean that the Saxons killed or drove out almost all of the native population, despite the slaughter of the Britons reported in the Chronicle entry for 491; however, it does imply that the invasion was on a scale that left little space for the British. These lines of reasoning cannot prove the dates given in the Chronicle, much less the details surrounding Ælle himself, but they do support the idea of an early conquest and the establishment of a settled kingdom. Reign If the dates given by the Anglo-Saxon Chronicle are accurate to within half a century, then Ælle's reign lies in the middle of the Anglo-Saxon expansion, and prior to the final conquest of the Britons. It also seems consistent with the dates given to assume that Ælle's battles predate Mons Badonicus.This in turn would explain the long gap, of fifty or more years, in the succession of the "bretwaldas": if the peace gained by the Britons did indeed hold till the second half of the 6th century, it is not to be expected that an Anglo-Saxon leader should have anything resembling overlordship of England during that time. The idea of a pause in the Anglo-Saxon advance is also supported by the account in Procopius of 6th century migration from Britain to the kingdom of the Franks. Procopius's account is consistent with what is known to be a contemporary colonization of Armorica (now Brittany, in France); the settlers appear to have been at least partly from Dumnonia (modern Cornwall), and the area acquired regions known as Dumnonée and Cornouaille. It seems likely that something at that time was interrupting the general flow of the Anglo-Saxons from the continent to Britain. The dates for Ælle's battles are also reasonably consistent with what is known of events in the kingdom of the Franks at that time. Clovis I united the Franks into a single kingdom during the 480s and afterwards, and the Franks' ability to exercise power along the southern coast of the English channel may have diverted Saxon adventurers to England rather than the continent. It is possible, therefore, that a historical king named Ælle existed, who arrived from the continent in the late 5th century, and who conquered much of what is now Sussex. He may have been a prominent war chief with a leadership role in a federation of Anglo-Saxon groups fighting for territory in Britain at that time. This may be the origin of the reputation that led Bede to list him as holding overlordship over southern Britain. The battles listed in the Chronicle are compatible with a conquest of Sussex from west to east, against British resistance stiff enough to last fourteen years. His area of military control may have extended as far as Hampshire and north to the upper Thames valley, but it certainly did not extend across all of England south of the Humber, as Bede asserts. The historian Guy Halsall argues that as Ælle immediately preceded the late sixth-century King Ceawlin as Bretwalda, it is far more likely that Ælle dates to the mid sixth century, and that the Chronicle has moved his dates back a century in order to provide a foundation myth for Sussex which puts it chronologically and geographically between the origins of the kingdoms of Kent and Wessex. Death and burial Ælle's death is not recorded by the Chronicle, which gives no information about him, or his sons, or the South Saxons until 675, when the South Saxon king Æthelwalh was baptized. It has been conjectured that, as Saxon war leader,
long gap between Ælle and the second king on Bede's list, Ceawlin of Wessex, whose reign began in the late 6th century; this may indicate a period in which Anglo-Saxon dominance was interrupted in some way. Earlier sources than Bede exist which mention the South Saxons, though they do not name Ælle. The earliest reference is still quite late, however, at about 692: a charter of King Nothhelm's, which styles him "King of the South Saxons". Charters are documents which granted land to followers or to churchmen, and which would be witnessed by the kings who had power to grant the land. They are one of the key documentary sources for Anglo-Saxon history, but no original charters survive from earlier than 679. There are other early writers whose works can shed light on Ælle's time, though they do not mention either him or his kingdom. Gildas's description of the state of Britain in his time is useful for understanding the ebb and flow of the Anglo-Saxon incursions. Procopius, a Byzantine historian, writing not long after Gildas, adds to the meagre sources on population movement by including a chapter on England in one of his works. He records that the peoples of Britain—he names the English, the British, and the Frisians—were so numerous that they were migrating to the kingdom of the Franks in great numbers every year, although this is probably a reference to Britons emigrating to Armorica to escape the Anglo-Saxons. They subsequently gave their name to the area they settled as Brittany, or la petite Bretagne (lit., "little Britain"). Evidence from place names in Sussex The early dates given in the Anglo-Saxon Chronicle for the colonization of Sussex are supported by an analysis of the place names of the region. The strongest evidence comes from place names that end in "-ing", such as Worthing and Angmering. These are known to derive from an earlier form ending in "-ingas". "Hastings" for example, derives from "Hæstingas" which may mean "the followers or dependents of a person named Hæsta", although others suggest the heavily Romanised region may have had names of Gallo-Roman origin derived from "-ienses". From west of Selsey Bill to east of Pevensey can be found the densest concentration of these names anywhere in Britain. There are a total of about forty-five place names in Sussex of this form, but personal names either were not associated with these places or fell out of use. This does not necessarily mean that the Saxons killed or drove out almost all of the native population, despite the slaughter of the Britons reported in the Chronicle entry for 491; however, it does imply that the invasion was on a scale that left little space for the British. These lines of reasoning cannot prove the dates given in the Chronicle, much less the details surrounding Ælle himself, but they do support the idea of an early conquest and the establishment of a settled kingdom. Reign If the dates given by the Anglo-Saxon Chronicle are accurate to within half a century, then Ælle's reign lies in the middle of the Anglo-Saxon expansion, and prior to the final conquest of the Britons. It also seems consistent with the dates given to assume that Ælle's battles predate Mons Badonicus.This in turn would explain the long gap, of fifty or more years, in the succession of the "bretwaldas": if the peace gained by the Britons did indeed hold till the second half of the 6th century, it is not to be expected that an Anglo-Saxon leader should have anything resembling overlordship of England during that time. The idea of a pause in the Anglo-Saxon advance is also supported by the account in Procopius of 6th century migration from Britain to the kingdom of the Franks. Procopius's account is consistent with what is known to be a contemporary colonization of Armorica (now Brittany, in France); the settlers appear to have been at least partly from Dumnonia (modern Cornwall), and the area acquired regions known as Dumnonée and Cornouaille. It seems likely that something at that time was interrupting the general flow of the Anglo-Saxons from the continent to Britain. The dates for Ælle's battles are also reasonably consistent with what is known of events in the kingdom of the Franks at that time. Clovis I united the Franks into a single kingdom during the 480s and afterwards, and the Franks' ability to exercise power along the southern coast of the English channel may have diverted Saxon adventurers to England rather than the continent. It is possible, therefore, that a historical king named Ælle existed, who arrived from the continent in the late 5th century, and who conquered much of what is now Sussex. He may have been a prominent war chief with a leadership role in a federation of Anglo-Saxon groups fighting for territory in Britain at that time. This may be the origin of the reputation that led Bede to list him as holding overlordship over southern Britain. The battles listed in the Chronicle are compatible with a conquest of Sussex from west to east, against British resistance stiff enough to last fourteen years. His area of military control may have extended as far as Hampshire and north to the upper Thames valley, but it certainly did not extend across all of England south of the Humber, as Bede asserts. The historian Guy Halsall argues that as Ælle immediately preceded the late sixth-century King Ceawlin as Bretwalda, it is far more likely that Ælle dates to the mid sixth century, and that the Chronicle has moved his dates back a century in order to provide a foundation myth for Sussex which puts it chronologically and geographically between the origins of the kingdoms of Kent and Wessex. Death and burial Ælle's death is not recorded by the Chronicle, which gives no information about him, or his sons, or the South Saxons until 675, when the South Saxon king Æthelwalh was baptized. It has been conjectured that, as Saxon war leader, Ælle may have met his death in the disastrous battle of Mount Badon when the Britons halted Saxon expansion. If Ælle died within the borders of his own kingdom then it may well have been that he was buried on Highdown Hill with his weapons and ornaments in the usual mode of burial among the South Saxons. Highdown Hill is the traditional burial-place of the kings of Sussex. See also Timeline of the Anglo-Saxon invasion and takeover of Britain Notes References Primary sources Secondary sources External links 510s deaths 6th-century English monarchs 5th-century English monarchs
Atari's financial problems and the Famicom's runaway success in Japan after its July 16, 1983, release, Nintendo decided to remain independent. Financial problems continued to mount and Kassar's successor, James J. Morgan, had less than a year in which to tackle the company's problems. He began a massive restructuring of the company and worked with Warner Communications in May 1984 to create "NATCO" (an acronym for New Atari Company). NATCO further streamlined the company's facilities, personnel, and spending. Unknown to James Morgan and the senior management of Atari, Warner had been in talks with Tramel Technology to buy Atari's consumer electronics and home computer divisions. Negotiating until close to midnight on July 1, 1984, Jack Tramiel purchased the home computing and game console divisions of Atari for $50 cash and $240 million in promissory notes and stocks, giving Warner a 20% stake in Atari Corporation who then used it to create a new company under the name Atari Corporation. Warner retained the arcade division, continuing it under the name Atari Games, but sold it to Namco in 1985. Warner also sold the Ataritel division to Mitsubishi. Atari Corporation (1984–1996) Under Tramiel's ownership, Atari Corp. used the remaining stock of game console inventory to keep the company afloat while they finished development on a 16/32-bit computer system, the Atari ST. ("ST" stands for "sixteen/thirty-two", referring to the machines' 16-bit bus and 32-bit processor core.) In April 1985, they released the first update to the 8-bit computer line — the Atari 65XE, the Atari XE series. June 1985 saw the release of the Atari 130XE; Atari User Groups received early sneak-preview samples of the new Atari 520ST's, and major retailer shipments hit store shelves in September 1985 of Atari's new 32-bit Atari ST computers. In 1986, Atari launched two consoles designed under Warner — the Atari 2600jr and the Atari 7800 console (which saw limited release in 1984). Atari rebounded, earning a $25 million profit that year. In 1987, Atari acquired the Federated Group for $67.3 million, securing shelf space in over 60 stores in California, Arizona, Texas and Kansas at a time when major American electronics outlets were reluctant to carry Atari-branded computers, and two-thirds of Atari's PC production was sold in Europe. The Federated Group (not related to Federated Department Stores) was sold to Silo in 1989. In 1989, Atari released the Atari Lynx, a handheld console with color graphics, to much fanfare. A shortage of parts kept the system from being released nationwide for the 1989 Christmas season, and the Lynx lost market share to Nintendo's Game Boy, which, despite only having a black and white display, was cheaper, had better battery life and had much higher availability. Tramiel emphasized computers over game consoles but Atari's proprietary computer architecture and operating system fell victim to the success of the Wintel platform while the game market revived. In 1989, Atari Corp. sued Nintendo for $250 million, alleging it had an illegal monopoly. Atari eventually lost the case when it was rejected by a US district court in 1992. In 1993, Atari positioned its Jaguar as the only 64-bit interactive media entertainment system available, but it sold poorly. It would be the last home console to be produced by Atari and the last to be produced by an American manufacturer until Microsoft's introduction of the Xbox in 2001. By 1996, a series of successful lawsuits had left Atari with millions of dollars in the bank, but the failure of the Lynx and Jaguar left Atari without a product to sell. Tramiel and his family also wanted out of the business. The result was a rapid succession of changes in ownership. In July 1996, Atari merged with JTS Inc., a short-lived maker of hard disk drives, to form JTS Corp. Atari's role in the new company largely became that of holder for the Atari properties and minor support, and consequently the name largely disappeared from the market. Atari Games (1984–1999) After the sale of the consumer electronics and computer divisions to Jack Tramiel, Atari was renamed Atari Games Corporation Atari Games retained most of the same employees and managers from the coin-operated games division and continued many of the divisions projects from before the transition. In 1985, a controlling interest in the coin-operated games division was sold to Namco, which also took the Atari Games name. Warner renamed Atari Games to Atari Holdings, which continued as a non-operating subsidiary until 1992. Meanwhile, Namco later lost interest in operating Atari Games. In 1987, Namco sold 33% of its shares to a group of employees led by then-president Hideyuki Nakajima. He had been the president of Atari Games since 1985. Atari Ireland was a subsidiary of Atari Games that manufactured their games for the European market; while under Namco, Atari Ireland also manufactured Sega's Hang-On (1985) for the European market. Atari Games continued to manufacture arcade games and units, and starting in 1988, also sold cartridges for the Nintendo Entertainment System under the Tengen brand name, including a version of Tetris. The companies exchanged a number of lawsuits in the late 1980s
of the original to compensate for the lack of ROM space and the hardware struggled when multiple ghosts appeared on the screen creating a flickering effect. Under Warner and Atari's chairman and CEO, Raymond Kassar, the company achieved its greatest success, selling millions of 2600s and computers. At its peak, Atari accounted for a third of Warner's annual income and was the fastest-growing company in US history at the time. It ran into problems in the early 1980s, however, as interference from the New York-based Warner management increasingly affected daily operations. Its home computer, video game console, and arcade divisions operated independently and rarely cooperated. Faced with fierce competition and price wars in the game console and home computer markets, Atari was never able to duplicate the success of the 2600. These problems were followed by the video game crash of 1983, with losses that totaled more than $500 million. Warner's stock price slid from $60 to $20, and the company began searching for a buyer for its troubled division. In 1983, Ray Kassar had resigned and executives involved in the Famicom merger lost track of negotiations, eventually killing the deal. With Atari's financial problems and the Famicom's runaway success in Japan after its July 16, 1983, release, Nintendo decided to remain independent. Financial problems continued to mount and Kassar's successor, James J. Morgan, had less than a year in which to tackle the company's problems. He began a massive restructuring of the company and worked with Warner Communications in May 1984 to create "NATCO" (an acronym for New Atari Company). NATCO further streamlined the company's facilities, personnel, and spending. Unknown to James Morgan and the senior management of Atari, Warner had been in talks with Tramel Technology to buy Atari's consumer electronics and home computer divisions. Negotiating until close to midnight on July 1, 1984, Jack Tramiel purchased the home computing and game console divisions of Atari for $50 cash and $240 million in promissory notes and stocks, giving Warner a 20% stake in Atari Corporation who then used it to create a new company under the name Atari Corporation. Warner retained the arcade division, continuing it under the name Atari Games, but sold it to Namco in 1985. Warner also sold the Ataritel division to Mitsubishi. Atari Corporation (1984–1996) Under Tramiel's ownership, Atari Corp. used the remaining stock of game console inventory to keep the company afloat while they finished development on a 16/32-bit computer system, the Atari ST. ("ST" stands for "sixteen/thirty-two", referring to the machines' 16-bit bus and 32-bit processor core.) In April 1985, they released the first update to the 8-bit computer line — the Atari 65XE, the Atari XE series. June 1985 saw the release of the Atari 130XE; Atari User Groups received early sneak-preview samples of the new Atari 520ST's, and major retailer shipments hit store shelves in September 1985 of Atari's new 32-bit Atari ST computers. In 1986, Atari launched two consoles designed under Warner — the Atari 2600jr and the Atari 7800 console (which saw limited release in 1984). Atari rebounded, earning a $25 million profit that year. In 1987, Atari acquired the Federated Group for $67.3 million, securing shelf space in over 60 stores in California, Arizona, Texas and Kansas at a time when major American electronics outlets were reluctant to carry Atari-branded computers, and two-thirds of Atari's PC production was sold in Europe. The Federated Group (not related to Federated Department Stores) was sold to Silo in 1989. In 1989, Atari released the Atari Lynx, a handheld console with color graphics, to much fanfare. A shortage of parts kept the system from being released nationwide for the 1989 Christmas season, and the Lynx lost market share to Nintendo's Game Boy, which, despite only having a black and white display, was cheaper, had better battery life and had much higher availability. Tramiel emphasized computers over game consoles but Atari's proprietary computer architecture and operating system fell victim to the success of the Wintel platform while the game market revived. In 1989, Atari Corp. sued Nintendo for $250 million, alleging it had an illegal monopoly. Atari eventually lost the case when it was rejected by a US district court in 1992. In 1993, Atari positioned its Jaguar as the only 64-bit interactive media entertainment system available, but it sold poorly. It would be the last home console to be produced by Atari and the last to be produced by an American manufacturer until Microsoft's introduction of the Xbox in 2001. By 1996, a series of successful lawsuits had left Atari with millions of dollars in the bank, but the failure of the Lynx and Jaguar left Atari without a product to sell. Tramiel and his family also wanted out of the business. The result was a rapid succession of changes in ownership. In July 1996, Atari merged with JTS Inc., a short-lived maker of hard disk drives, to form JTS Corp. Atari's role in the new company largely became that of holder for the Atari properties and minor support, and consequently the name largely disappeared from the market. Atari Games (1984–1999) After the sale of the consumer electronics and computer divisions to Jack Tramiel, Atari was renamed Atari Games Corporation Atari Games retained most of the same employees and managers from the coin-operated games division and continued many of the divisions projects from before the transition. In 1985, a controlling interest in the coin-operated games division was sold to Namco, which also took the Atari Games name. Warner renamed Atari Games to Atari Holdings, which continued as a non-operating subsidiary until 1992. Meanwhile, Namco later lost interest in operating Atari Games. In 1987, Namco sold 33% of its shares to a group of employees led by then-president Hideyuki Nakajima. He had been the president of Atari Games since 1985. Atari Ireland was a subsidiary of Atari Games that manufactured their games for the European market; while under Namco, Atari Ireland also manufactured Sega's Hang-On (1985) for the European market. Atari Games continued to manufacture arcade games and units, and starting in 1988, also sold cartridges for the Nintendo Entertainment System under the Tengen brand name, including a version of Tetris. The companies exchanged a number of lawsuits in the late 1980s related to disputes over the rights to Tetris and Tengen's circumvention of Nintendo's lockout chip, which prevented third parties from creating unauthorized games. The suit finally reached a settlement in 1994, with Atari Games paying Nintendo cash damages and use of several patent licenses. In April 1996, after an unsuccessful bid by Atari co-founder Nolan Bushnell, the company was sold to WMS Industries, owners of the Williams, Bally and Midway arcade brands, which restored the use of the Atari Games name. On November 19, 1999, Atari Games Corporation was renamed Midway Games West Inc., resulting in the Atari Games name no longer being used. Hasbro Interactive (1998–2000) On March 13, 1998, JTS sold the Atari name and assets to Hasbro Interactive for $5 million, less than a fifth of what Warner Communications had paid 22