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Cistercian Order | question: Who was Rewley Abbey for?, context: Oxford's prestige was enhanced by its charter granted by King Henry II, granting its citizens the same privileges and exemptions as those enjoyed by the capital of the kingdom; and various important religious houses were founded in or near the city. A grandson of King John established Rewley Abbey for the Cistercian Order; and friars of various orders (Dominicans, Franciscans, Carmelites, Augustinians and Trinitarians) all had houses of varying importance at Oxford. Parliaments were often held in the city during the 13th century. The Provisions of Oxford were instigated by a group of barons led by Simon de Montfort; these documents are often regarded as England's first written constitution. | Who was Rewley Abbey for? | A grandson of King John established Rewley Abbey for the Cistercian Order ; and friars of various orders (Dominicans, Franciscans, Carmelites, Augustinians and Trinitarians) all had houses of varying importance at Oxford. | Oxford's prestige was enhanced by its charter granted by King Henry II, granting its citizens the same privileges and exemptions as those enjoyed by the capital of the kingdom; and various important religious houses were founded in or near the city. A grandson of King John established Rewley Abbey for the Cistercian Order; and friars of various orders (Dominicans, Franciscans, Carmelites, Augustinians and Trinitarians) all had houses of varying importance at Oxford. Parliaments were often held in the city during the 13th century. The Provisions of Oxford were instigated by a group of barons led by Simon de Montfort; these documents are often regarded as England's first written constitution. | A grandson of King John established Rewley Abbey for the <hl> Cistercian Order <hl> ; and friars of various orders (Dominicans, Franciscans, Carmelites, Augustinians and Trinitarians) all had houses of varying importance at Oxford. | Oxford's prestige was enhanced by its charter granted by King Henry II, granting its citizens the same privileges and exemptions as those enjoyed by the capital of the kingdom; and various important religious houses were founded in or near the city. A grandson of King John established Rewley Abbey for the <hl> Cistercian Order <hl>; and friars of various orders (Dominicans, Franciscans, Carmelites, Augustinians and Trinitarians) all had houses of varying importance at Oxford. Parliaments were often held in the city during the 13th century. The Provisions of Oxford were instigated by a group of barons led by Simon de Montfort; these documents are often regarded as England's first written constitution. | Oxford's prestige was enhanced by its charter granted by King Henry II, granting its citizens the same privileges and exemptions as those enjoyed by the capital of the kingdom; and various important religious houses were founded in or near the city. <hl> A grandson of King John established Rewley Abbey for the Cistercian Order ; and friars of various orders (Dominicans, Franciscans, Carmelites, Augustinians and Trinitarians) all had houses of varying importance at Oxford. <hl> Parliaments were often held in the city during the 13th century. The Provisions of Oxford were instigated by a group of barons led by Simon de Montfort; these documents are often regarded as England's first written constitution. | 5d6736bb2b22cd4dfcfbf2af |
miles across | question: The massive air masses of tropical cyclones can be several hundred what?, context: Tropical cyclones, a source of very heavy rainfall, consist of large air masses several hundred miles across with low pressure at the centre and with winds blowing inward towards the centre in either a clockwise direction (southern hemisphere) or counterclockwise (northern hemisphere). Although cyclones can take an enormous toll in lives and personal property, they may be important factors in the precipitation regimes of places they impact, as they may bring much-needed precipitation to otherwise dry regions. Areas in their path can receive a year's worth of rainfall from a tropical cyclone passage. | The massive air masses of tropical cyclones can be several hundred what? | Tropical cyclones, a source of very heavy rainfall, consist of large air masses several hundred miles across with low pressure at the centre and with winds blowing inward towards the centre in either a clockwise direction (southern hemisphere) or counterclockwise (northern hemisphere). | Tropical cyclones, a source of very heavy rainfall, consist of large air masses several hundred miles across with low pressure at the centre and with winds blowing inward towards the centre in either a clockwise direction (southern hemisphere) or counterclockwise (northern hemisphere). Although cyclones can take an enormous toll in lives and personal property, they may be important factors in the precipitation regimes of places they impact, as they may bring much-needed precipitation to otherwise dry regions. Areas in their path can receive a year's worth of rainfall from a tropical cyclone passage. | Tropical cyclones, a source of very heavy rainfall, consist of large air masses several hundred <hl> miles across <hl> with low pressure at the centre and with winds blowing inward towards the centre in either a clockwise direction (southern hemisphere) or counterclockwise (northern hemisphere). | Tropical cyclones, a source of very heavy rainfall, consist of large air masses several hundred <hl> miles across <hl> with low pressure at the centre and with winds blowing inward towards the centre in either a clockwise direction (southern hemisphere) or counterclockwise (northern hemisphere). Although cyclones can take an enormous toll in lives and personal property, they may be important factors in the precipitation regimes of places they impact, as they may bring much-needed precipitation to otherwise dry regions. Areas in their path can receive a year's worth of rainfall from a tropical cyclone passage. | <hl> Tropical cyclones, a source of very heavy rainfall, consist of large air masses several hundred miles across with low pressure at the centre and with winds blowing inward towards the centre in either a clockwise direction (southern hemisphere) or counterclockwise (northern hemisphere). <hl> Although cyclones can take an enormous toll in lives and personal property, they may be important factors in the precipitation regimes of places they impact, as they may bring much-needed precipitation to otherwise dry regions. Areas in their path can receive a year's worth of rainfall from a tropical cyclone passage. | 5d66fe282b22cd4dfcfbe985 |
New Amsterdam (New York) | question: How did the English government exact payment from early American colonists?, context: Mercantilism was the basic policy imposed by Britain on its colonies from the 1660s. Mercantilism meant that the government and merchants based in England became partners with the goal of increasing political power and private wealth, to the exclusion of other empires and even merchants based in its own colonies. The government protected its London-based merchants—and kept others out—by trade barriers, regulations, and subsidies to domestic industries in order to maximize exports from and minimize imports to the realm. The government had to fight smuggling, especially by American merchants, some of whose activities (which included direct trade with the French, Spanish, Dutch, and Portuguese) were classified as such by the Navigation Acts. The goal of mercantilism was to run trade surpluses, so that gold and silver would pour into London. The government took its share through duties and taxes, with the remainder going to merchants in Britain. The government spent much of its revenue on a superb Royal Navy, which not only protected the British colonies but threatened the colonies of the other empires, and sometimes seized them. Thus the British Navy captured New Amsterdam (New York) in 1664. The colonies were captive markets for British industry, and the goal was to enrich the mother country. | How did the English government exact payment from early American colonists? | Thus the British Navy captured New Amsterdam (New York) in 1664. | Mercantilism was the basic policy imposed by Britain on its colonies from the 1660s. Mercantilism meant that the government and merchants based in England became partners with the goal of increasing political power and private wealth, to the exclusion of other empires and even merchants based in its own colonies. The government protected its London-based merchants—and kept others out—by trade barriers, regulations, and subsidies to domestic industries in order to maximize exports from and minimize imports to the realm. The government had to fight smuggling, especially by American merchants, some of whose activities (which included direct trade with the French, Spanish, Dutch, and Portuguese) were classified as such by the Navigation Acts. The goal of mercantilism was to run trade surpluses, so that gold and silver would pour into London. The government took its share through duties and taxes, with the remainder going to merchants in Britain. The government spent much of its revenue on a superb Royal Navy, which not only protected the British colonies but threatened the colonies of the other empires, and sometimes seized them. Thus the British Navy captured New Amsterdam (New York) in 1664. The colonies were captive markets for British industry, and the goal was to enrich the mother country. | Thus the British Navy captured <hl> New Amsterdam (New York) <hl> in 1664. | Mercantilism was the basic policy imposed by Britain on its colonies from the 1660s. Mercantilism meant that the government and merchants based in England became partners with the goal of increasing political power and private wealth, to the exclusion of other empires and even merchants based in its own colonies. The government protected its London-based merchants—and kept others out—by trade barriers, regulations, and subsidies to domestic industries in order to maximize exports from and minimize imports to the realm. The government had to fight smuggling, especially by American merchants, some of whose activities (which included direct trade with the French, Spanish, Dutch, and Portuguese) were classified as such by the Navigation Acts. The goal of mercantilism was to run trade surpluses, so that gold and silver would pour into London. The government took its share through duties and taxes, with the remainder going to merchants in Britain. The government spent much of its revenue on a superb Royal Navy, which not only protected the British colonies but threatened the colonies of the other empires, and sometimes seized them. Thus the British Navy captured <hl> New Amsterdam (New York) <hl> in 1664. The colonies were captive markets for British industry, and the goal was to enrich the mother country. | Mercantilism was the basic policy imposed by Britain on its colonies from the 1660s. Mercantilism meant that the government and merchants based in England became partners with the goal of increasing political power and private wealth, to the exclusion of other empires and even merchants based in its own colonies. The government protected its London-based merchants—and kept others out—by trade barriers, regulations, and subsidies to domestic industries in order to maximize exports from and minimize imports to the realm. The government had to fight smuggling, especially by American merchants, some of whose activities (which included direct trade with the French, Spanish, Dutch, and Portuguese) were classified as such by the Navigation Acts. The goal of mercantilism was to run trade surpluses, so that gold and silver would pour into London. The government took its share through duties and taxes, with the remainder going to merchants in Britain. The government spent much of its revenue on a superb Royal Navy, which not only protected the British colonies but threatened the colonies of the other empires, and sometimes seized them. <hl> Thus the British Navy captured New Amsterdam (New York) in 1664. <hl> The colonies were captive markets for British industry, and the goal was to enrich the mother country. | 5d6676442b22cd4dfcfbdff5 |
The Decline of the Roman Empire | question: What led to the deterioration of the education in Europe in the late Latin era?, context: As vernacular Latin was free to develop on its own, there is no reason to suppose that the speech was uniform either diachronically or geographically. On the contrary, Romanized European populations developed their own dialects of the language. The Decline of the Roman Empire meant a deterioration in educational standards that brought about Late Latin, a post-classical stage of the language seen in Christian writings of the time. This language was more in line with the everyday speech not only because of a decline in education, but also because of a desire to spread the word to the masses. | What led to the deterioration of the education in Europe in the late Latin era? | The Decline of the Roman Empire meant a deterioration in educational standards that brought about Late Latin, a post-classical stage of the language seen in Christian writings of the time. | As vernacular Latin was free to develop on its own, there is no reason to suppose that the speech was uniform either diachronically or geographically. On the contrary, Romanized European populations developed their own dialects of the language. The Decline of the Roman Empire meant a deterioration in educational standards that brought about Late Latin, a post-classical stage of the language seen in Christian writings of the time. This language was more in line with the everyday speech not only because of a decline in education, but also because of a desire to spread the word to the masses. | <hl> The Decline of the Roman Empire <hl> meant a deterioration in educational standards that brought about Late Latin, a post-classical stage of the language seen in Christian writings of the time. | As vernacular Latin was free to develop on its own, there is no reason to suppose that the speech was uniform either diachronically or geographically. On the contrary, Romanized European populations developed their own dialects of the language. <hl> The Decline of the Roman Empire <hl> meant a deterioration in educational standards that brought about Late Latin, a post-classical stage of the language seen in Christian writings of the time. This language was more in line with the everyday speech not only because of a decline in education, but also because of a desire to spread the word to the masses. | As vernacular Latin was free to develop on its own, there is no reason to suppose that the speech was uniform either diachronically or geographically. On the contrary, Romanized European populations developed their own dialects of the language. <hl> The Decline of the Roman Empire meant a deterioration in educational standards that brought about Late Latin, a post-classical stage of the language seen in Christian writings of the time. <hl> This language was more in line with the everyday speech not only because of a decline in education, but also because of a desire to spread the word to the masses. | 5d6642e42b22cd4dfcfbdb9b |
the States | question: Divisibility was still possible to some degree by consent of what entities?, context: The United States Supreme Court in Texas v. White held that political states do not have the right to secede, though it did allow some possibility of the divisibility "through revolution, or through consent of the States." | Divisibility was still possible to some degree by consent of what entities? | The United States Supreme Court in Texas v. White held that political states do not have the right to secede, though it did allow some possibility of the divisibility "through revolution, or through consent of the States ." | The United States Supreme Court in Texas v. White held that political states do not have the right to secede, though it did allow some possibility of the divisibility "through revolution, or through consent of the States." | The United States Supreme Court in Texas v. White held that political states do not have the right to secede, though it did allow some possibility of the divisibility "through revolution, or through consent of <hl> the States <hl> ." | The United States Supreme Court in Texas v. White held that political states do not have the right to secede, though it did allow some possibility of the divisibility "through revolution, or through consent of <hl> the States <hl>." | <hl> The United States Supreme Court in Texas v. White held that political states do not have the right to secede, though it did allow some possibility of the divisibility "through revolution, or through consent of the States ." <hl> | 5d66f5ba2b22cd4dfcfbe7bd |
latitude, altitude, and proximity to the sea | question: What determines the climate in different areas of the Andes?, context: The climate in the Andes varies greatly depending on latitude, altitude, and proximity to the sea. Temperature, atmospheric pressure and humidity decrease in higher elevations. The southern section is rainy and cool, the central section is dry. The northern Andes are typically rainy and warm, with an average temperature of 18 °C (64 °F) in Colombia. The climate is known to change drastically in rather short distances. Rainforests exist just miles away from the snow-covered peak Cotopaxi. The mountains have a large effect on the temperatures of nearby areas. The snow line depends on the location. It is at between 4,500 and 4,800 m (14,800 and 15,700 ft) in the tropical Ecuadorian, Colombian, Venezuelan, and northern Peruvian Andes, rising to 4,800–5,200 m (15,700–17,100 ft) in the drier mountains of southern Peru south to northern Chile south to about 30°S, then descending to 4,500 m (14,760 ft) on Aconcagua at 32°S, 2,000 m (6,600 ft) at 40°S, 500 m (1,640 ft) at 50°S, and only 300 m (980 ft) in Tierra del Fuego at 55°S; from 50°S, several of the larger glaciers descend to sea level. | What determines the climate in different areas of the Andes? | The climate in the Andes varies greatly depending on latitude, altitude, and proximity to the sea . | The climate in the Andes varies greatly depending on latitude, altitude, and proximity to the sea. Temperature, atmospheric pressure and humidity decrease in higher elevations. The southern section is rainy and cool, the central section is dry. The northern Andes are typically rainy and warm, with an average temperature of 18 °C (64 °F) in Colombia. The climate is known to change drastically in rather short distances. Rainforests exist just miles away from the snow-covered peak Cotopaxi. The mountains have a large effect on the temperatures of nearby areas. The snow line depends on the location. It is at between 4,500 and 4,800 m (14,800 and 15,700 ft) in the tropical Ecuadorian, Colombian, Venezuelan, and northern Peruvian Andes, rising to 4,800–5,200 m (15,700–17,100 ft) in the drier mountains of southern Peru south to northern Chile south to about 30°S, then descending to 4,500 m (14,760 ft) on Aconcagua at 32°S, 2,000 m (6,600 ft) at 40°S, 500 m (1,640 ft) at 50°S, and only 300 m (980 ft) in Tierra del Fuego at 55°S; from 50°S, several of the larger glaciers descend to sea level. | The climate in the Andes varies greatly depending on <hl> latitude, altitude, and proximity to the sea <hl> . | The climate in the Andes varies greatly depending on <hl> latitude, altitude, and proximity to the sea <hl>. Temperature, atmospheric pressure and humidity decrease in higher elevations. The southern section is rainy and cool, the central section is dry. The northern Andes are typically rainy and warm, with an average temperature of 18 °C (64 °F) in Colombia. The climate is known to change drastically in rather short distances. Rainforests exist just miles away from the snow-covered peak Cotopaxi. The mountains have a large effect on the temperatures of nearby areas. The snow line depends on the location. It is at between 4,500 and 4,800 m (14,800 and 15,700 ft) in the tropical Ecuadorian, Colombian, Venezuelan, and northern Peruvian Andes, rising to 4,800–5,200 m (15,700–17,100 ft) in the drier mountains of southern Peru south to northern Chile south to about 30°S, then descending to 4,500 m (14,760 ft) on Aconcagua at 32°S, 2,000 m (6,600 ft) at 40°S, 500 m (1,640 ft) at 50°S, and only 300 m (980 ft) in Tierra del Fuego at 55°S; from 50°S, several of the larger glaciers descend to sea level. | <hl> The climate in the Andes varies greatly depending on latitude, altitude, and proximity to the sea . <hl> Temperature, atmospheric pressure and humidity decrease in higher elevations. The southern section is rainy and cool, the central section is dry. The northern Andes are typically rainy and warm, with an average temperature of 18 °C (64 °F) in Colombia. The climate is known to change drastically in rather short distances. Rainforests exist just miles away from the snow-covered peak Cotopaxi. The mountains have a large effect on the temperatures of nearby areas. The snow line depends on the location. It is at between 4,500 and 4,800 m (14,800 and 15,700 ft) in the tropical Ecuadorian, Colombian, Venezuelan, and northern Peruvian Andes, rising to 4,800–5,200 m (15,700–17,100 ft) in the drier mountains of southern Peru south to northern Chile south to about 30°S, then descending to 4,500 m (14,760 ft) on Aconcagua at 32°S, 2,000 m (6,600 ft) at 40°S, 500 m (1,640 ft) at 50°S, and only 300 m (980 ft) in Tierra del Fuego at 55°S; from 50°S, several of the larger glaciers descend to sea level. | 5d6699022b22cd4dfcfbe339 |
Paleozoic age | question: What era are the metamorphic roof pendants rocks from?, context: The earliest rocks in the Sierra Nevada are metamorphic roof pendants of Paleozoic age, the oldest rocks being metasedimentary rocks from the Cambrian in the Mount Morrison region. They are dark colored hornfels, slates, marbles, and schists, and are found in the western foothills (notably around Coarsegold and west of the Tehachapi Pass) and also east of the Sierra Crest. The earliest granite of the Sierra started to form in the Triassic period. This granite is mostly found east of the crest and north of 37.2°N. In the Triassic and into the Jurassic, an island arc collided with the west coast of North America and raised a chain of volcanoes, in an event called the Nevadan orogeny. Nearly all subaerial Sierran Arc volcanoes have since disappeared; their remains were redeposited during the Great Valley Sequence and the subsequent Cenozoic filling of the Great Valley, which is the source of much of the sedimentary rock in California. | What era are the metamorphic roof pendants rocks from? | The earliest rocks in the Sierra Nevada are metamorphic roof pendants of Paleozoic age , the oldest rocks being metasedimentary rocks from the Cambrian in the Mount Morrison region. | The earliest rocks in the Sierra Nevada are metamorphic roof pendants of Paleozoic age, the oldest rocks being metasedimentary rocks from the Cambrian in the Mount Morrison region. They are dark colored hornfels, slates, marbles, and schists, and are found in the western foothills (notably around Coarsegold and west of the Tehachapi Pass) and also east of the Sierra Crest. The earliest granite of the Sierra started to form in the Triassic period. This granite is mostly found east of the crest and north of 37.2°N. In the Triassic and into the Jurassic, an island arc collided with the west coast of North America and raised a chain of volcanoes, in an event called the Nevadan orogeny. Nearly all subaerial Sierran Arc volcanoes have since disappeared; their remains were redeposited during the Great Valley Sequence and the subsequent Cenozoic filling of the Great Valley, which is the source of much of the sedimentary rock in California. | The earliest rocks in the Sierra Nevada are metamorphic roof pendants of <hl> Paleozoic age <hl> , the oldest rocks being metasedimentary rocks from the Cambrian in the Mount Morrison region. | The earliest rocks in the Sierra Nevada are metamorphic roof pendants of <hl> Paleozoic age <hl>, the oldest rocks being metasedimentary rocks from the Cambrian in the Mount Morrison region. They are dark colored hornfels, slates, marbles, and schists, and are found in the western foothills (notably around Coarsegold and west of the Tehachapi Pass) and also east of the Sierra Crest. The earliest granite of the Sierra started to form in the Triassic period. This granite is mostly found east of the crest and north of 37.2°N. In the Triassic and into the Jurassic, an island arc collided with the west coast of North America and raised a chain of volcanoes, in an event called the Nevadan orogeny. Nearly all subaerial Sierran Arc volcanoes have since disappeared; their remains were redeposited during the Great Valley Sequence and the subsequent Cenozoic filling of the Great Valley, which is the source of much of the sedimentary rock in California. | <hl> The earliest rocks in the Sierra Nevada are metamorphic roof pendants of Paleozoic age , the oldest rocks being metasedimentary rocks from the Cambrian in the Mount Morrison region. <hl> They are dark colored hornfels, slates, marbles, and schists, and are found in the western foothills (notably around Coarsegold and west of the Tehachapi Pass) and also east of the Sierra Crest. The earliest granite of the Sierra started to form in the Triassic period. This granite is mostly found east of the crest and north of 37.2°N. In the Triassic and into the Jurassic, an island arc collided with the west coast of North America and raised a chain of volcanoes, in an event called the Nevadan orogeny. Nearly all subaerial Sierran Arc volcanoes have since disappeared; their remains were redeposited during the Great Valley Sequence and the subsequent Cenozoic filling of the Great Valley, which is the source of much of the sedimentary rock in California. | 5d66f16c2b22cd4dfcfbe6ab |
About half | question: About how many people from 2010 to 2011 returned for housng?, context: According to the Coalition for the Homeless, the homeless population of New York rose to an all-time high in 2011. A reported 113,552 people slept in the city's emergency shelters last year, including over 40,000 children; marking an 8 percent increase from the previous year and a 37 percent increase from 2002. There was also a rise in the number of families relying on shelters, approximately 29,000. That is an increase of 80% from 2002. About half of the people who slept in shelter in 2010 returned for housing in 2011. | About how many people from 2010 to 2011 returned for housng? | About half of the people who slept in shelter in 2010 returned for housing in 2011. | According to the Coalition for the Homeless, the homeless population of New York rose to an all-time high in 2011. A reported 113,552 people slept in the city's emergency shelters last year, including over 40,000 children; marking an 8 percent increase from the previous year and a 37 percent increase from 2002. There was also a rise in the number of families relying on shelters, approximately 29,000. That is an increase of 80% from 2002. About half of the people who slept in shelter in 2010 returned for housing in 2011. | <hl> About half <hl> of the people who slept in shelter in 2010 returned for housing in 2011. | According to the Coalition for the Homeless, the homeless population of New York rose to an all-time high in 2011. A reported 113,552 people slept in the city's emergency shelters last year, including over 40,000 children; marking an 8 percent increase from the previous year and a 37 percent increase from 2002. There was also a rise in the number of families relying on shelters, approximately 29,000. That is an increase of 80% from 2002. <hl> About half <hl> of the people who slept in shelter in 2010 returned for housing in 2011. | According to the Coalition for the Homeless, the homeless population of New York rose to an all-time high in 2011. A reported 113,552 people slept in the city's emergency shelters last year, including over 40,000 children; marking an 8 percent increase from the previous year and a 37 percent increase from 2002. There was also a rise in the number of families relying on shelters, approximately 29,000. That is an increase of 80% from 2002. <hl> About half of the people who slept in shelter in 2010 returned for housing in 2011. <hl> | 5d65df802b22cd4dfcfbd053 |
corrosion-resistant tin plating of steel | question: What is a big application for tin?, context: The first alloy used on a large scale since 3000 BC was bronze, an alloy of tin and copper. After 600 BC, pure metallic tin was produced. Pewter, which is an alloy of 85–90% tin with the remainder commonly consisting of copper, antimony and lead, was used for flatware from the Bronze Age until the 20th century. In modern times, tin is used in many alloys, most notably tin/lead soft solders, which are typically 60% or more tin. Another large application for tin is corrosion-resistant tin plating of steel. Because of its low toxicity, tin-plated metal was used for food packaging as tin cans, which are now made mostly of steel,[citation needed] even though the name is kept in English. | What is a big application for tin? | Another large application for tin is corrosion-resistant tin plating of steel . | The first alloy used on a large scale since 3000 BC was bronze, an alloy of tin and copper. After 600 BC, pure metallic tin was produced. Pewter, which is an alloy of 85–90% tin with the remainder commonly consisting of copper, antimony and lead, was used for flatware from the Bronze Age until the 20th century. In modern times, tin is used in many alloys, most notably tin/lead soft solders, which are typically 60% or more tin. Another large application for tin is corrosion-resistant tin plating of steel. Because of its low toxicity, tin-plated metal was used for food packaging as tin cans, which are now made mostly of steel,[citation needed] even though the name is kept in English. | Another large application for tin is <hl> corrosion-resistant tin plating of steel <hl> . | The first alloy used on a large scale since 3000 BC was bronze, an alloy of tin and copper. After 600 BC, pure metallic tin was produced. Pewter, which is an alloy of 85–90% tin with the remainder commonly consisting of copper, antimony and lead, was used for flatware from the Bronze Age until the 20th century. In modern times, tin is used in many alloys, most notably tin/lead soft solders, which are typically 60% or more tin. Another large application for tin is <hl> corrosion-resistant tin plating of steel <hl>. Because of its low toxicity, tin-plated metal was used for food packaging as tin cans, which are now made mostly of steel,[citation needed] even though the name is kept in English. | The first alloy used on a large scale since 3000 BC was bronze, an alloy of tin and copper. After 600 BC, pure metallic tin was produced. Pewter, which is an alloy of 85–90% tin with the remainder commonly consisting of copper, antimony and lead, was used for flatware from the Bronze Age until the 20th century. In modern times, tin is used in many alloys, most notably tin/lead soft solders, which are typically 60% or more tin. <hl> Another large application for tin is corrosion-resistant tin plating of steel . <hl> Because of its low toxicity, tin-plated metal was used for food packaging as tin cans, which are now made mostly of steel,[citation needed] even though the name is kept in English. | 5d66ebb82b22cd4dfcfbe544 |
Sterol lipids | question: What type of lipid is cholesterol?, context: Sterol lipids, such as cholesterol and its derivatives, are an important component of membrane lipids, along with the glycerophospholipids and sphingomyelins. The steroids, all derived from the same fused four-ring core structure, have different biological roles as hormones and signaling molecules. The eighteen-carbon (C18) steroids include the estrogen family whereas the C19 steroids comprise the androgens such as testosterone and androsterone. The C21 subclass includes the progestogens as well as the glucocorticoids and mineralocorticoids. The secosteroids, comprising various forms of vitamin D, are characterized by cleavage of the B ring of the core structure. Other examples of sterols are the bile acids and their conjugates, which in mammals are oxidized derivatives of cholesterol and are synthesized in the liver. The plant equivalents are the phytosterols, such as β-sitosterol, stigmasterol, and brassicasterol; the latter compound is also used as a biomarker for algal growth. The predominant sterol in fungal cell membranes is ergosterol. | What type of lipid is cholesterol? | Sterol lipids , such as cholesterol and its derivatives, are an important component of membrane lipids, along with the glycerophospholipids and sphingomyelins. | Sterol lipids, such as cholesterol and its derivatives, are an important component of membrane lipids, along with the glycerophospholipids and sphingomyelins. The steroids, all derived from the same fused four-ring core structure, have different biological roles as hormones and signaling molecules. The eighteen-carbon (C18) steroids include the estrogen family whereas the C19 steroids comprise the androgens such as testosterone and androsterone. The C21 subclass includes the progestogens as well as the glucocorticoids and mineralocorticoids. The secosteroids, comprising various forms of vitamin D, are characterized by cleavage of the B ring of the core structure. Other examples of sterols are the bile acids and their conjugates, which in mammals are oxidized derivatives of cholesterol and are synthesized in the liver. The plant equivalents are the phytosterols, such as β-sitosterol, stigmasterol, and brassicasterol; the latter compound is also used as a biomarker for algal growth. The predominant sterol in fungal cell membranes is ergosterol. | <hl> Sterol lipids <hl> , such as cholesterol and its derivatives, are an important component of membrane lipids, along with the glycerophospholipids and sphingomyelins. | <hl> Sterol lipids <hl>, such as cholesterol and its derivatives, are an important component of membrane lipids, along with the glycerophospholipids and sphingomyelins. The steroids, all derived from the same fused four-ring core structure, have different biological roles as hormones and signaling molecules. The eighteen-carbon (C18) steroids include the estrogen family whereas the C19 steroids comprise the androgens such as testosterone and androsterone. The C21 subclass includes the progestogens as well as the glucocorticoids and mineralocorticoids. The secosteroids, comprising various forms of vitamin D, are characterized by cleavage of the B ring of the core structure. Other examples of sterols are the bile acids and their conjugates, which in mammals are oxidized derivatives of cholesterol and are synthesized in the liver. The plant equivalents are the phytosterols, such as β-sitosterol, stigmasterol, and brassicasterol; the latter compound is also used as a biomarker for algal growth. The predominant sterol in fungal cell membranes is ergosterol. | <hl> Sterol lipids , such as cholesterol and its derivatives, are an important component of membrane lipids, along with the glycerophospholipids and sphingomyelins. <hl> The steroids, all derived from the same fused four-ring core structure, have different biological roles as hormones and signaling molecules. The eighteen-carbon (C18) steroids include the estrogen family whereas the C19 steroids comprise the androgens such as testosterone and androsterone. The C21 subclass includes the progestogens as well as the glucocorticoids and mineralocorticoids. The secosteroids, comprising various forms of vitamin D, are characterized by cleavage of the B ring of the core structure. Other examples of sterols are the bile acids and their conjugates, which in mammals are oxidized derivatives of cholesterol and are synthesized in the liver. The plant equivalents are the phytosterols, such as β-sitosterol, stigmasterol, and brassicasterol; the latter compound is also used as a biomarker for algal growth. The predominant sterol in fungal cell membranes is ergosterol. | 5d6750bf2b22cd4dfcfbf69c |
1999 | question: When did CNN establish Turkish-language CNN?, context: TRT-Children is the only TRT television station based in Istanbul. Istanbul is home to the headquarters of several Turkish stations and regional headquarters of international media outlets. Istanbul-based Star TV was the first private television network to be established following the end of the TRT monopoly; Star TV and Show TV (also based in Istanbul) remain highly popular throughout the country, airing Turkish and American series. Samanyolu TV, Kanal D, and ATV are other stations in Istanbul that offer a mix of news and series; NTV (partnered with U.S. media outlet MSNBC) and Sky Turk—both based in the city—are mainly just known for their news coverage in Turkish. The BBC has a regional office in Istanbul, assisting its Turkish-language news operations, and the American news channel CNN established the Turkish-language CNN Türk there in 1999. The Istanbul-based business and entertainment channel CNBC-e began broadcasting in 2000. | When did CNN establish Turkish-language CNN? | The BBC has a regional office in Istanbul, assisting its Turkish-language news operations, and the American news channel CNN established the Turkish-language CNN Türk there in 1999 . | TRT-Children is the only TRT television station based in Istanbul. Istanbul is home to the headquarters of several Turkish stations and regional headquarters of international media outlets. Istanbul-based Star TV was the first private television network to be established following the end of the TRT monopoly; Star TV and Show TV (also based in Istanbul) remain highly popular throughout the country, airing Turkish and American series. Samanyolu TV, Kanal D, and ATV are other stations in Istanbul that offer a mix of news and series; NTV (partnered with U.S. media outlet MSNBC) and Sky Turk—both based in the city—are mainly just known for their news coverage in Turkish. The BBC has a regional office in Istanbul, assisting its Turkish-language news operations, and the American news channel CNN established the Turkish-language CNN Türk there in 1999. The Istanbul-based business and entertainment channel CNBC-e began broadcasting in 2000. | The BBC has a regional office in Istanbul, assisting its Turkish-language news operations, and the American news channel CNN established the Turkish-language CNN Türk there in <hl> 1999 <hl> . | TRT-Children is the only TRT television station based in Istanbul. Istanbul is home to the headquarters of several Turkish stations and regional headquarters of international media outlets. Istanbul-based Star TV was the first private television network to be established following the end of the TRT monopoly; Star TV and Show TV (also based in Istanbul) remain highly popular throughout the country, airing Turkish and American series. Samanyolu TV, Kanal D, and ATV are other stations in Istanbul that offer a mix of news and series; NTV (partnered with U.S. media outlet MSNBC) and Sky Turk—both based in the city—are mainly just known for their news coverage in Turkish. The BBC has a regional office in Istanbul, assisting its Turkish-language news operations, and the American news channel CNN established the Turkish-language CNN Türk there in <hl> 1999 <hl>. The Istanbul-based business and entertainment channel CNBC-e began broadcasting in 2000. | TRT-Children is the only TRT television station based in Istanbul. Istanbul is home to the headquarters of several Turkish stations and regional headquarters of international media outlets. Istanbul-based Star TV was the first private television network to be established following the end of the TRT monopoly; Star TV and Show TV (also based in Istanbul) remain highly popular throughout the country, airing Turkish and American series. Samanyolu TV, Kanal D, and ATV are other stations in Istanbul that offer a mix of news and series; NTV (partnered with U.S. media outlet MSNBC) and Sky Turk—both based in the city—are mainly just known for their news coverage in Turkish. <hl> The BBC has a regional office in Istanbul, assisting its Turkish-language news operations, and the American news channel CNN established the Turkish-language CNN Türk there in 1999 . <hl> The Istanbul-based business and entertainment channel CNBC-e began broadcasting in 2000. | 5d6609422b22cd4dfcfbd676 |
apology for slavery from the former slave-trading countries | question: What did African nations demand for?, context: At the 2001 World Conference Against Racism in Durban, South Africa, African nations demanded a clear apology for slavery from the former slave-trading countries. Some nations were ready to express an apology, but the opposition, mainly from the United Kingdom, Portugal, Spain, the Netherlands, and the United States blocked attempts to do so. A fear of monetary compensation might have been one of the reasons for the opposition. As of 2009, efforts are underway to create a UN Slavery Memorial as a permanent remembrance of the victims of the Atlantic slave trade. | What did African nations demand for? | At the 2001 World Conference Against Racism in Durban, South Africa, African nations demanded a clear apology for slavery from the former slave-trading countries . | At the 2001 World Conference Against Racism in Durban, South Africa, African nations demanded a clear apology for slavery from the former slave-trading countries. Some nations were ready to express an apology, but the opposition, mainly from the United Kingdom, Portugal, Spain, the Netherlands, and the United States blocked attempts to do so. A fear of monetary compensation might have been one of the reasons for the opposition. As of 2009, efforts are underway to create a UN Slavery Memorial as a permanent remembrance of the victims of the Atlantic slave trade. | At the 2001 World Conference Against Racism in Durban, South Africa, African nations demanded a clear <hl> apology for slavery from the former slave-trading countries <hl> . | At the 2001 World Conference Against Racism in Durban, South Africa, African nations demanded a clear <hl> apology for slavery from the former slave-trading countries <hl>. Some nations were ready to express an apology, but the opposition, mainly from the United Kingdom, Portugal, Spain, the Netherlands, and the United States blocked attempts to do so. A fear of monetary compensation might have been one of the reasons for the opposition. As of 2009, efforts are underway to create a UN Slavery Memorial as a permanent remembrance of the victims of the Atlantic slave trade. | <hl> At the 2001 World Conference Against Racism in Durban, South Africa, African nations demanded a clear apology for slavery from the former slave-trading countries . <hl> Some nations were ready to express an apology, but the opposition, mainly from the United Kingdom, Portugal, Spain, the Netherlands, and the United States blocked attempts to do so. A fear of monetary compensation might have been one of the reasons for the opposition. As of 2009, efforts are underway to create a UN Slavery Memorial as a permanent remembrance of the victims of the Atlantic slave trade. | 5d6686062b22cd4dfcfbe1a7 |
The liturgical music is Armenian chant | question: what kind of church music is used?, context: Liturgically speaking, the Church has much in common both with the Latin Rite in its externals, especially as it was at the time of separation, as well as with the Eastern Orthodox Church. For example, Armenian bishops wear mitres almost identical to those of Western bishops. They usually do not use a full iconostasis, but rather a sanctuary veil (a curtain usually with a cross or divine image in the center, used also by the Syriac Churches). The liturgical music is Armenian chant. Many of the Armenian churches also have pipe organs to accompany their chant. | what kind of church music is used? | The liturgical music is Armenian chant . | Liturgically speaking, the Church has much in common both with the Latin Rite in its externals, especially as it was at the time of separation, as well as with the Eastern Orthodox Church. For example, Armenian bishops wear mitres almost identical to those of Western bishops. They usually do not use a full iconostasis, but rather a sanctuary veil (a curtain usually with a cross or divine image in the center, used also by the Syriac Churches). The liturgical music is Armenian chant. Many of the Armenian churches also have pipe organs to accompany their chant. | <hl> The liturgical music is Armenian chant <hl> . | Liturgically speaking, the Church has much in common both with the Latin Rite in its externals, especially as it was at the time of separation, as well as with the Eastern Orthodox Church. For example, Armenian bishops wear mitres almost identical to those of Western bishops. They usually do not use a full iconostasis, but rather a sanctuary veil (a curtain usually with a cross or divine image in the center, used also by the Syriac Churches). <hl> The liturgical music is Armenian chant <hl>. Many of the Armenian churches also have pipe organs to accompany their chant. | Liturgically speaking, the Church has much in common both with the Latin Rite in its externals, especially as it was at the time of separation, as well as with the Eastern Orthodox Church. For example, Armenian bishops wear mitres almost identical to those of Western bishops. They usually do not use a full iconostasis, but rather a sanctuary veil (a curtain usually with a cross or divine image in the center, used also by the Syriac Churches). <hl> The liturgical music is Armenian chant . <hl> Many of the Armenian churches also have pipe organs to accompany their chant. | 5d6574e12b22cd4dfcfbc907 |
“Williams thesis” | question: What is a wildly contested thesis in Academia in regards to the Atlantic slave trade?, context: Other researchers and historians have strongly contested what has come to be referred to as the “Williams thesis” in academia. David Richardson has concluded that the profits from the slave trade amounted to less than 1% of domestic investment in Britain. Economic historian Stanley Engerman finds that even without subtracting the associated costs of the slave trade (e.g., shipping costs, slave mortality, mortality of British people in Africa, defense costs) or reinvestment of profits back into the slave trade, the total profits from the slave trade and of West Indian plantations amounted to less than 5% of the British economy during any year of the Industrial Revolution. Engerman’s 5% figure gives as much as possible in terms of benefit of the doubt to the Williams argument, not solely because it does not take into account the associated costs of the slave trade to Britain, but also because it carries the full-employment assumption from economics and holds the gross value of slave trade profits as a direct contribution to Britain’s national income. Historian Richard Pares, in an article written before Williams’ book, dismisses the influence of wealth generated from the West Indian plantations upon the financing of the Industrial Revolution, stating that whatever substantial flow of investment from West Indian profits into industry there was occurred after emancipation, not before. | What is a wildly contested thesis in Academia in regards to the Atlantic slave trade? | Other researchers and historians have strongly contested what has come to be referred to as the “Williams thesis” in academia. | Other researchers and historians have strongly contested what has come to be referred to as the “Williams thesis” in academia. David Richardson has concluded that the profits from the slave trade amounted to less than 1% of domestic investment in Britain. Economic historian Stanley Engerman finds that even without subtracting the associated costs of the slave trade (e.g., shipping costs, slave mortality, mortality of British people in Africa, defense costs) or reinvestment of profits back into the slave trade, the total profits from the slave trade and of West Indian plantations amounted to less than 5% of the British economy during any year of the Industrial Revolution. Engerman’s 5% figure gives as much as possible in terms of benefit of the doubt to the Williams argument, not solely because it does not take into account the associated costs of the slave trade to Britain, but also because it carries the full-employment assumption from economics and holds the gross value of slave trade profits as a direct contribution to Britain’s national income. Historian Richard Pares, in an article written before Williams’ book, dismisses the influence of wealth generated from the West Indian plantations upon the financing of the Industrial Revolution, stating that whatever substantial flow of investment from West Indian profits into industry there was occurred after emancipation, not before. | Other researchers and historians have strongly contested what has come to be referred to as the <hl> “Williams thesis” <hl> in academia. | Other researchers and historians have strongly contested what has come to be referred to as the <hl> “Williams thesis” <hl> in academia. David Richardson has concluded that the profits from the slave trade amounted to less than 1% of domestic investment in Britain. Economic historian Stanley Engerman finds that even without subtracting the associated costs of the slave trade (e.g., shipping costs, slave mortality, mortality of British people in Africa, defense costs) or reinvestment of profits back into the slave trade, the total profits from the slave trade and of West Indian plantations amounted to less than 5% of the British economy during any year of the Industrial Revolution. Engerman’s 5% figure gives as much as possible in terms of benefit of the doubt to the Williams argument, not solely because it does not take into account the associated costs of the slave trade to Britain, but also because it carries the full-employment assumption from economics and holds the gross value of slave trade profits as a direct contribution to Britain’s national income. Historian Richard Pares, in an article written before Williams’ book, dismisses the influence of wealth generated from the West Indian plantations upon the financing of the Industrial Revolution, stating that whatever substantial flow of investment from West Indian profits into industry there was occurred after emancipation, not before. | <hl> Other researchers and historians have strongly contested what has come to be referred to as the “Williams thesis” in academia. <hl> David Richardson has concluded that the profits from the slave trade amounted to less than 1% of domestic investment in Britain. Economic historian Stanley Engerman finds that even without subtracting the associated costs of the slave trade (e.g., shipping costs, slave mortality, mortality of British people in Africa, defense costs) or reinvestment of profits back into the slave trade, the total profits from the slave trade and of West Indian plantations amounted to less than 5% of the British economy during any year of the Industrial Revolution. Engerman’s 5% figure gives as much as possible in terms of benefit of the doubt to the Williams argument, not solely because it does not take into account the associated costs of the slave trade to Britain, but also because it carries the full-employment assumption from economics and holds the gross value of slave trade profits as a direct contribution to Britain’s national income. Historian Richard Pares, in an article written before Williams’ book, dismisses the influence of wealth generated from the West Indian plantations upon the financing of the Industrial Revolution, stating that whatever substantial flow of investment from West Indian profits into industry there was occurred after emancipation, not before. | 5d66b9752b22cd4dfcfbe45e |
400 metres | question: How long is the track between London Marylebone and Oxford?, context: The present railway station opened in 1852. Oxford is the junction for a short branch line to Bicester, which was upgraded to 100 mph (161 km/h) during an 18-month closure in 2014/2015 - and is anticipated to be extended to form the East West Rail Link. Chiltern Railways now connects Oxford to London Marylebone, having sponsored the building of about 400 metres of new track between Bicester Town and the Chiltern Main Line southwards in 2014. The route serves High Wycombe and London Marylebone, avoiding London Paddington and Didcot Parkway. The East West Rail Link is proposed to continue through Milton Keynes, Bedford, Cambridge, and ultimately Ipswich and Norwich, thus providing alternative to connecting within London. The Varsity Line between Oxford and Cambridge is planned to link Bedford with a short gap to be reconstructed to Sandy then a rail link between the two cities will be restored via Hitchin. | How long is the track between London Marylebone and Oxford? | Chiltern Railways now connects Oxford to London Marylebone, having sponsored the building of about 400 metres of new track between Bicester Town and the Chiltern Main Line southwards in 2014. | The present railway station opened in 1852. Oxford is the junction for a short branch line to Bicester, which was upgraded to 100 mph (161 km/h) during an 18-month closure in 2014/2015 - and is anticipated to be extended to form the East West Rail Link. Chiltern Railways now connects Oxford to London Marylebone, having sponsored the building of about 400 metres of new track between Bicester Town and the Chiltern Main Line southwards in 2014. The route serves High Wycombe and London Marylebone, avoiding London Paddington and Didcot Parkway. The East West Rail Link is proposed to continue through Milton Keynes, Bedford, Cambridge, and ultimately Ipswich and Norwich, thus providing alternative to connecting within London. The Varsity Line between Oxford and Cambridge is planned to link Bedford with a short gap to be reconstructed to Sandy then a rail link between the two cities will be restored via Hitchin. | Chiltern Railways now connects Oxford to London Marylebone, having sponsored the building of about <hl> 400 metres <hl> of new track between Bicester Town and the Chiltern Main Line southwards in 2014. | The present railway station opened in 1852. Oxford is the junction for a short branch line to Bicester, which was upgraded to 100 mph (161 km/h) during an 18-month closure in 2014/2015 - and is anticipated to be extended to form the East West Rail Link. Chiltern Railways now connects Oxford to London Marylebone, having sponsored the building of about <hl> 400 metres <hl> of new track between Bicester Town and the Chiltern Main Line southwards in 2014. The route serves High Wycombe and London Marylebone, avoiding London Paddington and Didcot Parkway. The East West Rail Link is proposed to continue through Milton Keynes, Bedford, Cambridge, and ultimately Ipswich and Norwich, thus providing alternative to connecting within London. The Varsity Line between Oxford and Cambridge is planned to link Bedford with a short gap to be reconstructed to Sandy then a rail link between the two cities will be restored via Hitchin. | The present railway station opened in 1852. Oxford is the junction for a short branch line to Bicester, which was upgraded to 100 mph (161 km/h) during an 18-month closure in 2014/2015 - and is anticipated to be extended to form the East West Rail Link. <hl> Chiltern Railways now connects Oxford to London Marylebone, having sponsored the building of about 400 metres of new track between Bicester Town and the Chiltern Main Line southwards in 2014. <hl> The route serves High Wycombe and London Marylebone, avoiding London Paddington and Didcot Parkway. The East West Rail Link is proposed to continue through Milton Keynes, Bedford, Cambridge, and ultimately Ipswich and Norwich, thus providing alternative to connecting within London. The Varsity Line between Oxford and Cambridge is planned to link Bedford with a short gap to be reconstructed to Sandy then a rail link between the two cities will be restored via Hitchin. | 5d67393b2b22cd4dfcfbf2f1 |
1991 | question: When dis hatfline communist leaders overthrew Gorbachev?, context: The Soviet Union itself collapsed between 1990 and 1991, with a rise of secessionist nationalism and a political power dispute between Gorbachev and the new non-communist leader of the Russian Federation, Boris Yeltsin. With the Soviet Union collapsing, Gorbachev prepared the country to become a loose non-communist federation of independent states called the Commonwealth of Independent States. Hardline communist leaders in the military reacted to Gorbachev's policies with the August Coup of 1991 in which hardline communist military leaders overthrew Gorbachev and seized control of the government. This regime only lasted briefly as widespread popular opposition erupted in street protests and refused to submit. Gorbachev was restored to power, but the various Soviet republics were now set for independence. On December 25, 1991, Gorbachev officially announced the dissolution of the Soviet Union, ending the existence of the world's first communist-led state. | When dis hatfline communist leaders overthrew Gorbachev? | The Soviet Union itself collapsed between 1990 and 1991 , with a rise of secessionist nationalism and a political power dispute between Gorbachev and the new non-communist leader of the Russian Federation, Boris Yeltsin. | The Soviet Union itself collapsed between 1990 and 1991, with a rise of secessionist nationalism and a political power dispute between Gorbachev and the new non-communist leader of the Russian Federation, Boris Yeltsin. With the Soviet Union collapsing, Gorbachev prepared the country to become a loose non-communist federation of independent states called the Commonwealth of Independent States. Hardline communist leaders in the military reacted to Gorbachev's policies with the August Coup of 1991 in which hardline communist military leaders overthrew Gorbachev and seized control of the government. This regime only lasted briefly as widespread popular opposition erupted in street protests and refused to submit. Gorbachev was restored to power, but the various Soviet republics were now set for independence. On December 25, 1991, Gorbachev officially announced the dissolution of the Soviet Union, ending the existence of the world's first communist-led state. | The Soviet Union itself collapsed between 1990 and <hl> 1991 <hl> , with a rise of secessionist nationalism and a political power dispute between Gorbachev and the new non-communist leader of the Russian Federation, Boris Yeltsin. | The Soviet Union itself collapsed between 1990 and <hl> 1991 <hl>, with a rise of secessionist nationalism and a political power dispute between Gorbachev and the new non-communist leader of the Russian Federation, Boris Yeltsin. With the Soviet Union collapsing, Gorbachev prepared the country to become a loose non-communist federation of independent states called the Commonwealth of Independent States. Hardline communist leaders in the military reacted to Gorbachev's policies with the August Coup of 1991 in which hardline communist military leaders overthrew Gorbachev and seized control of the government. This regime only lasted briefly as widespread popular opposition erupted in street protests and refused to submit. Gorbachev was restored to power, but the various Soviet republics were now set for independence. On December 25, 1991, Gorbachev officially announced the dissolution of the Soviet Union, ending the existence of the world's first communist-led state. | <hl> The Soviet Union itself collapsed between 1990 and 1991 , with a rise of secessionist nationalism and a political power dispute between Gorbachev and the new non-communist leader of the Russian Federation, Boris Yeltsin. <hl> With the Soviet Union collapsing, Gorbachev prepared the country to become a loose non-communist federation of independent states called the Commonwealth of Independent States. Hardline communist leaders in the military reacted to Gorbachev's policies with the August Coup of 1991 in which hardline communist military leaders overthrew Gorbachev and seized control of the government. This regime only lasted briefly as widespread popular opposition erupted in street protests and refused to submit. Gorbachev was restored to power, but the various Soviet republics were now set for independence. On December 25, 1991, Gorbachev officially announced the dissolution of the Soviet Union, ending the existence of the world's first communist-led state. | 5d67c2852b22cd4dfcfc017b |
unclear | question: Does a diagnosis of periodontitis increase risk for cardiovascular disease?, context: For adults without a known diagnosis of hypertension, diabetes, hyperlipidemia, or cardiovascular disease, routine counseling to advise them to improve their diet and increase their physical activity has not been found to significantly alter behavior, and thus is not recommended. It is unclear whether or not dental care in those with periodontitis affects the risk of cardiovascular disease. Exercise in those who are at high risk of heart disease has not been well studied as of 2014. | Does a diagnosis of periodontitis increase risk for cardiovascular disease? | It is unclear whether or not dental care in those with periodontitis affects the risk of cardiovascular disease. | For adults without a known diagnosis of hypertension, diabetes, hyperlipidemia, or cardiovascular disease, routine counseling to advise them to improve their diet and increase their physical activity has not been found to significantly alter behavior, and thus is not recommended. It is unclear whether or not dental care in those with periodontitis affects the risk of cardiovascular disease. Exercise in those who are at high risk of heart disease has not been well studied as of 2014. | It is <hl> unclear <hl> whether or not dental care in those with periodontitis affects the risk of cardiovascular disease. | For adults without a known diagnosis of hypertension, diabetes, hyperlipidemia, or cardiovascular disease, routine counseling to advise them to improve their diet and increase their physical activity has not been found to significantly alter behavior, and thus is not recommended. It is <hl> unclear <hl> whether or not dental care in those with periodontitis affects the risk of cardiovascular disease. Exercise in those who are at high risk of heart disease has not been well studied as of 2014. | For adults without a known diagnosis of hypertension, diabetes, hyperlipidemia, or cardiovascular disease, routine counseling to advise them to improve their diet and increase their physical activity has not been found to significantly alter behavior, and thus is not recommended. <hl> It is unclear whether or not dental care in those with periodontitis affects the risk of cardiovascular disease. <hl> Exercise in those who are at high risk of heart disease has not been well studied as of 2014. | 5d6613b42b22cd4dfcfbd7c9 |
that it could have been used by the earliest nomadic shepherds | question: What did Henri Fleisch suggest about the Shepherd Neolithic flint industry?, context: The Middle East served as the source for many animals that could be domesticated, such as sheep, goats and pigs. This area was also the first region to domesticate the dromedary camel. Henri Fleisch discovered and termed the Shepherd Neolithic flint industry from the Bekaa Valley in Lebanon and suggested that it could have been used by the earliest nomadic shepherds. He dated this industry to the Epipaleolithic or Pre-Pottery Neolithic as it is evidently not Paleolithic, Mesolithic or even Pottery Neolithic. The presence of these animals gave the region a large advantage in cultural and economic development. As the climate in the Middle East changed and became drier, many of the farmers were forced to leave, taking their domesticated animals with them. It was this massive emigration from the Middle East that would later help distribute these animals to the rest of Afroeurasia. This emigration was mainly on an east-west axis of similar climates, as crops usually have a narrow optimal climatic range outside of which they cannot grow for reasons of light or rain changes. For instance, wheat does not normally grow in tropical climates, just like tropical crops such as bananas do not grow in colder climates. Some authors, like Jared Diamond, have postulated that this East-West axis is the main reason why plant and animal domestication spread so quickly from the Fertile Crescent to the rest of Eurasia and North Africa, while it did not reach through the North-South axis of Africa to reach the Mediterranean climates of South Africa, where temperate crops were successfully imported by ships in the last 500 years. Similarly, the African Zebu of central Africa and the domesticated bovines of the fertile-crescent — separated by the dry sahara desert — were not introduced into each other's region. | What did Henri Fleisch suggest about the Shepherd Neolithic flint industry? | Henri Fleisch discovered and termed the Shepherd Neolithic flint industry from the Bekaa Valley in Lebanon and suggested that it could have been used by the earliest nomadic shepherds . | The Middle East served as the source for many animals that could be domesticated, such as sheep, goats and pigs. This area was also the first region to domesticate the dromedary camel. Henri Fleisch discovered and termed the Shepherd Neolithic flint industry from the Bekaa Valley in Lebanon and suggested that it could have been used by the earliest nomadic shepherds. He dated this industry to the Epipaleolithic or Pre-Pottery Neolithic as it is evidently not Paleolithic, Mesolithic or even Pottery Neolithic. The presence of these animals gave the region a large advantage in cultural and economic development. As the climate in the Middle East changed and became drier, many of the farmers were forced to leave, taking their domesticated animals with them. It was this massive emigration from the Middle East that would later help distribute these animals to the rest of Afroeurasia. This emigration was mainly on an east-west axis of similar climates, as crops usually have a narrow optimal climatic range outside of which they cannot grow for reasons of light or rain changes. For instance, wheat does not normally grow in tropical climates, just like tropical crops such as bananas do not grow in colder climates. Some authors, like Jared Diamond, have postulated that this East-West axis is the main reason why plant and animal domestication spread so quickly from the Fertile Crescent to the rest of Eurasia and North Africa, while it did not reach through the North-South axis of Africa to reach the Mediterranean climates of South Africa, where temperate crops were successfully imported by ships in the last 500 years. Similarly, the African Zebu of central Africa and the domesticated bovines of the fertile-crescent — separated by the dry sahara desert — were not introduced into each other's region. | Henri Fleisch discovered and termed the Shepherd Neolithic flint industry from the Bekaa Valley in Lebanon and suggested <hl> that it could have been used by the earliest nomadic shepherds <hl> . | The Middle East served as the source for many animals that could be domesticated, such as sheep, goats and pigs. This area was also the first region to domesticate the dromedary camel. Henri Fleisch discovered and termed the Shepherd Neolithic flint industry from the Bekaa Valley in Lebanon and suggested <hl> that it could have been used by the earliest nomadic shepherds <hl>. He dated this industry to the Epipaleolithic or Pre-Pottery Neolithic as it is evidently not Paleolithic, Mesolithic or even Pottery Neolithic. The presence of these animals gave the region a large advantage in cultural and economic development. As the climate in the Middle East changed and became drier, many of the farmers were forced to leave, taking their domesticated animals with them. It was this massive emigration from the Middle East that would later help distribute these animals to the rest of Afroeurasia. This emigration was mainly on an east-west axis of similar climates, as crops usually have a narrow optimal climatic range outside of which they cannot grow for reasons of light or rain changes. For instance, wheat does not normally grow in tropical climates, just like tropical crops such as bananas do not grow in colder climates. Some authors, like Jared Diamond, have postulated that this East-West axis is the main reason why plant and animal domestication spread so quickly from the Fertile Crescent to the rest of Eurasia and North Africa, while it did not reach through the North-South axis of Africa to reach the Mediterranean climates of South Africa, where temperate crops were successfully imported by ships in the last 500 years. Similarly, the African Zebu of central Africa and the domesticated bovines of the fertile-crescent — separated by the dry sahara desert — were not introduced into each other's region. | The Middle East served as the source for many animals that could be domesticated, such as sheep, goats and pigs. This area was also the first region to domesticate the dromedary camel. <hl> Henri Fleisch discovered and termed the Shepherd Neolithic flint industry from the Bekaa Valley in Lebanon and suggested that it could have been used by the earliest nomadic shepherds . <hl> He dated this industry to the Epipaleolithic or Pre-Pottery Neolithic as it is evidently not Paleolithic, Mesolithic or even Pottery Neolithic. The presence of these animals gave the region a large advantage in cultural and economic development. As the climate in the Middle East changed and became drier, many of the farmers were forced to leave, taking their domesticated animals with them. It was this massive emigration from the Middle East that would later help distribute these animals to the rest of Afroeurasia. This emigration was mainly on an east-west axis of similar climates, as crops usually have a narrow optimal climatic range outside of which they cannot grow for reasons of light or rain changes. For instance, wheat does not normally grow in tropical climates, just like tropical crops such as bananas do not grow in colder climates. Some authors, like Jared Diamond, have postulated that this East-West axis is the main reason why plant and animal domestication spread so quickly from the Fertile Crescent to the rest of Eurasia and North Africa, while it did not reach through the North-South axis of Africa to reach the Mediterranean climates of South Africa, where temperate crops were successfully imported by ships in the last 500 years. Similarly, the African Zebu of central Africa and the domesticated bovines of the fertile-crescent — separated by the dry sahara desert — were not introduced into each other's region. | 5d67433e2b22cd4dfcfbf440 |
29th globally and 7th in Europe | question: What rank was given to the Rotterdam School of Management in 2005?, context: Rotterdam has one major university, the Erasmus University Rotterdam (EUR), named after one of the city's famous former inhabitants, Desiderius Erasmus. The Woudestein campus houses (among others) Rotterdam School of Management, Erasmus University. In Financial Times' 2005 rankings it placed 29th globally and 7th in Europe. In the 2009 rankings of Masters of Management, the school reached first place with the CEMS Master in Management and a tenth place with its RSM Master in Management. The university is also home to Europe's largest student association, STAR Study Association Rotterdam School of Management, Erasmus University and the world's largest student association, AIESEC, has its international office in the city. | What rank was given to the Rotterdam School of Management in 2005? | In Financial Times' 2005 rankings it placed 29th globally and 7th in Europe . | Rotterdam has one major university, the Erasmus University Rotterdam (EUR), named after one of the city's famous former inhabitants, Desiderius Erasmus. The Woudestein campus houses (among others) Rotterdam School of Management, Erasmus University. In Financial Times' 2005 rankings it placed 29th globally and 7th in Europe. In the 2009 rankings of Masters of Management, the school reached first place with the CEMS Master in Management and a tenth place with its RSM Master in Management. The university is also home to Europe's largest student association, STAR Study Association Rotterdam School of Management, Erasmus University and the world's largest student association, AIESEC, has its international office in the city. | In Financial Times' 2005 rankings it placed <hl> 29th globally and 7th in Europe <hl> . | Rotterdam has one major university, the Erasmus University Rotterdam (EUR), named after one of the city's famous former inhabitants, Desiderius Erasmus. The Woudestein campus houses (among others) Rotterdam School of Management, Erasmus University. In Financial Times' 2005 rankings it placed <hl> 29th globally and 7th in Europe <hl>. In the 2009 rankings of Masters of Management, the school reached first place with the CEMS Master in Management and a tenth place with its RSM Master in Management. The university is also home to Europe's largest student association, STAR Study Association Rotterdam School of Management, Erasmus University and the world's largest student association, AIESEC, has its international office in the city. | Rotterdam has one major university, the Erasmus University Rotterdam (EUR), named after one of the city's famous former inhabitants, Desiderius Erasmus. The Woudestein campus houses (among others) Rotterdam School of Management, Erasmus University. <hl> In Financial Times' 2005 rankings it placed 29th globally and 7th in Europe . <hl> In the 2009 rankings of Masters of Management, the school reached first place with the CEMS Master in Management and a tenth place with its RSM Master in Management. The university is also home to Europe's largest student association, STAR Study Association Rotterdam School of Management, Erasmus University and the world's largest student association, AIESEC, has its international office in the city. | 5d67b86e2b22cd4dfcfc004a |
half-relief | question: Mid-relief is also known as what?, context: Mid-relief, "half-relief" or mezzo-rilievo is somewhat imprecisely defined, and the term is not often used in English, the works usually being described as low relief instead. The typical traditional definition is that only up to half of the subject projects, and no elements are undercut or fully disengaged from the background field. The depth of the elements shown is normally somewhat distorted. Shallow-relief or rilievo stiacciato, used for the background areas of compositions with the main elements in low-relief, was perfected by the Italian Renaissance sculptor Donatello. It is a very shallow relief, which merges into engraving in places, and can be hard to read in photographs. | Mid-relief is also known as what? | Mid-relief, " half-relief " or mezzo-rilievo is somewhat imprecisely defined, and the term is not often used in English, the works usually being described as low relief instead. | Mid-relief, "half-relief" or mezzo-rilievo is somewhat imprecisely defined, and the term is not often used in English, the works usually being described as low relief instead. The typical traditional definition is that only up to half of the subject projects, and no elements are undercut or fully disengaged from the background field. The depth of the elements shown is normally somewhat distorted. Shallow-relief or rilievo stiacciato, used for the background areas of compositions with the main elements in low-relief, was perfected by the Italian Renaissance sculptor Donatello. It is a very shallow relief, which merges into engraving in places, and can be hard to read in photographs. | Mid-relief, " <hl> half-relief <hl> " or mezzo-rilievo is somewhat imprecisely defined, and the term is not often used in English, the works usually being described as low relief instead. | Mid-relief, "<hl> half-relief <hl>" or mezzo-rilievo is somewhat imprecisely defined, and the term is not often used in English, the works usually being described as low relief instead. The typical traditional definition is that only up to half of the subject projects, and no elements are undercut or fully disengaged from the background field. The depth of the elements shown is normally somewhat distorted. Shallow-relief or rilievo stiacciato, used for the background areas of compositions with the main elements in low-relief, was perfected by the Italian Renaissance sculptor Donatello. It is a very shallow relief, which merges into engraving in places, and can be hard to read in photographs. | <hl> Mid-relief, " half-relief " or mezzo-rilievo is somewhat imprecisely defined, and the term is not often used in English, the works usually being described as low relief instead. <hl> The typical traditional definition is that only up to half of the subject projects, and no elements are undercut or fully disengaged from the background field. The depth of the elements shown is normally somewhat distorted. Shallow-relief or rilievo stiacciato, used for the background areas of compositions with the main elements in low-relief, was perfected by the Italian Renaissance sculptor Donatello. It is a very shallow relief, which merges into engraving in places, and can be hard to read in photographs. | 5d67c7302b22cd4dfcfc01f2 |
arterial compliance | question: What specific property of the vascular wall is decreased with age?, context: Aging is also associated with changes in the mechanical and structural properties of the vascular wall, which leads to the loss of arterial elasticity and reduced arterial compliance and may subsequently lead to coronary artery disease. | What specific property of the vascular wall is decreased with age? | Aging is also associated with changes in the mechanical and structural properties of the vascular wall, which leads to the loss of arterial elasticity and reduced arterial compliance and may subsequently lead to coronary artery disease. | Aging is also associated with changes in the mechanical and structural properties of the vascular wall, which leads to the loss of arterial elasticity and reduced arterial compliance and may subsequently lead to coronary artery disease. | Aging is also associated with changes in the mechanical and structural properties of the vascular wall, which leads to the loss of arterial elasticity and reduced <hl> arterial compliance <hl> and may subsequently lead to coronary artery disease. | Aging is also associated with changes in the mechanical and structural properties of the vascular wall, which leads to the loss of arterial elasticity and reduced <hl> arterial compliance <hl> and may subsequently lead to coronary artery disease. | <hl> Aging is also associated with changes in the mechanical and structural properties of the vascular wall, which leads to the loss of arterial elasticity and reduced arterial compliance and may subsequently lead to coronary artery disease. <hl> | 5d65cf6c2b22cd4dfcfbcdb0 |
30°E | question: What is the most eastern latitude of The Baltic Sea?, context: The Baltic Sea (German: Ostsee; Polish: Morze Bałtyckie; Russian: Балтийское море; Danish: Østersøen; Swedish: Östersjön; Lithuanian: Baltijos jūra; Latvian: Baltijas jūra; Estonian: Läänemeri; Finnish: Itämeri) is a sea of the Atlantic Ocean, enclosed by Scandinavia, Finland, the Baltic countries, and the North European Plain. It includes the Gulf of Bothnia, the Bay of Bothnia, the Gulf of Finland, the Gulf of Riga, and the Bay of Gdańsk. The sea stretches from 53°N to 66°N latitude and from 10°E to 30°E longitude. A mediterranean sea of the Atlantic, with limited water exchange between the two bodies, the Baltic Sea drains through the Danish islands into the Kattegat by way of the straits of Øresund, the Great Belt, and the Little Belt. | What is the most eastern latitude of The Baltic Sea? | The sea stretches from 53°N to 66°N latitude and from 10°E to 30°E longitude. | The Baltic Sea (German: Ostsee; Polish: Morze Bałtyckie; Russian: Балтийское море; Danish: Østersøen; Swedish: Östersjön; Lithuanian: Baltijos jūra; Latvian: Baltijas jūra; Estonian: Läänemeri; Finnish: Itämeri) is a sea of the Atlantic Ocean, enclosed by Scandinavia, Finland, the Baltic countries, and the North European Plain. It includes the Gulf of Bothnia, the Bay of Bothnia, the Gulf of Finland, the Gulf of Riga, and the Bay of Gdańsk. The sea stretches from 53°N to 66°N latitude and from 10°E to 30°E longitude. A mediterranean sea of the Atlantic, with limited water exchange between the two bodies, the Baltic Sea drains through the Danish islands into the Kattegat by way of the straits of Øresund, the Great Belt, and the Little Belt. | The sea stretches from 53°N to 66°N latitude and from 10°E to <hl> 30°E <hl> longitude. | The Baltic Sea (German: Ostsee; Polish: Morze Bałtyckie; Russian: Балтийское море; Danish: Østersøen; Swedish: Östersjön; Lithuanian: Baltijos jūra; Latvian: Baltijas jūra; Estonian: Läänemeri; Finnish: Itämeri) is a sea of the Atlantic Ocean, enclosed by Scandinavia, Finland, the Baltic countries, and the North European Plain. It includes the Gulf of Bothnia, the Bay of Bothnia, the Gulf of Finland, the Gulf of Riga, and the Bay of Gdańsk. The sea stretches from 53°N to 66°N latitude and from 10°E to <hl> 30°E <hl> longitude. A mediterranean sea of the Atlantic, with limited water exchange between the two bodies, the Baltic Sea drains through the Danish islands into the Kattegat by way of the straits of Øresund, the Great Belt, and the Little Belt. | The Baltic Sea (German: Ostsee; Polish: Morze Bałtyckie; Russian: Балтийское море; Danish: Østersøen; Swedish: Östersjön; Lithuanian: Baltijos jūra; Latvian: Baltijas jūra; Estonian: Läänemeri; Finnish: Itämeri) is a sea of the Atlantic Ocean, enclosed by Scandinavia, Finland, the Baltic countries, and the North European Plain. It includes the Gulf of Bothnia, the Bay of Bothnia, the Gulf of Finland, the Gulf of Riga, and the Bay of Gdańsk. <hl> The sea stretches from 53°N to 66°N latitude and from 10°E to 30°E longitude. <hl> A mediterranean sea of the Atlantic, with limited water exchange between the two bodies, the Baltic Sea drains through the Danish islands into the Kattegat by way of the straits of Øresund, the Great Belt, and the Little Belt. | 5d665abe2b22cd4dfcfbdc7b |
Christian | question: Which religion is adopted by the majority of the population in the Hill districts?, context: Christianity is the religion of 41.2% of the people in the state. It was brought by missionaries to Manipur in the 19th century. Christianity brought a marked change towards the civilization of the hill people.[citation needed] In the 20th century, a few Christian schools were established, which introduced Western-type education. Respected schools in Manipur are Little Flower School in Imphal, Don Bosco High School in Imphal, St. Joseph's Convent, and Nirmalabas High School, which are all run by Catholic priests and nuns. The overwhelming majority of the population in the Hill districts are Christian. | Which religion is adopted by the majority of the population in the Hill districts? | Christian ity is the religion of 41.2% of the people in the state. | Christianity is the religion of 41.2% of the people in the state. It was brought by missionaries to Manipur in the 19th century. Christianity brought a marked change towards the civilization of the hill people.[citation needed] In the 20th century, a few Christian schools were established, which introduced Western-type education. Respected schools in Manipur are Little Flower School in Imphal, Don Bosco High School in Imphal, St. Joseph's Convent, and Nirmalabas High School, which are all run by Catholic priests and nuns. The overwhelming majority of the population in the Hill districts are Christian. | <hl> Christian <hl> ity is the religion of 41.2% of the people in the state. | <hl> Christian <hl>ity is the religion of 41.2% of the people in the state. It was brought by missionaries to Manipur in the 19th century. Christianity brought a marked change towards the civilization of the hill people.[citation needed] In the 20th century, a few Christian schools were established, which introduced Western-type education. Respected schools in Manipur are Little Flower School in Imphal, Don Bosco High School in Imphal, St. Joseph's Convent, and Nirmalabas High School, which are all run by Catholic priests and nuns. The overwhelming majority of the population in the Hill districts are Christian. | <hl> Christian ity is the religion of 41.2% of the people in the state. <hl> It was brought by missionaries to Manipur in the 19th century. Christianity brought a marked change towards the civilization of the hill people.[citation needed] In the 20th century, a few Christian schools were established, which introduced Western-type education. Respected schools in Manipur are Little Flower School in Imphal, Don Bosco High School in Imphal, St. Joseph's Convent, and Nirmalabas High School, which are all run by Catholic priests and nuns. The overwhelming majority of the population in the Hill districts are Christian. | 5d6834c82b22cd4dfcfc066d |
Kop van Zuid | question: What was built on the south bank of Rotterdam in the 1990s?, context: Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre.
Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism. | What was built on the south bank of Rotterdam in the 1990s? | In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre. | Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre.
Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism. | In the 1990s, the <hl> Kop van Zuid <hl> was built on the south bank of the river as a new business centre. | Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. In the 1990s, the <hl> Kop van Zuid <hl> was built on the south bank of the river as a new business centre. Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism. | Rotterdam was gradually rebuilt from the 1950s through to the 1970s. It remained quite windy and open until the city councils from the 1980s on began developing an active architectural policy. Daring and new styles of apartments, office buildings and recreation facilities resulted in a more 'livable' city centre with a new skyline. <hl> In the 1990s, the Kop van Zuid was built on the south bank of the river as a new business centre. <hl> Rotterdam was voted 2015 European City of the Year by the Academy of Urbanism. | 5d674a572b22cd4dfcfbf539 |
unary predicate symbol | question: What is added in the case of the many-sorted theory?, context: When there are only finitely many sorts in a theory, many-sorted first-order logic can be reduced to single-sorted first-order logic. One introduces into the single-sorted theory a unary predicate symbol for each sort in the many-sorted theory, and adds an axiom saying that these unary predicates partition the domain of discourse. For example, if there are two sorts, one adds predicate symbols
P
1
(
x
)
{\displaystyle P_{1}(x)}
and
P
2
(
x
)
{\displaystyle P_{2}(x)}
and the axiom | What is added in the case of the many-sorted theory? | One introduces into the single-sorted theory a unary predicate symbol for each sort in the many-sorted theory, and adds an axiom saying that these unary predicates partition the domain of discourse. | When there are only finitely many sorts in a theory, many-sorted first-order logic can be reduced to single-sorted first-order logic. One introduces into the single-sorted theory a unary predicate symbol for each sort in the many-sorted theory, and adds an axiom saying that these unary predicates partition the domain of discourse. For example, if there are two sorts, one adds predicate symbols
P
1
(
x
)
{\displaystyle P_{1}(x)}
and
P
2
(
x
)
{\displaystyle P_{2}(x)}
and the axiom | One introduces into the single-sorted theory a <hl> unary predicate symbol <hl> for each sort in the many-sorted theory, and adds an axiom saying that these unary predicates partition the domain of discourse. | When there are only finitely many sorts in a theory, many-sorted first-order logic can be reduced to single-sorted first-order logic. One introduces into the single-sorted theory a <hl> unary predicate symbol <hl> for each sort in the many-sorted theory, and adds an axiom saying that these unary predicates partition the domain of discourse. For example, if there are two sorts, one adds predicate symbols P 1 ( x ) {\displaystyle P_{1}(x)} and P 2 ( x ) {\displaystyle P_{2}(x)} and the axiom | When there are only finitely many sorts in a theory, many-sorted first-order logic can be reduced to single-sorted first-order logic. <hl> One introduces into the single-sorted theory a unary predicate symbol for each sort in the many-sorted theory, and adds an axiom saying that these unary predicates partition the domain of discourse. <hl> For example, if there are two sorts, one adds predicate symbols P 1 ( x ) {\displaystyle P_{1}(x)} and P 2 ( x ) {\displaystyle P_{2}(x)} and the axiom | 5d66f0032b22cd4dfcfbe638 |
a museum | question: What does the Hagia Sophia currently act as?, context: Early Byzantine architecture followed the classical Roman model of domes and arches, but improved upon these elements, as in the Church of the Saints Sergius and Bacchus. The oldest surviving Byzantine church in Istanbul—albeit in ruins—is the Monastery of Stoudios (later converted into the Imrahor Mosque), which was built in 454. After the recapture of Constantinople in 1261, the Byzantines enlarged two of the most important churches extant, Chora Church and Pammakaristos Church. The pinnacle of Byzantine architecture, and one of Istanbul's most iconic structures, is the Hagia Sophia. Topped by a dome 31 meters (102 ft) in diameter, the Hagia Sophia stood as the world's largest cathedral for centuries, and was later converted into a mosque and, as it stands now, a museum. | What does the Hagia Sophia currently act as? | Topped by a dome 31 meters (102 ft) in diameter, the Hagia Sophia stood as the world's largest cathedral for centuries, and was later converted into a mosque and, as it stands now, a museum . | Early Byzantine architecture followed the classical Roman model of domes and arches, but improved upon these elements, as in the Church of the Saints Sergius and Bacchus. The oldest surviving Byzantine church in Istanbul—albeit in ruins—is the Monastery of Stoudios (later converted into the Imrahor Mosque), which was built in 454. After the recapture of Constantinople in 1261, the Byzantines enlarged two of the most important churches extant, Chora Church and Pammakaristos Church. The pinnacle of Byzantine architecture, and one of Istanbul's most iconic structures, is the Hagia Sophia. Topped by a dome 31 meters (102 ft) in diameter, the Hagia Sophia stood as the world's largest cathedral for centuries, and was later converted into a mosque and, as it stands now, a museum. | Topped by a dome 31 meters (102 ft) in diameter, the Hagia Sophia stood as the world's largest cathedral for centuries, and was later converted into a mosque and, as it stands now, <hl> a museum <hl> . | Early Byzantine architecture followed the classical Roman model of domes and arches, but improved upon these elements, as in the Church of the Saints Sergius and Bacchus. The oldest surviving Byzantine church in Istanbul—albeit in ruins—is the Monastery of Stoudios (later converted into the Imrahor Mosque), which was built in 454. After the recapture of Constantinople in 1261, the Byzantines enlarged two of the most important churches extant, Chora Church and Pammakaristos Church. The pinnacle of Byzantine architecture, and one of Istanbul's most iconic structures, is the Hagia Sophia. Topped by a dome 31 meters (102 ft) in diameter, the Hagia Sophia stood as the world's largest cathedral for centuries, and was later converted into a mosque and, as it stands now, <hl> a museum <hl>. | Early Byzantine architecture followed the classical Roman model of domes and arches, but improved upon these elements, as in the Church of the Saints Sergius and Bacchus. The oldest surviving Byzantine church in Istanbul—albeit in ruins—is the Monastery of Stoudios (later converted into the Imrahor Mosque), which was built in 454. After the recapture of Constantinople in 1261, the Byzantines enlarged two of the most important churches extant, Chora Church and Pammakaristos Church. The pinnacle of Byzantine architecture, and one of Istanbul's most iconic structures, is the Hagia Sophia. <hl> Topped by a dome 31 meters (102 ft) in diameter, the Hagia Sophia stood as the world's largest cathedral for centuries, and was later converted into a mosque and, as it stands now, a museum . <hl> | 5d66b5cb2b22cd4dfcfbe425 |
first name | question: What is another name for personal or given name?, context: In some cultures, including those of most Western countries, the surname or family name ("last name") is placed after the personal or given name ("first name"). In other cultures the surname is placed first, followed by the given name or names. This is the case in Hungary, parts of Romania, Bavaria, Austria, South India, Sri Lanka, Madagascar and countries in the East Asian cultural sphere including Japan, Korea, Taiwan, Vietnam and China. | What is another name for personal or given name? | In some cultures, including those of most Western countries, the surname or family name ("last name") is placed after the personal or given name (" first name "). | In some cultures, including those of most Western countries, the surname or family name ("last name") is placed after the personal or given name ("first name"). In other cultures the surname is placed first, followed by the given name or names. This is the case in Hungary, parts of Romania, Bavaria, Austria, South India, Sri Lanka, Madagascar and countries in the East Asian cultural sphere including Japan, Korea, Taiwan, Vietnam and China. | In some cultures, including those of most Western countries, the surname or family name ("last name") is placed after the personal or given name (" <hl> first name <hl> "). | In some cultures, including those of most Western countries, the surname or family name ("last name") is placed after the personal or given name ("<hl> first name <hl>"). In other cultures the surname is placed first, followed by the given name or names. This is the case in Hungary, parts of Romania, Bavaria, Austria, South India, Sri Lanka, Madagascar and countries in the East Asian cultural sphere including Japan, Korea, Taiwan, Vietnam and China. | <hl> In some cultures, including those of most Western countries, the surname or family name ("last name") is placed after the personal or given name (" first name "). <hl> In other cultures the surname is placed first, followed by the given name or names. This is the case in Hungary, parts of Romania, Bavaria, Austria, South India, Sri Lanka, Madagascar and countries in the East Asian cultural sphere including Japan, Korea, Taiwan, Vietnam and China. | 5d67f1142b22cd4dfcfc0476 |
Short Message Systems | question: What does SMS stand for?, context: The use of acronyms has been further popularized with the emergence of Short Message Systems (SMS). To fit messages into the 160-character limit of SMS, acronyms such as "GF" (girlfriend), "LOL" (laughing out loud), and "DL" (download or down low) have been popularized into the mainstream. Although prescriptivist disdain for such neologism is fashionable, and can be useful when the goal is protecting message receivers from crypticness, it is scientifically groundless when couched as preserving the "purity" or "legitimacy" of language; this neologism is merely the latest instance of a perennial linguistic principle—the same one that in the 19th century prompted the aforementioned abbreviation of corporation names in places where space for writing was limited (e.g., ticker tape, newspaper column inches). | What does SMS stand for? | The use of acronyms has been further popularized with the emergence of Short Message Systems (SMS). | The use of acronyms has been further popularized with the emergence of Short Message Systems (SMS). To fit messages into the 160-character limit of SMS, acronyms such as "GF" (girlfriend), "LOL" (laughing out loud), and "DL" (download or down low) have been popularized into the mainstream. Although prescriptivist disdain for such neologism is fashionable, and can be useful when the goal is protecting message receivers from crypticness, it is scientifically groundless when couched as preserving the "purity" or "legitimacy" of language; this neologism is merely the latest instance of a perennial linguistic principle—the same one that in the 19th century prompted the aforementioned abbreviation of corporation names in places where space for writing was limited (e.g., ticker tape, newspaper column inches). | The use of acronyms has been further popularized with the emergence of <hl> Short Message Systems <hl> (SMS). | The use of acronyms has been further popularized with the emergence of <hl> Short Message Systems <hl> (SMS). To fit messages into the 160-character limit of SMS, acronyms such as "GF" (girlfriend), "LOL" (laughing out loud), and "DL" (download or down low) have been popularized into the mainstream. Although prescriptivist disdain for such neologism is fashionable, and can be useful when the goal is protecting message receivers from crypticness, it is scientifically groundless when couched as preserving the "purity" or "legitimacy" of language; this neologism is merely the latest instance of a perennial linguistic principle—the same one that in the 19th century prompted the aforementioned abbreviation of corporation names in places where space for writing was limited (e.g., ticker tape, newspaper column inches). | <hl> The use of acronyms has been further popularized with the emergence of Short Message Systems (SMS). <hl> To fit messages into the 160-character limit of SMS, acronyms such as "GF" (girlfriend), "LOL" (laughing out loud), and "DL" (download or down low) have been popularized into the mainstream. Although prescriptivist disdain for such neologism is fashionable, and can be useful when the goal is protecting message receivers from crypticness, it is scientifically groundless when couched as preserving the "purity" or "legitimacy" of language; this neologism is merely the latest instance of a perennial linguistic principle—the same one that in the 19th century prompted the aforementioned abbreviation of corporation names in places where space for writing was limited (e.g., ticker tape, newspaper column inches). | 5d657b002b22cd4dfcfbc964 |
Ten states | question: How many states have adopted constitutions or constitutional amendments providing equal rights for all sexes?, context: Second-wave feminism was largely successful, with the failure of the ratification of the Equal Rights Amendment and Nixon's veto of the Comprehensive Child Development Bill of 1972 (which would have provided a multibillion-dollar national day care system) the only major legislative defeats. Efforts to ratify the Equal Rights Amendment have continued. Ten states have adopted constitutions or constitutional amendments providing that equal rights under the law shall not be denied because of sex, and most of these provisions mirror the broad language of the Equal Rights Amendment. Furthermore, many women's groups are still active and are major political forces. As of 2011[update], more women earn bachelor's degrees than men, half of the Ivy League presidents are women, the numbers of women in government and traditionally male-dominated fields have dramatically increased, and in 2009 the percentage of women in the American workforce temporarily surpassed that of men. The salary of the average American woman has also increased over time, although as of 2008 it is only 77% of the average man's salary, a phenomenon often referred to as the Gender Pay Gap. Whether this is due to discrimination is very hotly disputed, however economists and sociologists have provided evidence to that effect. | How many states have adopted constitutions or constitutional amendments providing equal rights for all sexes? | Ten states have adopted constitutions or constitutional amendments providing that equal rights under the law shall not be denied because of sex, and most of these provisions mirror the broad language of the Equal Rights Amendment. | Second-wave feminism was largely successful, with the failure of the ratification of the Equal Rights Amendment and Nixon's veto of the Comprehensive Child Development Bill of 1972 (which would have provided a multibillion-dollar national day care system) the only major legislative defeats. Efforts to ratify the Equal Rights Amendment have continued. Ten states have adopted constitutions or constitutional amendments providing that equal rights under the law shall not be denied because of sex, and most of these provisions mirror the broad language of the Equal Rights Amendment. Furthermore, many women's groups are still active and are major political forces. As of 2011[update], more women earn bachelor's degrees than men, half of the Ivy League presidents are women, the numbers of women in government and traditionally male-dominated fields have dramatically increased, and in 2009 the percentage of women in the American workforce temporarily surpassed that of men. The salary of the average American woman has also increased over time, although as of 2008 it is only 77% of the average man's salary, a phenomenon often referred to as the Gender Pay Gap. Whether this is due to discrimination is very hotly disputed, however economists and sociologists have provided evidence to that effect. | <hl> Ten states <hl> have adopted constitutions or constitutional amendments providing that equal rights under the law shall not be denied because of sex, and most of these provisions mirror the broad language of the Equal Rights Amendment. | Second-wave feminism was largely successful, with the failure of the ratification of the Equal Rights Amendment and Nixon's veto of the Comprehensive Child Development Bill of 1972 (which would have provided a multibillion-dollar national day care system) the only major legislative defeats. Efforts to ratify the Equal Rights Amendment have continued. <hl> Ten states <hl> have adopted constitutions or constitutional amendments providing that equal rights under the law shall not be denied because of sex, and most of these provisions mirror the broad language of the Equal Rights Amendment. Furthermore, many women's groups are still active and are major political forces. As of 2011[update], more women earn bachelor's degrees than men, half of the Ivy League presidents are women, the numbers of women in government and traditionally male-dominated fields have dramatically increased, and in 2009 the percentage of women in the American workforce temporarily surpassed that of men. The salary of the average American woman has also increased over time, although as of 2008 it is only 77% of the average man's salary, a phenomenon often referred to as the Gender Pay Gap. Whether this is due to discrimination is very hotly disputed, however economists and sociologists have provided evidence to that effect. | Second-wave feminism was largely successful, with the failure of the ratification of the Equal Rights Amendment and Nixon's veto of the Comprehensive Child Development Bill of 1972 (which would have provided a multibillion-dollar national day care system) the only major legislative defeats. Efforts to ratify the Equal Rights Amendment have continued. <hl> Ten states have adopted constitutions or constitutional amendments providing that equal rights under the law shall not be denied because of sex, and most of these provisions mirror the broad language of the Equal Rights Amendment. <hl> Furthermore, many women's groups are still active and are major political forces. As of 2011[update], more women earn bachelor's degrees than men, half of the Ivy League presidents are women, the numbers of women in government and traditionally male-dominated fields have dramatically increased, and in 2009 the percentage of women in the American workforce temporarily surpassed that of men. The salary of the average American woman has also increased over time, although as of 2008 it is only 77% of the average man's salary, a phenomenon often referred to as the Gender Pay Gap. Whether this is due to discrimination is very hotly disputed, however economists and sociologists have provided evidence to that effect. | 5d6780dc2b22cd4dfcfbfda2 |
2.5 million | question: How many children were homeless in 2013?, context: One out of 50 children or 1.5 million children in America will be homeless each year. In 2013 that number jumped to one out of 30 children, or 2.5 million. There were an estimated 57,849 homeless veterans estimated in the United States during January 2013; or 12 percent of all homeless adults. Just under 8 percent of homeless U.S. veterans are female. Texas, California and Florida have the highest numbers of unaccompanied homeless youth under the age of 18; comprising 58% of the total homeless under 18 youth population | How many children were homeless in 2013? | In 2013 that number jumped to one out of 30 children, or 2.5 million . | One out of 50 children or 1.5 million children in America will be homeless each year. In 2013 that number jumped to one out of 30 children, or 2.5 million. There were an estimated 57,849 homeless veterans estimated in the United States during January 2013; or 12 percent of all homeless adults. Just under 8 percent of homeless U.S. veterans are female. Texas, California and Florida have the highest numbers of unaccompanied homeless youth under the age of 18; comprising 58% of the total homeless under 18 youth population | In 2013 that number jumped to one out of 30 children, or <hl> 2.5 million <hl> . | One out of 50 children or 1.5 million children in America will be homeless each year. In 2013 that number jumped to one out of 30 children, or <hl> 2.5 million <hl>. There were an estimated 57,849 homeless veterans estimated in the United States during January 2013; or 12 percent of all homeless adults. Just under 8 percent of homeless U.S. veterans are female. Texas, California and Florida have the highest numbers of unaccompanied homeless youth under the age of 18; comprising 58% of the total homeless under 18 youth population | One out of 50 children or 1.5 million children in America will be homeless each year. <hl> In 2013 that number jumped to one out of 30 children, or 2.5 million . <hl> There were an estimated 57,849 homeless veterans estimated in the United States during January 2013; or 12 percent of all homeless adults. Just under 8 percent of homeless U.S. veterans are female. Texas, California and Florida have the highest numbers of unaccompanied homeless youth under the age of 18; comprising 58% of the total homeless under 18 youth population | 5d65d44b2b22cd4dfcfbce4e |
The US Department of Defense's Defense Advanced Research Projects Agency | question: What does DARPA stand for?, context: The US Department of Defense's Defense Advanced Research Projects Agency (DARPA) is known for developing contrived acronyms to name projects, including RESURRECT, NIRVANA, and DUDE. In July 2010, Wired Magazine reported that DARPA announced programs to "..transform biology from a descriptive to a predictive field of science" named BATMAN and ROBIN for Biochronicity and Temporal Mechanisms Arising in Nature and Robustness of Biologically-Inspired Networks, a reference to the Batman and Robin comic-book superheroes. | What does DARPA stand for? | The US Department of Defense's Defense Advanced Research Projects Agency (DARPA) is known for developing contrived acronyms to name projects, including RESURRECT, NIRVANA, and DUDE. | The US Department of Defense's Defense Advanced Research Projects Agency (DARPA) is known for developing contrived acronyms to name projects, including RESURRECT, NIRVANA, and DUDE. In July 2010, Wired Magazine reported that DARPA announced programs to "..transform biology from a descriptive to a predictive field of science" named BATMAN and ROBIN for Biochronicity and Temporal Mechanisms Arising in Nature and Robustness of Biologically-Inspired Networks, a reference to the Batman and Robin comic-book superheroes. | <hl> The US Department of Defense's Defense Advanced Research Projects Agency <hl> (DARPA) is known for developing contrived acronyms to name projects, including RESURRECT, NIRVANA, and DUDE. | <hl> The US Department of Defense's Defense Advanced Research Projects Agency <hl> (DARPA) is known for developing contrived acronyms to name projects, including RESURRECT, NIRVANA, and DUDE. In July 2010, Wired Magazine reported that DARPA announced programs to "..transform biology from a descriptive to a predictive field of science" named BATMAN and ROBIN for Biochronicity and Temporal Mechanisms Arising in Nature and Robustness of Biologically-Inspired Networks, a reference to the Batman and Robin comic-book superheroes. | <hl> The US Department of Defense's Defense Advanced Research Projects Agency (DARPA) is known for developing contrived acronyms to name projects, including RESURRECT, NIRVANA, and DUDE. <hl> In July 2010, Wired Magazine reported that DARPA announced programs to "..transform biology from a descriptive to a predictive field of science" named BATMAN and ROBIN for Biochronicity and Temporal Mechanisms Arising in Nature and Robustness of Biologically-Inspired Networks, a reference to the Batman and Robin comic-book superheroes. | 5d65a83f2b22cd4dfcfbcad0 |
proposed laws regulating carbon emissions | question: What did Senator John McCain do regarding carbon emissions?, context: Senator John McCain has also previously proposed laws regulating carbon emissions, such as the McCain-Lieberman Climate Stewardship Act, although his position on climate change is unusual among high-ranking party members. Some Republican candidates have supported development of alternative fuels in order to achieve energy independence for the US. The Republican party rejects cap-and-trade policy to limit carbon emissions. Some Republicans support increased oil drilling in protected areas such as the Arctic National Wildlife Refuge, a position that has drawn criticism from activists. | What did Senator John McCain do regarding carbon emissions? | Senator John McCain has also previously proposed laws regulating carbon emissions , such as the McCain-Lieberman Climate Stewardship Act, | Senator John McCain has also previously proposed laws regulating carbon emissions, such as the McCain-Lieberman Climate Stewardship Act, although his position on climate change is unusual among high-ranking party members. Some Republican candidates have supported development of alternative fuels in order to achieve energy independence for the US. The Republican party rejects cap-and-trade policy to limit carbon emissions. Some Republicans support increased oil drilling in protected areas such as the Arctic National Wildlife Refuge, a position that has drawn criticism from activists. | Senator John McCain has also previously <hl> proposed laws regulating carbon emissions <hl> , such as the McCain-Lieberman Climate Stewardship Act, | Senator John McCain has also previously <hl> proposed laws regulating carbon emissions <hl>, such as the McCain-Lieberman Climate Stewardship Act, although his position on climate change is unusual among high-ranking party members. Some Republican candidates have supported development of alternative fuels in order to achieve energy independence for the US. The Republican party rejects cap-and-trade policy to limit carbon emissions. Some Republicans support increased oil drilling in protected areas such as the Arctic National Wildlife Refuge, a position that has drawn criticism from activists. | <hl> Senator John McCain has also previously proposed laws regulating carbon emissions , such as the McCain-Lieberman Climate Stewardship Act, <hl> although his position on climate change is unusual among high-ranking party members. Some Republican candidates have supported development of alternative fuels in order to achieve energy independence for the US. The Republican party rejects cap-and-trade policy to limit carbon emissions. Some Republicans support increased oil drilling in protected areas such as the Arctic National Wildlife Refuge, a position that has drawn criticism from activists. | 5d6744072b22cd4dfcfbf464 |
7.5 million | question: What is considered to be the highest death toll of the Holodomor in any one given country?, context: Economic developments in the Soviet Union from 1929 to 1941 included the acceleration of collectivisation of agriculture. In 1930, 23.6 percent of all agriculture was collectivised; by 1941, 98 percent of all agriculture was collectivised. This process of collectivisation included "dekulakisation", in which kulaks were forced off their land, persecuted, and killed in a wave of terror unleashed by the Soviet state against them. The collectivisation policies resulted in economic disaster with severe fluctuations in grain harvests, catastrophic losses in the number of livestock, a substantial drop in the food consumption of the country's citizens, and the allegedly intentional Holodomor famine in the Ukraine. Modern sources estimate that between 2.4 and 7.5 million Ukrainians died in the Holodomor famine. Vast industrialisation was initiated, mostly based on the basis of preparation for an offensive war against the West – with a focus on heavy industry. However, even at its peak, industry of the Soviet Union remained well behind that of the United States. Industrialisation led to a massive urbanisation in the country. Unemployment was virtually eliminated in the country during the 1930s. | What is considered to be the highest death toll of the Holodomor in any one given country? | Modern sources estimate that between 2.4 and 7.5 million Ukrainians died in the Holodomor famine. | Economic developments in the Soviet Union from 1929 to 1941 included the acceleration of collectivisation of agriculture. In 1930, 23.6 percent of all agriculture was collectivised; by 1941, 98 percent of all agriculture was collectivised. This process of collectivisation included "dekulakisation", in which kulaks were forced off their land, persecuted, and killed in a wave of terror unleashed by the Soviet state against them. The collectivisation policies resulted in economic disaster with severe fluctuations in grain harvests, catastrophic losses in the number of livestock, a substantial drop in the food consumption of the country's citizens, and the allegedly intentional Holodomor famine in the Ukraine. Modern sources estimate that between 2.4 and 7.5 million Ukrainians died in the Holodomor famine. Vast industrialisation was initiated, mostly based on the basis of preparation for an offensive war against the West – with a focus on heavy industry. However, even at its peak, industry of the Soviet Union remained well behind that of the United States. Industrialisation led to a massive urbanisation in the country. Unemployment was virtually eliminated in the country during the 1930s. | Modern sources estimate that between 2.4 and <hl> 7.5 million <hl> Ukrainians died in the Holodomor famine. | Economic developments in the Soviet Union from 1929 to 1941 included the acceleration of collectivisation of agriculture. In 1930, 23.6 percent of all agriculture was collectivised; by 1941, 98 percent of all agriculture was collectivised. This process of collectivisation included "dekulakisation", in which kulaks were forced off their land, persecuted, and killed in a wave of terror unleashed by the Soviet state against them. The collectivisation policies resulted in economic disaster with severe fluctuations in grain harvests, catastrophic losses in the number of livestock, a substantial drop in the food consumption of the country's citizens, and the allegedly intentional Holodomor famine in the Ukraine. Modern sources estimate that between 2.4 and <hl> 7.5 million <hl> Ukrainians died in the Holodomor famine. Vast industrialisation was initiated, mostly based on the basis of preparation for an offensive war against the West – with a focus on heavy industry. However, even at its peak, industry of the Soviet Union remained well behind that of the United States. Industrialisation led to a massive urbanisation in the country. Unemployment was virtually eliminated in the country during the 1930s. | Economic developments in the Soviet Union from 1929 to 1941 included the acceleration of collectivisation of agriculture. In 1930, 23.6 percent of all agriculture was collectivised; by 1941, 98 percent of all agriculture was collectivised. This process of collectivisation included "dekulakisation", in which kulaks were forced off their land, persecuted, and killed in a wave of terror unleashed by the Soviet state against them. The collectivisation policies resulted in economic disaster with severe fluctuations in grain harvests, catastrophic losses in the number of livestock, a substantial drop in the food consumption of the country's citizens, and the allegedly intentional Holodomor famine in the Ukraine. <hl> Modern sources estimate that between 2.4 and 7.5 million Ukrainians died in the Holodomor famine. <hl> Vast industrialisation was initiated, mostly based on the basis of preparation for an offensive war against the West – with a focus on heavy industry. However, even at its peak, industry of the Soviet Union remained well behind that of the United States. Industrialisation led to a massive urbanisation in the country. Unemployment was virtually eliminated in the country during the 1930s. | 5d6723082b22cd4dfcfbf033 |
National Alliance to End Homelessness | question: What does NAEH stand for?, context: A significant shift has occurred in homeless services over the past five years[needs update] which has changed the emphasis from "managing the problem of homelessness" with emergency shelters, soup kitchens and health clinic to ending homelessness by housing individuals who are experiencing homelessness. In 2000, the National Alliance to End Homelessness released "A Plan, Not a Dream: How to End Homelessness in Ten Years" which encouraged communities to develop and implement 10-year plans to end homelessness in their communities. | What does NAEH stand for? | In 2000, the National Alliance to End Homelessness released "A Plan, Not a Dream: How to End Homelessness in Ten Years" which encouraged communities to develop and implement 10-year plans to end homelessness in their communities. | A significant shift has occurred in homeless services over the past five years[needs update] which has changed the emphasis from "managing the problem of homelessness" with emergency shelters, soup kitchens and health clinic to ending homelessness by housing individuals who are experiencing homelessness. In 2000, the National Alliance to End Homelessness released "A Plan, Not a Dream: How to End Homelessness in Ten Years" which encouraged communities to develop and implement 10-year plans to end homelessness in their communities. | In 2000, the <hl> National Alliance to End Homelessness <hl> released "A Plan, Not a Dream: How to End Homelessness in Ten Years" which encouraged communities to develop and implement 10-year plans to end homelessness in their communities. | A significant shift has occurred in homeless services over the past five years[needs update] which has changed the emphasis from "managing the problem of homelessness" with emergency shelters, soup kitchens and health clinic to ending homelessness by housing individuals who are experiencing homelessness. In 2000, the <hl> National Alliance to End Homelessness <hl> released "A Plan, Not a Dream: How to End Homelessness in Ten Years" which encouraged communities to develop and implement 10-year plans to end homelessness in their communities. | A significant shift has occurred in homeless services over the past five years[needs update] which has changed the emphasis from "managing the problem of homelessness" with emergency shelters, soup kitchens and health clinic to ending homelessness by housing individuals who are experiencing homelessness. <hl> In 2000, the National Alliance to End Homelessness released "A Plan, Not a Dream: How to End Homelessness in Ten Years" which encouraged communities to develop and implement 10-year plans to end homelessness in their communities. <hl> | 5d66925e2b22cd4dfcfbe2bc |
1900 | question: precipitation has increased over the land north of 30 degrees north since what year?, context: Increasing temperatures tend to increase evaporation which leads to more precipitation. Precipitation has generally increased over land north of 30°N from 1900 to 2005 but has declined over the tropics since the 1970s. Globally there has been no statistically significant overall trend in precipitation over the past century, although trends have varied widely by region and over time. Eastern portions of North and South America, northern Europe, and northern and central Asia have become wetter. The Sahel, the Mediterranean, southern Africa and parts of southern Asia have become drier. There has been an increase in the number of heavy precipitation events over many areas during the past century, as well as an increase since the 1970s in the prevalence of droughts—especially in the tropics and subtropics. Changes in precipitation and evaporation over the oceans are suggested by the decreased salinity of mid- and high-latitude waters (implying more precipitation), along with increased salinity in lower latitudes (implying less precipitation, more evaporation, or both). Over the contiguous United States, total annual precipitation increased at an average rate of 6.1% per century since 1900, with the greatest increases within the East North Central climate region (11.6% per century) and the South (11.1%). Hawaii was the only region to show a decrease (-9.25%). | precipitation has increased over the land north of 30 degrees north since what year? | Precipitation has generally increased over land north of 30°N from 1900 to 2005 but has declined over the tropics since the 1970s. | Increasing temperatures tend to increase evaporation which leads to more precipitation. Precipitation has generally increased over land north of 30°N from 1900 to 2005 but has declined over the tropics since the 1970s. Globally there has been no statistically significant overall trend in precipitation over the past century, although trends have varied widely by region and over time. Eastern portions of North and South America, northern Europe, and northern and central Asia have become wetter. The Sahel, the Mediterranean, southern Africa and parts of southern Asia have become drier. There has been an increase in the number of heavy precipitation events over many areas during the past century, as well as an increase since the 1970s in the prevalence of droughts—especially in the tropics and subtropics. Changes in precipitation and evaporation over the oceans are suggested by the decreased salinity of mid- and high-latitude waters (implying more precipitation), along with increased salinity in lower latitudes (implying less precipitation, more evaporation, or both). Over the contiguous United States, total annual precipitation increased at an average rate of 6.1% per century since 1900, with the greatest increases within the East North Central climate region (11.6% per century) and the South (11.1%). Hawaii was the only region to show a decrease (-9.25%). | Precipitation has generally increased over land north of 30°N from <hl> 1900 <hl> to 2005 but has declined over the tropics since the 1970s. | Increasing temperatures tend to increase evaporation which leads to more precipitation. Precipitation has generally increased over land north of 30°N from <hl> 1900 <hl> to 2005 but has declined over the tropics since the 1970s. Globally there has been no statistically significant overall trend in precipitation over the past century, although trends have varied widely by region and over time. Eastern portions of North and South America, northern Europe, and northern and central Asia have become wetter. The Sahel, the Mediterranean, southern Africa and parts of southern Asia have become drier. There has been an increase in the number of heavy precipitation events over many areas during the past century, as well as an increase since the 1970s in the prevalence of droughts—especially in the tropics and subtropics. Changes in precipitation and evaporation over the oceans are suggested by the decreased salinity of mid- and high-latitude waters (implying more precipitation), along with increased salinity in lower latitudes (implying less precipitation, more evaporation, or both). Over the contiguous United States, total annual precipitation increased at an average rate of 6.1% per century since 1900, with the greatest increases within the East North Central climate region (11.6% per century) and the South (11.1%). Hawaii was the only region to show a decrease (-9.25%). | Increasing temperatures tend to increase evaporation which leads to more precipitation. <hl> Precipitation has generally increased over land north of 30°N from 1900 to 2005 but has declined over the tropics since the 1970s. <hl> Globally there has been no statistically significant overall trend in precipitation over the past century, although trends have varied widely by region and over time. Eastern portions of North and South America, northern Europe, and northern and central Asia have become wetter. The Sahel, the Mediterranean, southern Africa and parts of southern Asia have become drier. There has been an increase in the number of heavy precipitation events over many areas during the past century, as well as an increase since the 1970s in the prevalence of droughts—especially in the tropics and subtropics. Changes in precipitation and evaporation over the oceans are suggested by the decreased salinity of mid- and high-latitude waters (implying more precipitation), along with increased salinity in lower latitudes (implying less precipitation, more evaporation, or both). Over the contiguous United States, total annual precipitation increased at an average rate of 6.1% per century since 1900, with the greatest increases within the East North Central climate region (11.6% per century) and the South (11.1%). Hawaii was the only region to show a decrease (-9.25%). | 5d671a3a2b22cd4dfcfbef4a |
90% | question: What amount of early Americans were killed by European and African diseases?, context: Throughout the development of sedentary societies, disease spread more rapidly than it had during the time in which hunter-gatherer societies existed. Inadequate sanitary practices and the domestication of animals may explain the rise in deaths and sickness following the Neolithic Revolution, as diseases jumped from the animal to the human population. Some examples of diseases spread from animals to humans are influenza, smallpox, and measles. In concordance with a process of natural selection, the humans who first domesticated the big mammals quickly built up immunities to the diseases as within each generation the individuals with better immunities had better chances of survival. In their approximately 10,000 years of shared proximity with animals, such as cows, Eurasians and Africans became more resistant to those diseases compared with the indigenous populations encountered outside Eurasia and Africa. For instance, the population of most Caribbean and several Pacific Islands have been completely wiped out by diseases. 90% or more of many populations of the Americas were wiped out by European and African diseases before recorded contact with European explorers or colonists. Some cultures like the Inca Empire did have a large domestic mammal, the llama, but llama milk was not drunk, nor did llamas live in a closed space with humans, so the risk of contagion was limited. According to bioarchaeological research, the effects of agriculture on physical and dental health in Southeast Asian rice farming societies from 4000 to 1500 B.P. was not detrimental to the same extent as in other world regions. | What amount of early Americans were killed by European and African diseases? | 90% or more of many populations of the Americas were wiped out by European and African diseases before recorded contact with European explorers or colonists. | Throughout the development of sedentary societies, disease spread more rapidly than it had during the time in which hunter-gatherer societies existed. Inadequate sanitary practices and the domestication of animals may explain the rise in deaths and sickness following the Neolithic Revolution, as diseases jumped from the animal to the human population. Some examples of diseases spread from animals to humans are influenza, smallpox, and measles. In concordance with a process of natural selection, the humans who first domesticated the big mammals quickly built up immunities to the diseases as within each generation the individuals with better immunities had better chances of survival. In their approximately 10,000 years of shared proximity with animals, such as cows, Eurasians and Africans became more resistant to those diseases compared with the indigenous populations encountered outside Eurasia and Africa. For instance, the population of most Caribbean and several Pacific Islands have been completely wiped out by diseases. 90% or more of many populations of the Americas were wiped out by European and African diseases before recorded contact with European explorers or colonists. Some cultures like the Inca Empire did have a large domestic mammal, the llama, but llama milk was not drunk, nor did llamas live in a closed space with humans, so the risk of contagion was limited. According to bioarchaeological research, the effects of agriculture on physical and dental health in Southeast Asian rice farming societies from 4000 to 1500 B.P. was not detrimental to the same extent as in other world regions. | <hl> 90% <hl> or more of many populations of the Americas were wiped out by European and African diseases before recorded contact with European explorers or colonists. | Throughout the development of sedentary societies, disease spread more rapidly than it had during the time in which hunter-gatherer societies existed. Inadequate sanitary practices and the domestication of animals may explain the rise in deaths and sickness following the Neolithic Revolution, as diseases jumped from the animal to the human population. Some examples of diseases spread from animals to humans are influenza, smallpox, and measles. In concordance with a process of natural selection, the humans who first domesticated the big mammals quickly built up immunities to the diseases as within each generation the individuals with better immunities had better chances of survival. In their approximately 10,000 years of shared proximity with animals, such as cows, Eurasians and Africans became more resistant to those diseases compared with the indigenous populations encountered outside Eurasia and Africa. For instance, the population of most Caribbean and several Pacific Islands have been completely wiped out by diseases. <hl> 90% <hl> or more of many populations of the Americas were wiped out by European and African diseases before recorded contact with European explorers or colonists. Some cultures like the Inca Empire did have a large domestic mammal, the llama, but llama milk was not drunk, nor did llamas live in a closed space with humans, so the risk of contagion was limited. According to bioarchaeological research, the effects of agriculture on physical and dental health in Southeast Asian rice farming societies from 4000 to 1500 B.P. was not detrimental to the same extent as in other world regions. | Throughout the development of sedentary societies, disease spread more rapidly than it had during the time in which hunter-gatherer societies existed. Inadequate sanitary practices and the domestication of animals may explain the rise in deaths and sickness following the Neolithic Revolution, as diseases jumped from the animal to the human population. Some examples of diseases spread from animals to humans are influenza, smallpox, and measles. In concordance with a process of natural selection, the humans who first domesticated the big mammals quickly built up immunities to the diseases as within each generation the individuals with better immunities had better chances of survival. In their approximately 10,000 years of shared proximity with animals, such as cows, Eurasians and Africans became more resistant to those diseases compared with the indigenous populations encountered outside Eurasia and Africa. For instance, the population of most Caribbean and several Pacific Islands have been completely wiped out by diseases. <hl> 90% or more of many populations of the Americas were wiped out by European and African diseases before recorded contact with European explorers or colonists. <hl> Some cultures like the Inca Empire did have a large domestic mammal, the llama, but llama milk was not drunk, nor did llamas live in a closed space with humans, so the risk of contagion was limited. According to bioarchaeological research, the effects of agriculture on physical and dental health in Southeast Asian rice farming societies from 4000 to 1500 B.P. was not detrimental to the same extent as in other world regions. | 5d67d1b62b22cd4dfcfc02ab |
Malcolm Greene Chace | question: Who is the father of hockey in the United States?, context: In the United States, "ice polo", played with a ball rather than a puck, was popular during this period; however, by 1893 Yale University and Johns Hopkins University held their first ice hockey matches. American financier Malcolm Greene Chace is credited with being the father of hockey in the United States. In 1892, as an amateur tennis player, Chace visited Niagara Falls, New York for a tennis match, where he met some Canadian hockey players. Soon afterwards, Chace put together a team of men from Yale, Brown, and Harvard, and toured across Canada as captain of this team. The first collegiate hockey match in the United States was played between Yale University and Johns Hopkins in Baltimore. Yale, led by captain Chace, beat Hopkins 2-1. In 1896, the first ice hockey league in the U.S. was formed. The U.S. Amateur Hockey League was founded in New York City, shortly after the opening of the artificial-ice St. Nicholas Rink. | Who is the father of hockey in the United States? | American financier Malcolm Greene Chace is credited with being the father of hockey in the United States. | In the United States, "ice polo", played with a ball rather than a puck, was popular during this period; however, by 1893 Yale University and Johns Hopkins University held their first ice hockey matches. American financier Malcolm Greene Chace is credited with being the father of hockey in the United States. In 1892, as an amateur tennis player, Chace visited Niagara Falls, New York for a tennis match, where he met some Canadian hockey players. Soon afterwards, Chace put together a team of men from Yale, Brown, and Harvard, and toured across Canada as captain of this team. The first collegiate hockey match in the United States was played between Yale University and Johns Hopkins in Baltimore. Yale, led by captain Chace, beat Hopkins 2-1. In 1896, the first ice hockey league in the U.S. was formed. The U.S. Amateur Hockey League was founded in New York City, shortly after the opening of the artificial-ice St. Nicholas Rink. | American financier <hl> Malcolm Greene Chace <hl> is credited with being the father of hockey in the United States. | In the United States, "ice polo", played with a ball rather than a puck, was popular during this period; however, by 1893 Yale University and Johns Hopkins University held their first ice hockey matches. American financier <hl> Malcolm Greene Chace <hl> is credited with being the father of hockey in the United States. In 1892, as an amateur tennis player, Chace visited Niagara Falls, New York for a tennis match, where he met some Canadian hockey players. Soon afterwards, Chace put together a team of men from Yale, Brown, and Harvard, and toured across Canada as captain of this team. The first collegiate hockey match in the United States was played between Yale University and Johns Hopkins in Baltimore. Yale, led by captain Chace, beat Hopkins 2-1. In 1896, the first ice hockey league in the U.S. was formed. The U.S. Amateur Hockey League was founded in New York City, shortly after the opening of the artificial-ice St. Nicholas Rink. | In the United States, "ice polo", played with a ball rather than a puck, was popular during this period; however, by 1893 Yale University and Johns Hopkins University held their first ice hockey matches. <hl> American financier Malcolm Greene Chace is credited with being the father of hockey in the United States. <hl> In 1892, as an amateur tennis player, Chace visited Niagara Falls, New York for a tennis match, where he met some Canadian hockey players. Soon afterwards, Chace put together a team of men from Yale, Brown, and Harvard, and toured across Canada as captain of this team. The first collegiate hockey match in the United States was played between Yale University and Johns Hopkins in Baltimore. Yale, led by captain Chace, beat Hopkins 2-1. In 1896, the first ice hockey league in the U.S. was formed. The U.S. Amateur Hockey League was founded in New York City, shortly after the opening of the artificial-ice St. Nicholas Rink. | 5d6664e92b22cd4dfcfbdda6 |
autumn | question: What kind of sittings take place from February to April?, context: The Australian Senate typically sits for 50 to 60 days a year.[a] Most of those days are grouped into 'sitting fortnights' of two four-day weeks. These are in turn arranged in three periods: the autumn sittings, from February to April; the winter sittings, which commence with the delivery of the budget in the House of Representatives on the first sitting day of May and run through to June or July; and the spring sittings, which commence around August and continue until December, and which typically contain the largest number of the year's sitting days. | What kind of sittings take place from February to April? | These are in turn arranged in three periods: the autumn sittings, from February to April; the winter sittings, which commence with the delivery of the budget in the House of Representatives on the first sitting day of May and run through to June or July; and the spring sittings, which commence around August and continue until December, and which typically contain the largest number of the year's sitting days. | The Australian Senate typically sits for 50 to 60 days a year.[a] Most of those days are grouped into 'sitting fortnights' of two four-day weeks. These are in turn arranged in three periods: the autumn sittings, from February to April; the winter sittings, which commence with the delivery of the budget in the House of Representatives on the first sitting day of May and run through to June or July; and the spring sittings, which commence around August and continue until December, and which typically contain the largest number of the year's sitting days. | These are in turn arranged in three periods: the <hl> autumn <hl> sittings, from February to April; the winter sittings, which commence with the delivery of the budget in the House of Representatives on the first sitting day of May and run through to June or July; and the spring sittings, which commence around August and continue until December, and which typically contain the largest number of the year's sitting days. | The Australian Senate typically sits for 50 to 60 days a year.[a] Most of those days are grouped into 'sitting fortnights' of two four-day weeks. These are in turn arranged in three periods: the <hl> autumn <hl> sittings, from February to April; the winter sittings, which commence with the delivery of the budget in the House of Representatives on the first sitting day of May and run through to June or July; and the spring sittings, which commence around August and continue until December, and which typically contain the largest number of the year's sitting days. | The Australian Senate typically sits for 50 to 60 days a year.[a] Most of those days are grouped into 'sitting fortnights' of two four-day weeks. <hl> These are in turn arranged in three periods: the autumn sittings, from February to April; the winter sittings, which commence with the delivery of the budget in the House of Representatives on the first sitting day of May and run through to June or July; and the spring sittings, which commence around August and continue until December, and which typically contain the largest number of the year's sitting days. <hl> | 5d66d9f02b22cd4dfcfbe4d2 |
it enhances group survival | question: group discrimination evolved because why?, context: Some observers hold that individuals apply distinct sets of moral rules to people depending on their membership of an "in-group" (the individual and those they believe to be of the same culture or race) or an "out-group" (people not entitled to be treated according to the same rules). Some biologists, anthropologists and evolutionary psychologists believe this in-group/out-group discrimination has evolved because it enhances group survival. This belief has been confirmed by simple computational models of evolution. In simulations this discrimination can result in both unexpected cooperation towards the in-group and irrational hostility towards the out-group. Gary R. Johnson and V.S. Falger have argued that nationalism and patriotism are forms of this in-group/out-group boundary. Jonathan Haidt has noted that experimental observation indicating an in-group criterion provides one moral foundation substantially used by conservatives, but far less so by liberals. | group discrimination evolved because why? | Some biologists, anthropologists and evolutionary psychologists believe this in-group/out-group discrimination has evolved because it enhances group survival . | Some observers hold that individuals apply distinct sets of moral rules to people depending on their membership of an "in-group" (the individual and those they believe to be of the same culture or race) or an "out-group" (people not entitled to be treated according to the same rules). Some biologists, anthropologists and evolutionary psychologists believe this in-group/out-group discrimination has evolved because it enhances group survival. This belief has been confirmed by simple computational models of evolution. In simulations this discrimination can result in both unexpected cooperation towards the in-group and irrational hostility towards the out-group. Gary R. Johnson and V.S. Falger have argued that nationalism and patriotism are forms of this in-group/out-group boundary. Jonathan Haidt has noted that experimental observation indicating an in-group criterion provides one moral foundation substantially used by conservatives, but far less so by liberals. | Some biologists, anthropologists and evolutionary psychologists believe this in-group/out-group discrimination has evolved because <hl> it enhances group survival <hl> . | Some observers hold that individuals apply distinct sets of moral rules to people depending on their membership of an "in-group" (the individual and those they believe to be of the same culture or race) or an "out-group" (people not entitled to be treated according to the same rules). Some biologists, anthropologists and evolutionary psychologists believe this in-group/out-group discrimination has evolved because <hl> it enhances group survival <hl>. This belief has been confirmed by simple computational models of evolution. In simulations this discrimination can result in both unexpected cooperation towards the in-group and irrational hostility towards the out-group. Gary R. Johnson and V.S. Falger have argued that nationalism and patriotism are forms of this in-group/out-group boundary. Jonathan Haidt has noted that experimental observation indicating an in-group criterion provides one moral foundation substantially used by conservatives, but far less so by liberals. | Some observers hold that individuals apply distinct sets of moral rules to people depending on their membership of an "in-group" (the individual and those they believe to be of the same culture or race) or an "out-group" (people not entitled to be treated according to the same rules). <hl> Some biologists, anthropologists and evolutionary psychologists believe this in-group/out-group discrimination has evolved because it enhances group survival . <hl> This belief has been confirmed by simple computational models of evolution. In simulations this discrimination can result in both unexpected cooperation towards the in-group and irrational hostility towards the out-group. Gary R. Johnson and V.S. Falger have argued that nationalism and patriotism are forms of this in-group/out-group boundary. Jonathan Haidt has noted that experimental observation indicating an in-group criterion provides one moral foundation substantially used by conservatives, but far less so by liberals. | 5d6704c72b22cd4dfcfbeab5 |
five-team | question: How many teams were in the league in Europe in 1903?, context: Lord Stanley's five sons were instrumental in bringing ice hockey to Europe, defeating a court team (which included the future Edward VII and George V) at Buckingham Palace in 1895. By 1903, a five-team league had been founded. The Ligue Internationale de Hockey sur Glace was founded in 1908 to govern international competition, and the first European championship was won by Great Britain in 1910. The sport grew further in Europe in the 1920s, after ice hockey became an Olympic sport. Many bandy players switched to ice hockey so as to be able to compete in the Olympics. Bandy remained popular in the Soviet Union, which only started its ice hockey program in the 1950s. In the mid-20th century, the Ligue became the International Ice Hockey Federation. | How many teams were in the league in Europe in 1903? | By 1903, a five-team league had been founded. | Lord Stanley's five sons were instrumental in bringing ice hockey to Europe, defeating a court team (which included the future Edward VII and George V) at Buckingham Palace in 1895. By 1903, a five-team league had been founded. The Ligue Internationale de Hockey sur Glace was founded in 1908 to govern international competition, and the first European championship was won by Great Britain in 1910. The sport grew further in Europe in the 1920s, after ice hockey became an Olympic sport. Many bandy players switched to ice hockey so as to be able to compete in the Olympics. Bandy remained popular in the Soviet Union, which only started its ice hockey program in the 1950s. In the mid-20th century, the Ligue became the International Ice Hockey Federation. | By 1903, a <hl> five-team <hl> league had been founded. | Lord Stanley's five sons were instrumental in bringing ice hockey to Europe, defeating a court team (which included the future Edward VII and George V) at Buckingham Palace in 1895. By 1903, a <hl> five-team <hl> league had been founded. The Ligue Internationale de Hockey sur Glace was founded in 1908 to govern international competition, and the first European championship was won by Great Britain in 1910. The sport grew further in Europe in the 1920s, after ice hockey became an Olympic sport. Many bandy players switched to ice hockey so as to be able to compete in the Olympics. Bandy remained popular in the Soviet Union, which only started its ice hockey program in the 1950s. In the mid-20th century, the Ligue became the International Ice Hockey Federation. | Lord Stanley's five sons were instrumental in bringing ice hockey to Europe, defeating a court team (which included the future Edward VII and George V) at Buckingham Palace in 1895. <hl> By 1903, a five-team league had been founded. <hl> The Ligue Internationale de Hockey sur Glace was founded in 1908 to govern international competition, and the first European championship was won by Great Britain in 1910. The sport grew further in Europe in the 1920s, after ice hockey became an Olympic sport. Many bandy players switched to ice hockey so as to be able to compete in the Olympics. Bandy remained popular in the Soviet Union, which only started its ice hockey program in the 1950s. In the mid-20th century, the Ligue became the International Ice Hockey Federation. | 5d6665c52b22cd4dfcfbddc8 |
Semič | question: What settlement in Slovenia were many escaped Allied soldiers airlifted from?, context: The Partisans also assisted hundreds of Allied soldiers who succeeded in escaping from German POW camps (mostly in southern Austria) throughout the war, but especially from 1943–45. These were transported across Slovenia, from where many were airlifted from Semič, while others made the longer overland trek down through Croatia for a boat passage to Bari in Italy. In the spring of 1944, the British military mission in Slovenia reported that there was a "steady, slow trickle" of escapes from these camps. They were being assisted by local civilians, and on contacting Partisans on the general line of the River Drava, they were able to make their way to safety with Partisan guides.[citation needed] | What settlement in Slovenia were many escaped Allied soldiers airlifted from? | These were transported across Slovenia, from where many were airlifted from Semič , while others made the longer overland trek down through Croatia for a boat passage to Bari in Italy. | The Partisans also assisted hundreds of Allied soldiers who succeeded in escaping from German POW camps (mostly in southern Austria) throughout the war, but especially from 1943–45. These were transported across Slovenia, from where many were airlifted from Semič, while others made the longer overland trek down through Croatia for a boat passage to Bari in Italy. In the spring of 1944, the British military mission in Slovenia reported that there was a "steady, slow trickle" of escapes from these camps. They were being assisted by local civilians, and on contacting Partisans on the general line of the River Drava, they were able to make their way to safety with Partisan guides.[citation needed] | These were transported across Slovenia, from where many were airlifted from <hl> Semič <hl> , while others made the longer overland trek down through Croatia for a boat passage to Bari in Italy. | The Partisans also assisted hundreds of Allied soldiers who succeeded in escaping from German POW camps (mostly in southern Austria) throughout the war, but especially from 1943–45. These were transported across Slovenia, from where many were airlifted from <hl> Semič <hl>, while others made the longer overland trek down through Croatia for a boat passage to Bari in Italy. In the spring of 1944, the British military mission in Slovenia reported that there was a "steady, slow trickle" of escapes from these camps. They were being assisted by local civilians, and on contacting Partisans on the general line of the River Drava, they were able to make their way to safety with Partisan guides.[citation needed] | The Partisans also assisted hundreds of Allied soldiers who succeeded in escaping from German POW camps (mostly in southern Austria) throughout the war, but especially from 1943–45. <hl> These were transported across Slovenia, from where many were airlifted from Semič , while others made the longer overland trek down through Croatia for a boat passage to Bari in Italy. <hl> In the spring of 1944, the British military mission in Slovenia reported that there was a "steady, slow trickle" of escapes from these camps. They were being assisted by local civilians, and on contacting Partisans on the general line of the River Drava, they were able to make their way to safety with Partisan guides.[citation needed] | 5d67b99e2b22cd4dfcfc00a3 |
group voting tickets | question: What was abolished by the legislation?, context: The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as informal, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers). | What was abolished by the legislation? | The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. | The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as informal, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers). | The changes abolished <hl> group voting tickets <hl> and introduced optional preferential voting, along with party logos on the ballot paper. | The changes abolished <hl> group voting tickets <hl> and introduced optional preferential voting, along with party logos on the ballot paper. The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as informal, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers). | <hl> The changes abolished group voting tickets and introduced optional preferential voting, along with party logos on the ballot paper. <hl> The ballot paper continues to have a box for each party above a heavy line, with each party's candidates in a column below that party's box below the solid line. Previously, a voter could either mark a single box above the line, which triggered the party's group voting ticket (a pre-assigned sequence of preferences), or place a number in every box below the line to assign their own preferences. As a result of the changes, voters may assign their preferences for parties above the line (numbering as many boxes as they wish), or individual candidates below the line, and are not required to fill all of the boxes. Both above and below the line voting are now optional preferential voting. For above the line, voters will be instructed to write at least their first six preferences, however, a "savings provision" will still count the ballot if less than six were given. As a result, fewer votes are expected to be classed as informal, however, more ballots will "exhaust" as a result (i.e. some votes are not counted towards electing any candidate). For below the line, voters will be required to write at least their first 12 preferences. Voters will be free to continue numbering as many preferences as they like beyond the minimum number specified. Another savings provision will allow ballot papers with at least 6 below the line preferences to be formal, catering for people who confuse the above and below the line instructions; an additional change to the savings provision will also accept below the line votes with a higher number of sequence errors than previously, treating the sequence as stopping at the first error (missed or repeated numbers). | 5d65d0ea2b22cd4dfcfbcdde |
omega 6 linoleic acid | question: What type of unsaturated fat may increase cardiovascular risk?, context: Total fat intake does not appear to be an important risk factor. A diet high in trans fatty acids, however, does appear to increase rates of cardiovascular disease. Worldwide, dietary guidelines recommend a reduction in saturated fat. However, there are some questions around the effect of saturated fat on cardiovascular disease in the medical literature. Reviews from 2014 and 2015 did not find evidence of harm from saturated fats. A 2012 Cochrane review found suggestive evidence of a small benefit from replacing dietary saturated fat by unsaturated fat. A 2013 meta analysis concludes that substitution with omega 6 linoleic acid (a type of unsaturated fat) may increase cardiovascular risk. Replacement of saturated fats with carbohydrates does not change or may increase risk. Benefits from replacement with polyunsaturated fat appears greatest; however, supplementation with omega-3 fatty acids (a type of polysaturated fat) does not appear to have an effect. | What type of unsaturated fat may increase cardiovascular risk? | A 2013 meta analysis concludes that substitution with omega 6 linoleic acid (a type of unsaturated fat) may increase cardiovascular risk. | Total fat intake does not appear to be an important risk factor. A diet high in trans fatty acids, however, does appear to increase rates of cardiovascular disease. Worldwide, dietary guidelines recommend a reduction in saturated fat. However, there are some questions around the effect of saturated fat on cardiovascular disease in the medical literature. Reviews from 2014 and 2015 did not find evidence of harm from saturated fats. A 2012 Cochrane review found suggestive evidence of a small benefit from replacing dietary saturated fat by unsaturated fat. A 2013 meta analysis concludes that substitution with omega 6 linoleic acid (a type of unsaturated fat) may increase cardiovascular risk. Replacement of saturated fats with carbohydrates does not change or may increase risk. Benefits from replacement with polyunsaturated fat appears greatest; however, supplementation with omega-3 fatty acids (a type of polysaturated fat) does not appear to have an effect. | A 2013 meta analysis concludes that substitution with <hl> omega 6 linoleic acid <hl> (a type of unsaturated fat) may increase cardiovascular risk. | Total fat intake does not appear to be an important risk factor. A diet high in trans fatty acids, however, does appear to increase rates of cardiovascular disease. Worldwide, dietary guidelines recommend a reduction in saturated fat. However, there are some questions around the effect of saturated fat on cardiovascular disease in the medical literature. Reviews from 2014 and 2015 did not find evidence of harm from saturated fats. A 2012 Cochrane review found suggestive evidence of a small benefit from replacing dietary saturated fat by unsaturated fat. A 2013 meta analysis concludes that substitution with <hl> omega 6 linoleic acid <hl> (a type of unsaturated fat) may increase cardiovascular risk. Replacement of saturated fats with carbohydrates does not change or may increase risk. Benefits from replacement with polyunsaturated fat appears greatest; however, supplementation with omega-3 fatty acids (a type of polysaturated fat) does not appear to have an effect. | Total fat intake does not appear to be an important risk factor. A diet high in trans fatty acids, however, does appear to increase rates of cardiovascular disease. Worldwide, dietary guidelines recommend a reduction in saturated fat. However, there are some questions around the effect of saturated fat on cardiovascular disease in the medical literature. Reviews from 2014 and 2015 did not find evidence of harm from saturated fats. A 2012 Cochrane review found suggestive evidence of a small benefit from replacing dietary saturated fat by unsaturated fat. <hl> A 2013 meta analysis concludes that substitution with omega 6 linoleic acid (a type of unsaturated fat) may increase cardiovascular risk. <hl> Replacement of saturated fats with carbohydrates does not change or may increase risk. Benefits from replacement with polyunsaturated fat appears greatest; however, supplementation with omega-3 fatty acids (a type of polysaturated fat) does not appear to have an effect. | 5d65c14e2b22cd4dfcfbcb88 |
2001 | question: In what year did Fresh Kills Landfill close?, context: The New York City Department of Sanitation is responsible for garbage removal. The bulk of the city's trash ultimately is disposed at mega-dumps in Pennsylvania, Virginia, South Carolina and Ohio (via transfer stations in New Jersey, Brooklyn and Queens) since the 2001 closure of the Fresh Kills Landfill on Staten Island. A small amount of trash processed at transfer sites in New Jersey is sometimes incinerated at waste-to-energy facilities. Like New York City, New Jersey and much of Greater New York relies on exporting its trash to far-flung areas. | In what year did Fresh Kills Landfill close? | The bulk of the city's trash ultimately is disposed at mega-dumps in Pennsylvania, Virginia, South Carolina and Ohio (via transfer stations in New Jersey, Brooklyn and Queens) since the 2001 closure of the Fresh Kills Landfill on Staten Island. | The New York City Department of Sanitation is responsible for garbage removal. The bulk of the city's trash ultimately is disposed at mega-dumps in Pennsylvania, Virginia, South Carolina and Ohio (via transfer stations in New Jersey, Brooklyn and Queens) since the 2001 closure of the Fresh Kills Landfill on Staten Island. A small amount of trash processed at transfer sites in New Jersey is sometimes incinerated at waste-to-energy facilities. Like New York City, New Jersey and much of Greater New York relies on exporting its trash to far-flung areas. | The bulk of the city's trash ultimately is disposed at mega-dumps in Pennsylvania, Virginia, South Carolina and Ohio (via transfer stations in New Jersey, Brooklyn and Queens) since the <hl> 2001 <hl> closure of the Fresh Kills Landfill on Staten Island. | The New York City Department of Sanitation is responsible for garbage removal. The bulk of the city's trash ultimately is disposed at mega-dumps in Pennsylvania, Virginia, South Carolina and Ohio (via transfer stations in New Jersey, Brooklyn and Queens) since the <hl> 2001 <hl> closure of the Fresh Kills Landfill on Staten Island. A small amount of trash processed at transfer sites in New Jersey is sometimes incinerated at waste-to-energy facilities. Like New York City, New Jersey and much of Greater New York relies on exporting its trash to far-flung areas. | The New York City Department of Sanitation is responsible for garbage removal. <hl> The bulk of the city's trash ultimately is disposed at mega-dumps in Pennsylvania, Virginia, South Carolina and Ohio (via transfer stations in New Jersey, Brooklyn and Queens) since the 2001 closure of the Fresh Kills Landfill on Staten Island. <hl> A small amount of trash processed at transfer sites in New Jersey is sometimes incinerated at waste-to-energy facilities. Like New York City, New Jersey and much of Greater New York relies on exporting its trash to far-flung areas. | 5d66f8052b22cd4dfcfbe830 |
the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance | question: What happens when a lipophilic or amphiphillic substance is dissolved in a polar environment?, context: A biological membrane is a form of lamellar phase lipid bilayer. The formation of lipid bilayers is an energetically preferred process when the glycerophospholipids described above are in an aqueous environment. This is known as the hydrophobic effect. In an aqueous system, the polar heads of lipids align towards the polar, aqueous environment, while the hydrophobic tails minimize their contact with water and tend to cluster together, forming a vesicle; depending on the concentration of the lipid, this biophysical interaction may result in the formation of micelles, liposomes, or lipid bilayers. Other aggregations are also observed and form part of the polymorphism of amphiphile (lipid) behavior. Phase behavior is an area of study within biophysics and is the subject of current academic research. Micelles and bilayers form in the polar medium by a process known as the hydrophobic effect. When dissolving a lipophilic or amphiphilic substance in a polar environment, the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance, since the polar molecules cannot form hydrogen bonds to the lipophilic areas of the amphiphile. So in an aqueous environment, the water molecules form an ordered "clathrate" cage around the dissolved lipophilic molecule. | What happens when a lipophilic or amphiphillic substance is dissolved in a polar environment? | When dissolving a lipophilic or amphiphilic substance in a polar environment, the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance , since the polar molecules cannot form hydrogen bonds to the lipophilic areas of the amphiphile. | A biological membrane is a form of lamellar phase lipid bilayer. The formation of lipid bilayers is an energetically preferred process when the glycerophospholipids described above are in an aqueous environment. This is known as the hydrophobic effect. In an aqueous system, the polar heads of lipids align towards the polar, aqueous environment, while the hydrophobic tails minimize their contact with water and tend to cluster together, forming a vesicle; depending on the concentration of the lipid, this biophysical interaction may result in the formation of micelles, liposomes, or lipid bilayers. Other aggregations are also observed and form part of the polymorphism of amphiphile (lipid) behavior. Phase behavior is an area of study within biophysics and is the subject of current academic research. Micelles and bilayers form in the polar medium by a process known as the hydrophobic effect. When dissolving a lipophilic or amphiphilic substance in a polar environment, the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance, since the polar molecules cannot form hydrogen bonds to the lipophilic areas of the amphiphile. So in an aqueous environment, the water molecules form an ordered "clathrate" cage around the dissolved lipophilic molecule. | When dissolving a lipophilic or amphiphilic substance in a polar environment, <hl> the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance <hl> , since the polar molecules cannot form hydrogen bonds to the lipophilic areas of the amphiphile. | A biological membrane is a form of lamellar phase lipid bilayer. The formation of lipid bilayers is an energetically preferred process when the glycerophospholipids described above are in an aqueous environment. This is known as the hydrophobic effect. In an aqueous system, the polar heads of lipids align towards the polar, aqueous environment, while the hydrophobic tails minimize their contact with water and tend to cluster together, forming a vesicle; depending on the concentration of the lipid, this biophysical interaction may result in the formation of micelles, liposomes, or lipid bilayers. Other aggregations are also observed and form part of the polymorphism of amphiphile (lipid) behavior. Phase behavior is an area of study within biophysics and is the subject of current academic research. Micelles and bilayers form in the polar medium by a process known as the hydrophobic effect. When dissolving a lipophilic or amphiphilic substance in a polar environment, <hl> the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance <hl>, since the polar molecules cannot form hydrogen bonds to the lipophilic areas of the amphiphile. So in an aqueous environment, the water molecules form an ordered "clathrate" cage around the dissolved lipophilic molecule. | A biological membrane is a form of lamellar phase lipid bilayer. The formation of lipid bilayers is an energetically preferred process when the glycerophospholipids described above are in an aqueous environment. This is known as the hydrophobic effect. In an aqueous system, the polar heads of lipids align towards the polar, aqueous environment, while the hydrophobic tails minimize their contact with water and tend to cluster together, forming a vesicle; depending on the concentration of the lipid, this biophysical interaction may result in the formation of micelles, liposomes, or lipid bilayers. Other aggregations are also observed and form part of the polymorphism of amphiphile (lipid) behavior. Phase behavior is an area of study within biophysics and is the subject of current academic research. Micelles and bilayers form in the polar medium by a process known as the hydrophobic effect. <hl> When dissolving a lipophilic or amphiphilic substance in a polar environment, the polar molecules (i.e., water in an aqueous solution) become more ordered around the dissolved lipophilic substance , since the polar molecules cannot form hydrogen bonds to the lipophilic areas of the amphiphile. <hl> So in an aqueous environment, the water molecules form an ordered "clathrate" cage around the dissolved lipophilic molecule. | 5d67473d2b22cd4dfcfbf4d1 |
legal obstacles to gender equality (e.g.., voting rights, property rights), | question: What did first wave feminism mainly focus on?, context: Whereas first-wave feminism focused mainly on suffrage and overturning legal obstacles to gender equality (e.g.., voting rights, property rights), second-wave feminism broadened the debate to a wide range of issues: sexuality, family, the workplace, reproductive rights, de facto inequalities, and official legal inequalities. Second-wave feminism also drew attention to domestic violence and marital rape issues, establishment of rape crisis and battered women's shelters, and changes in custody and divorce law. Its major effort was the attempted passage of the Equal Rights Amendment (ERA) to the United States Constitution, in which they were defeated by anti-feminists led by Phyllis Schlafly, who argued as an anti-ERA view that the ERA meant women would be drafted into the military. | What did first wave feminism mainly focus on? | Whereas first-wave feminism focused mainly on suffrage and overturning legal obstacles to gender equality (e.g.., voting rights, property rights), second-wave feminism broadened the debate to a wide range of issues: sexuality, family, the workplace, reproductive rights, de facto inequalities, and official legal inequalities. | Whereas first-wave feminism focused mainly on suffrage and overturning legal obstacles to gender equality (e.g.., voting rights, property rights), second-wave feminism broadened the debate to a wide range of issues: sexuality, family, the workplace, reproductive rights, de facto inequalities, and official legal inequalities. Second-wave feminism also drew attention to domestic violence and marital rape issues, establishment of rape crisis and battered women's shelters, and changes in custody and divorce law. Its major effort was the attempted passage of the Equal Rights Amendment (ERA) to the United States Constitution, in which they were defeated by anti-feminists led by Phyllis Schlafly, who argued as an anti-ERA view that the ERA meant women would be drafted into the military. | Whereas first-wave feminism focused mainly on suffrage and overturning <hl> legal obstacles to gender equality (e.g.., voting rights, property rights), <hl> second-wave feminism broadened the debate to a wide range of issues: sexuality, family, the workplace, reproductive rights, de facto inequalities, and official legal inequalities. | Whereas first-wave feminism focused mainly on suffrage and overturning <hl> legal obstacles to gender equality (e.g.., voting rights, property rights), <hl> second-wave feminism broadened the debate to a wide range of issues: sexuality, family, the workplace, reproductive rights, de facto inequalities, and official legal inequalities. Second-wave feminism also drew attention to domestic violence and marital rape issues, establishment of rape crisis and battered women's shelters, and changes in custody and divorce law. Its major effort was the attempted passage of the Equal Rights Amendment (ERA) to the United States Constitution, in which they were defeated by anti-feminists led by Phyllis Schlafly, who argued as an anti-ERA view that the ERA meant women would be drafted into the military. | <hl> Whereas first-wave feminism focused mainly on suffrage and overturning legal obstacles to gender equality (e.g.., voting rights, property rights), second-wave feminism broadened the debate to a wide range of issues: sexuality, family, the workplace, reproductive rights, de facto inequalities, and official legal inequalities. <hl> Second-wave feminism also drew attention to domestic violence and marital rape issues, establishment of rape crisis and battered women's shelters, and changes in custody and divorce law. Its major effort was the attempted passage of the Equal Rights Amendment (ERA) to the United States Constitution, in which they were defeated by anti-feminists led by Phyllis Schlafly, who argued as an anti-ERA view that the ERA meant women would be drafted into the military. | 5d670b4c2b22cd4dfcfbebd8 |
in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed | question: What group was formed in 1977?, 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 group was formed in 1977? | 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. | 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. | For example, <hl> in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed <hl> , the People's Liberation Army (PLA) was formed in 1978 which Human Rights Watch states as having received arms and training from China. | 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, <hl> in 1977 the People's Revolutionary Party of Kangleipak (PREPAK) was formed <hl>, 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. | 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. <hl> 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. | 5d6702d92b22cd4dfcfbea50 |
admit generalized signatures | question: Are there any other methods to allow infinite arities?, context: Infinitary logic generalizes first-order logic to allow formulas of infinite length. The most common way in which formulas can become infinite is through infinite conjunctions and disjunctions. However, it is also possible to admit generalized signatures in which function and relation symbols are allowed to have infinite arities, or in which quantifiers can bind infinitely many variables. Because an infinite formula cannot be represented by a finite string, it is necessary to choose some other representation of formulas; the usual representation in this context is a tree. Thus formulas are, essentially, identified with their parse trees, rather than with the strings being parsed. | Are there any other methods to allow infinite arities? | However, it is also possible to admit generalized signatures in which function and relation symbols are allowed to have infinite arities, or in which quantifiers can bind infinitely many variables. | Infinitary logic generalizes first-order logic to allow formulas of infinite length. The most common way in which formulas can become infinite is through infinite conjunctions and disjunctions. However, it is also possible to admit generalized signatures in which function and relation symbols are allowed to have infinite arities, or in which quantifiers can bind infinitely many variables. Because an infinite formula cannot be represented by a finite string, it is necessary to choose some other representation of formulas; the usual representation in this context is a tree. Thus formulas are, essentially, identified with their parse trees, rather than with the strings being parsed. | However, it is also possible to <hl> admit generalized signatures <hl> in which function and relation symbols are allowed to have infinite arities, or in which quantifiers can bind infinitely many variables. | Infinitary logic generalizes first-order logic to allow formulas of infinite length. The most common way in which formulas can become infinite is through infinite conjunctions and disjunctions. However, it is also possible to <hl> admit generalized signatures <hl> in which function and relation symbols are allowed to have infinite arities, or in which quantifiers can bind infinitely many variables. Because an infinite formula cannot be represented by a finite string, it is necessary to choose some other representation of formulas; the usual representation in this context is a tree. Thus formulas are, essentially, identified with their parse trees, rather than with the strings being parsed. | Infinitary logic generalizes first-order logic to allow formulas of infinite length. The most common way in which formulas can become infinite is through infinite conjunctions and disjunctions. <hl> However, it is also possible to admit generalized signatures in which function and relation symbols are allowed to have infinite arities, or in which quantifiers can bind infinitely many variables. <hl> Because an infinite formula cannot be represented by a finite string, it is necessary to choose some other representation of formulas; the usual representation in this context is a tree. Thus formulas are, essentially, identified with their parse trees, rather than with the strings being parsed. | 5d666de62b22cd4dfcfbdebe |
2007 | question: When did the court rule against Bush administration on the topic of carbon emission?, context: In 2006 then California Governor Arnold Schwarzenegger broke from Republican orthodoxy to sign several bills imposing caps on carbon emissions in California. George W. Bush, then U.S. President, opposed mandatory caps at a national level. Bush's decision not to regulate carbon dioxide as a pollutant was challenged in the supreme court by 12 states, with the court ruling against the Bush administration in 2007. Bush also publicly opposed ratification of the Kyoto Protocols which sought to limit greenhouse gas emissions and thereby combat climate change, a decision heavily criticized by climate scientists. | When did the court rule against Bush administration on the topic of carbon emission? | Bush's decision not to regulate carbon dioxide as a pollutant was challenged in the supreme court by 12 states, with the court ruling against the Bush administration in 2007 . | In 2006 then California Governor Arnold Schwarzenegger broke from Republican orthodoxy to sign several bills imposing caps on carbon emissions in California. George W. Bush, then U.S. President, opposed mandatory caps at a national level. Bush's decision not to regulate carbon dioxide as a pollutant was challenged in the supreme court by 12 states, with the court ruling against the Bush administration in 2007. Bush also publicly opposed ratification of the Kyoto Protocols which sought to limit greenhouse gas emissions and thereby combat climate change, a decision heavily criticized by climate scientists. | Bush's decision not to regulate carbon dioxide as a pollutant was challenged in the supreme court by 12 states, with the court ruling against the Bush administration in <hl> 2007 <hl> . | In 2006 then California Governor Arnold Schwarzenegger broke from Republican orthodoxy to sign several bills imposing caps on carbon emissions in California. George W. Bush, then U.S. President, opposed mandatory caps at a national level. Bush's decision not to regulate carbon dioxide as a pollutant was challenged in the supreme court by 12 states, with the court ruling against the Bush administration in <hl> 2007 <hl>. Bush also publicly opposed ratification of the Kyoto Protocols which sought to limit greenhouse gas emissions and thereby combat climate change, a decision heavily criticized by climate scientists. | In 2006 then California Governor Arnold Schwarzenegger broke from Republican orthodoxy to sign several bills imposing caps on carbon emissions in California. George W. Bush, then U.S. President, opposed mandatory caps at a national level. <hl> Bush's decision not to regulate carbon dioxide as a pollutant was challenged in the supreme court by 12 states, with the court ruling against the Bush administration in 2007 . <hl> Bush also publicly opposed ratification of the Kyoto Protocols which sought to limit greenhouse gas emissions and thereby combat climate change, a decision heavily criticized by climate scientists. | 5d6742e92b22cd4dfcfbf436 |
The set of free variables in a formula of Lκω | question: What can have any cardinality strictly less than k?, context: The set of free variables in a formula of Lκω can have any cardinality strictly less than κ, yet only finitely many of them can be in the scope of any quantifier when a formula appears as a subformula of another. In other infinitary logics, a subformula may be in the scope of infinitely many quantifiers. For example, in Lκ∞, a single universal or existential quantifier may bind arbitrarily many variables simultaneously. Similarly, the logic Lκλ permits simultaneous quantification over fewer than λ variables, as well as conjunctions and disjunctions of size less than κ. | What can have any cardinality strictly less than k? | The set of free variables in a formula of Lκω can have any cardinality strictly less than κ, yet only finitely many of them can be in the scope of any quantifier when a formula appears as a subformula of another. | The set of free variables in a formula of Lκω can have any cardinality strictly less than κ, yet only finitely many of them can be in the scope of any quantifier when a formula appears as a subformula of another. In other infinitary logics, a subformula may be in the scope of infinitely many quantifiers. For example, in Lκ∞, a single universal or existential quantifier may bind arbitrarily many variables simultaneously. Similarly, the logic Lκλ permits simultaneous quantification over fewer than λ variables, as well as conjunctions and disjunctions of size less than κ. | <hl> The set of free variables in a formula of Lκω <hl> can have any cardinality strictly less than κ, yet only finitely many of them can be in the scope of any quantifier when a formula appears as a subformula of another. | <hl> The set of free variables in a formula of Lκω <hl> can have any cardinality strictly less than κ, yet only finitely many of them can be in the scope of any quantifier when a formula appears as a subformula of another. In other infinitary logics, a subformula may be in the scope of infinitely many quantifiers. For example, in Lκ∞, a single universal or existential quantifier may bind arbitrarily many variables simultaneously. Similarly, the logic Lκλ permits simultaneous quantification over fewer than λ variables, as well as conjunctions and disjunctions of size less than κ. | <hl> The set of free variables in a formula of Lκω can have any cardinality strictly less than κ, yet only finitely many of them can be in the scope of any quantifier when a formula appears as a subformula of another. <hl> In other infinitary logics, a subformula may be in the scope of infinitely many quantifiers. For example, in Lκ∞, a single universal or existential quantifier may bind arbitrarily many variables simultaneously. Similarly, the logic Lκλ permits simultaneous quantification over fewer than λ variables, as well as conjunctions and disjunctions of size less than κ. | 5d6670372b22cd4dfcfbdefc |
B– | question: What grade did Robert G. Heft originally receive for his design project?, context: Of these proposals, one created by 17-year-old Robert G. Heft in 1958 as a school project received the most publicity. His mother was a seamstress, but refused to do any of the work for him. He originally received a B– for the project. After discussing the grade with his teacher, it was agreed (somewhat jokingly) that if the flag was accepted by Congress, the grade would be reconsidered. Heft's flag design was chosen and adopted by presidential proclamation after Alaska and before Hawaii was admitted into the Union in 1959. According to Heft, his teacher did keep to their agreement and changed his grade to an A for the project. Both the 49- and 50-star flags were each flown for the first time ever at Fort McHenry on Independence Day one year apart, 1959 and 1960 respectively. | What grade did Robert G. Heft originally receive for his design project? | He originally received a B– for the project. | Of these proposals, one created by 17-year-old Robert G. Heft in 1958 as a school project received the most publicity. His mother was a seamstress, but refused to do any of the work for him. He originally received a B– for the project. After discussing the grade with his teacher, it was agreed (somewhat jokingly) that if the flag was accepted by Congress, the grade would be reconsidered. Heft's flag design was chosen and adopted by presidential proclamation after Alaska and before Hawaii was admitted into the Union in 1959. According to Heft, his teacher did keep to their agreement and changed his grade to an A for the project. Both the 49- and 50-star flags were each flown for the first time ever at Fort McHenry on Independence Day one year apart, 1959 and 1960 respectively. | He originally received a <hl> B– <hl> for the project. | Of these proposals, one created by 17-year-old Robert G. Heft in 1958 as a school project received the most publicity. His mother was a seamstress, but refused to do any of the work for him. He originally received a <hl> B– <hl> for the project. After discussing the grade with his teacher, it was agreed (somewhat jokingly) that if the flag was accepted by Congress, the grade would be reconsidered. Heft's flag design was chosen and adopted by presidential proclamation after Alaska and before Hawaii was admitted into the Union in 1959. According to Heft, his teacher did keep to their agreement and changed his grade to an A for the project. Both the 49- and 50-star flags were each flown for the first time ever at Fort McHenry on Independence Day one year apart, 1959 and 1960 respectively. | Of these proposals, one created by 17-year-old Robert G. Heft in 1958 as a school project received the most publicity. His mother was a seamstress, but refused to do any of the work for him. <hl> He originally received a B– for the project. <hl> After discussing the grade with his teacher, it was agreed (somewhat jokingly) that if the flag was accepted by Congress, the grade would be reconsidered. Heft's flag design was chosen and adopted by presidential proclamation after Alaska and before Hawaii was admitted into the Union in 1959. According to Heft, his teacher did keep to their agreement and changed his grade to an A for the project. Both the 49- and 50-star flags were each flown for the first time ever at Fort McHenry on Independence Day one year apart, 1959 and 1960 respectively. | 5d6677992b22cd4dfcfbe01e |
Paul Ryan | question: Which Republican nominee was not from Massachusetts?, context: In the Presidential election of 2012, the Republican nominees were former Governor Mitt Romney of Massachusetts for President, and Representative Paul Ryan of Wisconsin for Vice President. The Democrats nominated incumbents Barack Obama and Joe Biden. The campaign focused largely on the Affordable Care Act and President Obama's stewardship of the economy, with the country facing high unemployment numbers and a rising national debt four years after his first election. Romney and Ryan were defeated by Obama and Biden. In addition, in the November congressional elections, while Republicans lost 7 seats in the House, they retained control. However, Republicans were not able to gain control of the Senate, continuing their minority status with a net loss of 2 seats. | Which Republican nominee was not from Massachusetts? | In the Presidential election of 2012, the Republican nominees were former Governor Mitt Romney of Massachusetts for President, and Representative Paul Ryan of Wisconsin for Vice President. | In the Presidential election of 2012, the Republican nominees were former Governor Mitt Romney of Massachusetts for President, and Representative Paul Ryan of Wisconsin for Vice President. The Democrats nominated incumbents Barack Obama and Joe Biden. The campaign focused largely on the Affordable Care Act and President Obama's stewardship of the economy, with the country facing high unemployment numbers and a rising national debt four years after his first election. Romney and Ryan were defeated by Obama and Biden. In addition, in the November congressional elections, while Republicans lost 7 seats in the House, they retained control. However, Republicans were not able to gain control of the Senate, continuing their minority status with a net loss of 2 seats. | In the Presidential election of 2012, the Republican nominees were former Governor Mitt Romney of Massachusetts for President, and Representative <hl> Paul Ryan <hl> of Wisconsin for Vice President. | In the Presidential election of 2012, the Republican nominees were former Governor Mitt Romney of Massachusetts for President, and Representative <hl> Paul Ryan <hl> of Wisconsin for Vice President. The Democrats nominated incumbents Barack Obama and Joe Biden. The campaign focused largely on the Affordable Care Act and President Obama's stewardship of the economy, with the country facing high unemployment numbers and a rising national debt four years after his first election. Romney and Ryan were defeated by Obama and Biden. In addition, in the November congressional elections, while Republicans lost 7 seats in the House, they retained control. However, Republicans were not able to gain control of the Senate, continuing their minority status with a net loss of 2 seats. | <hl> In the Presidential election of 2012, the Republican nominees were former Governor Mitt Romney of Massachusetts for President, and Representative Paul Ryan of Wisconsin for Vice President. <hl> The Democrats nominated incumbents Barack Obama and Joe Biden. The campaign focused largely on the Affordable Care Act and President Obama's stewardship of the economy, with the country facing high unemployment numbers and a rising national debt four years after his first election. Romney and Ryan were defeated by Obama and Biden. In addition, in the November congressional elections, while Republicans lost 7 seats in the House, they retained control. However, Republicans were not able to gain control of the Senate, continuing their minority status with a net loss of 2 seats. | 5d6733bb2b22cd4dfcfbf270 |
Slovenian National Liberation Council | question: What was the Liberation Front Plenum later renamed to as?, context: Representatives of all political groups in Liberation Front participated in Supreme Plenum of Liberation Front, which led the resistance efforts in Slovenia. Supreme Plenum was active until 3 October 1943 when, at the Assembly of the Slovenian Nation's Delegates in Kočevje, the 120-member Liberation Front Plenum was elected as the supreme body of the Slovenian Liberation Front. The plenum also functioned as Slovenian National Liberation Committee, the supreme authority in Slovenia. Some historians consider the Kočevje Assembly to be the first Slovene elected parliament and Slovene Partisans as its representatives also participated on 2nd session of the AVNOJ and were instrumental in adding the self-determination clause to the resolution on the establishment of a new federal Yugoslavia. The Liberation Front Plenum was renamed the Slovenian National Liberation Council at the conference in Črnomelj on 19 February 1944 and transformed into the Slovenian parliament.[citation needed] | What was the Liberation Front Plenum later renamed to as? | The Liberation Front Plenum was renamed the Slovenian National Liberation Council at the conference in Črnomelj on 19 February 1944 and transformed into the Slovenian parliament.[citation needed] | Representatives of all political groups in Liberation Front participated in Supreme Plenum of Liberation Front, which led the resistance efforts in Slovenia. Supreme Plenum was active until 3 October 1943 when, at the Assembly of the Slovenian Nation's Delegates in Kočevje, the 120-member Liberation Front Plenum was elected as the supreme body of the Slovenian Liberation Front. The plenum also functioned as Slovenian National Liberation Committee, the supreme authority in Slovenia. Some historians consider the Kočevje Assembly to be the first Slovene elected parliament and Slovene Partisans as its representatives also participated on 2nd session of the AVNOJ and were instrumental in adding the self-determination clause to the resolution on the establishment of a new federal Yugoslavia. The Liberation Front Plenum was renamed the Slovenian National Liberation Council at the conference in Črnomelj on 19 February 1944 and transformed into the Slovenian parliament.[citation needed] | The Liberation Front Plenum was renamed the <hl> Slovenian National Liberation Council <hl> at the conference in Črnomelj on 19 February 1944 and transformed into the Slovenian parliament.[citation needed] | Representatives of all political groups in Liberation Front participated in Supreme Plenum of Liberation Front, which led the resistance efforts in Slovenia. Supreme Plenum was active until 3 October 1943 when, at the Assembly of the Slovenian Nation's Delegates in Kočevje, the 120-member Liberation Front Plenum was elected as the supreme body of the Slovenian Liberation Front. The plenum also functioned as Slovenian National Liberation Committee, the supreme authority in Slovenia. Some historians consider the Kočevje Assembly to be the first Slovene elected parliament and Slovene Partisans as its representatives also participated on 2nd session of the AVNOJ and were instrumental in adding the self-determination clause to the resolution on the establishment of a new federal Yugoslavia. The Liberation Front Plenum was renamed the <hl> Slovenian National Liberation Council <hl> at the conference in Črnomelj on 19 February 1944 and transformed into the Slovenian parliament.[citation needed] | Representatives of all political groups in Liberation Front participated in Supreme Plenum of Liberation Front, which led the resistance efforts in Slovenia. Supreme Plenum was active until 3 October 1943 when, at the Assembly of the Slovenian Nation's Delegates in Kočevje, the 120-member Liberation Front Plenum was elected as the supreme body of the Slovenian Liberation Front. The plenum also functioned as Slovenian National Liberation Committee, the supreme authority in Slovenia. Some historians consider the Kočevje Assembly to be the first Slovene elected parliament and Slovene Partisans as its representatives also participated on 2nd session of the AVNOJ and were instrumental in adding the self-determination clause to the resolution on the establishment of a new federal Yugoslavia. <hl> The Liberation Front Plenum was renamed the Slovenian National Liberation Council at the conference in Črnomelj on 19 February 1944 and transformed into the Slovenian parliament.[citation needed] <hl> | 5d6796672b22cd4dfcfbfe98 |
a postmodern movement called deconstructivism | question: What did Derrida's philosophy inspire?, context: One of the most well-known postmodernist concerns is "deconstruction," a theory for philosophy, literary criticism, and textual analysis developed by Jacques Derrida. The notion of a "deconstructive" approach implies an analysis that questions the already evident understanding of a text in terms of presuppositions, ideological underpinnings, hierarchical values, and frames of reference. A deconstructive approach further depends on the techniques of close reading without reference to cultural, ideological, moral opinions or information derived from an authority over the text such as the author. At the same time Derrida famously writes: "Il n'y a pas d'hors-texte (there is no such thing as outside-of-the-text)." Derrida implies that the world follows the grammar of a text undergoing its own deconstruction. Derrida's method frequently involves recognizing and spelling out the different, yet similar interpretations of the meaning of a given text and the problematic implications of binary oppositions within the meaning of a text. Derrida's philosophy inspired a postmodern movement called deconstructivism among architects, characterized by the intentional fragmentation, distortion, and dislocation of architectural elements in designing a building. Derrida discontinued his involvement with the movement after the publication of his collaborative project with architect Peter Eisenmann in Chora L Works: Jacques Derrida and Peter Eisenman. | What did Derrida's philosophy inspire? | Derrida's philosophy inspired a postmodern movement called deconstructivism among architects, characterized by the intentional fragmentation, distortion, and dislocation of architectural elements in designing a building. | One of the most well-known postmodernist concerns is "deconstruction," a theory for philosophy, literary criticism, and textual analysis developed by Jacques Derrida. The notion of a "deconstructive" approach implies an analysis that questions the already evident understanding of a text in terms of presuppositions, ideological underpinnings, hierarchical values, and frames of reference. A deconstructive approach further depends on the techniques of close reading without reference to cultural, ideological, moral opinions or information derived from an authority over the text such as the author. At the same time Derrida famously writes: "Il n'y a pas d'hors-texte (there is no such thing as outside-of-the-text)." Derrida implies that the world follows the grammar of a text undergoing its own deconstruction. Derrida's method frequently involves recognizing and spelling out the different, yet similar interpretations of the meaning of a given text and the problematic implications of binary oppositions within the meaning of a text. Derrida's philosophy inspired a postmodern movement called deconstructivism among architects, characterized by the intentional fragmentation, distortion, and dislocation of architectural elements in designing a building. Derrida discontinued his involvement with the movement after the publication of his collaborative project with architect Peter Eisenmann in Chora L Works: Jacques Derrida and Peter Eisenman. | Derrida's philosophy inspired <hl> a postmodern movement called deconstructivism <hl> among architects, characterized by the intentional fragmentation, distortion, and dislocation of architectural elements in designing a building. | One of the most well-known postmodernist concerns is "deconstruction," a theory for philosophy, literary criticism, and textual analysis developed by Jacques Derrida. The notion of a "deconstructive" approach implies an analysis that questions the already evident understanding of a text in terms of presuppositions, ideological underpinnings, hierarchical values, and frames of reference. A deconstructive approach further depends on the techniques of close reading without reference to cultural, ideological, moral opinions or information derived from an authority over the text such as the author. At the same time Derrida famously writes: "Il n'y a pas d'hors-texte (there is no such thing as outside-of-the-text)." Derrida implies that the world follows the grammar of a text undergoing its own deconstruction. Derrida's method frequently involves recognizing and spelling out the different, yet similar interpretations of the meaning of a given text and the problematic implications of binary oppositions within the meaning of a text. Derrida's philosophy inspired <hl> a postmodern movement called deconstructivism <hl> among architects, characterized by the intentional fragmentation, distortion, and dislocation of architectural elements in designing a building. Derrida discontinued his involvement with the movement after the publication of his collaborative project with architect Peter Eisenmann in Chora L Works: Jacques Derrida and Peter Eisenman. | One of the most well-known postmodernist concerns is "deconstruction," a theory for philosophy, literary criticism, and textual analysis developed by Jacques Derrida. The notion of a "deconstructive" approach implies an analysis that questions the already evident understanding of a text in terms of presuppositions, ideological underpinnings, hierarchical values, and frames of reference. A deconstructive approach further depends on the techniques of close reading without reference to cultural, ideological, moral opinions or information derived from an authority over the text such as the author. At the same time Derrida famously writes: "Il n'y a pas d'hors-texte (there is no such thing as outside-of-the-text)." Derrida implies that the world follows the grammar of a text undergoing its own deconstruction. Derrida's method frequently involves recognizing and spelling out the different, yet similar interpretations of the meaning of a given text and the problematic implications of binary oppositions within the meaning of a text. <hl> Derrida's philosophy inspired a postmodern movement called deconstructivism among architects, characterized by the intentional fragmentation, distortion, and dislocation of architectural elements in designing a building. <hl> Derrida discontinued his involvement with the movement after the publication of his collaborative project with architect Peter Eisenmann in Chora L Works: Jacques Derrida and Peter Eisenman. | 5d6727332b22cd4dfcfbf103 |
1840 | question: When did government mail service begin in the Ottoman Empire?, context: The Ottoman Ministry of Post and Telegraph was established in 1840 and the first post office, the Imperial Post Office, opened near the courtyard of Yeni Mosque. By 1876, the first international mailing network between Istanbul and the lands beyond the Ottoman Empire had been established. Sultan Abdülmecid I issued Samuel Morse his first official honor for the telegraph in 1847, and construction of the first telegraph line—between Istanbul and Edirne—finished in time to announce the end of the Crimean War in 1856. A nascent telephone system began to emerge in Istanbul in 1881 and after the first manual telephone exchange became operational in Istanbul in 1909, the Ministry of Post and Telegraph became the Ministry of Post, Telegraph, and Telephone. GSM cellular networks arrived in Turkey in 1994, with Istanbul among the first cities to receive the service. Today, mobile and landline service is provided by private companies, after Türk Telekom, which split from the Ministry of Post, Telegraph, and Telephone in 1995, was privatized in 2005. Postal services remain under the purview of what is now the Post and Telegraph Organization (retaining the acronym PTT). | When did government mail service begin in the Ottoman Empire? | The Ottoman Ministry of Post and Telegraph was established in 1840 and the first post office, the Imperial Post Office, opened near the courtyard of Yeni Mosque. | The Ottoman Ministry of Post and Telegraph was established in 1840 and the first post office, the Imperial Post Office, opened near the courtyard of Yeni Mosque. By 1876, the first international mailing network between Istanbul and the lands beyond the Ottoman Empire had been established. Sultan Abdülmecid I issued Samuel Morse his first official honor for the telegraph in 1847, and construction of the first telegraph line—between Istanbul and Edirne—finished in time to announce the end of the Crimean War in 1856. A nascent telephone system began to emerge in Istanbul in 1881 and after the first manual telephone exchange became operational in Istanbul in 1909, the Ministry of Post and Telegraph became the Ministry of Post, Telegraph, and Telephone. GSM cellular networks arrived in Turkey in 1994, with Istanbul among the first cities to receive the service. Today, mobile and landline service is provided by private companies, after Türk Telekom, which split from the Ministry of Post, Telegraph, and Telephone in 1995, was privatized in 2005. Postal services remain under the purview of what is now the Post and Telegraph Organization (retaining the acronym PTT). | The Ottoman Ministry of Post and Telegraph was established in <hl> 1840 <hl> and the first post office, the Imperial Post Office, opened near the courtyard of Yeni Mosque. | The Ottoman Ministry of Post and Telegraph was established in <hl> 1840 <hl> and the first post office, the Imperial Post Office, opened near the courtyard of Yeni Mosque. By 1876, the first international mailing network between Istanbul and the lands beyond the Ottoman Empire had been established. Sultan Abdülmecid I issued Samuel Morse his first official honor for the telegraph in 1847, and construction of the first telegraph line—between Istanbul and Edirne—finished in time to announce the end of the Crimean War in 1856. A nascent telephone system began to emerge in Istanbul in 1881 and after the first manual telephone exchange became operational in Istanbul in 1909, the Ministry of Post and Telegraph became the Ministry of Post, Telegraph, and Telephone. GSM cellular networks arrived in Turkey in 1994, with Istanbul among the first cities to receive the service. Today, mobile and landline service is provided by private companies, after Türk Telekom, which split from the Ministry of Post, Telegraph, and Telephone in 1995, was privatized in 2005. Postal services remain under the purview of what is now the Post and Telegraph Organization (retaining the acronym PTT). | <hl> The Ottoman Ministry of Post and Telegraph was established in 1840 and the first post office, the Imperial Post Office, opened near the courtyard of Yeni Mosque. <hl> By 1876, the first international mailing network between Istanbul and the lands beyond the Ottoman Empire had been established. Sultan Abdülmecid I issued Samuel Morse his first official honor for the telegraph in 1847, and construction of the first telegraph line—between Istanbul and Edirne—finished in time to announce the end of the Crimean War in 1856. A nascent telephone system began to emerge in Istanbul in 1881 and after the first manual telephone exchange became operational in Istanbul in 1909, the Ministry of Post and Telegraph became the Ministry of Post, Telegraph, and Telephone. GSM cellular networks arrived in Turkey in 1994, with Istanbul among the first cities to receive the service. Today, mobile and landline service is provided by private companies, after Türk Telekom, which split from the Ministry of Post, Telegraph, and Telephone in 1995, was privatized in 2005. Postal services remain under the purview of what is now the Post and Telegraph Organization (retaining the acronym PTT). | 5d65fa322b22cd4dfcfbd4ac |
the member states | question: What of the United States does not possess international legal sovereignty?, context: While state governments within the United States may enact their own laws and prosecute crimes pursuant thereto, they are not sovereign in the Westphalian sense in international law which says that each State has sovereignty over its territory and domestic affairs, to the exclusion of all external powers, on the principle of non-interference in another State's domestic affairs, and that each State (no matter how large or small) is equal in international law. Additionally, the member states of the United States do not possess international legal sovereignty, meaning that they are not recognized by other sovereign States such as, for example, France, Germany or the United Kingdom, nor do they possess full interdependence sovereignty, meaning that they cannot control movement of persons across state borders. | What of the United States does not possess international legal sovereignty? | Additionally, the member states of the United States do not possess international legal sovereignty, meaning that they are not recognized by other sovereign States such as, for example, France, Germany or the United Kingdom, nor do they possess full interdependence sovereignty, meaning that they cannot control movement of persons across state borders. | While state governments within the United States may enact their own laws and prosecute crimes pursuant thereto, they are not sovereign in the Westphalian sense in international law which says that each State has sovereignty over its territory and domestic affairs, to the exclusion of all external powers, on the principle of non-interference in another State's domestic affairs, and that each State (no matter how large or small) is equal in international law. Additionally, the member states of the United States do not possess international legal sovereignty, meaning that they are not recognized by other sovereign States such as, for example, France, Germany or the United Kingdom, nor do they possess full interdependence sovereignty, meaning that they cannot control movement of persons across state borders. | Additionally, <hl> the member states <hl> of the United States do not possess international legal sovereignty, meaning that they are not recognized by other sovereign States such as, for example, France, Germany or the United Kingdom, nor do they possess full interdependence sovereignty, meaning that they cannot control movement of persons across state borders. | While state governments within the United States may enact their own laws and prosecute crimes pursuant thereto, they are not sovereign in the Westphalian sense in international law which says that each State has sovereignty over its territory and domestic affairs, to the exclusion of all external powers, on the principle of non-interference in another State's domestic affairs, and that each State (no matter how large or small) is equal in international law. Additionally, <hl> the member states <hl> of the United States do not possess international legal sovereignty, meaning that they are not recognized by other sovereign States such as, for example, France, Germany or the United Kingdom, nor do they possess full interdependence sovereignty, meaning that they cannot control movement of persons across state borders. | While state governments within the United States may enact their own laws and prosecute crimes pursuant thereto, they are not sovereign in the Westphalian sense in international law which says that each State has sovereignty over its territory and domestic affairs, to the exclusion of all external powers, on the principle of non-interference in another State's domestic affairs, and that each State (no matter how large or small) is equal in international law. <hl> Additionally, the member states of the United States do not possess international legal sovereignty, meaning that they are not recognized by other sovereign States such as, for example, France, Germany or the United Kingdom, nor do they possess full interdependence sovereignty, meaning that they cannot control movement of persons across state borders. <hl> | 5d6770a22b22cd4dfcfbfbcb |
a thin metal plate | question: What type of plate is used in producing the relief image?, context: Various modelling techniques are used, such repoussé ("pushed-back") in metalwork, where a thin metal plate is shaped from behind using various metal or wood punches, producing a relief image. Casting has also been widely used in bronze and other metals. Casting and repoussé are often used in concert in to speed up production and add greater detail to the final relief. In stone, as well as engraved gems, larger hardstone carvings in semi-precious stones have been highly prestigious since ancient times in many Eurasian cultures. Reliefs in wax were produced at least from the Renaissance. | What type of plate is used in producing the relief image? | Various modelling techniques are used, such repoussé ("pushed-back") in metalwork, where a thin metal plate is shaped from behind using various metal or wood punches, producing a relief image. | Various modelling techniques are used, such repoussé ("pushed-back") in metalwork, where a thin metal plate is shaped from behind using various metal or wood punches, producing a relief image. Casting has also been widely used in bronze and other metals. Casting and repoussé are often used in concert in to speed up production and add greater detail to the final relief. In stone, as well as engraved gems, larger hardstone carvings in semi-precious stones have been highly prestigious since ancient times in many Eurasian cultures. Reliefs in wax were produced at least from the Renaissance. | Various modelling techniques are used, such repoussé ("pushed-back") in metalwork, where <hl> a thin metal plate <hl> is shaped from behind using various metal or wood punches, producing a relief image. | Various modelling techniques are used, such repoussé ("pushed-back") in metalwork, where <hl> a thin metal plate <hl> is shaped from behind using various metal or wood punches, producing a relief image. Casting has also been widely used in bronze and other metals. Casting and repoussé are often used in concert in to speed up production and add greater detail to the final relief. In stone, as well as engraved gems, larger hardstone carvings in semi-precious stones have been highly prestigious since ancient times in many Eurasian cultures. Reliefs in wax were produced at least from the Renaissance. | <hl> Various modelling techniques are used, such repoussé ("pushed-back") in metalwork, where a thin metal plate is shaped from behind using various metal or wood punches, producing a relief image. <hl> Casting has also been widely used in bronze and other metals. Casting and repoussé are often used in concert in to speed up production and add greater detail to the final relief. In stone, as well as engraved gems, larger hardstone carvings in semi-precious stones have been highly prestigious since ancient times in many Eurasian cultures. Reliefs in wax were produced at least from the Renaissance. | 5d6821192b22cd4dfcfc05da |
On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. | question: What treaty was signed?, context: During the British Raj, the Kingdom of Manipur was one of the princely states.[page needed] Between 1917 and 1939, the people of Manipur pressed for their rights against the British Rule. By the late 1930s, the princely state of Manipur negotiated with the British administration its preference to be part of India, rather than Burma.[page needed] These negotiations were cut short with the outbreak of World War II. On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. This merger is disputed by groups in Manipur as having been completed without consensus and under duress. | What treaty was signed? | On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. This merger is disputed by groups in Manipur as having been completed without consensus and under duress. | During the British Raj, the Kingdom of Manipur was one of the princely states.[page needed] Between 1917 and 1939, the people of Manipur pressed for their rights against the British Rule. By the late 1930s, the princely state of Manipur negotiated with the British administration its preference to be part of India, rather than Burma.[page needed] These negotiations were cut short with the outbreak of World War II. On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. This merger is disputed by groups in Manipur as having been completed without consensus and under duress. | <hl> On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. <hl> This merger is disputed by groups in Manipur as having been completed without consensus and under duress. | During the British Raj, the Kingdom of Manipur was one of the princely states.[page needed] Between 1917 and 1939, the people of Manipur pressed for their rights against the British Rule. By the late 1930s, the princely state of Manipur negotiated with the British administration its preference to be part of India, rather than Burma.[page needed] These negotiations were cut short with the outbreak of World War II. <hl> On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. <hl> This merger is disputed by groups in Manipur as having been completed without consensus and under duress. | During the British Raj, the Kingdom of Manipur was one of the princely states.[page needed] Between 1917 and 1939, the people of Manipur pressed for their rights against the British Rule. By the late 1930s, the princely state of Manipur negotiated with the British administration its preference to be part of India, rather than Burma.[page needed] These negotiations were cut short with the outbreak of World War II. <hl> On 21 September 1949, Maharaja Budhachandra signed a Treaty of Accession merging the kingdom into India. This merger is disputed by groups in Manipur as having been completed without consensus and under duress. <hl> | 5d6701852b22cd4dfcfbea0b |
lemmas | question: How are the results often formalized by these proof verifiers?, context: Some proof verifiers, such as Metamath, insist on having a complete derivation as input. Others, such as Mizar and Isabelle, take a well-formatted proof sketch (which may still be very long and detailed) and fill in the missing pieces by doing simple proof searches or applying known decision procedures: the resulting derivation is then verified by a small, core "kernel". Many such systems are primarily intended for interactive use by human mathematicians: these are known as proof assistants. They may also use formal logics that are stronger than first-order logic, such as type theory. Because a full derivation of any nontrivial result in a first-order deductive system will be extremely long for a human to write, results are often formalized as a series of lemmas, for which derivations can be constructed separately. | How are the results often formalized by these proof verifiers? | Because a full derivation of any nontrivial result in a first-order deductive system will be extremely long for a human to write, results are often formalized as a series of lemmas , for which derivations can be constructed separately. | Some proof verifiers, such as Metamath, insist on having a complete derivation as input. Others, such as Mizar and Isabelle, take a well-formatted proof sketch (which may still be very long and detailed) and fill in the missing pieces by doing simple proof searches or applying known decision procedures: the resulting derivation is then verified by a small, core "kernel". Many such systems are primarily intended for interactive use by human mathematicians: these are known as proof assistants. They may also use formal logics that are stronger than first-order logic, such as type theory. Because a full derivation of any nontrivial result in a first-order deductive system will be extremely long for a human to write, results are often formalized as a series of lemmas, for which derivations can be constructed separately. | Because a full derivation of any nontrivial result in a first-order deductive system will be extremely long for a human to write, results are often formalized as a series of <hl> lemmas <hl> , for which derivations can be constructed separately. | Some proof verifiers, such as Metamath, insist on having a complete derivation as input. Others, such as Mizar and Isabelle, take a well-formatted proof sketch (which may still be very long and detailed) and fill in the missing pieces by doing simple proof searches or applying known decision procedures: the resulting derivation is then verified by a small, core "kernel". Many such systems are primarily intended for interactive use by human mathematicians: these are known as proof assistants. They may also use formal logics that are stronger than first-order logic, such as type theory. Because a full derivation of any nontrivial result in a first-order deductive system will be extremely long for a human to write, results are often formalized as a series of <hl> lemmas <hl>, for which derivations can be constructed separately. | Some proof verifiers, such as Metamath, insist on having a complete derivation as input. Others, such as Mizar and Isabelle, take a well-formatted proof sketch (which may still be very long and detailed) and fill in the missing pieces by doing simple proof searches or applying known decision procedures: the resulting derivation is then verified by a small, core "kernel". Many such systems are primarily intended for interactive use by human mathematicians: these are known as proof assistants. They may also use formal logics that are stronger than first-order logic, such as type theory. <hl> Because a full derivation of any nontrivial result in a first-order deductive system will be extremely long for a human to write, results are often formalized as a series of lemmas , for which derivations can be constructed separately. <hl> | 5d6675db2b22cd4dfcfbdfda |
in Istanbul's Church of St. George | question: Where has the Patriarchate been based?, 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 has the Patriarchate been based? | Since 1601, the Patriarchate has been based in Istanbul's Church of St. George . | 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. | Since 1601, the Patriarchate has been based <hl> in Istanbul's Church of St. George <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 <hl> in Istanbul's Church of St. George <hl>. 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 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. <hl> Since 1601, the Patriarchate has been based in Istanbul's Church of St. George . <hl> 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. | 5d66f0572b22cd4dfcfbe65f |
de-Stalinisation | question: What was the policy that was a big change, dismantling Gulags and reforming the USSR called?, context: With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. Gulag forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | What was the policy that was a big change, dismantling Gulags and reforming the USSR called? | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. Gulag forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of <hl> de-Stalinisation <hl> of the Communist Party and the country, condemning Stalin for excesses and tyranny. | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of <hl> de-Stalinisation <hl> of the Communist Party and the country, condemning Stalin for excesses and tyranny. Gulag forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | <hl> With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. <hl> Gulag forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | 5d66f8432b22cd4dfcfbe855 |
The Commission on Social Determinants of Health | question: Who recommends more equal distribution to fight heart disease?, context: Cardiovascular disease affects low- and middle-income countries even more than high-income countries. There is relatively little information regarding social patterns of cardiovascular disease within low- and middle-income countries, but within high-income countries low income and low educational status are consistently associated with greater risk of cardiovascular disease. Policies that have resulted in increased socio-economic inequalities have been associated with greater subsequent socio-economic differences in cardiovascular disease implying a cause and effect relationship. Psychosocial factors, environmental exposures, health behaviours, and health-care access and quality contribute to socio-economic differentials in cardiovascular disease.
The Commission on Social Determinants of Health recommended that more equal distributions of power, wealth, education, housing, environmental factors, nutrition, and health care were needed to address inequalities in cardiovascular disease and non-communicable diseases. | Who recommends more equal distribution to fight heart disease? |
The Commission on Social Determinants of Health recommended that more equal distributions of power, wealth, education, housing, environmental factors, nutrition, and health care were needed to address inequalities in cardiovascular disease and non-communicable diseases. | Cardiovascular disease affects low- and middle-income countries even more than high-income countries. There is relatively little information regarding social patterns of cardiovascular disease within low- and middle-income countries, but within high-income countries low income and low educational status are consistently associated with greater risk of cardiovascular disease. Policies that have resulted in increased socio-economic inequalities have been associated with greater subsequent socio-economic differences in cardiovascular disease implying a cause and effect relationship. Psychosocial factors, environmental exposures, health behaviours, and health-care access and quality contribute to socio-economic differentials in cardiovascular disease.
The Commission on Social Determinants of Health recommended that more equal distributions of power, wealth, education, housing, environmental factors, nutrition, and health care were needed to address inequalities in cardiovascular disease and non-communicable diseases. | <hl> The Commission on Social Determinants of Health <hl> recommended that more equal distributions of power, wealth, education, housing, environmental factors, nutrition, and health care were needed to address inequalities in cardiovascular disease and non-communicable diseases. | Cardiovascular disease affects low- and middle-income countries even more than high-income countries. There is relatively little information regarding social patterns of cardiovascular disease within low- and middle-income countries, but within high-income countries low income and low educational status are consistently associated with greater risk of cardiovascular disease. Policies that have resulted in increased socio-economic inequalities have been associated with greater subsequent socio-economic differences in cardiovascular disease implying a cause and effect relationship. Psychosocial factors, environmental exposures, health behaviours, and health-care access and quality contribute to socio-economic differentials in cardiovascular disease. <hl> The Commission on Social Determinants of Health <hl> recommended that more equal distributions of power, wealth, education, housing, environmental factors, nutrition, and health care were needed to address inequalities in cardiovascular disease and non-communicable diseases. | Cardiovascular disease affects low- and middle-income countries even more than high-income countries. There is relatively little information regarding social patterns of cardiovascular disease within low- and middle-income countries, but within high-income countries low income and low educational status are consistently associated with greater risk of cardiovascular disease. Policies that have resulted in increased socio-economic inequalities have been associated with greater subsequent socio-economic differences in cardiovascular disease implying a cause and effect relationship. Psychosocial factors, environmental exposures, health behaviours, and health-care access and quality contribute to socio-economic differentials in cardiovascular disease. <hl> The Commission on Social Determinants of Health recommended that more equal distributions of power, wealth, education, housing, environmental factors, nutrition, and health care were needed to address inequalities in cardiovascular disease and non-communicable diseases. <hl> | 5d65d0c72b22cd4dfcfbcdd7 |
$31,000 a year | question: How much did the Central Forida Commission on Homelessness find that the region spends on leo's arresting and transporting homeless?, context: In 2013, a Central Florida Commission on Homelessness study indicated that the region spends $31,000 a year per homeless person to cover "salaries of law-enforcement officers to arrest and transport homeless individuals — largely for nonviolent offenses such as trespassing, public intoxication or sleeping in parks — as well as the cost of jail stays, emergency-room visits and hospitalization for medical and psychiatric issues. This did not include "money spent by nonprofit agencies to feed, clothe and sometimes shelter these individuals". In contrast, the report estimated the cost of permanent supportive housing at "$10,051 per person per year" and concluded that "[h]ousing even half of the region's chronically homeless population would save taxpayers $149 million during the next decade — even allowing for 10 percent to end up back on the streets again." This particular study followed 107 long-term-homeless residents living in Orange, Osceola or Seminole Counties. There are similar studies showing large financial savings in Charlotte and Southeastern Colorado from focusing on simply housing the homeless. | How much did the Central Forida Commission on Homelessness find that the region spends on leo's arresting and transporting homeless? | In 2013, a Central Florida Commission on Homelessness study indicated that the region spends $31,000 a year per homeless person to cover "salaries of law-enforcement officers to arrest and transport homeless individuals — largely for nonviolent offenses such as trespassing, public intoxication or sleeping in parks — as well as the cost of jail stays, emergency-room visits and hospitalization for medical and psychiatric issues. | In 2013, a Central Florida Commission on Homelessness study indicated that the region spends $31,000 a year per homeless person to cover "salaries of law-enforcement officers to arrest and transport homeless individuals — largely for nonviolent offenses such as trespassing, public intoxication or sleeping in parks — as well as the cost of jail stays, emergency-room visits and hospitalization for medical and psychiatric issues. This did not include "money spent by nonprofit agencies to feed, clothe and sometimes shelter these individuals". In contrast, the report estimated the cost of permanent supportive housing at "$10,051 per person per year" and concluded that "[h]ousing even half of the region's chronically homeless population would save taxpayers $149 million during the next decade — even allowing for 10 percent to end up back on the streets again." This particular study followed 107 long-term-homeless residents living in Orange, Osceola or Seminole Counties. There are similar studies showing large financial savings in Charlotte and Southeastern Colorado from focusing on simply housing the homeless. | In 2013, a Central Florida Commission on Homelessness study indicated that the region spends <hl> $31,000 a year <hl> per homeless person to cover "salaries of law-enforcement officers to arrest and transport homeless individuals — largely for nonviolent offenses such as trespassing, public intoxication or sleeping in parks — as well as the cost of jail stays, emergency-room visits and hospitalization for medical and psychiatric issues. | In 2013, a Central Florida Commission on Homelessness study indicated that the region spends <hl> $31,000 a year <hl> per homeless person to cover "salaries of law-enforcement officers to arrest and transport homeless individuals — largely for nonviolent offenses such as trespassing, public intoxication or sleeping in parks — as well as the cost of jail stays, emergency-room visits and hospitalization for medical and psychiatric issues. This did not include "money spent by nonprofit agencies to feed, clothe and sometimes shelter these individuals". In contrast, the report estimated the cost of permanent supportive housing at "$10,051 per person per year" and concluded that "[h]ousing even half of the region's chronically homeless population would save taxpayers $149 million during the next decade — even allowing for 10 percent to end up back on the streets again." This particular study followed 107 long-term-homeless residents living in Orange, Osceola or Seminole Counties. There are similar studies showing large financial savings in Charlotte and Southeastern Colorado from focusing on simply housing the homeless. | <hl> In 2013, a Central Florida Commission on Homelessness study indicated that the region spends $31,000 a year per homeless person to cover "salaries of law-enforcement officers to arrest and transport homeless individuals — largely for nonviolent offenses such as trespassing, public intoxication or sleeping in parks — as well as the cost of jail stays, emergency-room visits and hospitalization for medical and psychiatric issues. <hl> This did not include "money spent by nonprofit agencies to feed, clothe and sometimes shelter these individuals". In contrast, the report estimated the cost of permanent supportive housing at "$10,051 per person per year" and concluded that "[h]ousing even half of the region's chronically homeless population would save taxpayers $149 million during the next decade — even allowing for 10 percent to end up back on the streets again." This particular study followed 107 long-term-homeless residents living in Orange, Osceola or Seminole Counties. There are similar studies showing large financial savings in Charlotte and Southeastern Colorado from focusing on simply housing the homeless. | 5d665f702b22cd4dfcfbdcdd |
Tunis, Sfax, Sousse and Monastir | question: What are the Tunis cities with major medicine faculties?, context: In Tunisia, education is free for all Tunisian citizens and for foreigners who have scholarships. The oldest Medical school is a faculty of the University of Tunis. There are four medicine faculties situated in the major cities of Tunis, Sfax, Sousse and Monastir. Admission is bound to the success and score in the baccalaureate examination. Admission score threshold is very high, based on competition among all applicants throughout the nation. Medical school curriculum consists of five years. The first two years are medical theory, containing all basic sciences related to medicine, and the last three years consists of clinical issues related to all medical specialties. During these last three years, the student gets the status of "Externe". The student has to attend at the university hospital every day, rotating around all wards. Every period is followed by a clinical exam regarding the student's knowledge in that particular specialty. After those five years, there are two years on internship, in which the student is a physician but under the supervision of the chief doctor; the student rotates over the major and most essential specialties during period of four months each. After that, student has the choice of either passing the residency national exam or extending his internship for another year, after which he gains the status of family physician. The residency program consists of four to five years in the specialty he qualifies, depending on his score in the national residency examination under the rule of highest score chooses first. Whether the student chooses to be a family doctor or a specialist, he has to write a doctoral thesis, which he will be defending in front of a jury, after which he gains his degree of Doctor of Medicine (MD). | What are the Tunis cities with major medicine faculties? | There are four medicine faculties situated in the major cities of Tunis, Sfax, Sousse and Monastir . | In Tunisia, education is free for all Tunisian citizens and for foreigners who have scholarships. The oldest Medical school is a faculty of the University of Tunis. There are four medicine faculties situated in the major cities of Tunis, Sfax, Sousse and Monastir. Admission is bound to the success and score in the baccalaureate examination. Admission score threshold is very high, based on competition among all applicants throughout the nation. Medical school curriculum consists of five years. The first two years are medical theory, containing all basic sciences related to medicine, and the last three years consists of clinical issues related to all medical specialties. During these last three years, the student gets the status of "Externe". The student has to attend at the university hospital every day, rotating around all wards. Every period is followed by a clinical exam regarding the student's knowledge in that particular specialty. After those five years, there are two years on internship, in which the student is a physician but under the supervision of the chief doctor; the student rotates over the major and most essential specialties during period of four months each. After that, student has the choice of either passing the residency national exam or extending his internship for another year, after which he gains the status of family physician. The residency program consists of four to five years in the specialty he qualifies, depending on his score in the national residency examination under the rule of highest score chooses first. Whether the student chooses to be a family doctor or a specialist, he has to write a doctoral thesis, which he will be defending in front of a jury, after which he gains his degree of Doctor of Medicine (MD). | There are four medicine faculties situated in the major cities of <hl> Tunis, Sfax, Sousse and Monastir <hl> . | In Tunisia, education is free for all Tunisian citizens and for foreigners who have scholarships. The oldest Medical school is a faculty of the University of Tunis. There are four medicine faculties situated in the major cities of <hl> Tunis, Sfax, Sousse and Monastir <hl>. Admission is bound to the success and score in the baccalaureate examination. Admission score threshold is very high, based on competition among all applicants throughout the nation. Medical school curriculum consists of five years. The first two years are medical theory, containing all basic sciences related to medicine, and the last three years consists of clinical issues related to all medical specialties. During these last three years, the student gets the status of "Externe". The student has to attend at the university hospital every day, rotating around all wards. Every period is followed by a clinical exam regarding the student's knowledge in that particular specialty. After those five years, there are two years on internship, in which the student is a physician but under the supervision of the chief doctor; the student rotates over the major and most essential specialties during period of four months each. After that, student has the choice of either passing the residency national exam or extending his internship for another year, after which he gains the status of family physician. The residency program consists of four to five years in the specialty he qualifies, depending on his score in the national residency examination under the rule of highest score chooses first. Whether the student chooses to be a family doctor or a specialist, he has to write a doctoral thesis, which he will be defending in front of a jury, after which he gains his degree of Doctor of Medicine (MD). | In Tunisia, education is free for all Tunisian citizens and for foreigners who have scholarships. The oldest Medical school is a faculty of the University of Tunis. <hl> There are four medicine faculties situated in the major cities of Tunis, Sfax, Sousse and Monastir . <hl> Admission is bound to the success and score in the baccalaureate examination. Admission score threshold is very high, based on competition among all applicants throughout the nation. Medical school curriculum consists of five years. The first two years are medical theory, containing all basic sciences related to medicine, and the last three years consists of clinical issues related to all medical specialties. During these last three years, the student gets the status of "Externe". The student has to attend at the university hospital every day, rotating around all wards. Every period is followed by a clinical exam regarding the student's knowledge in that particular specialty. After those five years, there are two years on internship, in which the student is a physician but under the supervision of the chief doctor; the student rotates over the major and most essential specialties during period of four months each. After that, student has the choice of either passing the residency national exam or extending his internship for another year, after which he gains the status of family physician. The residency program consists of four to five years in the specialty he qualifies, depending on his score in the national residency examination under the rule of highest score chooses first. Whether the student chooses to be a family doctor or a specialist, he has to write a doctoral thesis, which he will be defending in front of a jury, after which he gains his degree of Doctor of Medicine (MD). | 5d6658c52b22cd4dfcfbdc71 |
Mao Zedong | question: Who was the early leader of the communist party in China?, context: Communist insurrection against Axis occupation took place in several countries. In China, the Communist Party of China led by Mao Zedong reluctantly abandoned the civil war with the Kuomintang and cooperated with it against Japanese occupation forces. In Yugoslavia, the communist Yugoslav Partisans led by Josip Broz Tito, held up an effective guerrilla resistance movement to the Axis occupiers. The Partisans managed to form a communist Yugoslav state called Democratic Federal Yugoslavia in liberated territories in 1943 and by 1944, with the assistance of Soviet forces, seized control of Yugoslavia, entrenching a communist regime in Yugoslavia. | Who was the early leader of the communist party in China? | In China, the Communist Party of China led by Mao Zedong reluctantly abandoned the civil war with the Kuomintang and cooperated with it against Japanese occupation forces. | Communist insurrection against Axis occupation took place in several countries. In China, the Communist Party of China led by Mao Zedong reluctantly abandoned the civil war with the Kuomintang and cooperated with it against Japanese occupation forces. In Yugoslavia, the communist Yugoslav Partisans led by Josip Broz Tito, held up an effective guerrilla resistance movement to the Axis occupiers. The Partisans managed to form a communist Yugoslav state called Democratic Federal Yugoslavia in liberated territories in 1943 and by 1944, with the assistance of Soviet forces, seized control of Yugoslavia, entrenching a communist regime in Yugoslavia. | In China, the Communist Party of China led by <hl> Mao Zedong <hl> reluctantly abandoned the civil war with the Kuomintang and cooperated with it against Japanese occupation forces. | Communist insurrection against Axis occupation took place in several countries. In China, the Communist Party of China led by <hl> Mao Zedong <hl> reluctantly abandoned the civil war with the Kuomintang and cooperated with it against Japanese occupation forces. In Yugoslavia, the communist Yugoslav Partisans led by Josip Broz Tito, held up an effective guerrilla resistance movement to the Axis occupiers. The Partisans managed to form a communist Yugoslav state called Democratic Federal Yugoslavia in liberated territories in 1943 and by 1944, with the assistance of Soviet forces, seized control of Yugoslavia, entrenching a communist regime in Yugoslavia. | Communist insurrection against Axis occupation took place in several countries. <hl> In China, the Communist Party of China led by Mao Zedong reluctantly abandoned the civil war with the Kuomintang and cooperated with it against Japanese occupation forces. <hl> In Yugoslavia, the communist Yugoslav Partisans led by Josip Broz Tito, held up an effective guerrilla resistance movement to the Axis occupiers. The Partisans managed to form a communist Yugoslav state called Democratic Federal Yugoslavia in liberated territories in 1943 and by 1944, with the assistance of Soviet forces, seized control of Yugoslavia, entrenching a communist regime in Yugoslavia. | 5d66f51f2b22cd4dfcfbe781 |
44 | question: What was the percentage rate of unemployment for 16 to 19 year olds in 2000?, context: A study by the Brookings Institution determined that the 2011 employment rate for teens (ages 16–19) in the United States was 25%. Comparing employment rates in 2000 vs. 2011, the Brookings Institution found that younger workers had much lower rates of employment (higher unemployment) while older workers had higher rates of employment (lower unemployment). Between 2000 and 2011, the employment rate for 16- to 19-year-olds fell from 44 to 24 percent, while the employment rate for those over 55 rose moderately. For those aged 20–54, the rate of employment fell. | What was the percentage rate of unemployment for 16 to 19 year olds in 2000? | Between 2000 and 2011, the employment rate for 16- to 19-year-olds fell from 44 to 24 percent, while the employment rate for those over 55 rose moderately. | A study by the Brookings Institution determined that the 2011 employment rate for teens (ages 16–19) in the United States was 25%. Comparing employment rates in 2000 vs. 2011, the Brookings Institution found that younger workers had much lower rates of employment (higher unemployment) while older workers had higher rates of employment (lower unemployment). Between 2000 and 2011, the employment rate for 16- to 19-year-olds fell from 44 to 24 percent, while the employment rate for those over 55 rose moderately. For those aged 20–54, the rate of employment fell. | Between 2000 and 2011, the employment rate for 16- to 19-year-olds fell from <hl> 44 <hl> to 24 percent, while the employment rate for those over 55 rose moderately. | A study by the Brookings Institution determined that the 2011 employment rate for teens (ages 16–19) in the United States was 25%. Comparing employment rates in 2000 vs. 2011, the Brookings Institution found that younger workers had much lower rates of employment (higher unemployment) while older workers had higher rates of employment (lower unemployment). Between 2000 and 2011, the employment rate for 16- to 19-year-olds fell from <hl> 44 <hl> to 24 percent, while the employment rate for those over 55 rose moderately. For those aged 20–54, the rate of employment fell. | A study by the Brookings Institution determined that the 2011 employment rate for teens (ages 16–19) in the United States was 25%. Comparing employment rates in 2000 vs. 2011, the Brookings Institution found that younger workers had much lower rates of employment (higher unemployment) while older workers had higher rates of employment (lower unemployment). <hl> Between 2000 and 2011, the employment rate for 16- to 19-year-olds fell from 44 to 24 percent, while the employment rate for those over 55 rose moderately. <hl> For those aged 20–54, the rate of employment fell. | 5d67cbbb2b22cd4dfcfc0242 |
David Rioch, Francis O. Schmitt, and Stephen Kuffler | question: Neuroscience, as a field, was credited to have been established by who?, 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. | Neuroscience, as a field, was credited to have been established by who? | Eric Kandel and collaborators have cited David Rioch, Francis O. Schmitt, and Stephen Kuffler as having played critical roles in establishing the field. | 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. | Eric Kandel and collaborators have cited <hl> David Rioch, Francis O. Schmitt, and Stephen Kuffler <hl> as having played critical roles in establishing the field. | 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 <hl> David Rioch, Francis O. Schmitt, and Stephen Kuffler <hl> 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. | 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. <hl> 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. 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. | 5d670d6b2b22cd4dfcfbec59 |
1630s | question: In which decade was the Nothnagle Log House built?, context: The colony of New Sweden introduced Lutheranism to America in the form of some of the continent's oldest European churches. The colonists also introduced the log cabin to America, and numerous rivers, towns, and families in the lower Delaware River Valley region derive their names from the Swedes. The Nothnagle Log House in present-day Gibbstown, New Jersey was constructed in the late 1630s during the time of the New Sweden colony. It remains the oldest European-built house in New Jersey and is believed to be one of the oldest surviving log houses in the United States. | In which decade was the Nothnagle Log House built? | The Nothnagle Log House in present-day Gibbstown, New Jersey was constructed in the late 1630s during the time of the New Sweden colony. | The colony of New Sweden introduced Lutheranism to America in the form of some of the continent's oldest European churches. The colonists also introduced the log cabin to America, and numerous rivers, towns, and families in the lower Delaware River Valley region derive their names from the Swedes. The Nothnagle Log House in present-day Gibbstown, New Jersey was constructed in the late 1630s during the time of the New Sweden colony. It remains the oldest European-built house in New Jersey and is believed to be one of the oldest surviving log houses in the United States. | The Nothnagle Log House in present-day Gibbstown, New Jersey was constructed in the late <hl> 1630s <hl> during the time of the New Sweden colony. | The colony of New Sweden introduced Lutheranism to America in the form of some of the continent's oldest European churches. The colonists also introduced the log cabin to America, and numerous rivers, towns, and families in the lower Delaware River Valley region derive their names from the Swedes. The Nothnagle Log House in present-day Gibbstown, New Jersey was constructed in the late <hl> 1630s <hl> during the time of the New Sweden colony. It remains the oldest European-built house in New Jersey and is believed to be one of the oldest surviving log houses in the United States. | The colony of New Sweden introduced Lutheranism to America in the form of some of the continent's oldest European churches. The colonists also introduced the log cabin to America, and numerous rivers, towns, and families in the lower Delaware River Valley region derive their names from the Swedes. <hl> The Nothnagle Log House in present-day Gibbstown, New Jersey was constructed in the late 1630s during the time of the New Sweden colony. <hl> It remains the oldest European-built house in New Jersey and is believed to be one of the oldest surviving log houses in the United States. | 5d65e6642b22cd4dfcfbd1d6 |
Gulag | question: What were forced labor camps in the USSR known as, in it's early communist history?, context: With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. Gulag forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | What were forced labor camps in the USSR known as, in it's early communist history? | Gulag forced labour camps were dismantled. | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. Gulag forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | <hl> Gulag <hl> forced labour camps were dismantled. | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. <hl> Gulag <hl> forced labour camps were dismantled. Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | With the death of Stalin in 1953, Nikita Khrushchev gradually ascended to power in the Soviet Union and announced a radical policy of de-Stalinisation of the Communist Party and the country, condemning Stalin for excesses and tyranny. <hl> Gulag forced labour camps were dismantled. <hl> Anti-Stalinist figures such as Aleksandr Solzhenitsyn were allowed the freedom to criticise Stalin. The cult of personality associated with Stalin was eliminated. Stalinists were removed from office. Khrushchev ended Stalin's policy of Socialism in One Country and committed the Soviet Union to actively support communist revolution throughout the world. The policies of de-Stalinisation were promoted as an attempt to restore the legacy of Lenin. The death of Stalin, however did not result in the end of the Cold War. The conflict continued and escalated. | 5d66f8432b22cd4dfcfbe858 |
formation of the conservative coalition | question: What helped the Democratic and Republican parties see things more evenly?, 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. | What helped the Democratic and Republican parties see things more evenly? | 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. | 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. | Prior to the <hl> formation of the conservative coalition <hl> , which helped realign the Democratic and Republican party ideologies in the mid-1960s, the party had historically advocated classical liberalism and progressivism. | Prior to the <hl> formation of the conservative coalition <hl>, 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. | <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. <hl> 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. | 5d6711882b22cd4dfcfbed74 |
phone hacking scandal | question: What was were they implicated for?, context: In July 2011 The Sunday Times was implicated in the wider News International phone hacking scandal which primarily involved the News of the World, a Murdoch tabloid newspaper published in the UK from 1843 to 2011. Former British prime minister Gordon Brown accused The Sunday Times of employing "known criminals" to impersonate him and obtain his private financial records. Brown's bank reported that an investigator employed by The Sunday Times repeatedly impersonated Brown to gain access to his bank account records. The Sunday Times vigorously denied these accusations and said that the story was in the public interest and that it had followed the Press Complaints Commission code on using subterfuge. | What was were they implicated for? | In July 2011 The Sunday Times was implicated in the wider News International phone hacking scandal which primarily involved the News of the World, a Murdoch tabloid newspaper published in the UK from 1843 to 2011. | In July 2011 The Sunday Times was implicated in the wider News International phone hacking scandal which primarily involved the News of the World, a Murdoch tabloid newspaper published in the UK from 1843 to 2011. Former British prime minister Gordon Brown accused The Sunday Times of employing "known criminals" to impersonate him and obtain his private financial records. Brown's bank reported that an investigator employed by The Sunday Times repeatedly impersonated Brown to gain access to his bank account records. The Sunday Times vigorously denied these accusations and said that the story was in the public interest and that it had followed the Press Complaints Commission code on using subterfuge. | In July 2011 The Sunday Times was implicated in the wider News International <hl> phone hacking scandal <hl> which primarily involved the News of the World, a Murdoch tabloid newspaper published in the UK from 1843 to 2011. | In July 2011 The Sunday Times was implicated in the wider News International <hl> phone hacking scandal <hl> which primarily involved the News of the World, a Murdoch tabloid newspaper published in the UK from 1843 to 2011. Former British prime minister Gordon Brown accused The Sunday Times of employing "known criminals" to impersonate him and obtain his private financial records. Brown's bank reported that an investigator employed by The Sunday Times repeatedly impersonated Brown to gain access to his bank account records. The Sunday Times vigorously denied these accusations and said that the story was in the public interest and that it had followed the Press Complaints Commission code on using subterfuge. | <hl> In July 2011 The Sunday Times was implicated in the wider News International phone hacking scandal which primarily involved the News of the World, a Murdoch tabloid newspaper published in the UK from 1843 to 2011. <hl> Former British prime minister Gordon Brown accused The Sunday Times of employing "known criminals" to impersonate him and obtain his private financial records. Brown's bank reported that an investigator employed by The Sunday Times repeatedly impersonated Brown to gain access to his bank account records. The Sunday Times vigorously denied these accusations and said that the story was in the public interest and that it had followed the Press Complaints Commission code on using subterfuge. | 5d6750132b22cd4dfcfbf674 |
new skyscrapers | question: What did the Harlem Renaissance add to the New York skyline?, context: The construction of the New York City Subway, which opened in 1904, helped bind the new city together, as did additional bridges to Brooklyn. In the 1920s, Manhattan experienced large arrivals of African-Americans as part of the Great Migration from the southern United States, and the Harlem Renaissance, part of a larger boom time in the Prohibition era that included new skyscrapers competing for the skyline. New York City became the most populous city in the world in 1925, overtaking London, which had reigned for a century. Manhattan's majority white ethnic group declined from 98.7% in 1900 to 58.3% by 1990. | What did the Harlem Renaissance add to the New York skyline? | In the 1920s, Manhattan experienced large arrivals of African-Americans as part of the Great Migration from the southern United States, and the Harlem Renaissance, part of a larger boom time in the Prohibition era that included new skyscrapers competing for the skyline. | The construction of the New York City Subway, which opened in 1904, helped bind the new city together, as did additional bridges to Brooklyn. In the 1920s, Manhattan experienced large arrivals of African-Americans as part of the Great Migration from the southern United States, and the Harlem Renaissance, part of a larger boom time in the Prohibition era that included new skyscrapers competing for the skyline. New York City became the most populous city in the world in 1925, overtaking London, which had reigned for a century. Manhattan's majority white ethnic group declined from 98.7% in 1900 to 58.3% by 1990. | In the 1920s, Manhattan experienced large arrivals of African-Americans as part of the Great Migration from the southern United States, and the Harlem Renaissance, part of a larger boom time in the Prohibition era that included <hl> new skyscrapers <hl> competing for the skyline. | The construction of the New York City Subway, which opened in 1904, helped bind the new city together, as did additional bridges to Brooklyn. In the 1920s, Manhattan experienced large arrivals of African-Americans as part of the Great Migration from the southern United States, and the Harlem Renaissance, part of a larger boom time in the Prohibition era that included <hl> new skyscrapers <hl> competing for the skyline. New York City became the most populous city in the world in 1925, overtaking London, which had reigned for a century. Manhattan's majority white ethnic group declined from 98.7% in 1900 to 58.3% by 1990. | The construction of the New York City Subway, which opened in 1904, helped bind the new city together, as did additional bridges to Brooklyn. <hl> In the 1920s, Manhattan experienced large arrivals of African-Americans as part of the Great Migration from the southern United States, and the Harlem Renaissance, part of a larger boom time in the Prohibition era that included new skyscrapers competing for the skyline. <hl> New York City became the most populous city in the world in 1925, overtaking London, which had reigned for a century. Manhattan's majority white ethnic group declined from 98.7% in 1900 to 58.3% by 1990. | 5d67df062b22cd4dfcfc0355 |
the entirety | question: How much of the House of Representatives would face re-election in the event of a double dissolution?, context: If the Senate twice in a three-month period refuses to pass the same piece of legislation that was initiated in the lower house, the government may either abandon the bill or continue to revise it, or, in certain circumstances outlined in section 57 of the Constitution, the Prime Minister can advise the Governor-General to dissolve the entire parliament in a double dissolution. In such an event, the entirety of the Senate faces re-election, as does the House of Representatives, rather than only about half the chamber as is normally the case. After a double dissolution election, if the bills in question are reintroduced, and if they again fail to pass the Senate, the Governor-General may agree to a joint sitting of the two houses in an attempt to pass the bills. Such a sitting has only occurred once, in 1974. | How much of the House of Representatives would face re-election in the event of a double dissolution? | In such an event, the entirety of the Senate faces re-election, as does the House of Representatives, rather than only about half the chamber as is normally the case. | If the Senate twice in a three-month period refuses to pass the same piece of legislation that was initiated in the lower house, the government may either abandon the bill or continue to revise it, or, in certain circumstances outlined in section 57 of the Constitution, the Prime Minister can advise the Governor-General to dissolve the entire parliament in a double dissolution. In such an event, the entirety of the Senate faces re-election, as does the House of Representatives, rather than only about half the chamber as is normally the case. After a double dissolution election, if the bills in question are reintroduced, and if they again fail to pass the Senate, the Governor-General may agree to a joint sitting of the two houses in an attempt to pass the bills. Such a sitting has only occurred once, in 1974. | In such an event, <hl> the entirety <hl> of the Senate faces re-election, as does the House of Representatives, rather than only about half the chamber as is normally the case. | If the Senate twice in a three-month period refuses to pass the same piece of legislation that was initiated in the lower house, the government may either abandon the bill or continue to revise it, or, in certain circumstances outlined in section 57 of the Constitution, the Prime Minister can advise the Governor-General to dissolve the entire parliament in a double dissolution. In such an event, <hl> the entirety <hl> of the Senate faces re-election, as does the House of Representatives, rather than only about half the chamber as is normally the case. After a double dissolution election, if the bills in question are reintroduced, and if they again fail to pass the Senate, the Governor-General may agree to a joint sitting of the two houses in an attempt to pass the bills. Such a sitting has only occurred once, in 1974. | If the Senate twice in a three-month period refuses to pass the same piece of legislation that was initiated in the lower house, the government may either abandon the bill or continue to revise it, or, in certain circumstances outlined in section 57 of the Constitution, the Prime Minister can advise the Governor-General to dissolve the entire parliament in a double dissolution. <hl> In such an event, the entirety of the Senate faces re-election, as does the House of Representatives, rather than only about half the chamber as is normally the case. <hl> After a double dissolution election, if the bills in question are reintroduced, and if they again fail to pass the Senate, the Governor-General may agree to a joint sitting of the two houses in an attempt to pass the bills. Such a sitting has only occurred once, in 1974. | 5d65d3d02b22cd4dfcfbce2f |
Stick checking, sweep checking, and poke checking | question: What are the legal methods of using the stick to gain possession of the puck?, context: An important defensive tactic is checking—attempting to take the puck from an opponent or to remove the opponent from play. Stick checking, sweep checking, and poke checking are legal uses of the stick to obtain possession of the puck. The neutral zone trap is designed to isolate the puck carrier in the neutral zone preventing him from entering the offensive zone. Body checking is using one's shoulder or hip to strike an opponent who has the puck or who is the last to have touched it (the last person to have touched the puck is still legally "in possession" of it, although a penalty is generally called if he is checked more than two seconds after his last touch). Often the term checking is used to refer to body checking, with its true definition generally only propagated among fans of the game. | What are the legal methods of using the stick to gain possession of the puck? | Stick checking, sweep checking, and poke checking are legal uses of the stick to obtain possession of the puck. | An important defensive tactic is checking—attempting to take the puck from an opponent or to remove the opponent from play. Stick checking, sweep checking, and poke checking are legal uses of the stick to obtain possession of the puck. The neutral zone trap is designed to isolate the puck carrier in the neutral zone preventing him from entering the offensive zone. Body checking is using one's shoulder or hip to strike an opponent who has the puck or who is the last to have touched it (the last person to have touched the puck is still legally "in possession" of it, although a penalty is generally called if he is checked more than two seconds after his last touch). Often the term checking is used to refer to body checking, with its true definition generally only propagated among fans of the game. | <hl> Stick checking, sweep checking, and poke checking <hl> are legal uses of the stick to obtain possession of the puck. | An important defensive tactic is checking—attempting to take the puck from an opponent or to remove the opponent from play. <hl> Stick checking, sweep checking, and poke checking <hl> are legal uses of the stick to obtain possession of the puck. The neutral zone trap is designed to isolate the puck carrier in the neutral zone preventing him from entering the offensive zone. Body checking is using one's shoulder or hip to strike an opponent who has the puck or who is the last to have touched it (the last person to have touched the puck is still legally "in possession" of it, although a penalty is generally called if he is checked more than two seconds after his last touch). Often the term checking is used to refer to body checking, with its true definition generally only propagated among fans of the game. | An important defensive tactic is checking—attempting to take the puck from an opponent or to remove the opponent from play. <hl> Stick checking, sweep checking, and poke checking are legal uses of the stick to obtain possession of the puck. <hl> The neutral zone trap is designed to isolate the puck carrier in the neutral zone preventing him from entering the offensive zone. Body checking is using one's shoulder or hip to strike an opponent who has the puck or who is the last to have touched it (the last person to have touched the puck is still legally "in possession" of it, although a penalty is generally called if he is checked more than two seconds after his last touch). Often the term checking is used to refer to body checking, with its true definition generally only propagated among fans of the game. | 5d65d41c2b22cd4dfcfbce38 |
5 cm | question: What is the focal length of a magnifying glass that's held 20 cm from the eye and 5 cm from the object yields an image of infinite linear size?, context: Using an inappropriate measurement of magnification can be formally correct but yield a meaningless number. For instance, using a magnifying glass of 5 cm focal length, held 20 cm from the eye and 5 cm from the object, produces a virtual image at infinity of infinite linear size: M = ∞. But the angular magnification is 5, meaning that the object appears 5 times larger to the eye than without the lens. When taking a picture of the moon using a camera with a 50 mm lens, one is not concerned with the linear magnification M ≈ −50 mm / 380000 km = −1.3×10−10. Rather, the plate scale of the camera is about 1°/mm, from which one can conclude that the 0.5 mm image on the film corresponds to an angular size of the moon seen from earth of about 0.5°. | What is the focal length of a magnifying glass that's held 20 cm from the eye and 5 cm from the object yields an image of infinite linear size? | For instance, using a magnifying glass of 5 cm focal length, held 20 cm from the eye and 5 cm from the object, produces a virtual image at infinity of infinite linear size: M = ∞. | Using an inappropriate measurement of magnification can be formally correct but yield a meaningless number. For instance, using a magnifying glass of 5 cm focal length, held 20 cm from the eye and 5 cm from the object, produces a virtual image at infinity of infinite linear size: M = ∞. But the angular magnification is 5, meaning that the object appears 5 times larger to the eye than without the lens. When taking a picture of the moon using a camera with a 50 mm lens, one is not concerned with the linear magnification M ≈ −50 mm / 380000 km = −1.3×10−10. Rather, the plate scale of the camera is about 1°/mm, from which one can conclude that the 0.5 mm image on the film corresponds to an angular size of the moon seen from earth of about 0.5°. | For instance, using a magnifying glass of <hl> 5 cm <hl> focal length, held 20 cm from the eye and 5 cm from the object, produces a virtual image at infinity of infinite linear size: M = ∞. | Using an inappropriate measurement of magnification can be formally correct but yield a meaningless number. For instance, using a magnifying glass of <hl> 5 cm <hl> focal length, held 20 cm from the eye and 5 cm from the object, produces a virtual image at infinity of infinite linear size: M = ∞. But the angular magnification is 5, meaning that the object appears 5 times larger to the eye than without the lens. When taking a picture of the moon using a camera with a 50 mm lens, one is not concerned with the linear magnification M ≈ −50 mm / 380000 km = −1.3×10−10. Rather, the plate scale of the camera is about 1°/mm, from which one can conclude that the 0.5 mm image on the film corresponds to an angular size of the moon seen from earth of about 0.5°. | Using an inappropriate measurement of magnification can be formally correct but yield a meaningless number. <hl> For instance, using a magnifying glass of 5 cm focal length, held 20 cm from the eye and 5 cm from the object, produces a virtual image at infinity of infinite linear size: M = ∞. <hl> But the angular magnification is 5, meaning that the object appears 5 times larger to the eye than without the lens. When taking a picture of the moon using a camera with a 50 mm lens, one is not concerned with the linear magnification M ≈ −50 mm / 380000 km = −1.3×10−10. Rather, the plate scale of the camera is about 1°/mm, from which one can conclude that the 0.5 mm image on the film corresponds to an angular size of the moon seen from earth of about 0.5°. | 5d677e2c2b22cd4dfcfbfd71 |
To the stars through hardships | question: What does "Ad astra per aspera" mean?, context: Many organizations today have Latin mottos, such as "Semper paratus" (always ready), the motto of the United States Coast Guard, and "Semper fidelis" (always faithful), the motto of the United States Marine Corps. Several of the states of the United States also have Latin mottos, such as "Qui transtulit sustinet" ("He who transplanted still sustains"), the state motto of Connecticut; "Ad astra per aspera" ("To the stars through hardships"), that of Kansas; "Si quaeris peninsulam amoenam, circumspice" ("If you seek a pleasant peninsula, look about you"), that of Michigan; "Salus populi suprema lex esto" ("The health of the people should be the highest law"), that of Missouri; "Esse quam videri" (To be rather than to seem), that of North Carolina; "Sic semper tyrannis" (Thus always for tyrants), that of Virginia; and "Montani semper liberi" (Mountaineers are always free), that of West Virginia. Another Latin motto is "Per ardua ad astra" (Through adversity/struggle to the stars), the motto of the Royal Air Force (RAF). Some schools adopt Latin mottos, for example Harvard University's motto is "Veritas" meaning (truth). Veritas was the goddess of truth, a daughter of Saturn, and the mother of Virtue. | What does "Ad astra per aspera" mean? | Several of the states of the United States also have Latin mottos, such as "Qui transtulit sustinet" ("He who transplanted still sustains"), the state motto of Connecticut; "Ad astra per aspera" (" To the stars through hardships "), that of Kansas; "Si quaeris peninsulam amoenam, circumspice" ("If you seek a pleasant peninsula, look about you"), that of Michigan; "Salus populi suprema lex esto" ("The health of the people should be the highest law"), that of Missouri; "Esse quam videri" (To be rather than to seem), that of North Carolina; "Sic semper tyrannis" (Thus always for tyrants), that of Virginia; and "Montani semper liberi" (Mountaineers are always free), that of West Virginia. | Many organizations today have Latin mottos, such as "Semper paratus" (always ready), the motto of the United States Coast Guard, and "Semper fidelis" (always faithful), the motto of the United States Marine Corps. Several of the states of the United States also have Latin mottos, such as "Qui transtulit sustinet" ("He who transplanted still sustains"), the state motto of Connecticut; "Ad astra per aspera" ("To the stars through hardships"), that of Kansas; "Si quaeris peninsulam amoenam, circumspice" ("If you seek a pleasant peninsula, look about you"), that of Michigan; "Salus populi suprema lex esto" ("The health of the people should be the highest law"), that of Missouri; "Esse quam videri" (To be rather than to seem), that of North Carolina; "Sic semper tyrannis" (Thus always for tyrants), that of Virginia; and "Montani semper liberi" (Mountaineers are always free), that of West Virginia. Another Latin motto is "Per ardua ad astra" (Through adversity/struggle to the stars), the motto of the Royal Air Force (RAF). Some schools adopt Latin mottos, for example Harvard University's motto is "Veritas" meaning (truth). Veritas was the goddess of truth, a daughter of Saturn, and the mother of Virtue. | Several of the states of the United States also have Latin mottos, such as "Qui transtulit sustinet" ("He who transplanted still sustains"), the state motto of Connecticut; "Ad astra per aspera" (" <hl> To the stars through hardships <hl> "), that of Kansas; "Si quaeris peninsulam amoenam, circumspice" ("If you seek a pleasant peninsula, look about you"), that of Michigan; "Salus populi suprema lex esto" ("The health of the people should be the highest law"), that of Missouri; "Esse quam videri" (To be rather than to seem), that of North Carolina; "Sic semper tyrannis" (Thus always for tyrants), that of Virginia; and "Montani semper liberi" (Mountaineers are always free), that of West Virginia. | Many organizations today have Latin mottos, such as "Semper paratus" (always ready), the motto of the United States Coast Guard, and "Semper fidelis" (always faithful), the motto of the United States Marine Corps. Several of the states of the United States also have Latin mottos, such as "Qui transtulit sustinet" ("He who transplanted still sustains"), the state motto of Connecticut; "Ad astra per aspera" ("<hl> To the stars through hardships <hl>"), that of Kansas; "Si quaeris peninsulam amoenam, circumspice" ("If you seek a pleasant peninsula, look about you"), that of Michigan; "Salus populi suprema lex esto" ("The health of the people should be the highest law"), that of Missouri; "Esse quam videri" (To be rather than to seem), that of North Carolina; "Sic semper tyrannis" (Thus always for tyrants), that of Virginia; and "Montani semper liberi" (Mountaineers are always free), that of West Virginia. Another Latin motto is "Per ardua ad astra" (Through adversity/struggle to the stars), the motto of the Royal Air Force (RAF). Some schools adopt Latin mottos, for example Harvard University's motto is "Veritas" meaning (truth). Veritas was the goddess of truth, a daughter of Saturn, and the mother of Virtue. | Many organizations today have Latin mottos, such as "Semper paratus" (always ready), the motto of the United States Coast Guard, and "Semper fidelis" (always faithful), the motto of the United States Marine Corps. <hl> Several of the states of the United States also have Latin mottos, such as "Qui transtulit sustinet" ("He who transplanted still sustains"), the state motto of Connecticut; "Ad astra per aspera" (" To the stars through hardships "), that of Kansas; "Si quaeris peninsulam amoenam, circumspice" ("If you seek a pleasant peninsula, look about you"), that of Michigan; "Salus populi suprema lex esto" ("The health of the people should be the highest law"), that of Missouri; "Esse quam videri" (To be rather than to seem), that of North Carolina; "Sic semper tyrannis" (Thus always for tyrants), that of Virginia; and "Montani semper liberi" (Mountaineers are always free), that of West Virginia. <hl> Another Latin motto is "Per ardua ad astra" (Through adversity/struggle to the stars), the motto of the Royal Air Force (RAF). Some schools adopt Latin mottos, for example Harvard University's motto is "Veritas" meaning (truth). Veritas was the goddess of truth, a daughter of Saturn, and the mother of Virtue. | 5d6603532b22cd4dfcfbd58b |
west | question: Where does Pitt sit in relation to the Allegheny mountains?, context: Founded by Hugh Henry Brackenridge as Pittsburgh Academy in 1787, the University of Pittsburgh is one of the few universities and colleges established in the 18th century in the United States. It is the oldest continuously chartered institution of learning in the U.S. west of the Allegheny Mountains. The school began as a preparatory school, presumably in a log cabin, possibly as early as 1770 in Western Pennsylvania, then a frontier. Brackenridge obtained a charter for the school from the state legislature of the Commonwealth of Pennsylvania on February 28, 1787, just ten weeks before the opening of the Constitutional Convention in Philadelphia. A brick building was erected in 1790 on the south side of Third Street and Cherry Alley for the Pittsburgh Academy. The small two-story brick building, with a gable facing the alley, contained three rooms: one below and two above. | Where does Pitt sit in relation to the Allegheny mountains? | west of the Allegheny Mountains. | Founded by Hugh Henry Brackenridge as Pittsburgh Academy in 1787, the University of Pittsburgh is one of the few universities and colleges established in the 18th century in the United States. It is the oldest continuously chartered institution of learning in the U.S. west of the Allegheny Mountains. The school began as a preparatory school, presumably in a log cabin, possibly as early as 1770 in Western Pennsylvania, then a frontier. Brackenridge obtained a charter for the school from the state legislature of the Commonwealth of Pennsylvania on February 28, 1787, just ten weeks before the opening of the Constitutional Convention in Philadelphia. A brick building was erected in 1790 on the south side of Third Street and Cherry Alley for the Pittsburgh Academy. The small two-story brick building, with a gable facing the alley, contained three rooms: one below and two above. | <hl> west <hl> of the Allegheny Mountains. | Founded by Hugh Henry Brackenridge as Pittsburgh Academy in 1787, the University of Pittsburgh is one of the few universities and colleges established in the 18th century in the United States. It is the oldest continuously chartered institution of learning in the U.S. <hl> west <hl> of the Allegheny Mountains. The school began as a preparatory school, presumably in a log cabin, possibly as early as 1770 in Western Pennsylvania, then a frontier. Brackenridge obtained a charter for the school from the state legislature of the Commonwealth of Pennsylvania on February 28, 1787, just ten weeks before the opening of the Constitutional Convention in Philadelphia. A brick building was erected in 1790 on the south side of Third Street and Cherry Alley for the Pittsburgh Academy. The small two-story brick building, with a gable facing the alley, contained three rooms: one below and two above. | Founded by Hugh Henry Brackenridge as Pittsburgh Academy in 1787, the University of Pittsburgh is one of the few universities and colleges established in the 18th century in the United States. It is the oldest continuously chartered institution of learning in the U.S. <hl> west of the Allegheny Mountains. <hl> The school began as a preparatory school, presumably in a log cabin, possibly as early as 1770 in Western Pennsylvania, then a frontier. Brackenridge obtained a charter for the school from the state legislature of the Commonwealth of Pennsylvania on February 28, 1787, just ten weeks before the opening of the Constitutional Convention in Philadelphia. A brick building was erected in 1790 on the south side of Third Street and Cherry Alley for the Pittsburgh Academy. The small two-story brick building, with a gable facing the alley, contained three rooms: one below and two above. | 5d66fb8e2b22cd4dfcfbe8ec |
British, French, and Italian | question: What countries occupied Constantinople?, context: In the early 20th century, the Young Turk Revolution deposed Sultan Abdul Hamid II and a series of wars plagued the ailing empire's capital. The last of these, World War I, resulted in the British, French, and Italian occupation of Constantinople. The Armenian population of the city was also affected by the deportation of Armenian intellectuals on 24 April 1915, in which leaders of the Armenian community were arrested and mostly killed as part of the Armenian Genocide. To commemorate the victims of the Armenian Genocide, 24 April has now become the day of remembrance. The final Ottoman sultan, Mehmed VI, was exiled in November 1922; the following year, the occupation of Constantinople ended with the signing of the Treaty of Lausanne and the recognition of the Republic of Turkey, declared by Mustafa Kemal Atatürk. | What countries occupied Constantinople? | The last of these, World War I, resulted in the British, French, and Italian occupation of Constantinople. | In the early 20th century, the Young Turk Revolution deposed Sultan Abdul Hamid II and a series of wars plagued the ailing empire's capital. The last of these, World War I, resulted in the British, French, and Italian occupation of Constantinople. The Armenian population of the city was also affected by the deportation of Armenian intellectuals on 24 April 1915, in which leaders of the Armenian community were arrested and mostly killed as part of the Armenian Genocide. To commemorate the victims of the Armenian Genocide, 24 April has now become the day of remembrance. The final Ottoman sultan, Mehmed VI, was exiled in November 1922; the following year, the occupation of Constantinople ended with the signing of the Treaty of Lausanne and the recognition of the Republic of Turkey, declared by Mustafa Kemal Atatürk. | The last of these, World War I, resulted in the <hl> British, French, and Italian <hl> occupation of Constantinople. | In the early 20th century, the Young Turk Revolution deposed Sultan Abdul Hamid II and a series of wars plagued the ailing empire's capital. The last of these, World War I, resulted in the <hl> British, French, and Italian <hl> occupation of Constantinople. The Armenian population of the city was also affected by the deportation of Armenian intellectuals on 24 April 1915, in which leaders of the Armenian community were arrested and mostly killed as part of the Armenian Genocide. To commemorate the victims of the Armenian Genocide, 24 April has now become the day of remembrance. The final Ottoman sultan, Mehmed VI, was exiled in November 1922; the following year, the occupation of Constantinople ended with the signing of the Treaty of Lausanne and the recognition of the Republic of Turkey, declared by Mustafa Kemal Atatürk. | In the early 20th century, the Young Turk Revolution deposed Sultan Abdul Hamid II and a series of wars plagued the ailing empire's capital. <hl> The last of these, World War I, resulted in the British, French, and Italian occupation of Constantinople. <hl> The Armenian population of the city was also affected by the deportation of Armenian intellectuals on 24 April 1915, in which leaders of the Armenian community were arrested and mostly killed as part of the Armenian Genocide. To commemorate the victims of the Armenian Genocide, 24 April has now become the day of remembrance. The final Ottoman sultan, Mehmed VI, was exiled in November 1922; the following year, the occupation of Constantinople ended with the signing of the Treaty of Lausanne and the recognition of the Republic of Turkey, declared by Mustafa Kemal Atatürk. | 5d65c88e2b22cd4dfcfbcd31 |
43 acres | question: How much land was purchased by the University in 1907?, context: Citing a need to avoid confusion, distinguish itself from the University of Pennsylvania, and return to its roots by identifying itself with the city, the Western University of Pennsylvania, by act of the state legislature, was renamed the University of Pittsburgh in the summer of 1908. During this time, the University had also outgrown its accommodations on what is now the North Side of Pittsburgh and its departments had been scattered throughout the city for years. To consolidate all of its components on one campus, WUP bought 43 acres (170,000 m2) of land in December 1907 in what is now the Oakland neighborhood of Pittsburgh and began relocating departments there by 1909. The initial campus plan for the new location centered on the winning submission from a national architectural contest that incorporated a Greek Acropolis design by Henry Hornbostel for 30 buildings. However, due to financial and other constraints, only four of the buildings were constructed in this style, of which only Thaw Hall remains today. In the fall of 1909, the University became the first college to adopt the panther as its mascot. It was also during this period that the university, led by Chancellor Samuel McCormick, again held off pressures to abandon the school's commitment to liberal education in favor of more technical-based training. During his administration, McCormick also led the university into a new level of national recognition, expansion, and growth, as well as beginning institutional support of athletics. | How much land was purchased by the University in 1907? | To consolidate all of its components on one campus, WUP bought 43 acres (170,000 m2) of land in December 1907 in what is now the Oakland neighborhood of Pittsburgh and began relocating departments there by 1909. | Citing a need to avoid confusion, distinguish itself from the University of Pennsylvania, and return to its roots by identifying itself with the city, the Western University of Pennsylvania, by act of the state legislature, was renamed the University of Pittsburgh in the summer of 1908. During this time, the University had also outgrown its accommodations on what is now the North Side of Pittsburgh and its departments had been scattered throughout the city for years. To consolidate all of its components on one campus, WUP bought 43 acres (170,000 m2) of land in December 1907 in what is now the Oakland neighborhood of Pittsburgh and began relocating departments there by 1909. The initial campus plan for the new location centered on the winning submission from a national architectural contest that incorporated a Greek Acropolis design by Henry Hornbostel for 30 buildings. However, due to financial and other constraints, only four of the buildings were constructed in this style, of which only Thaw Hall remains today. In the fall of 1909, the University became the first college to adopt the panther as its mascot. It was also during this period that the university, led by Chancellor Samuel McCormick, again held off pressures to abandon the school's commitment to liberal education in favor of more technical-based training. During his administration, McCormick also led the university into a new level of national recognition, expansion, and growth, as well as beginning institutional support of athletics. | To consolidate all of its components on one campus, WUP bought <hl> 43 acres <hl> (170,000 m2) of land in December 1907 in what is now the Oakland neighborhood of Pittsburgh and began relocating departments there by 1909. | Citing a need to avoid confusion, distinguish itself from the University of Pennsylvania, and return to its roots by identifying itself with the city, the Western University of Pennsylvania, by act of the state legislature, was renamed the University of Pittsburgh in the summer of 1908. During this time, the University had also outgrown its accommodations on what is now the North Side of Pittsburgh and its departments had been scattered throughout the city for years. To consolidate all of its components on one campus, WUP bought <hl> 43 acres <hl> (170,000 m2) of land in December 1907 in what is now the Oakland neighborhood of Pittsburgh and began relocating departments there by 1909. The initial campus plan for the new location centered on the winning submission from a national architectural contest that incorporated a Greek Acropolis design by Henry Hornbostel for 30 buildings. However, due to financial and other constraints, only four of the buildings were constructed in this style, of which only Thaw Hall remains today. In the fall of 1909, the University became the first college to adopt the panther as its mascot. It was also during this period that the university, led by Chancellor Samuel McCormick, again held off pressures to abandon the school's commitment to liberal education in favor of more technical-based training. During his administration, McCormick also led the university into a new level of national recognition, expansion, and growth, as well as beginning institutional support of athletics. | Citing a need to avoid confusion, distinguish itself from the University of Pennsylvania, and return to its roots by identifying itself with the city, the Western University of Pennsylvania, by act of the state legislature, was renamed the University of Pittsburgh in the summer of 1908. During this time, the University had also outgrown its accommodations on what is now the North Side of Pittsburgh and its departments had been scattered throughout the city for years. <hl> To consolidate all of its components on one campus, WUP bought 43 acres (170,000 m2) of land in December 1907 in what is now the Oakland neighborhood of Pittsburgh and began relocating departments there by 1909. <hl> The initial campus plan for the new location centered on the winning submission from a national architectural contest that incorporated a Greek Acropolis design by Henry Hornbostel for 30 buildings. However, due to financial and other constraints, only four of the buildings were constructed in this style, of which only Thaw Hall remains today. In the fall of 1909, the University became the first college to adopt the panther as its mascot. It was also during this period that the university, led by Chancellor Samuel McCormick, again held off pressures to abandon the school's commitment to liberal education in favor of more technical-based training. During his administration, McCormick also led the university into a new level of national recognition, expansion, and growth, as well as beginning institutional support of athletics. | 5d66f4162b22cd4dfcfbe743 |
Lenin | question: Who wrote the book Imperialism, the Highest Stage of Capitalism?, context: At the outset of World War I in 1914, the Bolsheviks opposed the war unlike most other socialist parties across Europe that supported their national governments. Lenin and a small group of anti-war socialist leaders, including Rosa Luxemburg and Karl Liebknecht, denounced established socialist leaders of having betrayed the socialist ideal via their support of the war. In response to the outbreak of World War I, Lenin wrote his book Imperialism, the Highest Stage of Capitalism from 1915 to 1916 and published in 1917 in which he argued that capitalism directly leads to imperialism. As a means to destabilise Russia on the Eastern Front, Germany's High Command allowed Lenin to travel across Germany and German-held territory into Russia in April 1917, anticipating him partaking in revolutionary activity. | Who wrote the book Imperialism, the Highest Stage of Capitalism? | Lenin and a small group of anti-war socialist leaders, including Rosa Luxemburg and Karl Liebknecht, denounced established socialist leaders of having betrayed the socialist ideal via their support of the war. | At the outset of World War I in 1914, the Bolsheviks opposed the war unlike most other socialist parties across Europe that supported their national governments. Lenin and a small group of anti-war socialist leaders, including Rosa Luxemburg and Karl Liebknecht, denounced established socialist leaders of having betrayed the socialist ideal via their support of the war. In response to the outbreak of World War I, Lenin wrote his book Imperialism, the Highest Stage of Capitalism from 1915 to 1916 and published in 1917 in which he argued that capitalism directly leads to imperialism. As a means to destabilise Russia on the Eastern Front, Germany's High Command allowed Lenin to travel across Germany and German-held territory into Russia in April 1917, anticipating him partaking in revolutionary activity. | <hl> Lenin <hl> and a small group of anti-war socialist leaders, including Rosa Luxemburg and Karl Liebknecht, denounced established socialist leaders of having betrayed the socialist ideal via their support of the war. | At the outset of World War I in 1914, the Bolsheviks opposed the war unlike most other socialist parties across Europe that supported their national governments. <hl> Lenin <hl> and a small group of anti-war socialist leaders, including Rosa Luxemburg and Karl Liebknecht, denounced established socialist leaders of having betrayed the socialist ideal via their support of the war. In response to the outbreak of World War I, Lenin wrote his book Imperialism, the Highest Stage of Capitalism from 1915 to 1916 and published in 1917 in which he argued that capitalism directly leads to imperialism. As a means to destabilise Russia on the Eastern Front, Germany's High Command allowed Lenin to travel across Germany and German-held territory into Russia in April 1917, anticipating him partaking in revolutionary activity. | At the outset of World War I in 1914, the Bolsheviks opposed the war unlike most other socialist parties across Europe that supported their national governments. <hl> Lenin and a small group of anti-war socialist leaders, including Rosa Luxemburg and Karl Liebknecht, denounced established socialist leaders of having betrayed the socialist ideal via their support of the war. <hl> In response to the outbreak of World War I, Lenin wrote his book Imperialism, the Highest Stage of Capitalism from 1915 to 1916 and published in 1917 in which he argued that capitalism directly leads to imperialism. As a means to destabilise Russia on the Eastern Front, Germany's High Command allowed Lenin to travel across Germany and German-held territory into Russia in April 1917, anticipating him partaking in revolutionary activity. | 5d6814242b22cd4dfcfc0567 |
windward | question: What side of the mountain is usually the wettest?, context: Orographic precipitation occurs on the windward side of mountains and is caused by the rising air motion of a large-scale flow of moist air across the mountain ridge, resulting in adiabatic cooling and condensation. In mountainous parts of the world subjected to relatively consistent winds (for example, the trade winds), a more moist climate usually prevails on the windward side of a mountain than on the leeward or downwind side. Moisture is removed by orographic lift, leaving drier air (see katabatic wind) on the descending and generally warming, leeward side where a rain shadow is observed. | What side of the mountain is usually the wettest? | Orographic precipitation occurs on the windward side of mountains and is caused by the rising air motion of a large-scale flow of moist air across the mountain ridge, resulting in adiabatic cooling and condensation. | Orographic precipitation occurs on the windward side of mountains and is caused by the rising air motion of a large-scale flow of moist air across the mountain ridge, resulting in adiabatic cooling and condensation. In mountainous parts of the world subjected to relatively consistent winds (for example, the trade winds), a more moist climate usually prevails on the windward side of a mountain than on the leeward or downwind side. Moisture is removed by orographic lift, leaving drier air (see katabatic wind) on the descending and generally warming, leeward side where a rain shadow is observed. | Orographic precipitation occurs on the <hl> windward <hl> side of mountains and is caused by the rising air motion of a large-scale flow of moist air across the mountain ridge, resulting in adiabatic cooling and condensation. | Orographic precipitation occurs on the <hl> windward <hl> side of mountains and is caused by the rising air motion of a large-scale flow of moist air across the mountain ridge, resulting in adiabatic cooling and condensation. In mountainous parts of the world subjected to relatively consistent winds (for example, the trade winds), a more moist climate usually prevails on the windward side of a mountain than on the leeward or downwind side. Moisture is removed by orographic lift, leaving drier air (see katabatic wind) on the descending and generally warming, leeward side where a rain shadow is observed. | <hl> Orographic precipitation occurs on the windward side of mountains and is caused by the rising air motion of a large-scale flow of moist air across the mountain ridge, resulting in adiabatic cooling and condensation. <hl> In mountainous parts of the world subjected to relatively consistent winds (for example, the trade winds), a more moist climate usually prevails on the windward side of a mountain than on the leeward or downwind side. Moisture is removed by orographic lift, leaving drier air (see katabatic wind) on the descending and generally warming, leeward side where a rain shadow is observed. | 5d6783d52b22cd4dfcfbfdde |
1980 | question: In what year did men begin to support Republicans more than women?, context: Since 1980, a "gender gap" has seen slightly stronger support for the Republican Party among men than among women. In 2012, Obama won 55% of the women and 45% of the men—and more women voted than men. In the 2006 House races, 43% of women voted Republican, while 47% of men did so. In the 2010 midterms, the "gender gap" was reduced with women supporting Republican and Democratic candidates equally 49% to 49%. In recent elections, Republicans have found their greatest support among whites from married couples with children living at home. Unmarried and divorced women were far more likely to vote for Kerry in 2004. The 2012 returns reveal a continued weakness among unmarried women for the GOP, a large and growing portion of the electorate. Although Mitt Romney lost women as a whole 44–55 to Barack Obama, he won married women 53–46. Obama won unmarried women 67–31, | In what year did men begin to support Republicans more than women? | Since 1980 , a "gender gap" has seen slightly stronger support for the Republican Party among men than among women. | Since 1980, a "gender gap" has seen slightly stronger support for the Republican Party among men than among women. In 2012, Obama won 55% of the women and 45% of the men—and more women voted than men. In the 2006 House races, 43% of women voted Republican, while 47% of men did so. In the 2010 midterms, the "gender gap" was reduced with women supporting Republican and Democratic candidates equally 49% to 49%. In recent elections, Republicans have found their greatest support among whites from married couples with children living at home. Unmarried and divorced women were far more likely to vote for Kerry in 2004. The 2012 returns reveal a continued weakness among unmarried women for the GOP, a large and growing portion of the electorate. Although Mitt Romney lost women as a whole 44–55 to Barack Obama, he won married women 53–46. Obama won unmarried women 67–31, | Since <hl> 1980 <hl> , a "gender gap" has seen slightly stronger support for the Republican Party among men than among women. | Since <hl> 1980 <hl>, a "gender gap" has seen slightly stronger support for the Republican Party among men than among women. In 2012, Obama won 55% of the women and 45% of the men—and more women voted than men. In the 2006 House races, 43% of women voted Republican, while 47% of men did so. In the 2010 midterms, the "gender gap" was reduced with women supporting Republican and Democratic candidates equally 49% to 49%. In recent elections, Republicans have found their greatest support among whites from married couples with children living at home. Unmarried and divorced women were far more likely to vote for Kerry in 2004. The 2012 returns reveal a continued weakness among unmarried women for the GOP, a large and growing portion of the electorate. Although Mitt Romney lost women as a whole 44–55 to Barack Obama, he won married women 53–46. Obama won unmarried women 67–31, | <hl> Since 1980 , a "gender gap" has seen slightly stronger support for the Republican Party among men than among women. <hl> In 2012, Obama won 55% of the women and 45% of the men—and more women voted than men. In the 2006 House races, 43% of women voted Republican, while 47% of men did so. In the 2010 midterms, the "gender gap" was reduced with women supporting Republican and Democratic candidates equally 49% to 49%. In recent elections, Republicans have found their greatest support among whites from married couples with children living at home. Unmarried and divorced women were far more likely to vote for Kerry in 2004. The 2012 returns reveal a continued weakness among unmarried women for the GOP, a large and growing portion of the electorate. Although Mitt Romney lost women as a whole 44–55 to Barack Obama, he won married women 53–46. Obama won unmarried women 67–31, | 5d6713502b22cd4dfcfbee24 |
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. | 5d65c1692b22cd4dfcfbcb98 |
forty-niners | question: What were the groups of immigrants from around the globe called who swarmed the "Mother Lode"?, context: On August 19, 1848, the New York Herald was the first major newspaper on the East Coast to report the discovery of gold. On December 5, 1848, President James Polk confirmed the discovery of gold in an address to Congress.:80 Soon, waves of immigrants from around the world, later called the "forty-niners", invaded the Gold Country of California or "Mother Lode". Miners lived in tents, wood shanties, or deck cabins removed from abandoned ships. Wherever gold was discovered, hundreds of miners would collaborate to put up a camp and stake their claims. | What were the groups of immigrants from around the globe called who swarmed the "Mother Lode"? | On December 5, 1848, President James Polk confirmed the discovery of gold in an address to Congress.:80 Soon, waves of immigrants from around the world, later called the " forty-niners ", invaded the Gold Country of California or "Mother Lode". | On August 19, 1848, the New York Herald was the first major newspaper on the East Coast to report the discovery of gold. On December 5, 1848, President James Polk confirmed the discovery of gold in an address to Congress.:80 Soon, waves of immigrants from around the world, later called the "forty-niners", invaded the Gold Country of California or "Mother Lode". Miners lived in tents, wood shanties, or deck cabins removed from abandoned ships. Wherever gold was discovered, hundreds of miners would collaborate to put up a camp and stake their claims. | On December 5, 1848, President James Polk confirmed the discovery of gold in an address to Congress.:80 Soon, waves of immigrants from around the world, later called the " <hl> forty-niners <hl> ", invaded the Gold Country of California or "Mother Lode". | On August 19, 1848, the New York Herald was the first major newspaper on the East Coast to report the discovery of gold. On December 5, 1848, President James Polk confirmed the discovery of gold in an address to Congress.:80 Soon, waves of immigrants from around the world, later called the "<hl> forty-niners <hl>", invaded the Gold Country of California or "Mother Lode". Miners lived in tents, wood shanties, or deck cabins removed from abandoned ships. Wherever gold was discovered, hundreds of miners would collaborate to put up a camp and stake their claims. | On August 19, 1848, the New York Herald was the first major newspaper on the East Coast to report the discovery of gold. <hl> On December 5, 1848, President James Polk confirmed the discovery of gold in an address to Congress.:80 Soon, waves of immigrants from around the world, later called the " forty-niners ", invaded the Gold Country of California or "Mother Lode". <hl> Miners lived in tents, wood shanties, or deck cabins removed from abandoned ships. Wherever gold was discovered, hundreds of miners would collaborate to put up a camp and stake their claims. | 5d670c1e2b22cd4dfcfbec0d |
In Russia and Bulgaria | question: Patronymic and family name are required parts of one's full name where?, context: Patronymic name conventions are similar in some other nations, including Malaysia (see Malaysian name) and other Muslim countries, among most people of the Indian states of Tamil Nadu and Kerala (unlike another Indian state Andhra Pradesh, where ancestral origin village names have become surnames for the people), in Mongolia and in the Scottish Gaelic personal naming system. In Russia and Bulgaria, both patronymic and family name are obligatory parts of one's full name: e.g. if a Russian is called Ivan Andreyevich Sergeyev, that means that his father's name is Andrey and his family name is Sergeyev. A similar system is used in Greece. | Patronymic and family name are required parts of one's full name where? | In Russia and Bulgaria , both patronymic and family name are obligatory parts of one's full name: e.g. if a Russian is called Ivan Andreyevich Sergeyev, that means that his father's name is Andrey and his family name is Sergeyev. | Patronymic name conventions are similar in some other nations, including Malaysia (see Malaysian name) and other Muslim countries, among most people of the Indian states of Tamil Nadu and Kerala (unlike another Indian state Andhra Pradesh, where ancestral origin village names have become surnames for the people), in Mongolia and in the Scottish Gaelic personal naming system. In Russia and Bulgaria, both patronymic and family name are obligatory parts of one's full name: e.g. if a Russian is called Ivan Andreyevich Sergeyev, that means that his father's name is Andrey and his family name is Sergeyev. A similar system is used in Greece. | <hl> In Russia and Bulgaria <hl> , both patronymic and family name are obligatory parts of one's full name: e.g. if a Russian is called Ivan Andreyevich Sergeyev, that means that his father's name is Andrey and his family name is Sergeyev. | Patronymic name conventions are similar in some other nations, including Malaysia (see Malaysian name) and other Muslim countries, among most people of the Indian states of Tamil Nadu and Kerala (unlike another Indian state Andhra Pradesh, where ancestral origin village names have become surnames for the people), in Mongolia and in the Scottish Gaelic personal naming system. <hl> In Russia and Bulgaria <hl>, both patronymic and family name are obligatory parts of one's full name: e.g. if a Russian is called Ivan Andreyevich Sergeyev, that means that his father's name is Andrey and his family name is Sergeyev. A similar system is used in Greece. | Patronymic name conventions are similar in some other nations, including Malaysia (see Malaysian name) and other Muslim countries, among most people of the Indian states of Tamil Nadu and Kerala (unlike another Indian state Andhra Pradesh, where ancestral origin village names have become surnames for the people), in Mongolia and in the Scottish Gaelic personal naming system. <hl> In Russia and Bulgaria , both patronymic and family name are obligatory parts of one's full name: e.g. if a Russian is called Ivan Andreyevich Sergeyev, that means that his father's name is Andrey and his family name is Sergeyev. <hl> A similar system is used in Greece. | 5d673a3c2b22cd4dfcfbf31a |
functional nature | question: What kind of nature of an expression is talked about?, context: To define a function, sometimes a dot notation is used in order to emphasize the functional nature of an expression without assigning a special symbol to the variable. For instance,
a
(
⋅
)
2
{\displaystyle \scriptstyle a(\cdot )^{2}}
stands for the function
x
↦
a
x
2
{\displaystyle \textstyle x\mapsto ax^{2}}
,
∫
a
⋅
f
(
u
)
d
u
{\displaystyle \scriptstyle \int _{a}^{\,\cdot }f(u)du}
stands for the integral function
x
↦
∫
a
x
f
(
u
)
d
u
{\displaystyle \scriptstyle x\mapsto \int _{a}^{x}f(u)du}
, and so on. | What kind of nature of an expression is talked about? | To define a function, sometimes a dot notation is used in order to emphasize the functional nature of an expression without assigning a special symbol to the variable. | To define a function, sometimes a dot notation is used in order to emphasize the functional nature of an expression without assigning a special symbol to the variable. For instance,
a
(
⋅
)
2
{\displaystyle \scriptstyle a(\cdot )^{2}}
stands for the function
x
↦
a
x
2
{\displaystyle \textstyle x\mapsto ax^{2}}
,
∫
a
⋅
f
(
u
)
d
u
{\displaystyle \scriptstyle \int _{a}^{\,\cdot }f(u)du}
stands for the integral function
x
↦
∫
a
x
f
(
u
)
d
u
{\displaystyle \scriptstyle x\mapsto \int _{a}^{x}f(u)du}
, and so on. | To define a function, sometimes a dot notation is used in order to emphasize the <hl> functional nature <hl> of an expression without assigning a special symbol to the variable. | To define a function, sometimes a dot notation is used in order to emphasize the <hl> functional nature <hl> of an expression without assigning a special symbol to the variable. For instance, a ( ⋅ ) 2 {\displaystyle \scriptstyle a(\cdot )^{2}} stands for the function x ↦ a x 2 {\displaystyle \textstyle x\mapsto ax^{2}} , ∫ a ⋅ f ( u ) d u {\displaystyle \scriptstyle \int _{a}^{\,\cdot }f(u)du} stands for the integral function x ↦ ∫ a x f ( u ) d u {\displaystyle \scriptstyle x\mapsto \int _{a}^{x}f(u)du} , and so on. | <hl> To define a function, sometimes a dot notation is used in order to emphasize the functional nature of an expression without assigning a special symbol to the variable. <hl> For instance, a ( ⋅ ) 2 {\displaystyle \scriptstyle a(\cdot )^{2}} stands for the function x ↦ a x 2 {\displaystyle \textstyle x\mapsto ax^{2}} , ∫ a ⋅ f ( u ) d u {\displaystyle \scriptstyle \int _{a}^{\,\cdot }f(u)du} stands for the integral function x ↦ ∫ a x f ( u ) d u {\displaystyle \scriptstyle x\mapsto \int _{a}^{x}f(u)du} , and so on. | 5d6617882b22cd4dfcfbd83b |
$100 billion | question: Referring to CBO estimates, how much money would create between 100,00 and 600,000 jobs?, context: CBO estimated in November 2011 that increased investment in infrastructure would create between 1-6 jobs per $1 million invested; in other words, a $100 billion investment would generate between 100,000 and 600,000 additional jobs. However, other options, such as reducing employers' payroll taxes (especially if limited to firms that increase their payroll), increasing aid to the unemployed, and providing additional refundable tax credits to lower-income households, would generate more jobs per dollar of investment than infrastructure. | Referring to CBO estimates, how much money would create between 100,00 and 600,000 jobs? | CBO estimated in November 2011 that increased investment in infrastructure would create between 1-6 jobs per $1 million invested; in other words, a $100 billion investment would generate between 100,000 and 600,000 additional jobs. | CBO estimated in November 2011 that increased investment in infrastructure would create between 1-6 jobs per $1 million invested; in other words, a $100 billion investment would generate between 100,000 and 600,000 additional jobs. However, other options, such as reducing employers' payroll taxes (especially if limited to firms that increase their payroll), increasing aid to the unemployed, and providing additional refundable tax credits to lower-income households, would generate more jobs per dollar of investment than infrastructure. | CBO estimated in November 2011 that increased investment in infrastructure would create between 1-6 jobs per $1 million invested; in other words, a <hl> $100 billion <hl> investment would generate between 100,000 and 600,000 additional jobs. | CBO estimated in November 2011 that increased investment in infrastructure would create between 1-6 jobs per $1 million invested; in other words, a <hl> $100 billion <hl> investment would generate between 100,000 and 600,000 additional jobs. However, other options, such as reducing employers' payroll taxes (especially if limited to firms that increase their payroll), increasing aid to the unemployed, and providing additional refundable tax credits to lower-income households, would generate more jobs per dollar of investment than infrastructure. | <hl> CBO estimated in November 2011 that increased investment in infrastructure would create between 1-6 jobs per $1 million invested; in other words, a $100 billion investment would generate between 100,000 and 600,000 additional jobs. <hl> However, other options, such as reducing employers' payroll taxes (especially if limited to firms that increase their payroll), increasing aid to the unemployed, and providing additional refundable tax credits to lower-income households, would generate more jobs per dollar of investment than infrastructure. | 5d67ac482b22cd4dfcfbff8a |
1920s | question: Marxism-Leninism was first found in what decade?, context: Marxism–Leninism first became a distinct philosophical movement in the Soviet Union during the 1920s, when Joseph Stalin and his supporters gained control of the Russian Communist Party (bolsheviks). It rejected the notions, common among Marxists at the time, of world revolution as a prerequisite for building socialism in Russia (in favor of the concept of Socialism in One Country), and of a gradual transition from capitalism to socialism (signified by the introduction of the First Five-Year Plan). The internationalism of Marxism–Leninism was expressed in supporting revolutions in foreign countries (e.g., initially through the Communist International or through the concept of "socialist-leaning countries" of late Soviet Union). | Marxism-Leninism was first found in what decade? | Marxism–Leninism first became a distinct philosophical movement in the Soviet Union during the 1920s , when Joseph Stalin and his supporters gained control of the Russian Communist Party (bolsheviks). | Marxism–Leninism first became a distinct philosophical movement in the Soviet Union during the 1920s, when Joseph Stalin and his supporters gained control of the Russian Communist Party (bolsheviks). It rejected the notions, common among Marxists at the time, of world revolution as a prerequisite for building socialism in Russia (in favor of the concept of Socialism in One Country), and of a gradual transition from capitalism to socialism (signified by the introduction of the First Five-Year Plan). The internationalism of Marxism–Leninism was expressed in supporting revolutions in foreign countries (e.g., initially through the Communist International or through the concept of "socialist-leaning countries" of late Soviet Union). | Marxism–Leninism first became a distinct philosophical movement in the Soviet Union during the <hl> 1920s <hl> , when Joseph Stalin and his supporters gained control of the Russian Communist Party (bolsheviks). | Marxism–Leninism first became a distinct philosophical movement in the Soviet Union during the <hl> 1920s <hl>, when Joseph Stalin and his supporters gained control of the Russian Communist Party (bolsheviks). It rejected the notions, common among Marxists at the time, of world revolution as a prerequisite for building socialism in Russia (in favor of the concept of Socialism in One Country), and of a gradual transition from capitalism to socialism (signified by the introduction of the First Five-Year Plan). The internationalism of Marxism–Leninism was expressed in supporting revolutions in foreign countries (e.g., initially through the Communist International or through the concept of "socialist-leaning countries" of late Soviet Union). | <hl> Marxism–Leninism first became a distinct philosophical movement in the Soviet Union during the 1920s , when Joseph Stalin and his supporters gained control of the Russian Communist Party (bolsheviks). <hl> It rejected the notions, common among Marxists at the time, of world revolution as a prerequisite for building socialism in Russia (in favor of the concept of Socialism in One Country), and of a gradual transition from capitalism to socialism (signified by the introduction of the First Five-Year Plan). The internationalism of Marxism–Leninism was expressed in supporting revolutions in foreign countries (e.g., initially through the Communist International or through the concept of "socialist-leaning countries" of late Soviet Union). | 5d6729372b22cd4dfcfbf12e |
through specialized junctions called synapses | question: How are neurons able to communicate with other neurons and cell types?, context: The scientific study of the nervous system has increased significantly during the second half of the twentieth century, principally due to advances in molecular biology, electrophysiology, and computational neuroscience. This has allowed neuroscientists to study the nervous system in all its aspects: how it is structured, how it works, how it develops, how it malfunctions, and how it can be changed. For example, it has become possible to understand, in much detail, the complex processes occurring within a single neuron. Neurons are cells specialized for communication. They are able to communicate with neurons and other cell types through specialized junctions called synapses, at which electrical or electrochemical signals can be transmitted from one cell to another. Many neurons extrude long thin filaments of protoplasm called axons, which may extend to distant parts of the body and are capable of rapidly carrying electrical signals, influencing the activity of other neurons, muscles, or glands at their termination points. A nervous system emerges from the assemblage of neurons that are connected to each other. | How are neurons able to communicate with other neurons and cell types? | They are able to communicate with neurons and other cell types through specialized junctions called synapses , at which electrical or electrochemical signals can be transmitted from one cell to another. | The scientific study of the nervous system has increased significantly during the second half of the twentieth century, principally due to advances in molecular biology, electrophysiology, and computational neuroscience. This has allowed neuroscientists to study the nervous system in all its aspects: how it is structured, how it works, how it develops, how it malfunctions, and how it can be changed. For example, it has become possible to understand, in much detail, the complex processes occurring within a single neuron. Neurons are cells specialized for communication. They are able to communicate with neurons and other cell types through specialized junctions called synapses, at which electrical or electrochemical signals can be transmitted from one cell to another. Many neurons extrude long thin filaments of protoplasm called axons, which may extend to distant parts of the body and are capable of rapidly carrying electrical signals, influencing the activity of other neurons, muscles, or glands at their termination points. A nervous system emerges from the assemblage of neurons that are connected to each other. | They are able to communicate with neurons and other cell types <hl> through specialized junctions called synapses <hl> , at which electrical or electrochemical signals can be transmitted from one cell to another. | The scientific study of the nervous system has increased significantly during the second half of the twentieth century, principally due to advances in molecular biology, electrophysiology, and computational neuroscience. This has allowed neuroscientists to study the nervous system in all its aspects: how it is structured, how it works, how it develops, how it malfunctions, and how it can be changed. For example, it has become possible to understand, in much detail, the complex processes occurring within a single neuron. Neurons are cells specialized for communication. They are able to communicate with neurons and other cell types <hl> through specialized junctions called synapses <hl>, at which electrical or electrochemical signals can be transmitted from one cell to another. Many neurons extrude long thin filaments of protoplasm called axons, which may extend to distant parts of the body and are capable of rapidly carrying electrical signals, influencing the activity of other neurons, muscles, or glands at their termination points. A nervous system emerges from the assemblage of neurons that are connected to each other. | The scientific study of the nervous system has increased significantly during the second half of the twentieth century, principally due to advances in molecular biology, electrophysiology, and computational neuroscience. This has allowed neuroscientists to study the nervous system in all its aspects: how it is structured, how it works, how it develops, how it malfunctions, and how it can be changed. For example, it has become possible to understand, in much detail, the complex processes occurring within a single neuron. Neurons are cells specialized for communication. <hl> They are able to communicate with neurons and other cell types through specialized junctions called synapses , at which electrical or electrochemical signals can be transmitted from one cell to another. <hl> Many neurons extrude long thin filaments of protoplasm called axons, which may extend to distant parts of the body and are capable of rapidly carrying electrical signals, influencing the activity of other neurons, muscles, or glands at their termination points. A nervous system emerges from the assemblage of neurons that are connected to each other. | 5d670fe02b22cd4dfcfbecfc |
Black Sea | question: What sea divides the city so the economic centers are on one side?, context: Istanbul is located in north-western Turkey within the Marmara Region on a total area of 5,343 square kilometers (2,063 sq mi).[c] The Bosphorus, which connects the Sea of Marmara to the Black Sea, divides the city into a European, Thracian side—comprising the historic and economic centers—and an Asian, Anatolian side. The city is further divided by the Golden Horn, a natural harbor bounding the peninsula where the former Byzantium and Constantinople were founded. The confluence of the Sea of Marmara, the Bosphorus, and the Golden Horn at the heart of present-day Istanbul has deterred attacking forces for thousands of years and remains a prominent feature of the city's landscape. | What sea divides the city so the economic centers are on one side? | Istanbul is located in north-western Turkey within the Marmara Region on a total area of 5,343 square kilometers (2,063 sq mi).[c] The Bosphorus, which connects the Sea of Marmara to the Black Sea , divides the city into a European, Thracian side—comprising the historic and economic centers—and an Asian, Anatolian side. | Istanbul is located in north-western Turkey within the Marmara Region on a total area of 5,343 square kilometers (2,063 sq mi).[c] The Bosphorus, which connects the Sea of Marmara to the Black Sea, divides the city into a European, Thracian side—comprising the historic and economic centers—and an Asian, Anatolian side. The city is further divided by the Golden Horn, a natural harbor bounding the peninsula where the former Byzantium and Constantinople were founded. The confluence of the Sea of Marmara, the Bosphorus, and the Golden Horn at the heart of present-day Istanbul has deterred attacking forces for thousands of years and remains a prominent feature of the city's landscape. | Istanbul is located in north-western Turkey within the Marmara Region on a total area of 5,343 square kilometers (2,063 sq mi).[c] The Bosphorus, which connects the Sea of Marmara to the <hl> Black Sea <hl> , divides the city into a European, Thracian side—comprising the historic and economic centers—and an Asian, Anatolian side. | Istanbul is located in north-western Turkey within the Marmara Region on a total area of 5,343 square kilometers (2,063 sq mi).[c] The Bosphorus, which connects the Sea of Marmara to the <hl> Black Sea <hl>, divides the city into a European, Thracian side—comprising the historic and economic centers—and an Asian, Anatolian side. The city is further divided by the Golden Horn, a natural harbor bounding the peninsula where the former Byzantium and Constantinople were founded. The confluence of the Sea of Marmara, the Bosphorus, and the Golden Horn at the heart of present-day Istanbul has deterred attacking forces for thousands of years and remains a prominent feature of the city's landscape. | <hl> Istanbul is located in north-western Turkey within the Marmara Region on a total area of 5,343 square kilometers (2,063 sq mi).[c] The Bosphorus, which connects the Sea of Marmara to the Black Sea , divides the city into a European, Thracian side—comprising the historic and economic centers—and an Asian, Anatolian side. <hl> The city is further divided by the Golden Horn, a natural harbor bounding the peninsula where the former Byzantium and Constantinople were founded. The confluence of the Sea of Marmara, the Bosphorus, and the Golden Horn at the heart of present-day Istanbul has deterred attacking forces for thousands of years and remains a prominent feature of the city's landscape. | 5d65c8802b22cd4dfcfbcd28 |
in a situation such as his win, the top "three" parties in the governor's race all became major parties | question: What change did the state law bring during Weicker's administration?, context: In short, most winning candidates have won the endorsement of the applicable "major"-party convention; nearly all of the rest have won with a "professionally managed" primary-election campaign; and successful minor-party candidates are almost without exception major-party figures like Lowell Weicker whose minor parties disappear after that success. A Connecticut Party, which Weicker founded, became nominally the leading major party, and state law was changed during his administration to provide that in a situation such as his win, the top "three" parties in the governor's race all became major parties. | What change did the state law bring during Weicker's administration? | A Connecticut Party, which Weicker founded, became nominally the leading major party, and state law was changed during his administration to provide that in a situation such as his win, the top "three" parties in the governor's race all became major parties . | In short, most winning candidates have won the endorsement of the applicable "major"-party convention; nearly all of the rest have won with a "professionally managed" primary-election campaign; and successful minor-party candidates are almost without exception major-party figures like Lowell Weicker whose minor parties disappear after that success. A Connecticut Party, which Weicker founded, became nominally the leading major party, and state law was changed during his administration to provide that in a situation such as his win, the top "three" parties in the governor's race all became major parties. | A Connecticut Party, which Weicker founded, became nominally the leading major party, and state law was changed during his administration to provide that <hl> in a situation such as his win, the top "three" parties in the governor's race all became major parties <hl> . | In short, most winning candidates have won the endorsement of the applicable "major"-party convention; nearly all of the rest have won with a "professionally managed" primary-election campaign; and successful minor-party candidates are almost without exception major-party figures like Lowell Weicker whose minor parties disappear after that success. A Connecticut Party, which Weicker founded, became nominally the leading major party, and state law was changed during his administration to provide that <hl> in a situation such as his win, the top "three" parties in the governor's race all became major parties <hl>. | In short, most winning candidates have won the endorsement of the applicable "major"-party convention; nearly all of the rest have won with a "professionally managed" primary-election campaign; and successful minor-party candidates are almost without exception major-party figures like Lowell Weicker whose minor parties disappear after that success. <hl> A Connecticut Party, which Weicker founded, became nominally the leading major party, and state law was changed during his administration to provide that in a situation such as his win, the top "three" parties in the governor's race all became major parties . <hl> | 5d6683732b22cd4dfcfbe169 |
1608 | question: When was the refracting telescope invented?, context: Lenses came into widespread use in Europe with the invention of spectacles, probably in Italy in the 1280s. This was the start of the optical industry of grinding and polishing lenses for spectacles, first in Venice and Florence in the thirteenth century, and later in the spectacle-making centres in both the Netherlands and Germany. Spectacle makers created improved types of lenses for the correction of vision based more on empirical knowledge gained from observing the effects of the lenses (probably without the knowledge of the rudimentary optical theory of the day). The practical development and experimentation with lenses led to the invention of the compound optical microscope around 1595, and the refracting telescope in 1608, both of which appeared in the spectacle-making centres in the Netherlands. | When was the refracting telescope invented? | The practical development and experimentation with lenses led to the invention of the compound optical microscope around 1595, and the refracting telescope in 1608 , both of which appeared in the spectacle-making centres in the Netherlands. | Lenses came into widespread use in Europe with the invention of spectacles, probably in Italy in the 1280s. This was the start of the optical industry of grinding and polishing lenses for spectacles, first in Venice and Florence in the thirteenth century, and later in the spectacle-making centres in both the Netherlands and Germany. Spectacle makers created improved types of lenses for the correction of vision based more on empirical knowledge gained from observing the effects of the lenses (probably without the knowledge of the rudimentary optical theory of the day). The practical development and experimentation with lenses led to the invention of the compound optical microscope around 1595, and the refracting telescope in 1608, both of which appeared in the spectacle-making centres in the Netherlands. | The practical development and experimentation with lenses led to the invention of the compound optical microscope around 1595, and the refracting telescope in <hl> 1608 <hl> , both of which appeared in the spectacle-making centres in the Netherlands. | Lenses came into widespread use in Europe with the invention of spectacles, probably in Italy in the 1280s. This was the start of the optical industry of grinding and polishing lenses for spectacles, first in Venice and Florence in the thirteenth century, and later in the spectacle-making centres in both the Netherlands and Germany. Spectacle makers created improved types of lenses for the correction of vision based more on empirical knowledge gained from observing the effects of the lenses (probably without the knowledge of the rudimentary optical theory of the day). The practical development and experimentation with lenses led to the invention of the compound optical microscope around 1595, and the refracting telescope in <hl> 1608 <hl>, both of which appeared in the spectacle-making centres in the Netherlands. | Lenses came into widespread use in Europe with the invention of spectacles, probably in Italy in the 1280s. This was the start of the optical industry of grinding and polishing lenses for spectacles, first in Venice and Florence in the thirteenth century, and later in the spectacle-making centres in both the Netherlands and Germany. Spectacle makers created improved types of lenses for the correction of vision based more on empirical knowledge gained from observing the effects of the lenses (probably without the knowledge of the rudimentary optical theory of the day). <hl> The practical development and experimentation with lenses led to the invention of the compound optical microscope around 1595, and the refracting telescope in 1608 , both of which appeared in the spectacle-making centres in the Netherlands. <hl> | 5d6768722b22cd4dfcfbfa56 |
focal lengths | question: Lens are either long-focus lenses or wide-angle lenses depending on their what?, context: Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths. | Lens are either long-focus lenses or wide-angle lenses depending on their what? | The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths . | Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths. | The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their <hl> focal lengths <hl> . | Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their <hl> focal lengths <hl>. | Linear magnification M is not always the most useful measure of magnifying power. For instance, when characterizing a visual telescope or binoculars that produce only a virtual image, one would be more concerned with the angular magnification—which expresses how much larger a distant object appears through the telescope compared to the naked eye. In the case of a camera one would quote the plate scale, which compares the apparent (angular) size of a distant object to the size of the real image produced at the focus. <hl> The plate scale is the reciprocal of the focal length of the camera lens; lenses are categorized as long-focus lenses or wide-angle lenses according to their focal lengths . <hl> | 5d677b342b22cd4dfcfbfd08 |
a low-salt diet may be harmful in those with congestive heart failure | question: What does the Cochrane review suggest may be harmful to those with congestive heart failure?, context: The effect of a low-salt diet is unclear. A Cochrane review concluded that any benefit in either hypertensive or normal-tensive people is small if present. In addition, the review suggested that a low-salt diet may be harmful in those with congestive heart failure. However, the review was criticized in particular for not excluding a trial in heart failure where people had low-salt and -water levels due to diuretics. When this study is left out, the rest of the trials show a trend to benefit. Another review of dietary salt concluded that there is strong evidence that high dietary salt intake increases blood pressure and worsens hypertension, and that it increases the number of cardiovascular disease events; the latter happen both through the increased blood pressure and, quite likely, through other mechanisms. Moderate evidence was found that high salt intake increases cardiovascular mortality; and some evidence was found for an increase in overall mortality, strokes, and left ventricular hypertrophy. | What does the Cochrane review suggest may be harmful to those with congestive heart failure? | In addition, the review suggested that a low-salt diet may be harmful in those with congestive heart failure . | The effect of a low-salt diet is unclear. A Cochrane review concluded that any benefit in either hypertensive or normal-tensive people is small if present. In addition, the review suggested that a low-salt diet may be harmful in those with congestive heart failure. However, the review was criticized in particular for not excluding a trial in heart failure where people had low-salt and -water levels due to diuretics. When this study is left out, the rest of the trials show a trend to benefit. Another review of dietary salt concluded that there is strong evidence that high dietary salt intake increases blood pressure and worsens hypertension, and that it increases the number of cardiovascular disease events; the latter happen both through the increased blood pressure and, quite likely, through other mechanisms. Moderate evidence was found that high salt intake increases cardiovascular mortality; and some evidence was found for an increase in overall mortality, strokes, and left ventricular hypertrophy. | In addition, the review suggested that <hl> a low-salt diet may be harmful in those with congestive heart failure <hl> . | The effect of a low-salt diet is unclear. A Cochrane review concluded that any benefit in either hypertensive or normal-tensive people is small if present. In addition, the review suggested that <hl> a low-salt diet may be harmful in those with congestive heart failure <hl>. However, the review was criticized in particular for not excluding a trial in heart failure where people had low-salt and -water levels due to diuretics. When this study is left out, the rest of the trials show a trend to benefit. Another review of dietary salt concluded that there is strong evidence that high dietary salt intake increases blood pressure and worsens hypertension, and that it increases the number of cardiovascular disease events; the latter happen both through the increased blood pressure and, quite likely, through other mechanisms. Moderate evidence was found that high salt intake increases cardiovascular mortality; and some evidence was found for an increase in overall mortality, strokes, and left ventricular hypertrophy. | The effect of a low-salt diet is unclear. A Cochrane review concluded that any benefit in either hypertensive or normal-tensive people is small if present. <hl> In addition, the review suggested that a low-salt diet may be harmful in those with congestive heart failure . <hl> However, the review was criticized in particular for not excluding a trial in heart failure where people had low-salt and -water levels due to diuretics. When this study is left out, the rest of the trials show a trend to benefit. Another review of dietary salt concluded that there is strong evidence that high dietary salt intake increases blood pressure and worsens hypertension, and that it increases the number of cardiovascular disease events; the latter happen both through the increased blood pressure and, quite likely, through other mechanisms. Moderate evidence was found that high salt intake increases cardiovascular mortality; and some evidence was found for an increase in overall mortality, strokes, and left ventricular hypertrophy. | 5d65c3072b22cd4dfcfbcbf0 |
Tin | question: What is the major metal in the American and Canadian pennies?, context: Tin in combination with other elements forms a wide variety of useful alloys. Tin is most commonly alloyed with copper. Pewter is 85–99% tin; Bearing metal has a high percentage of tin as well. Bronze is mostly copper (12% tin), while addition of phosphorus gives phosphor bronze. Bell metal is also a copper-tin alloy, containing 22% tin. Tin has also sometimes been used in coinage; for example, it once formed a single-digit figure percentage (usually five percent or less) of the American and Canadian pennies. Because copper is often the major metal in such coins, and zinc is sometimes present as well, these could technically be called bronze and/or brass alloys. | What is the major metal in the American and Canadian pennies? | Tin in combination with other elements forms a wide variety of useful alloys. | Tin in combination with other elements forms a wide variety of useful alloys. Tin is most commonly alloyed with copper. Pewter is 85–99% tin; Bearing metal has a high percentage of tin as well. Bronze is mostly copper (12% tin), while addition of phosphorus gives phosphor bronze. Bell metal is also a copper-tin alloy, containing 22% tin. Tin has also sometimes been used in coinage; for example, it once formed a single-digit figure percentage (usually five percent or less) of the American and Canadian pennies. Because copper is often the major metal in such coins, and zinc is sometimes present as well, these could technically be called bronze and/or brass alloys. | <hl> Tin <hl> in combination with other elements forms a wide variety of useful alloys. | <hl> Tin <hl> in combination with other elements forms a wide variety of useful alloys. Tin is most commonly alloyed with copper. Pewter is 85–99% tin; Bearing metal has a high percentage of tin as well. Bronze is mostly copper (12% tin), while addition of phosphorus gives phosphor bronze. Bell metal is also a copper-tin alloy, containing 22% tin. Tin has also sometimes been used in coinage; for example, it once formed a single-digit figure percentage (usually five percent or less) of the American and Canadian pennies. Because copper is often the major metal in such coins, and zinc is sometimes present as well, these could technically be called bronze and/or brass alloys. | <hl> Tin in combination with other elements forms a wide variety of useful alloys. <hl> Tin is most commonly alloyed with copper. Pewter is 85–99% tin; Bearing metal has a high percentage of tin as well. Bronze is mostly copper (12% tin), while addition of phosphorus gives phosphor bronze. Bell metal is also a copper-tin alloy, containing 22% tin. Tin has also sometimes been used in coinage; for example, it once formed a single-digit figure percentage (usually five percent or less) of the American and Canadian pennies. Because copper is often the major metal in such coins, and zinc is sometimes present as well, these could technically be called bronze and/or brass alloys. | 5d670ee02b22cd4dfcfbecad |
Stalinism | question: Robert Vincent Daniels says Marxism was used to justify what?, context: Marxism–Leninism as a philosophy and a political movement has been criticised over the years from widely different ideological currents, due to its relations with Stalinism, the Soviet Union, state repression in Marxist–Leninist run states and classical Marxism. Trotskyists claim that Marxism–Leninism led to the establishment of state capitalism. Others, such as philosopher Eric Voegelin, claims that Marxism–Leninism is in its core (as in the ideas of Karl Marx and Friedrich Engels) inherently oppressive; claiming that the "Marxian vision dictated the Stalinist outcome not because the communist utopia was inevitable but because it was impossible". Criticism like this has itself been criticised for "philosophical determinism"—i.e., that the negative events in the movement's history were predetermined by their convictions. Historian Robert Vincent Daniels argues that Marxism was used to "justify Stalinism, but it was no longer allowed to serve either as a policy directive or an explanation of reality" during Stalin's rule. In complete contrast, E. Van Ree argues that Stalin continued to be in "general agreement" with the classical works of Marxism until his death. | Robert Vincent Daniels says Marxism was used to justify what? | Marxism–Leninism as a philosophy and a political movement has been criticised over the years from widely different ideological currents, due to its relations with Stalinism , the Soviet Union, state repression in Marxist–Leninist run states and classical Marxism. | Marxism–Leninism as a philosophy and a political movement has been criticised over the years from widely different ideological currents, due to its relations with Stalinism, the Soviet Union, state repression in Marxist–Leninist run states and classical Marxism. Trotskyists claim that Marxism–Leninism led to the establishment of state capitalism. Others, such as philosopher Eric Voegelin, claims that Marxism–Leninism is in its core (as in the ideas of Karl Marx and Friedrich Engels) inherently oppressive; claiming that the "Marxian vision dictated the Stalinist outcome not because the communist utopia was inevitable but because it was impossible". Criticism like this has itself been criticised for "philosophical determinism"—i.e., that the negative events in the movement's history were predetermined by their convictions. Historian Robert Vincent Daniels argues that Marxism was used to "justify Stalinism, but it was no longer allowed to serve either as a policy directive or an explanation of reality" during Stalin's rule. In complete contrast, E. Van Ree argues that Stalin continued to be in "general agreement" with the classical works of Marxism until his death. | Marxism–Leninism as a philosophy and a political movement has been criticised over the years from widely different ideological currents, due to its relations with <hl> Stalinism <hl> , the Soviet Union, state repression in Marxist–Leninist run states and classical Marxism. | Marxism–Leninism as a philosophy and a political movement has been criticised over the years from widely different ideological currents, due to its relations with <hl> Stalinism <hl>, the Soviet Union, state repression in Marxist–Leninist run states and classical Marxism. Trotskyists claim that Marxism–Leninism led to the establishment of state capitalism. Others, such as philosopher Eric Voegelin, claims that Marxism–Leninism is in its core (as in the ideas of Karl Marx and Friedrich Engels) inherently oppressive; claiming that the "Marxian vision dictated the Stalinist outcome not because the communist utopia was inevitable but because it was impossible". Criticism like this has itself been criticised for "philosophical determinism"—i.e., that the negative events in the movement's history were predetermined by their convictions. Historian Robert Vincent Daniels argues that Marxism was used to "justify Stalinism, but it was no longer allowed to serve either as a policy directive or an explanation of reality" during Stalin's rule. In complete contrast, E. Van Ree argues that Stalin continued to be in "general agreement" with the classical works of Marxism until his death. | <hl> Marxism–Leninism as a philosophy and a political movement has been criticised over the years from widely different ideological currents, due to its relations with Stalinism , the Soviet Union, state repression in Marxist–Leninist run states and classical Marxism. <hl> Trotskyists claim that Marxism–Leninism led to the establishment of state capitalism. Others, such as philosopher Eric Voegelin, claims that Marxism–Leninism is in its core (as in the ideas of Karl Marx and Friedrich Engels) inherently oppressive; claiming that the "Marxian vision dictated the Stalinist outcome not because the communist utopia was inevitable but because it was impossible". Criticism like this has itself been criticised for "philosophical determinism"—i.e., that the negative events in the movement's history were predetermined by their convictions. Historian Robert Vincent Daniels argues that Marxism was used to "justify Stalinism, but it was no longer allowed to serve either as a policy directive or an explanation of reality" during Stalin's rule. In complete contrast, E. Van Ree argues that Stalin continued to be in "general agreement" with the classical works of Marxism until his death. | 5d672a812b22cd4dfcfbf144 |
substance abuse | question: What is the fourth reason for becoming or staying homeless?, context: Homeless individuals report mental illness as being the number three reason for becoming or staying homeless. Such illnesses are often closely linked with the fourth reason—substance abuse—and therefore it is generally accepted that both of these issues should be treated simultaneously. Although many medical, psychiatric, and counseling services exist to address these needs, it is commonly believed that without the support of reliable and stable housing such treatments remain ineffective. Furthermore, in the absence of a universal health-care plan, many of those in need cannot afford such services. Proposed legislation such as the Bringing America Home Act are intended to provide comprehensive treatment for many homeless mental and substance abuse patients. | What is the fourth reason for becoming or staying homeless? | Such illnesses are often closely linked with the fourth reason— substance abuse —and therefore it is generally accepted that both of these issues should be treated simultaneously. | Homeless individuals report mental illness as being the number three reason for becoming or staying homeless. Such illnesses are often closely linked with the fourth reason—substance abuse—and therefore it is generally accepted that both of these issues should be treated simultaneously. Although many medical, psychiatric, and counseling services exist to address these needs, it is commonly believed that without the support of reliable and stable housing such treatments remain ineffective. Furthermore, in the absence of a universal health-care plan, many of those in need cannot afford such services. Proposed legislation such as the Bringing America Home Act are intended to provide comprehensive treatment for many homeless mental and substance abuse patients. | Such illnesses are often closely linked with the fourth reason— <hl> substance abuse <hl> —and therefore it is generally accepted that both of these issues should be treated simultaneously. | Homeless individuals report mental illness as being the number three reason for becoming or staying homeless. Such illnesses are often closely linked with the fourth reason—<hl> substance abuse <hl>—and therefore it is generally accepted that both of these issues should be treated simultaneously. Although many medical, psychiatric, and counseling services exist to address these needs, it is commonly believed that without the support of reliable and stable housing such treatments remain ineffective. Furthermore, in the absence of a universal health-care plan, many of those in need cannot afford such services. Proposed legislation such as the Bringing America Home Act are intended to provide comprehensive treatment for many homeless mental and substance abuse patients. | Homeless individuals report mental illness as being the number three reason for becoming or staying homeless. <hl> Such illnesses are often closely linked with the fourth reason— substance abuse —and therefore it is generally accepted that both of these issues should be treated simultaneously. <hl> Although many medical, psychiatric, and counseling services exist to address these needs, it is commonly believed that without the support of reliable and stable housing such treatments remain ineffective. Furthermore, in the absence of a universal health-care plan, many of those in need cannot afford such services. Proposed legislation such as the Bringing America Home Act are intended to provide comprehensive treatment for many homeless mental and substance abuse patients. | 5d6660772b22cd4dfcfbdd03 |
there are significant differences inside volcanic zones | question: Are all of the volcanic zones the same?, context: The Andes range has many active volcanoes, which are distributed in four volcanic zones separated by areas of inactivity. The Andean volcanism is a result of subduction of the Nazca Plate and Antarctic Plate underneath the South American Plate. The belt is subdivided into four main volcanic zones that are separated from each other by volcanic gaps. The volcanoes of the belt are diverse in terms of activity style, products and morphology. While some differences can be explained by which volcanic zone a volcano belongs to, there are significant differences inside volcanic zones and even between neighbouring volcanoes. Despite being a type location for calc-alkalic and subduction volcanism, the Andean Volcanic Belt has a large range of volcano-tectonic settings, such as rift systems and extensional zones, transpersonal faults, subduction of mid-ocean ridges and seamount chains apart from a large range of crustal thicknesses and magma ascent paths, and different amount of crustal assimilations. | Are all of the volcanic zones the same? | While some differences can be explained by which volcanic zone a volcano belongs to, there are significant differences inside volcanic zones and even between neighbouring volcanoes. | The Andes range has many active volcanoes, which are distributed in four volcanic zones separated by areas of inactivity. The Andean volcanism is a result of subduction of the Nazca Plate and Antarctic Plate underneath the South American Plate. The belt is subdivided into four main volcanic zones that are separated from each other by volcanic gaps. The volcanoes of the belt are diverse in terms of activity style, products and morphology. While some differences can be explained by which volcanic zone a volcano belongs to, there are significant differences inside volcanic zones and even between neighbouring volcanoes. Despite being a type location for calc-alkalic and subduction volcanism, the Andean Volcanic Belt has a large range of volcano-tectonic settings, such as rift systems and extensional zones, transpersonal faults, subduction of mid-ocean ridges and seamount chains apart from a large range of crustal thicknesses and magma ascent paths, and different amount of crustal assimilations. | While some differences can be explained by which volcanic zone a volcano belongs to, <hl> there are significant differences inside volcanic zones <hl> and even between neighbouring volcanoes. | The Andes range has many active volcanoes, which are distributed in four volcanic zones separated by areas of inactivity. The Andean volcanism is a result of subduction of the Nazca Plate and Antarctic Plate underneath the South American Plate. The belt is subdivided into four main volcanic zones that are separated from each other by volcanic gaps. The volcanoes of the belt are diverse in terms of activity style, products and morphology. While some differences can be explained by which volcanic zone a volcano belongs to, <hl> there are significant differences inside volcanic zones <hl> and even between neighbouring volcanoes. Despite being a type location for calc-alkalic and subduction volcanism, the Andean Volcanic Belt has a large range of volcano-tectonic settings, such as rift systems and extensional zones, transpersonal faults, subduction of mid-ocean ridges and seamount chains apart from a large range of crustal thicknesses and magma ascent paths, and different amount of crustal assimilations. | The Andes range has many active volcanoes, which are distributed in four volcanic zones separated by areas of inactivity. The Andean volcanism is a result of subduction of the Nazca Plate and Antarctic Plate underneath the South American Plate. The belt is subdivided into four main volcanic zones that are separated from each other by volcanic gaps. The volcanoes of the belt are diverse in terms of activity style, products and morphology. <hl> While some differences can be explained by which volcanic zone a volcano belongs to, there are significant differences inside volcanic zones and even between neighbouring volcanoes. <hl> Despite being a type location for calc-alkalic and subduction volcanism, the Andean Volcanic Belt has a large range of volcano-tectonic settings, such as rift systems and extensional zones, transpersonal faults, subduction of mid-ocean ridges and seamount chains apart from a large range of crustal thicknesses and magma ascent paths, and different amount of crustal assimilations. | 5d6696be2b22cd4dfcfbe31d |
Fiorello La Guardia | question: Who was the mayor of New York City between the World Wars?, context: The period between the World Wars saw the election of reformist mayor Fiorello La Guardia and the fall of Tammany Hall after 80 years of political dominance. As the city's demographics stabilized, labor unionization brought new protections and affluence to the working class, the city's government and infrastructure underwent a dramatic overhaul under La Guardia. Despite the Great Depression, some of the world's tallest skyscrapers were completed in Manhattan during the 1930s, including numerous Art Deco masterpieces that are still part of the city's skyline today, most notably the Empire State Building, the Chrysler Building, and the GE Building. | Who was the mayor of New York City between the World Wars? | The period between the World Wars saw the election of reformist mayor Fiorello La Guardia and the fall of Tammany Hall after 80 years of political dominance. | The period between the World Wars saw the election of reformist mayor Fiorello La Guardia and the fall of Tammany Hall after 80 years of political dominance. As the city's demographics stabilized, labor unionization brought new protections and affluence to the working class, the city's government and infrastructure underwent a dramatic overhaul under La Guardia. Despite the Great Depression, some of the world's tallest skyscrapers were completed in Manhattan during the 1930s, including numerous Art Deco masterpieces that are still part of the city's skyline today, most notably the Empire State Building, the Chrysler Building, and the GE Building. | The period between the World Wars saw the election of reformist mayor <hl> Fiorello La Guardia <hl> and the fall of Tammany Hall after 80 years of political dominance. | The period between the World Wars saw the election of reformist mayor <hl> Fiorello La Guardia <hl> and the fall of Tammany Hall after 80 years of political dominance. As the city's demographics stabilized, labor unionization brought new protections and affluence to the working class, the city's government and infrastructure underwent a dramatic overhaul under La Guardia. Despite the Great Depression, some of the world's tallest skyscrapers were completed in Manhattan during the 1930s, including numerous Art Deco masterpieces that are still part of the city's skyline today, most notably the Empire State Building, the Chrysler Building, and the GE Building. | <hl> The period between the World Wars saw the election of reformist mayor Fiorello La Guardia and the fall of Tammany Hall after 80 years of political dominance. <hl> As the city's demographics stabilized, labor unionization brought new protections and affluence to the working class, the city's government and infrastructure underwent a dramatic overhaul under La Guardia. Despite the Great Depression, some of the world's tallest skyscrapers were completed in Manhattan during the 1930s, including numerous Art Deco masterpieces that are still part of the city's skyline today, most notably the Empire State Building, the Chrysler Building, and the GE Building. | 5d67e0032b22cd4dfcfc0364 |
official style guide | question: What do editors use all caps for?, context: At the copyediting end of the publishing industry, where the aforementioned distinction between acronyms (pronounced as a word) and initialisms (pronounced as a series of letters) is usually maintained,[citation needed] some publishers choose to use cap/lowercase (c/lc) styling for acronyms, reserving all-caps styling for initialisms. Thus Nato and Aids (c/lc), but USA and FBI (caps). For example, this is the style used in The Guardian, and BBC News typically edits to this style (though its official style guide, dating from 2003, still recommends all-caps). The logic of this style is that the pronunciation is reflected graphically by the capitalization scheme. | What do editors use all caps for? | its official style guide , dating from 2003, still recommends all-caps). | At the copyediting end of the publishing industry, where the aforementioned distinction between acronyms (pronounced as a word) and initialisms (pronounced as a series of letters) is usually maintained,[citation needed] some publishers choose to use cap/lowercase (c/lc) styling for acronyms, reserving all-caps styling for initialisms. Thus Nato and Aids (c/lc), but USA and FBI (caps). For example, this is the style used in The Guardian, and BBC News typically edits to this style (though its official style guide, dating from 2003, still recommends all-caps). The logic of this style is that the pronunciation is reflected graphically by the capitalization scheme. | its <hl> official style guide <hl> , dating from 2003, still recommends all-caps). | At the copyediting end of the publishing industry, where the aforementioned distinction between acronyms (pronounced as a word) and initialisms (pronounced as a series of letters) is usually maintained,[citation needed] some publishers choose to use cap/lowercase (c/lc) styling for acronyms, reserving all-caps styling for initialisms. Thus Nato and Aids (c/lc), but USA and FBI (caps). For example, this is the style used in The Guardian, and BBC News typically edits to this style (though its <hl> official style guide <hl>, dating from 2003, still recommends all-caps). The logic of this style is that the pronunciation is reflected graphically by the capitalization scheme. | At the copyediting end of the publishing industry, where the aforementioned distinction between acronyms (pronounced as a word) and initialisms (pronounced as a series of letters) is usually maintained,[citation needed] some publishers choose to use cap/lowercase (c/lc) styling for acronyms, reserving all-caps styling for initialisms. Thus Nato and Aids (c/lc), but USA and FBI (caps). For example, this is the style used in The Guardian, and BBC News typically edits to this style (though <hl> its official style guide , dating from 2003, still recommends all-caps). <hl> The logic of this style is that the pronunciation is reflected graphically by the capitalization scheme. | 5d65ab532b22cd4dfcfbcafc |