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to reflect their distinct brand identities
question: Why did The Sunday Times and The Times launch separate websites in 2010?, context: The Sunday Times has its own website. It previously shared an online presence with The Times, but in May 2010 they both launched their own sites to reflect their distinct brand identities. Since July 2010, the sites have charged for access.
Why did The Sunday Times and The Times launch separate websites in 2010?
It previously shared an online presence with The Times, but in May 2010 they both launched their own sites to reflect their distinct brand identities .
The Sunday Times has its own website. It previously shared an online presence with The Times, but in May 2010 they both launched their own sites to reflect their distinct brand identities. Since July 2010, the sites have charged for access.
It previously shared an online presence with The Times, but in May 2010 they both launched their own sites <hl> to reflect their distinct brand identities <hl> .
The Sunday Times has its own website. It previously shared an online presence with The Times, but in May 2010 they both launched their own sites <hl> to reflect their distinct brand identities <hl>. Since July 2010, the sites have charged for access.
The Sunday Times has its own website. <hl> It previously shared an online presence with The Times, but in May 2010 they both launched their own sites to reflect their distinct brand identities . <hl> Since July 2010, the sites have charged for access.
5d6733952b22cd4dfcfbf266
1853
question: In what year did gold extraction turn to more difficult locations?, context: By 1853, most of the easily accessible gold had been collected, and attention turned to extracting gold from more difficult locations. Hydraulic mining was used on ancient gold-bearing gravel beds on hillsides and bluffs in the gold fields.:89 In hydraulic mining, a high-pressure hose directed a powerful stream or jet of water at gold-bearing gravel beds. By the mid-1880s, it is estimated that 11 million ounces (340 t) of gold (worth approximately US$15 billion at December 2010 prices) had been recovered by "hydraulicking". A byproduct of these extraction methods was that large amounts of gravel, silt, heavy metals, and other pollutants went into streams and rivers.:32–36 As of 1999[update], many areas still bear the scars of hydraulic mining, since the resulting exposed earth and downstream gravel deposits do not support plant life.:116–121
In what year did gold extraction turn to more difficult locations?
By 1853 , most of the easily accessible gold had been collected, and attention turned to extracting gold from more difficult locations.
By 1853, most of the easily accessible gold had been collected, and attention turned to extracting gold from more difficult locations. Hydraulic mining was used on ancient gold-bearing gravel beds on hillsides and bluffs in the gold fields.:89 In hydraulic mining, a high-pressure hose directed a powerful stream or jet of water at gold-bearing gravel beds. By the mid-1880s, it is estimated that 11 million ounces (340 t) of gold (worth approximately US$15 billion at December 2010 prices) had been recovered by "hydraulicking". A byproduct of these extraction methods was that large amounts of gravel, silt, heavy metals, and other pollutants went into streams and rivers.:32–36 As of 1999[update], many areas still bear the scars of hydraulic mining, since the resulting exposed earth and downstream gravel deposits do not support plant life.:116–121
By <hl> 1853 <hl> , most of the easily accessible gold had been collected, and attention turned to extracting gold from more difficult locations.
By <hl> 1853 <hl>, most of the easily accessible gold had been collected, and attention turned to extracting gold from more difficult locations. Hydraulic mining was used on ancient gold-bearing gravel beds on hillsides and bluffs in the gold fields.:89 In hydraulic mining, a high-pressure hose directed a powerful stream or jet of water at gold-bearing gravel beds. By the mid-1880s, it is estimated that 11 million ounces (340 t) of gold (worth approximately US$15 billion at December 2010 prices) had been recovered by "hydraulicking". A byproduct of these extraction methods was that large amounts of gravel, silt, heavy metals, and other pollutants went into streams and rivers.:32–36 As of 1999[update], many areas still bear the scars of hydraulic mining, since the resulting exposed earth and downstream gravel deposits do not support plant life.:116–121
<hl> By 1853 , most of the easily accessible gold had been collected, and attention turned to extracting gold from more difficult locations. <hl> Hydraulic mining was used on ancient gold-bearing gravel beds on hillsides and bluffs in the gold fields.:89 In hydraulic mining, a high-pressure hose directed a powerful stream or jet of water at gold-bearing gravel beds. By the mid-1880s, it is estimated that 11 million ounces (340 t) of gold (worth approximately US$15 billion at December 2010 prices) had been recovered by "hydraulicking". A byproduct of these extraction methods was that large amounts of gravel, silt, heavy metals, and other pollutants went into streams and rivers.:32–36 As of 1999[update], many areas still bear the scars of hydraulic mining, since the resulting exposed earth and downstream gravel deposits do not support plant life.:116–121
5d6773722b22cd4dfcfbfc3e
morning star
question: What did Morgenstern mean?, context: Ornamental names used as surnames are more common in communities which adopted (or were forced to adopt) surnames in the 18th and 19th centuries. They occur commonly among Jewish families and in Scandinavia. Examples include "Morgenstern" ("morning star"), "Safire" ("sapphire"), and "Reis" ("branch"). In some cases, such as Chinese Indonesians and Chinese Thais, certain ethnic groups are subject to political pressure to change their surnames, in which case surnames can lose their family-name meaning. For instance, Indonesian business tycoon Liem Swie Liong (林绍良) "indonesianised" his name to Sudono Salim. In this case "Liem" (林) was rendered by "Salim", a name of Arabic origin, while "Sudono", a Javanese name with the honorific prefix "su-" (of Sanskrit origin), was supposed[by whom?] to be a rendering of "Swie Liong". During the era of the Trans-Atlantic slave trade (of Africans) many Africans lost their native names and were forced[by whom?] to take the surnames of their slave masters and any given name the slave master desired.
What did Morgenstern mean?
Examples include "Morgenstern" (" morning star "), "Safire" ("sapphire"), and "Reis" ("branch").
Ornamental names used as surnames are more common in communities which adopted (or were forced to adopt) surnames in the 18th and 19th centuries. They occur commonly among Jewish families and in Scandinavia. Examples include "Morgenstern" ("morning star"), "Safire" ("sapphire"), and "Reis" ("branch"). In some cases, such as Chinese Indonesians and Chinese Thais, certain ethnic groups are subject to political pressure to change their surnames, in which case surnames can lose their family-name meaning. For instance, Indonesian business tycoon Liem Swie Liong (林绍良) "indonesianised" his name to Sudono Salim. In this case "Liem" (林) was rendered by "Salim", a name of Arabic origin, while "Sudono", a Javanese name with the honorific prefix "su-" (of Sanskrit origin), was supposed[by whom?] to be a rendering of "Swie Liong". During the era of the Trans-Atlantic slave trade (of Africans) many Africans lost their native names and were forced[by whom?] to take the surnames of their slave masters and any given name the slave master desired.
Examples include "Morgenstern" (" <hl> morning star <hl> "), "Safire" ("sapphire"), and "Reis" ("branch").
Ornamental names used as surnames are more common in communities which adopted (or were forced to adopt) surnames in the 18th and 19th centuries. They occur commonly among Jewish families and in Scandinavia. Examples include "Morgenstern" ("<hl> morning star <hl>"), "Safire" ("sapphire"), and "Reis" ("branch"). In some cases, such as Chinese Indonesians and Chinese Thais, certain ethnic groups are subject to political pressure to change their surnames, in which case surnames can lose their family-name meaning. For instance, Indonesian business tycoon Liem Swie Liong (林绍良) "indonesianised" his name to Sudono Salim. In this case "Liem" (林) was rendered by "Salim", a name of Arabic origin, while "Sudono", a Javanese name with the honorific prefix "su-" (of Sanskrit origin), was supposed[by whom?] to be a rendering of "Swie Liong". During the era of the Trans-Atlantic slave trade (of Africans) many Africans lost their native names and were forced[by whom?] to take the surnames of their slave masters and any given name the slave master desired.
Ornamental names used as surnames are more common in communities which adopted (or were forced to adopt) surnames in the 18th and 19th centuries. They occur commonly among Jewish families and in Scandinavia. <hl> Examples include "Morgenstern" (" morning star "), "Safire" ("sapphire"), and "Reis" ("branch"). <hl> In some cases, such as Chinese Indonesians and Chinese Thais, certain ethnic groups are subject to political pressure to change their surnames, in which case surnames can lose their family-name meaning. For instance, Indonesian business tycoon Liem Swie Liong (林绍良) "indonesianised" his name to Sudono Salim. In this case "Liem" (林) was rendered by "Salim", a name of Arabic origin, while "Sudono", a Javanese name with the honorific prefix "su-" (of Sanskrit origin), was supposed[by whom?] to be a rendering of "Swie Liong". During the era of the Trans-Atlantic slave trade (of Africans) many Africans lost their native names and were forced[by whom?] to take the surnames of their slave masters and any given name the slave master desired.
5d66efdb2b22cd4dfcfbe622
frictional unemployment
question: What is the term for the slight changes caused by people changing places of work and new people just beginning their job search?, context: During the 1940s, the U.S Department of Labor, specifically the Bureau of Labor Statistics (BLS), began collecting employment information via monthly household surveys. Other data series are available back to 1912. The unemployment rate has varied from as low as 1% during World War I to as high as 25% during the Great Depression. More recently, it reached peaks of 10.8% in November 1982 and 10.0% in October 2009. Unemployment tends to rise during recessions and fall during expansions. From 1948-2015, unemployment averaged about 5.8%. There is always some unemployment, with persons changing jobs and new entrants to the labor force searching for jobs. This is referred to as frictional unemployment. For this reason, the Federal Reserve targets the natural rate of unemployment or NAIRU, which was around 5% in 2015. A rate of unemployment below this level would be consistent with rising inflation in theory, as a shortage of workers would bid wages (and thus prices) upward.
What is the term for the slight changes caused by people changing places of work and new people just beginning their job search?
This is referred to as frictional unemployment .
During the 1940s, the U.S Department of Labor, specifically the Bureau of Labor Statistics (BLS), began collecting employment information via monthly household surveys. Other data series are available back to 1912. The unemployment rate has varied from as low as 1% during World War I to as high as 25% during the Great Depression. More recently, it reached peaks of 10.8% in November 1982 and 10.0% in October 2009. Unemployment tends to rise during recessions and fall during expansions. From 1948-2015, unemployment averaged about 5.8%. There is always some unemployment, with persons changing jobs and new entrants to the labor force searching for jobs. This is referred to as frictional unemployment. For this reason, the Federal Reserve targets the natural rate of unemployment or NAIRU, which was around 5% in 2015. A rate of unemployment below this level would be consistent with rising inflation in theory, as a shortage of workers would bid wages (and thus prices) upward.
This is referred to as <hl> frictional unemployment <hl> .
During the 1940s, the U.S Department of Labor, specifically the Bureau of Labor Statistics (BLS), began collecting employment information via monthly household surveys. Other data series are available back to 1912. The unemployment rate has varied from as low as 1% during World War I to as high as 25% during the Great Depression. More recently, it reached peaks of 10.8% in November 1982 and 10.0% in October 2009. Unemployment tends to rise during recessions and fall during expansions. From 1948-2015, unemployment averaged about 5.8%. There is always some unemployment, with persons changing jobs and new entrants to the labor force searching for jobs. This is referred to as <hl> frictional unemployment <hl>. For this reason, the Federal Reserve targets the natural rate of unemployment or NAIRU, which was around 5% in 2015. A rate of unemployment below this level would be consistent with rising inflation in theory, as a shortage of workers would bid wages (and thus prices) upward.
During the 1940s, the U.S Department of Labor, specifically the Bureau of Labor Statistics (BLS), began collecting employment information via monthly household surveys. Other data series are available back to 1912. The unemployment rate has varied from as low as 1% during World War I to as high as 25% during the Great Depression. More recently, it reached peaks of 10.8% in November 1982 and 10.0% in October 2009. Unemployment tends to rise during recessions and fall during expansions. From 1948-2015, unemployment averaged about 5.8%. There is always some unemployment, with persons changing jobs and new entrants to the labor force searching for jobs. <hl> This is referred to as frictional unemployment . <hl> For this reason, the Federal Reserve targets the natural rate of unemployment or NAIRU, which was around 5% in 2015. A rate of unemployment below this level would be consistent with rising inflation in theory, as a shortage of workers would bid wages (and thus prices) upward.
5d670a0a2b22cd4dfcfbeba2
March 1917
question: When did Tsar Nicholas II abdicated his throne?, context: In March 1917, Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
When did Tsar Nicholas II abdicated his throne?
In March 1917 , Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later.
In March 1917, Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
In <hl> March 1917 <hl> , Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later.
In <hl> March 1917 <hl>, Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
<hl> In March 1917 , Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. <hl> This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
5d6815ea2b22cd4dfcfc058e
Bronze Age
question: The manifestation of Neolithic complex began which age?, context: These developments provided the basis for densely populated settlements, specialization and division of labour, trading economies, the development of non-portable art and architecture, centralized administrations and political structures, hierarchical ideologies, depersonalized systems of knowledge (e.g., writing), and property ownership[citation needed]. Personal land and private property ownership led to hierarchical society, class struggle and armies[citation needed]. The first fully developed manifestation of the entire Neolithic complex is seen in the Middle Eastern Sumerian cities (c. 5,500 BP), whose emergence also heralded the beginning of the Bronze Age.
The manifestation of Neolithic complex began which age?
The first fully developed manifestation of the entire Neolithic complex is seen in the Middle Eastern Sumerian cities (c. 5,500 BP), whose emergence also heralded the beginning of the Bronze Age .
These developments provided the basis for densely populated settlements, specialization and division of labour, trading economies, the development of non-portable art and architecture, centralized administrations and political structures, hierarchical ideologies, depersonalized systems of knowledge (e.g., writing), and property ownership[citation needed]. Personal land and private property ownership led to hierarchical society, class struggle and armies[citation needed]. The first fully developed manifestation of the entire Neolithic complex is seen in the Middle Eastern Sumerian cities (c. 5,500 BP), whose emergence also heralded the beginning of the Bronze Age.
The first fully developed manifestation of the entire Neolithic complex is seen in the Middle Eastern Sumerian cities (c. 5,500 BP), whose emergence also heralded the beginning of the <hl> Bronze Age <hl> .
These developments provided the basis for densely populated settlements, specialization and division of labour, trading economies, the development of non-portable art and architecture, centralized administrations and political structures, hierarchical ideologies, depersonalized systems of knowledge (e.g., writing), and property ownership[citation needed]. Personal land and private property ownership led to hierarchical society, class struggle and armies[citation needed]. The first fully developed manifestation of the entire Neolithic complex is seen in the Middle Eastern Sumerian cities (c. 5,500 BP), whose emergence also heralded the beginning of the <hl> Bronze Age <hl>.
These developments provided the basis for densely populated settlements, specialization and division of labour, trading economies, the development of non-portable art and architecture, centralized administrations and political structures, hierarchical ideologies, depersonalized systems of knowledge (e.g., writing), and property ownership[citation needed]. Personal land and private property ownership led to hierarchical society, class struggle and armies[citation needed]. <hl> The first fully developed manifestation of the entire Neolithic complex is seen in the Middle Eastern Sumerian cities (c. 5,500 BP), whose emergence also heralded the beginning of the Bronze Age . <hl>
5d673aea2b22cd4dfcfbf338
at ordered pair (0, 0)
question: What is the spot an ordered pair points out called?, context: A Cartesian coordinate system is a coordinate system that specifies each point uniquely in a plane by a pair of numerical coordinates, which are the signed distances to the point from two fixed perpendicular directed lines, measured in the same unit of length. Each reference line is called a coordinate axis or just axis of the system, and the point where they meet is its origin, usually at ordered pair (0, 0). The coordinates can also be defined as the positions of the perpendicular projections of the point onto the two axes, expressed as signed distances from the origin.
What is the spot an ordered pair points out called?
Each reference line is called a coordinate axis or just axis of the system, and the point where they meet is its origin, usually at ordered pair (0, 0) .
A Cartesian coordinate system is a coordinate system that specifies each point uniquely in a plane by a pair of numerical coordinates, which are the signed distances to the point from two fixed perpendicular directed lines, measured in the same unit of length. Each reference line is called a coordinate axis or just axis of the system, and the point where they meet is its origin, usually at ordered pair (0, 0). The coordinates can also be defined as the positions of the perpendicular projections of the point onto the two axes, expressed as signed distances from the origin.
Each reference line is called a coordinate axis or just axis of the system, and the point where they meet is its origin, usually <hl> at ordered pair (0, 0) <hl> .
A Cartesian coordinate system is a coordinate system that specifies each point uniquely in a plane by a pair of numerical coordinates, which are the signed distances to the point from two fixed perpendicular directed lines, measured in the same unit of length. Each reference line is called a coordinate axis or just axis of the system, and the point where they meet is its origin, usually <hl> at ordered pair (0, 0) <hl>. The coordinates can also be defined as the positions of the perpendicular projections of the point onto the two axes, expressed as signed distances from the origin.
A Cartesian coordinate system is a coordinate system that specifies each point uniquely in a plane by a pair of numerical coordinates, which are the signed distances to the point from two fixed perpendicular directed lines, measured in the same unit of length. <hl> Each reference line is called a coordinate axis or just axis of the system, and the point where they meet is its origin, usually at ordered pair (0, 0) . <hl> The coordinates can also be defined as the positions of the perpendicular projections of the point onto the two axes, expressed as signed distances from the origin.
5d660c702b22cd4dfcfbd6f6
During the 1990s
question: In what decade did homeless shelters start popping up?, context: The McKinney-Vento Act paved the way for service providers in the coming years. During the 1990s homeless shelters, soup kitchens, and other supportive services sprouted up in cities and towns across the nation. However, despite these efforts and the dramatic economic growth marked by this decade, homeless numbers remained stubbornly high. It became increasingly apparent that simply providing services to alleviate the symptoms of homelessness (i.e. shelter beds, hot meals, psychiatric counseling, etc.), although needed, were not successful at solving the root causes of homelessness.
In what decade did homeless shelters start popping up?
During the 1990s homeless shelters, soup kitchens, and other supportive services sprouted up in cities and towns across the nation.
The McKinney-Vento Act paved the way for service providers in the coming years. During the 1990s homeless shelters, soup kitchens, and other supportive services sprouted up in cities and towns across the nation. However, despite these efforts and the dramatic economic growth marked by this decade, homeless numbers remained stubbornly high. It became increasingly apparent that simply providing services to alleviate the symptoms of homelessness (i.e. shelter beds, hot meals, psychiatric counseling, etc.), although needed, were not successful at solving the root causes of homelessness.
<hl> During the 1990s <hl> homeless shelters, soup kitchens, and other supportive services sprouted up in cities and towns across the nation.
The McKinney-Vento Act paved the way for service providers in the coming years. <hl> During the 1990s <hl> homeless shelters, soup kitchens, and other supportive services sprouted up in cities and towns across the nation. However, despite these efforts and the dramatic economic growth marked by this decade, homeless numbers remained stubbornly high. It became increasingly apparent that simply providing services to alleviate the symptoms of homelessness (i.e. shelter beds, hot meals, psychiatric counseling, etc.), although needed, were not successful at solving the root causes of homelessness.
The McKinney-Vento Act paved the way for service providers in the coming years. <hl> During the 1990s homeless shelters, soup kitchens, and other supportive services sprouted up in cities and towns across the nation. <hl> However, despite these efforts and the dramatic economic growth marked by this decade, homeless numbers remained stubbornly high. It became increasingly apparent that simply providing services to alleviate the symptoms of homelessness (i.e. shelter beds, hot meals, psychiatric counseling, etc.), although needed, were not successful at solving the root causes of homelessness.
5d6604552b22cd4dfcfbd5a7
13
question: How many colonies started preparing war against the British?, context: The Parliament attempted a series of taxes and punishments which met more and more resistance: First Quartering Act (1765); Declaratory Act (1766); Townshend Revenue Act (1767); and Tea Act (1773). In response to the Boston Tea Party Parliament passed the Intolerable Acts: Second Quartering Act (1774); Quebec Act (1774); Massachusetts Government Act (1774); Administration of Justice Act (1774); Boston Port Act (1774); Prohibitory Act (1775). By this point the 13 colonies had organized themselves into the Continental Congress and began setting up shadow governments and drilling their militia in preparation for war.
How many colonies started preparing war against the British?
By this point the 13 colonies had organized themselves into the Continental Congress and began setting up shadow governments and drilling their militia in preparation for war.
The Parliament attempted a series of taxes and punishments which met more and more resistance: First Quartering Act (1765); Declaratory Act (1766); Townshend Revenue Act (1767); and Tea Act (1773). In response to the Boston Tea Party Parliament passed the Intolerable Acts: Second Quartering Act (1774); Quebec Act (1774); Massachusetts Government Act (1774); Administration of Justice Act (1774); Boston Port Act (1774); Prohibitory Act (1775). By this point the 13 colonies had organized themselves into the Continental Congress and began setting up shadow governments and drilling their militia in preparation for war.
By this point the <hl> 13 <hl> colonies had organized themselves into the Continental Congress and began setting up shadow governments and drilling their militia in preparation for war.
The Parliament attempted a series of taxes and punishments which met more and more resistance: First Quartering Act (1765); Declaratory Act (1766); Townshend Revenue Act (1767); and Tea Act (1773). In response to the Boston Tea Party Parliament passed the Intolerable Acts: Second Quartering Act (1774); Quebec Act (1774); Massachusetts Government Act (1774); Administration of Justice Act (1774); Boston Port Act (1774); Prohibitory Act (1775). By this point the <hl> 13 <hl> colonies had organized themselves into the Continental Congress and began setting up shadow governments and drilling their militia in preparation for war.
The Parliament attempted a series of taxes and punishments which met more and more resistance: First Quartering Act (1765); Declaratory Act (1766); Townshend Revenue Act (1767); and Tea Act (1773). In response to the Boston Tea Party Parliament passed the Intolerable Acts: Second Quartering Act (1774); Quebec Act (1774); Massachusetts Government Act (1774); Administration of Justice Act (1774); Boston Port Act (1774); Prohibitory Act (1775). <hl> By this point the 13 colonies had organized themselves into the Continental Congress and began setting up shadow governments and drilling their militia in preparation for war. <hl>
5d67715e2b22cd4dfcfbfbe3
40 to 70 m
question: Most of the salt in the Baltic Sea is how many meters below sea level?, context: The Baltic Sea flows out through the Danish straits; however, the flow is complex. A surface layer of brackish water discharges 940 km3 (230 cu mi) per year into the North Sea. Due to the difference in salinity, by salinity permeation principle, a sub-surface layer of more saline water moving in the opposite direction brings in 475 km3 (114 cu mi) per year. It mixes very slowly with the upper waters, resulting in a salinity gradient from top to bottom, with most of the salt water remaining below 40 to 70 m (130 to 230 ft) deep. The general circulation is anti-clockwise: northwards along its eastern boundary, and south along the western one .
Most of the salt in the Baltic Sea is how many meters below sea level?
It mixes very slowly with the upper waters, resulting in a salinity gradient from top to bottom, with most of the salt water remaining below 40 to 70 m (130 to 230 ft) deep.
The Baltic Sea flows out through the Danish straits; however, the flow is complex. A surface layer of brackish water discharges 940 km3 (230 cu mi) per year into the North Sea. Due to the difference in salinity, by salinity permeation principle, a sub-surface layer of more saline water moving in the opposite direction brings in 475 km3 (114 cu mi) per year. It mixes very slowly with the upper waters, resulting in a salinity gradient from top to bottom, with most of the salt water remaining below 40 to 70 m (130 to 230 ft) deep. The general circulation is anti-clockwise: northwards along its eastern boundary, and south along the western one .
It mixes very slowly with the upper waters, resulting in a salinity gradient from top to bottom, with most of the salt water remaining below <hl> 40 to 70 m <hl> (130 to 230 ft) deep.
The Baltic Sea flows out through the Danish straits; however, the flow is complex. A surface layer of brackish water discharges 940 km3 (230 cu mi) per year into the North Sea. Due to the difference in salinity, by salinity permeation principle, a sub-surface layer of more saline water moving in the opposite direction brings in 475 km3 (114 cu mi) per year. It mixes very slowly with the upper waters, resulting in a salinity gradient from top to bottom, with most of the salt water remaining below <hl> 40 to 70 m <hl> (130 to 230 ft) deep. The general circulation is anti-clockwise: northwards along its eastern boundary, and south along the western one .
The Baltic Sea flows out through the Danish straits; however, the flow is complex. A surface layer of brackish water discharges 940 km3 (230 cu mi) per year into the North Sea. Due to the difference in salinity, by salinity permeation principle, a sub-surface layer of more saline water moving in the opposite direction brings in 475 km3 (114 cu mi) per year. <hl> It mixes very slowly with the upper waters, resulting in a salinity gradient from top to bottom, with most of the salt water remaining below 40 to 70 m (130 to 230 ft) deep. <hl> The general circulation is anti-clockwise: northwards along its eastern boundary, and south along the western one .
5d6619032b22cd4dfcfbd880
Alvin Toffler published Future Shock (1970) and The Third Wave (1980)
question: What books did Alvin Toffler publish in 1970 and 1980?, context: Leopold Kohr, author of the 1957 book The Breakdown of Nations—known for its statement “Whenever something is wrong, something is too big”—was a major influence on E.F. Schumacher, author of the 1973 bestseller Small is Beautiful:Economics As If People Mattered . In the next few years a number of best-selling books promoted decentralization. Daniel Bell's The Coming of Post-Industrial Society discussed the need for decentralization and a “comprehensive overhaul of government structure to find the appropriate size and scope of units”, as well as the need to detach functions from current state boundaries, creating regions based on functions like water, transport, education and economics which might have “different ‘overlays’ on the map.” Alvin Toffler published Future Shock (1970) and The Third Wave (1980). Discussing the books in a later interview, Toffler said that industrial-style, centralized, top-down bureaucratic planning would be replaced by a more open, democratic, decentralized style which he called “anticipatory democracy.” Futurist John Naisbitt's 1982 book “Megatrends” was on The New York Times Best Seller list for more than two years and sold 14 million copies. Naisbitt’s book outlines 10 “megatrends”, the fifth of which is from centralization to decentralization. In 1996 David Osborne and Ted Gaebler had a best selling book Reinventing Government proposing decentralist public administration theories which became labeled the "New Public Management".
What books did Alvin Toffler publish in 1970 and 1980?
Daniel Bell's The Coming of Post-Industrial Society discussed the need for decentralization and a “comprehensive overhaul of government structure to find the appropriate size and scope of units”, as well as the need to detach functions from current state boundaries, creating regions based on functions like water, transport, education and economics which might have “different ‘overlays’ on the map.” Alvin Toffler published Future Shock (1970) and The Third Wave (1980) .
Leopold Kohr, author of the 1957 book The Breakdown of Nations—known for its statement “Whenever something is wrong, something is too big”—was a major influence on E.F. Schumacher, author of the 1973 bestseller Small is Beautiful:Economics As If People Mattered . In the next few years a number of best-selling books promoted decentralization. Daniel Bell's The Coming of Post-Industrial Society discussed the need for decentralization and a “comprehensive overhaul of government structure to find the appropriate size and scope of units”, as well as the need to detach functions from current state boundaries, creating regions based on functions like water, transport, education and economics which might have “different ‘overlays’ on the map.” Alvin Toffler published Future Shock (1970) and The Third Wave (1980). Discussing the books in a later interview, Toffler said that industrial-style, centralized, top-down bureaucratic planning would be replaced by a more open, democratic, decentralized style which he called “anticipatory democracy.” Futurist John Naisbitt's 1982 book “Megatrends” was on The New York Times Best Seller list for more than two years and sold 14 million copies. Naisbitt’s book outlines 10 “megatrends”, the fifth of which is from centralization to decentralization. In 1996 David Osborne and Ted Gaebler had a best selling book Reinventing Government proposing decentralist public administration theories which became labeled the "New Public Management".
Daniel Bell's The Coming of Post-Industrial Society discussed the need for decentralization and a “comprehensive overhaul of government structure to find the appropriate size and scope of units”, as well as the need to detach functions from current state boundaries, creating regions based on functions like water, transport, education and economics which might have “different ‘overlays’ on the map.” <hl> Alvin Toffler published Future Shock (1970) and The Third Wave (1980) <hl> .
Leopold Kohr, author of the 1957 book The Breakdown of Nations—known for its statement “Whenever something is wrong, something is too big”—was a major influence on E.F. Schumacher, author of the 1973 bestseller Small is Beautiful:Economics As If People Mattered . In the next few years a number of best-selling books promoted decentralization. Daniel Bell's The Coming of Post-Industrial Society discussed the need for decentralization and a “comprehensive overhaul of government structure to find the appropriate size and scope of units”, as well as the need to detach functions from current state boundaries, creating regions based on functions like water, transport, education and economics which might have “different ‘overlays’ on the map.” <hl> Alvin Toffler published Future Shock (1970) and The Third Wave (1980) <hl>. Discussing the books in a later interview, Toffler said that industrial-style, centralized, top-down bureaucratic planning would be replaced by a more open, democratic, decentralized style which he called “anticipatory democracy.” Futurist John Naisbitt's 1982 book “Megatrends” was on The New York Times Best Seller list for more than two years and sold 14 million copies. Naisbitt’s book outlines 10 “megatrends”, the fifth of which is from centralization to decentralization. In 1996 David Osborne and Ted Gaebler had a best selling book Reinventing Government proposing decentralist public administration theories which became labeled the "New Public Management".
Leopold Kohr, author of the 1957 book The Breakdown of Nations—known for its statement “Whenever something is wrong, something is too big”—was a major influence on E.F. Schumacher, author of the 1973 bestseller Small is Beautiful:Economics As If People Mattered . In the next few years a number of best-selling books promoted decentralization. <hl> Daniel Bell's The Coming of Post-Industrial Society discussed the need for decentralization and a “comprehensive overhaul of government structure to find the appropriate size and scope of units”, as well as the need to detach functions from current state boundaries, creating regions based on functions like water, transport, education and economics which might have “different ‘overlays’ on the map.” Alvin Toffler published Future Shock (1970) and The Third Wave (1980) . <hl> Discussing the books in a later interview, Toffler said that industrial-style, centralized, top-down bureaucratic planning would be replaced by a more open, democratic, decentralized style which he called “anticipatory democracy.” Futurist John Naisbitt's 1982 book “Megatrends” was on The New York Times Best Seller list for more than two years and sold 14 million copies. Naisbitt’s book outlines 10 “megatrends”, the fifth of which is from centralization to decentralization. In 1996 David Osborne and Ted Gaebler had a best selling book Reinventing Government proposing decentralist public administration theories which became labeled the "New Public Management".
5d66664f2b22cd4dfcfbdde6
Districts
question: What does the U.S. Virgin Islands call municipalities?, context: Territories, except the Minor Outlying Islands, are subdivided into municipalities. Guam uses the term Village and the U.S. Virgin Islands uses the term Districts, American Samoa uses the terms district and Unorganized atolls.
What does the U.S. Virgin Islands call municipalities?
Guam uses the term Village and the U.S. Virgin Islands uses the term Districts , American Samoa uses the terms district and Unorganized atolls.
Territories, except the Minor Outlying Islands, are subdivided into municipalities. Guam uses the term Village and the U.S. Virgin Islands uses the term Districts, American Samoa uses the terms district and Unorganized atolls.
Guam uses the term Village and the U.S. Virgin Islands uses the term <hl> Districts <hl> , American Samoa uses the terms district and Unorganized atolls.
Territories, except the Minor Outlying Islands, are subdivided into municipalities. Guam uses the term Village and the U.S. Virgin Islands uses the term <hl> Districts <hl>, American Samoa uses the terms district and Unorganized atolls.
Territories, except the Minor Outlying Islands, are subdivided into municipalities. <hl> Guam uses the term Village and the U.S. Virgin Islands uses the term Districts , American Samoa uses the terms district and Unorganized atolls. <hl>
5d6771d92b22cd4dfcfbfc01
there is a unique parse tree
question: If the definition has parentheses what does it mean for each formula?, context: The role of the parentheses in the definition is to ensure that any formula can only be obtained in one way by following the inductive definition (in other words, there is a unique parse tree for each formula). This property is known as unique readability of formulas. There are many conventions for where parentheses are used in formulas. For example, some authors use colons or full stops instead of parentheses, or change the places in which parentheses are inserted. Each author's particular definition must be accompanied by a proof of unique readability.
If the definition has parentheses what does it mean for each formula?
The role of the parentheses in the definition is to ensure that any formula can only be obtained in one way by following the inductive definition (in other words, there is a unique parse tree for each formula).
The role of the parentheses in the definition is to ensure that any formula can only be obtained in one way by following the inductive definition (in other words, there is a unique parse tree for each formula). This property is known as unique readability of formulas. There are many conventions for where parentheses are used in formulas. For example, some authors use colons or full stops instead of parentheses, or change the places in which parentheses are inserted. Each author's particular definition must be accompanied by a proof of unique readability.
The role of the parentheses in the definition is to ensure that any formula can only be obtained in one way by following the inductive definition (in other words, <hl> there is a unique parse tree <hl> for each formula).
The role of the parentheses in the definition is to ensure that any formula can only be obtained in one way by following the inductive definition (in other words, <hl> there is a unique parse tree <hl> for each formula). This property is known as unique readability of formulas. There are many conventions for where parentheses are used in formulas. For example, some authors use colons or full stops instead of parentheses, or change the places in which parentheses are inserted. Each author's particular definition must be accompanied by a proof of unique readability.
<hl> The role of the parentheses in the definition is to ensure that any formula can only be obtained in one way by following the inductive definition (in other words, there is a unique parse tree for each formula). <hl> This property is known as unique readability of formulas. There are many conventions for where parentheses are used in formulas. For example, some authors use colons or full stops instead of parentheses, or change the places in which parentheses are inserted. Each author's particular definition must be accompanied by a proof of unique readability.
5d65c6d42b22cd4dfcfbccce
listed 8th
question: Rotterdam was ranked what in The Rough Guide Top 10 Cities to visit?, context: The city of Rotterdam is known for the Erasmus University, riverside setting, lively cultural life and its maritime heritage. The near-complete destruction of Rotterdam's city centre during World War II (known as the Rotterdam Blitz) has resulted in a varied architectural landscape including sky-scrapers, which are an uncommon sight in other Dutch cities. Rotterdam is home to some world-famous architecture from renowned architects like Rem Koolhaas, Piet Blom, Ben van Berkel and others. Recently Rotterdam was listed 8th in The Rough Guide Top 10 Cities to Visit and was voted 2015 European City of the Year by the Academy of Urbanism.
Rotterdam was ranked what in The Rough Guide Top 10 Cities to visit?
Recently Rotterdam was listed 8th in The Rough Guide Top 10 Cities to Visit and was voted 2015 European City of the Year by the Academy of Urbanism.
The city of Rotterdam is known for the Erasmus University, riverside setting, lively cultural life and its maritime heritage. The near-complete destruction of Rotterdam's city centre during World War II (known as the Rotterdam Blitz) has resulted in a varied architectural landscape including sky-scrapers, which are an uncommon sight in other Dutch cities. Rotterdam is home to some world-famous architecture from renowned architects like Rem Koolhaas, Piet Blom, Ben van Berkel and others. Recently Rotterdam was listed 8th in The Rough Guide Top 10 Cities to Visit and was voted 2015 European City of the Year by the Academy of Urbanism.
Recently Rotterdam was <hl> listed 8th <hl> in The Rough Guide Top 10 Cities to Visit and was voted 2015 European City of the Year by the Academy of Urbanism.
The city of Rotterdam is known for the Erasmus University, riverside setting, lively cultural life and its maritime heritage. The near-complete destruction of Rotterdam's city centre during World War II (known as the Rotterdam Blitz) has resulted in a varied architectural landscape including sky-scrapers, which are an uncommon sight in other Dutch cities. Rotterdam is home to some world-famous architecture from renowned architects like Rem Koolhaas, Piet Blom, Ben van Berkel and others. Recently Rotterdam was <hl> listed 8th <hl> in The Rough Guide Top 10 Cities to Visit and was voted 2015 European City of the Year by the Academy of Urbanism.
The city of Rotterdam is known for the Erasmus University, riverside setting, lively cultural life and its maritime heritage. The near-complete destruction of Rotterdam's city centre during World War II (known as the Rotterdam Blitz) has resulted in a varied architectural landscape including sky-scrapers, which are an uncommon sight in other Dutch cities. Rotterdam is home to some world-famous architecture from renowned architects like Rem Koolhaas, Piet Blom, Ben van Berkel and others. <hl> Recently Rotterdam was listed 8th in The Rough Guide Top 10 Cities to Visit and was voted 2015 European City of the Year by the Academy of Urbanism. <hl>
5d66fcd92b22cd4dfcfbe93a
adding the Equal Rights Amendment to the United States Constitution
question: What failed in 1982?, context: By the early 1980s, it was largely perceived that women had met their goals and succeeded in changing social attitudes towards gender roles, repealing oppressive laws that were based on sex, integrating the "boys' clubs" such as Military academies, the United States armed forces, NASA, single-sex colleges, men's clubs, and the Supreme Court, and illegalizing gender discrimination. However, in 1982 adding the Equal Rights Amendment to the United States Constitution failed, having been ratified by only 35 states, leaving it three states short of ratification.
What failed in 1982?
However, in 1982 adding the Equal Rights Amendment to the United States Constitution failed, having been ratified by only 35 states, leaving it three states short of ratification.
By the early 1980s, it was largely perceived that women had met their goals and succeeded in changing social attitudes towards gender roles, repealing oppressive laws that were based on sex, integrating the "boys' clubs" such as Military academies, the United States armed forces, NASA, single-sex colleges, men's clubs, and the Supreme Court, and illegalizing gender discrimination. However, in 1982 adding the Equal Rights Amendment to the United States Constitution failed, having been ratified by only 35 states, leaving it three states short of ratification.
However, in 1982 <hl> adding the Equal Rights Amendment to the United States Constitution <hl> failed, having been ratified by only 35 states, leaving it three states short of ratification.
By the early 1980s, it was largely perceived that women had met their goals and succeeded in changing social attitudes towards gender roles, repealing oppressive laws that were based on sex, integrating the "boys' clubs" such as Military academies, the United States armed forces, NASA, single-sex colleges, men's clubs, and the Supreme Court, and illegalizing gender discrimination. However, in 1982 <hl> adding the Equal Rights Amendment to the United States Constitution <hl> failed, having been ratified by only 35 states, leaving it three states short of ratification.
By the early 1980s, it was largely perceived that women had met their goals and succeeded in changing social attitudes towards gender roles, repealing oppressive laws that were based on sex, integrating the "boys' clubs" such as Military academies, the United States armed forces, NASA, single-sex colleges, men's clubs, and the Supreme Court, and illegalizing gender discrimination. <hl> However, in 1982 adding the Equal Rights Amendment to the United States Constitution failed, having been ratified by only 35 states, leaving it three states short of ratification. <hl>
5d677f512b22cd4dfcfbfd81
rigidity and aesthetic limitations
question: What two adjectives describe modernistic music?, context: Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic. Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
What two adjectives describe modernistic music?
Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic. Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition.
Eclecticism and freedom of expression, in reaction to the <hl> rigidity and aesthetic limitations <hl> of modernism, are the hallmarks of the postmodern influence in musical composition.
Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic. Eclecticism and freedom of expression, in reaction to the <hl> rigidity and aesthetic limitations <hl> of modernism, are the hallmarks of the postmodern influence in musical composition.
Though representing a general return to certain notions of music-making that are often considered to be classical or romantic[citation needed], not all postmodern composers have eschewed the experimentalist or academic tenets of modernism. The works of Dutch composer Louis Andriessen, for example, exhibit experimentalist preoccupation that is decidedly anti-romantic. <hl> Eclecticism and freedom of expression, in reaction to the rigidity and aesthetic limitations of modernism, are the hallmarks of the postmodern influence in musical composition. <hl>
5d6724c12b22cd4dfcfbf090
1991
question: In what year did the Gallup poll begin to collect figures on party identification?, context: Prior to the formation of the conservative coalition, which helped realign the Democratic and Republican party ideologies in the mid-1960s, the party had historically advocated classical liberalism and progressivism. The party is a full member of the conservative International Democrat Union as well as the Asia Pacific Democrat Union. It is also an associate member of the Alliance of European Conservatives and Reformists, which has close relations to the Conservative Party of the United Kingdom. According to the most recent Gallup poll, 25% of Americans identify as Republican and 16% identify as leaning Republican. In comparison, 30% identify as Democratic and 16% identify as leaning Democratic. The Democratic Party has typically held an overall edge in party identification since Gallup began polling on the issue in 1991. In another Gallup poll, 42% of Republicans and Republican-leaning independents identified as economically and socially conservative, followed by 24% as socially and economically moderate or liberal, 20% as socially moderate or liberal and fiscally conservative, and 10% as socially conservative and fiscally moderate or liberal.
In what year did the Gallup poll begin to collect figures on party identification?
The Democratic Party has typically held an overall edge in party identification since Gallup began polling on the issue in 1991 .
Prior to the formation of the conservative coalition, which helped realign the Democratic and Republican party ideologies in the mid-1960s, the party had historically advocated classical liberalism and progressivism. The party is a full member of the conservative International Democrat Union as well as the Asia Pacific Democrat Union. It is also an associate member of the Alliance of European Conservatives and Reformists, which has close relations to the Conservative Party of the United Kingdom. According to the most recent Gallup poll, 25% of Americans identify as Republican and 16% identify as leaning Republican. In comparison, 30% identify as Democratic and 16% identify as leaning Democratic. The Democratic Party has typically held an overall edge in party identification since Gallup began polling on the issue in 1991. In another Gallup poll, 42% of Republicans and Republican-leaning independents identified as economically and socially conservative, followed by 24% as socially and economically moderate or liberal, 20% as socially moderate or liberal and fiscally conservative, and 10% as socially conservative and fiscally moderate or liberal.
The Democratic Party has typically held an overall edge in party identification since Gallup began polling on the issue in <hl> 1991 <hl> .
Prior to the formation of the conservative coalition, which helped realign the Democratic and Republican party ideologies in the mid-1960s, the party had historically advocated classical liberalism and progressivism. The party is a full member of the conservative International Democrat Union as well as the Asia Pacific Democrat Union. It is also an associate member of the Alliance of European Conservatives and Reformists, which has close relations to the Conservative Party of the United Kingdom. According to the most recent Gallup poll, 25% of Americans identify as Republican and 16% identify as leaning Republican. In comparison, 30% identify as Democratic and 16% identify as leaning Democratic. The Democratic Party has typically held an overall edge in party identification since Gallup began polling on the issue in <hl> 1991 <hl>. In another Gallup poll, 42% of Republicans and Republican-leaning independents identified as economically and socially conservative, followed by 24% as socially and economically moderate or liberal, 20% as socially moderate or liberal and fiscally conservative, and 10% as socially conservative and fiscally moderate or liberal.
Prior to the formation of the conservative coalition, which helped realign the Democratic and Republican party ideologies in the mid-1960s, the party had historically advocated classical liberalism and progressivism. The party is a full member of the conservative International Democrat Union as well as the Asia Pacific Democrat Union. It is also an associate member of the Alliance of European Conservatives and Reformists, which has close relations to the Conservative Party of the United Kingdom. According to the most recent Gallup poll, 25% of Americans identify as Republican and 16% identify as leaning Republican. In comparison, 30% identify as Democratic and 16% identify as leaning Democratic. <hl> The Democratic Party has typically held an overall edge in party identification since Gallup began polling on the issue in 1991 . <hl> In another Gallup poll, 42% of Republicans and Republican-leaning independents identified as economically and socially conservative, followed by 24% as socially and economically moderate or liberal, 20% as socially moderate or liberal and fiscally conservative, and 10% as socially conservative and fiscally moderate or liberal.
5d673dac2b22cd4dfcfbf3c0
Cartesian coordinates
question: What is the most common coordinate system in computer graphics?, context: Cartesian coordinates are the foundation of analytic geometry, and provide enlightening geometric interpretations for many other branches of mathematics, such as linear algebra, complex analysis, differential geometry, multivariate calculus, group theory and more. A familiar example is the concept of the graph of a function. Cartesian coordinates are also essential tools for most applied disciplines that deal with geometry, including astronomy, physics, engineering and many more. They are the most common coordinate system used in computer graphics, computer-aided geometric design and other geometry-related data processing.
What is the most common coordinate system in computer graphics?
Cartesian coordinates are the foundation of analytic geometry, and provide enlightening geometric interpretations for many other branches of mathematics, such as linear algebra, complex analysis, differential geometry, multivariate calculus, group theory and more.
Cartesian coordinates are the foundation of analytic geometry, and provide enlightening geometric interpretations for many other branches of mathematics, such as linear algebra, complex analysis, differential geometry, multivariate calculus, group theory and more. A familiar example is the concept of the graph of a function. Cartesian coordinates are also essential tools for most applied disciplines that deal with geometry, including astronomy, physics, engineering and many more. They are the most common coordinate system used in computer graphics, computer-aided geometric design and other geometry-related data processing.
<hl> Cartesian coordinates <hl> are the foundation of analytic geometry, and provide enlightening geometric interpretations for many other branches of mathematics, such as linear algebra, complex analysis, differential geometry, multivariate calculus, group theory and more.
<hl> Cartesian coordinates <hl> are the foundation of analytic geometry, and provide enlightening geometric interpretations for many other branches of mathematics, such as linear algebra, complex analysis, differential geometry, multivariate calculus, group theory and more. A familiar example is the concept of the graph of a function. Cartesian coordinates are also essential tools for most applied disciplines that deal with geometry, including astronomy, physics, engineering and many more. They are the most common coordinate system used in computer graphics, computer-aided geometric design and other geometry-related data processing.
<hl> Cartesian coordinates are the foundation of analytic geometry, and provide enlightening geometric interpretations for many other branches of mathematics, such as linear algebra, complex analysis, differential geometry, multivariate calculus, group theory and more. <hl> A familiar example is the concept of the graph of a function. Cartesian coordinates are also essential tools for most applied disciplines that deal with geometry, including astronomy, physics, engineering and many more. They are the most common coordinate system used in computer graphics, computer-aided geometric design and other geometry-related data processing.
5d661c0f2b22cd4dfcfbd905
C.D.'s'
question: What is the possessive plural of the acronym CD?, context: Multiple options arise when acronyms are spelled with periods and are pluralized: for example, whether compact discs may become C.D.'s, C.D.s, or CDs. Possessive plurals that also include apostrophes for mere pluralization and periods appear especially complex: for example, the C.D.'s' labels (the labels of the compact discs). This is yet another reason to use apostrophes only for possessives and not for plurals. In some instances, however, an apostrophe may increase clarity: for example, if the final letter of an abbreviation is S, as in SOS's (although abbreviations ending with S can also take -es, e.g. SOSes), or when pluralizing an abbreviation that has periods. However, the style guide for the New York Times states that the addition of an apostrophe is necessary when pluralizing all abbreviations, preferring "PC's, TV's and VCR's".
What is the possessive plural of the acronym CD?
Possessive plurals that also include apostrophes for mere pluralization and periods appear especially complex: for example, the C.D.'s' labels (the labels of the compact discs).
Multiple options arise when acronyms are spelled with periods and are pluralized: for example, whether compact discs may become C.D.'s, C.D.s, or CDs. Possessive plurals that also include apostrophes for mere pluralization and periods appear especially complex: for example, the C.D.'s' labels (the labels of the compact discs). This is yet another reason to use apostrophes only for possessives and not for plurals. In some instances, however, an apostrophe may increase clarity: for example, if the final letter of an abbreviation is S, as in SOS's (although abbreviations ending with S can also take -es, e.g. SOSes), or when pluralizing an abbreviation that has periods. However, the style guide for the New York Times states that the addition of an apostrophe is necessary when pluralizing all abbreviations, preferring "PC's, TV's and VCR's".
Possessive plurals that also include apostrophes for mere pluralization and periods appear especially complex: for example, the <hl> C.D.'s' <hl> labels (the labels of the compact discs).
Multiple options arise when acronyms are spelled with periods and are pluralized: for example, whether compact discs may become C.D.'s, C.D.s, or CDs. Possessive plurals that also include apostrophes for mere pluralization and periods appear especially complex: for example, the <hl> C.D.'s' <hl> labels (the labels of the compact discs). This is yet another reason to use apostrophes only for possessives and not for plurals. In some instances, however, an apostrophe may increase clarity: for example, if the final letter of an abbreviation is S, as in SOS's (although abbreviations ending with S can also take -es, e.g. SOSes), or when pluralizing an abbreviation that has periods. However, the style guide for the New York Times states that the addition of an apostrophe is necessary when pluralizing all abbreviations, preferring "PC's, TV's and VCR's".
Multiple options arise when acronyms are spelled with periods and are pluralized: for example, whether compact discs may become C.D.'s, C.D.s, or CDs. <hl> Possessive plurals that also include apostrophes for mere pluralization and periods appear especially complex: for example, the C.D.'s' labels (the labels of the compact discs). <hl> This is yet another reason to use apostrophes only for possessives and not for plurals. In some instances, however, an apostrophe may increase clarity: for example, if the final letter of an abbreviation is S, as in SOS's (although abbreviations ending with S can also take -es, e.g. SOSes), or when pluralizing an abbreviation that has periods. However, the style guide for the New York Times states that the addition of an apostrophe is necessary when pluralizing all abbreviations, preferring "PC's, TV's and VCR's".
5d65a9df2b22cd4dfcfbcaf3
1807,
question: When did Britain ban the slave trade?, context: In Britain, America, Portugal and in parts of Europe, opposition developed against the slave trade. Davis says that abolitionists assumed "that an end to slave imports would lead automatically to the amelioration and gradual abolition of slavery". Opposition to the trade was led by the Religious Society of Friends (Quakers) and establishment Evangelicals such as William Wilberforce. The movement was joined by many and began to protest against the trade, but they were opposed by the owners of the colonial holdings. Following Lord Mansfield's decision in 1772, slaves became free upon entering the British isles. Under the leadership of Thomas Jefferson, the new state of Virginia in 1778 became the first state and one of the first jurisdictions anywhere to stop the importation of slaves for sale; it made it a crime for traders to bring in slaves from out of state or from overseas for sale; migrants from other states were allowed to bring their own slaves. The new law freed all slaves brought in illegally after its passage and imposed heavy fines on violators. Denmark, which had been active in the slave trade, was the first country to ban the trade through legislation in 1792, which took effect in 1803. Britain banned the slave trade in 1807, imposing stiff fines for any slave found aboard a British ship (see Slave Trade Act 1807). The Royal Navy moved to stop other nations from continuing the slave trade, and declared that slaving was equal to piracy and was punishable by death. The United States Congress passed the Slave Trade Act of 1794, which prohibited the building or outfitting of ships in the U.S. for use in the slave trade. In 1807 Congress outlawed the importation of slaves beginning on 1 January 1808, the earliest date permitted by the United States Constitution for such a ban.
When did Britain ban the slave trade?
Britain banned the slave trade in 1807, imposing stiff fines for any slave found aboard a British ship (see Slave Trade Act 1807).
In Britain, America, Portugal and in parts of Europe, opposition developed against the slave trade. Davis says that abolitionists assumed "that an end to slave imports would lead automatically to the amelioration and gradual abolition of slavery". Opposition to the trade was led by the Religious Society of Friends (Quakers) and establishment Evangelicals such as William Wilberforce. The movement was joined by many and began to protest against the trade, but they were opposed by the owners of the colonial holdings. Following Lord Mansfield's decision in 1772, slaves became free upon entering the British isles. Under the leadership of Thomas Jefferson, the new state of Virginia in 1778 became the first state and one of the first jurisdictions anywhere to stop the importation of slaves for sale; it made it a crime for traders to bring in slaves from out of state or from overseas for sale; migrants from other states were allowed to bring their own slaves. The new law freed all slaves brought in illegally after its passage and imposed heavy fines on violators. Denmark, which had been active in the slave trade, was the first country to ban the trade through legislation in 1792, which took effect in 1803. Britain banned the slave trade in 1807, imposing stiff fines for any slave found aboard a British ship (see Slave Trade Act 1807). The Royal Navy moved to stop other nations from continuing the slave trade, and declared that slaving was equal to piracy and was punishable by death. The United States Congress passed the Slave Trade Act of 1794, which prohibited the building or outfitting of ships in the U.S. for use in the slave trade. In 1807 Congress outlawed the importation of slaves beginning on 1 January 1808, the earliest date permitted by the United States Constitution for such a ban.
Britain banned the slave trade in <hl> 1807, <hl> imposing stiff fines for any slave found aboard a British ship (see Slave Trade Act 1807).
In Britain, America, Portugal and in parts of Europe, opposition developed against the slave trade. Davis says that abolitionists assumed "that an end to slave imports would lead automatically to the amelioration and gradual abolition of slavery". Opposition to the trade was led by the Religious Society of Friends (Quakers) and establishment Evangelicals such as William Wilberforce. The movement was joined by many and began to protest against the trade, but they were opposed by the owners of the colonial holdings. Following Lord Mansfield's decision in 1772, slaves became free upon entering the British isles. Under the leadership of Thomas Jefferson, the new state of Virginia in 1778 became the first state and one of the first jurisdictions anywhere to stop the importation of slaves for sale; it made it a crime for traders to bring in slaves from out of state or from overseas for sale; migrants from other states were allowed to bring their own slaves. The new law freed all slaves brought in illegally after its passage and imposed heavy fines on violators. Denmark, which had been active in the slave trade, was the first country to ban the trade through legislation in 1792, which took effect in 1803. Britain banned the slave trade in <hl> 1807, <hl> imposing stiff fines for any slave found aboard a British ship (see Slave Trade Act 1807). The Royal Navy moved to stop other nations from continuing the slave trade, and declared that slaving was equal to piracy and was punishable by death. The United States Congress passed the Slave Trade Act of 1794, which prohibited the building or outfitting of ships in the U.S. for use in the slave trade. In 1807 Congress outlawed the importation of slaves beginning on 1 January 1808, the earliest date permitted by the United States Constitution for such a ban.
In Britain, America, Portugal and in parts of Europe, opposition developed against the slave trade. Davis says that abolitionists assumed "that an end to slave imports would lead automatically to the amelioration and gradual abolition of slavery". Opposition to the trade was led by the Religious Society of Friends (Quakers) and establishment Evangelicals such as William Wilberforce. The movement was joined by many and began to protest against the trade, but they were opposed by the owners of the colonial holdings. Following Lord Mansfield's decision in 1772, slaves became free upon entering the British isles. Under the leadership of Thomas Jefferson, the new state of Virginia in 1778 became the first state and one of the first jurisdictions anywhere to stop the importation of slaves for sale; it made it a crime for traders to bring in slaves from out of state or from overseas for sale; migrants from other states were allowed to bring their own slaves. The new law freed all slaves brought in illegally after its passage and imposed heavy fines on violators. Denmark, which had been active in the slave trade, was the first country to ban the trade through legislation in 1792, which took effect in 1803. <hl> Britain banned the slave trade in 1807, imposing stiff fines for any slave found aboard a British ship (see Slave Trade Act 1807). <hl> The Royal Navy moved to stop other nations from continuing the slave trade, and declared that slaving was equal to piracy and was punishable by death. The United States Congress passed the Slave Trade Act of 1794, which prohibited the building or outfitting of ships in the U.S. for use in the slave trade. In 1807 Congress outlawed the importation of slaves beginning on 1 January 1808, the earliest date permitted by the United States Constitution for such a ban.
5d66bb422b22cd4dfcfbe486
170,000 jobs annually
question: In 2006, how many jobs did the arts, film, history, and tourism segments generate for Connecticut?, context: A report issued by the Connecticut Commission on Culture & Tourism on December 7, 2006, demonstrated that the economic impact of the arts, film, history and tourism generated more than $14 billion in economic activity and 170,000 jobs annually. This provides $9 billion in personal income for Connecticut residents and $1.7 billion in state and local revenue. Two casinos, Foxwoods Resort Casino and Mohegan Sun, number among the state's largest employers; both are located on Native American reservations in the eastern part of Connecticut.
In 2006, how many jobs did the arts, film, history, and tourism segments generate for Connecticut?
A report issued by the Connecticut Commission on Culture & Tourism on December 7, 2006, demonstrated that the economic impact of the arts, film, history and tourism generated more than $14 billion in economic activity and 170,000 jobs annually .
A report issued by the Connecticut Commission on Culture & Tourism on December 7, 2006, demonstrated that the economic impact of the arts, film, history and tourism generated more than $14 billion in economic activity and 170,000 jobs annually. This provides $9 billion in personal income for Connecticut residents and $1.7 billion in state and local revenue. Two casinos, Foxwoods Resort Casino and Mohegan Sun, number among the state's largest employers; both are located on Native American reservations in the eastern part of Connecticut.
A report issued by the Connecticut Commission on Culture & Tourism on December 7, 2006, demonstrated that the economic impact of the arts, film, history and tourism generated more than $14 billion in economic activity and <hl> 170,000 jobs annually <hl> .
A report issued by the Connecticut Commission on Culture & Tourism on December 7, 2006, demonstrated that the economic impact of the arts, film, history and tourism generated more than $14 billion in economic activity and <hl> 170,000 jobs annually <hl>. This provides $9 billion in personal income for Connecticut residents and $1.7 billion in state and local revenue. Two casinos, Foxwoods Resort Casino and Mohegan Sun, number among the state's largest employers; both are located on Native American reservations in the eastern part of Connecticut.
<hl> A report issued by the Connecticut Commission on Culture & Tourism on December 7, 2006, demonstrated that the economic impact of the arts, film, history and tourism generated more than $14 billion in economic activity and 170,000 jobs annually . <hl> This provides $9 billion in personal income for Connecticut residents and $1.7 billion in state and local revenue. Two casinos, Foxwoods Resort Casino and Mohegan Sun, number among the state's largest employers; both are located on Native American reservations in the eastern part of Connecticut.
5d6669a62b22cd4dfcfbde4e
2 mg/m3
question: What is the legal limit on exposure to tin in the workplace?, context: People can be exposed to tin in the workplace by breathing it in, skin contact, and eye contact. The Occupational Safety and Health Administration (OSHA) has set the legal limit (Permissible exposure limit) for tin exposure in the workplace as 2 mg/m3 over an 8-hour workday. The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit (REL) of 2 mg/m3 over an 8-hour workday. At levels of 100 mg/m3, tin is immediately dangerous to life and health.
What is the legal limit on exposure to tin in the workplace?
The Occupational Safety and Health Administration (OSHA) has set the legal limit (Permissible exposure limit) for tin exposure in the workplace as 2 mg/m3 over an 8-hour workday.
People can be exposed to tin in the workplace by breathing it in, skin contact, and eye contact. The Occupational Safety and Health Administration (OSHA) has set the legal limit (Permissible exposure limit) for tin exposure in the workplace as 2 mg/m3 over an 8-hour workday. The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit (REL) of 2 mg/m3 over an 8-hour workday. At levels of 100 mg/m3, tin is immediately dangerous to life and health.
The Occupational Safety and Health Administration (OSHA) has set the legal limit (Permissible exposure limit) for tin exposure in the workplace as <hl> 2 mg/m3 <hl> over an 8-hour workday.
People can be exposed to tin in the workplace by breathing it in, skin contact, and eye contact. The Occupational Safety and Health Administration (OSHA) has set the legal limit (Permissible exposure limit) for tin exposure in the workplace as <hl> 2 mg/m3 <hl> over an 8-hour workday. The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit (REL) of 2 mg/m3 over an 8-hour workday. At levels of 100 mg/m3, tin is immediately dangerous to life and health.
People can be exposed to tin in the workplace by breathing it in, skin contact, and eye contact. <hl> The Occupational Safety and Health Administration (OSHA) has set the legal limit (Permissible exposure limit) for tin exposure in the workplace as 2 mg/m3 over an 8-hour workday. <hl> The National Institute for Occupational Safety and Health (NIOSH) has set a recommended exposure limit (REL) of 2 mg/m3 over an 8-hour workday. At levels of 100 mg/m3, tin is immediately dangerous to life and health.
5d674e7f2b22cd4dfcfbf5ed
axial
question: What type of load is a column capable of carrying?, context: The capacity of a column to carry axial load depends on the degree of bending it is subjected to, and vice versa. This is represented on an interaction chart and is a complex non-linear relationship.
What type of load is a column capable of carrying?
The capacity of a column to carry axial load depends on the degree of bending it is subjected to, and vice versa.
The capacity of a column to carry axial load depends on the degree of bending it is subjected to, and vice versa. This is represented on an interaction chart and is a complex non-linear relationship.
The capacity of a column to carry <hl> axial <hl> load depends on the degree of bending it is subjected to, and vice versa.
The capacity of a column to carry <hl> axial <hl> load depends on the degree of bending it is subjected to, and vice versa. This is represented on an interaction chart and is a complex non-linear relationship.
<hl> The capacity of a column to carry axial load depends on the degree of bending it is subjected to, and vice versa. <hl> This is represented on an interaction chart and is a complex non-linear relationship.
5d681f672b22cd4dfcfc05d2
the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party
question: What parties besides Green have seats on the crossbench, context: In the current Senate, the Liberal/National Coalition government holds 33 seats and the Australian Labor Party opposition has 25 seats. The crossbench of 18 consists of ten Greens seats, as well as one seat each for the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party, and four independents, Nick Xenophon, John Madigan, Jacqui Lambie and Glenn Lazarus. The Coalition requires votes of at least six non-government Senators to pass legislation.
What parties besides Green have seats on the crossbench
The crossbench of 18 consists of ten Greens seats, as well as one seat each for the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party , and four independents, Nick Xenophon, John Madigan, Jacqui Lambie and Glenn Lazarus.
In the current Senate, the Liberal/National Coalition government holds 33 seats and the Australian Labor Party opposition has 25 seats. The crossbench of 18 consists of ten Greens seats, as well as one seat each for the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party, and four independents, Nick Xenophon, John Madigan, Jacqui Lambie and Glenn Lazarus. The Coalition requires votes of at least six non-government Senators to pass legislation.
The crossbench of 18 consists of ten Greens seats, as well as one seat each for <hl> the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party <hl> , and four independents, Nick Xenophon, John Madigan, Jacqui Lambie and Glenn Lazarus.
In the current Senate, the Liberal/National Coalition government holds 33 seats and the Australian Labor Party opposition has 25 seats. The crossbench of 18 consists of ten Greens seats, as well as one seat each for <hl> the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party <hl>, and four independents, Nick Xenophon, John Madigan, Jacqui Lambie and Glenn Lazarus. The Coalition requires votes of at least six non-government Senators to pass legislation.
In the current Senate, the Liberal/National Coalition government holds 33 seats and the Australian Labor Party opposition has 25 seats. <hl> The crossbench of 18 consists of ten Greens seats, as well as one seat each for the Palmer United Party, the Australian Motoring Enthusiast Party, the Liberal Democrats, the Family First Party , and four independents, Nick Xenophon, John Madigan, Jacqui Lambie and Glenn Lazarus. <hl> The Coalition requires votes of at least six non-government Senators to pass legislation.
5d65c6412b22cd4dfcfbcca0
Connecticotian
question: What term is associated to Cotton Mather?, context: According to Webster's New International Dictionary, 1993, a person who is a native or resident of Connecticut is a "Connecticuter." There are numerous other terms coined in print, but not in use, such as: "Connecticotian" – Cotton Mather in 1702. "Connecticutensian" – Samuel Peters in 1781. "Nutmegger" is sometimes used, as is "Yankee" (the official state song is "Yankee Doodle"), though this usually refers to someone from the wider New England region (and in the Southern United States, to anyone who lives north of the Mason–Dixon line). Linguist Allen Walker Read reports a more playful term, 'connecticutie.' The traditional abbreviation of the state's name is "Conn.;" the official postal abbreviation is CT.
What term is associated to Cotton Mather?
There are numerous other terms coined in print, but not in use, such as: " Connecticotian " – Cotton Mather in 1702.
According to Webster's New International Dictionary, 1993, a person who is a native or resident of Connecticut is a "Connecticuter." There are numerous other terms coined in print, but not in use, such as: "Connecticotian" – Cotton Mather in 1702. "Connecticutensian" – Samuel Peters in 1781. "Nutmegger" is sometimes used, as is "Yankee" (the official state song is "Yankee Doodle"), though this usually refers to someone from the wider New England region (and in the Southern United States, to anyone who lives north of the Mason–Dixon line). Linguist Allen Walker Read reports a more playful term, 'connecticutie.' The traditional abbreviation of the state's name is "Conn.;" the official postal abbreviation is CT.
There are numerous other terms coined in print, but not in use, such as: " <hl> Connecticotian <hl> " – Cotton Mather in 1702.
According to Webster's New International Dictionary, 1993, a person who is a native or resident of Connecticut is a "Connecticuter." There are numerous other terms coined in print, but not in use, such as: "<hl> Connecticotian <hl>" – Cotton Mather in 1702. "Connecticutensian" – Samuel Peters in 1781. "Nutmegger" is sometimes used, as is "Yankee" (the official state song is "Yankee Doodle"), though this usually refers to someone from the wider New England region (and in the Southern United States, to anyone who lives north of the Mason–Dixon line). Linguist Allen Walker Read reports a more playful term, 'connecticutie.' The traditional abbreviation of the state's name is "Conn.;" the official postal abbreviation is CT.
According to Webster's New International Dictionary, 1993, a person who is a native or resident of Connecticut is a "Connecticuter." <hl> There are numerous other terms coined in print, but not in use, such as: " Connecticotian " – Cotton Mather in 1702. <hl> "Connecticutensian" – Samuel Peters in 1781. "Nutmegger" is sometimes used, as is "Yankee" (the official state song is "Yankee Doodle"), though this usually refers to someone from the wider New England region (and in the Southern United States, to anyone who lives north of the Mason–Dixon line). Linguist Allen Walker Read reports a more playful term, 'connecticutie.' The traditional abbreviation of the state's name is "Conn.;" the official postal abbreviation is CT.
5d65f8852b22cd4dfcfbd489
a variety of artisans, shopkeepers, and merchants
question: Who provided services to the farming population in 1750?, context: By 1750, a variety of artisans, shopkeepers, and merchants provided services to the growing farming population. Blacksmiths, wheelwrights, and furniture makers set up shops in rural villages. There they built and repaired goods needed by farm families. Stores selling English manufactures such as cloth, iron utensils, and window glass as well as West Indian products like sugar and molasses were set up by traders. The storekeepers of these shops sold their imported goods in exchange for crops and other local products including roof shingles, potash, and barrel staves. These local goods were shipped to towns and cities all along the Atlantic Coast. Enterprising men set up stables and taverns along wagon roads to service this transportation system.
Who provided services to the farming population in 1750?
By 1750, a variety of artisans, shopkeepers, and merchants provided services to the growing farming population.
By 1750, a variety of artisans, shopkeepers, and merchants provided services to the growing farming population. Blacksmiths, wheelwrights, and furniture makers set up shops in rural villages. There they built and repaired goods needed by farm families. Stores selling English manufactures such as cloth, iron utensils, and window glass as well as West Indian products like sugar and molasses were set up by traders. The storekeepers of these shops sold their imported goods in exchange for crops and other local products including roof shingles, potash, and barrel staves. These local goods were shipped to towns and cities all along the Atlantic Coast. Enterprising men set up stables and taverns along wagon roads to service this transportation system.
By 1750, <hl> a variety of artisans, shopkeepers, and merchants <hl> provided services to the growing farming population.
By 1750, <hl> a variety of artisans, shopkeepers, and merchants <hl> provided services to the growing farming population. Blacksmiths, wheelwrights, and furniture makers set up shops in rural villages. There they built and repaired goods needed by farm families. Stores selling English manufactures such as cloth, iron utensils, and window glass as well as West Indian products like sugar and molasses were set up by traders. The storekeepers of these shops sold their imported goods in exchange for crops and other local products including roof shingles, potash, and barrel staves. These local goods were shipped to towns and cities all along the Atlantic Coast. Enterprising men set up stables and taverns along wagon roads to service this transportation system.
<hl> By 1750, a variety of artisans, shopkeepers, and merchants provided services to the growing farming population. <hl> Blacksmiths, wheelwrights, and furniture makers set up shops in rural villages. There they built and repaired goods needed by farm families. Stores selling English manufactures such as cloth, iron utensils, and window glass as well as West Indian products like sugar and molasses were set up by traders. The storekeepers of these shops sold their imported goods in exchange for crops and other local products including roof shingles, potash, and barrel staves. These local goods were shipped to towns and cities all along the Atlantic Coast. Enterprising men set up stables and taverns along wagon roads to service this transportation system.
5d65c3302b22cd4dfcfbcbf8
x = 0
question: What is the value of X in the function f(x) = 1/x?, context: In some parts of mathematics, including recursion theory and functional analysis, it is convenient to study partial functions in which some values of the domain have no association in the graph; i.e., single-valued relations. For example, the function f such that f(x) = 1/x does not define a value for x = 0, since division by zero is not defined. Hence f is only a partial function from the real line to the real line. The term total function can be used to stress the fact that every element of the domain does appear as the first element of an ordered pair in the graph.
What is the value of X in the function f(x) = 1/x?
For example, the function f such that f(x) = 1/x does not define a value for x = 0 , since division by zero is not defined.
In some parts of mathematics, including recursion theory and functional analysis, it is convenient to study partial functions in which some values of the domain have no association in the graph; i.e., single-valued relations. For example, the function f such that f(x) = 1/x does not define a value for x = 0, since division by zero is not defined. Hence f is only a partial function from the real line to the real line. The term total function can be used to stress the fact that every element of the domain does appear as the first element of an ordered pair in the graph.
For example, the function f such that f(x) = 1/x does not define a value for <hl> x = 0 <hl> , since division by zero is not defined.
In some parts of mathematics, including recursion theory and functional analysis, it is convenient to study partial functions in which some values of the domain have no association in the graph; i.e., single-valued relations. For example, the function f such that f(x) = 1/x does not define a value for <hl> x = 0 <hl>, since division by zero is not defined. Hence f is only a partial function from the real line to the real line. The term total function can be used to stress the fact that every element of the domain does appear as the first element of an ordered pair in the graph.
In some parts of mathematics, including recursion theory and functional analysis, it is convenient to study partial functions in which some values of the domain have no association in the graph; i.e., single-valued relations. <hl> For example, the function f such that f(x) = 1/x does not define a value for x = 0 , since division by zero is not defined. <hl> Hence f is only a partial function from the real line to the real line. The term total function can be used to stress the fact that every element of the domain does appear as the first element of an ordered pair in the graph.
5d66c5a42b22cd4dfcfbe4a2
Intragovernmental Policy Division
question: What subsection of the Office of Planning and Management is responsible for coordinating regional planning with the administrative bodies of the planning regions?, context: The state (with the exception of the Town of Stafford in Tolland County) is also divided into 15 planning regions defined by the state Office of Planning and Management. The Intragovernmental Policy Division of this Office coordinates regional planning with the administrative bodies of these regions. Each region has an administrative body known as either a regional council of governments, a regional council of elected officials, or a regional planning agency. The regions are established for the purpose of planning "coordination of regional and state planning activities; redesignation of logical planning regions and promotion of the continuation of regional planning organizations within the state; and provision for technical aid and the administration of financial assistance to regional planning organizations."
What subsection of the Office of Planning and Management is responsible for coordinating regional planning with the administrative bodies of the planning regions?
The Intragovernmental Policy Division of this Office coordinates regional planning with the administrative bodies of these regions.
The state (with the exception of the Town of Stafford in Tolland County) is also divided into 15 planning regions defined by the state Office of Planning and Management. The Intragovernmental Policy Division of this Office coordinates regional planning with the administrative bodies of these regions. Each region has an administrative body known as either a regional council of governments, a regional council of elected officials, or a regional planning agency. The regions are established for the purpose of planning "coordination of regional and state planning activities; redesignation of logical planning regions and promotion of the continuation of regional planning organizations within the state; and provision for technical aid and the administration of financial assistance to regional planning organizations."
The <hl> Intragovernmental Policy Division <hl> of this Office coordinates regional planning with the administrative bodies of these regions.
The state (with the exception of the Town of Stafford in Tolland County) is also divided into 15 planning regions defined by the state Office of Planning and Management. The <hl> Intragovernmental Policy Division <hl> of this Office coordinates regional planning with the administrative bodies of these regions. Each region has an administrative body known as either a regional council of governments, a regional council of elected officials, or a regional planning agency. The regions are established for the purpose of planning "coordination of regional and state planning activities; redesignation of logical planning regions and promotion of the continuation of regional planning organizations within the state; and provision for technical aid and the administration of financial assistance to regional planning organizations."
The state (with the exception of the Town of Stafford in Tolland County) is also divided into 15 planning regions defined by the state Office of Planning and Management. <hl> The Intragovernmental Policy Division of this Office coordinates regional planning with the administrative bodies of these regions. <hl> Each region has an administrative body known as either a regional council of governments, a regional council of elected officials, or a regional planning agency. The regions are established for the purpose of planning "coordination of regional and state planning activities; redesignation of logical planning regions and promotion of the continuation of regional planning organizations within the state; and provision for technical aid and the administration of financial assistance to regional planning organizations."
5d65e8772b22cd4dfcfbd226
"Mother of the Movement" Betty Friedan
question: Who was the mother of the feminism movement?, context: Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. The movement is usually believed to have begun in 1963, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
Who was the mother of the feminism movement?
The movement is usually believed to have begun in 1963, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality.
Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. The movement is usually believed to have begun in 1963, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
The movement is usually believed to have begun in 1963, when <hl> "Mother of the Movement" Betty Friedan <hl> published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality.
Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. The movement is usually believed to have begun in 1963, when <hl> "Mother of the Movement" Betty Friedan <hl> published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. <hl> The movement is usually believed to have begun in 1963, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. <hl> The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
5d6712432b22cd4dfcfbedb6
It was instrumental in the advancement of Christianity during Roman and Byzantine times
question: What religious sect was this city paramount for it's growth?, context: Founded under the name of Byzantium on the Sarayburnu promontory around 660 BCE, the city developed to become one of the most significant in history. After its reestablishment as Constantinople in 330 CE, it served as an imperial capital for almost 16 centuries, during the Roman and Byzantine (330–1204 and 1261–1453), the Latin (1204–1261), and the Ottoman (1453–1922) empires. It was instrumental in the advancement of Christianity during Roman and Byzantine times, before the Ottomans conquered the city in 1453 and transformed it into an Islamic stronghold and the seat of the Ottoman Caliphate.
What religious sect was this city paramount for it's growth?
It was instrumental in the advancement of Christianity during Roman and Byzantine times , before the Ottomans conquered the city in 1453 and transformed it into an Islamic stronghold and the seat of the Ottoman Caliphate.
Founded under the name of Byzantium on the Sarayburnu promontory around 660 BCE, the city developed to become one of the most significant in history. After its reestablishment as Constantinople in 330 CE, it served as an imperial capital for almost 16 centuries, during the Roman and Byzantine (330–1204 and 1261–1453), the Latin (1204–1261), and the Ottoman (1453–1922) empires. It was instrumental in the advancement of Christianity during Roman and Byzantine times, before the Ottomans conquered the city in 1453 and transformed it into an Islamic stronghold and the seat of the Ottoman Caliphate.
<hl> It was instrumental in the advancement of Christianity during Roman and Byzantine times <hl> , before the Ottomans conquered the city in 1453 and transformed it into an Islamic stronghold and the seat of the Ottoman Caliphate.
Founded under the name of Byzantium on the Sarayburnu promontory around 660 BCE, the city developed to become one of the most significant in history. After its reestablishment as Constantinople in 330 CE, it served as an imperial capital for almost 16 centuries, during the Roman and Byzantine (330–1204 and 1261–1453), the Latin (1204–1261), and the Ottoman (1453–1922) empires. <hl> It was instrumental in the advancement of Christianity during Roman and Byzantine times <hl>, before the Ottomans conquered the city in 1453 and transformed it into an Islamic stronghold and the seat of the Ottoman Caliphate.
Founded under the name of Byzantium on the Sarayburnu promontory around 660 BCE, the city developed to become one of the most significant in history. After its reestablishment as Constantinople in 330 CE, it served as an imperial capital for almost 16 centuries, during the Roman and Byzantine (330–1204 and 1261–1453), the Latin (1204–1261), and the Ottoman (1453–1922) empires. <hl> It was instrumental in the advancement of Christianity during Roman and Byzantine times , before the Ottomans conquered the city in 1453 and transformed it into an Islamic stronghold and the seat of the Ottoman Caliphate. <hl>
5d65de7f2b22cd4dfcfbd015
23 years
question: How long did Oxford United take to reach top division?, context: The city's leading football club, Oxford United, are currently in League Two, the fourth tier of league football, though they enjoyed some success in the past in the upper reaches of the league. They were elected to the Football League in 1962, reached the Third Division after three years and the Second Division after six, and most notably reached the First Division in 1985 – 23 years after joining the Football League. They spent three seasons in the top flight, winning the Football League Cup a year after promotion. The 18 years that followed relegation in 1988 saw their fortunes decline gradually, though a brief respite in 1996 saw them win promotion to the new (post Premier League) Division One in 1996 and stay there for three years. They were relegated to the Football Conference in 2006, staying there for four seasons before returning to the Football League in 2010. They play at the Kassam Stadium (named after former chairman Firoz Kassam), which is situated near the Blackbird Leys housing estate and has been their home since relocation from the Manor Ground in 2001. The club's notable former managers include Ian Greaves, Jim Smith, Maurice Evans, Brian Horton and Denis Smith. Notable former players include John Aldridge, Ray Houghton, Tommy Caton, Matt Elliott, Nigel Jemson and Dean Whitehead.
How long did Oxford United take to reach top division?
They were elected to the Football League in 1962, reached the Third Division after three years and the Second Division after six, and most notably reached the First Division in 1985 – 23 years after joining the Football League.
The city's leading football club, Oxford United, are currently in League Two, the fourth tier of league football, though they enjoyed some success in the past in the upper reaches of the league. They were elected to the Football League in 1962, reached the Third Division after three years and the Second Division after six, and most notably reached the First Division in 1985 – 23 years after joining the Football League. They spent three seasons in the top flight, winning the Football League Cup a year after promotion. The 18 years that followed relegation in 1988 saw their fortunes decline gradually, though a brief respite in 1996 saw them win promotion to the new (post Premier League) Division One in 1996 and stay there for three years. They were relegated to the Football Conference in 2006, staying there for four seasons before returning to the Football League in 2010. They play at the Kassam Stadium (named after former chairman Firoz Kassam), which is situated near the Blackbird Leys housing estate and has been their home since relocation from the Manor Ground in 2001. The club's notable former managers include Ian Greaves, Jim Smith, Maurice Evans, Brian Horton and Denis Smith. Notable former players include John Aldridge, Ray Houghton, Tommy Caton, Matt Elliott, Nigel Jemson and Dean Whitehead.
They were elected to the Football League in 1962, reached the Third Division after three years and the Second Division after six, and most notably reached the First Division in 1985 – <hl> 23 years <hl> after joining the Football League.
The city's leading football club, Oxford United, are currently in League Two, the fourth tier of league football, though they enjoyed some success in the past in the upper reaches of the league. They were elected to the Football League in 1962, reached the Third Division after three years and the Second Division after six, and most notably reached the First Division in 1985 – <hl> 23 years <hl> after joining the Football League. They spent three seasons in the top flight, winning the Football League Cup a year after promotion. The 18 years that followed relegation in 1988 saw their fortunes decline gradually, though a brief respite in 1996 saw them win promotion to the new (post Premier League) Division One in 1996 and stay there for three years. They were relegated to the Football Conference in 2006, staying there for four seasons before returning to the Football League in 2010. They play at the Kassam Stadium (named after former chairman Firoz Kassam), which is situated near the Blackbird Leys housing estate and has been their home since relocation from the Manor Ground in 2001. The club's notable former managers include Ian Greaves, Jim Smith, Maurice Evans, Brian Horton and Denis Smith. Notable former players include John Aldridge, Ray Houghton, Tommy Caton, Matt Elliott, Nigel Jemson and Dean Whitehead.
The city's leading football club, Oxford United, are currently in League Two, the fourth tier of league football, though they enjoyed some success in the past in the upper reaches of the league. <hl> They were elected to the Football League in 1962, reached the Third Division after three years and the Second Division after six, and most notably reached the First Division in 1985 – 23 years after joining the Football League. <hl> They spent three seasons in the top flight, winning the Football League Cup a year after promotion. The 18 years that followed relegation in 1988 saw their fortunes decline gradually, though a brief respite in 1996 saw them win promotion to the new (post Premier League) Division One in 1996 and stay there for three years. They were relegated to the Football Conference in 2006, staying there for four seasons before returning to the Football League in 2010. They play at the Kassam Stadium (named after former chairman Firoz Kassam), which is situated near the Blackbird Leys housing estate and has been their home since relocation from the Manor Ground in 2001. The club's notable former managers include Ian Greaves, Jim Smith, Maurice Evans, Brian Horton and Denis Smith. Notable former players include John Aldridge, Ray Houghton, Tommy Caton, Matt Elliott, Nigel Jemson and Dean Whitehead.
5d673b9b2b22cd4dfcfbf369
Świnoujście harbour
question: Which area spotted floating ice in January 2010?, context: It is known that since 1720, the Baltic Sea has frozen over entirely a total of 20 times. The most recent case was in early 1987, which was the most severe winter in Scandinavia since that date. The ice then covered 400,000 km2 (150,000 sq mi). During the winter of 2010–11, which was quite severe compared to those of the last decades, the maximum ice cover was 315,000 km2 (122,000 sq mi), which was reached on 25 February 2011. The ice then extended from the north down to the northern tip of Gotland, with small ice-free areas on either side, and the east coast of the Baltic Sea was covered by an ice sheet about 25 to 100 km (16 to 62 mi) wide all the way to Gdańsk. This was brought about by a stagnant high-pressure area that lingered over central and northern Scandinavia from around 10 to 24 February. After this, strong southern winds pushed the ice further into the north, and much of the waters north of Gotland were again free of ice, which had then packed against the shores of southern Finland. The effects of the afore-mentioned high-pressure area did not reach the southern parts of the Baltic Sea, and thus the entire sea did not freeze over. However, floating ice was additionally observed near Świnoujście harbour in January 2010.
Which area spotted floating ice in January 2010?
However, floating ice was additionally observed near Świnoujście harbour in January 2010.
It is known that since 1720, the Baltic Sea has frozen over entirely a total of 20 times. The most recent case was in early 1987, which was the most severe winter in Scandinavia since that date. The ice then covered 400,000 km2 (150,000 sq mi). During the winter of 2010–11, which was quite severe compared to those of the last decades, the maximum ice cover was 315,000 km2 (122,000 sq mi), which was reached on 25 February 2011. The ice then extended from the north down to the northern tip of Gotland, with small ice-free areas on either side, and the east coast of the Baltic Sea was covered by an ice sheet about 25 to 100 km (16 to 62 mi) wide all the way to Gdańsk. This was brought about by a stagnant high-pressure area that lingered over central and northern Scandinavia from around 10 to 24 February. After this, strong southern winds pushed the ice further into the north, and much of the waters north of Gotland were again free of ice, which had then packed against the shores of southern Finland. The effects of the afore-mentioned high-pressure area did not reach the southern parts of the Baltic Sea, and thus the entire sea did not freeze over. However, floating ice was additionally observed near Świnoujście harbour in January 2010.
However, floating ice was additionally observed near <hl> Świnoujście harbour <hl> in January 2010.
It is known that since 1720, the Baltic Sea has frozen over entirely a total of 20 times. The most recent case was in early 1987, which was the most severe winter in Scandinavia since that date. The ice then covered 400,000 km2 (150,000 sq mi). During the winter of 2010–11, which was quite severe compared to those of the last decades, the maximum ice cover was 315,000 km2 (122,000 sq mi), which was reached on 25 February 2011. The ice then extended from the north down to the northern tip of Gotland, with small ice-free areas on either side, and the east coast of the Baltic Sea was covered by an ice sheet about 25 to 100 km (16 to 62 mi) wide all the way to Gdańsk. This was brought about by a stagnant high-pressure area that lingered over central and northern Scandinavia from around 10 to 24 February. After this, strong southern winds pushed the ice further into the north, and much of the waters north of Gotland were again free of ice, which had then packed against the shores of southern Finland. The effects of the afore-mentioned high-pressure area did not reach the southern parts of the Baltic Sea, and thus the entire sea did not freeze over. However, floating ice was additionally observed near <hl> Świnoujście harbour <hl> in January 2010.
It is known that since 1720, the Baltic Sea has frozen over entirely a total of 20 times. The most recent case was in early 1987, which was the most severe winter in Scandinavia since that date. The ice then covered 400,000 km2 (150,000 sq mi). During the winter of 2010–11, which was quite severe compared to those of the last decades, the maximum ice cover was 315,000 km2 (122,000 sq mi), which was reached on 25 February 2011. The ice then extended from the north down to the northern tip of Gotland, with small ice-free areas on either side, and the east coast of the Baltic Sea was covered by an ice sheet about 25 to 100 km (16 to 62 mi) wide all the way to Gdańsk. This was brought about by a stagnant high-pressure area that lingered over central and northern Scandinavia from around 10 to 24 February. After this, strong southern winds pushed the ice further into the north, and much of the waters north of Gotland were again free of ice, which had then packed against the shores of southern Finland. The effects of the afore-mentioned high-pressure area did not reach the southern parts of the Baltic Sea, and thus the entire sea did not freeze over. <hl> However, floating ice was additionally observed near Świnoujście harbour in January 2010. <hl>
5d661af52b22cd4dfcfbd8d2
is placed before a person's given name.
question: Where is the last name commonly placed Hungary?, context: In most Spanish-speaking and Portuguese-speaking countries, two or more last names (or surnames) may be used. In China, Hungary, Japan, Korea, Madagascar, Taiwan, Vietnam, and parts of India, the family name is placed before a person's given name.
Where is the last name commonly placed Hungary?
In China, Hungary, Japan, Korea, Madagascar, Taiwan, Vietnam, and parts of India, the family name is placed before a person's given name.
In most Spanish-speaking and Portuguese-speaking countries, two or more last names (or surnames) may be used. In China, Hungary, Japan, Korea, Madagascar, Taiwan, Vietnam, and parts of India, the family name is placed before a person's given name.
In China, Hungary, Japan, Korea, Madagascar, Taiwan, Vietnam, and parts of India, the family name <hl> is placed before a person's given name. <hl>
In most Spanish-speaking and Portuguese-speaking countries, two or more last names (or surnames) may be used. In China, Hungary, Japan, Korea, Madagascar, Taiwan, Vietnam, and parts of India, the family name <hl> is placed before a person's given name. <hl>
In most Spanish-speaking and Portuguese-speaking countries, two or more last names (or surnames) may be used. <hl> In China, Hungary, Japan, Korea, Madagascar, Taiwan, Vietnam, and parts of India, the family name is placed before a person's given name. <hl>
5d67edaf2b22cd4dfcfc040d
14 time national champ
question: How many total championships did Marie Braun win?, context: Rotterdam's swimming tradition started with Marie Braun aka Zus (sister) Braun, who was coached to a Gold medal at the 1928 Amsterdam Olympics by her mother Ma Braun, and 3 European titles 3 years later in Paris. In her career as 14 time national champ, she broke 6 world records. Ma Braun later also coached the Rotterdam born, three-times Olympic champion Rie Mastenbroek during the Berlin Olympics in 1936. In later years Inge de Bruijn became a Rotterdam sport icon as triple Olympic Gold medal winner in 2000 and triple European Gold medal winner in 2001.
How many total championships did Marie Braun win?
In her career as 14 time national champ , she broke 6 world records.
Rotterdam's swimming tradition started with Marie Braun aka Zus (sister) Braun, who was coached to a Gold medal at the 1928 Amsterdam Olympics by her mother Ma Braun, and 3 European titles 3 years later in Paris. In her career as 14 time national champ, she broke 6 world records. Ma Braun later also coached the Rotterdam born, three-times Olympic champion Rie Mastenbroek during the Berlin Olympics in 1936. In later years Inge de Bruijn became a Rotterdam sport icon as triple Olympic Gold medal winner in 2000 and triple European Gold medal winner in 2001.
In her career as <hl> 14 time national champ <hl> , she broke 6 world records.
Rotterdam's swimming tradition started with Marie Braun aka Zus (sister) Braun, who was coached to a Gold medal at the 1928 Amsterdam Olympics by her mother Ma Braun, and 3 European titles 3 years later in Paris. In her career as <hl> 14 time national champ <hl>, she broke 6 world records. Ma Braun later also coached the Rotterdam born, three-times Olympic champion Rie Mastenbroek during the Berlin Olympics in 1936. In later years Inge de Bruijn became a Rotterdam sport icon as triple Olympic Gold medal winner in 2000 and triple European Gold medal winner in 2001.
Rotterdam's swimming tradition started with Marie Braun aka Zus (sister) Braun, who was coached to a Gold medal at the 1928 Amsterdam Olympics by her mother Ma Braun, and 3 European titles 3 years later in Paris. <hl> In her career as 14 time national champ , she broke 6 world records. <hl> Ma Braun later also coached the Rotterdam born, three-times Olympic champion Rie Mastenbroek during the Berlin Olympics in 1936. In later years Inge de Bruijn became a Rotterdam sport icon as triple Olympic Gold medal winner in 2000 and triple European Gold medal winner in 2001.
5d6730922b22cd4dfcfbf219
March 1917
question: When did Tsar Nicholas II abdicated his throne?, context: In March 1917, Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
When did Tsar Nicholas II abdicated his throne?
In March 1917 , Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later.
In March 1917, Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
In <hl> March 1917 <hl> , Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later.
In <hl> March 1917 <hl>, Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
<hl> In March 1917 , Tsar Nicholas II abdicated his throne and a provisional government quickly filled the vacuum, proclaiming Russia a republic months later. <hl> This was followed by the October Revolution by the Bolsheviks, who seized control in a quick coup d'état against the Provisional Government, resulting in the formation of the Russian Soviet Federative Socialist Republic (RSFSR), the first country in history committed to the establishment of communism. However, large portions of Russia were held under the leadership of either pro-Tsarist or anti-communist military commanders who formed the White movement to oppose the Bolsheviks, resulting in civil war between the Bolsheviks' Red Army and the anti-Bolshevik White Army. Amidst civil war between the Reds and the Whites, the RSFSR inherited the war that the Russian Empire was fighting against Germany that was ended a year later with an armistice. However, that was followed by a brief Allied military intervention by the United Kingdom, the United States, France, Italy, Japan and others against the Bolsheviks.
5d6815dd2b22cd4dfcfc0576
Homeless advocate and urban designer
question: Who is Michael E. Arth?, context: Homeless advocate and urban designer Michael E. Arth proposed building a Pedestrian village for the adult homeless in Volusia County near Daytona Beach, Florida in 2007. As of 2009, Arth was still working toward trying to consolidate most of the scattered 19 local agencies into an attractive community that would be designed to more effectively address the needs of the chronically adult homeless and the temporarily adult homeless, as well as others who may be having difficulty fitting into the pervasive, automobile-dominated culture. He writes that the current "piecemeal approach" inefficiently spreads out services and work opportunities, and aggravates the problem by polarizing citizens who might otherwise be inclined to help. In response to critics who say that such a village would be like a concentration camp, Arth points out that the U.S. already concentrates their citizens into prisons at 7–8 times the rate of Canada or Europe. "There should be alternative between living on the street and being locked up that addresses the needs of the chronically and temporarily adult homeless." His proposed "Tiger Bay Village" would have a community garden and orchard, a place to hire certified workers, and a work crew to help build and maintain the village. "Little shops in the village center could process and rehabilitate donated clothes and furnishings to be sold to the public." Housing would range from multi-bed barracks to small Katrina cottages depending on a person's contributions to the village, special needs, and income. Arth claims that this would cost less and be far more effective than any of the other solutions tried elsewhere.
Who is Michael E. Arth?
Homeless advocate and urban designer Michael E. Arth proposed building a Pedestrian village for the adult homeless in Volusia County near Daytona Beach, Florida in 2007.
Homeless advocate and urban designer Michael E. Arth proposed building a Pedestrian village for the adult homeless in Volusia County near Daytona Beach, Florida in 2007. As of 2009, Arth was still working toward trying to consolidate most of the scattered 19 local agencies into an attractive community that would be designed to more effectively address the needs of the chronically adult homeless and the temporarily adult homeless, as well as others who may be having difficulty fitting into the pervasive, automobile-dominated culture. He writes that the current "piecemeal approach" inefficiently spreads out services and work opportunities, and aggravates the problem by polarizing citizens who might otherwise be inclined to help. In response to critics who say that such a village would be like a concentration camp, Arth points out that the U.S. already concentrates their citizens into prisons at 7–8 times the rate of Canada or Europe. "There should be alternative between living on the street and being locked up that addresses the needs of the chronically and temporarily adult homeless." His proposed "Tiger Bay Village" would have a community garden and orchard, a place to hire certified workers, and a work crew to help build and maintain the village. "Little shops in the village center could process and rehabilitate donated clothes and furnishings to be sold to the public." Housing would range from multi-bed barracks to small Katrina cottages depending on a person's contributions to the village, special needs, and income. Arth claims that this would cost less and be far more effective than any of the other solutions tried elsewhere.
<hl> Homeless advocate and urban designer <hl> Michael E. Arth proposed building a Pedestrian village for the adult homeless in Volusia County near Daytona Beach, Florida in 2007.
<hl> Homeless advocate and urban designer <hl> Michael E. Arth proposed building a Pedestrian village for the adult homeless in Volusia County near Daytona Beach, Florida in 2007. As of 2009, Arth was still working toward trying to consolidate most of the scattered 19 local agencies into an attractive community that would be designed to more effectively address the needs of the chronically adult homeless and the temporarily adult homeless, as well as others who may be having difficulty fitting into the pervasive, automobile-dominated culture. He writes that the current "piecemeal approach" inefficiently spreads out services and work opportunities, and aggravates the problem by polarizing citizens who might otherwise be inclined to help. In response to critics who say that such a village would be like a concentration camp, Arth points out that the U.S. already concentrates their citizens into prisons at 7–8 times the rate of Canada or Europe. "There should be alternative between living on the street and being locked up that addresses the needs of the chronically and temporarily adult homeless." His proposed "Tiger Bay Village" would have a community garden and orchard, a place to hire certified workers, and a work crew to help build and maintain the village. "Little shops in the village center could process and rehabilitate donated clothes and furnishings to be sold to the public." Housing would range from multi-bed barracks to small Katrina cottages depending on a person's contributions to the village, special needs, and income. Arth claims that this would cost less and be far more effective than any of the other solutions tried elsewhere.
<hl> Homeless advocate and urban designer Michael E. Arth proposed building a Pedestrian village for the adult homeless in Volusia County near Daytona Beach, Florida in 2007. <hl> As of 2009, Arth was still working toward trying to consolidate most of the scattered 19 local agencies into an attractive community that would be designed to more effectively address the needs of the chronically adult homeless and the temporarily adult homeless, as well as others who may be having difficulty fitting into the pervasive, automobile-dominated culture. He writes that the current "piecemeal approach" inefficiently spreads out services and work opportunities, and aggravates the problem by polarizing citizens who might otherwise be inclined to help. In response to critics who say that such a village would be like a concentration camp, Arth points out that the U.S. already concentrates their citizens into prisons at 7–8 times the rate of Canada or Europe. "There should be alternative between living on the street and being locked up that addresses the needs of the chronically and temporarily adult homeless." His proposed "Tiger Bay Village" would have a community garden and orchard, a place to hire certified workers, and a work crew to help build and maintain the village. "Little shops in the village center could process and rehabilitate donated clothes and furnishings to be sold to the public." Housing would range from multi-bed barracks to small Katrina cottages depending on a person's contributions to the village, special needs, and income. Arth claims that this would cost less and be far more effective than any of the other solutions tried elsewhere.
5d665d972b22cd4dfcfbdca0
in the 2002 elections
question: When did the Senate regain?, context: The Senate majority lasted until 2001, when the Senate became split evenly but was regained in the 2002 elections. Both Republican majorities in the House and Senate were held until the Democrats regained control in the mid-term elections of 2006. The Republican Party has since been defined by social conservatism, a preemptive war foreign policy intended to defeat terrorism and promote global democracy, a more powerful executive branch, supply side economics, support for gun ownership, and deregulation.
When did the Senate regain?
The Senate majority lasted until 2001, when the Senate became split evenly but was regained in the 2002 elections .
The Senate majority lasted until 2001, when the Senate became split evenly but was regained in the 2002 elections. Both Republican majorities in the House and Senate were held until the Democrats regained control in the mid-term elections of 2006. The Republican Party has since been defined by social conservatism, a preemptive war foreign policy intended to defeat terrorism and promote global democracy, a more powerful executive branch, supply side economics, support for gun ownership, and deregulation.
The Senate majority lasted until 2001, when the Senate became split evenly but was regained <hl> in the 2002 elections <hl> .
The Senate majority lasted until 2001, when the Senate became split evenly but was regained <hl> in the 2002 elections <hl>. Both Republican majorities in the House and Senate were held until the Democrats regained control in the mid-term elections of 2006. The Republican Party has since been defined by social conservatism, a preemptive war foreign policy intended to defeat terrorism and promote global democracy, a more powerful executive branch, supply side economics, support for gun ownership, and deregulation.
<hl> The Senate majority lasted until 2001, when the Senate became split evenly but was regained in the 2002 elections . <hl> Both Republican majorities in the House and Senate were held until the Democrats regained control in the mid-term elections of 2006. The Republican Party has since been defined by social conservatism, a preemptive war foreign policy intended to defeat terrorism and promote global democracy, a more powerful executive branch, supply side economics, support for gun ownership, and deregulation.
5d6748f82b22cd4dfcfbf4fe
John Heinz
question: Which Senator has a History Center that can be visited for free with a Pitt ID?, context: Pitt Arts is a program founded by the University in 1997 to encourage students to explore and connect to the art and cultural opportunities of the City of Pittsburgh via three programs. Art Encounters provides trips to arts events for undergrads that include free tickets, transportation, a catered reception, and encounters with international artists and thinkers. Free Visits grants undergrad and grad students free admission using their Pitt IDs to the Carnegie Museum of Art, Carnegie Museum of Natural History, Senator John Heinz History Center, Phipps Conservatory, Mattress Factory, and the Andy Warhol Museum.
Which Senator has a History Center that can be visited for free with a Pitt ID?
Free Visits grants undergrad and grad students free admission using their Pitt IDs to the Carnegie Museum of Art, Carnegie Museum of Natural History, Senator John Heinz History Center, Phipps Conservatory, Mattress Factory, and the Andy Warhol Museum.
Pitt Arts is a program founded by the University in 1997 to encourage students to explore and connect to the art and cultural opportunities of the City of Pittsburgh via three programs. Art Encounters provides trips to arts events for undergrads that include free tickets, transportation, a catered reception, and encounters with international artists and thinkers. Free Visits grants undergrad and grad students free admission using their Pitt IDs to the Carnegie Museum of Art, Carnegie Museum of Natural History, Senator John Heinz History Center, Phipps Conservatory, Mattress Factory, and the Andy Warhol Museum.
Free Visits grants undergrad and grad students free admission using their Pitt IDs to the Carnegie Museum of Art, Carnegie Museum of Natural History, Senator <hl> John Heinz <hl> History Center, Phipps Conservatory, Mattress Factory, and the Andy Warhol Museum.
Pitt Arts is a program founded by the University in 1997 to encourage students to explore and connect to the art and cultural opportunities of the City of Pittsburgh via three programs. Art Encounters provides trips to arts events for undergrads that include free tickets, transportation, a catered reception, and encounters with international artists and thinkers. Free Visits grants undergrad and grad students free admission using their Pitt IDs to the Carnegie Museum of Art, Carnegie Museum of Natural History, Senator <hl> John Heinz <hl> History Center, Phipps Conservatory, Mattress Factory, and the Andy Warhol Museum.
Pitt Arts is a program founded by the University in 1997 to encourage students to explore and connect to the art and cultural opportunities of the City of Pittsburgh via three programs. Art Encounters provides trips to arts events for undergrads that include free tickets, transportation, a catered reception, and encounters with international artists and thinkers. <hl> Free Visits grants undergrad and grad students free admission using their Pitt IDs to the Carnegie Museum of Art, Carnegie Museum of Natural History, Senator John Heinz History Center, Phipps Conservatory, Mattress Factory, and the Andy Warhol Museum. <hl>
5d676e692b22cd4dfcfbfb69
Chief Justice of Connecticut
question: What is the official title of the person who runs the highest court in Connecticut?, context: The highest court of Connecticut's judicial branch is the Connecticut Supreme Court, headed by the Chief Justice of Connecticut. The Supreme Court is responsible for deciding on the constitutionality of the law or cases as they relate to the law. Its proceedings are similar to those of the United States Supreme Court, with no testimony given by witnesses, and the lawyers of the two sides each present oral arguments no longer than thirty minutes. Following a court proceeding, the court may take several months to arrive at a judgment. As of 2015[update] the Chief Justice is Chase T. Rogers.
What is the official title of the person who runs the highest court in Connecticut?
The highest court of Connecticut's judicial branch is the Connecticut Supreme Court, headed by the Chief Justice of Connecticut .
The highest court of Connecticut's judicial branch is the Connecticut Supreme Court, headed by the Chief Justice of Connecticut. The Supreme Court is responsible for deciding on the constitutionality of the law or cases as they relate to the law. Its proceedings are similar to those of the United States Supreme Court, with no testimony given by witnesses, and the lawyers of the two sides each present oral arguments no longer than thirty minutes. Following a court proceeding, the court may take several months to arrive at a judgment. As of 2015[update] the Chief Justice is Chase T. Rogers.
The highest court of Connecticut's judicial branch is the Connecticut Supreme Court, headed by the <hl> Chief Justice of Connecticut <hl> .
The highest court of Connecticut's judicial branch is the Connecticut Supreme Court, headed by the <hl> Chief Justice of Connecticut <hl>. The Supreme Court is responsible for deciding on the constitutionality of the law or cases as they relate to the law. Its proceedings are similar to those of the United States Supreme Court, with no testimony given by witnesses, and the lawyers of the two sides each present oral arguments no longer than thirty minutes. Following a court proceeding, the court may take several months to arrive at a judgment. As of 2015[update] the Chief Justice is Chase T. Rogers.
<hl> The highest court of Connecticut's judicial branch is the Connecticut Supreme Court, headed by the Chief Justice of Connecticut . <hl> The Supreme Court is responsible for deciding on the constitutionality of the law or cases as they relate to the law. Its proceedings are similar to those of the United States Supreme Court, with no testimony given by witnesses, and the lawyers of the two sides each present oral arguments no longer than thirty minutes. Following a court proceeding, the court may take several months to arrive at a judgment. As of 2015[update] the Chief Justice is Chase T. Rogers.
5d65e58c2b22cd4dfcfbd19b
1995
question: When did the Istanbul Stock Exchange move to the Sanyar district?, context: Istanbul is home to Borsa Istanbul, the sole exchange entity of Turkey, which combined the former Istanbul Stock Exchange, the Istanbul Gold Exchange, and the Derivatives Exchange of Turkey. The former Istanbul Stock Exchange was originally established as the Ottoman Stock Exchange in 1866. During the 19th and early 20th centuries, Bankalar Caddesi (Banks Street) in Galata was the financial center of the Ottoman Empire, where the Ottoman Stock Exchange was located. Bankalar Caddesi continued to be Istanbul's main financial district until the 1990s, when most Turkish banks began moving their headquarters to the modern central business districts of Levent and Maslak. In 1995, the Istanbul Stock Exchange (now Borsa Istanbul) moved to its current building in the İstinye quarter of the Sarıyer district. A new central business district is also under construction in Ataşehir and will host the headquarters of various Turkish banks and financial institutions upon completion.
When did the Istanbul Stock Exchange move to the Sanyar district?
In 1995 , the Istanbul Stock Exchange (now Borsa Istanbul) moved to its current building in the İstinye quarter of the Sarıyer district.
Istanbul is home to Borsa Istanbul, the sole exchange entity of Turkey, which combined the former Istanbul Stock Exchange, the Istanbul Gold Exchange, and the Derivatives Exchange of Turkey. The former Istanbul Stock Exchange was originally established as the Ottoman Stock Exchange in 1866. During the 19th and early 20th centuries, Bankalar Caddesi (Banks Street) in Galata was the financial center of the Ottoman Empire, where the Ottoman Stock Exchange was located. Bankalar Caddesi continued to be Istanbul's main financial district until the 1990s, when most Turkish banks began moving their headquarters to the modern central business districts of Levent and Maslak. In 1995, the Istanbul Stock Exchange (now Borsa Istanbul) moved to its current building in the İstinye quarter of the Sarıyer district. A new central business district is also under construction in Ataşehir and will host the headquarters of various Turkish banks and financial institutions upon completion.
In <hl> 1995 <hl> , the Istanbul Stock Exchange (now Borsa Istanbul) moved to its current building in the İstinye quarter of the Sarıyer district.
Istanbul is home to Borsa Istanbul, the sole exchange entity of Turkey, which combined the former Istanbul Stock Exchange, the Istanbul Gold Exchange, and the Derivatives Exchange of Turkey. The former Istanbul Stock Exchange was originally established as the Ottoman Stock Exchange in 1866. During the 19th and early 20th centuries, Bankalar Caddesi (Banks Street) in Galata was the financial center of the Ottoman Empire, where the Ottoman Stock Exchange was located. Bankalar Caddesi continued to be Istanbul's main financial district until the 1990s, when most Turkish banks began moving their headquarters to the modern central business districts of Levent and Maslak. In <hl> 1995 <hl>, the Istanbul Stock Exchange (now Borsa Istanbul) moved to its current building in the İstinye quarter of the Sarıyer district. A new central business district is also under construction in Ataşehir and will host the headquarters of various Turkish banks and financial institutions upon completion.
Istanbul is home to Borsa Istanbul, the sole exchange entity of Turkey, which combined the former Istanbul Stock Exchange, the Istanbul Gold Exchange, and the Derivatives Exchange of Turkey. The former Istanbul Stock Exchange was originally established as the Ottoman Stock Exchange in 1866. During the 19th and early 20th centuries, Bankalar Caddesi (Banks Street) in Galata was the financial center of the Ottoman Empire, where the Ottoman Stock Exchange was located. Bankalar Caddesi continued to be Istanbul's main financial district until the 1990s, when most Turkish banks began moving their headquarters to the modern central business districts of Levent and Maslak. <hl> In 1995 , the Istanbul Stock Exchange (now Borsa Istanbul) moved to its current building in the İstinye quarter of the Sarıyer district. <hl> A new central business district is also under construction in Ataşehir and will host the headquarters of various Turkish banks and financial institutions upon completion.
5d65f0cf2b22cd4dfcfbd34d
Rodney
question: Which historian's methodology and accuracy has come under scrutiny?, context: Other historians have attacked both Rodney's methodology and accuracy. Joseph C. Miller has argued that the social change and demographic stagnation (which he researched on the example of West Central Africa) was caused primarily by domestic factors. Joseph Inikori provided a new line of argument, estimating counterfactual demographic developments in case the Atlantic slave trade had not existed. Patrick Manning has shown that the slave trade did have profound impact on African demographics and social institutions, but criticized Inikori's approach for not taking other factors (such as famine and drought) into account, and thus being highly speculative.
Which historian's methodology and accuracy has come under scrutiny?
Other historians have attacked both Rodney 's methodology and accuracy.
Other historians have attacked both Rodney's methodology and accuracy. Joseph C. Miller has argued that the social change and demographic stagnation (which he researched on the example of West Central Africa) was caused primarily by domestic factors. Joseph Inikori provided a new line of argument, estimating counterfactual demographic developments in case the Atlantic slave trade had not existed. Patrick Manning has shown that the slave trade did have profound impact on African demographics and social institutions, but criticized Inikori's approach for not taking other factors (such as famine and drought) into account, and thus being highly speculative.
Other historians have attacked both <hl> Rodney <hl> 's methodology and accuracy.
Other historians have attacked both <hl> Rodney <hl>'s methodology and accuracy. Joseph C. Miller has argued that the social change and demographic stagnation (which he researched on the example of West Central Africa) was caused primarily by domestic factors. Joseph Inikori provided a new line of argument, estimating counterfactual demographic developments in case the Atlantic slave trade had not existed. Patrick Manning has shown that the slave trade did have profound impact on African demographics and social institutions, but criticized Inikori's approach for not taking other factors (such as famine and drought) into account, and thus being highly speculative.
<hl> Other historians have attacked both Rodney 's methodology and accuracy. <hl> Joseph C. Miller has argued that the social change and demographic stagnation (which he researched on the example of West Central Africa) was caused primarily by domestic factors. Joseph Inikori provided a new line of argument, estimating counterfactual demographic developments in case the Atlantic slave trade had not existed. Patrick Manning has shown that the slave trade did have profound impact on African demographics and social institutions, but criticized Inikori's approach for not taking other factors (such as famine and drought) into account, and thus being highly speculative.
5d666b632b22cd4dfcfbde76
goods and services
question: Owen believes what are manufactured and sold by firms?, context: According to Bruce M. Owen, this does not mean that all firms themselves have to be equally decentralized. He writes: "markets allocate resources through arms-length transactions among decentralized actors. Much of the time, markets work very efficiently, but there is a variety of conditions under which firms do better. Hence, goods and services are produced and sold by firms with various degrees of horizontal and vertical integration." Additionally, he writes that the "economic incentive to expand horizontally or vertically is usually, but not always, compatible with the social interest in maximizing long-run consumer welfare." When it does not, he writes regulation may be necessary.
Owen believes what are manufactured and sold by firms?
Hence, goods and services are produced and sold by firms with various degrees of horizontal and vertical integration."
According to Bruce M. Owen, this does not mean that all firms themselves have to be equally decentralized. He writes: "markets allocate resources through arms-length transactions among decentralized actors. Much of the time, markets work very efficiently, but there is a variety of conditions under which firms do better. Hence, goods and services are produced and sold by firms with various degrees of horizontal and vertical integration." Additionally, he writes that the "economic incentive to expand horizontally or vertically is usually, but not always, compatible with the social interest in maximizing long-run consumer welfare." When it does not, he writes regulation may be necessary.
Hence, <hl> goods and services <hl> are produced and sold by firms with various degrees of horizontal and vertical integration."
According to Bruce M. Owen, this does not mean that all firms themselves have to be equally decentralized. He writes: "markets allocate resources through arms-length transactions among decentralized actors. Much of the time, markets work very efficiently, but there is a variety of conditions under which firms do better. Hence, <hl> goods and services <hl> are produced and sold by firms with various degrees of horizontal and vertical integration." Additionally, he writes that the "economic incentive to expand horizontally or vertically is usually, but not always, compatible with the social interest in maximizing long-run consumer welfare." When it does not, he writes regulation may be necessary.
According to Bruce M. Owen, this does not mean that all firms themselves have to be equally decentralized. He writes: "markets allocate resources through arms-length transactions among decentralized actors. Much of the time, markets work very efficiently, but there is a variety of conditions under which firms do better. <hl> Hence, goods and services are produced and sold by firms with various degrees of horizontal and vertical integration." <hl> Additionally, he writes that the "economic incentive to expand horizontally or vertically is usually, but not always, compatible with the social interest in maximizing long-run consumer welfare." When it does not, he writes regulation may be necessary.
5d65dc422b22cd4dfcfbcf72
It also determines a domain of discourse that specifies the range of the quantifiers
question: What does that interpretation also determine?, context: An interpretation of a first-order language assigns a denotation to all non-logical constants in that language. It also determines a domain of discourse that specifies the range of the quantifiers. The result is that each term is assigned an object that it represents, and each sentence is assigned a truth value. In this way, an interpretation provides semantic meaning to the terms and formulas of the language. The study of the interpretations of formal languages is called formal semantics. What follows is a description of the standard or Tarskian semantics for first-order logic. (It is also possible to define game semantics for first-order logic, but aside from requiring the axiom of choice, game semantics agree with Tarskian semantics for first-order logic, so game semantics will not be elaborated herein.)
What does that interpretation also determine?
It also determines a domain of discourse that specifies the range of the quantifiers .
An interpretation of a first-order language assigns a denotation to all non-logical constants in that language. It also determines a domain of discourse that specifies the range of the quantifiers. The result is that each term is assigned an object that it represents, and each sentence is assigned a truth value. In this way, an interpretation provides semantic meaning to the terms and formulas of the language. The study of the interpretations of formal languages is called formal semantics. What follows is a description of the standard or Tarskian semantics for first-order logic. (It is also possible to define game semantics for first-order logic, but aside from requiring the axiom of choice, game semantics agree with Tarskian semantics for first-order logic, so game semantics will not be elaborated herein.)
<hl> It also determines a domain of discourse that specifies the range of the quantifiers <hl> .
An interpretation of a first-order language assigns a denotation to all non-logical constants in that language. <hl> It also determines a domain of discourse that specifies the range of the quantifiers <hl>. The result is that each term is assigned an object that it represents, and each sentence is assigned a truth value. In this way, an interpretation provides semantic meaning to the terms and formulas of the language. The study of the interpretations of formal languages is called formal semantics. What follows is a description of the standard or Tarskian semantics for first-order logic. (It is also possible to define game semantics for first-order logic, but aside from requiring the axiom of choice, game semantics agree with Tarskian semantics for first-order logic, so game semantics will not be elaborated herein.)
An interpretation of a first-order language assigns a denotation to all non-logical constants in that language. <hl> It also determines a domain of discourse that specifies the range of the quantifiers . <hl> The result is that each term is assigned an object that it represents, and each sentence is assigned a truth value. In this way, an interpretation provides semantic meaning to the terms and formulas of the language. The study of the interpretations of formal languages is called formal semantics. What follows is a description of the standard or Tarskian semantics for first-order logic. (It is also possible to define game semantics for first-order logic, but aside from requiring the axiom of choice, game semantics agree with Tarskian semantics for first-order logic, so game semantics will not be elaborated herein.)
5d663f2f2b22cd4dfcfbdb7f
initialisms
question: What are FBI and HTML an example of?, context: Although the word acronym is often used to refer to any abbreviation formed from initial letters, many dictionaries and usage commentators define acronym to mean an abbreviation that is pronounced as a word, in contradistinction to an initialism (or alphabetism)‍—‌an abbreviation formed from a string of initials (and possibly pronounced as individual letters). Some dictionaries include additional senses equating acronym with initialism. The distinction, when made, hinges on whether the abbreviation is pronounced as a word or as a string of individual letters. Examples in reference works that make the distinction include NATO /ˈneɪtoʊ/, scuba /ˈskuːbə/, and radar /ˈreɪdɑːr/ for acronyms - and FBI /ˌɛfˌbiːˈaɪ/, CRT /ˌˈsiːˌɑːrˌtiː/, and HTML /ˌeɪtʃˌtiːˌɛmˈɛl/ for initialisms. The rest of this article uses acronym for both types of abbreviation.
What are FBI and HTML an example of?
Examples in reference works that make the distinction include NATO /ˈneɪtoʊ/, scuba /ˈskuːbə/, and radar /ˈreɪdɑːr/ for acronyms - and FBI /ˌɛfˌbiːˈaɪ/, CRT /ˌˈsiːˌɑːrˌtiː/, and HTML /ˌeɪtʃˌtiːˌɛmˈɛl/ for initialisms .
Although the word acronym is often used to refer to any abbreviation formed from initial letters, many dictionaries and usage commentators define acronym to mean an abbreviation that is pronounced as a word, in contradistinction to an initialism (or alphabetism)‍—‌an abbreviation formed from a string of initials (and possibly pronounced as individual letters). Some dictionaries include additional senses equating acronym with initialism. The distinction, when made, hinges on whether the abbreviation is pronounced as a word or as a string of individual letters. Examples in reference works that make the distinction include NATO /ˈneɪtoʊ/, scuba /ˈskuːbə/, and radar /ˈreɪdɑːr/ for acronyms - and FBI /ˌɛfˌbiːˈaɪ/, CRT /ˌˈsiːˌɑːrˌtiː/, and HTML /ˌeɪtʃˌtiːˌɛmˈɛl/ for initialisms. The rest of this article uses acronym for both types of abbreviation.
Examples in reference works that make the distinction include NATO /ˈneɪtoʊ/, scuba /ˈskuːbə/, and radar /ˈreɪdɑːr/ for acronyms - and FBI /ˌɛfˌbiːˈaɪ/, CRT /ˌˈsiːˌɑːrˌtiː/, and HTML /ˌeɪtʃˌtiːˌɛmˈɛl/ for <hl> initialisms <hl> .
Although the word acronym is often used to refer to any abbreviation formed from initial letters, many dictionaries and usage commentators define acronym to mean an abbreviation that is pronounced as a word, in contradistinction to an initialism (or alphabetism)‍—‌an abbreviation formed from a string of initials (and possibly pronounced as individual letters). Some dictionaries include additional senses equating acronym with initialism. The distinction, when made, hinges on whether the abbreviation is pronounced as a word or as a string of individual letters. Examples in reference works that make the distinction include NATO /ˈneɪtoʊ/, scuba /ˈskuːbə/, and radar /ˈreɪdɑːr/ for acronyms - and FBI /ˌɛfˌbiːˈaɪ/, CRT /ˌˈsiːˌɑːrˌtiː/, and HTML /ˌeɪtʃˌtiːˌɛmˈɛl/ for <hl> initialisms <hl>. The rest of this article uses acronym for both types of abbreviation.
Although the word acronym is often used to refer to any abbreviation formed from initial letters, many dictionaries and usage commentators define acronym to mean an abbreviation that is pronounced as a word, in contradistinction to an initialism (or alphabetism)‍—‌an abbreviation formed from a string of initials (and possibly pronounced as individual letters). Some dictionaries include additional senses equating acronym with initialism. The distinction, when made, hinges on whether the abbreviation is pronounced as a word or as a string of individual letters. <hl> Examples in reference works that make the distinction include NATO /ˈneɪtoʊ/, scuba /ˈskuːbə/, and radar /ˈreɪdɑːr/ for acronyms - and FBI /ˌɛfˌbiːˈaɪ/, CRT /ˌˈsiːˌɑːrˌtiː/, and HTML /ˌeɪtʃˌtiːˌɛmˈɛl/ for initialisms . <hl> The rest of this article uses acronym for both types of abbreviation.
5d65ac782b22cd4dfcfbcb06
London
question: Where was Lloyd's located?, context: Excess of loss contracts, like those commonly used for umbrella and general liability insurance, or to insure against property losses, will typically have a low ratio of premium paid to maximum loss recoverable. This ratio (expressed as a percentage), commonly called the "rate on line" for historical reasons related to underwriting practices at Lloyd's of London, will typically be low for contracts that contain reasonably self-evident risk transfer. As the ratio increases to approximate the present value of the limit of coverage, self-evidence decreases and disappears.
Where was Lloyd's located?
This ratio (expressed as a percentage), commonly called the "rate on line" for historical reasons related to underwriting practices at Lloyd's of London , will typically be low for contracts that contain reasonably self-evident risk transfer.
Excess of loss contracts, like those commonly used for umbrella and general liability insurance, or to insure against property losses, will typically have a low ratio of premium paid to maximum loss recoverable. This ratio (expressed as a percentage), commonly called the "rate on line" for historical reasons related to underwriting practices at Lloyd's of London, will typically be low for contracts that contain reasonably self-evident risk transfer. As the ratio increases to approximate the present value of the limit of coverage, self-evidence decreases and disappears.
This ratio (expressed as a percentage), commonly called the "rate on line" for historical reasons related to underwriting practices at Lloyd's of <hl> London <hl> , will typically be low for contracts that contain reasonably self-evident risk transfer.
Excess of loss contracts, like those commonly used for umbrella and general liability insurance, or to insure against property losses, will typically have a low ratio of premium paid to maximum loss recoverable. This ratio (expressed as a percentage), commonly called the "rate on line" for historical reasons related to underwriting practices at Lloyd's of <hl> London <hl>, will typically be low for contracts that contain reasonably self-evident risk transfer. As the ratio increases to approximate the present value of the limit of coverage, self-evidence decreases and disappears.
Excess of loss contracts, like those commonly used for umbrella and general liability insurance, or to insure against property losses, will typically have a low ratio of premium paid to maximum loss recoverable. <hl> This ratio (expressed as a percentage), commonly called the "rate on line" for historical reasons related to underwriting practices at Lloyd's of London , will typically be low for contracts that contain reasonably self-evident risk transfer. <hl> As the ratio increases to approximate the present value of the limit of coverage, self-evidence decreases and disappears.
5d65c8432b22cd4dfcfbcd14
Many communities and states across the country have created these plans
question: Have other states used these same plans?, context: In 2001, the NAEH along with the U.S. ICH encouraged communities to create and implement state and local strategic plans to prevent and end homelessness, focusing on Housing First initiatives to house the chronically homeless population who have many barriers to stability, a cost-benefit analysis of state- and local-level resources, best practice engagement and service innovations, and prevention. Many communities and states across the country have created these plans and have set up measurable goals and targets for the short- and long-term.
Have other states used these same plans?
Many communities and states across the country have created these plans and have set up measurable goals and targets for the short- and long-term.
In 2001, the NAEH along with the U.S. ICH encouraged communities to create and implement state and local strategic plans to prevent and end homelessness, focusing on Housing First initiatives to house the chronically homeless population who have many barriers to stability, a cost-benefit analysis of state- and local-level resources, best practice engagement and service innovations, and prevention. Many communities and states across the country have created these plans and have set up measurable goals and targets for the short- and long-term.
<hl> Many communities and states across the country have created these plans <hl> and have set up measurable goals and targets for the short- and long-term.
In 2001, the NAEH along with the U.S. ICH encouraged communities to create and implement state and local strategic plans to prevent and end homelessness, focusing on Housing First initiatives to house the chronically homeless population who have many barriers to stability, a cost-benefit analysis of state- and local-level resources, best practice engagement and service innovations, and prevention. <hl> Many communities and states across the country have created these plans <hl> and have set up measurable goals and targets for the short- and long-term.
In 2001, the NAEH along with the U.S. ICH encouraged communities to create and implement state and local strategic plans to prevent and end homelessness, focusing on Housing First initiatives to house the chronically homeless population who have many barriers to stability, a cost-benefit analysis of state- and local-level resources, best practice engagement and service innovations, and prevention. <hl> Many communities and states across the country have created these plans and have set up measurable goals and targets for the short- and long-term. <hl>
5d6606412b22cd4dfcfbd5ec
capitalist property relations
question: What is antagonistic to individual freedom?, context: Accordingly, libertarian socialists believe that "the exercise of power in any institutionalized form—whether economic, political, religious, or sexual—brutalizes both the wielder of power and the one over whom it is exercised". Libertarian socialists generally place their hopes in decentralized means of direct democracy such as libertarian municipalism, citizens' assemblies, or workers' councils. Libertarian socialists are strongly critical of coercive institutions, which often leads them to reject the legitimacy of the state in favor of anarchism. Adherents propose achieving this through decentralization of political and economic power, usually involving the socialization of most large-scale private property and enterprise (while retaining respect for personal property). Libertarian socialism tends to deny the legitimacy of most forms of economically significant private property, viewing capitalist property relations as forms of domination that are antagonistic to individual freedom.
What is antagonistic to individual freedom?
Libertarian socialism tends to deny the legitimacy of most forms of economically significant private property, viewing capitalist property relations as forms of domination that are antagonistic to individual freedom.
Accordingly, libertarian socialists believe that "the exercise of power in any institutionalized form—whether economic, political, religious, or sexual—brutalizes both the wielder of power and the one over whom it is exercised". Libertarian socialists generally place their hopes in decentralized means of direct democracy such as libertarian municipalism, citizens' assemblies, or workers' councils. Libertarian socialists are strongly critical of coercive institutions, which often leads them to reject the legitimacy of the state in favor of anarchism. Adherents propose achieving this through decentralization of political and economic power, usually involving the socialization of most large-scale private property and enterprise (while retaining respect for personal property). Libertarian socialism tends to deny the legitimacy of most forms of economically significant private property, viewing capitalist property relations as forms of domination that are antagonistic to individual freedom.
Libertarian socialism tends to deny the legitimacy of most forms of economically significant private property, viewing <hl> capitalist property relations <hl> as forms of domination that are antagonistic to individual freedom.
Accordingly, libertarian socialists believe that "the exercise of power in any institutionalized form—whether economic, political, religious, or sexual—brutalizes both the wielder of power and the one over whom it is exercised". Libertarian socialists generally place their hopes in decentralized means of direct democracy such as libertarian municipalism, citizens' assemblies, or workers' councils. Libertarian socialists are strongly critical of coercive institutions, which often leads them to reject the legitimacy of the state in favor of anarchism. Adherents propose achieving this through decentralization of political and economic power, usually involving the socialization of most large-scale private property and enterprise (while retaining respect for personal property). Libertarian socialism tends to deny the legitimacy of most forms of economically significant private property, viewing <hl> capitalist property relations <hl> as forms of domination that are antagonistic to individual freedom.
Accordingly, libertarian socialists believe that "the exercise of power in any institutionalized form—whether economic, political, religious, or sexual—brutalizes both the wielder of power and the one over whom it is exercised". Libertarian socialists generally place their hopes in decentralized means of direct democracy such as libertarian municipalism, citizens' assemblies, or workers' councils. Libertarian socialists are strongly critical of coercive institutions, which often leads them to reject the legitimacy of the state in favor of anarchism. Adherents propose achieving this through decentralization of political and economic power, usually involving the socialization of most large-scale private property and enterprise (while retaining respect for personal property). <hl> Libertarian socialism tends to deny the legitimacy of most forms of economically significant private property, viewing capitalist property relations as forms of domination that are antagonistic to individual freedom. <hl>
5d65dc5f2b22cd4dfcfbcf87
New York Bay
question: What is the new name given to Bay of Santa Margarita?, context: The area that is now Manhattan was long inhabited by the Lenape Native Americans. In 1524, Florentine explorer Giovanni da Verrazzano – sailing in service of King Francis I of France – was the first European to visit the area that would become New York City. He entered the tidal strait now known as The Narrows aboard his ship La Dauphine and named the land around Upper New York Harbor "New Angoulême", in reference to the family name of King Francis I that was derived from Angoulême in France; he sailed far enough into the harbor to sight the Hudson River, which he referred to in his report to the French king as a "very big river"; and he named the Bay of Santa Margarita – what is now Upper New York Bay – after Marguerite de Navarre, the elder sister of the king.
What is the new name given to Bay of Santa Margarita?
He entered the tidal strait now known as The Narrows aboard his ship La Dauphine and named the land around Upper New York Harbor "New Angoulême", in reference to the family name of King Francis I that was derived from Angoulême in France; he sailed far enough into the harbor to sight the Hudson River, which he referred to in his report to the French king as a "very big river"; and he named the Bay of Santa Margarita – what is now Upper New York Bay – after Marguerite de Navarre, the elder sister of the king.
The area that is now Manhattan was long inhabited by the Lenape Native Americans. In 1524, Florentine explorer Giovanni da Verrazzano – sailing in service of King Francis I of France – was the first European to visit the area that would become New York City. He entered the tidal strait now known as The Narrows aboard his ship La Dauphine and named the land around Upper New York Harbor "New Angoulême", in reference to the family name of King Francis I that was derived from Angoulême in France; he sailed far enough into the harbor to sight the Hudson River, which he referred to in his report to the French king as a "very big river"; and he named the Bay of Santa Margarita – what is now Upper New York Bay – after Marguerite de Navarre, the elder sister of the king.
He entered the tidal strait now known as The Narrows aboard his ship La Dauphine and named the land around Upper New York Harbor "New Angoulême", in reference to the family name of King Francis I that was derived from Angoulême in France; he sailed far enough into the harbor to sight the Hudson River, which he referred to in his report to the French king as a "very big river"; and he named the Bay of Santa Margarita – what is now Upper <hl> New York Bay <hl> – after Marguerite de Navarre, the elder sister of the king.
The area that is now Manhattan was long inhabited by the Lenape Native Americans. In 1524, Florentine explorer Giovanni da Verrazzano – sailing in service of King Francis I of France – was the first European to visit the area that would become New York City. He entered the tidal strait now known as The Narrows aboard his ship La Dauphine and named the land around Upper New York Harbor "New Angoulême", in reference to the family name of King Francis I that was derived from Angoulême in France; he sailed far enough into the harbor to sight the Hudson River, which he referred to in his report to the French king as a "very big river"; and he named the Bay of Santa Margarita – what is now Upper <hl> New York Bay <hl> – after Marguerite de Navarre, the elder sister of the king.
The area that is now Manhattan was long inhabited by the Lenape Native Americans. In 1524, Florentine explorer Giovanni da Verrazzano – sailing in service of King Francis I of France – was the first European to visit the area that would become New York City. <hl> He entered the tidal strait now known as The Narrows aboard his ship La Dauphine and named the land around Upper New York Harbor "New Angoulême", in reference to the family name of King Francis I that was derived from Angoulême in France; he sailed far enough into the harbor to sight the Hudson River, which he referred to in his report to the French king as a "very big river"; and he named the Bay of Santa Margarita – what is now Upper New York Bay – after Marguerite de Navarre, the elder sister of the king. <hl>
5d67e5632b22cd4dfcfc03cc
lead designer on these structures
question: What role does a structual engineer play?, context: The structural engineer is the lead designer on these structures, and often the sole designer. In the design of structures such as these, structural safety is of paramount importance (in the UK, designs for dams, nuclear power stations and bridges must be signed off by a chartered engineer).
What role does a structual engineer play?
The structural engineer is the lead designer on these structures , and often the sole designer.
The structural engineer is the lead designer on these structures, and often the sole designer. In the design of structures such as these, structural safety is of paramount importance (in the UK, designs for dams, nuclear power stations and bridges must be signed off by a chartered engineer).
The structural engineer is the <hl> lead designer on these structures <hl> , and often the sole designer.
The structural engineer is the <hl> lead designer on these structures <hl>, and often the sole designer. In the design of structures such as these, structural safety is of paramount importance (in the UK, designs for dams, nuclear power stations and bridges must be signed off by a chartered engineer).
<hl> The structural engineer is the lead designer on these structures , and often the sole designer. <hl> In the design of structures such as these, structural safety is of paramount importance (in the UK, designs for dams, nuclear power stations and bridges must be signed off by a chartered engineer).
5d672a912b22cd4dfcfbf14c
eastern shore
question: What shore of the Baltic's was among the last in Europe to be converted to Christianity?, context: The lands on the Baltic's eastern shore were among the last in Europe to be converted to Christianity. This finally happened during the Northern Crusades: Finland in the twelfth century by Swedes, and what are now Estonia and Latvia in the early thirteenth century by Danes and Germans (Livonian Brothers of the Sword). The Teutonic Order gained control over parts of the southern and eastern shore of the Baltic Sea, where they set up their monastic state. Lithuania was the last European state to convert to Christianity.
What shore of the Baltic's was among the last in Europe to be converted to Christianity?
The lands on the Baltic's eastern shore were among the last in Europe to be converted to Christianity.
The lands on the Baltic's eastern shore were among the last in Europe to be converted to Christianity. This finally happened during the Northern Crusades: Finland in the twelfth century by Swedes, and what are now Estonia and Latvia in the early thirteenth century by Danes and Germans (Livonian Brothers of the Sword). The Teutonic Order gained control over parts of the southern and eastern shore of the Baltic Sea, where they set up their monastic state. Lithuania was the last European state to convert to Christianity.
The lands on the Baltic's <hl> eastern shore <hl> were among the last in Europe to be converted to Christianity.
The lands on the Baltic's <hl> eastern shore <hl> were among the last in Europe to be converted to Christianity. This finally happened during the Northern Crusades: Finland in the twelfth century by Swedes, and what are now Estonia and Latvia in the early thirteenth century by Danes and Germans (Livonian Brothers of the Sword). The Teutonic Order gained control over parts of the southern and eastern shore of the Baltic Sea, where they set up their monastic state. Lithuania was the last European state to convert to Christianity.
<hl> The lands on the Baltic's eastern shore were among the last in Europe to be converted to Christianity. <hl> This finally happened during the Northern Crusades: Finland in the twelfth century by Swedes, and what are now Estonia and Latvia in the early thirteenth century by Danes and Germans (Livonian Brothers of the Sword). The Teutonic Order gained control over parts of the southern and eastern shore of the Baltic Sea, where they set up their monastic state. Lithuania was the last European state to convert to Christianity.
5d665e2f2b22cd4dfcfbdcb4
The movement is usually believed to have begun in 1963
question: What year do most agree feminism began?, context: Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. The movement is usually believed to have begun in 1963, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
What year do most agree feminism began?
The movement is usually believed to have begun in 1963 , when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality.
Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. The movement is usually believed to have begun in 1963, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
<hl> The movement is usually believed to have begun in 1963 <hl> , when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality.
Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. <hl> The movement is usually believed to have begun in 1963 <hl>, when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
Though it is widely accepted that the movement lasted from the 1960s into the early 1980s, the exact years of the movement are more difficult to pinpoint and are often disputed. <hl> The movement is usually believed to have begun in 1963 , when "Mother of the Movement" Betty Friedan published The Feminine Mystique, and President John F. Kennedy's Presidential Commission on the Status of Women released its report on gender inequality. <hl> The report, which revealed great discrimination against women in American life, along with Friedan's book, which spoke to the discontent of many women (especially housewives), led to the formation of many local, state, and federal government women's groups as well as many independent feminist organizations. Friedan was referencing a "movement" as early as 1964.
5d6712432b22cd4dfcfbedd7
1959
question: When did Connecticut pick up an official nickname?, context: The name "Connecticut" originates from the Mohegan word quonehtacut, meaning "place of long tidal river." Connecticut's official nickname, adopted in 1959, is "The Constitution State," based on its colonial constitution of 1638–39 which was the first in America and, arguably, the world. Unofficially (but popularly) Connecticut is also known as "The Nutmeg State." The origins of the nutmeg connection to Connecticut are unknown. It may have come from its sailors returning from voyages with nutmeg (which in the 18th and 19th centuries was a very valuable spice). It may have originated in the early machined sheet tin nutmeg grinders sold by early Connecticut peddlers. It is also facetiously said to come from Yankee peddlers from Connecticut who would sell small carved nobs of wood shaped to look like nutmeg to unsuspecting customers. George Washington gave Connecticut the title of "The Provisions State" because of the material aid the state rendered to the American Revolutionary War effort. Connecticut is also known as "The Land of Steady Habits."
When did Connecticut pick up an official nickname?
Connecticut's official nickname, adopted in 1959 , is "The Constitution State," based on its colonial constitution of 1638–39 which was the first in America and, arguably, the world.
The name "Connecticut" originates from the Mohegan word quonehtacut, meaning "place of long tidal river." Connecticut's official nickname, adopted in 1959, is "The Constitution State," based on its colonial constitution of 1638–39 which was the first in America and, arguably, the world. Unofficially (but popularly) Connecticut is also known as "The Nutmeg State." The origins of the nutmeg connection to Connecticut are unknown. It may have come from its sailors returning from voyages with nutmeg (which in the 18th and 19th centuries was a very valuable spice). It may have originated in the early machined sheet tin nutmeg grinders sold by early Connecticut peddlers. It is also facetiously said to come from Yankee peddlers from Connecticut who would sell small carved nobs of wood shaped to look like nutmeg to unsuspecting customers. George Washington gave Connecticut the title of "The Provisions State" because of the material aid the state rendered to the American Revolutionary War effort. Connecticut is also known as "The Land of Steady Habits."
Connecticut's official nickname, adopted in <hl> 1959 <hl> , is "The Constitution State," based on its colonial constitution of 1638–39 which was the first in America and, arguably, the world.
The name "Connecticut" originates from the Mohegan word quonehtacut, meaning "place of long tidal river." Connecticut's official nickname, adopted in <hl> 1959 <hl>, is "The Constitution State," based on its colonial constitution of 1638–39 which was the first in America and, arguably, the world. Unofficially (but popularly) Connecticut is also known as "The Nutmeg State." The origins of the nutmeg connection to Connecticut are unknown. It may have come from its sailors returning from voyages with nutmeg (which in the 18th and 19th centuries was a very valuable spice). It may have originated in the early machined sheet tin nutmeg grinders sold by early Connecticut peddlers. It is also facetiously said to come from Yankee peddlers from Connecticut who would sell small carved nobs of wood shaped to look like nutmeg to unsuspecting customers. George Washington gave Connecticut the title of "The Provisions State" because of the material aid the state rendered to the American Revolutionary War effort. Connecticut is also known as "The Land of Steady Habits."
The name "Connecticut" originates from the Mohegan word quonehtacut, meaning "place of long tidal river." <hl> Connecticut's official nickname, adopted in 1959 , is "The Constitution State," based on its colonial constitution of 1638–39 which was the first in America and, arguably, the world. <hl> Unofficially (but popularly) Connecticut is also known as "The Nutmeg State." The origins of the nutmeg connection to Connecticut are unknown. It may have come from its sailors returning from voyages with nutmeg (which in the 18th and 19th centuries was a very valuable spice). It may have originated in the early machined sheet tin nutmeg grinders sold by early Connecticut peddlers. It is also facetiously said to come from Yankee peddlers from Connecticut who would sell small carved nobs of wood shaped to look like nutmeg to unsuspecting customers. George Washington gave Connecticut the title of "The Provisions State" because of the material aid the state rendered to the American Revolutionary War effort. Connecticut is also known as "The Land of Steady Habits."
5d65f7ab2b22cd4dfcfbd46b
250,000
question: What was New England's population in 1725?, context: By the middle of the 18th century, New England's way of life was threatened by overpopulation, going from about 100,000 people in 1700 to 250,000 in 1725 and 375,000 in 1750 thanks to high birth rates and relatively high overall life expectancy (a 15-year-old boy in 1700 could expect to live to about 63). As colonists in Massachusetts, Connecticut, and Rhode Island continued to subdivide their land between farmers, the farms became too small to support single families. This overpopulation threatened the New England ideal of a society of independent yeoman farmers.
What was New England's population in 1725?
By the middle of the 18th century, New England's way of life was threatened by overpopulation, going from about 100,000 people in 1700 to 250,000 in 1725 and 375,000 in 1750 thanks to high birth rates and relatively high overall life expectancy (a 15-year-old boy in 1700 could expect to live to about 63).
By the middle of the 18th century, New England's way of life was threatened by overpopulation, going from about 100,000 people in 1700 to 250,000 in 1725 and 375,000 in 1750 thanks to high birth rates and relatively high overall life expectancy (a 15-year-old boy in 1700 could expect to live to about 63). As colonists in Massachusetts, Connecticut, and Rhode Island continued to subdivide their land between farmers, the farms became too small to support single families. This overpopulation threatened the New England ideal of a society of independent yeoman farmers.
By the middle of the 18th century, New England's way of life was threatened by overpopulation, going from about 100,000 people in 1700 to <hl> 250,000 <hl> in 1725 and 375,000 in 1750 thanks to high birth rates and relatively high overall life expectancy (a 15-year-old boy in 1700 could expect to live to about 63).
By the middle of the 18th century, New England's way of life was threatened by overpopulation, going from about 100,000 people in 1700 to <hl> 250,000 <hl> in 1725 and 375,000 in 1750 thanks to high birth rates and relatively high overall life expectancy (a 15-year-old boy in 1700 could expect to live to about 63). As colonists in Massachusetts, Connecticut, and Rhode Island continued to subdivide their land between farmers, the farms became too small to support single families. This overpopulation threatened the New England ideal of a society of independent yeoman farmers.
<hl> By the middle of the 18th century, New England's way of life was threatened by overpopulation, going from about 100,000 people in 1700 to 250,000 in 1725 and 375,000 in 1750 thanks to high birth rates and relatively high overall life expectancy (a 15-year-old boy in 1700 could expect to live to about 63). <hl> As colonists in Massachusetts, Connecticut, and Rhode Island continued to subdivide their land between farmers, the farms became too small to support single families. This overpopulation threatened the New England ideal of a society of independent yeoman farmers.
5d65c0692b22cd4dfcfbcb68
Conservatives generally advocate supply-side economics
question: What type of economics do Conservatives endorse?, context: Conservatives typically argue for free market solutions, with less government restriction of the private sector. Conservatives tend to oppose stimulus spending or bailouts, letting the free market determine success and failure. Typical proposals involve deregulation and income tax rate reduction. Conservatives historically have opposed labor unions and encouraged free trade agreements. Fiscal conservatives express concern that higher budget deficits and debt damage confidence, reducing investment and spending. Conservatives argue for policies that reduce or lower inflation. Conservatives generally advocate supply-side economics.
What type of economics do Conservatives endorse?
Conservatives generally advocate supply-side economics .
Conservatives typically argue for free market solutions, with less government restriction of the private sector. Conservatives tend to oppose stimulus spending or bailouts, letting the free market determine success and failure. Typical proposals involve deregulation and income tax rate reduction. Conservatives historically have opposed labor unions and encouraged free trade agreements. Fiscal conservatives express concern that higher budget deficits and debt damage confidence, reducing investment and spending. Conservatives argue for policies that reduce or lower inflation. Conservatives generally advocate supply-side economics.
<hl> Conservatives generally advocate supply-side economics <hl> .
Conservatives typically argue for free market solutions, with less government restriction of the private sector. Conservatives tend to oppose stimulus spending or bailouts, letting the free market determine success and failure. Typical proposals involve deregulation and income tax rate reduction. Conservatives historically have opposed labor unions and encouraged free trade agreements. Fiscal conservatives express concern that higher budget deficits and debt damage confidence, reducing investment and spending. Conservatives argue for policies that reduce or lower inflation. <hl> Conservatives generally advocate supply-side economics <hl>.
Conservatives typically argue for free market solutions, with less government restriction of the private sector. Conservatives tend to oppose stimulus spending or bailouts, letting the free market determine success and failure. Typical proposals involve deregulation and income tax rate reduction. Conservatives historically have opposed labor unions and encouraged free trade agreements. Fiscal conservatives express concern that higher budget deficits and debt damage confidence, reducing investment and spending. Conservatives argue for policies that reduce or lower inflation. <hl> Conservatives generally advocate supply-side economics . <hl>
5d66fc7d2b22cd4dfcfbe91e
By the end of the 19th century
question: When did Istanbul establish as a artistic center?, context: By the end of the 19th century, Istanbul had established itself as a regional artistic center, with Turkish, European, and Middle Eastern artists flocking to the city. Despite efforts to make Ankara Turkey's cultural heart, Istanbul had the country's primary institution of art until the 1970s. When additional universities and art journals were founded in Istanbul during the 1980s, artists formerly based in Ankara moved in. Beyoğlu has been transformed into the artistic center of the city, with young artists and older Turkish artists formerly residing abroad finding footing there. Modern art museums, including İstanbul Modern, the Pera Museum, Sakıp Sabancı Museum and SantralIstanbul, opened in the 2000s to complement the exhibition spaces and auction houses that have already contributed to the cosmopolitan nature of the city. These museums have yet to attain the popularity of older museums on the historic peninsula, including the Istanbul Archaeology Museums, which ushered in the era of modern museums in Turkey, and the Turkish and Islamic Arts Museum.
When did Istanbul establish as a artistic center?
By the end of the 19th century , Istanbul had established itself as a regional artistic center, with Turkish, European, and Middle Eastern artists flocking to the city.
By the end of the 19th century, Istanbul had established itself as a regional artistic center, with Turkish, European, and Middle Eastern artists flocking to the city. Despite efforts to make Ankara Turkey's cultural heart, Istanbul had the country's primary institution of art until the 1970s. When additional universities and art journals were founded in Istanbul during the 1980s, artists formerly based in Ankara moved in. Beyoğlu has been transformed into the artistic center of the city, with young artists and older Turkish artists formerly residing abroad finding footing there. Modern art museums, including İstanbul Modern, the Pera Museum, Sakıp Sabancı Museum and SantralIstanbul, opened in the 2000s to complement the exhibition spaces and auction houses that have already contributed to the cosmopolitan nature of the city. These museums have yet to attain the popularity of older museums on the historic peninsula, including the Istanbul Archaeology Museums, which ushered in the era of modern museums in Turkey, and the Turkish and Islamic Arts Museum.
<hl> By the end of the 19th century <hl> , Istanbul had established itself as a regional artistic center, with Turkish, European, and Middle Eastern artists flocking to the city.
<hl> By the end of the 19th century <hl>, Istanbul had established itself as a regional artistic center, with Turkish, European, and Middle Eastern artists flocking to the city. Despite efforts to make Ankara Turkey's cultural heart, Istanbul had the country's primary institution of art until the 1970s. When additional universities and art journals were founded in Istanbul during the 1980s, artists formerly based in Ankara moved in. Beyoğlu has been transformed into the artistic center of the city, with young artists and older Turkish artists formerly residing abroad finding footing there. Modern art museums, including İstanbul Modern, the Pera Museum, Sakıp Sabancı Museum and SantralIstanbul, opened in the 2000s to complement the exhibition spaces and auction houses that have already contributed to the cosmopolitan nature of the city. These museums have yet to attain the popularity of older museums on the historic peninsula, including the Istanbul Archaeology Museums, which ushered in the era of modern museums in Turkey, and the Turkish and Islamic Arts Museum.
<hl> By the end of the 19th century , Istanbul had established itself as a regional artistic center, with Turkish, European, and Middle Eastern artists flocking to the city. <hl> Despite efforts to make Ankara Turkey's cultural heart, Istanbul had the country's primary institution of art until the 1970s. When additional universities and art journals were founded in Istanbul during the 1980s, artists formerly based in Ankara moved in. Beyoğlu has been transformed into the artistic center of the city, with young artists and older Turkish artists formerly residing abroad finding footing there. Modern art museums, including İstanbul Modern, the Pera Museum, Sakıp Sabancı Museum and SantralIstanbul, opened in the 2000s to complement the exhibition spaces and auction houses that have already contributed to the cosmopolitan nature of the city. These museums have yet to attain the popularity of older museums on the historic peninsula, including the Istanbul Archaeology Museums, which ushered in the era of modern museums in Turkey, and the Turkish and Islamic Arts Museum.
5d65fa4a2b22cd4dfcfbd4b6
Sultanahmet Square
question: Where can you find Theodosius' obelisk?, context: Istanbul is primarily known for its Byzantine and Ottoman architecture, but its buildings reflect the various peoples and empires that have previously ruled the city. Examples of Genoese and Roman architecture remain visible in Istanbul alongside their Ottoman counterparts. Nothing of the architecture of the classical Greek period has survived, but Roman architecture has proved to be more durable. The obelisk erected by Theodosius in the Hippodrome of Constantinople is still visible in Sultanahmet Square, and a section of the Valens Aqueduct, constructed in the late 4th century, stands relatively intact at the western edge of the Fatih district. The Column of Constantine, erected in 330 CE to mark the new Roman capital, stands not far from the Hippodrome.
Where can you find Theodosius' obelisk?
The obelisk erected by Theodosius in the Hippodrome of Constantinople is still visible in Sultanahmet Square , and a section of the Valens Aqueduct, constructed in the late 4th century, stands relatively intact at the western edge of the Fatih district.
Istanbul is primarily known for its Byzantine and Ottoman architecture, but its buildings reflect the various peoples and empires that have previously ruled the city. Examples of Genoese and Roman architecture remain visible in Istanbul alongside their Ottoman counterparts. Nothing of the architecture of the classical Greek period has survived, but Roman architecture has proved to be more durable. The obelisk erected by Theodosius in the Hippodrome of Constantinople is still visible in Sultanahmet Square, and a section of the Valens Aqueduct, constructed in the late 4th century, stands relatively intact at the western edge of the Fatih district. The Column of Constantine, erected in 330 CE to mark the new Roman capital, stands not far from the Hippodrome.
The obelisk erected by Theodosius in the Hippodrome of Constantinople is still visible in <hl> Sultanahmet Square <hl> , and a section of the Valens Aqueduct, constructed in the late 4th century, stands relatively intact at the western edge of the Fatih district.
Istanbul is primarily known for its Byzantine and Ottoman architecture, but its buildings reflect the various peoples and empires that have previously ruled the city. Examples of Genoese and Roman architecture remain visible in Istanbul alongside their Ottoman counterparts. Nothing of the architecture of the classical Greek period has survived, but Roman architecture has proved to be more durable. The obelisk erected by Theodosius in the Hippodrome of Constantinople is still visible in <hl> Sultanahmet Square <hl>, and a section of the Valens Aqueduct, constructed in the late 4th century, stands relatively intact at the western edge of the Fatih district. The Column of Constantine, erected in 330 CE to mark the new Roman capital, stands not far from the Hippodrome.
Istanbul is primarily known for its Byzantine and Ottoman architecture, but its buildings reflect the various peoples and empires that have previously ruled the city. Examples of Genoese and Roman architecture remain visible in Istanbul alongside their Ottoman counterparts. Nothing of the architecture of the classical Greek period has survived, but Roman architecture has proved to be more durable. <hl> The obelisk erected by Theodosius in the Hippodrome of Constantinople is still visible in Sultanahmet Square , and a section of the Valens Aqueduct, constructed in the late 4th century, stands relatively intact at the western edge of the Fatih district. <hl> The Column of Constantine, erected in 330 CE to mark the new Roman capital, stands not far from the Hippodrome.
5d66b4172b22cd4dfcfbe408
Lower East Side
question: Which part of Manhattan was considered to be especially cramped and dirty?, context: The rise of immigration near the turn of the 20th century left major portions of Manhattan, especially the Lower East Side, densely packed with recent arrivals, crammed into unhealthy and unsanitary housing. Tenements were usually five-stories high, constructed on the then-typical 25x100 lots, with "cockroach landlords" exploiting the new immigrants. By 1929, stricter fire codes and the increased use of elevators in residential buildings, were the impetus behind a new housing code that effectively ended the tenement as a form of new construction, though many tenement buildings survive today on the East Side of the borough.
Which part of Manhattan was considered to be especially cramped and dirty?
The rise of immigration near the turn of the 20th century left major portions of Manhattan, especially the Lower East Side , densely packed with recent arrivals, crammed into unhealthy and unsanitary housing.
The rise of immigration near the turn of the 20th century left major portions of Manhattan, especially the Lower East Side, densely packed with recent arrivals, crammed into unhealthy and unsanitary housing. Tenements were usually five-stories high, constructed on the then-typical 25x100 lots, with "cockroach landlords" exploiting the new immigrants. By 1929, stricter fire codes and the increased use of elevators in residential buildings, were the impetus behind a new housing code that effectively ended the tenement as a form of new construction, though many tenement buildings survive today on the East Side of the borough.
The rise of immigration near the turn of the 20th century left major portions of Manhattan, especially the <hl> Lower East Side <hl> , densely packed with recent arrivals, crammed into unhealthy and unsanitary housing.
The rise of immigration near the turn of the 20th century left major portions of Manhattan, especially the <hl> Lower East Side <hl>, densely packed with recent arrivals, crammed into unhealthy and unsanitary housing. Tenements were usually five-stories high, constructed on the then-typical 25x100 lots, with "cockroach landlords" exploiting the new immigrants. By 1929, stricter fire codes and the increased use of elevators in residential buildings, were the impetus behind a new housing code that effectively ended the tenement as a form of new construction, though many tenement buildings survive today on the East Side of the borough.
<hl> The rise of immigration near the turn of the 20th century left major portions of Manhattan, especially the Lower East Side , densely packed with recent arrivals, crammed into unhealthy and unsanitary housing. <hl> Tenements were usually five-stories high, constructed on the then-typical 25x100 lots, with "cockroach landlords" exploiting the new immigrants. By 1929, stricter fire codes and the increased use of elevators in residential buildings, were the impetus behind a new housing code that effectively ended the tenement as a form of new construction, though many tenement buildings survive today on the East Side of the borough.
5d673ba22b22cd4dfcfbf37a
40 percent
question: What percentage of the inhabitants were slaves?, context: The Southern Colonies were mainly dominated by the wealthy planters in Maryland, Virginia, and South Carolina. They owned increasingly large plantations that were worked by African slaves. Of the 650,000 inhabitants of the South in 1750, about 250,000 or 40 percent, were slaves. The plantations grew tobacco, indigo and rice for export, and raised most of their own food supplies. In addition, many small subsistence farms were family owned and operated by yeoman. Most white men owned some land, and therefore could vote.
What percentage of the inhabitants were slaves?
Of the 650,000 inhabitants of the South in 1750, about 250,000 or 40 percent , were slaves.
The Southern Colonies were mainly dominated by the wealthy planters in Maryland, Virginia, and South Carolina. They owned increasingly large plantations that were worked by African slaves. Of the 650,000 inhabitants of the South in 1750, about 250,000 or 40 percent, were slaves. The plantations grew tobacco, indigo and rice for export, and raised most of their own food supplies. In addition, many small subsistence farms were family owned and operated by yeoman. Most white men owned some land, and therefore could vote.
Of the 650,000 inhabitants of the South in 1750, about 250,000 or <hl> 40 percent <hl> , were slaves.
The Southern Colonies were mainly dominated by the wealthy planters in Maryland, Virginia, and South Carolina. They owned increasingly large plantations that were worked by African slaves. Of the 650,000 inhabitants of the South in 1750, about 250,000 or <hl> 40 percent <hl>, were slaves. The plantations grew tobacco, indigo and rice for export, and raised most of their own food supplies. In addition, many small subsistence farms were family owned and operated by yeoman. Most white men owned some land, and therefore could vote.
The Southern Colonies were mainly dominated by the wealthy planters in Maryland, Virginia, and South Carolina. They owned increasingly large plantations that were worked by African slaves. <hl> Of the 650,000 inhabitants of the South in 1750, about 250,000 or 40 percent , were slaves. <hl> The plantations grew tobacco, indigo and rice for export, and raised most of their own food supplies. In addition, many small subsistence farms were family owned and operated by yeoman. Most white men owned some land, and therefore could vote.
5d660d6d2b22cd4dfcfbd732
Istanbulites and foreign tourists
question: Who frequently goes to the Princes' Islands?, context: Aside from typical Turkish cuisine like kebab, Istanbul is also famous for its historic seafood restaurants. Many of the city's most popular and upscale seafood restaurants line the shores of the Bosphorus (particularly in neighborhoods like Ortaköy, Bebek, Arnavutköy, Yeniköy, Beylerbeyi and Çengelköy). Kumkapı along the Sea of Marmara has a pedestrian zone that hosts around fifty fish restaurants. The Princes' Islands, 15 kilometers (9 mi) from the city center, are also popular for their seafood restaurants. Because of their restaurants, historic summer mansions, and tranquil, car-free streets, the Princes' Islands are a popular vacation destination among Istanbulites and foreign tourists.
Who frequently goes to the Princes' Islands?
Because of their restaurants, historic summer mansions, and tranquil, car-free streets, the Princes' Islands are a popular vacation destination among Istanbulites and foreign tourists .
Aside from typical Turkish cuisine like kebab, Istanbul is also famous for its historic seafood restaurants. Many of the city's most popular and upscale seafood restaurants line the shores of the Bosphorus (particularly in neighborhoods like Ortaköy, Bebek, Arnavutköy, Yeniköy, Beylerbeyi and Çengelköy). Kumkapı along the Sea of Marmara has a pedestrian zone that hosts around fifty fish restaurants. The Princes' Islands, 15 kilometers (9 mi) from the city center, are also popular for their seafood restaurants. Because of their restaurants, historic summer mansions, and tranquil, car-free streets, the Princes' Islands are a popular vacation destination among Istanbulites and foreign tourists.
Because of their restaurants, historic summer mansions, and tranquil, car-free streets, the Princes' Islands are a popular vacation destination among <hl> Istanbulites and foreign tourists <hl> .
Aside from typical Turkish cuisine like kebab, Istanbul is also famous for its historic seafood restaurants. Many of the city's most popular and upscale seafood restaurants line the shores of the Bosphorus (particularly in neighborhoods like Ortaköy, Bebek, Arnavutköy, Yeniköy, Beylerbeyi and Çengelköy). Kumkapı along the Sea of Marmara has a pedestrian zone that hosts around fifty fish restaurants. The Princes' Islands, 15 kilometers (9 mi) from the city center, are also popular for their seafood restaurants. Because of their restaurants, historic summer mansions, and tranquil, car-free streets, the Princes' Islands are a popular vacation destination among <hl> Istanbulites and foreign tourists <hl>.
Aside from typical Turkish cuisine like kebab, Istanbul is also famous for its historic seafood restaurants. Many of the city's most popular and upscale seafood restaurants line the shores of the Bosphorus (particularly in neighborhoods like Ortaköy, Bebek, Arnavutköy, Yeniköy, Beylerbeyi and Çengelköy). Kumkapı along the Sea of Marmara has a pedestrian zone that hosts around fifty fish restaurants. The Princes' Islands, 15 kilometers (9 mi) from the city center, are also popular for their seafood restaurants. <hl> Because of their restaurants, historic summer mansions, and tranquil, car-free streets, the Princes' Islands are a popular vacation destination among Istanbulites and foreign tourists . <hl>
5d65eb8f2b22cd4dfcfbd2a3
risk factor of cardiovascular disease and mortality.
question: What is osteoprotegerin?, context: A fairly recent emphasis is on the link between low-grade inflammation that hallmarks atherosclerosis and its possible interventions. C-reactive protein is a common inflammatory marker that has been found to be present in increased levels in patients who are at risk for cardiovascular disease. Also osteoprotegerin, which is involved with regulation of a key inflammatory transcription factor called NF-κB, has been found to be a risk factor of cardiovascular disease and mortality.
What is osteoprotegerin?
Also osteoprotegerin, which is involved with regulation of a key inflammatory transcription factor called NF-κB, has been found to be a risk factor of cardiovascular disease and mortality.
A fairly recent emphasis is on the link between low-grade inflammation that hallmarks atherosclerosis and its possible interventions. C-reactive protein is a common inflammatory marker that has been found to be present in increased levels in patients who are at risk for cardiovascular disease. Also osteoprotegerin, which is involved with regulation of a key inflammatory transcription factor called NF-κB, has been found to be a risk factor of cardiovascular disease and mortality.
Also osteoprotegerin, which is involved with regulation of a key inflammatory transcription factor called NF-κB, has been found to be a <hl> risk factor of cardiovascular disease and mortality. <hl>
A fairly recent emphasis is on the link between low-grade inflammation that hallmarks atherosclerosis and its possible interventions. C-reactive protein is a common inflammatory marker that has been found to be present in increased levels in patients who are at risk for cardiovascular disease. Also osteoprotegerin, which is involved with regulation of a key inflammatory transcription factor called NF-κB, has been found to be a <hl> risk factor of cardiovascular disease and mortality. <hl>
A fairly recent emphasis is on the link between low-grade inflammation that hallmarks atherosclerosis and its possible interventions. C-reactive protein is a common inflammatory marker that has been found to be present in increased levels in patients who are at risk for cardiovascular disease. <hl> Also osteoprotegerin, which is involved with regulation of a key inflammatory transcription factor called NF-κB, has been found to be a risk factor of cardiovascular disease and mortality. <hl>
5d6663412b22cd4dfcfbdd53
Adiabatic
question: What type of cooling happens when air rises and expands?, context: There are four main mechanisms for cooling the air to its dew point: adiabatic cooling, conductive cooling, radiational cooling, and evaporative cooling. Adiabatic cooling occurs when air rises and expands. The air can rise due to convection, large-scale atmospheric motions, or a physical barrier such as a mountain (orographic lift). Conductive cooling occurs when the air comes into contact with a colder surface, usually by being blown from one surface to another, for example from a liquid water surface to colder land. Radiational cooling occurs due to the emission of infrared radiation, either by the air or by the surface underneath. Evaporative cooling occurs when moisture is added to the air through evaporation, which forces the air temperature to cool to its wet-bulb temperature, or until it reaches saturation.
What type of cooling happens when air rises and expands?
Adiabatic cooling occurs when air rises and expands.
There are four main mechanisms for cooling the air to its dew point: adiabatic cooling, conductive cooling, radiational cooling, and evaporative cooling. Adiabatic cooling occurs when air rises and expands. The air can rise due to convection, large-scale atmospheric motions, or a physical barrier such as a mountain (orographic lift). Conductive cooling occurs when the air comes into contact with a colder surface, usually by being blown from one surface to another, for example from a liquid water surface to colder land. Radiational cooling occurs due to the emission of infrared radiation, either by the air or by the surface underneath. Evaporative cooling occurs when moisture is added to the air through evaporation, which forces the air temperature to cool to its wet-bulb temperature, or until it reaches saturation.
<hl> Adiabatic <hl> cooling occurs when air rises and expands.
There are four main mechanisms for cooling the air to its dew point: adiabatic cooling, conductive cooling, radiational cooling, and evaporative cooling. <hl> Adiabatic <hl> cooling occurs when air rises and expands. The air can rise due to convection, large-scale atmospheric motions, or a physical barrier such as a mountain (orographic lift). Conductive cooling occurs when the air comes into contact with a colder surface, usually by being blown from one surface to another, for example from a liquid water surface to colder land. Radiational cooling occurs due to the emission of infrared radiation, either by the air or by the surface underneath. Evaporative cooling occurs when moisture is added to the air through evaporation, which forces the air temperature to cool to its wet-bulb temperature, or until it reaches saturation.
There are four main mechanisms for cooling the air to its dew point: adiabatic cooling, conductive cooling, radiational cooling, and evaporative cooling. <hl> Adiabatic cooling occurs when air rises and expands. <hl> The air can rise due to convection, large-scale atmospheric motions, or a physical barrier such as a mountain (orographic lift). Conductive cooling occurs when the air comes into contact with a colder surface, usually by being blown from one surface to another, for example from a liquid water surface to colder land. Radiational cooling occurs due to the emission of infrared radiation, either by the air or by the surface underneath. Evaporative cooling occurs when moisture is added to the air through evaporation, which forces the air temperature to cool to its wet-bulb temperature, or until it reaches saturation.
5d67ce8a2b22cd4dfcfc025d
the 1880s
question: When was Istanbul linked up to Europe via railroad?, context: A period of rebellion at the start of the 19th century led to the rise of the progressive Sultan Mahmud II and eventually to the Tanzimat period, which produced political reforms and allowed new technology to be introduced to the city. Bridges across the Golden Horn were constructed during this period, and Istanbul was connected to the rest of the European railway network in the 1880s. Modern facilities, such as a water supply network, electricity, telephones, and trams, were gradually introduced to Istanbul over the following decades, although later than to other European cities. The modernization efforts were not enough to forestall the decline of the Ottoman Empire.
When was Istanbul linked up to Europe via railroad?
Bridges across the Golden Horn were constructed during this period, and Istanbul was connected to the rest of the European railway network in the 1880s .
A period of rebellion at the start of the 19th century led to the rise of the progressive Sultan Mahmud II and eventually to the Tanzimat period, which produced political reforms and allowed new technology to be introduced to the city. Bridges across the Golden Horn were constructed during this period, and Istanbul was connected to the rest of the European railway network in the 1880s. Modern facilities, such as a water supply network, electricity, telephones, and trams, were gradually introduced to Istanbul over the following decades, although later than to other European cities. The modernization efforts were not enough to forestall the decline of the Ottoman Empire.
Bridges across the Golden Horn were constructed during this period, and Istanbul was connected to the rest of the European railway network in <hl> the 1880s <hl> .
A period of rebellion at the start of the 19th century led to the rise of the progressive Sultan Mahmud II and eventually to the Tanzimat period, which produced political reforms and allowed new technology to be introduced to the city. Bridges across the Golden Horn were constructed during this period, and Istanbul was connected to the rest of the European railway network in <hl> the 1880s <hl>. Modern facilities, such as a water supply network, electricity, telephones, and trams, were gradually introduced to Istanbul over the following decades, although later than to other European cities. The modernization efforts were not enough to forestall the decline of the Ottoman Empire.
A period of rebellion at the start of the 19th century led to the rise of the progressive Sultan Mahmud II and eventually to the Tanzimat period, which produced political reforms and allowed new technology to be introduced to the city. <hl> Bridges across the Golden Horn were constructed during this period, and Istanbul was connected to the rest of the European railway network in the 1880s . <hl> Modern facilities, such as a water supply network, electricity, telephones, and trams, were gradually introduced to Istanbul over the following decades, although later than to other European cities. The modernization efforts were not enough to forestall the decline of the Ottoman Empire.
5d65e4872b22cd4dfcfbd16b
1819
question: When did the school achieve university status?, context: Within a short period, more advanced education in the area was needed, so in 1819 the Commonwealth of Pennsylvania amended the school's 1787 charter to confer university status. The school took the name the Western University of Pennsylvania, or WUP, and was intended to be the western sister institution to the University of Pennsylvania in Philadelphia. By 1830, WUP had moved into a new three-story, freestone-fronted building, with Ionic columns and a cupola, near its original buildings fronting the south side of Third Street, between Smithfield Street and Cherry Alley in downtown Pittsburgh. By the 1830s, the university faced severe financial pressure to abandon its traditional liberal education in favor of the state legislature's desire for it to provide more vocational training. The decision to remain committed to liberal education nearly killed the university, but it persevered despite its abandonment by the city and state. It was also during this era that the founder of Mellon Bank, Thomas Mellon (Class of 1837), graduated and later taught at WUP.
When did the school achieve university status?
Within a short period, more advanced education in the area was needed, so in 1819 the Commonwealth of Pennsylvania amended the school's 1787 charter to confer university status.
Within a short period, more advanced education in the area was needed, so in 1819 the Commonwealth of Pennsylvania amended the school's 1787 charter to confer university status. The school took the name the Western University of Pennsylvania, or WUP, and was intended to be the western sister institution to the University of Pennsylvania in Philadelphia. By 1830, WUP had moved into a new three-story, freestone-fronted building, with Ionic columns and a cupola, near its original buildings fronting the south side of Third Street, between Smithfield Street and Cherry Alley in downtown Pittsburgh. By the 1830s, the university faced severe financial pressure to abandon its traditional liberal education in favor of the state legislature's desire for it to provide more vocational training. The decision to remain committed to liberal education nearly killed the university, but it persevered despite its abandonment by the city and state. It was also during this era that the founder of Mellon Bank, Thomas Mellon (Class of 1837), graduated and later taught at WUP.
Within a short period, more advanced education in the area was needed, so in <hl> 1819 <hl> the Commonwealth of Pennsylvania amended the school's 1787 charter to confer university status.
Within a short period, more advanced education in the area was needed, so in <hl> 1819 <hl> the Commonwealth of Pennsylvania amended the school's 1787 charter to confer university status. The school took the name the Western University of Pennsylvania, or WUP, and was intended to be the western sister institution to the University of Pennsylvania in Philadelphia. By 1830, WUP had moved into a new three-story, freestone-fronted building, with Ionic columns and a cupola, near its original buildings fronting the south side of Third Street, between Smithfield Street and Cherry Alley in downtown Pittsburgh. By the 1830s, the university faced severe financial pressure to abandon its traditional liberal education in favor of the state legislature's desire for it to provide more vocational training. The decision to remain committed to liberal education nearly killed the university, but it persevered despite its abandonment by the city and state. It was also during this era that the founder of Mellon Bank, Thomas Mellon (Class of 1837), graduated and later taught at WUP.
<hl> Within a short period, more advanced education in the area was needed, so in 1819 the Commonwealth of Pennsylvania amended the school's 1787 charter to confer university status. <hl> The school took the name the Western University of Pennsylvania, or WUP, and was intended to be the western sister institution to the University of Pennsylvania in Philadelphia. By 1830, WUP had moved into a new three-story, freestone-fronted building, with Ionic columns and a cupola, near its original buildings fronting the south side of Third Street, between Smithfield Street and Cherry Alley in downtown Pittsburgh. By the 1830s, the university faced severe financial pressure to abandon its traditional liberal education in favor of the state legislature's desire for it to provide more vocational training. The decision to remain committed to liberal education nearly killed the university, but it persevered despite its abandonment by the city and state. It was also during this era that the founder of Mellon Bank, Thomas Mellon (Class of 1837), graduated and later taught at WUP.
5d66fc6f2b22cd4dfcfbe906
10%
question: What percentage of cardiovascular disease is attributed to smoking?, context: Cigarettes are the major form of smoked tobacco. Risks to health from tobacco use result not only from direct consumption of tobacco, but also from exposure to second-hand smoke. Approximately 10% of cardiovascular disease is attributed to smoking; however, people who quit smoking by age 30 have almost as low a risk of death as never smokers.
What percentage of cardiovascular disease is attributed to smoking?
Approximately 10% of cardiovascular disease is attributed to smoking; however, people who quit smoking by age 30 have almost as low a risk of death as never smokers.
Cigarettes are the major form of smoked tobacco. Risks to health from tobacco use result not only from direct consumption of tobacco, but also from exposure to second-hand smoke. Approximately 10% of cardiovascular disease is attributed to smoking; however, people who quit smoking by age 30 have almost as low a risk of death as never smokers.
Approximately <hl> 10% <hl> of cardiovascular disease is attributed to smoking; however, people who quit smoking by age 30 have almost as low a risk of death as never smokers.
Cigarettes are the major form of smoked tobacco. Risks to health from tobacco use result not only from direct consumption of tobacco, but also from exposure to second-hand smoke. Approximately <hl> 10% <hl> of cardiovascular disease is attributed to smoking; however, people who quit smoking by age 30 have almost as low a risk of death as never smokers.
Cigarettes are the major form of smoked tobacco. Risks to health from tobacco use result not only from direct consumption of tobacco, but also from exposure to second-hand smoke. <hl> Approximately 10% of cardiovascular disease is attributed to smoking; however, people who quit smoking by age 30 have almost as low a risk of death as never smokers. <hl>
5d65bf9f2b22cd4dfcfbcb42
in the city
question: Where is the headquarters of the Turkish Orthodox Church located?, context: The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located in the city. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
Where is the headquarters of the Turkish Orthodox Church located?
The headquarters of the Turkish Orthodox Church are located in the city .
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located in the city. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
The headquarters of the Turkish Orthodox Church are located <hl> in the city <hl> .
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. The headquarters of the Turkish Orthodox Church are located <hl> in the city <hl>. Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
The Patriarch of Constantinople has been designated Ecumenical Patriarch since the sixth century, and has subsequently come to be widely regarded as the leader of the world's 300 million Orthodox Christians. Since 1601, the Patriarchate has been based in Istanbul's Church of St. George. Into the 19th century, the Christians of Istanbul tended to be either Greek Orthodox or members of the Armenian Apostolic Church. <hl> The headquarters of the Turkish Orthodox Church are located in the city . <hl> Because of events during the 20th century—including the 1923 population exchange between Greece and Turkey, a 1942 wealth tax, and the 1955 Istanbul riots—the Greek population, originally centered in Fener and Samatya, has decreased substantially. At the start of the 21st century, Istanbul's Greek population numbered 3,000 (down from 130,000 in 1923 and 260,000 according to the Ottoman Census of 1910 of 850,000 total). There are today between 50,000 and 70,000 Armenians in Istanbul, down from 164,000 in 1913 partly due to the Armenian Genocide. Christians made up half the population of the city in 1910.
5d66f0572b22cd4dfcfbe660
the domain is also an element of the domain
question: When would you be unable to denote the image of a subset A ⊆ X with f(A)?, context: Use of f(A) to denote the image of a subset A ⊆ X is consistent so long as no subset of the domain is also an element of the domain. In some fields (e.g., in set theory, where ordinals are also sets of ordinals) it is convenient or even necessary to distinguish the two concepts; the customary notation is f[A] for the set { f(x): x ∈ A }. Likewise, some authors use square brackets to avoid confusion between the inverse image and the inverse function. Thus they would write f−1[B] and f−1[b] for the preimage of a set and a singleton.
When would you be unable to denote the image of a subset A ⊆ X with f(A)?
Use of f(A) to denote the image of a subset A ⊆ X is consistent so long as no subset of the domain is also an element of the domain .
Use of f(A) to denote the image of a subset A ⊆ X is consistent so long as no subset of the domain is also an element of the domain. In some fields (e.g., in set theory, where ordinals are also sets of ordinals) it is convenient or even necessary to distinguish the two concepts; the customary notation is f[A] for the set { f(x): x ∈ A }. Likewise, some authors use square brackets to avoid confusion between the inverse image and the inverse function. Thus they would write f−1[B] and f−1[b] for the preimage of a set and a singleton.
Use of f(A) to denote the image of a subset A ⊆ X is consistent so long as no subset of <hl> the domain is also an element of the domain <hl> .
Use of f(A) to denote the image of a subset A ⊆ X is consistent so long as no subset of <hl> the domain is also an element of the domain <hl>. In some fields (e.g., in set theory, where ordinals are also sets of ordinals) it is convenient or even necessary to distinguish the two concepts; the customary notation is f[A] for the set { f(x): x ∈ A }. Likewise, some authors use square brackets to avoid confusion between the inverse image and the inverse function. Thus they would write f−1[B] and f−1[b] for the preimage of a set and a singleton.
<hl> Use of f(A) to denote the image of a subset A ⊆ X is consistent so long as no subset of the domain is also an element of the domain . <hl> In some fields (e.g., in set theory, where ordinals are also sets of ordinals) it is convenient or even necessary to distinguish the two concepts; the customary notation is f[A] for the set { f(x): x ∈ A }. Likewise, some authors use square brackets to avoid confusion between the inverse image and the inverse function. Thus they would write f−1[B] and f−1[b] for the preimage of a set and a singleton.
5d660c212b22cd4dfcfbd6e4
the city of Sis (modern-day Kozan, Adana, Turkey)
question: where was the city of Sis in todays map?, context: The history of the Great House of Cilicia as an autocephalous church is as follows: after the fall of Ani and the Armenian Kingdom of the Bagradits in 1045, masses of Armenians migrated to Cilicia and the Catholicossate settled there. The seat of the church (now known as the Catholicossate of the Great House of Cilicia) was first established in Sivas (AD 1058) moving to Tavbloor (1062), then to Dzamendav (1066), Dzovk (1116), Hromgla (1149), and finally to Sis (1293), then-capital of the Armenian Kingdom of Cilicia. Beginning in 1293 and continuing for more than six centuries, the city of Sis (modern-day Kozan, Adana, Turkey) was the center of the Catholicossate of the Great House of Cilicia.
where was the city of Sis in todays map?
Beginning in 1293 and continuing for more than six centuries, the city of Sis (modern-day Kozan, Adana, Turkey) was the center of the Catholicossate of the Great House of Cilicia.
The history of the Great House of Cilicia as an autocephalous church is as follows: after the fall of Ani and the Armenian Kingdom of the Bagradits in 1045, masses of Armenians migrated to Cilicia and the Catholicossate settled there. The seat of the church (now known as the Catholicossate of the Great House of Cilicia) was first established in Sivas (AD 1058) moving to Tavbloor (1062), then to Dzamendav (1066), Dzovk (1116), Hromgla (1149), and finally to Sis (1293), then-capital of the Armenian Kingdom of Cilicia. Beginning in 1293 and continuing for more than six centuries, the city of Sis (modern-day Kozan, Adana, Turkey) was the center of the Catholicossate of the Great House of Cilicia.
Beginning in 1293 and continuing for more than six centuries, <hl> the city of Sis (modern-day Kozan, Adana, Turkey) <hl> was the center of the Catholicossate of the Great House of Cilicia.
The history of the Great House of Cilicia as an autocephalous church is as follows: after the fall of Ani and the Armenian Kingdom of the Bagradits in 1045, masses of Armenians migrated to Cilicia and the Catholicossate settled there. The seat of the church (now known as the Catholicossate of the Great House of Cilicia) was first established in Sivas (AD 1058) moving to Tavbloor (1062), then to Dzamendav (1066), Dzovk (1116), Hromgla (1149), and finally to Sis (1293), then-capital of the Armenian Kingdom of Cilicia. Beginning in 1293 and continuing for more than six centuries, <hl> the city of Sis (modern-day Kozan, Adana, Turkey) <hl> was the center of the Catholicossate of the Great House of Cilicia.
The history of the Great House of Cilicia as an autocephalous church is as follows: after the fall of Ani and the Armenian Kingdom of the Bagradits in 1045, masses of Armenians migrated to Cilicia and the Catholicossate settled there. The seat of the church (now known as the Catholicossate of the Great House of Cilicia) was first established in Sivas (AD 1058) moving to Tavbloor (1062), then to Dzamendav (1066), Dzovk (1116), Hromgla (1149), and finally to Sis (1293), then-capital of the Armenian Kingdom of Cilicia. <hl> Beginning in 1293 and continuing for more than six centuries, the city of Sis (modern-day Kozan, Adana, Turkey) was the center of the Catholicossate of the Great House of Cilicia. <hl>
5d65727f2b22cd4dfcfbc8f4
Nieuw-Nederland
question: What is the Dutch named for New Netherland?, context: Nieuw-Nederland, or New Netherland, chartered in 1614, was a colonial province of the Republic of the Seven United Netherlands in what became New York State, New Jersey, and parts of other neighboring states. The peak population was less than 10,000. The Dutch established a patroon system with feudal-like rights given to a few powerful landholders; they also established religious tolerance and free trade. The colony's capital, New Amsterdam, founded in 1625 and located at the southern tip of the island of Manhattan, would grow to become a major world city. The city was captured by the English in 1664; they took complete control of the colony in 1674 and renamed it New York. However the Dutch landholdings remained, and the Hudson River Valley maintained a traditional Dutch character until the 1820s. Traces of Dutch influence—such as homes, family surnames, and the names of roads and whole towns—remain in present-day northern New Jersey and southeastern New York State.
What is the Dutch named for New Netherland?
Nieuw-Nederland , or New Netherland, chartered in 1614, was a colonial province of the Republic of the Seven United Netherlands in what became New York State, New Jersey, and parts of other neighboring states.
Nieuw-Nederland, or New Netherland, chartered in 1614, was a colonial province of the Republic of the Seven United Netherlands in what became New York State, New Jersey, and parts of other neighboring states. The peak population was less than 10,000. The Dutch established a patroon system with feudal-like rights given to a few powerful landholders; they also established religious tolerance and free trade. The colony's capital, New Amsterdam, founded in 1625 and located at the southern tip of the island of Manhattan, would grow to become a major world city. The city was captured by the English in 1664; they took complete control of the colony in 1674 and renamed it New York. However the Dutch landholdings remained, and the Hudson River Valley maintained a traditional Dutch character until the 1820s. Traces of Dutch influence—such as homes, family surnames, and the names of roads and whole towns—remain in present-day northern New Jersey and southeastern New York State.
<hl> Nieuw-Nederland <hl> , or New Netherland, chartered in 1614, was a colonial province of the Republic of the Seven United Netherlands in what became New York State, New Jersey, and parts of other neighboring states.
<hl> Nieuw-Nederland <hl>, or New Netherland, chartered in 1614, was a colonial province of the Republic of the Seven United Netherlands in what became New York State, New Jersey, and parts of other neighboring states. The peak population was less than 10,000. The Dutch established a patroon system with feudal-like rights given to a few powerful landholders; they also established religious tolerance and free trade. The colony's capital, New Amsterdam, founded in 1625 and located at the southern tip of the island of Manhattan, would grow to become a major world city. The city was captured by the English in 1664; they took complete control of the colony in 1674 and renamed it New York. However the Dutch landholdings remained, and the Hudson River Valley maintained a traditional Dutch character until the 1820s. Traces of Dutch influence—such as homes, family surnames, and the names of roads and whole towns—remain in present-day northern New Jersey and southeastern New York State.
<hl> Nieuw-Nederland , or New Netherland, chartered in 1614, was a colonial province of the Republic of the Seven United Netherlands in what became New York State, New Jersey, and parts of other neighboring states. <hl> The peak population was less than 10,000. The Dutch established a patroon system with feudal-like rights given to a few powerful landholders; they also established religious tolerance and free trade. The colony's capital, New Amsterdam, founded in 1625 and located at the southern tip of the island of Manhattan, would grow to become a major world city. The city was captured by the English in 1664; they took complete control of the colony in 1674 and renamed it New York. However the Dutch landholdings remained, and the Hudson River Valley maintained a traditional Dutch character until the 1820s. Traces of Dutch influence—such as homes, family surnames, and the names of roads and whole towns—remain in present-day northern New Jersey and southeastern New York State.
5d65e59a2b22cd4dfcfbd1a4
four
question: How many Panther's guard the Hollow bridge?, context: In the fall of 1909, the University of Pittsburgh was the first college or university to adopt the panther (Puma concolor) as its mascot. Popular as photo sites, there are ten representations of Panthers in and about Pitt's campus, and ten more painted fiberglass panthers placed around the campus by the Pitt Student Government. These fiberglass panther structures are given to a campus group for a year and painted by the group to reflect their interests. The oldest representations are four panthers that guard each corner of the Panther Hollow bridge. Other Oakland locations include both inside and in front of the William Pitt Union, outside the Petersen Events Center, "Pitt the Panther" on the carousel in Schenley Plaza, the Panther head fountain on the front of the Cathedral of Learning, and the Pitt Panther statue outside Heinz Field on Pittsburgh's North Side.
How many Panther's guard the Hollow bridge?
The oldest representations are four panthers that guard each corner of the Panther Hollow bridge.
In the fall of 1909, the University of Pittsburgh was the first college or university to adopt the panther (Puma concolor) as its mascot. Popular as photo sites, there are ten representations of Panthers in and about Pitt's campus, and ten more painted fiberglass panthers placed around the campus by the Pitt Student Government. These fiberglass panther structures are given to a campus group for a year and painted by the group to reflect their interests. The oldest representations are four panthers that guard each corner of the Panther Hollow bridge. Other Oakland locations include both inside and in front of the William Pitt Union, outside the Petersen Events Center, "Pitt the Panther" on the carousel in Schenley Plaza, the Panther head fountain on the front of the Cathedral of Learning, and the Pitt Panther statue outside Heinz Field on Pittsburgh's North Side.
The oldest representations are <hl> four <hl> panthers that guard each corner of the Panther Hollow bridge.
In the fall of 1909, the University of Pittsburgh was the first college or university to adopt the panther (Puma concolor) as its mascot. Popular as photo sites, there are ten representations of Panthers in and about Pitt's campus, and ten more painted fiberglass panthers placed around the campus by the Pitt Student Government. These fiberglass panther structures are given to a campus group for a year and painted by the group to reflect their interests. The oldest representations are <hl> four <hl> panthers that guard each corner of the Panther Hollow bridge. Other Oakland locations include both inside and in front of the William Pitt Union, outside the Petersen Events Center, "Pitt the Panther" on the carousel in Schenley Plaza, the Panther head fountain on the front of the Cathedral of Learning, and the Pitt Panther statue outside Heinz Field on Pittsburgh's North Side.
In the fall of 1909, the University of Pittsburgh was the first college or university to adopt the panther (Puma concolor) as its mascot. Popular as photo sites, there are ten representations of Panthers in and about Pitt's campus, and ten more painted fiberglass panthers placed around the campus by the Pitt Student Government. These fiberglass panther structures are given to a campus group for a year and painted by the group to reflect their interests. <hl> The oldest representations are four panthers that guard each corner of the Panther Hollow bridge. <hl> Other Oakland locations include both inside and in front of the William Pitt Union, outside the Petersen Events Center, "Pitt the Panther" on the carousel in Schenley Plaza, the Panther head fountain on the front of the Cathedral of Learning, and the Pitt Panther statue outside Heinz Field on Pittsburgh's North Side.
5d66f8642b22cd4dfcfbe874
intentions and beliefs
question: What do people typically base their moral judgements of intentional harms on aside from the action outcome itself?, context: Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
What do people typically base their moral judgements of intentional harms on aside from the action outcome itself?
On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs .
Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's <hl> intentions and beliefs <hl> .
Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's <hl> intentions and beliefs <hl>. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. <hl> On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs . <hl> So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
5d6754ac2b22cd4dfcfbf73e
penalty shot
question: What does a player get if the defender tries to cover the puck in the crease?, context: A "penalty shot" is awarded to a player when the illegal actions of another player stop a clear scoring opportunity, most commonly when the player is on a "breakaway". A penalty shot allows the obstructed player to pick up the puck on the centre red-line and attempt to score on the goalie with no other players on the ice, to compensate for the earlier missed scoring opportunity. A penalty shot is also awarded for a defender other than the goaltender covering the puck in the goal crease, a goaltender intentionally displacing his own goal posts during a breakaway to avoid a goal, a defender intentionally displacing his own goal posts when there is less than two minutes to play in regulation time or at any point during overtime, or a player or coach intentionally throwing a stick or other object at the puck or the puck carrier and the throwing action disrupts a shot or pass play.
What does a player get if the defender tries to cover the puck in the crease?
A " penalty shot " is awarded to a player when the illegal actions of another player stop a clear scoring opportunity, most commonly when the player is on a "breakaway".
A "penalty shot" is awarded to a player when the illegal actions of another player stop a clear scoring opportunity, most commonly when the player is on a "breakaway". A penalty shot allows the obstructed player to pick up the puck on the centre red-line and attempt to score on the goalie with no other players on the ice, to compensate for the earlier missed scoring opportunity. A penalty shot is also awarded for a defender other than the goaltender covering the puck in the goal crease, a goaltender intentionally displacing his own goal posts during a breakaway to avoid a goal, a defender intentionally displacing his own goal posts when there is less than two minutes to play in regulation time or at any point during overtime, or a player or coach intentionally throwing a stick or other object at the puck or the puck carrier and the throwing action disrupts a shot or pass play.
A " <hl> penalty shot <hl> " is awarded to a player when the illegal actions of another player stop a clear scoring opportunity, most commonly when the player is on a "breakaway".
A "<hl> penalty shot <hl>" is awarded to a player when the illegal actions of another player stop a clear scoring opportunity, most commonly when the player is on a "breakaway". A penalty shot allows the obstructed player to pick up the puck on the centre red-line and attempt to score on the goalie with no other players on the ice, to compensate for the earlier missed scoring opportunity. A penalty shot is also awarded for a defender other than the goaltender covering the puck in the goal crease, a goaltender intentionally displacing his own goal posts during a breakaway to avoid a goal, a defender intentionally displacing his own goal posts when there is less than two minutes to play in regulation time or at any point during overtime, or a player or coach intentionally throwing a stick or other object at the puck or the puck carrier and the throwing action disrupts a shot or pass play.
<hl> A " penalty shot " is awarded to a player when the illegal actions of another player stop a clear scoring opportunity, most commonly when the player is on a "breakaway". <hl> A penalty shot allows the obstructed player to pick up the puck on the centre red-line and attempt to score on the goalie with no other players on the ice, to compensate for the earlier missed scoring opportunity. A penalty shot is also awarded for a defender other than the goaltender covering the puck in the goal crease, a goaltender intentionally displacing his own goal posts during a breakaway to avoid a goal, a defender intentionally displacing his own goal posts when there is less than two minutes to play in regulation time or at any point during overtime, or a player or coach intentionally throwing a stick or other object at the puck or the puck carrier and the throwing action disrupts a shot or pass play.
5d6639982b22cd4dfcfbdb20
English law
question: Granting women control over property came into conflict with what?, context: There were ethnic differences in the treatment of women. Among Puritan settlers in New England, wives almost never worked in the fields with their husbands. In German communities in Pennsylvania, however, many women worked in fields and stables. German and Dutch immigrants granted women more control over property, which was not permitted in the local English law. Unlike English colonial wives, German and Dutch wives owned their own clothes and other items and were also given the ability to write wills disposing of the property brought into the marriage.
Granting women control over property came into conflict with what?
German and Dutch immigrants granted women more control over property, which was not permitted in the local English law .
There were ethnic differences in the treatment of women. Among Puritan settlers in New England, wives almost never worked in the fields with their husbands. In German communities in Pennsylvania, however, many women worked in fields and stables. German and Dutch immigrants granted women more control over property, which was not permitted in the local English law. Unlike English colonial wives, German and Dutch wives owned their own clothes and other items and were also given the ability to write wills disposing of the property brought into the marriage.
German and Dutch immigrants granted women more control over property, which was not permitted in the local <hl> English law <hl> .
There were ethnic differences in the treatment of women. Among Puritan settlers in New England, wives almost never worked in the fields with their husbands. In German communities in Pennsylvania, however, many women worked in fields and stables. German and Dutch immigrants granted women more control over property, which was not permitted in the local <hl> English law <hl>. Unlike English colonial wives, German and Dutch wives owned their own clothes and other items and were also given the ability to write wills disposing of the property brought into the marriage.
There were ethnic differences in the treatment of women. Among Puritan settlers in New England, wives almost never worked in the fields with their husbands. In German communities in Pennsylvania, however, many women worked in fields and stables. <hl> German and Dutch immigrants granted women more control over property, which was not permitted in the local English law . <hl> Unlike English colonial wives, German and Dutch wives owned their own clothes and other items and were also given the ability to write wills disposing of the property brought into the marriage.
5d6689502b22cd4dfcfbe20b
In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings.
question: What happened in 1980?, context: Manipur has had a long record of insurgency and inter-ethnic violence. The first armed opposition group in Manipur, the United National Liberation Front (UNLF), was founded in 1964, which declared that it wanted to gain independence from India and form Manipur as a new country. Over time, many more groups formed in Manipur, each with different goals, and deriving support from diverse ethnic groups in Manipur. For example, in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed, the People's Liberation Army (PLA) was formed in 1978 which Human Rights Watch states as having received arms and training from China. In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings. The state government appealed to the central government in New Delhi for support in combating this violence.
What happened in 1980?
In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings. The state government appealed to the central government in New Delhi for support in combating this violence.
Manipur has had a long record of insurgency and inter-ethnic violence. The first armed opposition group in Manipur, the United National Liberation Front (UNLF), was founded in 1964, which declared that it wanted to gain independence from India and form Manipur as a new country. Over time, many more groups formed in Manipur, each with different goals, and deriving support from diverse ethnic groups in Manipur. For example, in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed, the People's Liberation Army (PLA) was formed in 1978 which Human Rights Watch states as having received arms and training from China. In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings. The state government appealed to the central government in New Delhi for support in combating this violence.
<hl> In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings. <hl> The state government appealed to the central government in New Delhi for support in combating this violence.
Manipur has had a long record of insurgency and inter-ethnic violence. The first armed opposition group in Manipur, the United National Liberation Front (UNLF), was founded in 1964, which declared that it wanted to gain independence from India and form Manipur as a new country. Over time, many more groups formed in Manipur, each with different goals, and deriving support from diverse ethnic groups in Manipur. For example, in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed, the People's Liberation Army (PLA) was formed in 1978 which Human Rights Watch states as having received arms and training from China. <hl> In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings. <hl> The state government appealed to the central government in New Delhi for support in combating this violence.
Manipur has had a long record of insurgency and inter-ethnic violence. The first armed opposition group in Manipur, the United National Liberation Front (UNLF), was founded in 1964, which declared that it wanted to gain independence from India and form Manipur as a new country. Over time, many more groups formed in Manipur, each with different goals, and deriving support from diverse ethnic groups in Manipur. For example, in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed, the People's Liberation Army (PLA) was formed in 1978 which Human Rights Watch states as having received arms and training from China. <hl> In 1980, the Kangleipak Communist Party (KCP) was formed. These groups began a spree of bank robberies and attacks on police officers and government buildings. The state government appealed to the central government in New Delhi for support in combating this violence. <hl>
5d6702d92b22cd4dfcfbea52
2.2 million
question: How many Africans were killed during the voyages of the Middle Passage?, context: After being captured and held in the factories, slaves entered the infamous Middle Passage. Meltzer's research puts this phase of the slave trade's overall mortality at 12.5%. Their deaths were the result of brutal treatment and poor care from the time of their capture and throughout their voyage. Around 2.2 million Africans died during these voyages where they were packed into tight, unsanitary spaces on ships for months at a time. Measures were taken to stem the onboard mortality rate, such as enforced "dancing" (as exercise) above deck and the practice of force-feeding enslaved persons who tried to starve themselves. The conditions on board also resulted in the spread of fatal diseases. Other fatalities were suicides, slaves who escaped by jumping overboard. The slave traders would try to fit anywhere from 350 to 600 slaves on one ship. Before the African slave trade was completely banned by participating nations in 1853, 15.3 million enslaved people had arrived in the Americas.
How many Africans were killed during the voyages of the Middle Passage?
Around 2.2 million Africans died during these voyages where they were packed into tight, unsanitary spaces on ships for months at a time.
After being captured and held in the factories, slaves entered the infamous Middle Passage. Meltzer's research puts this phase of the slave trade's overall mortality at 12.5%. Their deaths were the result of brutal treatment and poor care from the time of their capture and throughout their voyage. Around 2.2 million Africans died during these voyages where they were packed into tight, unsanitary spaces on ships for months at a time. Measures were taken to stem the onboard mortality rate, such as enforced "dancing" (as exercise) above deck and the practice of force-feeding enslaved persons who tried to starve themselves. The conditions on board also resulted in the spread of fatal diseases. Other fatalities were suicides, slaves who escaped by jumping overboard. The slave traders would try to fit anywhere from 350 to 600 slaves on one ship. Before the African slave trade was completely banned by participating nations in 1853, 15.3 million enslaved people had arrived in the Americas.
Around <hl> 2.2 million <hl> Africans died during these voyages where they were packed into tight, unsanitary spaces on ships for months at a time.
After being captured and held in the factories, slaves entered the infamous Middle Passage. Meltzer's research puts this phase of the slave trade's overall mortality at 12.5%. Their deaths were the result of brutal treatment and poor care from the time of their capture and throughout their voyage. Around <hl> 2.2 million <hl> Africans died during these voyages where they were packed into tight, unsanitary spaces on ships for months at a time. Measures were taken to stem the onboard mortality rate, such as enforced "dancing" (as exercise) above deck and the practice of force-feeding enslaved persons who tried to starve themselves. The conditions on board also resulted in the spread of fatal diseases. Other fatalities were suicides, slaves who escaped by jumping overboard. The slave traders would try to fit anywhere from 350 to 600 slaves on one ship. Before the African slave trade was completely banned by participating nations in 1853, 15.3 million enslaved people had arrived in the Americas.
After being captured and held in the factories, slaves entered the infamous Middle Passage. Meltzer's research puts this phase of the slave trade's overall mortality at 12.5%. Their deaths were the result of brutal treatment and poor care from the time of their capture and throughout their voyage. <hl> Around 2.2 million Africans died during these voyages where they were packed into tight, unsanitary spaces on ships for months at a time. <hl> Measures were taken to stem the onboard mortality rate, such as enforced "dancing" (as exercise) above deck and the practice of force-feeding enslaved persons who tried to starve themselves. The conditions on board also resulted in the spread of fatal diseases. Other fatalities were suicides, slaves who escaped by jumping overboard. The slave traders would try to fit anywhere from 350 to 600 slaves on one ship. Before the African slave trade was completely banned by participating nations in 1853, 15.3 million enslaved people had arrived in the Americas.
5d65d8cf2b22cd4dfcfbceed
unitary, federal and confederal governments
question: What is it relevant to?, context: Fiscal decentralization means decentralizing revenue raising and/or expenditure of moneys to a lower level of government while maintaining financial responsibility. While this process usually is called fiscal federalism it may be relevant to unitary, federal and confederal governments. Fiscal federalism also concerns the "vertical imbalances" where the central government gives too much or too little money to the lower levels. It actually can be a way of increasing central government control of lower levels of government, if it is not linked to other kinds of responsibilities and authority.
What is it relevant to?
While this process usually is called fiscal federalism it may be relevant to unitary, federal and confederal governments .
Fiscal decentralization means decentralizing revenue raising and/or expenditure of moneys to a lower level of government while maintaining financial responsibility. While this process usually is called fiscal federalism it may be relevant to unitary, federal and confederal governments. Fiscal federalism also concerns the "vertical imbalances" where the central government gives too much or too little money to the lower levels. It actually can be a way of increasing central government control of lower levels of government, if it is not linked to other kinds of responsibilities and authority.
While this process usually is called fiscal federalism it may be relevant to <hl> unitary, federal and confederal governments <hl> .
Fiscal decentralization means decentralizing revenue raising and/or expenditure of moneys to a lower level of government while maintaining financial responsibility. While this process usually is called fiscal federalism it may be relevant to <hl> unitary, federal and confederal governments <hl>. Fiscal federalism also concerns the "vertical imbalances" where the central government gives too much or too little money to the lower levels. It actually can be a way of increasing central government control of lower levels of government, if it is not linked to other kinds of responsibilities and authority.
Fiscal decentralization means decentralizing revenue raising and/or expenditure of moneys to a lower level of government while maintaining financial responsibility. <hl> While this process usually is called fiscal federalism it may be relevant to unitary, federal and confederal governments . <hl> Fiscal federalism also concerns the "vertical imbalances" where the central government gives too much or too little money to the lower levels. It actually can be a way of increasing central government control of lower levels of government, if it is not linked to other kinds of responsibilities and authority.
5d660d0a2b22cd4dfcfbd722
because it adds tight coupling between the subroutine and these global variables
question: Why is the use of global variables generally deemed unwise?, context: Proponents of modular programming (modularizing code) advocate that each subroutine should have minimal dependency on other pieces of code. For example, the use of global variables is generally deemed unwise by advocates for this perspective, because it adds tight coupling between the subroutine and these global variables. If such coupling is not necessary, their advice is to refactor subroutines to accept passed parameters instead. However, increasing the number of parameters passed to subroutines can affect code readability.
Why is the use of global variables generally deemed unwise?
For example, the use of global variables is generally deemed unwise by advocates for this perspective, because it adds tight coupling between the subroutine and these global variables .
Proponents of modular programming (modularizing code) advocate that each subroutine should have minimal dependency on other pieces of code. For example, the use of global variables is generally deemed unwise by advocates for this perspective, because it adds tight coupling between the subroutine and these global variables. If such coupling is not necessary, their advice is to refactor subroutines to accept passed parameters instead. However, increasing the number of parameters passed to subroutines can affect code readability.
For example, the use of global variables is generally deemed unwise by advocates for this perspective, <hl> because it adds tight coupling between the subroutine and these global variables <hl> .
Proponents of modular programming (modularizing code) advocate that each subroutine should have minimal dependency on other pieces of code. For example, the use of global variables is generally deemed unwise by advocates for this perspective, <hl> because it adds tight coupling between the subroutine and these global variables <hl>. If such coupling is not necessary, their advice is to refactor subroutines to accept passed parameters instead. However, increasing the number of parameters passed to subroutines can affect code readability.
Proponents of modular programming (modularizing code) advocate that each subroutine should have minimal dependency on other pieces of code. <hl> For example, the use of global variables is generally deemed unwise by advocates for this perspective, because it adds tight coupling between the subroutine and these global variables . <hl> If such coupling is not necessary, their advice is to refactor subroutines to accept passed parameters instead. However, increasing the number of parameters passed to subroutines can affect code readability.
5d67e04a2b22cd4dfcfc036e
deductive
question: In what systems do restrictions reduce axiom schemas?, context: Restrictions such as these are useful as a technique to reduce the number of inference rules or axiom schemas in deductive systems, which leads to shorter proofs of metalogical results. The cost of the restrictions is that it becomes more difficult to express natural-language statements in the formal system at hand, because the logical connectives used in the natural language statements must be replaced by their (longer) definitions in terms of the restricted collection of logical connectives. Similarly, derivations in the limited systems may be longer than derivations in systems that include additional connectives. There is thus a trade-off between the ease of working within the formal system and the ease of proving results about the formal system.
In what systems do restrictions reduce axiom schemas?
Restrictions such as these are useful as a technique to reduce the number of inference rules or axiom schemas in deductive systems, which leads to shorter proofs of metalogical results.
Restrictions such as these are useful as a technique to reduce the number of inference rules or axiom schemas in deductive systems, which leads to shorter proofs of metalogical results. The cost of the restrictions is that it becomes more difficult to express natural-language statements in the formal system at hand, because the logical connectives used in the natural language statements must be replaced by their (longer) definitions in terms of the restricted collection of logical connectives. Similarly, derivations in the limited systems may be longer than derivations in systems that include additional connectives. There is thus a trade-off between the ease of working within the formal system and the ease of proving results about the formal system.
Restrictions such as these are useful as a technique to reduce the number of inference rules or axiom schemas in <hl> deductive <hl> systems, which leads to shorter proofs of metalogical results.
Restrictions such as these are useful as a technique to reduce the number of inference rules or axiom schemas in <hl> deductive <hl> systems, which leads to shorter proofs of metalogical results. The cost of the restrictions is that it becomes more difficult to express natural-language statements in the formal system at hand, because the logical connectives used in the natural language statements must be replaced by their (longer) definitions in terms of the restricted collection of logical connectives. Similarly, derivations in the limited systems may be longer than derivations in systems that include additional connectives. There is thus a trade-off between the ease of working within the formal system and the ease of proving results about the formal system.
<hl> Restrictions such as these are useful as a technique to reduce the number of inference rules or axiom schemas in deductive systems, which leads to shorter proofs of metalogical results. <hl> The cost of the restrictions is that it becomes more difficult to express natural-language statements in the formal system at hand, because the logical connectives used in the natural language statements must be replaced by their (longer) definitions in terms of the restricted collection of logical connectives. Similarly, derivations in the limited systems may be longer than derivations in systems that include additional connectives. There is thus a trade-off between the ease of working within the formal system and the ease of proving results about the formal system.
5d66e69f2b22cd4dfcfbe502
Morris Motors and Pressed Steel Fisher
question: Where did 20,000 people work in Oxford during the 1970s?, context: Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the left bank of Cowley". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
Where did 20,000 people work in Oxford during the 1970s?
By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants.
Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the left bank of Cowley". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
By the early 1970s over 20,000 people worked in Cowley at the huge <hl> Morris Motors and Pressed Steel Fisher <hl> plants.
Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. By the early 1970s over 20,000 people worked in Cowley at the huge <hl> Morris Motors and Pressed Steel Fisher <hl> plants. By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the left bank of Cowley". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
Also during the 1920s, the economy and society of Oxford underwent a huge transformation as William Morris established Morris Motors Limited to mass-produce cars in Cowley, on the south-eastern edge of the city. <hl> By the early 1970s over 20,000 people worked in Cowley at the huge Morris Motors and Pressed Steel Fisher plants. <hl> By this time, Oxford was a city of two halves: the university city to the west of Magdalen Bridge and the car town to the east. This led to the witticism that "Oxford is the left bank of Cowley". Cowley suffered major job losses in the 1980s and 1990s during the decline of British Leyland, but is now producing the successful Mini for BMW on a smaller site. A large area of the original car manufacturing facility at Cowley was demolished in the 1990s and is now the site of the Oxford Business Park.
5d6761932b22cd4dfcfbf957
party's leading publicist
question: What was the job of the person who came up with the idea for the name of the Republican party?, context: The party's founding members chose the name "Republican Party" in the mid-1850s as homage to the values of republicanism promoted by Thomas Jefferson's Republican party. The idea for the name came from an editorial by the party's leading publicist Horace Greeley, who called for, "some simple name like 'Republican' [that] would more fitly designate those who had united to restore the Union to its true mission of champion and promulgator of Liberty rather than propagandist of slavery". The name reflects the 1776 republican values of civic virtue and opposition to aristocracy and corruption. It is important to note that "republican" has a variety of meanings around the world, and the U.S. Republican Party has evolved such that the meanings no longer always align.
What was the job of the person who came up with the idea for the name of the Republican party?
The idea for the name came from an editorial by the party's leading publicist Horace Greeley, who called for, "some simple name like 'Republican'
The party's founding members chose the name "Republican Party" in the mid-1850s as homage to the values of republicanism promoted by Thomas Jefferson's Republican party. The idea for the name came from an editorial by the party's leading publicist Horace Greeley, who called for, "some simple name like 'Republican' [that] would more fitly designate those who had united to restore the Union to its true mission of champion and promulgator of Liberty rather than propagandist of slavery". The name reflects the 1776 republican values of civic virtue and opposition to aristocracy and corruption. It is important to note that "republican" has a variety of meanings around the world, and the U.S. Republican Party has evolved such that the meanings no longer always align.
The idea for the name came from an editorial by the <hl> party's leading publicist <hl> Horace Greeley, who called for, "some simple name like 'Republican'
The party's founding members chose the name "Republican Party" in the mid-1850s as homage to the values of republicanism promoted by Thomas Jefferson's Republican party. The idea for the name came from an editorial by the <hl> party's leading publicist <hl> Horace Greeley, who called for, "some simple name like 'Republican' [that] would more fitly designate those who had united to restore the Union to its true mission of champion and promulgator of Liberty rather than propagandist of slavery". The name reflects the 1776 republican values of civic virtue and opposition to aristocracy and corruption. It is important to note that "republican" has a variety of meanings around the world, and the U.S. Republican Party has evolved such that the meanings no longer always align.
The party's founding members chose the name "Republican Party" in the mid-1850s as homage to the values of republicanism promoted by Thomas Jefferson's Republican party. <hl> The idea for the name came from an editorial by the party's leading publicist Horace Greeley, who called for, "some simple name like 'Republican' <hl> [that] would more fitly designate those who had united to restore the Union to its true mission of champion and promulgator of Liberty rather than propagandist of slavery". The name reflects the 1776 republican values of civic virtue and opposition to aristocracy and corruption. It is important to note that "republican" has a variety of meanings around the world, and the U.S. Republican Party has evolved such that the meanings no longer always align.
5d6735f92b22cd4dfcfbf29b
1898
question: What year was the the high rise White House office building in Dutch Witte Huis completed?, context: In 1898, the 45-metre (148-foot) high-rise office building the White House (in Dutch Witte Huis) was completed, at that time the tallest office building in Europe. In the first decades of the 20th century, some influential architecture in the modern style was built in Rotterdam. Notable are the Van Nelle fabriek (1929) a monument of modern factory design by Brinkman en Van der Vlugt, the Jugendstil clubhouse of the Royal Maas Yacht Club designed by Hooijkaas jr. en Brinkman (1909), and Feyenoord's football stadium De Kuip (1936) also by Brinkman en Van der Vlugt. The architect J. J. P. Oud was a famous Rotterdammer in those days. The Van Nelle Factory has since 2014 the status of UNESCO World Heritage Site. During the early stages of World War II the center of Rotterdam was bombed by the Germans, destroying many of the older buildings in the center of the city. After initial crisis re-construction the center of Rotterdam has become the site of ambitious new architecture.
What year was the the high rise White House office building in Dutch Witte Huis completed?
In 1898 , the 45-metre (148-foot) high-rise office building the White House (in Dutch Witte Huis) was completed, at that time the tallest office building in Europe.
In 1898, the 45-metre (148-foot) high-rise office building the White House (in Dutch Witte Huis) was completed, at that time the tallest office building in Europe. In the first decades of the 20th century, some influential architecture in the modern style was built in Rotterdam. Notable are the Van Nelle fabriek (1929) a monument of modern factory design by Brinkman en Van der Vlugt, the Jugendstil clubhouse of the Royal Maas Yacht Club designed by Hooijkaas jr. en Brinkman (1909), and Feyenoord's football stadium De Kuip (1936) also by Brinkman en Van der Vlugt. The architect J. J. P. Oud was a famous Rotterdammer in those days. The Van Nelle Factory has since 2014 the status of UNESCO World Heritage Site. During the early stages of World War II the center of Rotterdam was bombed by the Germans, destroying many of the older buildings in the center of the city. After initial crisis re-construction the center of Rotterdam has become the site of ambitious new architecture.
In <hl> 1898 <hl> , the 45-metre (148-foot) high-rise office building the White House (in Dutch Witte Huis) was completed, at that time the tallest office building in Europe.
In <hl> 1898 <hl>, the 45-metre (148-foot) high-rise office building the White House (in Dutch Witte Huis) was completed, at that time the tallest office building in Europe. In the first decades of the 20th century, some influential architecture in the modern style was built in Rotterdam. Notable are the Van Nelle fabriek (1929) a monument of modern factory design by Brinkman en Van der Vlugt, the Jugendstil clubhouse of the Royal Maas Yacht Club designed by Hooijkaas jr. en Brinkman (1909), and Feyenoord's football stadium De Kuip (1936) also by Brinkman en Van der Vlugt. The architect J. J. P. Oud was a famous Rotterdammer in those days. The Van Nelle Factory has since 2014 the status of UNESCO World Heritage Site. During the early stages of World War II the center of Rotterdam was bombed by the Germans, destroying many of the older buildings in the center of the city. After initial crisis re-construction the center of Rotterdam has become the site of ambitious new architecture.
<hl> In 1898 , the 45-metre (148-foot) high-rise office building the White House (in Dutch Witte Huis) was completed, at that time the tallest office building in Europe. <hl> In the first decades of the 20th century, some influential architecture in the modern style was built in Rotterdam. Notable are the Van Nelle fabriek (1929) a monument of modern factory design by Brinkman en Van der Vlugt, the Jugendstil clubhouse of the Royal Maas Yacht Club designed by Hooijkaas jr. en Brinkman (1909), and Feyenoord's football stadium De Kuip (1936) also by Brinkman en Van der Vlugt. The architect J. J. P. Oud was a famous Rotterdammer in those days. The Van Nelle Factory has since 2014 the status of UNESCO World Heritage Site. During the early stages of World War II the center of Rotterdam was bombed by the Germans, destroying many of the older buildings in the center of the city. After initial crisis re-construction the center of Rotterdam has become the site of ambitious new architecture.
5d672ae02b22cd4dfcfbf168
economic decline
question: What societal monetary concern is potentially addressed by a decentralized approach?, context: Decentralization in any area is a response to the problems of centralized systems. Decentralization in government, the topic most studied, has been seen as a solution to problems like economic decline, government inability to fund services and their general decline in performance of overloaded services, the demands of minorities for a greater say in local governance, the general weakening legitimacy of the public sector and global and international pressure on countries with inefficient, undemocratic, overly centralized systems. The following four goals or objectives are frequently stated in various analyses of decentralization.
What societal monetary concern is potentially addressed by a decentralized approach?
Decentralization in government, the topic most studied, has been seen as a solution to problems like economic decline , government inability to fund services and their general decline in performance of overloaded services, the demands of minorities for a greater say in local governance, the general weakening legitimacy of the public sector and global and international pressure on countries with inefficient, undemocratic, overly centralized systems.
Decentralization in any area is a response to the problems of centralized systems. Decentralization in government, the topic most studied, has been seen as a solution to problems like economic decline, government inability to fund services and their general decline in performance of overloaded services, the demands of minorities for a greater say in local governance, the general weakening legitimacy of the public sector and global and international pressure on countries with inefficient, undemocratic, overly centralized systems. The following four goals or objectives are frequently stated in various analyses of decentralization.
Decentralization in government, the topic most studied, has been seen as a solution to problems like <hl> economic decline <hl> , government inability to fund services and their general decline in performance of overloaded services, the demands of minorities for a greater say in local governance, the general weakening legitimacy of the public sector and global and international pressure on countries with inefficient, undemocratic, overly centralized systems.
Decentralization in any area is a response to the problems of centralized systems. Decentralization in government, the topic most studied, has been seen as a solution to problems like <hl> economic decline <hl>, government inability to fund services and their general decline in performance of overloaded services, the demands of minorities for a greater say in local governance, the general weakening legitimacy of the public sector and global and international pressure on countries with inefficient, undemocratic, overly centralized systems. The following four goals or objectives are frequently stated in various analyses of decentralization.
Decentralization in any area is a response to the problems of centralized systems. <hl> Decentralization in government, the topic most studied, has been seen as a solution to problems like economic decline , government inability to fund services and their general decline in performance of overloaded services, the demands of minorities for a greater say in local governance, the general weakening legitimacy of the public sector and global and international pressure on countries with inefficient, undemocratic, overly centralized systems. <hl> The following four goals or objectives are frequently stated in various analyses of decentralization.
5d65ed3b2b22cd4dfcfbd2d4
more than 50% of the depth is shown and there may be undercut areas
question: What does a high relief imply?, context: There are different degrees of relief depending on the degree of projection of the sculpted form from the field, for which the Italian appellations are still sometimes used. The full range includes high relief (alto-rilievo), where more than 50% of the depth is shown and there may be undercut areas, mid-relief (mezzo-rilievo), low-relief (basso-rilievo, or French: bas-relief /ˌbɑːrɪˈliːf/), and shallow-relief or rilievo schiacciato, where the plane is only very slightly lower than the sculpted elements. There is also sunk relief, which was mainly restricted to Ancient Egypt (see below). However the distinction between high relief and low relief is the clearest and most important, and these two are generally the only terms used to discuss most work.
What does a high relief imply?
The full range includes high relief (alto-rilievo), where more than 50% of the depth is shown and there may be undercut areas , mid-relief (mezzo-rilievo), low-relief (basso-rilievo, or French: bas-relief /ˌbɑːrɪˈliːf/), and shallow-relief or rilievo schiacciato, where the plane is only very slightly lower than the sculpted elements.
There are different degrees of relief depending on the degree of projection of the sculpted form from the field, for which the Italian appellations are still sometimes used. The full range includes high relief (alto-rilievo), where more than 50% of the depth is shown and there may be undercut areas, mid-relief (mezzo-rilievo), low-relief (basso-rilievo, or French: bas-relief /ˌbɑːrɪˈliːf/), and shallow-relief or rilievo schiacciato, where the plane is only very slightly lower than the sculpted elements. There is also sunk relief, which was mainly restricted to Ancient Egypt (see below). However the distinction between high relief and low relief is the clearest and most important, and these two are generally the only terms used to discuss most work.
The full range includes high relief (alto-rilievo), where <hl> more than 50% of the depth is shown and there may be undercut areas <hl> , mid-relief (mezzo-rilievo), low-relief (basso-rilievo, or French: bas-relief /ˌbɑːrɪˈliːf/), and shallow-relief or rilievo schiacciato, where the plane is only very slightly lower than the sculpted elements.
There are different degrees of relief depending on the degree of projection of the sculpted form from the field, for which the Italian appellations are still sometimes used. The full range includes high relief (alto-rilievo), where <hl> more than 50% of the depth is shown and there may be undercut areas <hl>, mid-relief (mezzo-rilievo), low-relief (basso-rilievo, or French: bas-relief /ˌbɑːrɪˈliːf/), and shallow-relief or rilievo schiacciato, where the plane is only very slightly lower than the sculpted elements. There is also sunk relief, which was mainly restricted to Ancient Egypt (see below). However the distinction between high relief and low relief is the clearest and most important, and these two are generally the only terms used to discuss most work.
There are different degrees of relief depending on the degree of projection of the sculpted form from the field, for which the Italian appellations are still sometimes used. <hl> The full range includes high relief (alto-rilievo), where more than 50% of the depth is shown and there may be undercut areas , mid-relief (mezzo-rilievo), low-relief (basso-rilievo, or French: bas-relief /ˌbɑːrɪˈliːf/), and shallow-relief or rilievo schiacciato, where the plane is only very slightly lower than the sculpted elements. <hl> There is also sunk relief, which was mainly restricted to Ancient Egypt (see below). However the distinction between high relief and low relief is the clearest and most important, and these two are generally the only terms used to discuss most work.
5d66f4cd2b22cd4dfcfbe771
an abnormal processing route
question: What is another theory for how moral judgements are made that do not take belief into account?, context: Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
What is another theory for how moral judgements are made that do not take belief into account?
Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account.
Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
Alternatively, following TMS to the RTPJ, moral judgments might be made via <hl> an abnormal processing route <hl> that does not take belief into account.
Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). Alternatively, following TMS to the RTPJ, moral judgments might be made via <hl> an abnormal processing route <hl> that does not take belief into account. On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
Stimulation of the VMPC by transcranial magnetic stimulation, has been shown to inhibit the ability of human subjects to take into account intent when forming a moral judgment. According to this investigation, TMS did not disrupt participants' ability to make any moral judgment. On the contrary, moral judgments of intentional harms and nonharms were unaffected by TMS to either the RTPJ or the control site; presumably, however, people typically make moral judgments of intentional harms by considering not only the action's harmful outcome but the agent's intentions and beliefs. So why were moral judgments of intentional harms not affected by TMS to the RTPJ? One possibility is that moral judgments typically reflect a weighted function of any morally relevant information that is available at the time. On the basis of this view, when information concerning the agent's belief is unavailable or degraded, the resulting moral judgment simply reflects a higher weighting of other morally relevant factors (e.g., outcome). <hl> Alternatively, following TMS to the RTPJ, moral judgments might be made via an abnormal processing route that does not take belief into account. <hl> On either account, when belief information is degraded or unavailable, moral judgments are shifted toward other morally relevant factors (e.g., outcome). For intentional harms and nonharms, however, the outcome suggests the same moral judgment as the intention. Thus, the researchers suggest that TMS to the RTPJ disrupted the processing of negative beliefs for both intentional harms and attempted harms, but the current design allowed the investigators to detect this effect only in the case of attempted harms, in which the neutral outcomes did not afford harsh moral judgments on their own.
5d6754ac2b22cd4dfcfbf73f
Basilia
question: The name of the island mentioned by Pliny is what?, context: While Tacitus called it Mare Suebicum after the Germanic people called the Suebi, the first to name it the Baltic Sea (Mare Balticum) was the eleventh-century German chronicler Adam of Bremen. The origin of the latter name is speculative. It might be connected to the Germanic word belt, a name used for two of the Danish straits, the Belts, while others claim it to be derived from Latin balteus (belt). Adam of Bremen himself compared the sea with a belt, stating that it is so named because it stretches through the land as a belt (Balticus, eo quod in modum baltei longo tractu per Scithicas regiones tendatur usque in Greciam). He might also have been influenced by the name of a legendary island mentioned in the Natural History of Pliny the Elder. Pliny mentions an island named Baltia (or Balcia) with reference to accounts of Pytheas and Xenophon. It is possible that Pliny refers to an island named Basilia ("kingdom" or "royal") in On the Ocean by Pytheas. Baltia also might be derived from "belt" and mean "near belt of sea (strait)." Meanwhile, others have concluded that the name of the island originates from the Indo-European root *bhel meaning white, fair. This root and its basic meaning were retained in both Lithuanian (as baltas) and Latvian (as balts). On this basis, a related hypothesis holds that the name originated from this Indo-European root via a Baltic language such as Lithuanian. Another explanation is that, while derived from the aforementioned root, the name of the sea is related to names for various forms of water and related substances in several European languages, that might have been originally associated with colors found in swamps. Yet another explanation is that the name originally meant "enclosed sea, bay" as opposed to open sea. Some Swedish historians believe the name derives from the god Balder of Nordic mythology.
The name of the island mentioned by Pliny is what?
It is possible that Pliny refers to an island named Basilia ("kingdom" or "royal") in On the Ocean by Pytheas.
While Tacitus called it Mare Suebicum after the Germanic people called the Suebi, the first to name it the Baltic Sea (Mare Balticum) was the eleventh-century German chronicler Adam of Bremen. The origin of the latter name is speculative. It might be connected to the Germanic word belt, a name used for two of the Danish straits, the Belts, while others claim it to be derived from Latin balteus (belt). Adam of Bremen himself compared the sea with a belt, stating that it is so named because it stretches through the land as a belt (Balticus, eo quod in modum baltei longo tractu per Scithicas regiones tendatur usque in Greciam). He might also have been influenced by the name of a legendary island mentioned in the Natural History of Pliny the Elder. Pliny mentions an island named Baltia (or Balcia) with reference to accounts of Pytheas and Xenophon. It is possible that Pliny refers to an island named Basilia ("kingdom" or "royal") in On the Ocean by Pytheas. Baltia also might be derived from "belt" and mean "near belt of sea (strait)." Meanwhile, others have concluded that the name of the island originates from the Indo-European root *bhel meaning white, fair. This root and its basic meaning were retained in both Lithuanian (as baltas) and Latvian (as balts). On this basis, a related hypothesis holds that the name originated from this Indo-European root via a Baltic language such as Lithuanian. Another explanation is that, while derived from the aforementioned root, the name of the sea is related to names for various forms of water and related substances in several European languages, that might have been originally associated with colors found in swamps. Yet another explanation is that the name originally meant "enclosed sea, bay" as opposed to open sea. Some Swedish historians believe the name derives from the god Balder of Nordic mythology.
It is possible that Pliny refers to an island named <hl> Basilia <hl> ("kingdom" or "royal") in On the Ocean by Pytheas.
While Tacitus called it Mare Suebicum after the Germanic people called the Suebi, the first to name it the Baltic Sea (Mare Balticum) was the eleventh-century German chronicler Adam of Bremen. The origin of the latter name is speculative. It might be connected to the Germanic word belt, a name used for two of the Danish straits, the Belts, while others claim it to be derived from Latin balteus (belt). Adam of Bremen himself compared the sea with a belt, stating that it is so named because it stretches through the land as a belt (Balticus, eo quod in modum baltei longo tractu per Scithicas regiones tendatur usque in Greciam). He might also have been influenced by the name of a legendary island mentioned in the Natural History of Pliny the Elder. Pliny mentions an island named Baltia (or Balcia) with reference to accounts of Pytheas and Xenophon. It is possible that Pliny refers to an island named <hl> Basilia <hl> ("kingdom" or "royal") in On the Ocean by Pytheas. Baltia also might be derived from "belt" and mean "near belt of sea (strait)." Meanwhile, others have concluded that the name of the island originates from the Indo-European root *bhel meaning white, fair. This root and its basic meaning were retained in both Lithuanian (as baltas) and Latvian (as balts). On this basis, a related hypothesis holds that the name originated from this Indo-European root via a Baltic language such as Lithuanian. Another explanation is that, while derived from the aforementioned root, the name of the sea is related to names for various forms of water and related substances in several European languages, that might have been originally associated with colors found in swamps. Yet another explanation is that the name originally meant "enclosed sea, bay" as opposed to open sea. Some Swedish historians believe the name derives from the god Balder of Nordic mythology.
While Tacitus called it Mare Suebicum after the Germanic people called the Suebi, the first to name it the Baltic Sea (Mare Balticum) was the eleventh-century German chronicler Adam of Bremen. The origin of the latter name is speculative. It might be connected to the Germanic word belt, a name used for two of the Danish straits, the Belts, while others claim it to be derived from Latin balteus (belt). Adam of Bremen himself compared the sea with a belt, stating that it is so named because it stretches through the land as a belt (Balticus, eo quod in modum baltei longo tractu per Scithicas regiones tendatur usque in Greciam). He might also have been influenced by the name of a legendary island mentioned in the Natural History of Pliny the Elder. Pliny mentions an island named Baltia (or Balcia) with reference to accounts of Pytheas and Xenophon. <hl> It is possible that Pliny refers to an island named Basilia ("kingdom" or "royal") in On the Ocean by Pytheas. <hl> Baltia also might be derived from "belt" and mean "near belt of sea (strait)." Meanwhile, others have concluded that the name of the island originates from the Indo-European root *bhel meaning white, fair. This root and its basic meaning were retained in both Lithuanian (as baltas) and Latvian (as balts). On this basis, a related hypothesis holds that the name originated from this Indo-European root via a Baltic language such as Lithuanian. Another explanation is that, while derived from the aforementioned root, the name of the sea is related to names for various forms of water and related substances in several European languages, that might have been originally associated with colors found in swamps. Yet another explanation is that the name originally meant "enclosed sea, bay" as opposed to open sea. Some Swedish historians believe the name derives from the god Balder of Nordic mythology.
5d665c272b22cd4dfcfbdc90
Windows Store
question: What did Windows 8 use for software distribution?, context: Windows 8, the successor to Windows 7, was released generally on October 26, 2012. A number of significant changes were made on Windows 8, including the introduction of a user interface based around Microsoft's Metro design language with optimizations for touch-based devices such as tablets and all-in-one PCs. These changes include the Start screen, which uses large tiles that are more convenient for touch interactions and allow for the display of continually updated information, and a new class of apps which are designed primarily for use on touch-based devices. Other changes include increased integration with cloud services and other online platforms (such as social networks and Microsoft's own SkyDrive and Xbox Live services), the Windows Store service for software distribution, and a new variant known as Windows RT for use on devices that utilize the ARM architecture. An update to Windows 8, called Windows 8.1, was released on October 17, 2013, and includes features such as new live tile sizes, deeper SkyDrive integration, and many other revisions. Windows 8 and Windows 8.1 has been subject to some criticism, such as removal of Start Menu.
What did Windows 8 use for software distribution?
Other changes include increased integration with cloud services and other online platforms (such as social networks and Microsoft's own SkyDrive and Xbox Live services), the Windows Store service for software distribution, and a new variant known as Windows RT for use on devices that utilize the ARM architecture.
Windows 8, the successor to Windows 7, was released generally on October 26, 2012. A number of significant changes were made on Windows 8, including the introduction of a user interface based around Microsoft's Metro design language with optimizations for touch-based devices such as tablets and all-in-one PCs. These changes include the Start screen, which uses large tiles that are more convenient for touch interactions and allow for the display of continually updated information, and a new class of apps which are designed primarily for use on touch-based devices. Other changes include increased integration with cloud services and other online platforms (such as social networks and Microsoft's own SkyDrive and Xbox Live services), the Windows Store service for software distribution, and a new variant known as Windows RT for use on devices that utilize the ARM architecture. An update to Windows 8, called Windows 8.1, was released on October 17, 2013, and includes features such as new live tile sizes, deeper SkyDrive integration, and many other revisions. Windows 8 and Windows 8.1 has been subject to some criticism, such as removal of Start Menu.
Other changes include increased integration with cloud services and other online platforms (such as social networks and Microsoft's own SkyDrive and Xbox Live services), the <hl> Windows Store <hl> service for software distribution, and a new variant known as Windows RT for use on devices that utilize the ARM architecture.
Windows 8, the successor to Windows 7, was released generally on October 26, 2012. A number of significant changes were made on Windows 8, including the introduction of a user interface based around Microsoft's Metro design language with optimizations for touch-based devices such as tablets and all-in-one PCs. These changes include the Start screen, which uses large tiles that are more convenient for touch interactions and allow for the display of continually updated information, and a new class of apps which are designed primarily for use on touch-based devices. Other changes include increased integration with cloud services and other online platforms (such as social networks and Microsoft's own SkyDrive and Xbox Live services), the <hl> Windows Store <hl> service for software distribution, and a new variant known as Windows RT for use on devices that utilize the ARM architecture. An update to Windows 8, called Windows 8.1, was released on October 17, 2013, and includes features such as new live tile sizes, deeper SkyDrive integration, and many other revisions. Windows 8 and Windows 8.1 has been subject to some criticism, such as removal of Start Menu.
Windows 8, the successor to Windows 7, was released generally on October 26, 2012. A number of significant changes were made on Windows 8, including the introduction of a user interface based around Microsoft's Metro design language with optimizations for touch-based devices such as tablets and all-in-one PCs. These changes include the Start screen, which uses large tiles that are more convenient for touch interactions and allow for the display of continually updated information, and a new class of apps which are designed primarily for use on touch-based devices. <hl> Other changes include increased integration with cloud services and other online platforms (such as social networks and Microsoft's own SkyDrive and Xbox Live services), the Windows Store service for software distribution, and a new variant known as Windows RT for use on devices that utilize the ARM architecture. <hl> An update to Windows 8, called Windows 8.1, was released on October 17, 2013, and includes features such as new live tile sizes, deeper SkyDrive integration, and many other revisions. Windows 8 and Windows 8.1 has been subject to some criticism, such as removal of Start Menu.
5d6715cc2b22cd4dfcfbeeac
Umberto Eco and Jean-François Lyotard
question: Who are two predecessors to Jonathan Kramer that have similar ideology?, context: Postmodern music is either music of the postmodern era, or music that follows aesthetic and philosophical trends of postmodernism. As the name suggests, the postmodernist movement formed partly in reaction to the ideals of the modernist. Because of this, postmodern music is mostly defined in opposition to modernist music, and a work can either be modernist, or postmodern, but not both. Jonathan Kramer posits the idea (following Umberto Eco and Jean-François Lyotard) that postmodernism (including musical postmodernism) is less a surface style or historical period (i.e., condition) than an attitude.
Who are two predecessors to Jonathan Kramer that have similar ideology?
Jonathan Kramer posits the idea (following Umberto Eco and Jean-François Lyotard ) that postmodernism (including musical postmodernism) is less a surface style or historical period (i.e., condition) than an attitude.
Postmodern music is either music of the postmodern era, or music that follows aesthetic and philosophical trends of postmodernism. As the name suggests, the postmodernist movement formed partly in reaction to the ideals of the modernist. Because of this, postmodern music is mostly defined in opposition to modernist music, and a work can either be modernist, or postmodern, but not both. Jonathan Kramer posits the idea (following Umberto Eco and Jean-François Lyotard) that postmodernism (including musical postmodernism) is less a surface style or historical period (i.e., condition) than an attitude.
Jonathan Kramer posits the idea (following <hl> Umberto Eco and Jean-François Lyotard <hl> ) that postmodernism (including musical postmodernism) is less a surface style or historical period (i.e., condition) than an attitude.
Postmodern music is either music of the postmodern era, or music that follows aesthetic and philosophical trends of postmodernism. As the name suggests, the postmodernist movement formed partly in reaction to the ideals of the modernist. Because of this, postmodern music is mostly defined in opposition to modernist music, and a work can either be modernist, or postmodern, but not both. Jonathan Kramer posits the idea (following <hl> Umberto Eco and Jean-François Lyotard <hl>) that postmodernism (including musical postmodernism) is less a surface style or historical period (i.e., condition) than an attitude.
Postmodern music is either music of the postmodern era, or music that follows aesthetic and philosophical trends of postmodernism. As the name suggests, the postmodernist movement formed partly in reaction to the ideals of the modernist. Because of this, postmodern music is mostly defined in opposition to modernist music, and a work can either be modernist, or postmodern, but not both. <hl> Jonathan Kramer posits the idea (following Umberto Eco and Jean-François Lyotard ) that postmodernism (including musical postmodernism) is less a surface style or historical period (i.e., condition) than an attitude. <hl>
5d6722262b22cd4dfcfbf01e
so that it can be mechanically determined whether a given expression is legal
question: Why is first order logic completely formal?, context: Unlike natural languages, such as English, the language of first-order logic is completely formal, so that it can be mechanically determined whether a given expression is legal. There are two key types of legal expressions: terms, which intuitively represent objects, and formulas, which intuitively express predicates that can be true or false. The terms and formulas of first-order logic are strings of symbols which together form the alphabet of the language. As with all formal languages, the nature of the symbols themselves is outside the scope of formal logic; they are often regarded simply as letters and punctuation symbols.
Why is first order logic completely formal?
Unlike natural languages, such as English, the language of first-order logic is completely formal, so that it can be mechanically determined whether a given expression is legal .
Unlike natural languages, such as English, the language of first-order logic is completely formal, so that it can be mechanically determined whether a given expression is legal. There are two key types of legal expressions: terms, which intuitively represent objects, and formulas, which intuitively express predicates that can be true or false. The terms and formulas of first-order logic are strings of symbols which together form the alphabet of the language. As with all formal languages, the nature of the symbols themselves is outside the scope of formal logic; they are often regarded simply as letters and punctuation symbols.
Unlike natural languages, such as English, the language of first-order logic is completely formal, <hl> so that it can be mechanically determined whether a given expression is legal <hl> .
Unlike natural languages, such as English, the language of first-order logic is completely formal, <hl> so that it can be mechanically determined whether a given expression is legal <hl>. There are two key types of legal expressions: terms, which intuitively represent objects, and formulas, which intuitively express predicates that can be true or false. The terms and formulas of first-order logic are strings of symbols which together form the alphabet of the language. As with all formal languages, the nature of the symbols themselves is outside the scope of formal logic; they are often regarded simply as letters and punctuation symbols.
<hl> Unlike natural languages, such as English, the language of first-order logic is completely formal, so that it can be mechanically determined whether a given expression is legal . <hl> There are two key types of legal expressions: terms, which intuitively represent objects, and formulas, which intuitively express predicates that can be true or false. The terms and formulas of first-order logic are strings of symbols which together form the alphabet of the language. As with all formal languages, the nature of the symbols themselves is outside the scope of formal logic; they are often regarded simply as letters and punctuation symbols.
5d65c6b42b22cd4dfcfbccb1
at the Walter Reed Army Institute of Research
question: Where did David Rioch research the integration of basic anatomical and physiological research through clinical psychiatry?, context: During the 20th century, neuroscience began to be recognized as a distinct academic discipline in its own right, rather than as studies of the nervous system within other disciplines. Eric Kandel and collaborators have cited David Rioch, Francis O. Schmitt, and Stephen Kuffler as having played critical roles in establishing the field. Rioch originated the integration of basic anatomical and physiological research with clinical psychiatry at the Walter Reed Army Institute of Research, starting in the 1950s. During the same period, Schmitt established a neuroscience research program within the Biology Department at the Massachusetts Institute of Technology, bringing together biology, chemistry, physics, and mathematics. Kuffler started the Department of Neuroscience at Harvard Medical School in 1966, the first such freestanding department.
Where did David Rioch research the integration of basic anatomical and physiological research through clinical psychiatry?
Rioch originated the integration of basic anatomical and physiological research with clinical psychiatry at the Walter Reed Army Institute of Research , starting in the 1950s.
During the 20th century, neuroscience began to be recognized as a distinct academic discipline in its own right, rather than as studies of the nervous system within other disciplines. Eric Kandel and collaborators have cited David Rioch, Francis O. Schmitt, and Stephen Kuffler as having played critical roles in establishing the field. Rioch originated the integration of basic anatomical and physiological research with clinical psychiatry at the Walter Reed Army Institute of Research, starting in the 1950s. During the same period, Schmitt established a neuroscience research program within the Biology Department at the Massachusetts Institute of Technology, bringing together biology, chemistry, physics, and mathematics. Kuffler started the Department of Neuroscience at Harvard Medical School in 1966, the first such freestanding department.
Rioch originated the integration of basic anatomical and physiological research with clinical psychiatry <hl> at the Walter Reed Army Institute of Research <hl> , starting in the 1950s.
During the 20th century, neuroscience began to be recognized as a distinct academic discipline in its own right, rather than as studies of the nervous system within other disciplines. Eric Kandel and collaborators have cited David Rioch, Francis O. Schmitt, and Stephen Kuffler as having played critical roles in establishing the field. Rioch originated the integration of basic anatomical and physiological research with clinical psychiatry <hl> at the Walter Reed Army Institute of Research <hl>, starting in the 1950s. During the same period, Schmitt established a neuroscience research program within the Biology Department at the Massachusetts Institute of Technology, bringing together biology, chemistry, physics, and mathematics. Kuffler started the Department of Neuroscience at Harvard Medical School in 1966, the first such freestanding department.
During the 20th century, neuroscience began to be recognized as a distinct academic discipline in its own right, rather than as studies of the nervous system within other disciplines. Eric Kandel and collaborators have cited David Rioch, Francis O. Schmitt, and Stephen Kuffler as having played critical roles in establishing the field. <hl> Rioch originated the integration of basic anatomical and physiological research with clinical psychiatry at the Walter Reed Army Institute of Research , starting in the 1950s. <hl> During the same period, Schmitt established a neuroscience research program within the Biology Department at the Massachusetts Institute of Technology, bringing together biology, chemistry, physics, and mathematics. Kuffler started the Department of Neuroscience at Harvard Medical School in 1966, the first such freestanding department.
5d670d6b2b22cd4dfcfbec5a
Belgrade
question: What city did the Luftwaffe bomb?, context: On 6 April 1941, the Kingdom of Yugoslavia was invaded from all sides by the Axis powers, primarily by German forces, but also including Italian, Hungarian and Bulgarian formations. During the invasion, Belgrade was bombed by the Luftwaffe. The invasion lasted little more than ten days, ending with the unconditional surrender of the Royal Yugoslav Army on 17 April. Besides being hopelessly ill-equipped when compared to the Wehrmacht, the Army attempted to defend all borders but only managed to thinly spread the limited resources available.
What city did the Luftwaffe bomb?
During the invasion, Belgrade was bombed by the Luftwaffe.
On 6 April 1941, the Kingdom of Yugoslavia was invaded from all sides by the Axis powers, primarily by German forces, but also including Italian, Hungarian and Bulgarian formations. During the invasion, Belgrade was bombed by the Luftwaffe. The invasion lasted little more than ten days, ending with the unconditional surrender of the Royal Yugoslav Army on 17 April. Besides being hopelessly ill-equipped when compared to the Wehrmacht, the Army attempted to defend all borders but only managed to thinly spread the limited resources available.
During the invasion, <hl> Belgrade <hl> was bombed by the Luftwaffe.
On 6 April 1941, the Kingdom of Yugoslavia was invaded from all sides by the Axis powers, primarily by German forces, but also including Italian, Hungarian and Bulgarian formations. During the invasion, <hl> Belgrade <hl> was bombed by the Luftwaffe. The invasion lasted little more than ten days, ending with the unconditional surrender of the Royal Yugoslav Army on 17 April. Besides being hopelessly ill-equipped when compared to the Wehrmacht, the Army attempted to defend all borders but only managed to thinly spread the limited resources available.
On 6 April 1941, the Kingdom of Yugoslavia was invaded from all sides by the Axis powers, primarily by German forces, but also including Italian, Hungarian and Bulgarian formations. <hl> During the invasion, Belgrade was bombed by the Luftwaffe. <hl> The invasion lasted little more than ten days, ending with the unconditional surrender of the Royal Yugoslav Army on 17 April. Besides being hopelessly ill-equipped when compared to the Wehrmacht, the Army attempted to defend all borders but only managed to thinly spread the limited resources available.
5d67fb8f2b22cd4dfcfc04cf
centered in Manhattan
question: Where is Silicon Alley located?, context: Silicon Alley, centered in Manhattan, has evolved into a metonym for the sphere encompassing the New York City metropolitan region's high tech enterprises, utilizing the Internet, new media, telecommunications, digital media, software development, game design, financial technology ("fintech"), and other fields within information technology that are supported by the New York City metropolitan area's venture capital investments, amounting to over US$3.7 billion across a broad spectrum of high technology enterprises in the first half of 2015, and its entrepreneurship ecosystem. High technology startup companies and employment, which are growing mostly in Manhattan, as well as in Brooklyn, Queens, and elsewhere in the region, are bolstered by New York City's position in North America as the leading Internet hub and telecommunications center, including its vicinity to several transatlantic fiber optic trunk lines, New York's intellectual capital, and its extensive outdoor wireless connectivity. Verizon Communications, headquartered at 140 West Street in Lower Manhattan, was at the final stages in 2014 of completing a US$3 billion fiberoptic telecommunications upgrade throughout New York City. As of October 2014, New York City hosted 300,000 employees in the tech sector, with a significant proportion in Manhattan.
Where is Silicon Alley located?
Silicon Alley, centered in Manhattan , has evolved into a metonym for the sphere encompassing the New York City metropolitan region's high tech enterprises, utilizing the Internet, new media, telecommunications, digital media, software development, game design, financial technology ("fintech"), and other fields within information technology that are supported by the New York City metropolitan area's venture capital investments, amounting to over US$3.7 billion across a broad spectrum of high technology enterprises in the first half of 2015, and its entrepreneurship ecosystem.
Silicon Alley, centered in Manhattan, has evolved into a metonym for the sphere encompassing the New York City metropolitan region's high tech enterprises, utilizing the Internet, new media, telecommunications, digital media, software development, game design, financial technology ("fintech"), and other fields within information technology that are supported by the New York City metropolitan area's venture capital investments, amounting to over US$3.7 billion across a broad spectrum of high technology enterprises in the first half of 2015, and its entrepreneurship ecosystem. High technology startup companies and employment, which are growing mostly in Manhattan, as well as in Brooklyn, Queens, and elsewhere in the region, are bolstered by New York City's position in North America as the leading Internet hub and telecommunications center, including its vicinity to several transatlantic fiber optic trunk lines, New York's intellectual capital, and its extensive outdoor wireless connectivity. Verizon Communications, headquartered at 140 West Street in Lower Manhattan, was at the final stages in 2014 of completing a US$3 billion fiberoptic telecommunications upgrade throughout New York City. As of October 2014, New York City hosted 300,000 employees in the tech sector, with a significant proportion in Manhattan.
Silicon Alley, <hl> centered in Manhattan <hl> , has evolved into a metonym for the sphere encompassing the New York City metropolitan region's high tech enterprises, utilizing the Internet, new media, telecommunications, digital media, software development, game design, financial technology ("fintech"), and other fields within information technology that are supported by the New York City metropolitan area's venture capital investments, amounting to over US$3.7 billion across a broad spectrum of high technology enterprises in the first half of 2015, and its entrepreneurship ecosystem.
Silicon Alley, <hl> centered in Manhattan <hl>, has evolved into a metonym for the sphere encompassing the New York City metropolitan region's high tech enterprises, utilizing the Internet, new media, telecommunications, digital media, software development, game design, financial technology ("fintech"), and other fields within information technology that are supported by the New York City metropolitan area's venture capital investments, amounting to over US$3.7 billion across a broad spectrum of high technology enterprises in the first half of 2015, and its entrepreneurship ecosystem. High technology startup companies and employment, which are growing mostly in Manhattan, as well as in Brooklyn, Queens, and elsewhere in the region, are bolstered by New York City's position in North America as the leading Internet hub and telecommunications center, including its vicinity to several transatlantic fiber optic trunk lines, New York's intellectual capital, and its extensive outdoor wireless connectivity. Verizon Communications, headquartered at 140 West Street in Lower Manhattan, was at the final stages in 2014 of completing a US$3 billion fiberoptic telecommunications upgrade throughout New York City. As of October 2014, New York City hosted 300,000 employees in the tech sector, with a significant proportion in Manhattan.
<hl> Silicon Alley, centered in Manhattan , has evolved into a metonym for the sphere encompassing the New York City metropolitan region's high tech enterprises, utilizing the Internet, new media, telecommunications, digital media, software development, game design, financial technology ("fintech"), and other fields within information technology that are supported by the New York City metropolitan area's venture capital investments, amounting to over US$3.7 billion across a broad spectrum of high technology enterprises in the first half of 2015, and its entrepreneurship ecosystem. <hl> High technology startup companies and employment, which are growing mostly in Manhattan, as well as in Brooklyn, Queens, and elsewhere in the region, are bolstered by New York City's position in North America as the leading Internet hub and telecommunications center, including its vicinity to several transatlantic fiber optic trunk lines, New York's intellectual capital, and its extensive outdoor wireless connectivity. Verizon Communications, headquartered at 140 West Street in Lower Manhattan, was at the final stages in 2014 of completing a US$3 billion fiberoptic telecommunications upgrade throughout New York City. As of October 2014, New York City hosted 300,000 employees in the tech sector, with a significant proportion in Manhattan.
5d6847d42b22cd4dfcfc06b0
1-year
question: How many years is internship for medical education in Taiwan?, context: The medical education in Taiwan is usually 7 years (6-year learning plus 1-year internship) in duration, starting right after high schools. The first 2 years in the 7-year system is composed of basic sciences and liberal art courses. Doctor-patient classes are emphasized, and most schools require compulsory amounts of volunteer hours. Clinical sciences are compressed into a two-year program in the 3rd and 4th years. The duration of clerkships and internships varies from school to school, but all of them end at the 7th grade. Taiwan’s medical education began in 1897 and is over 100 years old now. Students graduate with a Doctor of Medicine (MD) degree. Starting from the year 2013, incoming students will have a 6+2 year curriculum, in which the first 6 years are oriented similarly as before and the last two years are Post Graduate Years; this change aims to increase primary care capabilities of medical school graduates.
How many years is internship for medical education in Taiwan?
The medical education in Taiwan is usually 7 years (6-year learning plus 1-year internship) in duration, starting right after high schools.
The medical education in Taiwan is usually 7 years (6-year learning plus 1-year internship) in duration, starting right after high schools. The first 2 years in the 7-year system is composed of basic sciences and liberal art courses. Doctor-patient classes are emphasized, and most schools require compulsory amounts of volunteer hours. Clinical sciences are compressed into a two-year program in the 3rd and 4th years. The duration of clerkships and internships varies from school to school, but all of them end at the 7th grade. Taiwan’s medical education began in 1897 and is over 100 years old now. Students graduate with a Doctor of Medicine (MD) degree. Starting from the year 2013, incoming students will have a 6+2 year curriculum, in which the first 6 years are oriented similarly as before and the last two years are Post Graduate Years; this change aims to increase primary care capabilities of medical school graduates.
The medical education in Taiwan is usually 7 years (6-year learning plus <hl> 1-year <hl> internship) in duration, starting right after high schools.
The medical education in Taiwan is usually 7 years (6-year learning plus <hl> 1-year <hl> internship) in duration, starting right after high schools. The first 2 years in the 7-year system is composed of basic sciences and liberal art courses. Doctor-patient classes are emphasized, and most schools require compulsory amounts of volunteer hours. Clinical sciences are compressed into a two-year program in the 3rd and 4th years. The duration of clerkships and internships varies from school to school, but all of them end at the 7th grade. Taiwan’s medical education began in 1897 and is over 100 years old now. Students graduate with a Doctor of Medicine (MD) degree. Starting from the year 2013, incoming students will have a 6+2 year curriculum, in which the first 6 years are oriented similarly as before and the last two years are Post Graduate Years; this change aims to increase primary care capabilities of medical school graduates.
<hl> The medical education in Taiwan is usually 7 years (6-year learning plus 1-year internship) in duration, starting right after high schools. <hl> The first 2 years in the 7-year system is composed of basic sciences and liberal art courses. Doctor-patient classes are emphasized, and most schools require compulsory amounts of volunteer hours. Clinical sciences are compressed into a two-year program in the 3rd and 4th years. The duration of clerkships and internships varies from school to school, but all of them end at the 7th grade. Taiwan’s medical education began in 1897 and is over 100 years old now. Students graduate with a Doctor of Medicine (MD) degree. Starting from the year 2013, incoming students will have a 6+2 year curriculum, in which the first 6 years are oriented similarly as before and the last two years are Post Graduate Years; this change aims to increase primary care capabilities of medical school graduates.
5d6655c12b22cd4dfcfbdc35
within a cyclone's comma head
question: Where is thundersnow possible?, context: Moisture overriding associated with weather fronts is an overall major method of precipitation production. If enough moisture and upward motion is present, precipitation falls from convective clouds such as cumulonimbus and can organize into narrow rainbands. Where relatively warm water bodies are present, for example due to water evaporation from lakes, lake-effect snowfall becomes a concern downwind of the warm lakes within the cold cyclonic flow around the backside of extratropical cyclones. Lake-effect snowfall can be locally heavy. Thundersnow is possible within a cyclone's comma head and within lake effect precipitation bands. In mountainous areas, heavy precipitation is possible where upslope flow is maximized within windward sides of the terrain at elevation. On the leeward side of mountains, desert climates can exist due to the dry air caused by compressional heating. The movement of the monsoon trough, or intertropical convergence zone, brings rainy seasons to savannah climes.
Where is thundersnow possible?
Thundersnow is possible within a cyclone's comma head and within lake effect precipitation bands.
Moisture overriding associated with weather fronts is an overall major method of precipitation production. If enough moisture and upward motion is present, precipitation falls from convective clouds such as cumulonimbus and can organize into narrow rainbands. Where relatively warm water bodies are present, for example due to water evaporation from lakes, lake-effect snowfall becomes a concern downwind of the warm lakes within the cold cyclonic flow around the backside of extratropical cyclones. Lake-effect snowfall can be locally heavy. Thundersnow is possible within a cyclone's comma head and within lake effect precipitation bands. In mountainous areas, heavy precipitation is possible where upslope flow is maximized within windward sides of the terrain at elevation. On the leeward side of mountains, desert climates can exist due to the dry air caused by compressional heating. The movement of the monsoon trough, or intertropical convergence zone, brings rainy seasons to savannah climes.
Thundersnow is possible <hl> within a cyclone's comma head <hl> and within lake effect precipitation bands.
Moisture overriding associated with weather fronts is an overall major method of precipitation production. If enough moisture and upward motion is present, precipitation falls from convective clouds such as cumulonimbus and can organize into narrow rainbands. Where relatively warm water bodies are present, for example due to water evaporation from lakes, lake-effect snowfall becomes a concern downwind of the warm lakes within the cold cyclonic flow around the backside of extratropical cyclones. Lake-effect snowfall can be locally heavy. Thundersnow is possible <hl> within a cyclone's comma head <hl> and within lake effect precipitation bands. In mountainous areas, heavy precipitation is possible where upslope flow is maximized within windward sides of the terrain at elevation. On the leeward side of mountains, desert climates can exist due to the dry air caused by compressional heating. The movement of the monsoon trough, or intertropical convergence zone, brings rainy seasons to savannah climes.
Moisture overriding associated with weather fronts is an overall major method of precipitation production. If enough moisture and upward motion is present, precipitation falls from convective clouds such as cumulonimbus and can organize into narrow rainbands. Where relatively warm water bodies are present, for example due to water evaporation from lakes, lake-effect snowfall becomes a concern downwind of the warm lakes within the cold cyclonic flow around the backside of extratropical cyclones. Lake-effect snowfall can be locally heavy. <hl> Thundersnow is possible within a cyclone's comma head and within lake effect precipitation bands. <hl> In mountainous areas, heavy precipitation is possible where upslope flow is maximized within windward sides of the terrain at elevation. On the leeward side of mountains, desert climates can exist due to the dry air caused by compressional heating. The movement of the monsoon trough, or intertropical convergence zone, brings rainy seasons to savannah climes.
5d67b8882b22cd4dfcfc0054
graduates are literally 'basic doctors' (basisartsen)
question: What is different about the Dutch approach to medicine studies?, context: After the bachelor courses, students are allowed to enter the 'master in medicine' courses, which consist of three years of theoretical and clinical study. In general, the first two master years are very theoretical and teach the students human pathology, diseases and pharmacology. The third year is a year full of internships in a wide range of specialities in different clinics. The seventh, final year serves as a kind of 'pre-specialization' year in which the students are specifically trained in the specialty they wish to pursue after medical school. This contrasts with the Dutch approach, in which graduates are literally 'basic doctors' (basisartsen) who have yet to decide on a specialty.
What is different about the Dutch approach to medicine studies?
This contrasts with the Dutch approach, in which graduates are literally 'basic doctors' (basisartsen) who have yet to decide on a specialty.
After the bachelor courses, students are allowed to enter the 'master in medicine' courses, which consist of three years of theoretical and clinical study. In general, the first two master years are very theoretical and teach the students human pathology, diseases and pharmacology. The third year is a year full of internships in a wide range of specialities in different clinics. The seventh, final year serves as a kind of 'pre-specialization' year in which the students are specifically trained in the specialty they wish to pursue after medical school. This contrasts with the Dutch approach, in which graduates are literally 'basic doctors' (basisartsen) who have yet to decide on a specialty.
This contrasts with the Dutch approach, in which <hl> graduates are literally 'basic doctors' (basisartsen) <hl> who have yet to decide on a specialty.
After the bachelor courses, students are allowed to enter the 'master in medicine' courses, which consist of three years of theoretical and clinical study. In general, the first two master years are very theoretical and teach the students human pathology, diseases and pharmacology. The third year is a year full of internships in a wide range of specialities in different clinics. The seventh, final year serves as a kind of 'pre-specialization' year in which the students are specifically trained in the specialty they wish to pursue after medical school. This contrasts with the Dutch approach, in which <hl> graduates are literally 'basic doctors' (basisartsen) <hl> who have yet to decide on a specialty.
After the bachelor courses, students are allowed to enter the 'master in medicine' courses, which consist of three years of theoretical and clinical study. In general, the first two master years are very theoretical and teach the students human pathology, diseases and pharmacology. The third year is a year full of internships in a wide range of specialities in different clinics. The seventh, final year serves as a kind of 'pre-specialization' year in which the students are specifically trained in the specialty they wish to pursue after medical school. <hl> This contrasts with the Dutch approach, in which graduates are literally 'basic doctors' (basisartsen) who have yet to decide on a specialty. <hl>
5d66503b2b22cd4dfcfbdc17
cardiovascular/heart diseases
question: What diseases become more likely as people get older?, context: Multiple explanations have been proposed to explain why age increases the risk of cardiovascular/heart diseases. One of them is related to serum cholesterol level. In most populations, the serum total cholesterol level increases as age increases. In men, this increase levels off around age 45 to 50 years. In women, the increase continues sharply until age 60 to 65 years.
What diseases become more likely as people get older?
Multiple explanations have been proposed to explain why age increases the risk of cardiovascular/heart diseases .
Multiple explanations have been proposed to explain why age increases the risk of cardiovascular/heart diseases. One of them is related to serum cholesterol level. In most populations, the serum total cholesterol level increases as age increases. In men, this increase levels off around age 45 to 50 years. In women, the increase continues sharply until age 60 to 65 years.
Multiple explanations have been proposed to explain why age increases the risk of <hl> cardiovascular/heart diseases <hl> .
Multiple explanations have been proposed to explain why age increases the risk of <hl> cardiovascular/heart diseases <hl>. One of them is related to serum cholesterol level. In most populations, the serum total cholesterol level increases as age increases. In men, this increase levels off around age 45 to 50 years. In women, the increase continues sharply until age 60 to 65 years.
<hl> Multiple explanations have been proposed to explain why age increases the risk of cardiovascular/heart diseases . <hl> One of them is related to serum cholesterol level. In most populations, the serum total cholesterol level increases as age increases. In men, this increase levels off around age 45 to 50 years. In women, the increase continues sharply until age 60 to 65 years.
5d65ce062b22cd4dfcfbcda4
hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop
question: What genres did Drum and bass influenced ?, context: Drum and bass subgenres include breakcore, ragga jungle, hardstep, darkstep, techstep, Neurofunk, ambient drum and bass, liquid funk, deep, drumfunk, funkstep, sambass dnbnoise and drill 'n' bass. From its roots in the UK, the style has established itself around the world. Drum and bass has influenced many other genres like hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop. Drum and bass is dominated by a small group of record labels. The major international music labels have shown very little interest in the drum and bass scene. Drum and Bass remains most popular in the UK, but has developed scenes all around the world, in countries such as the Netherlands, Belgium, New Zealand, Canada and Australia.
What genres did Drum and bass influenced ?
Drum and bass has influenced many other genres like hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop .
Drum and bass subgenres include breakcore, ragga jungle, hardstep, darkstep, techstep, Neurofunk, ambient drum and bass, liquid funk, deep, drumfunk, funkstep, sambass dnbnoise and drill 'n' bass. From its roots in the UK, the style has established itself around the world. Drum and bass has influenced many other genres like hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop. Drum and bass is dominated by a small group of record labels. The major international music labels have shown very little interest in the drum and bass scene. Drum and Bass remains most popular in the UK, but has developed scenes all around the world, in countries such as the Netherlands, Belgium, New Zealand, Canada and Australia.
Drum and bass has influenced many other genres like <hl> hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop <hl> .
Drum and bass subgenres include breakcore, ragga jungle, hardstep, darkstep, techstep, Neurofunk, ambient drum and bass, liquid funk, deep, drumfunk, funkstep, sambass dnbnoise and drill 'n' bass. From its roots in the UK, the style has established itself around the world. Drum and bass has influenced many other genres like <hl> hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop <hl>. Drum and bass is dominated by a small group of record labels. The major international music labels have shown very little interest in the drum and bass scene. Drum and Bass remains most popular in the UK, but has developed scenes all around the world, in countries such as the Netherlands, Belgium, New Zealand, Canada and Australia.
Drum and bass subgenres include breakcore, ragga jungle, hardstep, darkstep, techstep, Neurofunk, ambient drum and bass, liquid funk, deep, drumfunk, funkstep, sambass dnbnoise and drill 'n' bass. From its roots in the UK, the style has established itself around the world. <hl> Drum and bass has influenced many other genres like hip hop, big beat, dubstep, house music, trip hop, ambient music, techno, rock and pop . <hl> Drum and bass is dominated by a small group of record labels. The major international music labels have shown very little interest in the drum and bass scene. Drum and Bass remains most popular in the UK, but has developed scenes all around the world, in countries such as the Netherlands, Belgium, New Zealand, Canada and Australia.
5d66a32c2b22cd4dfcfbe388
1961
question: When did the Hurriyet Daily News begin printing?, context: Today, Istanbul hosts a wide variety of periodicals. Most nationwide newspapers are based in Istanbul, with simultaneous Ankara and İzmir editions. Istanbul-based Zaman, although only founded in 1986, is Turkey's most widely circulated paper, with a weekly distribution of more than one million, twice that of its nearest competitor. Posta, Hürriyet, and Sözcü, which round out the country's top four papers, are all headquartered in Istanbul, boasting more than 300,000 weekly sales each. Hürriyet's English-language edition, The Hürriyet Daily News, has been printed since 1961, but the English-language Today's Zaman, first published by Zaman in 2007, has overtaken it in circulation. Several smaller newspapers, including popular publications like Habertürk and Milliyet, are also based in Istanbul.
When did the Hurriyet Daily News begin printing?
Hürriyet's English-language edition, The Hürriyet Daily News, has been printed since 1961 , but the English-language Today's Zaman, first published by Zaman in 2007, has overtaken it in circulation.
Today, Istanbul hosts a wide variety of periodicals. Most nationwide newspapers are based in Istanbul, with simultaneous Ankara and İzmir editions. Istanbul-based Zaman, although only founded in 1986, is Turkey's most widely circulated paper, with a weekly distribution of more than one million, twice that of its nearest competitor. Posta, Hürriyet, and Sözcü, which round out the country's top four papers, are all headquartered in Istanbul, boasting more than 300,000 weekly sales each. Hürriyet's English-language edition, The Hürriyet Daily News, has been printed since 1961, but the English-language Today's Zaman, first published by Zaman in 2007, has overtaken it in circulation. Several smaller newspapers, including popular publications like Habertürk and Milliyet, are also based in Istanbul.
Hürriyet's English-language edition, The Hürriyet Daily News, has been printed since <hl> 1961 <hl> , but the English-language Today's Zaman, first published by Zaman in 2007, has overtaken it in circulation.
Today, Istanbul hosts a wide variety of periodicals. Most nationwide newspapers are based in Istanbul, with simultaneous Ankara and İzmir editions. Istanbul-based Zaman, although only founded in 1986, is Turkey's most widely circulated paper, with a weekly distribution of more than one million, twice that of its nearest competitor. Posta, Hürriyet, and Sözcü, which round out the country's top four papers, are all headquartered in Istanbul, boasting more than 300,000 weekly sales each. Hürriyet's English-language edition, The Hürriyet Daily News, has been printed since <hl> 1961 <hl>, but the English-language Today's Zaman, first published by Zaman in 2007, has overtaken it in circulation. Several smaller newspapers, including popular publications like Habertürk and Milliyet, are also based in Istanbul.
Today, Istanbul hosts a wide variety of periodicals. Most nationwide newspapers are based in Istanbul, with simultaneous Ankara and İzmir editions. Istanbul-based Zaman, although only founded in 1986, is Turkey's most widely circulated paper, with a weekly distribution of more than one million, twice that of its nearest competitor. Posta, Hürriyet, and Sözcü, which round out the country's top four papers, are all headquartered in Istanbul, boasting more than 300,000 weekly sales each. <hl> Hürriyet's English-language edition, The Hürriyet Daily News, has been printed since 1961 , but the English-language Today's Zaman, first published by Zaman in 2007, has overtaken it in circulation. <hl> Several smaller newspapers, including popular publications like Habertürk and Milliyet, are also based in Istanbul.
5d6607712b22cd4dfcfbd61f
techstep
question: What is the subgenre that drew greater influence from techno music?, context: As the genre became generally more polished and sophisticated technically, it began to expand its reach from pirate radio to commercial stations and gain widespread acceptance (circa 1995–1997). It also began to split into recognizable subgenres such as jump-up and Hardstep. As a lighter and often jazz-influenced style of drum and bass gained mainstream appeal, additional subgenres emerged including techstep (circa 1996–1997) which drew greater influence from techno music and the soundscapes of science fiction and anime films.
What is the subgenre that drew greater influence from techno music?
As a lighter and often jazz-influenced style of drum and bass gained mainstream appeal, additional subgenres emerged including techstep (circa 1996–1997) which drew greater influence from techno music and the soundscapes of science fiction and anime films.
As the genre became generally more polished and sophisticated technically, it began to expand its reach from pirate radio to commercial stations and gain widespread acceptance (circa 1995–1997). It also began to split into recognizable subgenres such as jump-up and Hardstep. As a lighter and often jazz-influenced style of drum and bass gained mainstream appeal, additional subgenres emerged including techstep (circa 1996–1997) which drew greater influence from techno music and the soundscapes of science fiction and anime films.
As a lighter and often jazz-influenced style of drum and bass gained mainstream appeal, additional subgenres emerged including <hl> techstep <hl> (circa 1996–1997) which drew greater influence from techno music and the soundscapes of science fiction and anime films.
As the genre became generally more polished and sophisticated technically, it began to expand its reach from pirate radio to commercial stations and gain widespread acceptance (circa 1995–1997). It also began to split into recognizable subgenres such as jump-up and Hardstep. As a lighter and often jazz-influenced style of drum and bass gained mainstream appeal, additional subgenres emerged including <hl> techstep <hl> (circa 1996–1997) which drew greater influence from techno music and the soundscapes of science fiction and anime films.
As the genre became generally more polished and sophisticated technically, it began to expand its reach from pirate radio to commercial stations and gain widespread acceptance (circa 1995–1997). It also began to split into recognizable subgenres such as jump-up and Hardstep. <hl> As a lighter and often jazz-influenced style of drum and bass gained mainstream appeal, additional subgenres emerged including techstep (circa 1996–1997) which drew greater influence from techno music and the soundscapes of science fiction and anime films. <hl>
5d66a70d2b22cd4dfcfbe3bf
the perfect, pluperfect, and future perfect tenses
question: Which tenses make up the perfect system?, context: There are six tenses in the Latin language. These are divided into two tense systems: the present system, which is made up of the present, imperfect, and future tenses, and the perfect system, which is made up of the perfect, pluperfect, and future perfect tenses. Each tense has a set of endings corresponding to the person and number referred to. This means that subject (nominative) pronouns are generally unnecessary for the first (I, we) and second (you) persons, unless emphasis on the subject is needed.
Which tenses make up the perfect system?
These are divided into two tense systems: the present system, which is made up of the present, imperfect, and future tenses, and the perfect system, which is made up of the perfect, pluperfect, and future perfect tenses .
There are six tenses in the Latin language. These are divided into two tense systems: the present system, which is made up of the present, imperfect, and future tenses, and the perfect system, which is made up of the perfect, pluperfect, and future perfect tenses. Each tense has a set of endings corresponding to the person and number referred to. This means that subject (nominative) pronouns are generally unnecessary for the first (I, we) and second (you) persons, unless emphasis on the subject is needed.
These are divided into two tense systems: the present system, which is made up of the present, imperfect, and future tenses, and the perfect system, which is made up of <hl> the perfect, pluperfect, and future perfect tenses <hl> .
There are six tenses in the Latin language. These are divided into two tense systems: the present system, which is made up of the present, imperfect, and future tenses, and the perfect system, which is made up of <hl> the perfect, pluperfect, and future perfect tenses <hl>. Each tense has a set of endings corresponding to the person and number referred to. This means that subject (nominative) pronouns are generally unnecessary for the first (I, we) and second (you) persons, unless emphasis on the subject is needed.
There are six tenses in the Latin language. <hl> These are divided into two tense systems: the present system, which is made up of the present, imperfect, and future tenses, and the perfect system, which is made up of the perfect, pluperfect, and future perfect tenses . <hl> Each tense has a set of endings corresponding to the person and number referred to. This means that subject (nominative) pronouns are generally unnecessary for the first (I, we) and second (you) persons, unless emphasis on the subject is needed.
5d65f5e62b22cd4dfcfbd41f
The Australian Democrats, a minor party
question: Are the Australian Democrats considered a major party?, context: One of the functions of the Senate, both directly and through its committees, is to scrutinise government activity. The vigour of this scrutiny has been fuelled for many years by the fact that the party in government has seldom had a majority in the Senate. Whereas in the House of Representatives the government's majority has sometimes limited that chamber's capacity to implement executive scrutiny, the opposition and minor parties have been able to use their Senate numbers as a basis for conducting inquiries into government operations. When the Howard government won control of the Senate in 2005, it sparked a debate about the effectiveness of the Senate in holding the government of the day accountable for its actions. Government members argued that the Senate continued to be a forum of vigorous debate, and its committees continued to be active. The Opposition leader in the Senate suggested that the government had attenuated the scrutinising activities of the Senate. The Australian Democrats, a minor party which has frequently played mediating and negotiating roles in the Senate, expressed concern about a diminished role for the Senate's committees.
Are the Australian Democrats considered a major party?
The Australian Democrats, a minor party which has frequently played mediating and negotiating roles in the Senate, expressed concern about a diminished role for the Senate's committees.
One of the functions of the Senate, both directly and through its committees, is to scrutinise government activity. The vigour of this scrutiny has been fuelled for many years by the fact that the party in government has seldom had a majority in the Senate. Whereas in the House of Representatives the government's majority has sometimes limited that chamber's capacity to implement executive scrutiny, the opposition and minor parties have been able to use their Senate numbers as a basis for conducting inquiries into government operations. When the Howard government won control of the Senate in 2005, it sparked a debate about the effectiveness of the Senate in holding the government of the day accountable for its actions. Government members argued that the Senate continued to be a forum of vigorous debate, and its committees continued to be active. The Opposition leader in the Senate suggested that the government had attenuated the scrutinising activities of the Senate. The Australian Democrats, a minor party which has frequently played mediating and negotiating roles in the Senate, expressed concern about a diminished role for the Senate's committees.
<hl> The Australian Democrats, a minor party <hl> which has frequently played mediating and negotiating roles in the Senate, expressed concern about a diminished role for the Senate's committees.
One of the functions of the Senate, both directly and through its committees, is to scrutinise government activity. The vigour of this scrutiny has been fuelled for many years by the fact that the party in government has seldom had a majority in the Senate. Whereas in the House of Representatives the government's majority has sometimes limited that chamber's capacity to implement executive scrutiny, the opposition and minor parties have been able to use their Senate numbers as a basis for conducting inquiries into government operations. When the Howard government won control of the Senate in 2005, it sparked a debate about the effectiveness of the Senate in holding the government of the day accountable for its actions. Government members argued that the Senate continued to be a forum of vigorous debate, and its committees continued to be active. The Opposition leader in the Senate suggested that the government had attenuated the scrutinising activities of the Senate. <hl> The Australian Democrats, a minor party <hl> which has frequently played mediating and negotiating roles in the Senate, expressed concern about a diminished role for the Senate's committees.
One of the functions of the Senate, both directly and through its committees, is to scrutinise government activity. The vigour of this scrutiny has been fuelled for many years by the fact that the party in government has seldom had a majority in the Senate. Whereas in the House of Representatives the government's majority has sometimes limited that chamber's capacity to implement executive scrutiny, the opposition and minor parties have been able to use their Senate numbers as a basis for conducting inquiries into government operations. When the Howard government won control of the Senate in 2005, it sparked a debate about the effectiveness of the Senate in holding the government of the day accountable for its actions. Government members argued that the Senate continued to be a forum of vigorous debate, and its committees continued to be active. The Opposition leader in the Senate suggested that the government had attenuated the scrutinising activities of the Senate. <hl> The Australian Democrats, a minor party which has frequently played mediating and negotiating roles in the Senate, expressed concern about a diminished role for the Senate's committees. <hl>
5d65e1482b22cd4dfcfbd0b4
territorial
question: What may the decentralization be?, context: Government decentralization has both political and administrative aspects. Its decentralization may be territorial, moving power from a central city to other localities, and it may be functional, moving decision-making from the top administrator of any branch of government to lower level officials, or divesting of the function entirely through privatization. It has been called the "new public management" which has been described as decentralization, management by objectives, contracting out, competition within government and consumer orientation.
What may the decentralization be?
Its decentralization may be territorial , moving power from a central city to other localities, and it may be functional, moving decision-making from the top administrator of any branch of government to lower level officials, or divesting of the function entirely through privatization.
Government decentralization has both political and administrative aspects. Its decentralization may be territorial, moving power from a central city to other localities, and it may be functional, moving decision-making from the top administrator of any branch of government to lower level officials, or divesting of the function entirely through privatization. It has been called the "new public management" which has been described as decentralization, management by objectives, contracting out, competition within government and consumer orientation.
Its decentralization may be <hl> territorial <hl> , moving power from a central city to other localities, and it may be functional, moving decision-making from the top administrator of any branch of government to lower level officials, or divesting of the function entirely through privatization.
Government decentralization has both political and administrative aspects. Its decentralization may be <hl> territorial <hl>, moving power from a central city to other localities, and it may be functional, moving decision-making from the top administrator of any branch of government to lower level officials, or divesting of the function entirely through privatization. It has been called the "new public management" which has been described as decentralization, management by objectives, contracting out, competition within government and consumer orientation.
Government decentralization has both political and administrative aspects. <hl> Its decentralization may be territorial , moving power from a central city to other localities, and it may be functional, moving decision-making from the top administrator of any branch of government to lower level officials, or divesting of the function entirely through privatization. <hl> It has been called the "new public management" which has been described as decentralization, management by objectives, contracting out, competition within government and consumer orientation.
5d660c192b22cd4dfcfbd6dc