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Contents United States The United States of America (USA), also known as the United States (U.S.) or America, is a country primarily located in North America. It is a federal republic of 50 states and a federal capital district, Washington, D.C. The 48 contiguous states border Canada to the north and Mexico to the south, with the semi-exclave of Alaska in the northwest and the archipelago of Hawaii in the Pacific Ocean. The United States also asserts sovereignty over five major island territories and various uninhabited islands in Oceania and the Caribbean.[j] It is a megadiverse country, with the world's third-largest land area[c] and third-largest population, exceeding 341 million.[k] Paleo-Indians first migrated from North Asia to North America at least 15,000 years ago, and formed various civilizations. Spanish colonization established Spanish Florida in 1513, the first European colony in what is now the continental United States. British colonization followed with the 1607 settlement of Virginia, the first of the Thirteen Colonies. Enslavement of Africans was practiced in all colonies by 1770 and supplied most of the labor for the Southern Colonies' plantation economy. Clashes with the British Crown began as a civil protest over the illegality of taxation without representation in Parliament and the denial of other English rights. They evolved into the American Revolution, which led to the Declaration of Independence and a society based on universal rights. Victory in the 1775–1783 Revolutionary War brought international recognition of U.S. sovereignty and fueled westward expansion, further dispossessing native inhabitants. As more states were admitted, a North–South division over slavery led the Confederate States of America to declare secession and fight the Union in the 1861–1865 American Civil War. With the United States' victory and reunification, slavery was abolished nationally. By the late 19th century, the U.S. economy outpaced the French, German and British economies combined. As of 1900, the country had established itself as a great power, a status solidified after its involvement in World War I. Following Japan's attack on Pearl Harbor in 1941, the U.S. entered World War II. Its aftermath left the U.S. and the Soviet Union as rival superpowers, competing for ideological dominance and international influence during the Cold War. The Soviet Union's collapse in 1991 ended the Cold War, leaving the U.S. as the world's sole superpower. The U.S. federal government is a representative democracy with a president and a constitution that grants separation of powers under three branches: legislative, executive, and judicial. The United States Congress is a bicameral national legislature composed of the House of Representatives (a lower house based on population) and the Senate (an upper house based on equal representation for each state). Federalism grants substantial autonomy to the 50 states. In addition, 574 Native American tribes have sovereignty rights, and there are 326 Native American reservations. Since the 1850s, the Democratic and Republican parties have dominated American politics. American ideals and values are based on a democratic tradition inspired by the American Enlightenment movement. A developed country, the U.S. ranks high in economic competitiveness, innovation, and higher education. Accounting for over a quarter of nominal global GDP, its economy has been the world's largest since about 1890. It is the wealthiest country, with the highest disposable household income per capita among OECD members, though its wealth inequality is highly pronounced. Shaped by centuries of immigration, the culture of the U.S. is diverse and globally influential. Making up more than a third of global military spending, the country has one of the strongest armed forces and is a designated nuclear state. A member of numerous international organizations, the U.S. plays a major role in global political, cultural, economic, and military affairs. Etymology Documented use of the phrase "United States of America" dates back to January 2, 1776. On that day, Stephen Moylan, a Continental Army aide to General George Washington, wrote a letter to Joseph Reed, Washington's aide-de-camp, seeking to go "with full and ample powers from the United States of America to Spain" to seek assistance in the Revolutionary War effort. The first known public usage is an anonymous essay published in the Williamsburg newspaper The Virginia Gazette on April 6, 1776. Sometime on or after June 11, 1776, Thomas Jefferson wrote "United States of America" in a rough draft of the Declaration of Independence, which was adopted by the Second Continental Congress on July 4, 1776. The term "United States" and its initialism "U.S.", used as nouns or as adjectives in English, are common short names for the country. The initialism "USA", a noun, is also common. "United States" and "U.S." are the established terms throughout the U.S. federal government, with prescribed rules.[l] "The States" is an established colloquial shortening of the name, used particularly from abroad; "stateside" is the corresponding adjective or adverb. "America" is the feminine form of the first word of Americus Vesputius, the Latinized name of Italian explorer Amerigo Vespucci (1454–1512);[m] it was first used as a place name by the German cartographers Martin Waldseemüller and Matthias Ringmann in 1507.[n] Vespucci first proposed that the West Indies discovered by Christopher Columbus in 1492 were part of a previously unknown landmass and not among the Indies at the eastern limit of Asia. In English, the term "America" usually does not refer to topics unrelated to the United States, despite the usage of "the Americas" to describe the totality of the continents of North and South America. History The first inhabitants of North America migrated from Siberia approximately 15,000 years ago, either across the Bering land bridge or along the now-submerged Ice Age coastline. Small isolated groups of hunter-gatherers are said to have migrated alongside herds of large herbivores far into Alaska, with ice-free corridors developing along the Pacific coast and valleys of North America in c. 16,500 – c. 13,500 BCE (c. 18,500 – c. 15,500 BP). The Clovis culture, which appeared around 11,000 BCE, is believed to be the first widespread culture in the Americas. Over time, Indigenous North American cultures grew increasingly sophisticated, and some, such as the Mississippian culture, developed agriculture, architecture, and complex societies. In the post-archaic period, the Mississippian cultures were located in the midwestern, eastern, and southern regions, and the Algonquian in the Great Lakes region and along the Eastern Seaboard, while the Hohokam culture and Ancestral Puebloans inhabited the Southwest. Native population estimates of what is now the United States before the arrival of European colonizers range from around 500,000 to nearly 10 million. Christopher Columbus began exploring the Caribbean for Spain in 1492, leading to Spanish-speaking settlements and missions from what are now Puerto Rico and Florida to New Mexico and California. The first Spanish colony in the present-day continental United States was Spanish Florida, chartered in 1513. After several settlements failed there due to starvation and disease, Spain's first permanent town, Saint Augustine, was founded in 1565. France established its own settlements in French Florida in 1562, but they were either abandoned (Charlesfort, 1578) or destroyed by Spanish raids (Fort Caroline, 1565). Permanent French settlements were founded much later along the Great Lakes (Fort Detroit, 1701), the Mississippi River (Saint Louis, 1764) and especially the Gulf of Mexico (New Orleans, 1718). Early European colonies also included the thriving Dutch colony of New Nederland (settled 1626, present-day New York) and the small Swedish colony of New Sweden (settled 1638 in what became Delaware). British colonization of the East Coast began with the Virginia Colony (1607) and the Plymouth Colony (Massachusetts, 1620). The Mayflower Compact in Massachusetts and the Fundamental Orders of Connecticut established precedents for local representative self-governance and constitutionalism that would develop throughout the American colonies. While European settlers in what is now the United States experienced conflicts with Native Americans, they also engaged in trade, exchanging European tools for food and animal pelts.[o] Relations ranged from close cooperation to warfare and massacres. The colonial authorities often pursued policies that forced Native Americans to adopt European lifestyles, including conversion to Christianity. Along the eastern seaboard, settlers trafficked Africans through the Atlantic slave trade, largely to provide manual labor on plantations. The original Thirteen Colonies[p] that would later found the United States were administered as possessions of the British Empire by Crown-appointed governors, though local governments held elections open to most white male property owners. The colonial population grew rapidly from Maine to Georgia, eclipsing Native American populations; by the 1770s, the natural increase of the population was such that only a small minority of Americans had been born overseas. The colonies' distance from Britain facilitated the entrenchment of self-governance, and the First Great Awakening, a series of Christian revivals, fueled colonial interest in guaranteed religious liberty. Following its victory in the French and Indian War, Britain began to assert greater control over local affairs in the Thirteen Colonies, resulting in growing political resistance. One of the primary grievances of the colonists was the denial of their rights as Englishmen, particularly the right to representation in the British government that taxed them. To demonstrate their dissatisfaction and resolve, the First Continental Congress met in 1774 and passed the Continental Association, a colonial boycott of British goods enforced by local "committees of safety" that proved effective. The British attempt to then disarm the colonists resulted in the 1775 Battles of Lexington and Concord, igniting the American Revolutionary War. At the Second Continental Congress, the colonies appointed George Washington commander-in-chief of the Continental Army, and created a committee that named Thomas Jefferson to draft the Declaration of Independence. Two days after the Second Continental Congress passed the Lee Resolution to create an independent, sovereign nation, the Declaration was adopted on July 4, 1776. The political values of the American Revolution evolved from an armed rebellion demanding reform within an empire to a revolution that created a new social and governing system founded on the defense of liberty and the protection of inalienable natural rights; sovereignty of the people; republicanism over monarchy, aristocracy, and other hereditary political power; civic virtue; and an intolerance of political corruption. The Founding Fathers of the United States, who included Washington, Jefferson, John Adams, Benjamin Franklin, Alexander Hamilton, John Jay, James Madison, Thomas Paine, and many others, were inspired by Classical, Renaissance, and Enlightenment philosophies and ideas. Though in practical effect since its drafting in 1777, the Articles of Confederation was ratified in 1781 and formally established a decentralized government that operated until 1789. After the British surrender at the siege of Yorktown in 1781, American sovereignty was internationally recognized by the Treaty of Paris (1783), through which the U.S. gained territory stretching west to the Mississippi River, north to present-day Canada, and south to Spanish Florida. The Northwest Ordinance (1787) established the precedent by which the country's territory would expand with the admission of new states, rather than the expansion of existing states. The U.S. Constitution was drafted at the 1787 Constitutional Convention to overcome the limitations of the Articles. It went into effect in 1789, creating a federal republic governed by three separate branches that together formed a system of checks and balances. George Washington was elected the country's first president under the Constitution, and the Bill of Rights was adopted in 1791 to allay skeptics' concerns about the power of the more centralized government. His resignation as commander-in-chief after the Revolutionary War and his later refusal to run for a third term as the country's first president established a precedent for the supremacy of civil authority in the United States and the peaceful transfer of power. In the late 18th century, American settlers began to expand westward in larger numbers, many with a sense of manifest destiny. The Louisiana Purchase of 1803 from France nearly doubled the territory of the United States. Lingering issues with Britain remained, leading to the War of 1812, which was fought to a draw. Spain ceded Florida and its Gulf Coast territory in 1819. The Missouri Compromise of 1820, which admitted Missouri as a slave state and Maine as a free state, attempted to balance the desire of northern states to prevent the expansion of slavery into new territories with that of southern states to extend it there. Primarily, the compromise prohibited slavery in all other lands of the Louisiana Purchase north of the 36°30′ parallel. As Americans expanded further into territory inhabited by Native Americans, the federal government implemented policies of Indian removal or assimilation. The most significant such legislation was the Indian Removal Act of 1830, a key policy of President Andrew Jackson. It resulted in the Trail of Tears (1830–1850), in which an estimated 60,000 Native Americans living east of the Mississippi River were forcibly removed and displaced to lands far to the west, causing 13,200 to 16,700 deaths along the forced march. Settler expansion as well as this influx of Indigenous peoples from the East resulted in the American Indian Wars west of the Mississippi. During the colonial period, slavery became legal in all the Thirteen colonies, but by 1770 it provided the main labor force in the large-scale, agriculture-dependent economies of the Southern Colonies from Maryland to Georgia. The practice began to be significantly questioned during the American Revolution, and spurred by an active abolitionist movement that had reemerged in the 1830s, states in the North enacted laws to prohibit slavery within their boundaries. At the same time, support for slavery had strengthened in Southern states, with widespread use of inventions such as the cotton gin (1793) having made slavery immensely profitable for Southern elites. The United States annexed the Republic of Texas in 1845, and the 1846 Oregon Treaty led to U.S. control of the present-day American Northwest. Dispute with Mexico over Texas led to the Mexican–American War (1846–1848). After the victory of the U.S., Mexico recognized U.S. sovereignty over Texas, New Mexico, and California in the 1848 Mexican Cession; the cession's lands also included the future states of Nevada, Colorado and Utah. The California gold rush of 1848–1849 spurred a huge migration of white settlers to the Pacific coast, leading to even more confrontations with Native populations. One of the most violent, the California genocide of thousands of Native inhabitants, lasted into the mid-1870s. Additional western territories and states were created. Throughout the 1850s, the sectional conflict regarding slavery was further inflamed by national legislation in the U.S. Congress and decisions of the Supreme Court. In Congress, the Fugitive Slave Act of 1850 mandated the forcible return to their owners in the South of slaves taking refuge in non-slave states, while the Kansas–Nebraska Act of 1854 effectively gutted the anti-slavery requirements of the Missouri Compromise. In its Dred Scott decision of 1857, the Supreme Court ruled against a slave brought into non-slave territory, simultaneously declaring the entire Missouri Compromise to be unconstitutional. These and other events exacerbated tensions between North and South that would culminate in the American Civil War (1861–1865). Beginning with South Carolina, 11 slave-state governments voted to secede from the United States in 1861, joining to create the Confederate States of America. All other state governments remained loyal to the Union.[q] War broke out in April 1861 after the Confederacy bombarded Fort Sumter. Following the Emancipation Proclamation on January 1, 1863, many freed slaves joined the Union army. The war began to turn in the Union's favor following the 1863 Siege of Vicksburg and Battle of Gettysburg, and the Confederates surrendered in 1865 after the Union's victory in the Battle of Appomattox Court House. Efforts toward reconstruction in the secessionist South had begun as early as 1862, but it was only after President Lincoln's assassination that the three Reconstruction Amendments to the Constitution were ratified to protect civil rights. The amendments codified nationally the abolition of slavery and involuntary servitude except as punishment for crimes, promised equal protection under the law for all persons, and prohibited discrimination on the basis of race or previous enslavement. As a result, African Americans took an active political role in ex-Confederate states in the decade following the Civil War. The former Confederate states were readmitted to the Union, beginning with Tennessee in 1866 and ending with Georgia in 1870. National infrastructure, including transcontinental telegraph and railroads, spurred growth in the American frontier. This was accelerated by the Homestead Acts, through which nearly 10 percent of the total land area of the United States was given away free to some 1.6 million homesteaders. From 1865 through 1917, an unprecedented stream of immigrants arrived in the United States, including 24.4 million from Europe. Most came through the Port of New York, as New York City and other large cities on the East Coast became home to large Jewish, Irish, and Italian populations. Many Northern Europeans as well as significant numbers of Germans and other Central Europeans moved to the Midwest. At the same time, about one million French Canadians migrated from Quebec to New England. During the Great Migration, millions of African Americans left the rural South for urban areas in the North. Alaska was purchased from Russia in 1867. The Compromise of 1877 is generally considered the end of the Reconstruction era, as it resolved the electoral crisis following the 1876 presidential election and led President Rutherford B. Hayes to reduce the role of federal troops in the South. Immediately, the Redeemers began evicting the Carpetbaggers and quickly regained local control of Southern politics in the name of white supremacy. African Americans endured a period of heightened, overt racism following Reconstruction, a time often considered the nadir of American race relations. A series of Supreme Court decisions, including Plessy v. Ferguson, emptied the Fourteenth and Fifteenth Amendments of their force, allowing Jim Crow laws in the South to remain unchecked, sundown towns in the Midwest, and segregation in communities across the country, which would be reinforced in part by the policy of redlining later adopted by the federal Home Owners' Loan Corporation. An explosion of technological advancement, accompanied by the exploitation of cheap immigrant labor, led to rapid economic expansion during the Gilded Age of the late 19th century. It continued into the early 20th, when the United States already outpaced the economies of Britain, France, and Germany combined. This fostered the amassing of power by a few prominent industrialists, largely by their formation of trusts and monopolies to prevent competition. Tycoons led the nation's expansion in the railroad, petroleum, and steel industries. The United States emerged as a pioneer of the automotive industry. These changes resulted in significant increases in economic inequality, slum conditions, and social unrest, creating the environment for labor unions and socialist movements to begin to flourish. This period eventually ended with the advent of the Progressive Era, which was characterized by significant economic and social reforms. Pro-American elements in Hawaii overthrew the Hawaiian monarchy; the islands were annexed in 1898. That same year, Puerto Rico, the Philippines, and Guam were ceded to the U.S. by Spain after the latter's defeat in the Spanish–American War. (The Philippines was granted full independence from the U.S. on July 4, 1946, following World War II. Puerto Rico and Guam have remained U.S. territories.) American Samoa was acquired by the United States in 1900 after the Second Samoan Civil War. The U.S. Virgin Islands were purchased from Denmark in 1917. The United States entered World War I alongside the Allies in 1917 helping to turn the tide against the Central Powers. In 1920, a constitutional amendment granted nationwide women's suffrage. During the 1920s and 1930s, radio for mass communication and early television transformed communications nationwide. The Wall Street Crash of 1929 triggered the Great Depression, to which President Franklin D. Roosevelt responded with the New Deal plan of "reform, recovery and relief", a series of unprecedented and sweeping recovery programs and employment relief projects combined with financial reforms and regulations. Initially neutral during World War II, the U.S. began supplying war materiel to the Allies of World War II in March 1941 and entered the war in December after Japan's attack on Pearl Harbor. Agreeing to a "Europe first" policy, the U.S. concentrated its wartime efforts on Japan's allies Italy and Germany until their final defeat in May 1945. The U.S. developed the first nuclear weapons and used them against the Japanese cities of Hiroshima and Nagasaki in August 1945, ending the war. The United States was one of the "Four Policemen" who met to plan the post-war world, alongside the United Kingdom, the Soviet Union, and China. The U.S. emerged relatively unscathed from the war, with even greater economic power and international political influence. The end of World War II in 1945 left the U.S. and the Soviet Union as superpowers, each with its own political, military, and economic sphere of influence. Geopolitical tensions between the two superpowers soon led to the Cold War. The U.S. implemented a policy of containment intended to limit the Soviet Union's sphere of influence; engaged in regime change against governments perceived to be aligned with the Soviets; and prevailed in the Space Race, which culminated with the first crewed Moon landing in 1969. Domestically, the U.S. experienced economic growth, urbanization, and population growth following World War II. The civil rights movement emerged, with Martin Luther King Jr. becoming a prominent leader in the early 1960s. The Great Society plan of President Lyndon B. Johnson's administration resulted in groundbreaking and broad-reaching laws, policies and a constitutional amendment to counteract some of the worst effects of lingering institutional racism. The counterculture movement in the U.S. brought significant social changes, including the liberalization of attitudes toward recreational drug use and sexuality. It also encouraged open defiance of the military draft (leading to the end of conscription in 1973) and wide opposition to U.S. intervention in Vietnam, with the U.S. totally withdrawing in 1975. A societal shift in the roles of women was significantly responsible for the large increase in female paid labor participation starting in the 1970s, and by 1985 the majority of American women aged 16 and older were employed. The Fall of Communism and the dissolution of the Soviet Union from 1989 to 1991 marked the end of the Cold War and left the United States as the world's sole superpower. This cemented the United States' global influence, reinforcing the concept of the "American Century" as the U.S. dominated international political, cultural, economic, and military affairs. The 1990s saw the longest recorded economic expansion in American history, a dramatic decline in U.S. crime rates, and advances in technology. Throughout this decade, technological innovations such as the World Wide Web, the evolution of the Pentium microprocessor in accordance with Moore's law, rechargeable lithium-ion batteries, the first gene therapy trial, and cloning either emerged in the U.S. or were improved upon there. The Human Genome Project was formally launched in 1990, while Nasdaq became the first stock market in the United States to trade online in 1998. In the Gulf War of 1991, an American-led international coalition of states expelled an Iraqi invasion force that had occupied neighboring Kuwait. The September 11 attacks on the United States in 2001 by the pan-Islamist militant organization al-Qaeda led to the war on terror and subsequent military interventions in Afghanistan and in Iraq. The U.S. housing bubble culminated in 2007 with the Great Recession, the largest economic contraction since the Great Depression. In the 2010s and early 2020s, the United States has experienced increased political polarization and democratic backsliding. The country's polarization was violently reflected in the January 2021 Capitol attack, when a mob of insurrectionists entered the U.S. Capitol and sought to prevent the peaceful transfer of power in an attempted self-coup d'état. Geography The United States is the world's third-largest country by total area behind Russia and Canada.[c] The 48 contiguous states and the District of Columbia have a combined area of 3,119,885 square miles (8,080,470 km2). In 2021, the United States had 8% of the Earth's permanent meadows and pastures and 10% of its cropland. Starting in the east, the coastal plain of the Atlantic seaboard gives way to inland forests and rolling hills in the Piedmont plateau region. The Appalachian Mountains and the Adirondack Massif separate the East Coast from the Great Lakes and the grasslands of the Midwest. The Mississippi River System, the world's fourth-longest river system, runs predominantly north–south through the center of the country. The flat and fertile prairie of the Great Plains stretches to the west, interrupted by a highland region in the southeast. The Rocky Mountains, west of the Great Plains, extend north to south across the country, peaking at over 14,000 feet (4,300 m) in Colorado. The supervolcano underlying Yellowstone National Park in the Rocky Mountains, the Yellowstone Caldera, is the continent's largest volcanic feature. Farther west are the rocky Great Basin and the Chihuahuan, Sonoran, and Mojave deserts. In the northwest corner of Arizona, carved by the Colorado River, is the Grand Canyon, a steep-sided canyon and popular tourist destination known for its overwhelming visual size and intricate, colorful landscape. The Cascade and Sierra Nevada mountain ranges run close to the Pacific coast. The lowest and highest points in the contiguous United States are in the State of California, about 84 miles (135 km) apart. At an elevation of 20,310 feet (6,190.5 m), Alaska's Denali (also called Mount McKinley) is the highest peak in the country and on the continent. Active volcanoes in the U.S. are common throughout Alaska's Alexander and Aleutian Islands. Located entirely outside North America, the archipelago of Hawaii consists of volcanic islands, physiographically and ethnologically part of the Polynesian subregion of Oceania. In addition to its total land area, the United States has one of the world's largest marine exclusive economic zones spanning approximately 4.5 million square miles (11.7 million km2) of ocean. With its large size and geographic variety, the United States includes most climate types. East of the 100th meridian, the climate ranges from humid continental in the north to humid subtropical in the south. The western Great Plains are semi-arid. Many mountainous areas of the American West have an alpine climate. The climate is arid in the Southwest, Mediterranean in coastal California, and oceanic in coastal Oregon, Washington, and southern Alaska. Most of Alaska is subarctic or polar. Hawaii, the southern tip of Florida and U.S. territories in the Caribbean and Pacific are tropical. The United States receives more high-impact extreme weather incidents than any other country. States bordering the Gulf of Mexico are prone to hurricanes, and most of the world's tornadoes occur in the country, mainly in Tornado Alley. Due to climate change in the country, extreme weather has become more frequent in the U.S. in the 21st century, with three times the number of reported heat waves compared to the 1960s. Since the 1990s, droughts in the American Southwest have become more persistent and more severe. The regions considered as the most attractive to the population are the most vulnerable. The U.S. is one of 17 megadiverse countries containing large numbers of endemic species: about 17,000 species of vascular plants occur in the contiguous United States and Alaska, and over 1,800 species of flowering plants are found in Hawaii, few of which occur on the mainland. The United States is home to 428 mammal species, 784 birds, 311 reptiles, 295 amphibians, and around 91,000 insect species. There are 63 national parks, and hundreds of other federally managed monuments, forests, and wilderness areas, administered by the National Park Service and other agencies. About 28% of the country's land is publicly owned and federally managed, primarily in the Western States. Most of this land is protected, though some is leased for commercial use, and less than one percent is used for military purposes. Environmental issues in the United States include debates on non-renewable resources and nuclear energy, air and water pollution, biodiversity, logging and deforestation, and climate change. The U.S. Environmental Protection Agency (EPA) is the federal agency charged with addressing most environmental-related issues. The idea of wilderness has shaped the management of public lands since 1964, with the Wilderness Act. The Endangered Species Act of 1973 provides a way to protect threatened and endangered species and their habitats. The United States Fish and Wildlife Service implements and enforces the Act. In 2024, the U.S. ranked 35th among 180 countries in the Environmental Performance Index. Government and politics The United States is a federal republic of 50 states and a federal capital district, Washington, D.C. The U.S. asserts sovereignty over five unincorporated territories and several uninhabited island possessions. It is the world's oldest surviving federation, and its presidential system of federal government has been adopted, in whole or in part, by many newly independent states worldwide following their decolonization. The Constitution of the United States serves as the country's supreme legal document. Most scholars describe the United States as a liberal democracy.[r] Composed of three branches, all headquartered in Washington, D.C., the federal government is the national government of the United States. The U.S. Constitution establishes a separation of powers intended to provide a system of checks and balances to prevent any of the three branches from becoming supreme. The three-branch system is known as the presidential system, in contrast to the parliamentary system where the executive is part of the legislative body. Many countries around the world adopted this aspect of the 1789 Constitution of the United States, especially in the postcolonial Americas. In the U.S. federal system, sovereign powers are shared between three levels of government specified in the Constitution: the federal government, the states, and Indian tribes. The U.S. also asserts sovereignty over five permanently inhabited territories: American Samoa, Guam, the Northern Mariana Islands, Puerto Rico, and the U.S. Virgin Islands. Residents of the 50 states are governed by their elected state government, under state constitutions compatible with the national constitution, and by elected local governments that are administrative divisions of a state. States are subdivided into counties or county equivalents, and (except for Hawaii) further divided into municipalities, each administered by elected representatives. The District of Columbia is a federal district containing the U.S. capital, Washington, D.C. The federal district is an administrative division of the federal government. Indian country is made up of 574 federally recognized tribes and 326 Indian reservations. They hold a government-to-government relationship with the U.S. federal government in Washington and are legally defined as domestic dependent nations with inherent tribal sovereignty rights. In addition to the five major territories, the U.S. also asserts sovereignty over the United States Minor Outlying Islands in the Pacific Ocean and the Caribbean. The seven undisputed islands without permanent populations are Baker Island, Howland Island, Jarvis Island, Johnston Atoll, Kingman Reef, Midway Atoll, and Palmyra Atoll. U.S. sovereignty over the unpopulated Bajo Nuevo Bank, Navassa Island, Serranilla Bank, and Wake Island is disputed. The Constitution is silent on political parties. However, they developed independently in the 18th century with the Federalist and Anti-Federalist parties. Since then, the United States has operated as a de facto two-party system, though the parties have changed over time. Since the mid-19th century, the two main national parties have been the Democratic Party and the Republican Party. The former is perceived as relatively liberal in its political platform while the latter is perceived as relatively conservative in its platform. The United States has an established structure of foreign relations, with the world's second-largest diplomatic corps as of 2024[update]. It is a permanent member of the United Nations Security Council and home to the United Nations headquarters. The United States is a member of the G7, G20, and OECD intergovernmental organizations. Almost all countries have embassies and many have consulates (official representatives) in the country. Likewise, nearly all countries host formal diplomatic missions with the United States, except Iran, North Korea, and Bhutan. Though Taiwan does not have formal diplomatic relations with the U.S., it maintains close unofficial relations. The United States regularly supplies Taiwan with military equipment to deter potential Chinese aggression. Its geopolitical attention also turned to the Indo-Pacific when the United States joined the Quadrilateral Security Dialogue with Australia, India, and Japan. The United States has a "Special Relationship" with the United Kingdom and strong ties with Canada, Australia, New Zealand, the Philippines, Japan, South Korea, Israel, and several European Union countries such as France, Italy, Germany, Spain, and Poland. The U.S. works closely with its NATO allies on military and national security issues, and with countries in the Americas through the Organization of American States and the United States–Mexico–Canada Free Trade Agreement. The U.S. exercises full international defense authority and responsibility for Micronesia, the Marshall Islands, and Palau through the Compact of Free Association. It has increasingly conducted strategic cooperation with India, while its ties with China have steadily deteriorated. Beginning in 2014, the U.S. had become a key ally of Ukraine. After Donald Trump was elected U.S. president in 2024, he sought to negotiate an end to the Russo-Ukrainian War. He paused all military aid to Ukraine in March 2025, although the aid resumed later. Trump also ended U.S. intelligence sharing with the country, but this too was eventually restored. The president is the commander-in-chief of the United States Armed Forces and appoints its leaders, the secretary of defense and the Joint Chiefs of Staff. The Department of Defense, headquartered at the Pentagon near Washington, D.C., administers five of the six service branches, which are made up of the U.S. Army, Marine Corps, Navy, Air Force, and Space Force. The Coast Guard is administered by the Department of Homeland Security in peacetime and can be transferred to the Department of the Navy in wartime. Total strength of the entire military is about 1.3 million active duty with an additional 400,000 in reserve. The United States spent $997 billion on its military in 2024, which is by far the largest amount of any country, making up 37% of global military spending and accounting for 3.4% of the country's GDP. The U.S. possesses 42% of the world's nuclear weapons—the second-largest stockpile after that of Russia. The U.S. military is widely regarded as the most powerful and advanced in the world. The United States has the third-largest combined armed forces in the world, behind the Chinese People's Liberation Army and Indian Armed Forces. The U.S. military operates about 800 bases and facilities abroad, and maintains deployments greater than 100 active duty personnel in 25 foreign countries. The United States has engaged in over 400 military interventions since its founding in 1776, with over half of these occurring between 1950 and 2019 and 25% occurring in the post-Cold War era. State defense forces (SDFs) are military units that operate under the sole authority of a state government. SDFs are authorized by state and federal law but are under the command of the state's governor. By contrast, the 54 U.S. National Guard organizations[t] fall under the dual control of state or territorial governments and the federal government; their units can also become federalized entities, but SDFs cannot be federalized. The National Guard personnel of a state or territory can be federalized by the president under the National Defense Act Amendments of 1933; this legislation created the Guard and provides for the integration of Army National Guard and Air National Guard units and personnel into the U.S. Army and (since 1947) the U.S. Air Force. The total number of National Guard members is about 430,000, while the estimated combined strength of SDFs is less than 10,000. There are about 18,000 U.S. police agencies from local to national level in the United States. Law in the United States is mainly enforced by local police departments and sheriff departments in their municipal or county jurisdictions. The state police departments have authority in their respective state, and federal agencies such as the Federal Bureau of Investigation (FBI) and the U.S. Marshals Service have national jurisdiction and specialized duties, such as protecting civil rights, national security, enforcing U.S. federal courts' rulings and federal laws, and interstate criminal activity. State courts conduct almost all civil and criminal trials, while federal courts adjudicate the much smaller number of civil and criminal cases that relate to federal law. There is no unified "criminal justice system" in the United States. The American prison system is largely heterogenous, with thousands of relatively independent systems operating across federal, state, local, and tribal levels. In 2025, "these systems hold nearly 2 million people in 1,566 state prisons, 98 federal prisons, 3,116 local jails, 1,277 juvenile correctional facilities, 133 immigration detention facilities, and 80 Indian country jails, as well as in military prisons, civil commitment centers, state psychiatric hospitals, and prisons in the U.S. territories." Despite disparate systems of confinement, four main institutions dominate: federal prisons, state prisons, local jails, and juvenile correctional facilities. Federal prisons are run by the Federal Bureau of Prisons and hold pretrial detainees as well as people who have been convicted of federal crimes. State prisons, run by the department of corrections of each state, hold people sentenced and serving prison time (usually longer than one year) for felony offenses. Local jails are county or municipal facilities that incarcerate defendants prior to trial; they also hold those serving short sentences (typically under a year). Juvenile correctional facilities are operated by local or state governments and serve as longer-term placements for any minor adjudicated as delinquent and ordered by a judge to be confined. In January 2023, the United States had the sixth-highest per capita incarceration rate in the world—531 people per 100,000 inhabitants—and the largest prison and jail population in the world, with more than 1.9 million people incarcerated. An analysis of the World Health Organization Mortality Database from 2010 showed U.S. homicide rates "were 7 times higher than in other high-income countries, driven by a gun homicide rate that was 25 times higher". Economy The U.S. has a highly developed mixed economy that has been the world's largest nominally since about 1890. Its 2024 gross domestic product (GDP)[e] of more than $29 trillion constituted over 25% of nominal global economic output, or 15% at purchasing power parity (PPP). From 1983 to 2008, U.S. real compounded annual GDP growth was 3.3%, compared to a 2.3% weighted average for the rest of the G7. The country ranks first in the world by nominal GDP, second when adjusted for purchasing power parities (PPP), and ninth by PPP-adjusted GDP per capita. In February 2024, the total U.S. federal government debt was $34.4 trillion. Of the world's 500 largest companies by revenue, 138 were headquartered in the U.S. in 2025, the highest number of any country. The U.S. dollar is the currency most used in international transactions and the world's foremost reserve currency, backed by the country's dominant economy, its military, the petrodollar system, its large U.S. treasuries market, and its linked eurodollar. Several countries use it as their official currency, and in others it is the de facto currency. The U.S. has free trade agreements with several countries, including the USMCA. Although the United States has reached a post-industrial level of economic development and is often described as having a service economy, it remains a major industrial power; in 2024, the U.S. manufacturing sector was the world's second-largest by value output after China's. New York City is the world's principal financial center, and its metropolitan area is the world's largest metropolitan economy. The New York Stock Exchange and Nasdaq, both located in New York City, are the world's two largest stock exchanges by market capitalization and trade volume. The United States is at the forefront of technological advancement and innovation in many economic fields, especially in artificial intelligence; electronics and computers; pharmaceuticals; and medical, aerospace and military equipment. The country's economy is fueled by abundant natural resources, a well-developed infrastructure, and high productivity. The largest trading partners of the United States are the European Union, Mexico, Canada, China, Japan, South Korea, the United Kingdom, Vietnam, India, and Taiwan. The United States is the world's largest importer and second-largest exporter.[u] It is by far the world's largest exporter of services. Americans have the highest average household and employee income among OECD member states, and the fourth-highest median household income in 2023, up from sixth-highest in 2013. With personal consumption expenditures of over $18.5 trillion in 2023, the U.S. has a heavily consumer-driven economy and is the world's largest consumer market. The U.S. ranked first in the number of dollar billionaires and millionaires in 2023, with 735 billionaires and nearly 22 million millionaires. Wealth in the United States is highly concentrated; in 2011, the richest 10% of the adult population owned 72% of the country's household wealth, while the bottom 50% owned just 2%. U.S. wealth inequality increased substantially since the late 1980s, and income inequality in the U.S. reached a record high in 2019. In 2024, the country had some of the highest wealth and income inequality levels among OECD countries. Since the 1970s, there has been a decoupling of U.S. wage gains from worker productivity. In 2016, the top fifth of earners took home more than half of all income, giving the U.S. one of the widest income distributions among OECD countries. There were about 771,480 homeless persons in the U.S. in 2024. In 2022, 6.4 million children experienced food insecurity. Feeding America estimates that around one in five, or approximately 13 million, children experience hunger in the U.S. and do not know where or when they will get their next meal. Also in 2022, about 37.9 million people, or 11.5% of the U.S. population, were living in poverty. The United States has a smaller welfare state and redistributes less income through government action than most other high-income countries. It is the only advanced economy that does not guarantee its workers paid vacation nationally and one of a few countries in the world without federal paid family leave as a legal right. The United States has a higher percentage of low-income workers than almost any other developed country, largely because of a weak collective bargaining system and lack of government support for at-risk workers. The United States has been a leader in technological innovation since the late 19th century and scientific research since the mid-20th century. Methods for producing interchangeable parts and the establishment of a machine tool industry enabled the large-scale manufacturing of U.S. consumer products in the late 19th century. By the early 20th century, factory electrification, the introduction of the assembly line, and other labor-saving techniques created the system of mass production. In the 21st century, the United States continues to be one of the world's foremost scientific powers, though China has emerged as a major competitor in many fields. The U.S. has the highest research and development expenditures of any country and ranks ninth as a percentage of GDP. In 2022, the United States was (after China) the country with the second-highest number of published scientific papers. In 2021, the U.S. ranked second (also after China) by the number of patent applications, and third by trademark and industrial design applications (after China and Germany), according to World Intellectual Property Indicators. In 2025 the United States ranked third (after Switzerland and Sweden) in the Global Innovation Index. The United States is considered to be a world leader in the development of artificial intelligence technology. In 2023, the United States was ranked the second most technologically advanced country in the world (after South Korea) by Global Finance magazine. The United States has maintained a space program since the late 1950s, beginning with the establishment of the National Aeronautics and Space Administration (NASA) in 1958. NASA's Apollo program (1961–1972) achieved the first crewed Moon landing with the 1969 Apollo 11 mission; it remains one of the agency's most significant milestones. Other major endeavors by NASA include the Space Shuttle program (1981–2011), the Voyager program (1972–present), the Hubble and James Webb space telescopes (launched in 1990 and 2021, respectively), and the multi-mission Mars Exploration Program (Spirit and Opportunity, Curiosity, and Perseverance). NASA is one of five agencies collaborating on the International Space Station (ISS); U.S. contributions to the ISS include several modules, including Destiny (2001), Harmony (2007), and Tranquility (2010), as well as ongoing logistical and operational support. The United States private sector dominates the global commercial spaceflight industry. Prominent American spaceflight contractors include Blue Origin, Boeing, Lockheed Martin, Northrop Grumman, and SpaceX. NASA programs such as the Commercial Crew Program, Commercial Resupply Services, Commercial Lunar Payload Services, and NextSTEP have facilitated growing private-sector involvement in American spaceflight. In 2023, the United States received approximately 84% of its energy from fossil fuel, and its largest source of energy was petroleum (38%), followed by natural gas (36%), renewable sources (9%), coal (9%), and nuclear power (9%). In 2022, the United States constituted about 4% of the world's population, but consumed around 16% of the world's energy. The U.S. ranks as the second-highest emitter of greenhouse gases behind China. The U.S. is the world's largest producer of nuclear power, generating around 30% of the world's nuclear electricity. It also has the highest number of nuclear power reactors of any country. From 2024, the U.S. plans to triple its nuclear power capacity by 2050. The United States' 4 million miles (6.4 million kilometers) of road network, owned almost entirely by state and local governments, is the longest in the world. The extensive Interstate Highway System that connects all major U.S. cities is funded mostly by the federal government but maintained by state departments of transportation. The system is further extended by state highways and some private toll roads. The U.S. is among the top ten countries with the highest vehicle ownership per capita (850 vehicles per 1,000 people) in 2022. A 2022 study found that 76% of U.S. commuters drive alone and 14% ride a bicycle, including bike owners and users of bike-sharing networks. About 11% use some form of public transportation. Public transportation in the United States is well developed in the largest urban areas, notably New York City, Washington, D.C., Boston, Philadelphia, Chicago, and San Francisco; otherwise, coverage is generally less extensive than in most other developed countries. The U.S. also has many relatively car-dependent localities. Long-distance intercity travel is provided primarily by airlines, but travel by rail is more common along the Northeast Corridor, the only high-speed rail in the U.S. that meets international standards. Amtrak, the country's government-sponsored national passenger rail company, has a relatively sparse network compared to that of Western European countries. Service is concentrated in the Northeast, California, the Midwest, the Pacific Northwest, and Virginia/Southeast. The United States has an extensive air transportation network. U.S. civilian airlines are all privately owned. The three largest airlines in the world, by total number of passengers carried, are U.S.-based; American Airlines became the global leader after its 2013 merger with US Airways. Of the 50 busiest airports in the world, 16 are in the United States, as well as five of the top 10. The world's busiest airport by passenger volume is Hartsfield–Jackson Atlanta International in Atlanta, Georgia. In 2022, most of the 19,969 U.S. airports were owned and operated by local government authorities, and there are also some private airports. Some 5,193 are designated as "public use", including for general aviation. The Transportation Security Administration (TSA) has provided security at most major airports since 2001. The country's rail transport network, the longest in the world at 182,412.3 mi (293,564.2 km), handles mostly freight (in contrast to more passenger-centered rail in Europe). Because they are often privately owned operations, U.S. railroads lag behind those of the rest of the world in terms of electrification. The country's inland waterways are the world's fifth-longest, totaling 25,482 mi (41,009 km). They are used extensively for freight, recreation, and a small amount of passenger traffic. Of the world's 50 busiest container ports, four are located in the United States, with the busiest in the country being the Port of Los Angeles. Demographics The U.S. Census Bureau reported 331,449,281 residents on April 1, 2020,[v] making the United States the third-most-populous country in the world, after India and China. The Census Bureau's official 2025 population estimate was 341,784,857, an increase of 3.1% since the 2020 census. According to the Bureau's U.S. Population Clock, on July 1, 2024, the U.S. population had a net gain of one person every 16 seconds, or about 5400 people per day. In 2023, 51% of Americans age 15 and over were married, 6% were widowed, 10% were divorced, and 34% had never been married. In 2023, the total fertility rate for the U.S. stood at 1.6 children per woman, and, at 23%, it had the world's highest rate of children living in single-parent households in 2019. Most Americans live in the suburbs of major metropolitan areas. The United States has a diverse population; 37 ancestry groups have more than one million members. White Americans with ancestry from Europe, the Middle East, or North Africa form the largest racial and ethnic group at 57.8% of the United States population. Hispanic and Latino Americans form the second-largest group and are 18.7% of the United States population. African Americans constitute the country's third-largest ancestry group and are 12.1% of the total U.S. population. Asian Americans are the country's fourth-largest group, composing 5.9% of the United States population. The country's 3.7 million Native Americans account for about 1%, and some 574 native tribes are recognized by the federal government. In 2024, the median age of the United States population was 39.1 years. While many languages and dialects are spoken in the United States, English is by far the most commonly spoken and written. De facto, English is the official language of the United States, and in 2025, Executive Order 14224 declared English official. However, the U.S. has never had a de jure official language, as Congress has never passed a law to designate English as official for all three federal branches. Some laws, such as U.S. naturalization requirements, nonetheless standardize English. Twenty-eight states and the United States Virgin Islands have laws that designate English as the sole official language; 19 states and the District of Columbia have no official language. Three states and four U.S. territories have recognized local or indigenous languages in addition to English: Hawaii (Hawaiian), Alaska (twenty Native languages),[w] South Dakota (Sioux), American Samoa (Samoan), Puerto Rico (Spanish), Guam (Chamorro), and the Northern Mariana Islands (Carolinian and Chamorro). In total, 169 Native American languages are spoken in the United States. In Puerto Rico, Spanish is more widely spoken than English. According to the American Community Survey (2020), some 245.4 million people in the U.S. age five and older spoke only English at home. About 41.2 million spoke Spanish at home, making it the second most commonly used language. Other languages spoken at home by one million people or more include Chinese (3.40 million), Tagalog (1.71 million), Vietnamese (1.52 million), Arabic (1.39 million), French (1.18 million), Korean (1.07 million), and Russian (1.04 million). German, spoken by 1 million people at home in 2010, fell to 857,000 total speakers in 2020. America's immigrant population is by far the world's largest in absolute terms. In 2022, there were 87.7 million immigrants and U.S.-born children of immigrants in the United States, accounting for nearly 27% of the overall U.S. population. In 2017, out of the U.S. foreign-born population, some 45% (20.7 million) were naturalized citizens, 27% (12.3 million) were lawful permanent residents, 6% (2.2 million) were temporary lawful residents, and 23% (10.5 million) were unauthorized immigrants. In 2019, the top countries of origin for immigrants were Mexico (24% of immigrants), India (6%), China (5%), the Philippines (4.5%), and El Salvador (3%). In fiscal year 2022, over one million immigrants (most of whom entered through family reunification) were granted legal residence. The undocumented immigrant population in the U.S. reached a record high of 14 million in 2023. The First Amendment guarantees the free exercise of religion in the country and forbids Congress from passing laws respecting its establishment. Religious practice is widespread, among the most diverse in the world, and profoundly vibrant. The country has the world's largest Christian population, which includes the fourth-largest population of Catholics. Other notable faiths include Judaism, Buddhism, Hinduism, Islam, New Age, and Native American religions. Religious practice varies significantly by region. "Ceremonial deism" is common in American culture. The overwhelming majority of Americans believe in a higher power or spiritual force, engage in spiritual practices such as prayer, and consider themselves religious or spiritual. In the Southern United States' "Bible Belt", evangelical Protestantism plays a significant role culturally; New England and the Western United States tend to be more secular. Mormonism, a Restorationist movement founded in the U.S. in 1847, is the predominant religion in Utah and a major religion in Idaho. About 82% of Americans live in metropolitan areas, particularly in suburbs; about half of those reside in cities with populations over 50,000. In 2022, 333 incorporated municipalities had populations over 100,000, nine cities had more than one million residents, and four cities—New York City, Los Angeles, Chicago, and Houston—had populations exceeding two million. Many U.S. metropolitan populations are growing rapidly, particularly in the South and West. According to the Centers for Disease Control and Prevention (CDC), average U.S. life expectancy at birth reached 79.0 years in 2024, its highest recorded level. This was an increase of 0.6 years over 2023. The CDC attributed the improvement to a significant fall in the number of fatal drug overdoses in the country, noting that "heart disease continues to be the leading cause of death in the United States, followed by cancer and unintentional injuries." In 2024, life expectancy at birth for American men rose to 76.5 years (+0.7 years compared to 2023), while life expectancy for women was 81.4 years (+0.3 years). Starting in 1998, life expectancy in the U.S. fell behind that of other wealthy industrialized countries, and Americans' "health disadvantage" gap has been increasing ever since. The Commonwealth Fund reported in 2020 that the U.S. had the highest suicide rate among high-income countries. Approximately one-third of the U.S. adult population is obese and another third is overweight. The U.S. healthcare system far outspends that of any other country, measured both in per capita spending and as a percentage of GDP, but attains worse healthcare outcomes when compared to peer countries for reasons that are debated. The United States is the only developed country without a system of universal healthcare, and a significant proportion of the population that does not carry health insurance. Government-funded healthcare coverage for the poor (Medicaid) and for those age 65 and older (Medicare) is available to Americans who meet the programs' income or age qualifications. In 2010, then-President Obama passed the Patient Protection and Affordable Care Act.[x] Abortion in the United States is not federally protected, and is illegal or restricted in 17 states. American primary and secondary education, known in the U.S. as K–12 ("kindergarten through 12th grade"), is decentralized. School systems are operated by state, territorial, and sometimes municipal governments and regulated by the U.S. Department of Education. In general, children are required to attend school or an approved homeschool from the age of five or six (kindergarten or first grade) until they are 18 years old. This often brings students through the 12th grade, the final year of a U.S. high school, but some states and territories allow them to leave school earlier, at age 16 or 17. The U.S. spends more on education per student than any other country, an average of $18,614 per year per public elementary and secondary school student in 2020–2021. Among Americans age 25 and older, 92.2% graduated from high school, 62.7% attended some college, 37.7% earned a bachelor's degree, and 14.2% earned a graduate degree. The U.S. literacy rate is near-universal. The U.S. has produced the most Nobel Prize winners of any country, with 411 (having won 413 awards). U.S. tertiary or higher education has earned a global reputation. Many of the world's top universities, as listed by various ranking organizations, are in the United States, including 19 of the top 25. American higher education is dominated by state university systems, although the country's many private universities and colleges enroll about 20% of all American students. Local community colleges generally offer open admissions, lower tuition, and coursework leading to a two-year associate degree or a non-degree certificate. As for public expenditures on higher education, the U.S. spends more per student than the OECD average, and Americans spend more than all nations in combined public and private spending. Colleges and universities directly funded by the federal government do not charge tuition and are limited to military personnel and government employees, including: the U.S. service academies, the Naval Postgraduate School, and military staff colleges. Despite some student loan forgiveness programs in place, student loan debt increased by 102% between 2010 and 2020, and exceeded $1.7 trillion in 2022. Culture and society The United States is home to a wide variety of ethnic groups, traditions, and customs. The country has been described as having the values of individualism and personal autonomy, as well as a strong work ethic and competitiveness. Voluntary altruism towards others also plays a major role; according to a 2016 study by the Charities Aid Foundation, Americans donated 1.44% of total GDP to charity—the highest rate in the world by a large margin. Americans have traditionally been characterized by a unifying political belief in an "American Creed" emphasizing consent of the governed, liberty, equality under the law, democracy, social equality, property rights, and a preference for limited government. The U.S. has acquired significant hard and soft power through its diplomatic influence, economic power, military alliances, and cultural exports such as American movies, music, video games, sports, and food. The influence that the United States exerts on other countries through soft power is referred to as Americanization. Nearly all present Americans or their ancestors came from Europe, Africa, or Asia (the "Old World") within the past five centuries. Mainstream American culture is a Western culture largely derived from the traditions of European immigrants with influences from many other sources, such as traditions brought by slaves from Africa. More recent immigration from Asia and especially Latin America has added to a cultural mix that has been described as a homogenizing melting pot, and a heterogeneous salad bowl, with immigrants contributing to, and often assimilating into, mainstream American culture. Under the First Amendment to the Constitution, the United States is considered to have the strongest protections of free speech of any country. Flag desecration, hate speech, blasphemy, and lese majesty are all forms of protected expression. A 2016 Pew Research Center poll found that Americans were the most supportive of free expression of any polity measured. Additionally, they are the "most supportive of freedom of the press and the right to use the Internet without government censorship". The U.S. is a socially progressive country with permissive attitudes surrounding human sexuality. LGBTQ rights in the United States are among the most advanced by global standards. The American Dream, or the perception that Americans enjoy high levels of social mobility, plays a key role in attracting immigrants. Whether this perception is accurate has been a topic of debate. While mainstream culture holds that the United States is a classless society, scholars identify significant differences between the country's social classes, affecting socialization, language, and values. Americans tend to greatly value socioeconomic achievement, but being ordinary or average is promoted by some as a noble condition as well. The National Foundation on the Arts and the Humanities is an agency of the United States federal government that was established in 1965 with the purpose to "develop and promote a broadly conceived national policy of support for the humanities and the arts in the United States, and for institutions which preserve the cultural heritage of the United States." It is composed of four sub-agencies: Colonial American authors were influenced by John Locke and other Enlightenment philosophers. The American Revolutionary Period (1765–1783) is notable for the political writings of Benjamin Franklin, Alexander Hamilton, Thomas Paine, and Thomas Jefferson. Shortly before and after the Revolutionary War, the newspaper rose to prominence, filling a demand for anti-British national literature. An early novel is William Hill Brown's The Power of Sympathy, published in 1791. Writer and critic John Neal in the early- to mid-19th century helped advance America toward a unique literature and culture by criticizing predecessors such as Washington Irving for imitating their British counterparts, and by influencing writers such as Edgar Allan Poe, who took American poetry and short fiction in new directions. Ralph Waldo Emerson and Margaret Fuller pioneered the influential Transcendentalism movement; Henry David Thoreau, author of Walden, was influenced by this movement. The conflict surrounding abolitionism inspired writers, like Harriet Beecher Stowe, and authors of slave narratives, such as Frederick Douglass. Nathaniel Hawthorne's The Scarlet Letter (1850) explored the dark side of American history, as did Herman Melville's Moby-Dick (1851). Major American poets of the 19th century American Renaissance include Walt Whitman, Melville, and Emily Dickinson. Mark Twain was the first major American writer to be born in the West. Henry James achieved international recognition with novels like The Portrait of a Lady (1881). As literacy rates rose, periodicals published more stories centered around industrial workers, women, and the rural poor. Naturalism, regionalism, and realism were the major literary movements of the period. While modernism generally took on an international character, modernist authors working within the United States more often rooted their work in specific regions, peoples, and cultures. Following the Great Migration to northern cities, African-American and black West Indian authors of the Harlem Renaissance developed an independent tradition of literature that rebuked a history of inequality and celebrated black culture. An important cultural export during the Jazz Age, these writings were a key influence on Négritude, a philosophy emerging in the 1930s among francophone writers of the African diaspora. In the 1950s, an ideal of homogeneity led many authors to attempt to write the Great American Novel, while the Beat Generation rejected this conformity, using styles that elevated the impact of the spoken word over mechanics to describe drug use, sexuality, and the failings of society. Contemporary literature is more pluralistic than in previous eras, with the closest thing to a unifying feature being a trend toward self-conscious experiments with language. Twelve American laureates have won the Nobel Prize in Literature. Media in the United States is broadly uncensored, with the First Amendment providing significant protections, as reiterated in New York Times Co. v. United States. The four major broadcasters in the U.S. are the National Broadcasting Company (NBC), Columbia Broadcasting System (CBS), American Broadcasting Company (ABC), and Fox Broadcasting Company (Fox). The four major broadcast television networks are all commercial entities. The U.S. cable television system offers hundreds of channels catering to a variety of niches. In 2021, about 83% of Americans over age 12 listened to broadcast radio, while about 40% listened to podcasts. In the prior year, there were 15,460 licensed full-power radio stations in the U.S. according to the Federal Communications Commission (FCC). Much of the public radio broadcasting is supplied by National Public Radio (NPR), incorporated in February 1970 under the Public Broadcasting Act of 1967. U.S. newspapers with a global reach and reputation include The Wall Street Journal, The New York Times, The Washington Post, and USA Today. About 800 publications are produced in Spanish. With few exceptions, newspapers are privately owned, either by large chains such as Gannett or McClatchy, which own dozens or even hundreds of newspapers; by small chains that own a handful of papers; or, in an increasingly rare situation, by individuals or families. Major cities often have alternative newspapers to complement the mainstream daily papers, such as The Village Voice in New York City and LA Weekly in Los Angeles. The five most-visited websites in the world are Google, YouTube, Facebook, Instagram, and ChatGPT—all of them American-owned. Other popular platforms used include X (formerly Twitter) and Amazon. In 2025, the U.S. was the world's second-largest video game market by revenue (after China). In 2015, the U.S. video game industry consisted of 2,457 companies that employed around 220,000 jobs and generated $30.4 billion in revenue. There are 444 game publishers, developers, and hardware companies in California alone. According to the Game Developers Conference (GDC), the U.S. is the top location for video game development, with 58% of the world's game developers based there in 2025. The United States is well known for its theater. Mainstream theater in the United States derives from the old European theatrical tradition and has been heavily influenced by the British theater. By the middle of the 19th century, America had created new distinct dramatic forms in the Tom Shows, the showboat theater and the minstrel show. The central hub of the American theater scene is the Theater District in Manhattan, with its divisions of Broadway, off-Broadway, and off-off-Broadway. Many movie and television celebrities have gotten their big break working in New York productions. Outside New York City, many cities have professional regional or resident theater companies that produce their own seasons. The biggest-budget theatrical productions are musicals. U.S. theater has an active community theater culture. The Tony Awards recognizes excellence in live Broadway theater and are presented at an annual ceremony in Manhattan. The awards are given for Broadway productions and performances. One is also given for regional theater. Several discretionary non-competitive awards are given as well, including a Special Tony Award, the Tony Honors for Excellence in Theatre, and the Isabelle Stevenson Award. Folk art in colonial America grew out of artisanal craftsmanship in communities that allowed commonly trained people to individually express themselves. It was distinct from Europe's tradition of high art, which was less accessible and generally less relevant to early American settlers. Cultural movements in art and craftsmanship in colonial America generally lagged behind those of Western Europe. For example, the prevailing medieval style of woodworking and primitive sculpture became integral to early American folk art, despite the emergence of Renaissance styles in England in the late 16th and early 17th centuries. The new English styles would have been early enough to make a considerable impact on American folk art, but American styles and forms had already been firmly adopted. Not only did styles change slowly in early America, but there was a tendency for rural artisans there to continue their traditional forms longer than their urban counterparts did—and far longer than those in Western Europe. The Hudson River School was a mid-19th-century movement in the visual arts tradition of European naturalism. The 1913 Armory Show in New York City, an exhibition of European modernist art, shocked the public and transformed the U.S. art scene. American Realism and American Regionalism sought to reflect and give America new ways of looking at itself. Georgia O'Keeffe, Marsden Hartley, and others experimented with new and individualistic styles, which would become known as American modernism. Major artistic movements such as the abstract expressionism of Jackson Pollock and Willem de Kooning and the pop art of Andy Warhol and Roy Lichtenstein developed largely in the United States. Major photographers include Alfred Stieglitz, Edward Steichen, Dorothea Lange, Edward Weston, James Van Der Zee, Ansel Adams, and Gordon Parks. The tide of modernism and then postmodernism has brought global fame to American architects, including Frank Lloyd Wright, Philip Johnson, and Frank Gehry. The Metropolitan Museum of Art in Manhattan is the largest art museum in the United States and the fourth-largest in the world. American folk music encompasses numerous music genres, variously known as traditional music, traditional folk music, contemporary folk music, or roots music. Many traditional songs have been sung within the same family or folk group for generations, and sometimes trace back to such origins as the British Isles, mainland Europe, or Africa. The rhythmic and lyrical styles of African-American music in particular have influenced American music. Banjos were brought to America through the slave trade. Minstrel shows incorporating the instrument into their acts led to its increased popularity and widespread production in the 19th century. The electric guitar, first invented in the 1930s, and mass-produced by the 1940s, had an enormous influence on popular music, in particular due to the development of rock and roll. The synthesizer, turntablism, and electronic music were also largely developed in the U.S. Elements from folk idioms such as the blues and old-time music were adopted and transformed into popular genres with global audiences. Jazz grew from blues and ragtime in the early 20th century, developing from the innovations and recordings of composers such as W.C. Handy and Jelly Roll Morton. Louis Armstrong and Duke Ellington increased its popularity early in the 20th century. Country music developed in the 1920s, bluegrass and rhythm and blues in the 1940s, and rock and roll in the 1950s. In the 1960s, Bob Dylan emerged from the folk revival to become one of the country's most celebrated songwriters. The musical forms of punk and hip hop both originated in the United States in the 1970s. The United States has the world's largest music market, with a total retail value of $15.9 billion in 2022. Most of the world's major record companies are based in the U.S.; they are represented by the Recording Industry Association of America (RIAA). Mid-20th-century American pop stars, such as Frank Sinatra and Elvis Presley, became global celebrities and best-selling music artists, as have artists of the late 20th century, such as Michael Jackson, Madonna, Whitney Houston, and Mariah Carey, and of the early 21st century, such as Eminem, Britney Spears, Lady Gaga, Katy Perry, Taylor Swift and Beyoncé. The United States has the world's largest apparel market by revenue. Apart from professional business attire, American fashion is eclectic and predominantly informal. Americans' diverse cultural roots are reflected in their clothing; however, sneakers, jeans, T-shirts, and baseball caps are emblematic of American styles. New York, with its Fashion Week, is considered to be one of the "Big Four" global fashion capitals, along with Paris, Milan, and London. A study demonstrated that general proximity to Manhattan's Garment District has been synonymous with American fashion since its inception in the early 20th century. A number of well-known designer labels, among them Tommy Hilfiger, Ralph Lauren, Tom Ford and Calvin Klein, are headquartered in Manhattan. Labels cater to niche markets, such as preteens. New York Fashion Week is one of the most influential fashion shows in the world, and is held twice each year in Manhattan; the annual Met Gala, also in Manhattan, has been called the fashion world's "biggest night". The U.S. film industry has a worldwide influence and following. Hollywood, a district in central Los Angeles, the nation's second-most populous city, is also metonymous for the American filmmaking industry. The major film studios of the United States are the primary source of the most commercially successful movies selling the most tickets in the world. Largely centered in the New York City region from its beginnings in the late 19th century through the first decades of the 20th century, the U.S. film industry has since been primarily based in and around Hollywood. Nonetheless, American film companies have been subject to the forces of globalization in the 21st century, and an increasing number of films are made elsewhere. The Academy Awards, popularly known as "the Oscars", have been held annually by the Academy of Motion Picture Arts and Sciences since 1929, and the Golden Globe Awards have been held annually since January 1944. The industry peaked in what is commonly referred to as the "Golden Age of Hollywood", from the early sound period until the early 1960s, with screen actors such as John Wayne and Marilyn Monroe becoming iconic figures. In the 1970s, "New Hollywood", or the "Hollywood Renaissance", was defined by grittier films influenced by French and Italian realist pictures of the post-war period. The 21st century has been marked by the rise of American streaming platforms, which came to rival traditional cinema. Early settlers were introduced by Native Americans to foods such as turkey, sweet potatoes, corn, squash, and maple syrup. Of the most enduring and pervasive examples are variations of the native dish called succotash. Early settlers and later immigrants combined these with foods they were familiar with, such as wheat flour, beef, and milk, to create a distinctive American cuisine. New World crops, especially pumpkin, corn, potatoes, and turkey as the main course are part of a shared national menu on Thanksgiving, when many Americans prepare or purchase traditional dishes to celebrate the occasion. Characteristic American dishes such as apple pie, fried chicken, doughnuts, french fries, macaroni and cheese, ice cream, hamburgers, hot dogs, and American pizza derive from the recipes of various immigrant groups. Mexican dishes such as burritos and tacos preexisted the United States in areas later annexed from Mexico, and adaptations of Chinese cuisine as well as pasta dishes freely adapted from Italian sources are all widely consumed. American chefs have had a significant impact on society both domestically and internationally. In 1946, the Culinary Institute of America was founded by Katharine Angell and Frances Roth. This would become the United States' most prestigious culinary school, where many of the most talented American chefs would study prior to successful careers. The United States restaurant industry was projected at $899 billion in sales for 2020, and employed more than 15 million people, representing 10% of the nation's workforce directly. It is the country's second-largest private employer and the third-largest employer overall. The United States is home to over 220 Michelin star-rated restaurants, 70 of which are in New York City. Wine has been produced in what is now the United States since the 1500s, with the first widespread production beginning in what is now New Mexico in 1628. In the modern U.S., wine production is undertaken in all fifty states, with California producing 84 percent of all U.S. wine. With more than 1,100,000 acres (4,500 km2) under vine, the United States is the fourth-largest wine-producing country in the world, after Italy, Spain, and France. The classic American diner, a casual restaurant type originally intended for the working class, emerged during the 19th century from converted railroad dining cars made stationary. The diner soon evolved into purpose-built structures whose number expanded greatly in the 20th century. The American fast-food industry developed alongside the nation's car culture. American restaurants developed the drive-in format in the 1920s, which they began to replace with the drive-through format by the 1940s. American fast-food restaurant chains, such as McDonald's, Burger King, Chick-fil-A, Kentucky Fried Chicken, Dunkin' Donuts and many others, have numerous outlets around the world. The most popular spectator sports in the U.S. are American football, basketball, baseball, soccer, and ice hockey. Their premier leagues are, respectively, the National Football League, the National Basketball Association, Major League Baseball, Major League Soccer, and the National Hockey League, All these leagues enjoy wide-ranging domestic media coverage and, except for the MLS, all are considered the preeminent leagues in their respective sports in the world. While most major U.S. sports such as baseball and American football have evolved out of European practices, basketball, volleyball, skateboarding, and snowboarding are American inventions, many of which have become popular worldwide. Lacrosse and surfing arose from Native American and Native Hawaiian activities that predate European contact. The market for professional sports in the United States was approximately $69 billion in July 2013, roughly 50% larger than that of Europe, the Middle East, and Africa combined. American football is by several measures the most popular spectator sport in the United States. Although American football does not have a substantial following in other nations, the NFL does have the highest average attendance (67,254) of any professional sports league in the world. In the year 2024, the NFL generated over $23 billion, making them the most valued professional sports league in the United States and the world. Baseball has been regarded as the U.S. "national sport" since the late 19th century. The most-watched individual sports in the U.S. are golf and auto racing, particularly NASCAR and IndyCar. On the collegiate level, earnings for the member institutions exceed $1 billion annually, and college football and basketball attract large audiences, as the NCAA March Madness tournament and the College Football Playoff are some of the most watched national sporting events. In the U.S., the intercollegiate sports level serves as the main feeder system for professional and Olympic sports, with significant exceptions such as Minor League Baseball. This differs greatly from practices in nearly all other countries, where publicly and privately funded sports organizations serve this function. Eight Olympic Games have taken place in the United States. The 1904 Summer Olympics in St. Louis, Missouri, were the first-ever Olympic Games held outside of Europe. The Olympic Games will be held in the U.S. for a ninth time when Los Angeles hosts the 2028 Summer Olympics. U.S. athletes have won a total of 2,968 medals (1,179 gold) at the Olympic Games, the most of any country. In other international competition, the United States is the home of a number of prestigious events, including the America's Cup, World Baseball Classic, the U.S. Open, and the Masters Tournament. The U.S. men's national soccer team has qualified for eleven World Cups, while the women's national team has won the FIFA Women's World Cup and Olympic soccer tournament four and five times, respectively. The 1999 FIFA Women's World Cup was hosted by the United States. Its final match was attended by 90,185, setting the world record for largest women's sporting event crowd at the time. The United States hosted the 1994 FIFA World Cup and will co-host, along with Canada and Mexico, the 2026 FIFA World Cup. See also Notes References This article incorporates text from a free content work. Licensed under CC BY-SA IGO 3.0 (license statement/permission). Text taken from World Food and Agriculture – Statistical Yearbook 2023, FAO, FAO. External links 40°N 100°W / 40°N 100°W / 40; -100 (United States of America) |
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[SOURCE: https://en.wikipedia.org/wiki/Bloomberg_News] | [TOKENS: 2827] |
Contents Bloomberg News Bloomberg News (originally Bloomberg Business News) is an American news agency headquartered in New York City, and a division of Bloomberg L.P. Content produced by Bloomberg News is disseminated through Bloomberg Terminals, Bloomberg Television, Bloomberg Radio, Bloomberg Businessweek, Bloomberg Markets, Bloomberg.com, and Bloomberg's mobile platforms. Since 2015, John Micklethwait has been editor-in-chief. Bloomberg Business News was also the name of a 15-minute TV series that aired from Jan 4th, 1994 to some time in 1997. It was created for public-access television but was also syndicated to normal TV stations like KRON-TV in the Bay Area. History Bloomberg News was founded by Michael Bloomberg and Matthew Winkler in 1990 to deliver financial news reporting to Bloomberg Terminal subscribers. The agency was established in 1990 with a team of six people. Winkler was first editor-in-chief. In 2010, Bloomberg News included more than 2,300 editors and reporters in 72 countries and 146 news bureaus worldwide. Bloomberg Business News was created to expand the services offered through the terminals. According to Matthew Winkler, then a writer for The Wall Street Journal, Michael Bloomberg telephoned him in November 1989 and asked, "What would it take to get into the news business?" In his book, The Bloomberg Way, Winkler recalls a conversation with Bloomberg about a hypothetical ethical dilemma which could have arisen from Bloomberg's interest in creating a newspaper: "You have just published a story that says the chairman—and I mean chairman—of your biggest customer has taken $5 million from the corporate till. He is with his secretary at a Rio de Janeiro resort, and the secretary's spurned boyfriend calls to tip you off. You get an independent verification that the story is true. Then the phone rings. The customer's public-relations person says, 'Kill the story or we will return all the terminals we currently rent from you.'" "What would you do?" Winkler asked. "Go with the story," Bloomberg replied. "Our lawyers will love the fees you generate." Winkler recalls this as his "deciding moment", the time at which he became willing to help Bloomberg build his news organization. The publication was created to provide concise, timely financial news. As a new company in 1990, Bloomberg hoped that the news service would spread the company name, sell more Bloomberg Terminals and end Bloomberg's reliance on the Dow Jones News Services. The creation of Bloomberg Business News required Winkler to open a Bloomberg office in Washington, D.C., to report about political effects on the business world. However, the Standing Committee of Correspondents (SCC) in Washington required Bloomberg News be formally accredited to act as a legitimate news source, a title that Bloomberg Business News only accomplished after agreeing to provide free terminals to major newspapers in exchange for news space in the publications. During this growth period Bloomberg News opened a small television station in New York, purchased New York radio station WNEW, launched fifteen-minute weekday business news programs for broadcast on PBS, and opened offices in Hong Kong and Frankfurt, Germany. The initial goal of Bloomberg Business News to increase terminal sales was met by the mid-1990s and the company refocused the scope of its news service to rival the profitability of other media groups such as Reuters and Dow Jones. This led to the creation of Bloomberg's magazine, Bloomberg Personal, in 1995, which was carried in the Sunday edition of 18 U.S. papers. In 1994, Bloomberg launched a 24-hour financial news service through Bloomberg Information Television, which was broadcast on DirecTV. Bloomberg also launched a web site to provide the audio feed of its radio broadcasts. Bloomberg Business News was renamed Bloomberg News in 1997.[citation needed] In 2009 Bloomberg News and The Washington Post launched a global news service known as The Washington Post News Service with Bloomberg News, to provide economic and political news. In April 2014, Bloomberg News launched the Bloomberg Luxury lifestyle section of its paper. The section's content covers topics including travel, wine news, dining, auto news, gadgets, technology news, and more. It also highlights content from Bloomberg's quarterly lifestyle and luxury magazine, Pursuits.[citation needed] In 2012, Bloomberg News published investigative series titled "Revolution to Riches", which focused on China's political elite. The series won that year's George Polk Award for International Reporting. One story in the series delved into the family wealth of Chinese leader Xi Jinping. However, before publishing the Xi story, Bloomberg executives and senior editors met with Chinese diplomats twice, without informing the journalists working on the story. Zhang Yesui, the Chinese ambassador to the United States, reportedly threatened Bloomberg with consequences for its Chinese operations if it published the story. Bloomberg's editor-in-chief, Matthew Winkler, reportedly refused to stop the story from being published. Then-CEO Daniel Doctoroff also reportedly defended the investigation and insisted on publishing it, although he insisted on changes to soften the story's impact. After the story was published in June 2012, the Chinese government ordered state enterprises not to subscribe to Bloomberg News. The company's website was also blocked on Chinese servers, and it was unable to obtain visas for journalists it wanted to send to China. The following year, Bloomberg shut down an ongoing investigation into the financial ties between a wealthy Chinese businessman and top Chinese leaders' families. Another planned article "about the children of senior Chinese officials employed by foreign banks" was also killed, according to Bloomberg employees. At least five journalists and editors, including the lead writer on the Xi story, left the company after news reports about the decision appeared. One of the journalists said Bloomberg had disparaged "the team that worked so hard to execute an incredibly demanding story" and claimed it threatened the journalists who worked on the story with legal action if they discussed the incident publicly. Bloomberg's top editors, including the senior editor on the stories, Laurie Hays, and editor-in-chief Matthew Winkler denied that the stories were killed. However, this was contradicted by several anonymous Bloomberg employees. According to one employee, Winkler had said, "If we run the story, we'll be kicked out of China." Michael Bloomberg, founder of the company, also denied the accusation, but noted that he had recused himself from the company's operations as he was mayor of New York. After the incidents, Bloomberg set about trying to repair its relationship with the Chinese government. By 2015, Bloomberg's reporters began receiving visas again. Bloomberg Chairman Peter Grauer told the staff at the Bloomberg Hong Kong bureau that the company's sales team had done a "heroic job" of mending relations with Chinese officials who had indicated their displeasure about the publication of the Xi revelations. He also warned that if Bloomberg "were to do anything like" the Xi story again, the company would "be straight back in the shit-box." Bloomberg was widely criticized for how it handled the controversy. Howard French, a professor of journalism, wrote that Bloomberg had "tainted its corporate identity and journalism brand to a degree that could last for years." In 2015, an internal memo written by editor-in-chief John Micklethwait was leaked to the public. This memo indicated an intent to refocus the agency to better target its core audience, "the clever customer who is short of time", and better achieve the goal of being "the definitive 'chronicle of capitalism.'" This change led to a reduction in reporting on general interest topics in favor of content related to business and economics. In 2018, Micklethwait announced a new digital design for Bloomberg News. Bloomberg uses a metered paywall to charge visitors for content, limiting users to view 10 free articles per month with unlimited re-read option, and 30 minutes of Bloomberg Television watch per day with reset at local midnight time. In 2018, Bloomberg Businessweek, a subsidiary of Bloomberg News, published an article alleging that the Chinese government had hacked several American companies, including Apple Inc. and Amazon, by placing secret integrated circuits into their computers. Apple and Amazon strongly denied the report. The incident became a long-running dispute between Bloomberg; the U.S. Department of Homeland Security and the U.K. National Cyber Security Centre both issues statements supporting the companies' denials of the story. In 2021, Bloomberg published a follow-up article standing by its allegations. In 2016, Bloomberg published a news release claiming to be from Vinci SA, a French construction company, that it had discovered accounting irregularities and had to revise its earnings reports. The news release turned out to be a hoax. Vinci's stock briefly fell by 18% when Bloomberg published it, although it quickly recovered once it became clear it was not true. In 2019, France's stock markets regulator, the Autorité des marchés financiers, fined Bloomberg €5 million for publishing the report, stating that it should have known it was false. An appeals court reduced the fine to €3 million in 2021. In November 2019, as Michael Bloomberg announced his presidential campaign, editor-in-chief John Micklethwait ordered his staff not to investigate their boss, nor any other Democratic candidates, while investigations into Donald Trump would continue, "as the government of the day". Subsequent reporting said Micklethwait was referring to a team of specialized investigative reporters, as opposed to the overall political team, but he would not elaborate or issue a public clarification despite newsroom staff wishing for him to do so. Investigative journalists and political reporters operate separately but reporting indicates this distinction would not be clear to the general public. Following Bloomberg's announcement, the Houston Chronicle dropped Bloomberg as a source for the 2020 Presidential campaign, saying that "journalists should not choose targets based on their political affiliation." Former Bloomberg News DC Bureau Chief Megan Murphy also criticized the decision, saying it bars "talented reporters and editors from covering massive, crucial aspects of one of the defining elections of our time" and calling the decision to avoid coverage "not journalism". Responding to the controversy, Michael Bloomberg told CBS News: "We just have to learn to live with some things." He added that his reporters "get a paycheck. But with your paycheck comes some restrictions and responsibilities." Bloomberg suspended his campaign on March 4, 2020, the day after Super Tuesday. While the 2024 Russian prisoner exchange was still in progress, Bloomberg News broke a news embargo by reporting information provided by the White House. Other publications, including the Wall Street Journal, criticized Bloomberg for breaking the embargo, potentially jeopardizing the exchange, and for a Bloomberg editor's apparent boasting for being the one to first publish a breaking news story. Bloomberg Businessweek Bloomberg L.P. bought weekly business magazine Businessweek from McGraw-Hill in 2009. The company acquired the magazine to attract general business to its media audience composed primarily of terminal subscribers. Following the acquisition, Businessweek was renamed Bloomberg Businessweek. Bloomberg Businessweek became a part of Bloomberg News after the acquisition from Bloomberg L.P. Bloomberg Television Bloomberg Television is a 24-hour financial news television network. It was introduced in 1994 as a subscription service transmitted on satellite television provider DirecTV, 13 hours a day, 7 days a week. In 1995, the network entered the cable television market and by 2000, Bloomberg's 24-hour news programming was being aired to 200 million households. Justin Smith is CEO of the Bloomberg Media Group which includes Bloomberg Radio, Bloomberg Television and mobile, online and advertising-supported components of Bloomberg's media offerings. Bloomberg Markets Originally launched in July 1992 under the title Bloomberg: A Magazine for Bloomberg Users, Bloomberg Markets was a monthly magazine given to all Bloomberg Professional Service subscribers. In addition to providing international financial news to industry professionals, the magazine included points for navigating terminal functionality. In 2010, the magazine was redesigned in an effort to update its readership beyond terminal users. Ron Henkoff has been editor of Bloomberg Markets since 1999 and Michael Dukmejian has been the magazine's publisher since 2009. Bloomberg Opinion Bloomberg Opinion, formerly Bloomberg View, is an editorial division of Bloomberg News which launched in May 2011, and provides content from columnists, authors and editors about current news issues. Timothy L. O'Brien, a former New York Times reporter and editor, is senior executive editor of the division. Bloomberg Editor-in-Chief John Micklethwait admitted in an email to staffers that Michael Bloomberg controls the editorial output of the Opinion section, stating "our editorials have reflected his views". In 2015, Michael Bloomberg threatened to close Bloomberg View, part of the Bloomberg Opinion, after John Paulson, a billionaire hedge fund manager gave him a call. Paulson was upset about a column by Matt Levine that suggested his record-breaking donation to Harvard should have gone to "literally any other charity." Bloomberg changed his mind over the weekend, but the columnist was given a talking to, according to people familiar with the incident. Bloomberg Politics Bloomberg Politics provides political coverage via digital, print and broadcast media. The multimedia venture, which debuted in October 2014, featured the daily television news program With All Due Respect, hosted by Bloomberg Politics Managing Editors Mark Halperin and John Heilemann. The program came to an end on December 2, 2016. In 2016, Bloomberg Politics produced a documentary on the 2016 US presidential election called The Circus: Inside the Greatest Political Show on Earth. As of 2024, Bloomberg Politics covers political events in the Americas, United Kingdom, Europe, Asia, and the Middle East. Bloomberg's section on U.S. politics primarily covers national news and American foreign policy. See also References External links Americas Asia Europe Oceania |
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[SOURCE: https://en.wikipedia.org/wiki/UFO] | [TOKENS: 12238] |
Contents Unidentified flying object An unidentified flying object (UFO) is an object or phenomenon seen in the sky but not yet identified or explained. The term was coined when United States Air Force (USAF) investigations into flying saucers found too broad a range of shapes reported to consider them all saucers or discs. UFOs are also known as unidentified aerial phenomena or unidentified anomalous phenomena (UAP). Upon investigation, most UFOs are identified as known objects or atmospheric phenomena, while a small number remain unexplained. While unusual sightings in the sky have been reported since at least the 3rd century BC, UFOs became culturally prominent after World War II, escalating during the Space Age. Studies and investigations into UFO reports conducted by governments (such as Project Blue Book in the United States and Project Condign in the United Kingdom), as well as by organisations and individuals have occurred over the years without confirmation of the fantastical claims of small but vocal groups of ufologists who favour unconventional or pseudoscientific hypotheses, often claiming that UFOs are evidence of extraterrestrial intelligence, technologically advanced cryptids, interdimensional contact or future time travelers. After decades of promotion of such ideas by believers and in popular media, the kind of evidence required to solidly support such claims has not been forthcoming. Scientists and skeptic organizations such as the Committee for Skeptical Inquiry have provided prosaic explanations for UFOs, namely that they are caused by natural phenomena, human technology, delusions, and hoaxes. Although certain beliefs surrounding UFOs have inspired parts of new religions, social scientists have identified the ongoing interest and storytelling surrounding UFOs as a modern example of folklore and mythology understandable with psychosocial explanations. The problems of temporarily or permanently non-knowable anomalous phenomenon or perceived objects in flight is part of the philosophical subject epistemology. The U.S. government has two entities dedicated to UFO data collection and analysis: NASA's UAP independent study team and the Department of Defense All-domain Anomaly Resolution Office. Terminology During the late 1940s and through the 1950s, UFOs were often called "flying saucers" or "flying discs" based on reporting of the Kenneth Arnold incident. "Unidentified flying object" (UFO) has been in-use since 1947. The acronym "UFO" was coined by Captain Edward J. Ruppelt for the USAF. He wrote, "Obviously the term 'flying saucer' is misleading when applied to objects of every conceivable shape and performance. For this reason the military prefers the more general, if less colorful, name: unidentified flying objects. UFO". The term UFO became widespread during the 1950s, at first in technical literature, but later in popular use. "Unidentified aerial phenomena" (UAP) first appeared in the late 1960s. UAP has seen increasing usage in the 21st century due to negative cultural associations with "UFO". UAP is sometimes expanded as "unidentified anomalous phenomenon". While technically a UFO refers to any unidentified flying object, in modern popular culture the term UFO has generally become synonymous with alien spacecraft. The term "extra-terrestrial vehicle" (ETV) is sometimes used to separate this explanation of UFOs from totally earthbound explanations. Identification Studies show that after careful investigation, the majority of UFOs can be identified as ordinary objects or phenomena. The 1952–1955 study for the USAF used the following categories: "Balloon; Astronomical; Aircraft; Light phenomenon; Birds, Clouds, dust, etc.; Insufficient information; Psychological manifestations; Unknown; and Other". Identified sources of UFO reports are: An individual 1979 study by CUFOS researcher Allan Hendry found, as did other investigations, that fewer than one percent of cases he investigated were hoaxes and most sightings were actually honest misidentifications of prosaic phenomena. Hendry attributed most of these to inexperience or misperception. Astronomer Andrew Fraknoi rejected the hypothesis that UFOs are extraterrestrial spacecraft and responded to the "onslaught of credulous coverage" in books, films and entertainment by teaching his students to apply critical thinking to such claims, advising them that "being a good scientist is not unlike being a good detective". According to Fraknoi, UFO reports "might at first seem mysterious", but "the more you investigate, the more likely you are to find that there is LESS to these stories than meets the eye". History People have always observed the sky and have sometimes seen what, to some, appeared to be unusual sights including phenomena as varied as comets, bright meteors, one or more of the five planets that can be readily seen with the naked eye, planetary conjunctions, and atmospheric optical phenomena such as parhelia and lenticular clouds.[citation needed] One particularly famous example is Halley's Comet: first recorded by Chinese astronomers in 240 BC and possibly as early as 467 BC as a strange and unknown "guest light" in the sky. As a bright comet that visits the inner solar system every 76 years, it was often identified as a unique isolated event in ancient historical documents whose authors were unaware that it was a repeating phenomenon.[citation needed] Such accounts in history often were treated as supernatural portents, angels, or other religious omens.[citation needed] While UFO enthusiasts have sometimes commented on the narrative similarities between certain religious symbols in medieval paintings and UFO reports, the canonical and symbolic character of such images is documented by art historians placing more conventional religious interpretations on such images. Some examples of pre-contemporary reports about unusual aerial phenomena include: In the Pacific and European theatres during World War II, round, glowing fireballs known as "foo fighters" were reported by Allied and Axis pilots. Some explanations for these sightings included St. Elmo's fire, the planet Venus, hallucinations from oxygen deprivation, and German secret weapons (specifically rockets). In 1946, more than 2,000 reports were collected, primarily by the Swedish military, of unidentified aerial objects over the Scandinavian nations, along with isolated reports from France, Portugal, Spain, Italy, and Greece. The objects were referred to as "Russian hail" (and later as "ghost rockets") because it was thought the mysterious objects were possibly Russian tests of captured German V1 or V2 rockets, but most were identified as natural phenomena as meteors. Many scholars, especially those arguing for the psychosocial UFO hypothesis, have noted that UFO characteristics reported after the first widely publicized modern sighting by Kenneth Arnold in 1947 resembled a host of science fiction tropes from earlier in the century. By most accounts, the popular UFO craze in the US began with a media frenzy surrounding the reports on June 24, 1947, of a civilian pilot named Kenneth Arnold who described seeing "a group of bat-like aircraft flying in formation at high speeds" near Mount Rainier that he said were "moving like a saucer would if skipped across water" which led to headlines about "flying saucers" and "flying discs". Only weeks after Arnold's story was reported in 1947, Gallup published a poll asking people in the United States what the "flying saucers" might be. Already, 90% had heard of the new term. However, as reported by historian Greg Eghanian, "a majority either had no idea what they could be or thought that witnesses were mistaken" while "visitors from space were not initially among the options that anyone had in mind, and Gallup didn't even mention if anyone surveyed brought up aliens. Within weeks, reports of flying saucer sightings became a daily occurrence with one particularly famous example being the Roswell incident in 1947 where remnants of a downed observation balloon were recovered by a farmer and confiscated by military personnel. UFO enthusiasts in the early 1950s started to organize local "saucer clubs" modeled after science fiction fan clubs of the 1930s and 1940s, with some growing to national and international prominence within a decade. In 1950, three influential books were published—Donald Keyhoe's The Flying Saucers Are Real, Frank Scully's Behind the Flying Saucers, and Gerald Heard's The Riddle of the Flying Saucers. Each guilelessly proposed that the extraterrestrial UFO hypothesis was the correct explanation and that the visits were in response to detonations of atomic weapons. These books also introduced Americans to, as Eghanian puts it, "the crusading whistleblower dedicated to breaking the silence over the alien origins of unidentified flying objects". Media accounts and speculation ran rampant in the U.S., especially in connection to the 1952 UFO scare in Washington, D.C. so that, by 1953, the intelligence officials (Robertson Panel) worried that "genuine incursions" by enemy aircraft "over U.S. territory could be lost in a maelstrom of kooky hallucination" of UFO reports. A Trendex survey in August 1957, ten years after the Arnold incident, reported that over 25% of the U.S. public "believed unidentified flying objects could be from outer space". The cultural phenomenon showed up within some intellectual works such as the 1959 publication of Flying Saucers: A Modern Myth of Things Seen in the Sky by Carl Jung, a Swiss psychiatrist and psychoanalyst who founded analytical psychology. Starting in 1947, the U.S. Air Force began to record and investigated UFO reports with Project Sign looking into "more than 250 cases" from 1947 to 1949. It was replaced by Project Grudge up through 1951. In the third U.S. Air Force program, from March 1952 to its termination in December 1969, "the U.S. Air Force cataloged 12,618 sightings of UFOs as part of what is now known as Project Blue Book". In the late 1950s, public pressure mounted for a full declassification of all UFO records, but the CIA played a role in refusing to allow this. This sense was not universal in the CIA, however, as fellow NICAP official Donald E. Keyhoe wrote that Vice Admiral Roscoe Hillenkoetter, the first director of the CIA, "wanted public disclosure of UFO evidence". Official U.S. Air Force interest in UFO reports went on hiatus in 1969 after a study by the University of Colorado led by Edward U. Condon and known as the Condon Report concluded "that nothing has come from the study of UFOs in the past 21 years that has added to scientific knowledge" and that further time investigating UFO reports "cannot be justified". From the 1960s to 1990s, UFOs were part of American popular culture's obsession with the supernatural and paranormal. In 1961, the first alien abduction account was sensationalized when Barney and Betty Hill underwent hypnosis after seeing a UFO and reported recovered memories of their experience that became ever more elaborate as the years went by. In 1966, 5% of Americans reported to Gallup that "they had at some time seen something they thought was a 'flying saucer'", 96% said "they had heard or read about flying saucers", and 46% of these "thought they were 'something real' rather than just people's imagination". Responding to UFO enthusiasm, there have always been consistent yet less popular efforts made at debunking many of the claims, and at times the media was enlisted including a 1966 TV special, "UFO: Friend, Foe or Fantasy?", in which Walter Cronkite "patiently" explained to viewers that UFOs were fantasy. Cronkite enlisted Carl Sagan and J. Allen Hynek, who told Cronkite, "To this time, there is no valid scientific proof that we have been visited by spaceships". Such attempts to disenchant the zeitgeist were not very successful at tamping down the mania. Keith Kloor notes that the "allure of flying saucers" remained popular with the public into the 1970s, spurring production of such sci-fi films, as Close Encounters of the Third Kind and Alien, which "continued to stoke public fascination". Meanwhile, Leonard Nimoy narrated a popular occult and mystery TV series In Search of... while daytime talk shows of Mike Douglas, Merv Griffin, and Phil Donahue featured interviews with alien abductees and people who credulously reported stories about UFOs . In the 1980s and 1990s, UFO stories featured in such pulp "true crime" serials as Unsolved Mysteries while the 33 Volume Time-Life series Mysteries of the Unknown which featured UFO stories sold some 700,000 copies. Kloor writes that by the late 1990s, "other big UFO subthemes had been prominently introduced into pop culture, such as the abduction phenomenon and government conspiracy narrative, via best-selling books and, of course, The X-Files". Eghigian notes that, by this point, the UFO problem had become "far more interesting to ponder than to actually solve." Interest was particularly fevered in the 1990s with the publicity surrounding the television broadcast of an Alien autopsy video marketed as "real footage" but later admitted to be a staged "re-enactment". Eghigian writes that "there had always been outlier abduction reports dating back to the '50s and '60s" but that in the 1980s and 1990s "the floodgates opened, and with them a new generation of UFO advocates". Leaders among them were the artist Budd Hopkins, horror writer Whitley Strieber, historian David Jacobs, and Harvard psychiatrist John Mack. They all defended the "veracity of those claiming to have been kidnapped, examined, and experimented upon by beings from another world", writes Eghigian, as "new missionaries who simultaneously played the role of investigator, therapist, and advocate to their vulnerable charges". Eghigian says that Mack "signaled both the culmination and end of the headiest days of alien abduction". When Mack began working with and publishing accounts of abductees—or "experiencers", as he called them—in the early 1990s, he brought a sense of legitimacy to "the study of extraterrestrial captivity". By the late 1990s, however, the Harvard Medical School initiated a review of his position which allowed him to retain tenure. However, after this review, as the review board chairman Arnold Relman later put it, Mack was "not taken seriously by his colleagues anymore". Claims of alien abduction have continued, but no other clinicians would continue to speak of them as real in any sense. Nonetheless, these ideas persisted in popular opinion. According to a 1996 poll by Newsweek, 20% of Americans believed that UFOs were more likely to be proof of alien life than to have a natural scientific explanation. In December 2017, a new round of media attention started when The New York Times broke the story of the secret Advanced Aviation Threat Identification Program that was funded from 2007 to 2012 with $22 million spent on the program. Following this story, along with a series of sensationalized Pentagon UFO videos leaked by members of the program who became convinced that UFOs were genuine mysteries worth investigating, there was an increase in mainstream attention to UFO stories. In July 2021, Harvard astronomer Avi Loeb announced the creation of his Galileo Project which intended to use high-tech astronomical equipment to seek evidence of extraterrestrial artifacts in space and possibly within Earth's atmosphere. This was followed closely by the publication of Loeb's book Extraterrestrial, in which he argued that the first interstellar comet ever observed, ʻOumuamua, might be an artificial light sail made by an alien civilization. Two government sponsored programs, NASA's UAP independent study team and the All-domain Anomaly Resolution Office were charged in part by Congressional fiat to investigate UFO claims more fully, adopting the new moniker "unexplained aerial phenomenon" (UAP) to avoid associations with past sensationalism. On 17 May 2022, members of the United States House Intelligence Subcommittee on Counterterrorism, Counterintelligence and Counterproliferation held congressional hearings with top military officials to discuss military reports of UAPs. It was the first public congressional hearing into UFO sightings in the US in over 50 years. Another Congressional hearing took place on July 26, 2023, featuring the whistleblower claims of former U.S. Air Force (USAF) officer and intelligence official David Grusch. A Harris Poll in 2009 found that 32% of Americans "believe in UFOs". A National Geographic study in June 2012 found that 36% of Americans believe UFOs exist and that 10% thought that they had spotted one. In June 2021 a Pew research poll found that 51% in the United States thought that UFOs reported by people in the military were likely to be evidence of intelligent life from beyond the Earth. In August 2021, Gallup, with a question not specific to military reports, only found that 41% of adults believed some UFOs involve alien spacecraft from other planets. This Gallup poll showed 44% of men and 38% of women believed this. This average of 41% in 2021 was up from 33% in a 2019 Gallup poll with the same question. Gallup further found that college graduates went in 2019 from being the least likely educational group to believe this to being on par in 2021 with adults who have no college education. An October 2022 poll by YouGov only found that 34% of Americans believe that UFOs are likely to involve alien life forms. Historian Greg Eghigian wrote in August 2021 that "over the last fifty years, the mutual antagonism between paranormal believers and skeptics has largely framed discussion about unidentified flying objects" and that "it often gets personal" with those taking seriously the prospect that UFOs are extraterrestrial in origin dismissing those who consider UFOs to be worth studying as "narrow-minded, biased, obstinate, and cruel" while the skeptics brushed off "devotees" as "naïve, ignorant, gullible, and downright dangerous". Such "mudslinging over convictions is certainly familiar to historians of religion, a domain of human existence marked by deep divisions over interpretations of belief", and science too has found itself engaged increasing amounts of "boundary work" (which is "asserting and reasserting the borders between legitimate and illegitimate scientific research and ideas, between what may and what may not refer to itself as science") with regard to UFO questions. Eghigian points out our current "stark divide did not happen overnight, and its roots lie in the postwar decades, in a series of events that—with their news coverage, grainy images, celebrity crusaders, exasperated skeptics, unsatisfying military statements, and accusations of a government cover-up—foreshadow our present moment". UFOs have been taken up by religious studies scholars in various scholarly books. Jeffrey Kripal, chair of the Department of Religion at Rice University, has said that "both the material and the mental dimensions [of UFOs] are incredibly important to get a sense of the full picture". As Adrian Horton writes "from The X-Files to Men in Black, Close Encounters of the Third Kind to Star Wars to Marvel, Hollywood has for decades provided an engrossing feedback loop for interest in the extraterrestrial: a reflection of our fears and capaciousness, whose ubiquitous popularity has in turn fueled more interest in UFOs as perennially compelling entertainment tropes not to be taken seriously". Horton observes that these "alien movies have generally reflected shifting cultural anxieties, from the existential terror of nuclear war to foreign enslavement to loss of bodily control". American entertainment has explored both "hostile aliens" as well as the "benevolent, world-expanding encounters" seen in films such as Steven Spielberg's Close Encounters of the Third Kind and E.T. the Extra-Terrestrial. In her research on the relationship of media to UFO beliefs, Diana Walsh Pasulka, a professor of philosophy and religion at the University of North Carolina, says that what is seen on a screen, "if it conforms to certain criteria, is interpreted as real, even if it is not real and even if one knows it is not real" and that "screen images embed themselves in one's brain and memories" in ways that "can determine how one views one's past and even determine one's future behaviors". Investigations of reports UFOs have been subject to investigations over the years that varied widely in scope and scientific rigor. Governments or independent academics in the United States, Canada, the United Kingdom, Japan, Peru, France, Belgium, Sweden, Brazil, Chile, Uruguay, Mexico, Spain, and the Soviet Union are known to have investigated UFO reports at various times. No official government investigation has ever publicly concluded that UFOs are indisputably real, physical objects, extraterrestrial in origin, or of concern to national defense. Among the best known government studies are the ghost rockets investigation by the Swedish military (1946–1947), Project Blue Book, previously Project Sign and Project Grudge, conducted by the USAF from 1947 until 1969, the secret U.S. Army/Air Force Project Twinkle investigation into green fireballs (1948–1951), the secret USAF Project Blue Book Special Report No. 14 by the Battelle Memorial Institute, and the Brazilian Air Force's 1977 Operação Prato (Operation Saucer). France has had an ongoing investigation (GEPAN/SEPRA/GEIPAN) within its space agency Centre national d'études spatiales (CNES) since 1977; the government of Uruguay has had a similar investigation since 1989. On October 31, 2008, the National Archives of Brazil began receiving from the Aeronautical Documentation and History Center part of the documentation of the Brazilian Air Force regarding the investigation of the appearance of UFOs in Brazil. Currently, this collection gathers cases between 1952 and 2016. In Chile in 1968, the SEFAA (previously CEFAA) began receiving case reports of the general public, civil aviators and the Chilean Air Force regarding the sightings or the appearance of UFOs (Spanish: ovnis). The initial work was an initiative of Sergio Bravo Flores who led the Chilean Committee for the Study of Unidentified Space Phenomena, supported even by the Chilean Scientific Society. Currently, the organization changed its denomination to SEFAA and its a department of the DGAC(Chile) which in turn depends on the Chilean Air Force. In Canada, the Department of National Defence has dealt with reports, sightings and investigations of UFOs across Canada. In addition to conducting investigations into crop circles in Duhamel, Alberta, it still considers "unsolved" the Falcon Lake incident in Manitoba and the Shag Harbour UFO incident in Nova Scotia. Early Canadian studies included Project Magnet (1950–1954) and Project Second Storey (1952–1954), supported by the Defence Research Board. U.S. investigations into UFOs include: In addition to these, thousands of documents released under FOIA also indicate that many U.S. intelligence agencies collected (and still collect) information on UFOs. These agencies include the Defense Intelligence Agency (DIA), FBI, CIA, National Security Agency (NSA), as well as military intelligence agencies of the Army and U.S. Navy, in addition to the Air Force.[note 1] Following the large U.S. surge in sightings in June and early July 1947, on July 9, 1947, United States Army Air Forces (USAAF) intelligence, in cooperation with the FBI, began a formal investigation into selected sightings with characteristics that could not be immediately rationalized, such as Kenneth Arnold's. The USAAF used "all of its top scientists" to determine whether "such a phenomenon could, in fact, occur". The research was "being conducted with the thought that the flying objects might be a celestial phenomenon," or that "they might be a foreign body mechanically devised and controlled." Three weeks later in a preliminary defense estimate, the air force investigation decided that, "This 'flying saucer' situation is not all imaginary or seeing too much in some natural phenomenon. Something is really flying around." A further review by the intelligence and technical divisions of the Air Materiel Command at Wright Field reached the same conclusion. It reported that "the phenomenon is something real and not visionary or fictitious," and there were disc-shaped objects, metallic in appearance, as big as man-made aircraft. They were characterized by "extreme rates of climb [and] maneuverability", general lack of noise, absence of a trail, occasional formation flying, and "evasive" behavior "when sighted or contacted by friendly aircraft and radar", suggesting a controlled craft. It was therefore recommended in late September 1947 that an official Air Force investigation be set up. It was also recommended that other government agencies should assist in the investigation.[note 2] Project Sign's final report, published in early 1949, stated that while some UFOs appeared to represent actual aircraft, there was not enough data to determine their origin. The Air Force's Project Sign was created at the end of 1947, and was one of the earliest government studies to come to a secret extraterrestrial conclusion. In August 1948, Sign investigators wrote a top-secret intelligence estimate to that effect, but the Air Force Chief of Staff Hoyt Vandenberg ordered it destroyed. The existence of this suppressed report was revealed by several insiders who had read it, such as astronomer and USAF consultant J. Allen Hynek and Capt. Edward J. Ruppelt, the first head of the USAF's Project Blue Book. Another highly classified U.S. study was conducted by the CIA's Office of Scientific Investigation (OS/I) in the latter half of 1952 in response to orders from the National Security Council (NSC). This study concluded UFOs were real physical objects of potential threat to national security. One OS/I memo to the CIA Director (DCI) in December read that "the reports of incidents convince us that there is something going on that must have immediate attention ... Sightings of unexplained objects at great altitudes and traveling at high speeds in the vicinity of major U.S. defense installations are of such a nature that they are not attributable to natural phenomena or any known types of aerial vehicles." The matter was considered so urgent that OS/I drafted a memorandum from the DCI to the NSC proposing that the NSC establish an investigation of UFOs as a priority project throughout the intelligence and the defense research and development community. It also urged the DCI to establish an external research project of top-level scientists, now known as the Robertson Panel to analyze the problem of UFOs. The OS/I investigation was called off after the Robertson Panel's negative conclusions in January 1953. Project Sign was dismantled and became Project Grudge at the end of 1948. Angered by the low quality of investigations by Grudge, the Air Force Director of Intelligence reorganized it as Project Blue Book in late 1951, placing Ruppelt in charge. J. Allen Hynek, a trained astronomer who served as a scientific advisor for Project Blue Book, was initially skeptical of UFO reports, but eventually came to the conclusion that many of them could not be satisfactorily explained and was highly critical of what he described as "the cavalier disregard by Project Blue Book of the principles of scientific investigation". Leaving government work, he founded the privately funded CUFOS, to whose work he devoted the rest of his life. Other private groups studying the phenomenon include the MUFON, a grassroots organization whose investigator's handbooks go into great detail on the documentation of alleged UFO sightings. Air Force Regulation 200-2, issued in 1953 and 1954, defined an Unidentified Flying Object ("UFOB") as "any airborne object which by performance, aerodynamic characteristics, or unusual features, does not conform to any presently known aircraft or missile type, or which cannot be positively identified as a familiar object." The regulation also said UFOBs were to be investigated as a "possible threat to the security of the United States" and "to determine technical aspects involved." The regulation went on to say that "it is permissible to inform news media representatives on UFOB's when the object is positively identified as a familiar object" but added: "For those objects which are not explainable, only the fact that ATIC [Air Technical Intelligence Center] will analyze the data is worthy of release, due to many unknowns involved." A public research effort conducted by the Condon Committee for the USAF and published as the Condon Report arrived at a negative conclusion in 1968. Blue Book closed down in 1970, using the Condon Committee's negative conclusion as a rationale, thus ending official Air Force UFO investigations. However, a 1969 USAF document, known as the Bolender memo, along with later government documents, revealed that non-public U.S. government UFO investigations continued after 1970. The Bolender memo first stated that "reports of unidentified flying objects that could affect national security ... are not part of the Blue Book system", indicating that more serious UFO incidents already were handled outside the public Blue Book investigation. The memo then added, "reports of UFOs which could affect national security would continue to be handled through the standard Air Force procedures designed for this purpose."[note 3] In the late 1960s, a chapter on UFOs in the Space Sciences course at the U.S. Air Force Academy gave serious consideration to possible extraterrestrial origins. When word of the curriculum became public, in 1970, the Air Force issued a statement to the effect that the book was outdated and cadets instead were being informed of the Condon Report's negative conclusion. Controversy surrounded the report, both before and after its release. It has been observed that the report was "harshly criticized by numerous scientists, particularly at the powerful AIAA ... [which] recommended moderate, but continuous scientific work on UFOs." In an address to the AAAS, James E. McDonald said he believed science had failed to mount adequate studies of the problem and criticized the Condon Report and earlier studies by the USAF as scientifically deficient. He also questioned the basis for Condon's conclusions and argued that the reports of UFOs have been "laughed out of scientific court". J. Allen Hynek, an astronomer who worked as a USAF consultant from 1948, sharply criticized the Condon Committee Report and later wrote two nontechnical books that set forth the case for continuing to investigate UFO reports. Ruppelt recounted his experiences with Project Blue Book, a USAF investigation that preceded Condon's. According to a 1979 New York Times report, "records from the C.I.A., the F.B.I. and other Federal agencies" ("about 900 documents—nearly 900 pages of memos, reports and correspondence") obtained in 1978 through the Freedom of Information Act request, indicate that "despite official pronouncements for decades that U.F.O.'s were nothing more than misidentified aerial objects and as such were no cause for alarm ... the phenomenon has aroused much serious behind‐the‐scenes concern" in the US government. In particular, officials were concerned over the "approximately 10%" of UFO sightings which remained unexplained, and whether they might be Soviet aircraft and a threat to national security. Officials were concerned about the "risk of false alerts", of "falsely identifying the real as phantom", and of mass hysteria caused by sightings. In 1947, Brigadier General George F. Schulgen of Army Air Corps Intelligence, warned "the first reported sightings might have been by individuals of Communist sympathies with the view to causing hysteria and fear of a secret Russian weapon." In November 2011, the White House released an official response to two petitions asking the U.S. government to acknowledge formally that aliens have visited this planet and to disclose any intentional withholding of government interactions with extraterrestrial beings. According to the response: The U.S. government has no evidence that any life exists outside our planet, or that an extraterrestrial presence has contacted or engaged any member of the human race...no credible information to suggest that any evidence is being hidden from the public's eye.... — Statement by the White House The response further noted that efforts, like SETI and NASA's Kepler space telescope and Mars Science Laboratory, continue looking for signs of life. The response noted "odds are pretty high" that there may be life on other planets but "the odds of us making contact with any of them—especially any intelligent ones—are extremely small, given the distances involved." On June 25, 2021, the Office of the Director of National Intelligence released a report on UAPs. The report found that the UAPTF was unable to identify 143 objects spotted between 2004 and 2021. The report said that 18 of these featured unusual movement patterns or flight characteristics, adding that more analysis was needed to determine if those sightings represented "breakthrough" technology. The report said that "some of these steps are resource-intensive and would require additional investment." The report did not link the sightings to extraterrestrial life. Amid ongoing drone and UFO incursions over US military installations, Congress directed continued reporting in the National Defense Authorization Act for Fiscal Year 2026, including retroactive and ongoing disclosure of UFO intercepts by NORAD and NORTHCOM. The Uruguayan Air Force has conducted UFO investigations since 1989 and reportedly analyzed 2,100 cases of which they regard approximately 2% as lacking explanation. Many people reported UFO sightings in and around the Pudasjärvi area in the North Ostrobothnia region in the late 1960s and early 1970s. UFO researchers and the press only became interested in UFOs in the area after a sighting in September 1969, after which UFO researchers from other parts of Finland and Sweden visited the area. An earthquake light has been proposed as an explanation for the Pudasjärvi phenomena. In March 2007, the French space agency CNES published an archive of UFO sightings and other phenomena online. French studies include GEPAN/SEPRA/GEIPAN within CNES (French space agency), the longest ongoing government-sponsored investigation. About 22% of the 6,000 cases studied remain unexplained. The official opinion of GEPAN/SEPRA/GEIPAN has been neutral, stating on their FAQ page that their mission is fact-finding for the scientific community, not rendering an opinion. They add they can neither prove nor disprove the Extraterrestrial Hypothesis (ETH), but their Steering Committee's clear position is that they cannot discard the possibility that some fraction of the very strange 22% of unexplained cases might be due to distant and advanced civilizations. Possibly their bias may be indicated by their use of the terms "PAN" (French) or "UAP" (English equivalent) for "Unidentified Aerospace Phenomenon" (whereas "UAP" is normally used by English organizations stands for "Unidentified Aerial Phenomenon", a more neutral term). In addition, the three heads of the studies have gone on record in stating that UFOs were real physical flying machines beyond our knowledge or that the best explanation for the most inexplicable cases was an extraterrestrial one. In 2007, the CNES's own report stated that, at that time, 28% of sightings remained unidentified. In 2008, Michel Scheller, president of the Association Aéronautique et Astronautique de France (3AF), created the Sigma Commission. Its purpose was to investigate UFO phenomena worldwide. A progress report published in May 2010 stated that the central hypothesis proposed by the COMETA report is perfectly credible. In December 2012, the final report of the Sigma Commission was submitted to Scheller. Following the submission of the final report, the Sigma2 Commission is to be formed with a mandate to continue the scientific investigation of UFO phenomena. Alleged UFO sightings gradually increased since the war, peaking in 1978 and 2005. The total number of sightings since 1947 are 18,500, of which 90% are identifiable. The UK's Flying Saucer Working Party published its final report in June 1951, which remained secret for over fifty years. The Working Party concluded that all UFO sightings could be explained as misidentifications of ordinary objects or phenomena, optical illusions, psychological misperceptions/aberrations, or hoaxes. The report stated: "We accordingly recommend very strongly that no further investigation of reported mysterious aerial phenomena be undertaken, unless and until some material evidence becomes available." Eight file collections on UFO sightings, dating from 1978 to 1987, were first released on May 14, 2008, to The National Archives by the Ministry of Defence (MoD). Although kept secret from the public for many years, most of the files have low levels of classification and none are classified Top Secret. 200 files are set to be made public by 2012. The files are correspondence from the public sent to the British government and officials, such as the MoD and Margaret Thatcher. The MoD released the files under the Freedom of Information Act due to requests from researchers. These files include, but are not limited to, UFOs over Liverpool and Waterloo Bridge in London. On October 20, 2008, more UFO files were released. One case released detailed that in 1991 an Alitalia passenger aircraft was approaching London Heathrow Airport when the pilots saw what they described as a "cruise missile" fly extremely close to the cockpit. The pilots believed a collision was imminent. UFO expert David Clarke says this is one of the most convincing cases for a UFO he has come across. A secret study of UFOs was undertaken for the Ministry of Defence between 1996 and 2000 and was code-named Project Condign. The resulting report, titled "Unidentified Aerial Phenomena in the UK Defence Region", was publicly released in 2006, but the identity and credentials of whoever constituted Project Condign remains classified. The report confirmed earlier findings that the main causes of UFO sightings are misidentification of man-made and natural objects. The report noted: "No artefacts of unknown or unexplained origin have been reported or handed to the UK authorities, despite thousands of Unidentified Aerial Phenomena reports. There are no SIGINT, ELINT or radiation measurements and little useful video or still IMINT." It concluded: "There is no evidence that any UAP, seen in the UKADR [UK Air Defence Region], are incursions by air-objects of any intelligent (extraterrestrial or foreign) origin, or that they represent any hostile intent." A little-discussed conclusion of the report was that novel meteorological plasma phenomenon akin to ball lightning are responsible for "the majority, if not all" of otherwise inexplicable sightings, especially reports of black triangle UFOs. On December 1, 2009, the Ministry of Defence quietly closed down its UFO investigations unit. The unit's hotline and email address were suspended by the MoD on that date. The MoD said there was no value in continuing to receive and investigate sightings in a release, stating that "in over fifty years, no UFO report has revealed any evidence of a potential threat to the United Kingdom. The MoD has no specific capability for identifying the nature of such sightings. There is no Defence benefit in such investigation and it would be an inappropriate use of defence resources. Furthermore, responding to reported UFO sightings diverts MoD resources from tasks that are relevant to Defence." The Guardian reported that the MoD claimed the closure would save the Ministry around £50,000 a year. The MoD said it would continue to release UFO files to the public through The National Archives. UFO reports, Parliamentary questions, and letters from members of the public were released on August 5, 2010, to the UK National Archives. "In one letter included in the files, a man alleges Churchill ordered a coverup of a WWII-era UFO encounter involving the Royal Air Force". Reports of UFO sightings continue. According to The Independent, there were 957 reported UFO sightings across the UK between January 2021 and May 2023, with Manchester, London, Liverpool, and Glasgow being hotspots. Studies UFOs have become a prevalent theme in modern culture, and the social phenomena have been the subject of academic research in sociology and psychology. Critics argue that all UFO evidence is anecdotal, and can be explained as prosaic natural phenomena. Defenders of UFO research counter that knowledge of observational data, other than what is reported in the popular media, is limited in the scientific community and further study is needed. Studies have established that the majority of UFO observations are misidentified conventional objects or natural phenomena—most commonly aircraft, balloons including sky lanterns, satellites, and astronomical objects such as meteors, bright stars and planets. A small percentage are hoaxes.[note 4] Fewer than 10% of reported sightings remain unexplained after proper investigation and therefore can be classified as unidentified in the strictest sense. According to Steven Novella, proponents of the extraterrestrial hypothesis (ETH) suggest these unexplained reports are of alien spacecraft, however the null hypothesis cannot be excluded; that these reports are simply other more prosaic phenomena that cannot be identified due to lack of complete information or due to the necessary subjectivity of the reports. Novella says that instead of accepting the null hypothesis, UFO enthusiasts tend to engage in special pleading by offering outlandish, untested explanations for the validity of the ETH, which violate Occam's razor. Historically, ufology has not been considered credible in mainstream science. The scientific community has generally deemed that UFO sightings are not worthy of serious investigation except as a cultural artifact. Studies of UFOs rarely appear in mainstream scientific literature. When asked, some scientists and scientific organizations have pointed to the end of official governmental studies in the U.S. in December 1969, following the statement by the government scientist Edward Condon that further study of UFOs could not be justified on grounds of scientific advancement. On 14 September 2023, NASA reported the appointment, for the first time, of a NASA Director of UAP Research (known earlier as U.F.O.), identified as Mark McInerney, to scientifically, and transparently, study such occurrences. Despite investigations sponsored by governments and private entities, ufology is not embraced by academia as a scientific field of study, and is instead generally considered a pseudoscience by skeptics and science educators, being often included on lists of topics characterized as pseudoscience as either a partial or total pseudoscience. Pseudoscience is a term that classifies arguments that are claimed to exemplify the methods and principles of science, but do not adhere to an appropriate scientific method, lack supporting evidence, plausibility, falsifiability, or otherwise lack scientific status. Some writers have identified social factors that contribute to the status of ufology as a pseudoscience, with one study suggesting that "any science doubt surrounding unidentified flying objects and aliens was not primarily due to the ignorance of ufologists about science, but rather a product of the respective research practices of and relations between ufology, the sciences, and government investigative bodies". One study suggests that "the rudimentary standard of science communication attending to the extraterrestrial intelligence (ETI) hypothesis for UFOs inhibits public understanding of science, dissuades academic inquiry within the physical and social sciences, and undermines progressive space policy initiatives". Jacques Vallée, a scientist and ufologist, claimed there were deficiencies in most UFO research, including government studies. He criticized the mythology and cultism often associated with UFO sightings, but despite the challenges, Vallée contended that several hundred professional scientists—a group both he and Hynek termed "the invisible college"—continued to study UFOs quietly on their own time. In 2021, astronomer Avi Loeb launched The Galileo Project, which intends to collect and report scientific evidence of extraterrestrials or extraterrestrial technology on or near Earth via telescopic observations. In Germany, the University of Würzburg is developing intelligent sensors that can help detect and analyze aerial objects in hopes of applying such technology to UAP. A 2021 Gallup poll found that belief among Americans in some UFOs being extraterrestrial spacecraft grew between 2019 and 2021 from 33% to 41%. Gallup cited increased coverage in mainstream news and scrutiny from government authorities as a factor in changing attitudes towards UFOs. In 2022, NASA announced a nine-month study starting in the fall to help establish a road map for investigating UAP—or for reconnaissance of the publicly available data it might use for such research. In 2023, the RAND Corporation published a study reviewing 101,151 public reports of UAP sightings in the United States from 1998 to 2022. The models used to conduct the analysis showed that reports of UAP sightings were less likely within 30 km of weather stations, 60 km of civilian airports, and in more–densely populated areas, while rural areas tended to have a higher rate of UAP reports. The most consistent and statistically significant finding was that reports of UAP sightings were more likely to occur within 30 km of military operations areas, where routine military training occurs. Besides anecdotal visual sightings, reports sometimes include claims of other kinds of evidence, including cases studied by the military and various government agencies of different countries (such as Project Blue Book, the Condon Committee, the French GEPAN/SEPRA, and Uruguay's current Air Force study). A comprehensive scientific review of cases where physical evidence was available was carried out by the 1998 Sturrock panel, with specific examples of many of the categories listed below. A scientifically skeptical group that has for many years offered critical analyses of UFO claims is the Committee for Skeptical Inquiry (CSI). One example is the response to local beliefs that "extraterrestrial beings" in UFOs were responsible for crop circles appearing in Indonesia, which the government and the National Institute of Aeronautics and Space (LAPAN) described as "man-made". Thomas Djamaluddin, research professor of astronomy and astrophysics at LAPAN stated: "We have come to agree that this 'thing' cannot be scientifically proven. Scientists have put UFOs in the category of pseudoscience." UFOs have been the subject of investigations by various governments that have provided extensive records related to the subject. Many of the most involved government-sponsored investigations ended after agencies concluded that there was no benefit to continued investigation. These same negative conclusions also have been found in studies that were highly classified for many years, such as the UK's Flying Saucer Working Party, Project Condign, the U.S. CIA-sponsored Robertson Panel, the U.S. military investigation into the green fireballs from 1948 to 1951, and the Battelle Memorial Institute study for the USAF from 1952 to 1955 (Project Blue Book Special Report No. 14). Some public government reports have acknowledged the possibility of the physical reality of UFOs, but have stopped short of proposing extraterrestrial origins, though not dismissing the possibility entirely. Examples are the Belgian military investigation into large triangles over their airspace in 1989–1991 and the 2009 Uruguayan Air Force study conclusion. In 2007, former Arizona governor Fife Symington claimed he had seen "a massive, delta-shaped craft silently navigate over Squaw Peak, a mountain range in Phoenix, Arizona" in 1997. Apollo 14 astronaut Edgar Mitchell claimed he knew of senior government employees who had been involved in "close encounters", and because of this, he has no doubt that aliens have visited Earth. In May 2019, The New York Times reported that American Navy fighter jets had several instances of unidentified instrumentation and tracking data while conducting exercises off the eastern seaboard of the United States from the summer of 2014 to March 2015. The Times published a cockpit instrument video that appeared to show an object moving at high speed near the ocean surface as it appeared to rotate, and objects that appeared capable of high acceleration, deceleration and maneuverability. In two separate incidents, a pilot reported his cockpit instruments locked onto and tracked objects but he was unable to see them through his helmet camera. In another encounter, flight instruments recorded an image described as a sphere encasing a cube between two jets as they flew about 100 feet apart. The Pentagon officially released these videos on April 27, 2020. The United States Navy has said there have been "a number of reports of unauthorized and/or unidentified aircraft entering various military-controlled ranges and designated air space in recent years". According to former U.S. Navy Lieutenant Ryan Graves, UAPs spotted by US Navy crew aboard the USS Nimitz, the USS Princeton, and other carriers in 2014 prompted flight safety concerns by some Navy pilots. Graves, described as "one of the most vocal advocates for UAP transparency", said the appearance of UFOs was frequent near aircraft carriers. In 2019, a US Navy spokesperson, Joseph Gradisher stated, "For safety and security concerns, the Navy and the [US Air Force] takes these reports very seriously and investigates each and every report", and because of the sightings, the "Navy is updating and formalising the process" of reporting, with the reporting process updated by 2020 In May 2021, military pilots recalled their related encounters, along with camera and radar support, including one pilot's account noting that such incidents occurred "every day for at least a couple of years", according to an interview broadcast on the news program, 60 Minutes (May 16, 2021). Science writer and skeptic Mick West suggested the image was the result of an optical effect called a bokeh which can make out of focus light sources appear triangular or pyramidal due to the shape of the aperture of some lenses. In August, 2022, an article by West provided his detailed analysis of the video. On June 25, 2021, U.S. Defense and intelligence officials released the nine pages Pentagon UFO Report (Preliminary Assessment: Unidentified Aerial Phenomena) on what they know about a series of unidentified flying objects that have been seen by American military pilots in the skies between 2004 and 2021. It observed that "UAP probably lack a single explanation", but identified airborne clutter and foreign adversary systems as among possible objects that "clearly pose a safety of flight issue and may pose a challenge to U.S. national security". The report also mentioned dangers associated with "an increasingly cluttered air domain". The issue of safety with commercial airlines has also been raised. The report does not mentions extraterrestrials, but concludes that the objects found by the US military appear to be real in the majority of the 144 occurrences documented. "Most of the UAP reported probably do represent physical objects given that a majority of UAP were registered across multiple sensors, to include radar, infrared, electro-optical, weapon seekers, and visual observation", according to the report. The report also stated that "UAP probably lack a single explanation", and proposed five possible categories of explanation: airborne clutter, natural atmospheric phenomena, US government or industry development technology, foreign craft, and an "Other" category. Commenting on the document, NASA Administrator Bill Nelson said that he did not think we are alone, but the UFO sightings by pilots "may not be extraterrestrial." In December 2021, further official governmental investigations into UAPs and related, along with annual unclassified reports presented to Congress, have been authorized and funded. Some have raised concerns about the new investigations. U.S. President Joe Biden in 2023 signed the Unidentified Anomalous Phenomena Disclosure Act into law as part of the National Defense Authorization Act for Fiscal Year 2024 on December 14, 2023. The 64-page amendment defined and codified 22 technical definitions related to UFOs and non-human intelligence under the law. UFOs are sometimes an element of conspiracy theories in which governments are allegedly intentionally "covering up" the existence of aliens by removing physical evidence of their presence or even collaborating with extraterrestrial beings. There are many versions of this story; some are exclusive, while others overlap with various other conspiracy theories. In the U.S., an opinion poll conducted in 1997 suggested that 80% of Americans believed the U.S. government was withholding such information. Various notables have also expressed such views. Some examples are astronauts Gordon Cooper and Edgar Mitchell, Senator Barry Goldwater, Vice Admiral Roscoe H. Hillenkoetter (the first CIA director), Lord Hill-Norton (former British Chief of Defense Staff and NATO head), the 1999 French COMETA study by various French generals and aerospace experts, and Yves Sillard (former director of CNES, new director of French UFO research organization GEIPAN). In June 2023, United States Air Force officer and former intelligence official David Grusch claimed that the U.S. federal government has maintained a highly secretive UFO retrieval program since the 1940s and that the government possesses multiple spacecraft of "non-human" origin. In May 2025, Matthew Brown, another former intelligence official, claimed elements of the US Government executive branch had conspired to prevent the US Congress from exercising its lawful powers of oversight with respect to UAP, Technology of Unknown Origin (TUO) and Non-Human Intelligence (NHI) issues. He also claimed there was a "criminal conspiracy" to keep the elected government of the United States ignorant of "the profound discoveries and dire threats originating from the existence of UAP, NHI, and their technologies." He claimed there was an Unacknowledged Special Access Program (USAP) called "Immaculate Constellation" that consolidated observations of UAP etc. and used "sophisticated internal information security controls" to enforce the detection, quarantining and compartmentalisation of UAP imagery collection incidents before they were circulated within the various branches of national and military intelligence. This was how such sightings and observations could be denied to exist by intelligence officials when questioned on it because it had been hidden to them by systems of internal secrecy they were unaware about.[unreliable source?] A document written by an anonymous whistleblower (since revealed to have been authored by Matthew Brown in about 2018) was submitted to the Congressional Record at a public hearing of the House Oversight Committee in November 2024. In a later interview with Jeremy Corbell and George Knapp, released online in May 2024, Brown claimed that a secret group of people had successfully "reverse engineered" TUO from downed UAP and the rest of humanity had been "left behind". In May 2001, a press conference was held at the National Press Club in Washington, D.C., by an organization called the Disclosure Project, featuring twenty persons including retired Air Force and FAA personnel, intelligence officers and an air traffic controller. They all gave a brief account of their claims that evidence of UFOs was being suppressed and said they would be willing to testify under oath to a Congressional committee. According to a 2002 report in the Oregon Daily Emerald, Disclosure Project founder Steven M. Greer is an "alien theorist" who claims "proof of government coverup" consisting of 120 hours of testimony from various government officials on the topic of UFOs, including astronaut Gordon Cooper. In 2007, the German UFO conspiracy forum Disclose.tv was created. The website's name references the concept of disclosure. On September 27, 2010, a group of six former USAF officers and one former enlisted Air Force man held a press conference at the National Press Club in Washington, D.C., on the theme "U.S. Nuclear Weapons Have Been Compromised by Unidentified Aerial Objects" in which they claimed they had witnessed UFOs hovering near missile sites and even disarming the missiles. From April 29 to May 3, 2013, the Paradigm Research Group held the "Citizen Hearing on Disclosure" at the National Press Club. The group paid former U.S. Senator Mike Gravel and former Representatives Carolyn Cheeks Kilpatrick, Roscoe Bartlett, Merrill Cook, Darlene Hooley, and Lynn Woolsey $20,000 each to hear testimony from a panel of researchers which included witnesses from military, agency, and political backgrounds. UFOs have been interpreted by some groups in a religious way, often influenced by the Theosophical tradition. Some Christians have interpreted UFOs as demonic entities. Ufology is a neologism describing the study of UFO reports and associated evidence. Limited institutional or scientific study has given rise to independent researchers and UFO organizations, including the National Investigations Committee on Aerial Phenomena (NICAP) in the mid-20th century and, more recently, the Mutual UFO Network (MUFON) and the Center for UFO Studies (CUFOS). In popular culture UFOs have constituted a widespread international cultural phenomenon since the 1950s. Gallup Polls rank UFOs near the top of lists for subjects of widespread recognition. In 1973, a survey found that 95 percent of the public reported having heard of UFOs, whereas only 92 percent had heard of U.S. President Gerald Ford in a 1977 poll taken just nine months after he left the White House. A 1996 Gallup Poll reported that 71 percent of the United States population believed the U.S. government was covering up information regarding UFOs. A 2002 Roper Poll for the Sci-Fi Channel found similar results, but with more people believing UFOs are extraterrestrial craft. In that latest poll, 56 percent thought UFOs were real craft and 48 percent that aliens had visited the Earth. Again, about 70 percent felt the government was not sharing everything it knew about UFOs or extraterrestrial life. Another effect of the flying saucer type of UFO sightings has been Earth-made flying saucer craft in space fiction, for example the United Planets Cruiser C57D in Forbidden Planet (1956), the Jupiter 2 in Lost in Space, and the saucer section of the USS Enterprise in Star Trek. UFOs and extraterrestrials have been featured in many movies. The intense secrecy surrounding the secret Nevada base, known as Area 51, has made it the frequent subject of conspiracy theories and a central component of UFO folklore. In July 2019, more than 2 million people replied to a joke proposal to storm Area 51 which appeared in an anonymous Facebook post. Two music festivals in rural Nevada, "AlienStock" and "Storm Area 51 Basecamp", were subsequently organized to capitalize on the popularity of the original Facebook event. 150 people showed up to the Area 51 entrance and attendance at the festivals was 1,500. See also Notes References Bibliography External links |
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[SOURCE: https://en.wikipedia.org/wiki/57_Orionis] | [TOKENS: 209] |
Contents List of stars in Orion This is the list of notable stars in the constellation Orion, sorted by decreasing brightness. • Name = Proper name • B = Bayer designation • F or/and G. = Flamsteed designation or Gould designation • Var = Variable star designation • HD = Henry Draper Catalogue designation number • HIP = Hipparcos Catalogue designation number • RA = Right ascension for the Epoch/Equinox J2000.0 • Dec = Declination for the Epoch/Equinox J2000.0 • vis. mag. = visual magnitude (m or mv), also known as apparent magnitude • abs. mag. = absolute magnitude (Mv) • Dist. (ly) = Distance in light-years from Earth • Sp. class = Spectral class of the star in the stellar classification system • Notes = Common name(s) or alternate name(s); comments; notable properties [for example: multiple star status, range of variability if it is a variable star, exoplanets, etc.] See also References |
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[SOURCE: https://en.wikipedia.org/wiki/River_delta] | [TOKENS: 3827] |
Contents River delta A river delta is a landform, typically triangular, created by the deposition of the sediments that are carried by the waters of a river, where the river merges with a body of slow-moving water or with a body of stagnant water. The creation of a river delta occurs at the river mouth, where the river merges into an ocean, a sea, or an estuary, into a lake, a reservoir, or (more rarely) into another river that cannot carry away the sediment supplied by the feeding river. Etymologically, the term river delta derives from the triangular shape (Δ) of the uppercase Greek letter delta. In hydrology, the dimensions of a river delta are determined by the balance between the watershed processes that supply sediment and the watershed processes that redistribute, sequester, and export the supplied sediment into the receiving basin. River deltas are important in human civilization, as they are major agricultural production centers and population centers. They can provide coastline defence and can impact drinking water supply. They are also ecologically important, with different species' assemblages depending on their landscape position. On geologic timescales, they are also important carbon sinks. Etymology A river delta is so named because the shape of the Nile Delta approximates the triangular uppercase Greek letter delta. The triangular shape of the Nile Delta was known to audiences of classical Athenian drama; the tragedy Prometheus Bound by Aeschylus refers to it as the "triangular Nilotic land", though not as a "delta". Herodotus's description of Egypt in his Histories mentions the Delta fourteen times, as "the Delta, as it is called by the Ionians", including describing the outflow of silt into the sea and the convexly curved seaward side of the triangle. Despite making comparisons to other river systems deltas, Herodotus did not describe them as "deltas". The Greek historian Polybius likened the land between the Rhône and Isère rivers to the Nile Delta, referring to both as islands, but did not apply the word delta. According to the Greek geographer Strabo, the Cynic philosopher Onesicritus of Astypalaea, who accompanied Alexander the Great's conquests in India, reported that Patalene (the delta of the Indus River) was "a delta" (Koine Greek: καλεῖ δὲ τὴν νῆσον δέλτα, romanized: kalei de tēn nēson délta, lit. 'he calls the island a delta'). The Roman author Arrian's Indica states that "the delta of the land of the Indians is made by the Indus river no less than is the case with that of Egypt". As a generic term for the landform at the mouth of the river, the word delta is first attested in the English-speaking world in the late 18th century, in the work of Edward Gibbon. Formation River deltas form when a river carrying sediment reaches a body of water, such as a lake, ocean, or a reservoir. When the flow enters the standing water, it is no longer confined to its channel and expands in width. This flow expansion results in a decrease in the flow velocity, which diminishes the ability of the flow to transport sediment. As a result, sediment drops out of the flow and is deposited as alluvium, which builds up to form the river delta. Over time, this single channel builds a deltaic lobe (such as the bird's-foot of the Mississippi or Ural river deltas), pushing its mouth into the standing water. As the deltaic lobe advances, the gradient of the river channel becomes lower because the river channel is longer but has the same change in elevation (see slope). As the gradient of the river channel decreases, the amount of shear stress on the bed decreases, which results in the deposition of sediment within the channel and a rise in the channel bed relative to the floodplain. This destabilizes the river channel. If the river breaches its natural levees (such as during a flood), it spills out into a new course with a shorter route to the ocean, thereby obtaining a steeper, more stable gradient. Typically, when the river switches channels in this manner, some of its flow remains in the abandoned channel. Repeated channel-switching events build up a mature delta with a distributary network. Another way these distributary networks form is from the deposition of mouth bars (mid-channel sand and/or gravel bars at the mouth of a river). When this mid-channel bar is deposited at the mouth of a river, the flow is routed around it. This results in additional deposition on the upstream end of the mouth bar, which splits the river into two distributary channels. A good example of the result of this process is the Wax Lake Delta. In both of these cases, depositional processes force redistribution of deposition from areas of high deposition to areas of low deposition. This results in the smoothing of the planform (or map-view) shape of the delta as the channels move across its surface and deposit sediment. Because the sediment is laid down in this fashion, the shape of these deltas approximates a fan. The more often the flow changes course, the shape develops closer to an ideal fan because more rapid changes in channel position result in a more uniform deposition of sediment on the delta front. The Mississippi and Ural River deltas, with their bird's feet, are examples of rivers that do not avulse often enough to form a symmetrical fan shape. Alluvial fan deltas, as seen by their name, avulse frequently and more closely approximate an ideal fan shape. Most large river deltas discharge to intra-cratonic basins on the trailing edges of passive margins due to the majority of large rivers such as the Mississippi, Nile, Amazon, Ganges, Indus, Yangtze, and Yellow River discharging along passive continental margins. This phenomenon is due mainly to three factors: topography, basin area, and basin elevation. Topography along passive margins tend to be more gradual and widespread over a greater area enabling sediment to pile up and accumulate over time to form large river deltas. Topography along active margins tends to be steeper and less widespread, which results in sediments not having the ability to pile up and accumulate due to the sediment traveling into a steep subduction trench rather than a shallow continental shelf. There are many other lesser factors that could explain why the majority of river deltas form along passive margins rather than active margins. Along active margins, orogenic sequences cause tectonic activity to form over-steepened slopes, brecciated rocks, and volcanic activity resulting in delta formation to exist closer to the sediment source. When sediment does not travel far from the source, sediments that build up are coarser grained and more loosely consolidated, therefore making delta formation more difficult. Tectonic activity on active margins causes the formation of river deltas to form closer to the sediment source which may affect channel avulsion, delta lobe switching, and auto cyclicity. Active margin river deltas tend to be much smaller and less abundant but may transport similar amounts of sediment. However, the sediment is never piled up in thick sequences due to the sediment traveling and depositing in deep subduction trenches. At the mouth of a river, the change in flow conditions can cause the river to drop any sediment it is carrying. This sediment deposition can generate a variety of landforms, such as deltas, sand bars, spits, and tie channels. Landforms at the river mouth drastically alter the geomorphology and ecosystem. Types Deltas are typically classified according to the main control on deposition, which is a combination of river, wave, and tidal processes, depending on the strength of each. The other two factors that play a major role are landscape position and the grain size distribution of the source sediment entering the delta from the river. Fluvial-dominated deltas are found in areas of low tidal range and low wave energy. Where the river water is nearly equal in density to the basin water, the delta is characterized by homopycnal flow, in which the river water rapidly mixes with basin water and abruptly dumps most of its sediment load. Where the river water has a higher density than basin water, typically from a heavy load of sediment, the delta is characterized by hyperpycnal flow in which the river water hugs the basin bottom as a density current that deposits its sediments as turbidites. When the river water is less dense than the basin water, as is typical of river deltas on an ocean coastline, the delta is characterized by hypopycnal flow in which the river water is slow to mix with the denser basin water and spreads out as a surface fan. This allows fine sediments to be carried a considerable distance before settling out of suspension. Beds in a hypopycnal delta dip at a very shallow angle, around 1 degree. Fluvial-dominated deltas are further distinguished by the relative importance of the inertia of rapidly flowing water, the importance of turbulent bed friction beyond the river mouth, and buoyancy. Outflow dominated by inertia tends to form Gilbert-type deltas. Outflow dominated by turbulent friction is prone to channel bifurcation, while buoyancy-dominated outflow produces long distributaries with narrow subaqueous natural levees and few channel bifurcations. The modern Mississippi River delta is a good example of a fluvial-dominated delta whose outflow is buoyancy-dominated. Channel abandonment has been frequent, with seven distinct channels active over the last 5000 years. Other fluvial-dominated deltas include the Mackenzie delta and the Alta delta. A Gilbert delta (named after Grove Karl Gilbert) is a type of fluvial-dominated delta formed from coarse sediments, as opposed to gently sloping muddy deltas such as that of the Mississippi. For example, a mountain river depositing sediment into a freshwater lake would form this kind of delta. It is commonly a result of homopycnal flow. Such deltas are characterized by a tripartite structure of topset, foreset, and bottomset beds. River water entering the lake rapidly deposits its coarser sediments on the submerged face of the delta, forming steeping dipping foreset beds. The finer sediments are deposited on the lake bottom beyond this steep slope as more gently dipping bottomset beds. Behind the delta front, braided channels deposit the gently dipping beds of the topset on the delta plain. While some authors describe both lacustrine and marine locations of Gilbert deltas, others note that their formation is more characteristic of the freshwater lakes, where it is easier for the river water to mix with the lakewater faster (as opposed to the case of a river falling into the sea or a salt lake, where less dense fresh water brought by the river stays on top longer). Gilbert himself first described this type of delta on Lake Bonneville in 1885. Elsewhere, similar structures occur, for example, at the mouths of several creeks that flow into Okanagan Lake in British Columbia and form prominent peninsulas at Naramata, Summerland, and Peachland. In wave-dominated deltas, wave-driven sediment transport controls the shape of the delta, and much of the sediment emanating from the river mouth is deflected along the coastline. The relationship between waves and river deltas is quite variable and largely influenced by the deepwater wave regimes of the receiving basin. With a high wave energy near shore and a steeper slope offshore, waves will make river deltas smoother. Waves can also be responsible for carrying sediments away from the river delta, causing the delta to retreat. For deltas that form further upriver in an estuary, there are complex yet quantifiable linkages between winds, tides, river discharge, and delta water levels. Erosion is also an important control in tide-dominated deltas, such as the Ganges Delta, which may be mainly submarine, with prominent sandbars and ridges. This tends to produce a "dendritic" structure. Tidal deltas behave differently from river-dominated and wave-dominated deltas, which tend to have a few main distributaries. Once a wave-dominated or river-dominated distributary silts up, it is abandoned, and a new channel forms elsewhere. In a tidal delta, new distributaries are formed during times when there is a lot of water around – such as floods or storm surges. These distributaries slowly silt up at a more or less constant rate until they fizzle out. A tidal freshwater delta is a sedimentary deposit formed at the boundary between an upland stream and an estuary, in the region known as the "subestuary". Drowned coastal river valleys that were inundated by rising sea levels during the late Pleistocene and subsequent Holocene tend to have dendritic estuaries with many feeder tributaries. Each tributary mimics this salinity gradient from its brackish junction with the mainstem estuary up to the fresh stream feeding the head of tidal propagation. As a result, the tributaries are considered to be "subestuaries". The origin and evolution of a tidal freshwater delta involves processes that are typical of all deltas as well as processes that are unique to the tidal freshwater setting. The combination of processes that create a tidal freshwater delta result in a distinct morphology and unique environmental characteristics. Many tidal freshwater deltas that exist today are directly caused by the onset of or changes in historical land use, especially deforestation, intensive agriculture, and urbanization. These ideas are well illustrated by the many tidal freshwater deltas prograding into Chesapeake Bay along the east coastline of the United States. Research has demonstrated that the accumulating sediments in this estuary derive from post-European settlement deforestation, agriculture, and urban development. Other rivers, particularly those on coasts with significant tidal range, do not form a delta but enter into the sea in the form of an estuary. Notable examples include the Gulf of Saint Lawrence and the Tagus estuary. In rare cases, the river delta is located inside a large valley and is called an inverted river delta. Sometimes a river divides into multiple branches in an inland area, only to rejoin and continue to the sea. Such an area is called an inland delta, and often occurs on former lake beds. The term was first coined by Alexander von Humboldt for the middle reaches of the Orinoco River, which he visited in 1800. Other prominent examples include the Inner Niger Delta, Peace–Athabasca Delta, the Sacramento–San Joaquin River Delta, and the Sistan delta of Iran. The Danube has one in the valley on the Slovak–Hungarian border between Bratislava and Iža. In some cases, a river flowing into a flat arid area splits into channels that evaporate as it progresses into the desert. The Okavango Delta in Botswana is one example. See endorheic basin. The generic term mega delta can be used to describe very large Asian river deltas, such as the Yangtze, Pearl, Red, Mekong, Irrawaddy, Ganges-Brahmaputra, and Indus. Sedimentary structure The formation of a delta is complicated, multiple, and cross-cutting over time, but in a simple delta three main types of bedding may be distinguished: the bottomset beds, foreset/frontset beds, and topset beds. This three-part structure may be seen on small scale by crossbedding. Existential threats to deltas Human activities in both deltas and the river basins upstream of deltas can radically alter delta environments. Upstream land use change such as anti-erosion agricultural practices and hydrological engineering such as dam construction in the basins feeding deltas have reduced river sediment delivery to many deltas in recent decades. This change means that there is less sediment available to maintain delta landforms, and compensate for erosion and sea level rise, causing some deltas to start losing land. Declines in river sediment delivery are projected to continue in the coming decades. The extensive anthropogenic activities in deltas also interfere with geomorphological and ecological delta processes. People living on deltas often construct flood defences which prevent sedimentation from floods on deltas, and therefore means that sediment deposition can not compensate for subsidence and erosion. In addition to interference with delta aggradation, pumping of groundwater, oil, and gas, and constructing infrastructure all accelerate subsidence, increasing relative sea level rise. Anthropogenic activities can also destabilise river channels through sand mining, and cause saltwater intrusion. There are small-scale efforts to correct these issues, improve delta environments and increase environmental sustainability through sedimentation enhancing strategies. While nearly all deltas have been impacted to some degree by humans, the Nile Delta and Colorado River Delta are some of the most extreme examples of the devastation caused to deltas by damming and diversion of water. Historical data documents show that during the Roman Empire and Little Ice Age (times when there was considerable anthropogenic pressure), there was significant sediment accumulation in deltas. The industrial revolution has only amplified the impact of humans on delta growth and retreat. Deltas in the economy Ancient deltas benefit the economy due to their well-sorted sand and gravel. Sand and gravel are often quarried from these old deltas and used in concrete for highways, buildings, sidewalks, and landscaping. More than 1 billion tons of sand and gravel are produced in the United States alone. Not all sand and gravel quarries are former deltas, but for ones that are, much of the sorting is already done by the power of water.[citation needed] Urban areas and human habitation tend to be located in lowlands near water access for transportation and sanitation. This makes deltas a common location for civilizations to flourish due to access to flat land for farming, freshwater for sanitation and irrigation, and sea access for trade. Deltas often host extensive industrial and commercial activities, and agricultural land is frequently in conflict. Some of the world's largest regional economies are located on deltas such as the Pearl River Delta, Yangtze River Delta, European Low Countries and the Greater Tokyo Area.[citation needed] Examples The Ganges–Brahmaputra Delta, which spans most of Bangladesh and West Bengal and empties into the Bay of Bengal, is the world's largest delta. The Selenga River delta in the Russian republic of Buryatia is the largest delta emptying into a body of fresh water, in its case Lake Baikal.[citation needed] Deltas on Mars Researchers have found a number of examples of deltas that formed in Martian lakes. Finding deltas is a major sign that Mars once had large amounts of water. Deltas have been found over a wide geographical range. Below are pictures of a few. See also References Bibliography External links |
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[SOURCE: https://en.wikipedia.org/wiki/UNITY_(programming_language)] | [TOKENS: 673] |
Contents UNITY (programming language) UNITY is a programming language constructed by K. Mani Chandy and Jayadev Misra for their book Parallel Program Design: A Foundation. It is a theoretical language which focuses on what, instead of where, when or how. The language contains no method of flow control, and program statements run in a nondeterministic way until statements cease to cause changes during execution. This allows for programs to run indefinitely, such as auto-pilot or power plant safety systems, as well as programs that would normally terminate (which here converge to a fixed point). Description All statements are assignments, and are separated by #. A statement can consist of multiple assignments, of the form a,b,c := x,y,z, or a := x || b := y || c := z. You can also have a quantified statement list, <# x,y : expression :: statement>, where x and y are chosen randomly among the values that satisfy expression. A quantified assignment is similar. In <|| x,y : expression :: statement >, statement is executed simultaneously for all pairs of x and y that satisfy expression. Examples Bubble sort the array by comparing adjacent numbers, and swapping them if they are in the wrong order. Using Θ ( n ) {\displaystyle \Theta (n)} expected time, Θ ( n ) {\displaystyle \Theta (n)} processors and Θ ( n 2 ) {\displaystyle \Theta (n^{2})} expected work. The reason you only have Θ ( n ) {\displaystyle \Theta (n)} expected time, is that k is always chosen randomly from { 0 , 1 } {\displaystyle \{0,1\}} . This can be fixed by flipping k manually. You can sort in Θ ( log n ) {\displaystyle \Theta (\log n)} time with rank-sort. You need Θ ( n 2 ) {\displaystyle \Theta (n^{2})} processors, and do Θ ( n 2 ) {\displaystyle \Theta (n^{2})} work. Using the Floyd–Warshall algorithm all pairs shortest path algorithm, we include intermediate nodes iteratively, and get Θ ( n ) {\displaystyle \Theta (n)} time, using Θ ( n 2 ) {\displaystyle \Theta (n^{2})} processors and Θ ( n 3 ) {\displaystyle \Theta (n^{3})} work. We can do this even faster. The following programs computes all pairs shortest path in Θ ( log 2 n ) {\displaystyle \Theta (\log ^{2}n)} time, using Θ ( n 3 ) {\displaystyle \Theta (n^{3})} processors and Θ ( n 3 log n ) {\displaystyle \Theta (n^{3}\log n)} work. After round r {\displaystyle r} , D[i,j] contains the length of the shortest path from i {\displaystyle i} to j {\displaystyle j} of length 0 … r {\displaystyle 0\dots r} . In the next round, of length 0 … 2 r {\displaystyle 0\dots 2r} , and so on. References |
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[SOURCE: https://en.wikipedia.org/wiki/Python_(programming_language)#cite_note-174] | [TOKENS: 4314] |
Contents Python (programming language) Python is a high-level, general-purpose programming language. Its design philosophy emphasizes code readability with the use of significant indentation. Python is dynamically type-checked and garbage-collected. It supports multiple programming paradigms, including structured (particularly procedural), object-oriented and functional programming. Guido van Rossum began working on Python in the late 1980s as a successor to the ABC programming language. Python 3.0, released in 2008, was a major revision and not completely backward-compatible with earlier versions. Beginning with Python 3.5, capabilities and keywords for typing were added to the language, allowing optional static typing. As of 2026[update], the Python Software Foundation supports Python 3.10, 3.11, 3.12, 3.13, and 3.14, following the project's annual release cycle and five-year support policy. Python 3.15 is currently in the alpha development phase, and the stable release is expected to come out in October 2026. Earlier versions in the 3.x series have reached end-of-life and no longer receive security updates. Python has gained widespread use in the machine learning community. It is widely taught as an introductory programming language. Since 2003, Python has consistently ranked in the top ten of the most popular programming languages in the TIOBE Programming Community Index, which ranks based on searches in 24 platforms. History Python was conceived in the late 1980s by Guido van Rossum at Centrum Wiskunde & Informatica (CWI) in the Netherlands. It was designed as a successor to the ABC programming language, which was inspired by SETL, capable of exception handling and interfacing with the Amoeba operating system. Python implementation began in December 1989. Van Rossum first released it in 1991 as Python 0.9.0. Van Rossum assumed sole responsibility for the project, as the lead developer, until 12 July 2018, when he announced his "permanent vacation" from responsibilities as Python's "benevolent dictator for life" (BDFL); this title was bestowed on him by the Python community to reflect his long-term commitment as the project's chief decision-maker. (He has since come out of retirement and is self-titled "BDFL-emeritus".) In January 2019, active Python core developers elected a five-member Steering Council to lead the project. The name Python derives from the British comedy series Monty Python's Flying Circus. (See § Naming.) Python 2.0 was released on 16 October 2000, featuring many new features such as list comprehensions, cycle-detecting garbage collection, reference counting, and Unicode support. Python 2.7's end-of-life was initially set for 2015, and then postponed to 2020 out of concern that a large body of existing code could not easily be forward-ported to Python 3. It no longer receives security patches or updates. While Python 2.7 and older versions are officially unsupported, a different unofficial Python implementation, PyPy, continues to support Python 2, i.e., "2.7.18+" (plus 3.11), with the plus signifying (at least some) "backported security updates". Python 3.0 was released on 3 December 2008, and was a major revision and not completely backward-compatible with earlier versions, with some new semantics and changed syntax. Python 2.7.18, released in 2020, was the last release of Python 2. Several releases in the Python 3.x series have added new syntax to the language, and made a few (considered very minor) backward-incompatible changes. As of January 2026[update], Python 3.14.3 is the latest stable release. All older 3.x versions had a security update down to Python 3.9.24 then again with 3.9.25, the final version in 3.9 series. Python 3.10 is, since November 2025, the oldest supported branch. Python 3.15 has an alpha released, and Android has an official downloadable executable available for Python 3.14. Releases receive two years of full support followed by three years of security support. Design philosophy and features Python is a multi-paradigm programming language. Object-oriented programming and structured programming are fully supported, and many of their features support functional programming and aspect-oriented programming – including metaprogramming and metaobjects. Many other paradigms are supported via extensions, including design by contract and logic programming. Python is often referred to as a 'glue language' because it is purposely designed to be able to integrate components written in other languages. Python uses dynamic typing and a combination of reference counting and a cycle-detecting garbage collector for memory management. It uses dynamic name resolution (late binding), which binds method and variable names during program execution. Python's design offers some support for functional programming in the "Lisp tradition". It has filter, map, and reduce functions; list comprehensions, dictionaries, sets, and generator expressions. The standard library has two modules (itertools and functools) that implement functional tools borrowed from Haskell and Standard ML. Python's core philosophy is summarized in the Zen of Python (PEP 20) written by Tim Peters, which includes aphorisms such as these: However, Python has received criticism for violating these principles and adding unnecessary language bloat. Responses to these criticisms note that the Zen of Python is a guideline rather than a rule. The addition of some new features had been controversial: Guido van Rossum resigned as Benevolent Dictator for Life after conflict about adding the assignment expression operator in Python 3.8. Nevertheless, rather than building all functionality into its core, Python was designed to be highly extensible via modules. This compact modularity has made it particularly popular as a means of adding programmable interfaces to existing applications. Van Rossum's vision of a small core language with a large standard library and easily extensible interpreter stemmed from his frustrations with ABC, which represented the opposite approach. Python claims to strive for a simpler, less-cluttered syntax and grammar, while giving developers a choice in their coding methodology. Python lacks do .. while loops, which Rossum considered harmful. In contrast to Perl's motto "there is more than one way to do it", Python advocates an approach where "there should be one – and preferably only one – obvious way to do it". In practice, however, Python provides many ways to achieve a given goal. There are at least three ways to format a string literal, with no certainty as to which one a programmer should use. Alex Martelli is a Fellow at the Python Software Foundation and Python book author; he wrote that "To describe something as 'clever' is not considered a compliment in the Python culture." Python's developers typically prioritize readability over performance. For example, they reject patches to non-critical parts of the CPython reference implementation that would offer increases in speed that do not justify the cost of clarity and readability.[failed verification] Execution speed can be improved by moving speed-critical functions to extension modules written in languages such as C, or by using a just-in-time compiler like PyPy. Also, it is possible to transpile to other languages. However, this approach either fails to achieve the expected speed-up, since Python is a very dynamic language, or only a restricted subset of Python is compiled (with potential minor semantic changes). Python is meant to be a fun language to use. This goal is reflected in the name – a tribute to the British comedy group Monty Python – and in playful approaches to some tutorials and reference materials. For instance, some code examples use the terms "spam" and "eggs" (in reference to a Monty Python sketch), rather than the typical terms "foo" and "bar". A common neologism in the Python community is pythonic, which has a broad range of meanings related to program style: Pythonic code may use Python idioms well; be natural or show fluency in the language; or conform with Python's minimalist philosophy and emphasis on readability. Syntax and semantics Python is meant to be an easily readable language. Its formatting is visually uncluttered and often uses English keywords where other languages use punctuation. Unlike many other languages, it does not use curly brackets to delimit blocks, and semicolons after statements are allowed but rarely used. It has fewer syntactic exceptions and special cases than C or Pascal. Python uses whitespace indentation, rather than curly brackets or keywords, to delimit blocks. An increase in indentation comes after certain statements; a decrease in indentation signifies the end of the current block. Thus, the program's visual structure accurately represents its semantic structure. This feature is sometimes termed the off-side rule. Some other languages use indentation this way; but in most, indentation has no semantic meaning. The recommended indent size is four spaces. Python's statements include the following: The assignment statement (=) binds a name as a reference to a separate, dynamically allocated object. Variables may subsequently be rebound at any time to any object. In Python, a variable name is a generic reference holder without a fixed data type; however, it always refers to some object with a type. This is called dynamic typing—in contrast to statically-typed languages, where each variable may contain only a value of a certain type. Python does not support tail call optimization or first-class continuations; according to Van Rossum, the language never will. However, better support for coroutine-like functionality is provided by extending Python's generators. Before 2.5, generators were lazy iterators; data was passed unidirectionally out of the generator. From Python 2.5 on, it is possible to pass data back into a generator function; and from version 3.3, data can be passed through multiple stack levels. Python's expressions include the following: In Python, a distinction between expressions and statements is rigidly enforced, in contrast to languages such as Common Lisp, Scheme, or Ruby. This distinction leads to duplicating some functionality, for example: A statement cannot be part of an expression; because of this restriction, expressions such as list and dict comprehensions (and lambda expressions) cannot contain statements. As a particular case, an assignment statement such as a = 1 cannot be part of the conditional expression of a conditional statement. Python uses duck typing, and it has typed objects but untyped variable names. Type constraints are not checked at definition time; rather, operations on an object may fail at usage time, indicating that the object is not of an appropriate type. Despite being dynamically typed, Python is strongly typed, forbidding operations that are poorly defined (e.g., adding a number and a string) rather than quietly attempting to interpret them. Python allows programmers to define their own types using classes, most often for object-oriented programming. New instances of classes are constructed by calling the class, for example, SpamClass() or EggsClass()); the classes are instances of the metaclass type (which is an instance of itself), thereby allowing metaprogramming and reflection. Before version 3.0, Python had two kinds of classes, both using the same syntax: old-style and new-style. Current Python versions support the semantics of only the new style. Python supports optional type annotations. These annotations are not enforced by the language, but may be used by external tools such as mypy to catch errors. Python includes a module typing including several type names for type annotations. Also, mypy supports a Python compiler called mypyc, which leverages type annotations for optimization. 1.33333 frozenset() Python includes conventional symbols for arithmetic operators (+, -, *, /), the floor-division operator //, and the modulo operator %. (With the modulo operator, a remainder can be negative, e.g., 4 % -3 == -2.) Also, Python offers the ** symbol for exponentiation, e.g. 5**3 == 125 and 9**0.5 == 3.0. Also, it offers the matrix‑multiplication operator @ . These operators work as in traditional mathematics; with the same precedence rules, the infix operators + and - can also be unary, to represent positive and negative numbers respectively. Division between integers produces floating-point results. The behavior of division has changed significantly over time: In Python terms, the / operator represents true division (or simply division), while the // operator represents floor division. Before version 3.0, the / operator represents classic division. Rounding towards negative infinity, though a different method than in most languages, adds consistency to Python. For instance, this rounding implies that the equation (a + b)//b == a//b + 1 is always true. Also, the rounding implies that the equation b*(a//b) + a%b == a is valid for both positive and negative values of a. As expected, the result of a%b lies in the half-open interval [0, b), where b is a positive integer; however, maintaining the validity of the equation requires that the result must lie in the interval (b, 0] when b is negative. Python provides a round function for rounding a float to the nearest integer. For tie-breaking, Python 3 uses the round to even method: round(1.5) and round(2.5) both produce 2. Python versions before 3 used the round-away-from-zero method: round(0.5) is 1.0, and round(-0.5) is −1.0. Python allows Boolean expressions that contain multiple equality relations to be consistent with general usage in mathematics. For example, the expression a < b < c tests whether a is less than b and b is less than c. C-derived languages interpret this expression differently: in C, the expression would first evaluate a < b, resulting in 0 or 1, and that result would then be compared with c. Python uses arbitrary-precision arithmetic for all integer operations. The Decimal type/class in the decimal module provides decimal floating-point numbers to a pre-defined arbitrary precision with several rounding modes. The Fraction class in the fractions module provides arbitrary precision for rational numbers. Due to Python's extensive mathematics library and the third-party library NumPy, the language is frequently used for scientific scripting in tasks such as numerical data processing and manipulation. Functions are created in Python by using the def keyword. A function is defined similarly to how it is called, by first providing the function name and then the required parameters. Here is an example of a function that prints its inputs: To assign a default value to a function parameter in case no actual value is provided at run time, variable-definition syntax can be used inside the function header. Code examples "Hello, World!" program: Program to calculate the factorial of a non-negative integer: Libraries Python's large standard library is commonly cited as one of its greatest strengths. For Internet-facing applications, many standard formats and protocols such as MIME and HTTP are supported. The language includes modules for creating graphical user interfaces, connecting to relational databases, generating pseudorandom numbers, arithmetic with arbitrary-precision decimals, manipulating regular expressions, and unit testing. Some parts of the standard library are covered by specifications—for example, the Web Server Gateway Interface (WSGI) implementation wsgiref follows PEP 333—but most parts are specified by their code, internal documentation, and test suites. However, because most of the standard library is cross-platform Python code, only a few modules must be altered or rewritten for variant implementations. As of 13 March 2025,[update] the Python Package Index (PyPI), the official repository for third-party Python software, contains over 614,339 packages. Development environments Most[which?] Python implementations (including CPython) include a read–eval–print loop (REPL); this permits the environment to function as a command line interpreter, with which users enter statements sequentially and receive results immediately. Also, CPython is bundled with an integrated development environment (IDE) called IDLE, which is oriented toward beginners.[citation needed] Other shells, including IDLE and IPython, add additional capabilities such as improved auto-completion, session-state retention, and syntax highlighting. Standard desktop IDEs include PyCharm, Spyder, and Visual Studio Code; there are web browser-based IDEs, such as the following environments: Implementations CPython is the reference implementation of Python. This implementation is written in C, meeting the C11 standard since version 3.11. Older versions use the C89 standard with several select C99 features, but third-party extensions are not limited to older C versions—e.g., they can be implemented using C11 or C++. CPython compiles Python programs into an intermediate bytecode, which is then executed by a virtual machine. CPython is distributed with a large standard library written in a combination of C and native Python. CPython is available for many platforms, including Windows and most modern Unix-like systems, including macOS (and Apple M1 Macs, since Python 3.9.1, using an experimental installer). Starting with Python 3.9, the Python installer intentionally fails to install on Windows 7 and 8; Windows XP was supported until Python 3.5, with unofficial support for VMS. Platform portability was one of Python's earliest priorities. During development of Python 1 and 2, even OS/2 and Solaris were supported; since that time, support has been dropped for many platforms. All current Python versions (since 3.7) support only operating systems that feature multithreading, by now supporting not nearly as many operating systems (dropping many outdated) than in the past. All alternative implementations have at least slightly different semantics. For example, an alternative may include unordered dictionaries, in contrast to other current Python versions. As another example in the larger Python ecosystem, PyPy does not support the full C Python API. Creating an executable with Python often is done by bundling an entire Python interpreter into the executable, which causes binary sizes to be massive for small programs, yet there exist implementations that are capable of truly compiling Python. Alternative implementations include the following: Stackless Python is a significant fork of CPython that implements microthreads. This implementation uses the call stack differently, thus allowing massively concurrent programs. PyPy also offers a stackless version. Just-in-time Python compilers have been developed, but are now unsupported: There are several compilers/transpilers to high-level object languages; the source language is unrestricted Python, a subset of Python, or a language similar to Python: There are also specialized compilers: Some older projects existed, as well as compilers not designed for use with Python 3.x and related syntax: A performance comparison among various Python implementations, using a non-numerical (combinatorial) workload, was presented at EuroSciPy '13. In addition, Python's performance relative to other programming languages is benchmarked by The Computer Language Benchmarks Game. There are several approaches to optimizing Python performance, despite the inherent slowness of an interpreted language. These approaches include the following strategies or tools: Language Development Python's development is conducted mostly through the Python Enhancement Proposal (PEP) process; this process is the primary mechanism for proposing major new features, collecting community input on issues, and documenting Python design decisions. Python coding style is covered in PEP 8. Outstanding PEPs are reviewed and commented on by the Python community and the steering council. Enhancement of the language corresponds with development of the CPython reference implementation. The mailing list python-dev is the primary forum for the language's development. Specific issues were originally discussed in the Roundup bug tracker hosted by the foundation. In 2022, all issues and discussions were migrated to GitHub. Development originally took place on a self-hosted source-code repository running Mercurial, until Python moved to GitHub in January 2017. CPython's public releases have three types, distinguished by which part of the version number is incremented: Many alpha, beta, and release-candidates are also released as previews and for testing before final releases. Although there is a rough schedule for releases, they are often delayed if the code is not ready yet. Python's development team monitors the state of the code by running a large unit test suite during development. The major academic conference on Python is PyCon. Also, there are special Python mentoring programs, such as PyLadies. Naming Python's name is inspired by the British comedy group Monty Python, whom Python creator Guido van Rossum enjoyed while developing the language. Monty Python references appear frequently in Python code and culture; for example, the metasyntactic variables often used in Python literature are spam and eggs, rather than the traditional foo and bar. Also, the official Python documentation contains various references to Monty Python routines. Python users are sometimes referred to as "Pythonistas". Languages influenced by Python See also Notes References Further reading External links |
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[SOURCE: https://en.wikipedia.org/wiki/Eli_Smith] | [TOKENS: 390] |
Contents Eli Smith Eli Smith (September 13, 1801 – January 11, 1857) was an American Protestant missionary and scholar. Biography Smith was born in Northford, Connecticut, to Eli and Polly (née Whitney) Smith. He graduated from Yale College in 1821 and from Andover Theological Seminary in 1826. He worked in Malta until 1829, then in company with H. G. O. Dwight traveled through Armenia and Georgia to Persia. They published their observations, Missionary Researches in Armenia, in 1833 in two volumes. Smith settled in Beirut in 1833. Along with Edward Robinson, he made two trips to the Holy Land in 1838 and 1852, acting as an interpreter for Robinson in his quest to identify and record biblical place names in Palestine, which was subsequently published in Robinson's Biblical Researches in Palestine. He is known for bringing the first printing press with Arabic type to Syria. He went on to pursue the task which he considered to be his life's work: translation of the Bible into Arabic. Although he died before completing the task, the work was completed by C. V. Van Dyck of the Syrian Mission and published in 1860 to 1865. Family Smith married three times. His first wife was Sarah Lanman Huntington, who was also a missionary. She died in 1836. He then married Maria Ward Chapin, who died in 1842. He married Mehitable "Hetty" Simkins Butler on October 7, 1846, in Northampton, Massachusetts. His daughter Mary Elizabeth Smith was educated at the female seminaries in Hartford, Connecticut, and Ipswich, Massachusetts, and taught at the Female Seminary at Mt. Auburn, Cincinnati. She was listed In the Women's Who's Who of America in 1914–15. References Further reading External links |
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[SOURCE: https://en.wikipedia.org/wiki/DNA_replication] | [TOKENS: 6622] |
Contents DNA replication DNA replication is the process by which a cell makes exact copies of its DNA. This process occurs in all organisms and is essential to biological inheritance, cell division, and repair of damaged tissues. DNA replication ensures that each of the newly divided daughter cells receives its own copy of each DNA molecule. DNA most commonly occurs in double-stranded form, made up of two complementary strands held together by base pairing of the nucleotides comprising each strand. The two linear strands of a double-stranded DNA molecule typically twist together in the shape of a double helix. During replication, the two strands are separated, and each strand of the original DNA molecule then serves as a template for the production of a complementary counterpart strand, a process referred to as semiconservative replication. As a result, each replicated DNA molecule is composed of one original DNA strand as well as one newly synthesized strand. Cellular proofreading and error-checking mechanisms ensure near-perfect fidelity for DNA replication. DNA replication usually begins at specific locations known as origins of replication which are scattered across the genome. Unwinding of DNA at the origin is accommodated by enzymes known as helicases and results in replication forks growing bi-directionally from the origin. Numerous proteins are associated with the replication fork to help in the initiation and continuation of DNA synthesis. Most prominently, DNA polymerase synthesizes the new strands by incorporating nucleotides that complement the nucleotides of the template strand. DNA replication occurs during the S (synthesis) stage of interphase. DNA replication can also be performed in vitro (artificially, outside a cell). DNA polymerases isolated from cells and artificial DNA primers can be used to start DNA synthesis at known sequences in a template DNA molecule. Polymerase chain reaction (PCR), ligase chain reaction (LCR), and transcription-mediated amplification (TMA) are all common examples of this technique. In March 2021, researchers reported evidence suggesting that a preliminary form of transfer RNA, a necessary component of translation (the biological synthesis of new proteins in accordance with the genetic code), could have been a replicator molecule itself in the early abiogenesis of primordial life. DNA structure DNA is a double-stranded structure, with both strands coiled together to form the characteristic double helix. Each single strand of DNA is a chain of four types of nucleotides. Nucleotides in DNA contain a deoxyribose sugar, a phosphate, and a nucleobase. The four types of nucleotide correspond to the four nucleobases: adenine, cytosine, guanine, and thymine, commonly abbreviated as A, C, G, and T, respectively. Adenine and guanine are purine nucleobases, while cytosine and thymine are pyrimidines. These nucleotides form phosphodiester bonds, creating phosphate-deoxyribose backbone of the DNA double helix with the nucleobases pointing inward (i.e., toward the opposing strand). Complementary nucleobases are matched between strands through hydrogen bonds to form base pairs. Adenine pairs with thymine (two hydrogen bonds), and guanine pairs with cytosine (three hydrogen bonds). DNA strands have a directionality, and the different ends of a single strand are called the "3′ (three-prime) end" and the "5′ (five-prime) end". By convention, if the base sequence of a single strand of DNA is given, the left end of the sequence is the 5′ end, while the right end of the sequence is the 3′ end. The strands of the double helix are anti-parallel, with one being 5′ to 3′, and the opposite strand 3′ to 5′. These terms refer to the chemical convention of numbering the carbon atoms comprising the deoxyribose molecule and indicate the specific carbon atom to which the next phosphate in the chain attaches. Directionality has consequences in DNA synthesis, because DNA polymerase can synthesize DNA in only one direction by adding nucleotides to the 3′ end of a DNA strand. The pairing of complementary bases in DNA (through hydrogen bonding) means that the information contained within each strand is redundant. Phosphodiester (intra-strand) bonds are stronger than hydrogen (inter-strand) bonds. The actual job of the phosphodiester bonds is to connect the 5' carbon atom of one nucleotide to the 3' carbon atom of another nucleotide, while the hydrogen bonds stabilize DNA double helices across the helix axis but not in the direction of the longitudinal axis. This makes it possible to separate the strands from one another. The nucleotides on a single strand can therefore be used to reconstruct nucleotides on a newly synthesized partner strand. DNA polymerase DNA polymerases are a family of enzymes that carry out all forms of DNA replication. DNA polymerases in general cannot initiate synthesis of new strands but can only extend an existing DNA or RNA strand paired with a template strand. To begin synthesis, a short fragment of RNA, called a primer, must be created and paired with the template DNA strand. DNA polymerase adds a new strand of DNA by extending the 3′ end of an existing nucleotide chain, adding new nucleotides matched to the template strand, one at a time, via the creation of phosphodiester bonds. The energy for this process of DNA polymerization comes from hydrolysis of the high-energy phosphate (phosphoanhydride) bonds between the three phosphates attached to each unincorporated base. Free bases with an attached sugar molecule (deoxyribose in the case of DNA) are called nucleosides, and nucleosides with one or more attached phosphate groups are called nucleotides; in particular, nucleosides with three attached phosphate groups are called nucleoside triphosphates. When a free nucleotide is being added to a growing DNA strand, the formation of a phosphodiester bond between the proximal phosphate of the free nucleotide and the deoxyribose of another nucleotide within the growing chain is accompanied by hydrolysis of a high-energy phosphate bond with release of the free nucleotide's two distal phosphate groups as a pyrophosphate. Enzymatic hydrolysis of the resulting pyrophosphate into inorganic phosphate consumes a second high-energy phosphate bond and renders the reaction effectively irreversible.[Note 1] In general, DNA polymerases are highly accurate, with an intrinsic error rate of less than one mistake for every 107 nucleotides added. Some DNA polymerases can also delete nucleotides from the end of a developing strand in order to fix mismatched bases. This is known as proofreading. Finally, post-replication mismatch repair mechanisms monitor the DNA for errors, being capable of distinguishing mismatches in the newly synthesized DNA strand from the original strand sequence. Together, these three discrimination steps enable replication fidelity of less than one mistake for every 109 nucleotides added. The rate of DNA replication in a living cell was first measured as the rate of phage T4 DNA elongation in phage-infected E. coli. During the period of exponential DNA increase at 37 °C, the rate was 749 nucleotides per second. The mutation rate per base pair per replication during phage T4 DNA synthesis is 1.7 per 108. Replication process DNA replication, like all biological polymerization processes, proceeds in three enzymatically catalyzed and coordinated steps: initiation, elongation and termination. For a cell to divide, it must first replicate its DNA. DNA replication is an all-or-none process; once replication begins, it proceeds to completion. Once replication is complete, it does not occur again in the same cell cycle. This is made possible by the division of initiation of the pre-replication complex.[citation needed] In late mitosis and early G1 phase, a large complex of initiator proteins assembles into the pre-replication complex at particular points in the DNA, known as "origins". In E. coli the primary initiator protein is Dna A; in yeast, this is the origin recognition complex. Sequences used by initiator proteins tend to be "AT-rich" (rich in adenine and thymine bases), because A-T base pairs have two hydrogen bonds (rather than the three formed in a C-G pair) and thus are easier to strand-separate. In eukaryotes, the origin recognition complex (ORC) catalyzes the assembly of initiator proteins into the pre-replication complex. In addition, a recent report suggests that budding yeast ORC dimerizes in a cell cycle dependent manner to control licensing. [clarification needed] In turn, the process of ORC dimerization is mediated by a cell cycle-dependent Noc3p dimerization cycle in vivo, and this role of Noc3p is separable from its role in ribosome biogenesis. An essential Noc3p dimerization cycle mediates ORC double-hexamer formation in replication licensing and Noc3p are continuously bound to the chromatin throughout the cell cycle. Cdc6 and Cdt1 then associate with the bound origin recognition complex at the origin in order to form a larger complex necessary to load the Mcm complex onto the DNA. In eukaryotes, the Mcm complex is the helicase that will split the DNA helix at the replication forks and origins. The Mcm complex is recruited at late G1 phase and loaded by the ORC-Cdc6-Cdt1 complex onto the DNA via ATP-dependent protein remodeling. The loading of the MCM complex onto the origin DNA marks the completion of pre-replication complex formation. If environmental conditions are right in late G1 phase, the G1 and G1/S cyclin-Cdk complexes are activated, which stimulate expression of genes that encode components of the DNA synthetic machinery. G1/S-Cdk activation also promotes the expression and activation of S-Cdk complexes, which may play a role in activating replication origins depending on species and cell type. Control of these Cdks vary depending on cell type and stage of development. This regulation is best understood in budding yeast, where the S cyclins Clb5 and Clb6 are primarily responsible for DNA replication. Clb5,6-Cdk1 complexes directly trigger the activation of replication origins and are therefore required throughout S phase to directly activate each origin. In a similar manner, Cdc7 is also required through S phase to activate replication origins. Cdc7 is not active throughout the cell cycle, and its activation is strictly timed to avoid premature initiation of DNA replication. In late G1, Cdc7 activity rises abruptly as a result of association with the regulatory subunit DBF4, which binds Cdc7 directly and promotes its protein kinase activity. Cdc7 has been found to be a rate-limiting regulator of origin activity. Together, the G1/S-Cdks and/or S-Cdks and Cdc7 collaborate to directly activate the replication origins, leading to initiation of DNA synthesis. In early S phase, S-Cdk and Cdc7 activation lead to the assembly of the preinitiation complex, a massive protein complex formed at the origin. Formation of the preinitiation complex displaces Cdc6 and Cdt1 from the origin replication complex, inactivating and disassembling the pre-replication complex. Loading the preinitiation complex onto the origin activates the Mcm helicase, causing unwinding of the DNA helix. The preinitiation complex also loads α-primase and other DNA polymerases onto the DNA. After α-primase synthesizes the first primers, the primer-template junctions interact with the clamp loader, which loads the sliding clamp onto the DNA to begin DNA synthesis. The components of the preinitiation complex remain associated with replication forks as they move out from the origin. DNA polymerase has 5′–3′ activity. All known DNA replication systems require a free 3′ hydroxyl group before synthesis can be initiated (note: the DNA template is read in 3′ to 5′ direction whereas a new strand is synthesized in the 5′ to 3′ direction—this is often confused). Four distinct mechanisms for DNA synthesis are recognized:[citation needed] Cellular organisms use the first of these pathways leading to it being the most well-known. In this mechanism, once the two strands are separated, primase adds RNA primers to the template strands. The leading strand receives one RNA primer while the lagging strand receives several. The leading strand is continuously extended from the primer by a DNA polymerase with high processivity, while the lagging strand is extended discontinuously from each primer forming Okazaki fragments. RNase removes the primer RNA fragments, and a low processivity DNA polymerase distinct from the replicative polymerase enters to fill the gaps. When this is complete, a single nick on the leading strand and several nicks on the lagging strand can be found. Ligase works to fill these nicks in, thus completing the newly replicated DNA molecule.[citation needed] The primase used in this process differs significantly between bacteria and archaea/eukaryotes. Bacteria use a primase belonging to the DnaG protein superfamily which contains a catalytic domain of the TOPRIM fold type. The TOPRIM fold contains an α/β core with four conserved strands in a Rossmann-like topology. This structure is also found in the catalytic domains of topoisomerase Ia, topoisomerase II, the OLD-family nucleases and DNA repair proteins related to the RecR protein.[citation needed] The primase used by archaea and eukaryotes, in contrast, contains a highly derived version of the RNA recognition motif (RRM). This primase is structurally similar to many viral RNA-dependent RNA polymerases, reverse transcriptases, cyclic nucleotide generating cyclases and DNA polymerases of the A/B/Y families that are involved in DNA replication and repair. In eukaryotic replication, the primase forms a complex with Pol α. Multiple DNA polymerases take on different roles in the DNA replication process. In E. coli, DNA Pol III is the polymerase enzyme primarily responsible for DNA replication. It assembles into a replication complex at the replication fork that exhibits extremely high processivity, remaining intact for the entire replication cycle. In contrast, DNA Pol I is the enzyme responsible for replacing RNA primers with DNA. DNA Pol I has a 5′ to 3′ exonuclease activity in addition to its polymerase activity, and uses its exonuclease activity to degrade the RNA primers ahead of it as it extends the DNA strand behind it, in a process called nick translation. Pol I is much less processive than Pol III because its primary function in DNA replication is to create many short DNA regions rather than a few very long regions.[citation needed] In eukaryotes, the low-processivity enzyme, Pol α, helps to initiate replication because it forms a complex with primase. In eukaryotes, leading strand synthesis is thought to be conducted by Pol ε; however, this view has recently been challenged, suggesting a role for Pol δ. Primer removal is completed Pol δ while repair of DNA during replication is completed by Pol ε. As DNA synthesis continues, the original DNA strands continue to unwind on each side of the bubble, forming a replication fork with two prongs. In bacteria, which have a single origin of replication on their circular chromosome, this process creates a "theta structure" (resembling the Greek letter theta: θ). In contrast, eukaryotes have longer linear chromosomes and initiate replication at multiple origins within these. The replication fork is a structure that forms within the long helical DNA during DNA replication. It is produced by enzymes called helicases that break the hydrogen bonds that hold the DNA strands together in a helix. The resulting structure has two branching "prongs", each one made up of a single strand of DNA. These two strands serve as the template for the leading and lagging strands, which will be created as DNA polymerase matches complementary nucleotides to the templates; the templates may be properly referred to as the leading strand template and the lagging strand template.[citation needed] DNA is read by DNA polymerase in the 3′ to 5′ direction, meaning the new strand is synthesized in the 5' to 3' direction. Since the leading and lagging strand templates are oriented in opposite directions at the replication fork, a major issue is how to achieve synthesis of new lagging strand DNA, whose direction of synthesis is opposite to the direction of the growing replication fork.[citation needed] The leading strand is the strand of new DNA which is synthesized in the same direction as the growing replication fork. This sort of DNA replication is continuous.[citation needed] The lagging strand is the strand of new DNA whose direction of synthesis is opposite to the direction of the growing replication fork. Because of its orientation, replication of the lagging strand is more complicated as compared to that of the leading strand. As a consequence, the DNA polymerase on this strand is seen to "lag behind" the other strand.[citation needed] The lagging strand is synthesized in short, separated segments. On the lagging strand template, a primase "reads" the template DNA and initiates synthesis of a short complementary RNA primer. A DNA polymerase extends the primed segments, forming Okazaki fragments. The RNA primers are then removed and replaced with DNA, and the fragments of DNA are joined by DNA ligase.[citation needed] In all cases the helicase is composed of six polypeptides that wrap around only one strand of the DNA being replicated. The two polymerases are bound to the helicase hexamer. In eukaryotes the helicase wraps around the leading strand, and in prokaryotes it wraps around the lagging strand. As helicase unwinds DNA at the replication fork, the DNA ahead is forced to rotate. This process results in a build-up of twists in the DNA ahead. This build-up creates a torsional load that would eventually stop the replication fork. Topoisomerases are enzymes that temporarily break the strands of DNA, relieving the tension caused by unwinding the two strands of the DNA helix; topoisomerases (including DNA gyrase) achieve this by adding negative supercoils to the DNA helix. Bare single-stranded DNA tends to fold back on itself forming secondary structures; these structures can interfere with the movement of DNA polymerase. To prevent this, single-strand binding proteins bind to the DNA until a second strand is synthesized, preventing secondary structure formation. Double-stranded DNA is coiled around histones that play an important role in regulating gene expression so the replicated DNA must be coiled around histones at the same places as the original DNA. To ensure this, histone chaperones disassemble the chromatin before it is replicated and replace the histones in the correct place. Some steps in this reassembly are somewhat speculative. Clamp proteins act as a sliding clamp on DNA, allowing the DNA polymerase to bind to its template and aid in processivity. The inner face of the clamp enables DNA to be threaded through it. Once the polymerase reaches the end of the template or detects double-stranded DNA, the sliding clamp undergoes a conformational change that releases the DNA polymerase. Clamp-loading proteins are used to initially load the clamp, recognizing the junction between template and RNA primers.:274-5 At the replication fork, many replication enzymes assemble on the DNA into a complex molecular machine called the replisome. The following is a list of major DNA replication enzymes that participate in the replisome: In vitro single-molecule experiments (using optical tweezers and magnetic tweezers) have found synergetic interactions between the replisome enzymes (helicase, polymerase, and Single-strand DNA-binding protein) and with the DNA replication fork enhancing DNA-unwinding and DNA-replication. These results lead to the development of kinetic models accounting for the synergetic interactions and their stability. Replication machineries consist of factors involved in DNA replication and appearing on template ssDNAs. Replication machineries include primosotors are replication enzymes; DNA polymerase, DNA helicases, DNA clamps and DNA topoisomerases, and replication proteins; e.g. single-stranded DNA binding proteins (SSB). In the replication machineries these components coordinate. In most of the bacteria, all of the factors involved in DNA replication are located on replication forks and the complexes stay on the forks during DNA replication. Replication machineries are also referred to as replisomes, or DNA replication systems. These terms are generic terms for proteins located on replication forks. In eukaryotic and some bacterial cells the replisomes are not formed.[citation needed] In an alternative figure, DNA factories are similar to projectors and DNAs are like as cinematic films passing constantly into the projectors. In the replication factory model, after both DNA helicases for leading strands and lagging strands are loaded on the template DNAs, the helicases run along the DNAs into each other. The helicases remain associated for the remainder of replication process. Peter Meister et al. observed directly replication sites in budding yeast by monitoring green fluorescent protein (GFP)-tagged DNA polymerases α. They detected DNA replication of pairs of the tagged loci spaced apart symmetrically from a replication origin and found that the distance between the pairs decreased markedly by time. This finding suggests that the mechanism of DNA replication goes with DNA factories. That is, couples of replication factories are loaded on replication origins and the factories associated with each other. Also, template DNAs move into the factories, which bring extrusion of the template ssDNAs and new DNAs. Meister's finding is the first direct evidence of replication factory model. Subsequent research has shown that DNA helicases form dimers in many eukaryotic cells and bacterial replication machineries stay in single intranuclear location during DNA synthesis. Replication Factories Disentangle Sister Chromatids. The disentanglement is essential for distributing the chromatids into daughter cells after DNA replication. Because sister chromatids after DNA replication hold each other by Cohesin rings, there is the only chance for the disentanglement in DNA replication. Fixing of replication machineries as replication factories can improve the success rate of DNA replication. If replication forks move freely in chromosomes, catenation of nuclei is aggravated and impedes mitotic segregation. Eukaryotes initiate DNA replication at multiple points in the chromosome, so replication forks meet and terminate at many points in the chromosome. Because eukaryotes have linear chromosomes, DNA replication is unable to reach the very end of the chromosomes. Due to this problem, DNA is lost in each replication cycle from the end of the chromosome. Telomeres are regions of repetitive DNA close to the ends and help prevent loss of genes due to this shortening. Shortening of the telomeres is a normal process in somatic cells. This shortens the telomeres of the daughter DNA chromosome. As a result, cells can only divide a certain number of times before the DNA loss prevents further division. (This is known as the Hayflick limit.) Within the germ cell line, which passes DNA to the next generation, telomerase extends the repetitive sequences of the telomere region to prevent degradation. Telomerase can become mistakenly active in somatic cells, sometimes leading to cancer formation. Increased telomerase activity is one of the hallmarks of cancer. Termination requires that the progress of the DNA replication fork must stop or be blocked. Termination at a specific locus, when it occurs, involves the interaction between two components: (1) a termination site sequence in the DNA, and (2) a protein which binds to this sequence to physically stop DNA replication. In various bacterial species, this is named the DNA replication terminus site-binding protein, or Ter protein. Because bacteria have circular chromosomes, termination of replication occurs when the two replication forks meet each other on the opposite end of the parental chromosome. E. coli regulates this process through the use of termination sequences that, when bound by the Tus protein, enable only one direction of replication fork to pass through. As a result, the replication forks are constrained to always meet within the termination region of the chromosome. Regulation Within eukaryotes, DNA replication is controlled within the context of the cell cycle. As the cell grows and divides, it progresses through stages in the cell cycle; DNA replication takes place during the S phase (synthesis phase). The progress of the eukaryotic cell through the cycle is controlled by cell cycle checkpoints. Progression through checkpoints is controlled through complex interactions between various proteins, including cyclins and cyclin-dependent kinases. Unlike bacteria, eukaryotic DNA replicates in the confines of the nucleus. The G1/S checkpoint (restriction checkpoint) regulates whether eukaryotic cells enter the process of DNA replication and subsequent division. Cells that do not proceed through this checkpoint remain in the G0 stage and do not replicate their DNA. Once the DNA has gone through the "G1/S" test, it can only be copied once in every cell cycle. When the Mcm complex moves away from the origin, the pre-replication complex is dismantled. Because a new Mcm complex cannot be loaded at an origin until the pre-replication subunits are reactivated, one origin of replication can not be used twice in the same cell cycle. Activation of S-Cdks in early S phase promotes the destruction or inhibition of individual pre-replication complex components, preventing immediate reassembly. S and M-Cdks continue to block pre-replication complex assembly even after S phase is complete, ensuring that assembly cannot occur again until all Cdk activity is reduced in late mitosis. In budding yeast, inhibition of assembly is caused by Cdk-dependent phosphorylation of pre-replication complex components. At the onset of S phase, phosphorylation of Cdc6 by Cdk1 causes the binding of Cdc6 to the SCF ubiquitin protein ligase, which causes proteolytic destruction of Cdc6. Cdk-dependent phosphorylation of Mcm proteins promotes their export out of the nucleus along with Cdt1 during S phase, preventing the loading of new Mcm complexes at origins during a single cell cycle. Cdk phosphorylation of the origin replication complex also inhibits pre-replication complex assembly. The individual presence of any of these three mechanisms is sufficient to inhibit pre-replication complex assembly. However, mutations of all three proteins in the same cell does trigger reinitiation at many origins of replication within one cell cycle. In animal cells, the protein geminin is a key inhibitor of pre-replication complex assembly. Geminin binds Cdt1, preventing its binding to the origin recognition complex. In G1, levels of geminin are kept low by the APC, which ubiquitinates geminin to target it for degradation. When geminin is destroyed, Cdt1 is released, allowing it to function in pre-replication complex assembly. At the end of G1, the APC is inactivated, allowing geminin to accumulate and bind Cdt1. Replication of chloroplast and mitochondrial genomes occurs independently of the cell cycle, through the process of D-loop replication.[citation needed] In vertebrate cells, replication sites concentrate into positions called replication foci. Replication sites can be detected by immunostaining daughter strands and replication enzymes and monitoring GFP-tagged replication factors. By these methods it is found that replication foci of varying size and positions appear in S phase of cell division and their number per nucleus is far smaller than the number of genomic replication forks. P. Heun et al.,(2001) tracked GFP-tagged replication foci in budding yeast cells and revealed that replication origins move constantly in G1 and S phase and the dynamics decreased significantly in S phase. Traditionally, replication sites were fixed on spatial structure of chromosomes by nuclear matrix or lamins. The Heun's results denied the traditional concepts, budding yeasts do not have lamins, and support that replication origins self-assemble and form replication foci.[citation needed] By firing of replication origins, controlled spatially and temporally, the formation of replication foci is regulated. D. A. Jackson et al.(1998) revealed that neighboring origins fire simultaneously in mammalian cells. Spatial juxtaposition of replication sites brings clustering of replication forks. The clustering do rescue of stalled replication forks and favors normal progress of replication forks. Progress of replication forks is inhibited by many factors; collision with proteins or with complexes binding strongly on DNA, deficiency of dNTPs, nicks on template DNAs and so on. If replication forks get stuck and the rest of the sequences from the stuck forks are not copied, then the daughter strands get nick nick unreplicated sites. The un-replicated sites on one parent's strand hold the other strand together but not daughter strands. Therefore, the resulting sister chromatids cannot separate from each other and cannot divide into 2 daughter cells. When neighboring origins fire and a fork from one origin is stalled, fork from other origin access on an opposite direction of the stalled fork and duplicate the un-replicated sites. As other mechanism of the rescue there is application of dormant replication origins that excess origins do not fire in normal DNA replication.[citation needed] Most bacteria do not go through a well-defined cell cycle but instead continuously copy their DNA; during rapid growth, this can result in the concurrent occurrence of multiple rounds of replication. In E. coli, the best-characterized bacteria, DNA replication is regulated through several mechanisms, including: the hemimethylation and sequestering of the origin sequence, the ratio of adenosine triphosphate (ATP) to adenosine diphosphate (ADP), and the levels of protein DnaA. All these control the binding of initiator proteins to the origin sequences. Because E. coli methylates GATC DNA sequences, DNA synthesis results in hemimethylated sequences. This hemimethylated DNA is recognized by the protein SeqA, which binds and sequesters the origin sequence; in addition, DnaA (required for initiation of replication) binds less well to hemimethylated DNA. As a result, newly replicated origins are prevented from immediately initiating another round of DNA replication. ATP builds up when the cell is in a rich medium, triggering DNA replication once the cell has reached a specific size. ATP competes with ADP to bind to DnaA, and the DnaA-ATP complex is able to initiate replication. A certain number of DnaA proteins are also required for DNA replication — each time the origin is copied, the number of binding sites for DnaA doubles, requiring the synthesis of more DnaA to enable another initiation of replication.[citation needed] In fast-growing bacteria, such as E. coli, chromosome replication takes more time than dividing the cell. The bacteria solve this by initiating a new round of replication before the previous one has been terminated. The new round of replication will form the chromosome of the cell that is born two generations after the dividing cell. This mechanism creates overlapping replication cycles. Problems with DNA replication There are many events that contribute to replication stress, including: Polymerase chain reaction Researchers commonly replicate DNA in vitro using the polymerase chain reaction (PCR). PCR uses a pair of primers to span a target region in template DNA, and then polymerizes partner strands in each direction from these primers using a thermostable DNA polymerase. Repeating this process through multiple cycles amplifies the targeted DNA region. At the start of each cycle, the mixture of template and primers is heated, separating the newly synthesized molecule and template. Then, as the mixture cools, both of these become templates for annealing of new primers, and the polymerase extends from these. As a result, the number of copies of the target region doubles each round, increasing exponentially. See also Notes References |
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Contents Middle East The Middle East[b] is a geopolitical region encompassing the Arabian Peninsula, Egypt, Iran, Iraq, the Levant, and Turkey. The term came into widespread usage by Western European nations in the early 20th century as a replacement of the term Near East (both were in contrast to the Far East). The term "Middle East" has led to some confusion over its changing definitions. Since the late 20th century, it has been criticized as being too Eurocentric. The region includes the vast majority of the territories included in the closely associated definition of West Asia, but without the South Caucasus. It also includes all of Egypt (not just the Sinai region) and all of Turkey (including East Thrace). Most Middle Eastern countries (13 out of 18) are part of the Arab world. The three most populous countries in the region are Egypt, Iran, and Turkey, while Saudi Arabia is the largest Middle Eastern country by area. The history of the Middle East dates back to ancient times, and it was long considered the "cradle of civilization". The geopolitical importance of the region has been recognized and competed for during millennia. The Abrahamic religions (Judaism, Christianity, and Islam) have their origins in the Middle East. Arabs constitute the main ethnic group in the region, followed by Turks, Persians, Kurds, Jews, and Assyrians. The Middle East generally has a hot, arid climate, especially in the Arabian and Egyptian regions. Several major rivers provide irrigation to support agriculture in limited areas here, such as the Nile Delta in Egypt, the Tigris and Euphrates watersheds of Mesopotamia, and the basin of the Jordan River that spans most of the Levant. These regions are collectively known as the Fertile Crescent, and comprise the core of what historians had long referred to as the cradle of civilization; multiple regions of the world have since been classified as also having developed independent, original civilizations. Conversely, the Levantine coast and most of Turkey have relatively temperate climates typical of the Mediterranean, with dry summers and cool, wet winters. Most of the countries that border the Persian Gulf have vast reserves of petroleum. Monarchs of the Arabian Peninsula in particular have benefitted economically from petroleum exports. Because of the arid climate and dependence on the fossil fuel industry, the Middle East is both a major contributor to climate change and a region that is expected to be severely adversely affected by it. Other concepts of the region exist, including the broader Middle East and North Africa (MENA), which includes states of the Maghreb and the Sudan. The term the "Greater Middle East" also includes Afghanistan, Mauritania, Pakistan, as well as parts of East Africa, and sometimes Central Asia and the South Caucasus. Terminology The term "Middle East" may have originated in the 1850s in the British India Office. However, it became more widely known when United States naval strategist Alfred Thayer Mahan used the term in 1902 to "designate the area between Arabia and India". During this time the British and Russian empires were vying for influence in Central Asia, a rivalry that would become known as the Great Game. Mahan realized not only the strategic importance of the region, but also of its center, the Persian Gulf. He labeled the area surrounding the Persian Gulf as the Middle East. He said that, beyond Egypt's Suez Canal, the Gulf was the most important passage for Britain to control in order to keep the Russians from advancing towards British India. Mahan first used the term in his article "The Persian Gulf and International Relations", published in September 1902 in the National Review, a British journal. The Middle East, if I may adopt a term which I have not seen, will some day need its Malta, as well as its Gibraltar; it does not follow that either will be in the Persian Gulf. Naval force has the quality of mobility which carries with it the privilege of temporary absences; but it needs to find on every scene of operation established bases of refit, of supply, and in case of disaster, of security. The British Navy should have the facility to concentrate in force if occasion arise, about Aden, India, and the Persian Gulf. Mahan's article was reprinted in The Times and followed in October by a 20-article series entitled "The Middle Eastern Question", written by Sir Ignatius Valentine Chirol. During this series, Sir Ignatius expanded the definition of Middle East to include "those regions of Asia which extend to the borders of India or command the approaches to India." After the series ended in 1903, The Times removed quotation marks from subsequent uses of the term. Until World War II, it was customary to refer to areas centered on Turkey and the eastern shore of the Mediterranean as the "Near East", while the "Far East" centered on China, India and Japan. The Middle East was then defined as the area from Mesopotamia to Burma; namely, the area between the Near East and the Far East. This area broadly corresponds to South Asia. In the late 1930s, the British established the Middle East Command, which was based in Cairo, for its military forces in the region. After that time, the term "Middle East" gained broader usage in Europe and the United States. Following World War II, for example, the Middle East Institute was founded in Washington, D.C. in 1946. The corresponding adjective is Middle Eastern and the derived noun is Middle Easterner. While non-Eurocentric terms such as "Southwest Asia" or "Swasia" have been sparsely used, the classification of the African country, Egypt, among those counted in the Middle East challenges the usefulness of using such terms. The description Middle has also led to some confusion over changing definitions. Before the First World War, "Near East" was used in English to refer to the Balkans and the Ottoman Empire, while "Middle East" referred to the Caucasus, Persia, and Arabian lands, and sometimes Afghanistan, India and others. In contrast, "Far East" referred to the countries of East Asia (e.g. China, Japan, and Korea). With the collapse of the Ottoman Empire in 1918, "Near East" largely fell out of common use in English, while "Middle East" came to be applied to the emerging independent countries of the Islamic world. However, the usage "Near East" was retained by a variety of academic disciplines, including archaeology and ancient history. In their usage, the term describes an area identical to the term Middle East, which is not used by these disciplines (see ancient Near East).[citation needed] The first official use of the term "Middle East" by the United States government was in the 1957 Eisenhower Doctrine, which pertained to the Suez Crisis. Secretary of State John Foster Dulles defined the Middle East as "the area lying between and including Libya on the west and Pakistan on the east, Syria and Iraq on the North and the Arabian peninsula to the south, plus the Sudan and Ethiopia." In 1958, the State Department explained that the terms "Near East" and "Middle East" were interchangeable, and defined the region as including only Egypt, Syria, Israel, Lebanon, Jordan, Iraq, Saudi Arabia, Kuwait, Bahrain, and Qatar. Since the late 20th century, scholars and journalists from the region, such as journalist Louay Khraish and historian Hassan Hanafi have criticized the use of "Middle East" as a Eurocentric and colonialist term. The Associated Press Stylebook of 2004 says that Near East formerly referred to the farther west countries while Middle East referred to the eastern ones, but that now they are synonymous. It instructs: Use Middle East unless Near East is used by a source in a story. Mideast is also acceptable, but Middle East is preferred. European languages have adopted terms similar to Near East and Middle East. Since these are based on a relative description, the meanings depend on the country and are generally different from the English terms. In German the term Naher Osten (Near East) is still in common use (nowadays the term Mittlerer Osten is more and more common in press texts translated from English sources, albeit having a distinct meaning). In the four Slavic languages, Russian Ближний Восток or Blizhniy Vostok, Bulgarian Близкия Изток, Polish Bliski Wschód or Croatian Bliski istok (terms meaning Near East are the only appropriate ones for the region). However, some European languages do have "Middle East" equivalents, such as French Moyen-Orient, Swedish Mellanöstern, Spanish Oriente Medio or Medio Oriente, Greek is Μέση Ανατολή (Mesi Anatoli), and Italian Medio Oriente.[c] Perhaps because of the political influence of the United States and Europe, and the prominence of Western press, the Arabic equivalent of Middle East (Arabic: الشرق الأوسط ash-Sharq al-Awsaṭ) has become standard usage in the mainstream Arabic press. It comprises the same meaning as the term "Middle East" in North American and Western European usage. The designation, Mashriq, also from the Arabic root for East, also denotes a variously defined region around the Levant, the eastern part of the Arabic-speaking world (as opposed to the Maghreb, the western part). Even though the term originated in the West, countries of the Middle East that use languages other than Arabic also use that term in translation. For instance, the Persian equivalent for Middle East is خاورمیانه (Khāvar-e miyāneh), the Hebrew is המזרח התיכון (hamizrach hatikhon), and the Turkish is Orta Doğu. Countries and territory Traditionally included within the Middle East are Arabia, Asia Minor, East Thrace, Egypt, Iran, the Levant, Mesopotamia, and the Socotra Archipelago. The region includes 17 UN-recognized countries and one British Overseas Territory. Various concepts are often paralleled to the Middle East, most notably the Near East, Fertile Crescent, and Levant. These are geographical concepts, which refer to large sections of the modern-day Middle East, with the Near East being the closest to the Middle East in its geographical meaning. Due to it primarily being Arabic speaking, the Maghreb region of North Africa is sometimes included. "Greater Middle East" is a political term coined by the second Bush administration in the first decade of the 21st century to denote various countries, pertaining to the Muslim world, specifically Afghanistan, Iran, Pakistan, and Turkey. Various Central Asian countries are sometimes also included. History The Middle East lies at the juncture of Africa and Eurasia and of the Indian Ocean and the Mediterranean Sea (see also: Indo-Mediterranean). It is the birthplace and spiritual center of religions such as Christianity, Islam, Judaism, Manichaeism, Yezidi, Druze, Yarsan, and Mandeanism, and in Iran, Mithraism, Zoroastrianism, Manicheanism, and the Baháʼí Faith. Throughout its history the Middle East has been a major center of world affairs; a strategically, economically, politically, culturally, and religiously sensitive area. The region is one of the regions where agriculture was independently discovered, and from the Middle East it was spread, during the Neolithic, to different regions of the world such as Europe, the Indus Valley and Eastern Africa. Prior to the formation of civilizations, advanced cultures formed all over the Middle East during the Stone Age. The search for agricultural lands by agriculturalists, and pastoral lands by herdsmen meant different migrations took place within the region and shaped its ethnic and demographic makeup. The Middle East is widely and most famously known as the cradle of civilization. The world's earliest civilizations, Mesopotamia (Sumer, Akkad, Assyria and Babylonia), ancient Egypt and Kish in the Levant, all originated in the Fertile Crescent and Nile Valley regions of the ancient Near East. These were followed by the Hittite, Greek, Hurrian and Urartian civilisations of Asia Minor; Elam, Persia and Median civilizations in Iran, as well as the civilizations of the Levant (such as Ebla, Mari, Nagar, Ugarit, Canaan, Aramea, Mitanni, Phoenicia and Israel) and the Arabian Peninsula (Magan, Sheba, Ubar). The Near East was first largely unified under the Neo Assyrian Empire, then the Achaemenid Empire followed later by the Macedonian Empire and after this to some degree by the Iranian empires (namely the Parthian and Sassanid Empires), the Roman Empire and Byzantine Empire. The region served as the intellectual and economic center of the Roman Empire and played an exceptionally important role due to its periphery on the Sassanid Empire. Thus, the Romans stationed up to five or six of their legions in the region for the sole purpose of defending it from Sassanid and Bedouin raids and invasions. From the 4th century CE onwards, the Middle East became the center of the two main powers at the time, the Byzantine Empire and the Sassanid Empire. However, it would be the later Islamic Caliphates of the Middle Ages, or Islamic Golden Age which began with the Islamic conquest of the region in the 7th century AD, that would first unify the entire Middle East as a distinct region and create the dominant Islamic Arab ethnic identity that largely (but not exclusively) persists today. The 4 caliphates that dominated the Middle East for more than 600 years were the Rashidun Caliphate, the Umayyad caliphate, the Abbasid caliphate and the Fatimid caliphate. Additionally, the Mongols would come to dominate the region, the Kingdom of Armenia would incorporate parts of the region to their domain, the Seljuks would rule the region and spread Turko-Persian culture, and the Franks would found the Crusader states that would stand for roughly two centuries. Josiah Russell estimates the population of what he calls "Islamic territory" as roughly 12.5 million in 1000 – Anatolia 8 million, Syria 2 million, and Egypt 1.5 million. From the 16th century onward, the Middle East came to be dominated, once again, by two main powers: the Ottoman Empire and the Safavid dynasty. The modern Middle East began after World War I, when the Ottoman Empire, which was allied with the Central Powers, was defeated by the Allies and partitioned into a number of separate nations, initially under British and French Mandates. Other defining events in this transformation included the establishment of Israel in 1948 and the eventual departure of European powers, notably Britain and France by the end of the 1960s. They were supplanted in some part by the rising influence of the United States from the 1970s onwards. In the 20th century, the region's significant stocks of crude oil gave it new strategic and economic importance. Mass production of oil began around 1945, with Saudi Arabia, Iran, Kuwait, Iraq, and the United Arab Emirates having large quantities of oil. Estimated oil reserves, especially in Saudi Arabia and Iran, are some of the highest in the world, and the international oil cartel OPEC is dominated by Middle Eastern countries. During the Cold War, the Middle East was a theater of ideological struggle between the two superpowers and their allies: NATO and the United States on one side, and the Soviet Union and Warsaw Pact on the other, as they competed to influence regional allies. Besides the political reasons there was also the "ideological conflict" between the two systems. Moreover, as Louise Fawcett argues, among many important areas of contention, or perhaps more accurately of anxiety, were, first, the desires of the superpowers to gain strategic advantage in the region, second, the fact that the region contained some two-thirds of the world's oil reserves in a context where oil was becoming increasingly vital to the economy of the Western world [...] Within this contextual framework, the United States sought to divert the Arab world from Soviet influence. Throughout the 20th and 21st centuries, the region has experienced both periods of relative peace and tolerance and periods of conflict particularly between Sunnis and Shiites. Geography In 2018, the MENA region emitted 3.2 billion tonnes of carbon dioxide and produced 8.7% of global greenhouse gas emissions (GHG) despite making up only 6% of the global population. These emissions are mostly from the energy sector, an integral component of many Middle Eastern and North African economies due to the extensive oil and natural gas reserves that are found within the region. The Middle East region is one of the most vulnerable to climate change. The impacts include increase in drought conditions, aridity, heatwaves and sea level rise. Sharp global temperature and sea level changes, shifting precipitation patterns and increased frequency of extreme weather events are some of the main impacts of climate change as identified by the Intergovernmental Panel on Climate Change (IPCC). The MENA region is especially vulnerable to such impacts due to its arid and semi-arid environment, facing climatic challenges such as low rainfall, high temperatures and dry soil. The climatic conditions that foster such challenges for MENA are projected by the IPCC to worsen throughout the 21st century. If greenhouse gas emissions are not significantly reduced, part of the MENA region risks becoming uninhabitable before the year 2100. Climate change is expected to put significant strain on already scarce water and agricultural resources within the MENA region, threatening the national security and political stability of all included countries. Over 60 percent of the region's population lives in high and very high water-stressed areas compared to the global average of 35 percent. This has prompted some MENA countries to engage with the issue of climate change on an international level through environmental accords such as the Paris Agreement. Law and policy are also being established on a national level amongst MENA countries, with a focus on the development of renewable energies. Economy Middle Eastern economies range from being very poor (such as Gaza and Yemen) to extremely wealthy nations (such as Qatar and UAE). According to the International Monetary Fund, the three largest Middle Eastern economies in nominal GDP in 2023 were Saudi Arabia ($1.06 trillion), Turkey ($1.03 trillion), and Israel ($0.54 trillion). For nominal GDP per person, the highest ranking countries are Qatar ($83,891), Israel ($55,535), the United Arab Emirates ($49,451) and Cyprus ($33,807). Turkey ($3.6 trillion), Saudi Arabia ($2.3 trillion), and Iran ($1.7 trillion) had the largest economies in terms of GDP PPP. For GDP PPP per person, the highest-ranking countries are Qatar ($124,834), the United Arab Emirates ($88,221), Saudi Arabia ($64,836), Bahrain ($60,596) and Israel ($54,997). The lowest-ranking country in the Middle East, in terms of GDP nominal per capita, is Yemen ($573). The economic structure of Middle Eastern nations are different because while some are heavily dependent on export of only oil and oil-related products (Saudi Arabia, the UAE and Kuwait), others have a highly diverse economic base (such as Cyprus, Israel, Turkey and Egypt). Industries of the Middle Eastern region include oil and oil-related products, agriculture, cotton, cattle, dairy, textiles, leather products, surgical instruments, defence equipment (guns, ammunition, tanks, submarines, fighter jets, UAVs, and missiles). Banking is an important sector, especially for UAE and Bahrain. With the exception of Cyprus, Turkey, Egypt, Lebanon and Israel, tourism has been a relatively undeveloped area of the economy, in part because of the socially conservative nature of the region as well as political turmoil in certain regions. Since the end of the COVID pandemic however, countries such as the UAE, Bahrain, and Jordan have begun attracting greater numbers of tourists because of improving tourist facilities and the relaxing of tourism-related restrictive policies. Unemployment is high in the Middle East and North Africa region, particularly among people aged 15–29, a demographic representing 30% of the region's population. The total regional unemployment rate in 2025 is 10.8%, and among youth is as high as 28%. Demographics Arabs constitute the largest ethnic group in the Middle East, followed by various Iranian peoples and then by Turkic peoples (Turkish, Azeris, Syrian Turkmen, and Iraqi Turkmen). Native ethnic groups of the region include, in addition to Arabs, Arameans, Assyrians, Baloch, Berbers, Copts, Druze, Greek Cypriots, Jews, Kurds, Lurs, Mandaeans, Persians, Samaritans, Shabaks, Tats, and Zazas. European ethnic groups that form a diaspora in the region include Albanians, Bosniaks, Circassians (including Kabardians), Crimean Tatars, Greeks, Franco-Levantines, Italo-Levantines, and Iraqi Turkmens. Among other migrant populations are Chinese, Filipinos, Indians, Indonesians, Pakistanis, Pashtuns, Romani, and Afro-Arabs. "Migration has always provided an important vent for labor market pressures in the Middle East. For the period between the 1970s and 1990s, the Arab states of the Persian Gulf in particular provided a rich source of employment for workers from Egypt, Yemen and the countries of the Levant, while Europe had attracted young workers from North African countries due both to proximity and the legacy of colonial ties between France and the majority of North African states." According to the International Organization for Migration, there are 13 million first-generation migrants from Arab nations in the world, of which 5.8 reside in other Arab countries. Expatriates from Arab countries contribute to the circulation of financial and human capital in the region and thus significantly promote regional development. In 2009 Arab countries received a total of US$35.1 billion in remittance in-flows and remittances sent to Jordan, Egypt and Lebanon from other Arab countries are 40 to 190 per cent higher than trade revenues between these and other Arab countries. In Somalia, the Somali Civil War has greatly increased the size of the Somali diaspora, as many of the best educated Somalis left for Middle Eastern countries as well as Europe and North America. Non-Arab Middle Eastern countries such as Turkey, Israel and Iran are also subject to important migration dynamics. A fair proportion of those migrating from Arab nations are from ethnic and religious minorities facing persecution and are not necessarily ethnic Arabs, Iranians or Turks.[citation needed] Large numbers of Kurds, Jews, Assyrians, Greeks and Armenians as well as many Mandeans have left nations such as Iraq, Iran, Syria and Turkey for these reasons during the last century. In Iran, many religious minorities such as Christians, Baháʼís, Jews and Zoroastrians have left since the Islamic Revolution of 1979. The Middle East is very diverse when it comes to religions, many of which originated there. Islam is the largest religion in the Middle East, but other faiths that originated there, such as Judaism and Christianity, are also well represented. Christian communities have played a vital role in the Middle East, and they represent 78% of Cyprus population, and 40.5% of Lebanon, where the Lebanese president, half of the cabinet, and half of the parliament follow one of the various Lebanese Christian rites. There are also important minority religions like the Baháʼí Faith, Yarsanism, Yazidism, Zoroastrianism, Mandaeism, Druze, and Shabakism, and in ancient times the region was home to Mesopotamian religions, Canaanite religions, Manichaeism, Mithraism and various monotheist gnostic sects. The six top languages, in terms of numbers of speakers, are Arabic, Persian, Turkish, Kurdish, Modern Hebrew and Greek. About 20 minority languages are also spoken in the Middle East. Arabic, with all its dialects, is the most widely spoken language in the Middle East, with Literary Arabic being official in all North African and in most West Asian countries. Arabic dialects are also spoken in some adjacent areas in neighbouring Middle Eastern non-Arab countries. It is a member of the Semitic branch of the Afro-Asiatic languages. Several Modern South Arabian languages such as Mehri and Soqotri are also spoken in Yemen and Oman. Another Semitic language is Aramaic and its dialects are spoken mainly by Assyrians and Mandaeans, with Western Aramaic still spoken in two villages near Damascus, Syria. There is also an Oasis Berber-speaking community in Egypt where the language is also known as Siwa. It is a non-Semitic Afro-Asiatic sister language. Persian is the second most spoken language. While it is primarily spoken in Iran and some border areas in neighbouring countries, the country is one of the region's largest and most populous. It belongs to the Indo-Iranian branch of the family of Indo-European languages. Other Western Iranic languages spoken in the region include Achomi, Daylami, Kurdish dialects, Semmani, Lurish, amongst many others. The close third-most widely spoken language, Turkish, is largely confined to Turkey, which is also one of the region's largest and most populous countries, but it is present in areas in neighboring countries. It is a member of the Turkic languages, which have their origins in East Asia. Another Turkic language, Azerbaijani, is spoken by Azerbaijanis in Iran. The fourth-most widely spoken language, Kurdish, is spoken in the countries of Iran, Iraq, Syria and Turkey, Sorani Kurdish is the second official language in Iraq (instated after the 2005 constitution) after Arabic. Hebrew is the official language of Israel, with Arabic given a special status after the 2018 Basic law lowered its status from an official language prior to 2018. Hebrew is spoken and used by over 80% of Israel's population, the other 20% using Arabic. Modern Hebrew only began being spoken in the 20th century after being revived in the late 19th century by Elizer Ben-Yehuda (Elizer Perlman) and European Jewish settlers, with the first native Hebrew speaker being born in 1882. Greek is one of the two official languages of Cyprus, and the country's main language. Small communities of Greek speakers exist all around the Middle East; until the 20th century it was also widely spoken in Asia Minor (being the second most spoken language there, after Turkish) and Egypt. During the antiquity, Ancient Greek was the lingua franca for many areas of the western Middle East and until the Muslim expansion it was widely spoken there as well. Until the late 11th century, it was also the main spoken language in Asia Minor; after that it was gradually replaced by the Turkish language as the Anatolian Turks expanded and the local Greeks were assimilated, especially in the interior. English is one of the official languages of Akrotiri and Dhekelia. It is also commonly taught and used as a foreign second language, in countries such as Egypt, Jordan, Iran, Iraq, Qatar, Bahrain, United Arab Emirates and Kuwait. It is also a main language in some Emirates of the United Arab Emirates. It is also spoken as native language by Jewish immigrants from Anglophone countries (UK, US, Australia) in Israel and understood widely as second language there. French is taught and used in many government facilities and media in Lebanon, and is taught in some primary and secondary schools of Egypt and Syria. Maltese, a Semitic language mainly spoken in Europe, is used by the Franco-Maltese diaspora in Egypt. Due to widespread immigration of French Jews to Israel, it is the native language of approximately 200,000 Jews in Israel. Armenian speakers are to be found in the region. Georgian is spoken by the Georgian diaspora. Russian is spoken by a large portion of the Israeli population, because of emigration in the late 1990s. Russian today is a popular unofficial language in use in Israel; news, radio and sign boards can be found in Russian around the country after Hebrew and Arabic. Circassian is also spoken by the diaspora in the region and by almost all Circassians in Israel who speak Hebrew and English as well. The largest Romanian-speaking community in the Middle East is found in Israel, where as of 1995[update] Romanian is spoken by 5% of the population.[d] Bengali, Hindi and Urdu are widely spoken by migrant communities in many Middle Eastern countries, such as Saudi Arabia (where 20–25% of the population is South Asian), the United Arab Emirates (where 50–55% of the population is South Asian), and Qatar, which have large numbers of Pakistani, Bangladeshi and Indian immigrants. Culture The Middle East has recently become more prominent in hosting global sport events due to its wealth and desire to diversify its economy. The South Asian diaspora is a major backer of cricket in the region. See also Notes References Further reading External links 29°N 41°E / 29°N 41°E / 29; 41 |
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[SOURCE: https://en.wikipedia.org/wiki/Self-hosting_(web_services)] | [TOKENS: 783] |
Contents Self-hosting (network) Self-hosting is the practice of running and maintaining a website or service, as well as own servers for e-mail, IM, NTP and so on, using a private server, instead of using a service outside of the administrator's own control. Self-hosting allows users to have more control over their data, privacy, and computing infrastructure, as well as potentially saving costs and improving skills. History The practice of self-hosting web services became more feasible with the development of cloud computing and virtualization technologies, which enabled users to run their own servers on remote hardware or virtual machines. The first public cloud service, Amazon Web Services (AWS), was launched in 2006, offering Simple Storage Service (S3) and Elastic Compute Cloud (EC2) as its initial products. Self-hosting web services became more popular with the rise of free and open-source software projects, which provide alternatives to various web-based services and applications, such as file storage, password management, media streaming, home automation, and more. There is also a sizeable hobbyist community around self-hosting, made up of hobbyists, technology professionals and privacy-conscious individuals. Benefits Self-hosting software often allows a user greater customization over their software experience compared to solutions in the cloud. For example, Jellyfin has many add-ons allowing for new types of program information, interfaces, subtitles and other features that are not available on commercial streaming services. A self-hosted RSS reader can help a user control their own source of news, rather than be reliant on a corporation's algorithm to deliver their news. This degree of control can make self-hosted software more resistant to enshittification. Self-hosted services are usually more privacy-respecting because the user is hosting the data on hardware under their control, meaning that a for-profit company will not be able to leverage that data to generate revenue from targeted ads or similar strategies. The fact that the data does not leave the premises where it is stored also means the user may be less susceptible to mass surveillance, such as by hosting personal photographs on Immich to avoid those personal data being accessible to Google on Google Photos. While some self-hosted software solutions offer subscriptions to support their development, many are distributed via open-source repositories. This can allow a user to save money over the long term, such as by using Nextcloud to avoid subscriptions for cloud storage which often increase over time. Downsides While self-hosting can save money in some aspects, it also involves costs, such as for the computing hardware itself, but also the electricity costs, which some advanced users have noted can be unexpectedly high. If users access their self-hosted services on a domain they own, there is usually a cost involved in registering the domain. Performance can be faster on local hardware due to the lower latency, but it can sometimes be slower on self-hosted hardware, particularly if attempting to host on under-powered devices such as single-board computers like Raspberry Pi, which can struggle to run intensive processes involved in speech-to-text algorithms, video encoding and similar applications. Security must be considered when self-hosting software exposed to the public internet. Making resources on a home network remotely accessible usually involves port forwarding, setting up encryption methods like HTTPS, and other networking approaches which if not configured correctly, could become an attack surface for hackers and thieves. It is also recommended to back up any self-hosted data to a second location, potentially offsite, to ensure all data isn't lost in case of a fire, flood or other disaster that could destroy hardware in a home. Self-hosting software often has a steeper learning curve than competing software because of the need to learn about computer networking, security, and software configuration on environments such as Linux and the command line. This can require more time investment than paid alternatives. See also References External links Popular curated directory of self-hosted applications |
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[SOURCE: https://en.wikipedia.org/wiki/Newlands_Resolution] | [TOKENS: 1873] |
Contents Newlands Resolution The Newlands Resolution, 30 Stat. 750, was a joint resolution passed on July 7, 1898, by the United States Congress to annex the independent Republic of Hawaii. In 1900, Congress created the Territory of Hawaii. The resolution was drafted by Representative Francis G. Newlands of Nevada, a member of the Silver Party. Annexation was a highly controversial political issue, along with the similar issue of the acquisition of the Philippines in 1898. Passage In 1897, US President William McKinley signed a treaty of annexation for the Republic of Hawaii which lacked two-thirds support in the Senate, and thus never went into effect. In April 1898, the US went to war with Spain. The Republic of Hawaii decided not to support the war effort and declared its neutrality. However, according to Ralph S. Kuykendall, "The Hawaiian government threw aside its neutrality and did all it could to aid the Americans....Honolulu became a mid-ocean stopover for the United States troops that were sent across the Pacific to follow up Dewey's victory. The American soldiers were enthusiastically welcomed and given a taste of Hawaiian hospitality." This demonstrated Hawaii's value as a naval base in wartime, and the American colony on Hawaii won widespread American approval for its help. With the opposition weakened by this strategic importance, Hawaii was annexed through the Newlands Resolution, a joint resolution of Congress with executive assent, which required only a majority vote in both houses. Most of the bill's support came from Republicans. It passed the house by a vote of 209 to 91, with 182 of the votes in favor from Republicans. In the event, it passed the Senate by 42–21, with exactly two-thirds in favor. It was approved on July 6, 1898, and signed on July 7 by President McKinley. Queen Liliʻuokalani sent a letter of protest to the US House of Representatives in attempt to return control of her homeland to native Hawaiians, stating her throne had been taken illegally. On August 12, 1898, a ceremony was held on the steps of ʻIolani Palace to signify the official transfer of Hawaiian state sovereignty to the US. None of the former Hawaiian leadership attended. This account illustrates the popular response to the ceremony: "An event of this magnitude would ordinarily call for gala celebrations that night. However, there were no celebrations as there was too much sadness, too much bitterness and resentment prevalent in the atmosphere and the authorities were afraid of riots by the unhappy frustrated Hawaiians." The resolution established a five-member commission to study the laws that were needed in Hawaii. The commission included Territorial Governor Sanford B. Dole (R-Hawaii Territory), Senators Shelby M. Cullom (R-IL) and John T. Morgan (D-AL), Representative Robert R. Hitt (R-IL) and former Hawaii Chief Justice and later Territorial Governor Walter F. Frear (R-Hawaii Territory). The commission's final report was submitted to Congress, resulting in a debate that lasted over a year. Congress raised objections that establishing an elected territorial government in Hawaii would lead to the admission of a state with a non-white majority. Annexation allowed duty-free trade between the islands and the mainland, although this had mostly already been accomplished through a reciprocity trade agreement King David Kalakaua had made with the US in 1875, which had also given the US Navy a long term lease of Pearl Harbor as a naval base. The creation of the Territory of Hawaii was the final step in a long history of dwindling Hawaiian sovereignty, and divided the local population. The annexation was opposed among the Polynesian population, and occurred without a referendum of any kind. Between September 11 and October 2, 1897, the Hui Aloha 'Aina and Hui Kulai'aina groups organised a mass petition drive that obtained 21,269 signatures on the "Petition Against Annexation"—more than half of the 39,000 native Hawaiians. The Hawaiian sovereignty movement still disputes the legality of the acquisition of Hawaii under the United States Constitution. However, the US Supreme Court gave tacit recognition to the legitimacy of Hawaii's annexation in DeLima v. Bidwell, 182 U.S. 1, 196 (1901). Cost The US assumed $4 million in Hawaiian debt as part of the annexation. David R. Barker of the University of Iowa stated in 2009 that unlike the Alaska Purchase, Hawaii has been profitable for the country, with net tax revenue almost always exceeding non-defense spending. He estimated an internal rate of return for the annexation of more than 15%. Popular controversy Multiple viewpoints in the US and in Hawaii were raised for and against annexation from 1893 to 1898. Historian Henry Graff wrote that at first, "Public opinion at home seemed to indicate acquiescence.... Unmistakably, the sentiment at home was maturing with immense force for the United States to join the great powers of the world in a quest for overseas colonies." President Grover Cleveland, on taking office in March 1893, rescinded the annexation proposal. His biographer Alyn Brodsky argued that it was a deeply personal conviction on Cleveland's part against immoral action against the little kingdom: Just as he stood up for the Samoan Islands against Germany because he opposed the conquest of a lesser state by a greater one, so did he stand up for the Hawaiian Islands against his own nation. He could have let the annexation of Hawaii move inexorably to its inevitable culmination. But he opted for confrontation, which he hated, as it was to him the only way a weak and defenseless people might retain their independence. It was not the idea of annexation that Grover Cleveland opposed, but the idea of annexation as a pretext for illicit territorial acquisition. Cleveland had to mobilize support from Southern Democrats to fight the treaty. He sent former Georgia Representative James H. Blount as a special representative to Hawaii to investigate and to provide a solution. Blount was well known for his opposition to imperialism. Blount was also a leading advocate for white supremacy, which effectively ended the right to vote for southern Blacks in the 1890s. Some observers had speculated that he would support annexation on the grounds of the inability of Asiatics to govern themselves. Instead, Blount opposed imperialism, called for the US military to restore Queen Liliuokalani, and argued that the Hawaii natives should be allowed to continue their "Asiatic ways." Blount seemingly was unaware of the written policy set for Hawaii in Cleveland's first term by his Secretary of State Thomas F. Bayard for Hawaii. Bayard sent written instructions to the American minister George W. Merrill that in the event of another revolution in Hawaii, it was a priority to protect American commerce, lives, and property. Bayard specified that "the assistance of the officers of our Government vessels, if found necessary, will therefore be promptly afforded to promote the reign of law and respect for orderly government in Hawaii." In July 1889, during a small-scale rebellion, Merrill landed Marines to protect Americans, an action that the State Department explicitly approved. Stevens had read those 1887 instructions and followed them in 1893. A vigorous nationwide anti-expansionist movement, organized as the American Anti-Imperialist League, emerged. Prominent anti-imperialists included Carl Schurz, Democratic leader William Jennings Bryan, industrialist Andrew Carnegie, author Mark Twain, sociologist William Graham Sumner, and many prominent intellectuals and politicians who came of age during the Civil War. The anti-imperialists opposed territorial expansion, believing that imperialism violated the fundamental principle that just, republican government derives from "consent of the governed." The League argued that such activity would necessitate the abandonment of American ideals of self-government and non-intervention that were expressed in the Declaration of Independence, George Washington's Farewell Address, and Lincoln's Gettysburg Address. However, they could not stop the even more energetic forces of imperialism, which were led by Secretary of State John Hay, naval strategist Alfred T. Mahan, Republican Senator Henry Cabot Lodge, Secretary of War Elihu Root, and the young politician Theodore Roosevelt. Those expansionists had vigorous support from newspaper publishers William Randolph Hearst and Joseph Pulitzer, who whipped up popular excitement. There was deep concern that Japan would force Hawaii into its colonial empire, which was believed to pose a serious threat to the West Coast. Mahan and Roosevelt designed a global strategy calling for a competitive modern navy, Pacific bases, an isthmian canal through Nicaragua or Panama, and (above all) an assertive role for the United States as the largest industrial power. McKinley's position was that Hawaii could never survive on its own but would quickly be gobbled up by Japan, as about a quarter of the islands' population was already ethnically Japanese, and that this would allow Japan to dominate the Pacific and undermine American hopes for large-scale trade with Asia. See also References Further reading External links |
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[SOURCE: https://en.wikipedia.org/wiki/Crocker_%26_Brewster] | [TOKENS: 446] |
Contents Crocker & Brewster Crocker & Brewster (1818–1876) was a leading publishing house in Boston, Massachusetts, during its 58-year existence. The business was located at today's 173–175 Washington Street for nearly half a century; in 1864 it moved to the adjoining building, where it remained until the firm's dissolution. History The firm was founded by Uriel Crocker and Osmyn Brewster, with the participation of their earlier employer, Samuel Turell Armstrong, later mayor of Boston and acting governor of the Commonwealth. In 1815, Crocker was made foreman of Armstrong's printing office, and in 1818 was, with his fellow-apprentice, Brewster, taken into partnership with Armstrong. The trio agreed that the bookstore would be named for Mr. Armstrong and the printing office for Crocker & Brewster. In 1821 a branch of the business was established in New York City. Five years later, it was sold to Daniel Appleton and Jonathan Leavitt, becoming the foundation of the firm, D. Appleton & Sons. After 1825, the entire business was carried on under the name of Crocker & Brewster, although Armstrong continued to be a member of the firm until 1840. The printing office was then in Mr. Crocker's charge and the bookstore in Mr. Brewster's. The firm thrived with strong sales until 1876, when it relinquished its active publishing business to H. O. Houghton and Company, which purchased its stereotype plates, copyrights, and book stock. H. O. Houghton later became Houghton Mifflin. The partnership between Armstrong, Crocker, and Brewster was not dissolved until Crocker's death in 1887. Publications The firm published mainly standards and educational works, including Scott's Family Bible in six royal octavo volumes, the first large work stereotyped in the United States. Over 150 items printed by Crocker & Brewster are in the collection of the Boston Athenaeum. References This article is derived from the Men of Progress entry for Crocker, on which copyright has expired. |
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[SOURCE: https://en.wikipedia.org/wiki/Cleavage_(embryo)] | [TOKENS: 2905] |
Contents Cleavage (embryo) In embryology, cleavage is the division of cells in the early development of the embryo, following fertilization. The zygotes of many species undergo rapid cell cycles with no significant overall growth, producing a cluster of cells the same size as the original zygote. The different cells derived from cleavage are called blastomeres and form a compact mass called the morula. Cleavage ends with the formation of the blastula, or of the blastocyst in mammals. Depending mostly on the concentration of yolk in the egg, the cleavage can be holoblastic (total or complete cleavage) or meroblastic (partial or incomplete cleavage). The pole of the egg with the highest concentration of yolk is referred to as the vegetal pole while the opposite is referred to as the animal pole. Cleavage differs from other forms of cell division in that it increases the number of cells and nuclear mass without increasing the cytoplasmic mass. This means that with each successive subdivision, there is roughly half the cytoplasm in each daughter cell than before that division, and thus twice the ratio of nuclear to cytoplasmic material. Fundamental laws of cleavage Cleavage mechanisms and types are governed by four general laws, derived from early studies of embryonic development patterns: 1) Pfluger's Law: the spindle, once formed, will elongate in the direction where the resistance is least (minimal). 2) Balfour's Law: In holoblastic cleavage, the rate at which cleavage progresses tends to reflect the amount of yolk present. Yolk slows down division of both cytoplasm and nucleus. 3) Sack's Law: Daughter cells are of equal size; and successive planes of division are at right angles to one another. 4) Hertwig's Law: The nucleus (and spindle) tend to locate at the center of the active protoplasm; and the spindle tends to align with the longest dimension (axis) of the cytoplasmic mass. The subsequent division cleaves the mass accordingly. (Thus, the mother cell cleaves across its longest axis, which is then the smallest dimension of the daughter cells. When they subsequently cleave, their spindles will align across that axis: hence Sack's Law). Mechanism The rapid cell cycles are facilitated by maintaining high levels of proteins that control cell cycle progression such as the cyclins and their associated cyclin-dependent kinases (CDKs). The complex cyclin B/CDK1 also known as MPF (maturation promoting factor) promotes entry into mitosis. The processes of karyokinesis (mitosis) and cytokinesis work together to result in cleavage. The mitotic apparatus is made up of a central spindle and polar asters made up of polymers of tubulin protein called microtubules. The asters are nucleated by centrosomes and the centrosomes are organized by centrioles brought into the egg by the sperm as basal bodies. Cytokinesis is mediated by the contractile ring made up of polymers of actin protein called microfilaments. Karyokinesis and cytokinesis are independent but spatially and temporally coordinated processes. While mitosis can occur in the absence of cytokinesis, cytokinesis requires the mitotic apparatus. The end of cleavage coincides with the beginning of zygotic transcription. This point in non-mammals is referred to as the midblastula transition and appears to be controlled by the nuclear-cytoplasmic ratio (about 1:6). Types of cleavage Determinate cleavage (also called mosaic cleavage) is in most protostomes. It results in the developmental fate of the cells being set early in the embryo development. Each blastomere produced by early embryonic cleavage does not have the capacity to develop into a complete embryo. A cell can only be indeterminate (also called regulative) if it has a complete set of undisturbed animal/vegetal cytoarchitectural features. It is characteristic of deuterostomes—when the original cell in a deuterostome embryo divides, the two resulting cells can be separated, and each one can individually develop into a whole organism. In holoblastic cleavage, the zygote and blastomeres are completely divided during the cleavage, so the number of blastomeres doubles with each cleavage. In the absence of a large concentration of yolk, four major cleavage types can be observed in isolecithal cells (cells with a small, even distribution of yolk) or in mesolecithal cells or microlecithal cells (moderate concentration of yolk in a gradient)—bilateral holoblastic, radial holoblastic, rotational holoblastic, and spiral holoblastic, cleavage. These holoblastic cleavage planes pass all the way through isolecithal zygotes during the process of cytokinesis. Coeloblastula is the next stage of development for eggs that undergo these radial cleavages. In holoblastic eggs, the first cleavage always occurs along the vegetal-animal axis of the egg, the second cleavage is perpendicular to the first. From here, the spatial arrangement of blastomeres can follow various patterns, due to different planes of cleavage, in various organisms. The first cleavage results in bisection of the zygote into left and right halves. The following cleavage planes are centered on this axis and result in the two halves being mirror images of one another. In bilateral holoblastic cleavage, the divisions of the blastomeres are complete and separate; compared with bilateral meroblastic cleavage, in which the blastomeres stay partially connected. Radial cleavage is characteristic of the deuterostomes, which include some vertebrates and echinoderms, in which the spindle axes are parallel or at right angles to the polar axis of the oocyte. Rotational cleavage involves a normal first division along the meridional axis, giving rise to two daughter cells. The way in which this cleavage differs is that one of the daughter cells divides meridionally, whilst the other divides equatorially. The nematode C. elegans, a popular developmental model organism, undergoes holoblastic rotational cell cleavage. Spiral cleavage is conserved between many members of the lophotrochozoan taxa, referred to as Spiralia. Most spiralians undergo equal spiral cleavage, although some undergo unequal cleavage (see below). This group includes annelids, molluscs, and sipuncula. Spiral cleavage can vary between species, but generally the first two cell divisions result in four macromeres, also called blastomeres, (A, B, C, D) each representing one quadrant of the embryo. These first two cleavages are not oriented in planes that occur at right angles parallel to the animal-vegetal axis of the zygote. At the 4-cell stage, the A and C macromeres meet at the animal pole, creating the animal cross-furrow, while the B and D macromeres meet at the vegetal pole, creating the vegetal cross-furrow. With each successive cleavage cycle, the macromeres give rise to quartets of smaller micromeres at the animal pole. The divisions that produce these quartets occur at an oblique angle, an angle that is not a multiple of 90 degrees, to the animal-vegetal axis. Each quartet of micromeres is rotated relative to their parent macromere, and the chirality of this rotation differs between odd- and even-numbered quartets, meaning that there is alternating symmetry between the odd and even quartets. In other words, the orientation of divisions that produces each quartet alternates between being clockwise and counterclockwise with respect to the animal pole. The alternating cleavage pattern that occurs as the quartets are generated produces quartets of micromeres that reside in the cleavage furrows of the four macromeres. When viewed from the animal pole, this arrangement of cells displays a spiral pattern. Specification of the D macromere and is an important aspect of spiralian development. Although the primary axis, animal-vegetal, is determined during oogenesis, the secondary axis, dorsal-ventral, is determined by the specification of the D quadrant. The D macromere facilitates cell divisions that differ from those produced by the other three macromeres. Cells of the D quadrant give rise to dorsal and posterior structures of the spiralian. Two known mechanisms exist to specify the D quadrant. These mechanisms include equal cleavage and unequal cleavage. In equal cleavage, the first two cell divisions produce four macromeres that are indistinguishable from one another. Each macromere has the potential of becoming the D macromere. After the formation of the third quartet, one of the macromeres initiates maximum contact with the overlying micromeres in the animal pole of the embryo. This contact is required to distinguish one macromere as the official D quadrant blastomere. In equally cleaving spiral embryos, the D quadrant is not specified until after the formation of the third quartet, when contact with the micromeres dictates one cell to become the future D blastomere. Once specified, the D blastomere signals to surrounding micromeres to lay out their cell fates. In unequal cleavage, the first two cell divisions are unequal producing four cells in which one cell is bigger than the other three. This larger cell is specified as the D macromere. Unlike equally cleaving spiralians, the D macromere is specified at the four-cell stage during unequal cleavage. Unequal cleavage can occur in two ways. One method involves asymmetric positioning of the cleavage spindle. This occurs when the aster at one pole attaches to the cell membrane, causing it to be much smaller than the aster at the other pole. This results in an unequal cytokinesis, in which both macromeres inherit part of the animal region of the egg, but only the bigger macromere inherits the vegetal region. The second mechanism of unequal cleavage involves the production of an enucleate, membrane bound, cytoplasmic protrusion, called a polar lobe. This polar lobe forms at the vegetal pole during cleavage, and then gets shunted to the D blastomere. The polar lobe contains vegetal cytoplasm, which becomes inherited by the future D macromere. In the presence of a large concentration of yolk in the fertilized egg cell, the cell can undergo partial, or meroblastic, cleavage. Two major types of meroblastic cleavage are discoidal and superficial. A. Isolecithal (sparse, evenly distributed yolk) B. Mesolecithal (moderate vegetal yolk disposition) A. Telolecithal (dense yolk throughout most of cell) B. Centrolecithal (yolk in center of egg) Mammals Compared to other fast developing animals, mammals have a slower rate of division that is between 12 and 24 hours. Initially synchronous, these cellular divisions progressively become more and more asynchronous. Zygotic transcription starts at the two-, four-, or eight-cell stage depending on the species (for example, mouse zygotic transcription begins towards the end of the zygote stage and becomes significant at the two-cell stage, whereas human embryos begin zygotic transcription at the eight-cell stage). Cleavage is holoblastic and rotational. In human embryonic development at the eight-cell stage, having undergone three cleavages the embryo starts to change shape as it develops into a morula and then a blastocyst. At the eight-cell stage the blastomeres are initially round, and only loosely adhered. With further division in the process of compaction the cells flatten onto one another. At the 16–cell stage the compacted embryo is called a morula. Once the embryo has divided into 16 cells, it begins to resemble a mulberry, hence the name morula (Latin, morus: mulberry). Concomitantly, they develop an inside-out polarity that provides distinct characteristics and functions to their cell-cell and cell-medium interfaces. As surface cells become epithelial, they begin to tightly adhere as gap junctions are formed, and tight junctions are developed with the other blastomeres. With further compaction the individual outer blastomeres, the trophoblasts, become indistinguishable as they become organised into a thin sheet of tightly adhered epithelial cells. They are still enclosed within the zona pellucida. The morula is now watertight, to contain the fluid that the cells will later pump into the embryo to transform it into the blastocyst. In humans, the morula enters the uterus after three or four days, and begins to take in fluid, as sodium-potassium pumps on the trophoblasts pump sodium into the morula, drawing in water by osmosis from the maternal environment to become blastocoelic fluid. As a consequence to increased osmotic pressure, the accumulation of fluid raises the hydrostatic pressure inside the embryo. Hydrostatic pressure breaks open cell-cell contacts within the embryo by hydraulic fracturing. Initially dispersed in hundreds of water pockets throughout the embryo, the fluid collects into a single large cavity, called blastocoel, following a process akin to Ostwald ripening. Embryoblast cells also known as the inner cell mass form a compact mass of cells at the embryonic pole on one side of the cavity that will go on to produce the embryo proper. The embryo is now termed a blastocyst. The trophoblasts will eventually give rise to the embryonic contribution to the placenta called the chorion. A single cell can be removed from a pre-compaction eight-cell embryo and used for genetic screening, and the embryo will recover. Differences exist between cleavage in placental mammals and other mammals. References Further reading |
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[SOURCE: https://en.wikipedia.org/wiki/Elon_Musk#cite_note-264] | [TOKENS: 10515] |
Contents Elon Musk Elon Reeve Musk (/ˈiːlɒn/ EE-lon; born June 28, 1971) is a businessman and entrepreneur known for his leadership of Tesla, SpaceX, Twitter, and xAI. Musk has been the wealthiest person in the world since 2025; as of February 2026,[update] Forbes estimates his net worth to be around US$852 billion. Born into a wealthy family in Pretoria, South Africa, Musk emigrated in 1989 to Canada; he has Canadian citizenship since his mother was born there. He received bachelor's degrees in 1997 from the University of Pennsylvania before moving to California to pursue business ventures. In 1995, Musk co-founded the software company Zip2. Following its sale in 1999, he co-founded X.com, an online payment company that later merged to form PayPal, which was acquired by eBay in 2002. Musk also became an American citizen in 2002. In 2002, Musk founded the space technology company SpaceX, becoming its CEO and chief engineer; the company has since led innovations in reusable rockets and commercial spaceflight. Musk joined the automaker Tesla as an early investor in 2004 and became its CEO and product architect in 2008; it has since become a leader in electric vehicles. In 2015, he co-founded OpenAI to advance artificial intelligence (AI) research, but later left; growing discontent with the organization's direction and their leadership in the AI boom in the 2020s led him to establish xAI, which became a subsidiary of SpaceX in 2026. In 2022, he acquired the social network Twitter, implementing significant changes, and rebranding it as X in 2023. His other businesses include the neurotechnology company Neuralink, which he co-founded in 2016, and the tunneling company the Boring Company, which he founded in 2017. In November 2025, a Tesla pay package worth $1 trillion for Musk was approved, which he is to receive over 10 years if he meets specific goals. Musk was the largest donor in the 2024 U.S. presidential election, where he supported Donald Trump. After Trump was inaugurated as president in early 2025, Musk served as Senior Advisor to the President and as the de facto head of the Department of Government Efficiency (DOGE). After a public feud with Trump, Musk left the Trump administration and returned to managing his companies. Musk is a supporter of global far-right figures, causes, and political parties. His political activities, views, and statements have made him a polarizing figure. Musk has been criticized for COVID-19 misinformation, promoting conspiracy theories, and affirming antisemitic, racist, and transphobic comments. His acquisition of Twitter was controversial due to a subsequent increase in hate speech and the spread of misinformation on the service, following his pledge to decrease censorship. His role in the second Trump administration attracted public backlash, particularly in response to DOGE. The emails he sent to Jeffrey Epstein are included in the Epstein files, which were published between 2025–26 and became a topic of worldwide debate. Early life Elon Reeve Musk was born on June 28, 1971, in Pretoria, South Africa's administrative capital. He is of British and Pennsylvania Dutch ancestry. His mother, Maye (née Haldeman), is a model and dietitian born in Saskatchewan, Canada, and raised in South Africa. Musk therefore holds both South African and Canadian citizenship from birth. His father, Errol Musk, is a South African electromechanical engineer, pilot, sailor, consultant, emerald dealer, and property developer, who partly owned a rental lodge at Timbavati Private Nature Reserve. His maternal grandfather, Joshua N. Haldeman, who died in a plane crash when Elon was a toddler, was an American-born Canadian chiropractor, aviator and political activist in the technocracy movement who moved to South Africa in 1950. Elon has a younger brother, Kimbal, a younger sister, Tosca, and four paternal half-siblings. Musk was baptized as a child in the Anglican Church of Southern Africa. Despite both Elon and Errol previously stating that Errol was a part owner of a Zambian emerald mine, in 2023, Errol recounted that the deal he made was to receive "a portion of the emeralds produced at three small mines". Errol was elected to the Pretoria City Council as a representative of the anti-apartheid Progressive Party and has said that his children shared their father's dislike of apartheid. After his parents divorced in 1979, Elon, aged around 9, chose to live with his father because Errol Musk had an Encyclopædia Britannica and a computer. Elon later regretted his decision and became estranged from his father. Elon has recounted trips to a wilderness school that he described as a "paramilitary Lord of the Flies" where "bullying was a virtue" and children were encouraged to fight over rations. In one incident, after an altercation with a fellow pupil, Elon was thrown down concrete steps and beaten severely, leading to him being hospitalized for his injuries. Elon described his father berating him after he was discharged from the hospital. Errol denied berating Elon and claimed, "The [other] boy had just lost his father to suicide, and Elon had called him stupid. Elon had a tendency to call people stupid. How could I possibly blame that child?" Elon was an enthusiastic reader of books, and had attributed his success in part to having read The Lord of the Rings, the Foundation series, and The Hitchhiker's Guide to the Galaxy. At age ten, he developed an interest in computing and video games, teaching himself how to program from the VIC-20 user manual. At age twelve, Elon sold his BASIC-based game Blastar to PC and Office Technology magazine for approximately $500 (equivalent to $1,600 in 2025). Musk attended Waterkloof House Preparatory School, Bryanston High School, and then Pretoria Boys High School, where he graduated. Musk was a decent but unexceptional student, earning a 61/100 in Afrikaans and a B on his senior math certification. Musk applied for a Canadian passport through his Canadian-born mother to avoid South Africa's mandatory military service, which would have forced him to participate in the apartheid regime, as well as to ease his path to immigration to the United States. While waiting for his application to be processed, he attended the University of Pretoria for five months. Musk arrived in Canada in June 1989, connected with a second cousin in Saskatchewan, and worked odd jobs, including at a farm and a lumber mill. In 1990, he entered Queen's University in Kingston, Ontario. Two years later, he transferred to the University of Pennsylvania, where he studied until 1995. Although Musk has said that he earned his degrees in 1995, the University of Pennsylvania did not award them until 1997 – a Bachelor of Arts in physics and a Bachelor of Science in economics from the university's Wharton School. He reportedly hosted large, ticketed house parties to help pay for tuition, and wrote a business plan for an electronic book-scanning service similar to Google Books. In 1994, Musk held two internships in Silicon Valley: one at energy storage startup Pinnacle Research Institute, which investigated electrolytic supercapacitors for energy storage, and another at Palo Alto–based startup Rocket Science Games. In 1995, he was accepted to a graduate program in materials science at Stanford University, but did not enroll. Musk decided to join the Internet boom of the 1990s, applying for a job at Netscape, to which he reportedly never received a response. The Washington Post reported that Musk lacked legal authorization to remain and work in the United States after failing to enroll at Stanford. In response, Musk said he was allowed to work at that time and that his student visa transitioned to an H1-B. According to numerous former business associates and shareholders, Musk said he was on a student visa at the time. Business career In 1995, Musk, his brother Kimbal, and Greg Kouri founded the web software company Zip2 with funding from a group of angel investors. They housed the venture at a small rented office in Palo Alto. Replying to Rolling Stone, Musk denounced the notion that they started their company with funds borrowed from Errol Musk, but in a tweet, he recognized that his father contributed 10% of a later funding round. The company developed and marketed an Internet city guide for the newspaper publishing industry, with maps, directions, and yellow pages. According to Musk, "The website was up during the day and I was coding it at night, seven days a week, all the time." To impress investors, Musk built a large plastic structure around a standard computer to create the impression that Zip2 was powered by a small supercomputer. The Musk brothers obtained contracts with The New York Times and the Chicago Tribune, and persuaded the board of directors to abandon plans for a merger with CitySearch. Musk's attempts to become CEO were thwarted by the board. Compaq acquired Zip2 for $307 million in cash in February 1999 (equivalent to $590,000,000 in 2025), and Musk received $22 million (equivalent to $43,000,000 in 2025) for his 7-percent share. In 1999, Musk co-founded X.com, an online financial services and e-mail payment company. The startup was one of the first federally insured online banks, and, in its initial months of operation, over 200,000 customers joined the service. The company's investors regarded Musk as inexperienced and replaced him with Intuit CEO Bill Harris by the end of the year. The following year, X.com merged with online bank Confinity to avoid competition. Founded by Max Levchin and Peter Thiel, Confinity had its own money-transfer service, PayPal, which was more popular than X.com's service. Within the merged company, Musk returned as CEO. Musk's preference for Microsoft software over Unix created a rift in the company and caused Thiel to resign. Due to resulting technological issues and lack of a cohesive business model, the board ousted Musk and replaced him with Thiel in 2000.[b] Under Thiel, the company focused on the PayPal service and was renamed PayPal in 2001. In 2002, PayPal was acquired by eBay for $1.5 billion (equivalent to $2,700,000,000 in 2025) in stock, of which Musk—the largest shareholder with 11.72% of shares—received $175.8 million (equivalent to $320,000,000 in 2025). In 2017, Musk purchased the domain X.com from PayPal for an undisclosed amount, stating that it had sentimental value. In 2001, Musk became involved with the nonprofit Mars Society and discussed funding plans to place a growth-chamber for plants on Mars. Seeking a way to launch the greenhouse payloads into space, Musk made two unsuccessful trips to Moscow to purchase intercontinental ballistic missiles (ICBMs) from Russian companies NPO Lavochkin and Kosmotras. Musk instead decided to start a company to build affordable rockets. With $100 million of his early fortune, (equivalent to $180,000,000 in 2025) Musk founded SpaceX in May 2002 and became the company's CEO and Chief Engineer. SpaceX attempted its first launch of the Falcon 1 rocket in 2006. Although the rocket failed to reach Earth orbit, it was awarded a Commercial Orbital Transportation Services program contract from NASA, then led by Mike Griffin. After two more failed attempts that nearly caused Musk to go bankrupt, SpaceX succeeded in launching the Falcon 1 into orbit in 2008. Later that year, SpaceX received a $1.6 billion NASA contract (equivalent to $2,400,000,000 in 2025) for Falcon 9-launched Dragon spacecraft flights to the International Space Station (ISS), replacing the Space Shuttle after its 2011 retirement. In 2012, the Dragon vehicle docked with the ISS, a first for a commercial spacecraft. Working towards its goal of reusable rockets, in 2015 SpaceX successfully landed the first stage of a Falcon 9 on a land platform. Later landings were achieved on autonomous spaceport drone ships, an ocean-based recovery platform. In 2018, SpaceX launched the Falcon Heavy; the inaugural mission carried Musk's personal Tesla Roadster as a dummy payload. Since 2019, SpaceX has been developing Starship, a reusable, super heavy-lift launch vehicle intended to replace the Falcon 9 and Falcon Heavy. In 2020, SpaceX launched its first crewed flight, the Demo-2, becoming the first private company to place astronauts into orbit and dock a crewed spacecraft with the ISS. In 2024, NASA awarded SpaceX an $843 million (equivalent to $865,000,000 in 2025) contract to build a spacecraft that NASA will use to deorbit the ISS at the end of its lifespan. In 2015, SpaceX began development of the Starlink constellation of low Earth orbit satellites to provide satellite Internet access. After the launch of prototype satellites in 2018, the first large constellation was deployed in May 2019. As of May 2025[update], over 7,600 Starlink satellites are operational, comprising 65% of all operational Earth satellites. The total cost of the decade-long project to design, build, and deploy the constellation was estimated by SpaceX in 2020 to be $10 billion (equivalent to $12,000,000,000 in 2025).[c] During the Russian invasion of Ukraine, Musk provided free Starlink service to Ukraine, permitting Internet access and communication at a yearly cost to SpaceX of $400 million (equivalent to $440,000,000 in 2025). However, Musk refused to block Russian state media on Starlink. In 2023, Musk denied Ukraine's request to activate Starlink over Crimea to aid an attack against the Russian navy, citing fears of a nuclear response. Tesla, Inc., originally Tesla Motors, was incorporated in July 2003 by Martin Eberhard and Marc Tarpenning. Both men played active roles in the company's early development prior to Musk's involvement. Musk led the Series A round of investment in February 2004; he invested $6.35 million (equivalent to $11,000,000 in 2025), became the majority shareholder, and joined Tesla's board of directors as chairman. Musk took an active role within the company and oversaw Roadster product design, but was not deeply involved in day-to-day business operations. Following a series of escalating conflicts in 2007 and the 2008 financial crisis, Eberhard was ousted from the firm.[page needed] Musk assumed leadership of the company as CEO and product architect in 2008. A 2009 lawsuit settlement with Eberhard designated Musk as a Tesla co-founder, along with Tarpenning and two others. Tesla began delivery of the Roadster, an electric sports car, in 2008. With sales of about 2,500 vehicles, it was the first mass production all-electric car to use lithium-ion battery cells. Under Musk, Tesla has since launched several well-selling electric vehicles, including the four-door sedan Model S (2012), the crossover Model X (2015), the mass-market sedan Model 3 (2017), the crossover Model Y (2020), and the pickup truck Cybertruck (2023). In May 2020, Musk resigned as chairman of the board as part of the settlement of a lawsuit from the SEC over him tweeting that funding had been "secured" for potentially taking Tesla private. The company has also constructed multiple lithium-ion battery and electric vehicle factories, called Gigafactories. Since its initial public offering in 2010, Tesla stock has risen significantly; it became the most valuable carmaker in summer 2020, and it entered the S&P 500 later that year. In October 2021, it reached a market capitalization of $1 trillion (equivalent to $1,200,000,000,000 in 2025), the sixth company in U.S. history to do so. Musk provided the initial concept and financial capital for SolarCity, which his cousins Lyndon and Peter Rive founded in 2006. By 2013, SolarCity was the second largest provider of solar power systems in the United States. In 2014, Musk promoted the idea of SolarCity building an advanced production facility in Buffalo, New York, triple the size of the largest solar plant in the United States. Construction of the factory started in 2014 and was completed in 2017. It operated as a joint venture with Panasonic until early 2020. Tesla acquired SolarCity for $2 billion in 2016 (equivalent to $2,700,000,000 in 2025) and merged it with its battery unit to create Tesla Energy. The deal's announcement resulted in a more than 10% drop in Tesla's stock price; at the time, SolarCity was facing liquidity issues. Multiple shareholder groups filed a lawsuit against Musk and Tesla's directors, stating that the purchase of SolarCity was done solely to benefit Musk and came at the expense of Tesla and its shareholders. Tesla directors settled the lawsuit in January 2020, leaving Musk the sole remaining defendant. Two years later, the court ruled in Musk's favor. In 2016, Musk co-founded Neuralink, a neurotechnology startup, with an investment of $100 million. Neuralink aims to integrate the human brain with artificial intelligence (AI) by creating devices that are embedded in the brain. Such technology could enhance memory or allow the devices to communicate with software. The company also hopes to develop devices to treat neurological conditions like spinal cord injuries. In 2022, Neuralink announced that clinical trials would begin by the end of the year. In September 2023, the Food and Drug Administration approved Neuralink to initiate six-year human trials. Neuralink has conducted animal testing on macaques at the University of California, Davis. In 2021, the company released a video in which a macaque played the video game Pong via a Neuralink implant. The company's animal trials—which have caused the deaths of some monkeys—have led to claims of animal cruelty. The Physicians Committee for Responsible Medicine has alleged that Neuralink violated the Animal Welfare Act. Employees have complained that pressure from Musk to accelerate development has led to botched experiments and unnecessary animal deaths. In 2022, a federal probe was launched into possible animal welfare violations by Neuralink.[needs update] In 2017, Musk founded the Boring Company to construct tunnels; he also revealed plans for specialized, underground, high-occupancy vehicles that could travel up to 150 miles per hour (240 km/h) and thus circumvent above-ground traffic in major cities. Early in 2017, the company began discussions with regulatory bodies and initiated construction of a 30-foot (9.1 m) wide, 50-foot (15 m) long, and 15-foot (4.6 m) deep "test trench" on the premises of SpaceX's offices, as that required no permits. The Los Angeles tunnel, less than two miles (3.2 km) in length, debuted to journalists in 2018. It used Tesla Model Xs and was reported to be a rough ride while traveling at suboptimal speeds. Two tunnel projects announced in 2018, in Chicago and West Los Angeles, have been canceled. A tunnel beneath the Las Vegas Convention Center was completed in early 2021. Local officials have approved further expansions of the tunnel system. April 14, 2022 In early 2017, Musk expressed interest in buying Twitter and had questioned the platform's commitment to freedom of speech. By 2022, Musk had reached 9.2% stake in the company, making him the largest shareholder.[d] Musk later agreed to a deal that would appoint him to Twitter's board of directors and prohibit him from acquiring more than 14.9% of the company. Days later, Musk made a $43 billion offer to buy Twitter. By the end of April Musk had successfully concluded his bid for approximately $44 billion. This included approximately $12.5 billion in loans and $21 billion in equity financing. Having backtracked on his initial decision, Musk bought the company on October 27, 2022. Immediately after the acquisition, Musk fired several top Twitter executives including CEO Parag Agrawal; Musk became the CEO instead. Under Elon Musk, Twitter instituted monthly subscriptions for a "blue check", and laid off a significant portion of the company's staff. Musk lessened content moderation and hate speech also increased on the platform after his takeover. In late 2022, Musk released internal documents relating to Twitter's moderation of Hunter Biden's laptop controversy in the lead-up to the 2020 presidential election. Musk also promised to step down as CEO after a Twitter poll, and five months later, Musk stepped down as CEO and transitioned his role to executive chairman and chief technology officer (CTO). Despite Musk stepping down as CEO, X continues to struggle with challenges such as viral misinformation, hate speech, and antisemitism controversies. Musk has been accused of trying to silence some of his critics such as Twitch streamer Asmongold, who criticized him during one of his streams. Musk has been accused of removing their accounts' blue checkmarks, which hinders visibility and is considered a form of shadow banning, or suspending their accounts without justification. Other activities In August 2013, Musk announced plans for a version of a vactrain, and assigned engineers from SpaceX and Tesla to design a transport system between Greater Los Angeles and the San Francisco Bay Area, at an estimated cost of $6 billion. Later that year, Musk unveiled the concept, dubbed the Hyperloop, intended to make travel cheaper than any other mode of transport for such long distances. In December 2015, Musk co-founded OpenAI, a not-for-profit artificial intelligence (AI) research company aiming to develop artificial general intelligence, intended to be safe and beneficial to humanity. Musk pledged $1 billion of funding to the company, and initially gave $50 million. In 2018, Musk left the OpenAI board. Since 2018, OpenAI has made significant advances in machine learning. In July 2023, Musk launched the artificial intelligence company xAI, which aims to develop a generative AI program that competes with existing offerings like OpenAI's ChatGPT. Musk obtained funding from investors in SpaceX and Tesla, and xAI hired engineers from Google and OpenAI. December 16, 2022 Musk uses a private jet owned by Falcon Landing LLC, a SpaceX-linked company, and acquired a second jet in August 2020. His heavy use of the jets and the consequent fossil fuel usage have received criticism. Musk's flight usage is tracked on social media through ElonJet. In December 2022, Musk banned the ElonJet account on Twitter, and made temporary bans on the accounts of journalists that posted stories regarding the incident, including Donie O'Sullivan, Keith Olbermann, and journalists from The New York Times, The Washington Post, CNN, and The Intercept. In October 2025, Musk's company xAI launched Grokipedia, an AI-generated online encyclopedia that he promoted as an alternative to Wikipedia. Articles on Grokipedia are generated and reviewed by xAI's Grok chatbot. Media coverage and academic analysis described Grokipedia as frequently reusing Wikipedia content but framing contested political and social topics in line with Musk's own views and right-wing narratives. A study by Cornell University researchers and NBC News stated that Grokipedia cites sources that are blacklisted or considered "generally unreliable" on Wikipedia, for example, the conspiracy site Infowars and the neo-Nazi forum Stormfront. Wired, The Guardian and Time criticized Grokipedia for factual errors and for presenting Musk himself in unusually positive terms while downplaying controversies. Politics Musk is an outlier among business leaders who typically avoid partisan political advocacy. Musk was a registered independent voter when he lived in California. Historically, he has donated to both Democrats and Republicans, many of whom serve in states in which he has a vested interest. Since 2022, his political contributions have mostly supported Republicans, with his first vote for a Republican going to Mayra Flores in the 2022 Texas's 34th congressional district special election. In 2024, he started supporting international far-right political parties, activists, and causes, and has shared misinformation and numerous conspiracy theories. Since 2024, his views have been generally described as right-wing. Musk supported Barack Obama in 2008 and 2012, Hillary Clinton in 2016, Joe Biden in 2020, and Donald Trump in 2024. In the 2020 Democratic Party presidential primaries, Musk endorsed candidate Andrew Yang and expressed support for Yang's proposed universal basic income, and endorsed Kanye West's 2020 presidential campaign. In 2021, Musk publicly expressed opposition to the Build Back Better Act, a $3.5 trillion legislative package endorsed by Joe Biden that ultimately failed to pass due to unanimous opposition from congressional Republicans and several Democrats. In 2022, gave over $50 million to Citizens for Sanity, a conservative political action committee. In 2023, he supported Republican Ron DeSantis for the 2024 U.S. presidential election, giving $10 million to his campaign, and hosted DeSantis's campaign announcement on a Twitter Spaces event. From June 2023 to January 2024, Musk hosted a bipartisan set of X Spaces with Republican and Democratic candidates, including Robert F. Kennedy Jr., Vivek Ramaswamy, and Dean Phillips. In October 2025, former vice-president Kamala Harris commented that it was a mistake from the Democratic side to not invite Musk to a White House electric vehicle event organized in August 2021 and featuring executives from General Motors, Ford and Stellantis, despite Tesla being "the major American manufacturer of extraordinary innovation in this space." Fortune remarked that this was a nod to United Auto Workers and organized labor. Harris said presidents should put aside political loyalties when it came to recognizing innovation, and guessed that the non-invitation impacted Musk's perspective. Fortune noted that, at the time, Musk said, "Yeah, seems odd that Tesla wasn't invited." A month later, he criticized Biden as "not the friendliest administration." Jacob Silverman, author of the book Gilded Rage: Elon Musk and the Radicalization of Silicon Valley, said that the tech industry represented by Musk, Thiel, Andreessen and other capitalists, actually flourished under Biden, but the tech leaders chose Trump for their common ground on cultural issues. By early 2024, Musk had become a vocal and financial supporter of Donald Trump. In July 2024, minutes after the attempted assassination of Donald Trump, Musk endorsed him for president saying; "I fully endorse President Trump and hope for his rapid recovery." During the presidential campaign, Musk joined Trump on stage at a campaign rally, and during the campaign promoted conspiracy theories and falsehoods about Democrats, election fraud and immigration, in support of Trump. Musk was the largest individual donor of the 2024 election. In 2025, Musk contributed $19 million to the Wisconsin Supreme Court race, hoping to influence the state's future redistricting efforts and its regulations governing car manufacturers and dealers. In 2023, Musk said he shunned the World Economic Forum because it was boring. The organization commented that they had not invited him since 2015. He has participated in Dialog, dubbed "Tech Bilderberg" and organized by Peter Thiel and Auren Hoffman, though. Musk's international political actions and comments have come under increasing scrutiny and criticism, especially from the governments and leaders of France, Germany, Norway, Spain and the United Kingdom, particularly due to his position in the U.S. government as well as ownership of X. An NBC News analysis found he had boosted far-right political movements to cut immigration and curtail regulation of business in at least 18 countries on six continents since 2023. During his speech after the second inauguration of Donald Trump, Musk twice made a gesture interpreted by many as a Nazi or a fascist Roman salute.[e] He thumped his right hand over his heart, fingers spread wide, and then extended his right arm out, emphatically, at an upward angle, palm down and fingers together. He then repeated the gesture to the crowd behind him. As he finished the gestures, he said to the crowd, "My heart goes out to you. It is thanks to you that the future of civilization is assured." It was widely condemned as an intentional Nazi salute in Germany, where making such gestures is illegal. The Anti-Defamation League said it was not a Nazi salute, but other Jewish organizations disagreed and condemned the salute. American public opinion was divided on partisan lines as to whether it was a fascist salute. Musk dismissed the accusations of Nazi sympathies, deriding them as "dirty tricks" and a "tired" attack. Neo-Nazi and white supremacist groups celebrated it as a Nazi salute. Multiple European political parties demanded that Musk be banned from entering their countries. The concept of DOGE emerged in a discussion between Musk and Donald Trump, and in August 2024, Trump committed to giving Musk an advisory role, with Musk accepting the offer. In November and December 2024, Musk suggested that the organization could help to cut the U.S. federal budget, consolidate the number of federal agencies, and eliminate the Consumer Financial Protection Bureau, and that its final stage would be "deleting itself". In January 2025, the organization was created by executive order, and Musk was designated a "special government employee". Musk led the organization and was a senior advisor to the president, although his official role is not clear. In sworn statement during a lawsuit, the director of the White House Office of Administration stated that Musk "is not an employee of the U.S. DOGE Service or U.S. DOGE Service Temporary Organization", "is not the U.S. DOGE Service administrator", and has "no actual or formal authority to make government decisions himself". Trump said two days later that he had put Musk in charge of DOGE. A federal judge has ruled that Musk acted as the de facto leader of DOGE. Musk's role in the second Trump administration, particularly in response to DOGE, has attracted public backlash. He was criticized for his treatment of federal government employees, including his influence over the mass layoffs of the federal workforce. He has prioritized secrecy within the organization and has accused others of violating privacy laws. A Senate report alleged that Musk could avoid up to $2 billion in legal liability as a result of DOGE's actions. In May 2025, Bill Gates accused Musk of "killing the world's poorest children" through his cuts to USAID, which modeling by Boston University estimated had resulted in 300,000 deaths by this time, most of them of children. By November 2025, the estimated death toll had increased to 400,000 children and 200,000 adults. Musk announced on May 28, 2025, that he would depart from the Trump administration as planned when the special government employee's 130 day deadline expired, with a White House official confirming that Musk's offboarding from the Trump administration was already underway. His departure was officially confirmed during a joint Oval Office press conference with Trump on May 30, 2025. @realDonaldTrump is in the Epstein files. That is the real reason they have not been made public. June 5, 2025 After leaving office, Musk criticized the Trump administration's Big Beautiful Bill, calling it a "disgusting abomination" due to its provisions increasing the deficit. A feud began between Musk and Trump, with its most notable event being Musk alleging Trump had ties to sex offender Jeffrey Epstein on X (formerly Twitter) on June 5, 2025. Trump responded on Truth Social stating that Musk went "CRAZY" after the "EV Mandate" was purportedly taken away and threatened to cut Musk's government contracts. Musk then called for a third Trump impeachment. The next day, Trump stated that he did not wish to reconcile with Musk, and added that Musk would face "very serious consequences" if he funds Democratic candidates. On June 11, Musk publicly apologized for the tweets against Trump, saying they "went too far". Views November 6, 2022 Rejecting the conservative label, Musk has described himself as a political moderate, even as his views have become more right-wing over time. His views have been characterized as libertarian and far-right, and after his involvement in European politics, they have received criticism from world leaders such as Emmanuel Macron and Olaf Scholz. Within the context of American politics, Musk supported Democratic candidates up until 2022, at which point he voted for a Republican for the first time. He has stated support for universal basic income, gun rights, freedom of speech, a tax on carbon emissions, and H-1B visas. Musk has expressed concern about issues such as artificial intelligence (AI) and climate change, and has been a critic of wealth tax, short-selling, and government subsidies. An immigrant himself, Musk has been accused of being anti-immigration, and regularly blames immigration policies for illegal immigration. He is also a pronatalist who believes population decline is the biggest threat to civilization, and identifies as a cultural Christian. Musk has long been an advocate for space colonization, especially the colonization of Mars. He has repeatedly pushed for humanity colonizing Mars, in order to become an interplanetary species and lower the risks of human extinction. Musk has promoted conspiracy theories and made controversial statements that have led to accusations of racism, sexism, antisemitism, transphobia, disseminating disinformation, and support of white pride. While describing himself as a "pro-Semite", his comments regarding George Soros and Jewish communities have been condemned by the Anti-Defamation League and the Biden White House. Musk was criticized during the COVID-19 pandemic for making unfounded epidemiological claims, defying COVID-19 lockdowns restrictions, and supporting the Canada convoy protest against vaccine mandates. He has amplified false claims of white genocide in South Africa. Musk has been critical of Israel's actions in the Gaza Strip during the Gaza war, praised China's economic and climate goals, suggested that Taiwan and China should resolve cross-strait relations, and was described as having a close relationship with the Chinese government. In Europe, Musk expressed support for Ukraine in 2022 during the Russian invasion, recommended referendums and peace deals on the annexed Russia-occupied territories, and supported the far-right Alternative for Germany political party in 2024. Regarding British politics, Musk blamed the 2024 UK riots on mass migration and open borders, criticized Prime Minister Keir Starmer for what he described as a "two-tier" policing system, and was subsequently attacked as being responsible for spreading misinformation and amplifying the far-right. He has also voiced his support for far-right activist Tommy Robinson and pledged electoral support for Reform UK. In February 2026, Musk described Spanish Prime Minister Pedro Sánchez as a "tyrant" following Sánchez's proposal to prohibit minors under the age of 16 from accessing social media platforms. Legal affairs In 2018, Musk was sued by the U.S. Securities and Exchange Commission (SEC) for a tweet stating that funding had been secured for potentially taking Tesla private.[f] The securities fraud lawsuit characterized the tweet as false, misleading, and damaging to investors, and sought to bar Musk from serving as CEO of publicly traded companies. Two days later, Musk settled with the SEC, without admitting or denying the SEC's allegations. As a result, Musk and Tesla were fined $20 million each, and Musk was forced to step down for three years as Tesla chairman but was able to remain as CEO. Shareholders filed a lawsuit over the tweet, and in February 2023, a jury found Musk and Tesla not liable. Musk has stated in interviews that he does not regret posting the tweet that triggered the SEC investigation. In 2019, Musk stated in a tweet that Tesla would build half a million cars that year. The SEC reacted by asking a court to hold him in contempt for violating the terms of the 2018 settlement agreement. A joint agreement between Musk and the SEC eventually clarified the previous agreement details, including a list of topics about which Musk needed preclearance. In 2020, a judge blocked a lawsuit that claimed a tweet by Musk regarding Tesla stock price ("too high imo") violated the agreement. Freedom of Information Act (FOIA)-released records showed that the SEC concluded Musk had subsequently violated the agreement twice by tweeting regarding "Tesla's solar roof production volumes and its stock price". In October 2023, the SEC sued Musk over his refusal to testify a third time in an investigation into whether he violated federal law by purchasing Twitter stock in 2022. In February 2024, Judge Laurel Beeler ruled that Musk must testify again. In January 2025, the SEC filed a lawsuit against Musk for securities violations related to his purchase of Twitter. In January 2024, Delaware judge Kathaleen McCormick ruled in a 2018 lawsuit that Musk's $55 billion pay package from Tesla be rescinded. McCormick called the compensation granted by the company's board "an unfathomable sum" that was unfair to shareholders. The Delaware Supreme Court overturned McCormick's decision in December 2025, restoring Musk's compensation package and awarding $1 in nominal damages. Personal life Musk became a U.S. citizen in 2002. From the early 2000s until late 2020, Musk resided in California, where both Tesla and SpaceX were founded. He then relocated to Cameron County, Texas, saying that California had become "complacent" about its economic success. While hosting Saturday Night Live in 2021, Musk stated that he has Asperger syndrome (an outdated term for autism spectrum disorder). When asked about his experience growing up with Asperger's syndrome in a TED2022 conference in Vancouver, Musk stated that "the social cues were not intuitive ... I would just tend to take things very literally ... but then that turned out to be wrong — [people were not] simply saying exactly what they mean, there's all sorts of other things that are meant, and [it] took me a while to figure that out." Musk suffers from back pain and has undergone several spine-related surgeries, including a disc replacement. In 2000, he contracted a severe case of malaria while on vacation in South Africa. Musk has stated he uses doctor-prescribed ketamine for occasional depression and that he doses "a small amount once every other week or something like that"; since January 2024, some media outlets have reported that he takes ketamine, marijuana, LSD, ecstasy, mushrooms, cocaine and other drugs. Musk at first refused to comment on his alleged drug use, before responding that he had not tested positive for drugs, and that if drugs somehow improved his productivity, "I would definitely take them!". The New York Times' investigations revealed Musk's overuse of ketamine and numerous other drugs, as well as strained family relationships and concerns from close associates who have become troubled by his public behavior as he became more involved in political activities and government work. According to The Washington Post, President Trump described Musk as "a big-time drug addict". Through his own label Emo G Records, Musk released a rap track, "RIP Harambe", on SoundCloud in March 2019. The following year, he released an EDM track, "Don't Doubt Ur Vibe", featuring his own lyrics and vocals. Musk plays video games, which he stated has a "'restoring effect' that helps his 'mental calibration'". Some games he plays include Quake, Diablo IV, Elden Ring, and Polytopia. Musk once claimed to be one of the world's top video game players but has since admitted to "account boosting", or cheating by hiring outside services to achieve top player rankings. Musk has justified the boosting by claiming that all top accounts do it so he has to as well to remain competitive. In 2024 and 2025, Musk criticized the video game Assassin's Creed Shadows and its creator Ubisoft for "woke" content. Musk posted to X that "DEI kills art" and specified the inclusion of the historical figure Yasuke in the Assassin's Creed game as offensive; he also called the game "terrible". Ubisoft responded by saying that Musk's comments were "just feeding hatred" and that they were focused on producing a game not pushing politics. Musk has fathered at least 14 children, one of whom died as an infant. The Wall Street Journal reported in 2025 that sources close to Musk suggest that the "true number of Musk's children is much higher than publicly known". He had six children with his first wife, Canadian author Justine Wilson, whom he met while attending Queen's University in Ontario, Canada; they married in 2000. In 2002, their first child Nevada Musk died of sudden infant death syndrome at the age of 10 weeks. After his death, the couple used in vitro fertilization (IVF) to continue their family; they had twins in 2004, followed by triplets in 2006. The couple divorced in 2008 and have shared custody of their children. The elder twin he had with Wilson came out as a trans woman and, in 2022, officially changed her name to Vivian Jenna Wilson, adopting her mother's surname because she no longer wished to be associated with Musk. Musk began dating English actress Talulah Riley in 2008. They married two years later at Dornoch Cathedral in Scotland. In 2012, the couple divorced, then remarried the following year. After briefly filing for divorce in 2014, Musk finalized a second divorce from Riley in 2016. Musk then dated the American actress Amber Heard for several months in 2017; he had reportedly been "pursuing" her since 2012. In 2018, Musk and Canadian musician Grimes confirmed they were dating. Grimes and Musk have three children, born in 2020, 2021, and 2022.[g] Musk and Grimes originally gave their eldest child the name "X Æ A-12", which would have violated California regulations as it contained characters that are not in the modern English alphabet; the names registered on the birth certificate are "X" as a first name, "Æ A-Xii" as a middle name, and "Musk" as a last name. They received criticism for choosing a name perceived to be impractical and difficult to pronounce; Musk has said the intended pronunciation is "X Ash A Twelve". Their second child was born via surrogacy. Despite the pregnancy, Musk confirmed reports that the couple were "semi-separated" in September 2021; in an interview with Time in December 2021, he said he was single. In October 2023, Grimes sued Musk over parental rights and custody of X Æ A-Xii. Elon Musk has taken X Æ A-Xii to multiple official events in Washington, D.C. during Trump's second term in office. Also in July 2022, The Wall Street Journal reported that Musk allegedly had an affair with Nicole Shanahan, the wife of Google co-founder Sergey Brin, in 2021, leading to their divorce the following year. Musk denied the report. Musk also had a relationship with Australian actress Natasha Bassett, who has been described as "an occasional girlfriend". In October 2024, The New York Times reported Musk bought a Texas compound for his children and their mothers, though Musk denied having done so. Musk also has four children with Shivon Zilis, director of operations and special projects at Neuralink: twins born via IVF in 2021, a child born in 2024 via surrogacy and a child born in 2025.[h] On February 14, 2025, Ashley St. Clair, an influencer and author, posted on X claiming to have given birth to Musk's son Romulus five months earlier, which media outlets reported as Musk's supposed thirteenth child.[i] On February 22, 2025, it was reported that St Clair had filed for sole custody of her five-month-old son and for Musk to be recognised as the child's father. On March 31, 2025, Musk wrote that, while he was unsure if he was the father of St. Clair's child, he had paid St. Clair $2.5 million and would continue paying her $500,000 per year.[j] Later reporting from the Wall Street Journal indicated that $1 million of these payments to St. Clair were structured as a loan. In 2014, Musk and Ghislaine Maxwell appeared together in a photograph taken at an Academy Awards after-party, which Musk later described as a "photobomb". The January 2026 Epstein files contain emails between Musk and Epstein from 2012 to 2013, after Epstein's first conviction. Emails released on January 30, 2026, indicated that Epstein invited Musk to visit his private island on multiple occasions. The correspondence showed that while Epstein repeatedly encouraged Musk to attend, Musk did not visit the island. In one instance, Musk discussed the possibility of attending a party with his then-wife Talulah Riley and asked which day would be the "wildest party"; according to the emails, the visit did not take place after Epstein later cancelled the plans.[k] On Christmas day in 2012, Musk emailed Epstein asking "Do you have any parties planned? I’ve been working to the edge of sanity this year and so, once my kids head home after Christmas, I really want to hit the party scene in St Barts or elsewhere and let loose. The invitation is much appreciated, but a peaceful island experience is the opposite of what I’m looking for". Epstein replied that the "ratio on my island" might make Musk's wife uncomfortable to which Musk responded, "Ratio is not a problem for Talulah". On September 11, 2013, Epstein sent an email asking Musk if he had any plans for coming to New York for the opening of the United Nations General Assembly where many "interesting people" would be coming to his house to which Musk responded that "Flying to NY to see UN diplomats do nothing would be an unwise use of time". Epstein responded by stating "Do you think i am retarded. Just kidding, there is no one over 25 and all very cute." Musk has denied any close relationship with Epstein and described him as a "creep" who attempted to ingratiate himself with influential people. When Musk was asked in 2019 if he introduced Epstein to Mark Zuckerberg, Musk responded: "I don’t recall introducing Epstein to anyone, as I don’t know the guy well enough to do so." The released emails nonetheless showed cordial exchanges on a range of topics, including Musk's inquiry about parties on the island. The correspondence also indicated that Musk suggested hosting Epstein at SpaceX, while Epstein separately discussed plans to tour SpaceX and bring "the girls", though there is no evidence that such a visit occurred. Musk has described the release of the files a "distraction", later accusing the second Trump administration of suppressing them to protect powerful individuals, including Trump himself.[l] Wealth Elon Musk is the wealthiest person in the world, with an estimated net worth of US$690 billion as of January 2026, according to the Bloomberg Billionaires Index, and $852 billion according to Forbes, primarily from his ownership stakes in SpaceX and Tesla. Having been first listed on the Forbes Billionaires List in 2012, around 75% of Musk's wealth was derived from Tesla stock in November 2020, although he describes himself as "cash poor". According to Forbes, he became the first person in the world to achieve a net worth of $300 billion in 2021; $400 billion in December 2024; $500 billion in October 2025; $600 billion in mid-December 2025; $700 billion later that month; and $800 billion in February 2026. In November 2025, a Tesla pay package worth potentially $1 trillion for Musk was approved, which he is to receive over 10 years if he meets specific goals. Public image Although his ventures have been highly influential within their separate industries starting in the 2000s, Musk only became a public figure in the early 2010s. He has been described as an eccentric who makes spontaneous and impactful decisions, while also often making controversial statements, contrary to other billionaires who prefer reclusiveness to protect their businesses. Musk's actions and his expressed views have made him a polarizing figure. Biographer Ashlee Vance described people's opinions of Musk as polarized due to his "part philosopher, part troll" persona on Twitter. He has drawn denouncement for using his platform to mock the self-selection of personal pronouns, while also receiving praise for bringing international attention to matters like British survivors of grooming gangs. Musk has been described as an American oligarch due to his extensive influence over public discourse, social media, industry, politics, and government policy. After Trump's re-election, Musk's influence and actions during the transition period and the second presidency of Donald Trump led some to call him "President Musk", the "actual president-elect", "shadow president" or "co-president". Awards for his contributions to the development of the Falcon rockets include the American Institute of Aeronautics and Astronautics George Low Transportation Award in 2008, the Fédération Aéronautique Internationale Gold Space Medal in 2010, and the Royal Aeronautical Society Gold Medal in 2012. In 2015, he received an honorary doctorate in engineering and technology from Yale University and an Institute of Electrical and Electronics Engineers Honorary Membership. Musk was elected a Fellow of the Royal Society (FRS) in 2018.[m] In 2022, Musk was elected to the National Academy of Engineering. Time has listed Musk as one of the most influential people in the world in 2010, 2013, 2018, and 2021. Musk was selected as Time's "Person of the Year" for 2021. Then Time editor-in-chief Edward Felsenthal wrote that, "Person of the Year is a marker of influence, and few individuals have had more influence than Musk on life on Earth, and potentially life off Earth too." Notes References Works cited Further reading External links |
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Contents List of stars in Orion This is the list of notable stars in the constellation Orion, sorted by decreasing brightness. • Name = Proper name • B = Bayer designation • F or/and G. = Flamsteed designation or Gould designation • Var = Variable star designation • HD = Henry Draper Catalogue designation number • HIP = Hipparcos Catalogue designation number • RA = Right ascension for the Epoch/Equinox J2000.0 • Dec = Declination for the Epoch/Equinox J2000.0 • vis. mag. = visual magnitude (m or mv), also known as apparent magnitude • abs. mag. = absolute magnitude (Mv) • Dist. (ly) = Distance in light-years from Earth • Sp. class = Spectral class of the star in the stellar classification system • Notes = Common name(s) or alternate name(s); comments; notable properties [for example: multiple star status, range of variability if it is a variable star, exoplanets, etc.] See also References |
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[SOURCE: https://en.wikipedia.org/wiki/URL#cite_note-rfc6270-5] | [TOKENS: 957] |
Contents URL A uniform resource locator (URL), colloquially known as web address, is a reference to a resource on the World Wide Web. A URL specifies the location of a resource on a computer network and a mechanism for retrieving it. A URL is a specific type of Uniform Resource Identifier (URI), although many people use the two terms interchangeably.[a] A URL is most commonly used to reference a web page (HTTP/HTTPS) but is also used for file transfer (FTP), email (mailto), database access (JDBC), and many other applications. Most web browsers display the URL of a web page above the page in an address bar. As an example of a web page URL, https://www.example.com/index.html indicates protocol https, hostname www.example.com, and file name index.html. History The Uniform Resource Locator was defined in RFC 1738 in 1994 by Tim Berners-Lee, the inventor of the World Wide Web, and the URI working group of the Internet Engineering Task Force (IETF), as an outcome of collaboration started at the IETF Living Documents birds of a feather session in 1992. The format combines the pre-existing system of domain names (created in 1985) with file path syntax, where slashes are used to separate directory and filenames. Conventions already existed where server names could be prefixed to complete file paths, preceded by a double slash (//). Berners-Lee later expressed regret at the use of dots to separate the parts of the domain name within URIs, wishing he had used slashes throughout, and also said that, given the colon following the first component of a URI, the two slashes before the domain name were unnecessary. Early WorldWideWeb collaborators, including Berners-Lee, originally proposed the use of UDIs: Universal Document Identifiers. An early (1993) draft of the HTML Specification referred to "Universal" Resource Locators. This was dropped some time between June 1994 and October 1994. In his book Weaving the Web, Berners-Lee emphasizes his preference for the original inclusion of "universal" in the expansion rather than the word "uniform", to which it was later changed, and he gives a brief account of the contention that led to the change. Syntax Every HTTP URL conforms to the syntax of a generic URI. The URI generic syntax consists of five components organized hierarchically in order of decreasing significance from left to right:: §3 A component is undefined if it has an associated delimiter and the delimiter does not appear in the URI; the scheme and path components are always defined.: §5.2.1 A component is empty if it has no characters; the scheme component is always non-empty.: §3 The authority component consists of subcomponents: This is represented in a syntax diagram as: The URI comprises: A web browser will usually dereference a URL by performing an HTTP request to the specified host, by default on port number 80. URLs using the https scheme require that requests and responses be made over a secure connection to the website. Internationalized URL Internet users are distributed throughout the world using a wide variety of languages and alphabets, and expect to be able to create URLs in their own local alphabets. An Internationalized Resource Identifier (IRI) is a form of URL that includes Unicode characters. All modern browsers support IRIs. The parts of the URL requiring special treatment for different alphabets are the domain name and path. The domain name in the IRI is known as an Internationalized Domain Name (IDN). Web and Internet software automatically convert the domain name into punycode usable by the Domain Name System; for example, the Chinese URL http://例子.卷筒纸 becomes http://xn--fsqu00a.xn--3lr804guic/. The xn-- indicates that the character was not originally ASCII. The URL path name can also be specified by the user in the local writing system. If not already encoded, it is converted to UTF-8, and any characters not part of the basic URL character set are escaped as hexadecimal using percent-encoding; for example, the Japanese URL http://example.com/引き割り.html becomes http://example.com/%E5%BC%95%E3%81%8D%E5%89%B2%E3%82%8A.html. The target computer decodes the address and displays the page. Protocol-relative URLs Protocol-relative links (PRL), also known as protocol-relative URLs (PRURL), are URLs that have no protocol specified. For example, //example.com will use the protocol of the current page, typically HTTP or HTTPS. See also Notes Citations References External links |
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[SOURCE: https://en.wikipedia.org/wiki/Motorola_6800] | [TOKENS: 7749] |
Contents Motorola 6800 The 6800 ("sixty-eight hundred") is an 8-bit microprocessor designed and first manufactured by Motorola in 1974. The MC6800 microprocessor was part of the M6800 Microcomputer System (later dubbed 68xx) that also included serial and parallel interface ICs, RAM, ROM and other support chips. A significant design feature was that the M6800 family of ICs required only a single five-volt power supply at a time when most other microprocessors required three voltages. The M6800 Microcomputer System was announced in March 1974 and was in full production by the end of that year. American Microsystems was licensed as the second source. The 6800 has a 16-bit address bus that can directly access 64 KB of memory and an 8-bit bi-directional data bus. It has 72 instructions with seven addressing modes for a total of 197 opcodes. The original MC6800 could have a clock frequency of up to 1 MHz. Later versions had a maximum clock frequency of 2 MHz. In addition to the ICs, Motorola also provided a complete assembly language development system. The customer could use the software on a remote timeshare computer or on an in-house minicomputer system. The Motorola EXORciser was a desktop computer built with the M6800 ICs that could be used for prototyping and debugging new designs. An expansive documentation package included datasheets on all ICs, two assembly language programming manuals, and a 700-page application manual that showed how to design a point-of-sale terminal (a computerized cash register) around the 6800. The 6800 was popular in computer peripherals, test equipment applications and point-of-sale terminals. It has also been used in arcade games and pinball machines. The MC6802, introduced in 1977, included 128 bytes of RAM and an internal clock oscillator on chip. The MC6801 and MC6805 included RAM, ROM and I/O on a single chip and were popular in automotive applications. Some MC6805 models integrated a Serial Peripheral Interface (SPI). The Motorola 6809 was an updated compatible design. History Galvin Manufacturing Corporation was founded in 1928; the company name was changed to Motorola in 1947. They began commercial production of transistors at a new US$1.5 million facility in Phoenix, Arizona in 1955. By the mid-1960s, Motorola had expanded their semiconductor division under the direction of Lester Hogan. Motorola's transistors and integrated circuits were used in-house for their communication, military, automotive and consumer products and they were also sold to other companies. In 1968, Robert Noyce left Fairchild Semiconductor to found Intel, and Fairchild responded by hiring Hogan as the new CEO. Eight other Motorola employees moved with him, they became known as "Hogan's heroes". The resulting chaos was nevertheless short lived, and the company continued to grow through this period. By 1973 the Semiconductor Products Division (SPD) had sales of $419 million and was the second largest semiconductor company after Texas Instruments. By the early 1970s it was clear that most of the large companies in the semiconductor space, including Fairchild and the still-new Intel, were planning to introduce microprocessors. Intel began shopping around the initial concept of what would become the Intel 4004, and on their sales trips they visited Victor Comptometer in Chicago looking for potential customers. Victor had introduced the world's first electronic calculator that used integrated circuits, the Victor 3900. There, Tom Bennett saw the design. In 1971, Motorola decided to enter the calculator business. Looking for someone to lead the effort, they hired Bennett away from Victor. Shortly after joining, Olivetti visited Motorola with a outline of a design for a microprocessor they were planning to use in a series of programmable calculators. Motorola agreed to complete the design and produce it on their PMOS lines in Phoenix. While the design was eventually completed successfully, their fab proved unable to produce the chips. The problems with the line had become obvious with a number of similar failures; it also proved unable to make competitive memory devices and other designs. To save the contract, Motorola licensed the design to their competitor, Mostek, with the requirement that Mostek could only sell outside the calculator market. Mostek then put the design on the market as the Mostek 5065. Customers continued to approach the company with new ideas, and it became increasingly obvious that these concepts could be implemented using a single flexible microprocessor design. A new effort began in late 1971, but in early 1972, the marketing department returned a report stating they could only sell 18,000 over a five year period. Unconvinced, Bennett hired Link Young to try again. Young returned with a potential order for 200,000 from National Data Corporation, more than enough to start design work. The team was composed of designer Tom Bennett, engineering director Jeff LaVell, product marketer Link Young and systems designers Mike Wiles, Gene Schriber and Doug Powell. They were all located in Mesa, Arizona, in greater Phoenix. By the time the project was finished, Bennett had 17 chip designers and layout people working on five chips. LaVell had 15 to 20 system engineers and there was another applications engineering group of similar size. Tom Bennett had a background in industrial controls and had worked for Victor Comptometer in the 1960s designing the first electronic calculator to use MOS ICs, the Victor 3900. In May 1969 Ted Hoff showed Bennett early diagrams of the Intel 4004 to see if it would meet their calculator needs. Bennett joined Motorola in 1971 to design calculator ICs. He was soon assigned as the chief architect of the microprocessor project that produced the 6800. Others have taken credit for designing the 6800. In September 1975 Robert H. Cushman, EDN magazine's microprocessor editor, interviewed Chuck Peddle about MOS Technology's new 6502 microprocessor. Cushman then asked "Tom Bennett, master architect of the 6800", to comment about this new competitor. After the 6800 project Bennett worked on automotive applications and Motorola became a major supplier of microprocessors used in automobiles. Jeff LaVell joined Motorola in 1966 and worked in the computer industry marketing organization. LaVell had previously worked for Collins Radio on their C8500 computer that was built with small scale ECL ICs. In 1971, he led a group that examined the needs of their existing customers such as Hewlett-Packard, National Cash Register, Control Data Corporation (CDC), and Digital Equipment Corporation (DEC). They would study the customer's products and try to identify functions that could be implemented in larger integrated circuits at a lower cost. The result of the survey was a family of 15 building blocks; each could be implemented in an integrated circuit. Some of these blocks were implemented in the initial M6800 release and more were added over the next few years. To evaluate the 6800 architecture while the chip was being designed, LaVell's team built an equivalent circuit using 451 small scale TTL ICs on five 10 by 10 inch (25 by 25 cm) circuit boards. Later they reduced this to 114 ICs on one board by using ROMs and MSI (medium scale integration) logic devices. John Buchanan was a memory designer at Motorola when Bennett asked him to design a voltage doubler for the 6800. Typical n-channel MOS IC's required three power supplies: −5 volts, +5 volts and +12 volts. The M6800 family was to use only one, +5 volts. It was easy to eliminate the −5 volt supply by using an internal voltage inverter, but the enhancement-mode logic also needed a supply of 10 to 12 volts. To address this, the design added an on-chip voltage doubler. Buchanan did the circuit design, analysis and layout for the 6800 microprocessor. He received patents on the voltage doubler and the 6800 chip layout. Rod Orgill assisted Buchanan with analyses and 6800 chip layout. Later Orgill would design the MOS Technology 6501 microprocessor that was socket compatible with the 6800. Bill Lattin joined Motorola in 1969 and his group provided the computer simulation tools for characterizing the new MOS circuits in the 6800. Lattin and Frank Jenkins had both attended UC Berkeley and studied computer circuit simulators under Donald Pederson, the designer of the SPICE circuit simulator. Motorola's simulator, MTIME, was an advanced version of the TIME circuit simulator that Jenkins had developed at Berkeley. The group published a technical paper, "MOS-device modeling for computer implementation" in 1973 describing a "5-V single-supply n-channel technology" operating at 1 MHz. They could simulate a 50 MOSFET circuit on an IBM 370/165 mainframe computer. In November 1975, Lattin joined Intel to work on their next generation microprocessor. Bill Mensch joined Motorola in 1971 after graduating from the University of Arizona. He had worked several years as an electronics technician before earning his BSEE degree. The first year at Motorola was a series of three-month rotations through four different areas. Mensch did a flowchart for a modem that would become the 6860. He also worked the application group that was defining the M6800 system. After this training year, he was assigned to the 6820 Peripheral Interface Adapter (PIA) development team. Mensch was a major contributor to the design of this chip and received a patent on the IC layout and was named as a co-inventor of seven other M6800 system patents. Later Mensch would design the MOS Technology 6502 microprocessor. Mike Wiles was a design engineer in Jeff LaVell's group and made numerous customer visits with Tom Bennett during 6800 product definition phase. He is listed as an inventor on eighteen 6800 patents but is best known for a computer program, MIKBUG. This was a monitor for a 6800 computer system that allowed the user to examine the contents of RAM and to save or load programs to tape. This 512 byte program occupied half of an MCM6830 ROM. This ROM was used in the Motorola MEK6800 design evaluation kit and early hobby computer kits. Wiles stayed with Motorola, moved to Austin and helped design the MC6801 microcontroller that was released in 1978. Chuck Peddle joined the design team in 1973 after the 6800 processor design was done but he contributed to overall system design and to several peripheral chips, particularly the 6820 (PIA) parallel interface. Peddle is listed as an inventor on sixteen Motorola patents, most have six or more co-inventors. Like the other engineers on the team, Peddle visited potential customers and solicited their feedback. Peddle and John Buchanan built one of the earliest 6800 demonstration boards. In August 1974, Chuck Peddle left Motorola and joined a small semiconductor company in Pennsylvania, MOS Technology. There he led the team that designed the 6500 microprocessor family. The Motorola 6800 and the Intel 8080 were designed at the same time and were similar in function. The 8080 was an extension and enhancement of the Intel 8008, which in turn was an LSI implementation of the TTL-based CPU design used in the Datapoint 2200. The 6800 architecture was a TTL-compatible LSI design modeled after the DEC PDP-11 processor. The 6800 had an 8-bit bidirectional data bus, a 16-bit address bus that could address 64 KB of memory, and came in a 40-pin DIP package. The 6800 had two 8-bit accumulators, a 16-bit index register, and a 16-bit stack pointer. The direct addressing mode, often known as the zero page in other processors, allowed fast access to the first 256 bytes of memory. I/O devices were addressed as memory so there were no special I/O instructions. When the 6800 was reset, it loaded the program counter from the highest address and started execution at the memory location stored there. The 6800 had a three-state control that would disable the address bus to allow another device direct memory access. For instance, a floppy disk controller could load data into memory without requiring any support from the CPU. It was even possible to have two 6800 processors access the same memory. However, in practice systems of such complexity usually required the use of external bus transceivers to drive the system bus; in such circuits, the on-processor bus control was disabled entirely in favor of using the similar capabilities of the bus transceiver. In contrast, the 6802 dispensed with this on-chip control entirely in order to free up pins for other functions in the same 40-pin package as the 6800, but this functionality could still be achieved using an external bus transceiver. MOS ICs typically used dual clock signals (a two-phase clock) in the 1970s. These were generated externally for the 6800, The 6800 had a minimum clock rate of 100 kHz, and initially ran at a maximum rate of 1 MHz. Higher-speed versions of the 6800 were released in 1976. Other divisions in Motorola developed components for the M6800 family. The Components Products Department designed the MC6870 two-phase clock IC, and the Memory Products group provided a full line of ROMs and RAMs. The CMOS group's MC14411 Bit Rate Generator provided a 75 to 9600 baud clock for the MC6850 serial interface. The buffers for address and data buses were standard Motorola products. Motorola could supply every IC, transistor, and diode necessary to build an MC6800-based computer. The first-generation metal–oxide–semiconductor (MOS) chips used p-channel field-effect transistors, known as p-channel MOSFETs (p-channel describes the configuration of the transistor). These ICs were used in calculators and in the first microprocessor, the Intel 4004. They were easy to produce but were slow and difficult to interface to the popular TTL digital logic ICs. An n-channel MOS integrated circuit could operate two or three times faster and was compatible with TTL. They were much more difficult to produce because of an increased sensitivity to contamination that required an ultra clean production line and meticulous process control. Motorola did not have an n-channel MOS production capability and had to develop one for the 6800 family. Motorola's n-channel MOS test integrated circuits were complete in late 1971 and these indicated the clock rate would be limited to 1 MHz. These used "enhancement-mode" MOS transistors. There was a newer fabrication technology that used "depletion-mode" MOS transistors as loads, which would allow smaller and faster circuits (this was also known as depletion-load nMOS). The "depletion-mode" processing required extra steps so Motorola decided to stay with "enhancement-mode" for the new single-supply-voltage design. The 1 MHz clock rate meant the chip designers would have to come up with several architectural innovations to speed up the microprocessor throughput. These resulting circuits were faster but required more area on the chip. In the 1970s, semiconductors were fabricated on 3 inch (75 mm) diameter silicon wafers. Each wafer could produce 100 to 200 integrated circuit chips or dies. The technical literature would state the length and width of each chip in "mils" (0.001 inch). The current industry practice is to state the chip area. Processing wafers required multiple steps and flaws would appear at various locations on the wafer during each step. The larger the chip the more likely it would encounter a defect. The percentage of working chips, or yield, declined steeply for chips larger than 160 mils (4 mm) on a side. The target size for the 6800 was 180 mils (4.6 mm) on each side but the final size was 212 mils (5.4 mm) with an area of 29.0 mm2. At 180 mils, a 3-inch (76 mm) wafer will hold about 190 chips, 212 mils reduces that to 140 chips. At this size the yield may be 20% or 28 chips per wafer. The Motorola 1975 annual report highlights the new MC6800 microprocessor but has several paragraphs on the "MOS yield problems." The yield problem was solved with a design revision started in 1975 to use depletion mode in the M6800 family devices. The 6800 die size was reduced to 160 mils (4 mm) per side with an area of 16.5 mm2. This also allowed faster clock speeds, the MC68A00 would operate at 1.5 MHz and the MC68B00 at 2.0 MHz. The new parts were available in July 1976. The March 7, 1974 issue of Electronics had a two-page story on the Motorola MC6800 microprocessor along with the MC6820 Peripheral Interface Adapter, the MC6850 Asynchronous Communications Interface Adapter, the MCM6810 128 byte RAM and the MCM6830 1024 byte ROM. This was followed by an eight-page article in the April 18, 1974 issue, written by the Motorola design team. This issue also had an article introducing the Intel 8080. Both the Intel 8080 and the Motorola MC6800 processors began layout around December 1972. The first working 8080 chips were produced January 1974 and the first public announcement was in February 1974. The 8080 used same three voltage N-channel MOS process as Intel's existing memory chips allowing full production to begin that April. The first working MC6800 chips were produced in February 1974 and engineering samples were given to select customers. Hewlett-Packard in Loveland, Colorado wanted the MC6800 for a new desktop calculator and had a prototype system working by June. The MC6800 used a new single-voltage N-channel MOS process that proved to be very difficult to implement. The M6800 microcomputer system was finally in production by November 1974. Motorola matched Intel's price for single microprocessor, $360. (The IBM System/360 was a well-known computer at this time.) In April 1975 the MEK6800D1 microcomputer design kit was offered for $300. The kit included all six chips in the M6800 family plus application and programming manuals. The price of a single MC6800 microprocessor was $175. Link Young was the product marketer that developed the total system approach for the M6800 family release. In addition to releasing a full set of support chips with the 6800 microprocessor, Motorola offered a software and hardware development system. The software development tools were available on remote time-sharing computers or the source code was available so the customer could use an in-house computer system. The software that would run on a microprocessor system was typically written in assembly language. The development system consisted of a text editor, assembler and a simulator. This allowed the developer to test the software before the target system was complete. The hardware development was a desktop computer built with M6800 family CPU and peripherals known as the EXORcisor. Motorola offered a three- to five-day microprocessor design course for the 6800 hardware and software. This systems-oriented approach became the standard way new microprocessor were introduced. The principal design effort on the M6800 family was complete in mid-1974, and many engineers left the group or the company. Several factors led to the break-up of the design group. Motorola had opened a new MOS semiconductor facility in Austin, Texas. The entire engineering team was scheduled to relocate there in 1975. Many of the employees liked living in the Phoenix suburb of Mesa and were very wary about moving to Austin. The team leaders were unsuccessful with their pleas to senior management on deferring the move. A recession hit the semiconductor industry in mid-1974 resulting in thousands of layoffs. A November 1974 issue of Electronics magazine reports that Motorola had laid off 4,500 employees, Texas Instruments 7,000 and Signetics 4,000. Motorola's Semiconductor Products Division would lose thirty million dollars in the next 12 months and there were rumors that the IC group would be sold off. Motorola did not sell the division but they did change the management and organization. By the end of 1974 Intel fired almost a third of its 3,500 employees. The MOS IC business rebounded but job security was not taken for granted in 1974 and 1975.[citation needed] Chuck Peddle (and other Motorola engineers) had been visiting customers to explain the benefits of microprocessors. Both Intel and Motorola had initially set the price of a single microprocessor at $360. Many customers were hesitant to adopt this new microprocessor technology with such a high price tag. (The actual price for production quantities was much lower.) In mid-1974 Peddle proposed a simplified microprocessor that could be sold at a much lower price. Motorola's "total product family" strategy did not focus on the price of MPU but on reducing the customer's total design cost. Peddle's concept was repeatedly rejected, and eventually management told him to stop talking about it. He wrote a memo stating that these instructions were a clear statement that Motorola was abandoning the concept, meaning they could not claim intellectual property against it. Peddle continued working for Motorola while looking for investors for his new microprocessor concept. After approaching Mostek and being rejected, in August 1974 Chuck Peddle left Motorola and joined a small semiconductor company in Pennsylvania, MOS Technology. He was followed by seven other Motorola engineers: Harry Bawcom, Ray Hirt, Terry Holdt, Mike James, Will Mathis, Bill Mensch and Rod Orgill. Peddle's group at MOS Technology developed two new microprocessors that were compatible with the Motorola peripheral chips like the 6820 PIA. Rod Orgill designed the MCS6501 processor that would plug into a MC6800 socket and Bill Mensch did the MCS6502 that had the clock generation circuit on chip. These microprocessors would not run 6800 programs because they had a different architecture and instruction set. The major goal was a microprocessor that would sell for under $25.[citation needed] This would be done by removing non-essential features to reduce the chip size. An 8-bit stack pointer was used instead of a 16-bit one. The second accumulator was omitted. The address buffers did not have a three-state mode for Direct Memory Access (DMA) data transfers. The goal was to get the chip size down to 153 mils x 168 mils (3.9 mm × 4.3 mm). Peddle was a very effective spokesman and the MOS Technology microprocessors were extensively covered in the trade press. One of the earliest was a full-page story on the MCS6501 and MCS6502 microprocessors in the July 24, 1975 issue of Electronics magazine. Stories also ran in EE Times (August 24, 1975), EDN (September 20, 1975), Electronic News (November 3, 1975) and Byte (November 1975). Advertisements for the 6501 appeared in several publications the first week of August 1975. The 6501 would be for sale at the WESCON trade show in San Francisco, September 16–19, 1975, for $20 each. In September 1975 the advertisements included both the 6501 and the 6502 microprocessors. The 6502 would only cost $25. Motorola responded to MOS Technology's $20 microprocessor by immediately reducing the single-unit price of the 6800 microprocessor from $175 to $69 and then suing MOS Technology in November 1975. Motorola claimed that the eight former Motorola engineers used technical information developed at Motorola in the design of the 6501 and 6502 microprocessors. MOS Technology's other business, calculator chips, was declining due to a price war with Texas Instruments so their financial backer, Allen-Bradley, decided to limit the possible losses and sold the assets of MOS Technology back to the founders. The lawsuit was settled in April 1976 with MOS Technology dropping the 6501 chip that would plug into a Motorola 6800 socket and licensing Motorola's peripheral chips. Motorola reduced the single-unit price of the 6800 to $35. The MOS Technology vs. Motorola lawsuit has developed a David and Goliath narrative over the years. One point was that Motorola did not have patents on the technology. This was technically true when the lawsuit was filed in late 1975[citation needed] On October 30, 1974, before the 6800 was released, Motorola filed numerous patents applications on the microprocessor family, and over twenty patents were subsequently granted. The first was to Tom Bennett on June 8, 1976, for the 6800 internal address bus. The second was to Bill Mensch on July 6, 1976, for the 6820 chip layout. Many of these patents named several of the departing engineers as co-inventors. These patents covered the 6800 bus and how the peripheral chips interfaced with the microprocessor. Gary Daniels was designing ICs for electronic wristwatches when Motorola shut down their Timepiece Electronics Unit. Tom Bennett offered him a job in the microprocessor group in November 1974. Bennett did not want to leave the Phoenix area so Gary Daniels managed the microprocessor development in Austin. (Daniels was the microprocessor design manager for the next ten years before he was promoted to a vice president.) The first task was to redesign the 6800 MPU to improve the manufacturing yield and to operate at a faster clock. This design used depletion-mode technology and was known internally as the MC6800D. The transistor count went from 4000 to 5000 but the die area was reduced from 29.0 mm2 to 16.5 mm2 (allowing the price of the CPU to be lowered to $35). The maximum clock rate for selected parts doubled to 2 MHz. The other chips in the M6800 family were also redesigned to use depletion-mode technology. The Peripheral Interface Adapter had a slight change in the electrical characteristics of the I/O pins so the MC6820 became the MC6821. These new IC were completed in July 1976. A new low-cost clock generator chip, the MC6875, was released in 1977. It replaced the $35 MC6870 hybrid IC. The MC6875 came in a 16-pin dip package and could use quartz crystal or a resistor capacitor network. Another project was incorporating 128 bytes of RAM and the clock generator on a single 11,000-transistor chip. The MC6802 microprocessor was released in March 1977. The companion MC6846 chip had 2048 byte ROM, an 8-bit bidirectional port and a programmable timer. This was a two-chip microcomputer. The 6802 has an on-chip oscillator that uses an external 4 MHz quartz crystal to produce the two-phase 1 MHz clock. The internal 128 byte RAM could be disabled by grounding a pin and devices with defective RAM were sold as a MC6808. The 6808 was rarely used as the main microprocessor on general-purpose computers, being more popular in embedded systems (the 1979 ACFA-8 microcomputer proved an exception). A series of peripheral chip were introduced by 1978. The MC6840 programmable counter had three 16-bit binary counters that could be used for frequency measurement, event counting, or interval measurement. The MC6844 Direct Memory Access Controller could transfer data from an I/O controller to RAM without loading down the MC6800 microprocessor. The MC6845 CRT Controller (CRTC) provided the control logic for a character based computer terminal. The 6845 had support for a light pen, an alternative to a computer mouse. The MC6845 was a very popular chip: it was even used in the original IBM Monochrome Display Adapter and the original IBM Color Graphics Adapter for the IBM PC and successors, where the 6845 was used with an Intel 8088 CPU. During the time of cold war technology embargoes, a 6845 clone named CM607 was produced in Bulgaria. The later IBM Enhanced Graphics Adapter (EGA) card contained a custom IBM chip (the EGA CRTC) that replaced the Motorola 6845, adding many enhancements, in a mostly-compatible way. The IBM Video Graphics Array (VGA), which became ubiquitous (to the point that it is still emulated as the baseline functionality of most modern PC video adapter chips) incorporates a compatible near-superset of the EGA CRTC, still mostly-compatible with the MC6845 (but by this point without the light pen support, which the EGA CRTC retained). The MC6801 was a single-chip microcomputer (that today would also be called a microcontroller) incorporating a 6802 CPU with 128 bytes of RAM, a 2 KB ROM, a 16-bit timer, 31 programmable parallel I/O lines, and a serial port. (The MC6803 was the same except without the ROM and with fewer different bus configurations.) It could also use the I/O lines as data and address buses to connect to standard M6800 peripherals. The 6801 would execute 6800 code, but it had ten additional instructions, and the execution time of key instructions was reduced. The two 8-bit accumulators could act as a single 16-bit accumulator for double precision addition, subtraction and multiplication. It was initially designed for automotive use, with General Motors as the lead customer. The first application was a trip computer for the 1978 Cadillac Seville. This 35,000 transistor chip was too expensive for wide-scale adoption in automobiles, so a reduced function MC6805 single-chip microcomputer was designed. The MC6801 was one of the first microprocessors with a multiply instruction.: 4–45 The Hitachi HD6303 (not to be confused with the Hitachi 6309) is a second-source reimplementation of the Motorola MC6803, with a few additional instructions, and a slightly faster implementation of the 8x8 multiply instruction. The Hitachi HD6303 is used in the first PDA, the 1984 Psion Organiser. The Hitachi HD6303 was also used in the 1983 "Pocket Telex". The Motorola MC6803 was also used in the TRS-80 MC-10 and the closely related Matra Alice. The MC6809 was the most advanced 8-bit microprocessor Motorola produced. It had a new instruction set that was similar to the 6800 but abandoned op-code compatibility for improved performance and high-level language support; the 6809 and 6800 were software compatible in that assemblers could (and generally did) generate code which was equivalent to 6800 opcodes that the 6809 did not directly emulate. In that sense, the 6809 was upward compatible with the 6800. The 6809 had two 16-bit index registers, two 16-bit stack pointers, and many instructions to perform 16-bit operations, including the first 8-bit multiply instruction (generating a 16-bit product) in a microprocessor. Other key points of the 6809 design were full support for both position-independent code (object code that can run wherever it is loaded in memory) and reentrant code (object code that can be re-invoked when interrupted or by calling itself recursively), features previously seen only in much larger machines such as IBM 360 mainframes. Use in personal computers The MITS Altair 8800, the first successful personal computer, used the Intel 8080 microprocessor and was featured on the January 1975 cover of Popular Electronics. The first personal computers using the Motorola 6800 were introduced in late 1975. Sphere Corporation of Bountiful, Utah ran a quarter-page advertisement in the July 1975 issue of Radio-Electronics for a $650 USD computer kit with a 6800 microprocessor, 4 kilobytes of RAM, a video board and a keyboard. This would display 16 lines of 32 characters on a TV or monitor. The Sphere computer kits began shipping in November 1975. Southwest Technical Products Corporation of San Antonio, Texas, officially announced their SWTPC 6800 Computer System in November 1975. Wayne Green visited SWTPC in August 1975 and described the SWTPC computer kit complete with photos of a working system in the October 1975 issue of 73. The SWTPC 6800 was based on the Motorola MEK6800 design evaluation kit chip set and used the MIKBUG ROM Software. The MITS Altair 680 was on the cover of the November 1975 issue of Popular Electronics. The Altair 680 used a 6800 microprocessor and, unlike the SWTPC machine, also had a front panel with toggle switches and LEDs. The initial design had to be revised and first deliveries of the Altair 680B were in April 1976. Sphere was a small startup company and had difficulties delivering all of the products they announced. They filed for a Chapter 11 bankruptcy in April 1977. The Altair 680B was popular but MITS focused most of the resources on their Altair 8800 computer system and they exited the hobby market in 1978. The Southwest Technical Products computer was the most successful 6800 based personal computer. Other companies, for instance, Smoke Signal Broadcasting (California), Gimix (Chicago), Midwest Scientific (Olathe, Kansas), and Helix Systems (Hazelwood, Missouri), started producing SWTPC 6800 bus compatible boards and complete systems. Technical Systems Consultants of West Lafayette, Indiana, supplied tape based software for the 6800 (and later 6809) based computers and, after disk systems became available, operating systems and disk software as well. The 8080 systems were far more popular than the 6800 ones. The Tektronix 4051 Graphics Computing System was introduced in October 1975. This was a professional desktop computer that had a 6800 microprocessor with up to 32 KB of user RAM, 300 KB magnetic tape storage, BASIC in ROM and a 1024 by 780 graphics display. The Tektronix 4051 sold for $7000 (equivalent to $41,900 in 2025), rather higher than the personal computers using the 6800. The 6800 processor was also used in the APF MP1000 game console. The Matsushita JR series used a Panasonic MN1800A NMOS microprocessor, compatible with the MC6802. HP introduced the 9815A desktop calculator based on the 6800 in 1975. All HP's other machines at the time used their own processor designs. It was fitted with 16k of ROM and 2k of RAM with optional IO expansion and RAM expansion to 4k. A later 9815S included both options as standard. The architecture and instruction set of the 6800 were easy for beginners to understand and Heathkit developed a microprocessor course and the ET3400 6800 trainer. The course and trainer proved popular with individuals and schools. Motorola's next generation 8-bit microprocessor architecture, the MC6809 (1979), was not binary code compatible with the 6800, but nearly all assembly code would assemble and run on the 6809; 6800 family peripheral chips worked as a matter of course. Example code The following 6800 assembly language source code is for a subroutine named memcpy that copies a block of data bytes of a given size from one location to another. The data block is copied one byte at a time, from lowest address to highest. Peripherals List from "Motorola Microcomputer Components", November 1978. Memory-mapped I/O is used, and I/O ports are mapped to part of the main memory address space. Second sources A common requirement for manufacturing companies was to require two or more sources for every part in the products they made. This ensured they could get parts if a supplier had financial problems or a disaster. Initially Motorola selected American Microsystems Inc (AMI) as a second source for the M6800 family. Hitachi, Fujitsu, Fairchild, Rockwell and Thomson Semiconductors were added later. Rochester Electronics was authorized by Freescale/Motorola in 2014 to continue manufacturing any of the 8-bit peripherals and 8-bit processors of this era. Rochester specializes in fully authorized device duplication. Freescale has provided all the source design archives to enable Rochester Electronics for this product and others. At the end of 2016, Rochester was fully qualified and shipping the MC6802 processor, the MC6840 PTM, and the MC6809 processor (including the MC68A09, and MC68B09 versions) and can still be bought today. Oral histories See also References Further reading External links |
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[SOURCE: https://en.wikipedia.org/wiki/Culture_and_Sport_Ministry] | [TOKENS: 242] |
Contents Ministry of Culture and Sport (Israel) The Culture and Sport Ministry (Hebrew: משרד התרבות והספורט, Misrad HaTarbut VeHaSport; Arabic: وزارة الثقافة والرياضة, Wizarat al-Thaqafa wa al-Riyada) is a government ministry in Israel. Culture and sport had been part of other ministerial portfolios for many years; between 1949 and 1999, and again from 2003 until 2006, culture was part of the Education portfolio. Similarly, sport was part of the Education portfolio between 1994 and 1999 and 2003 and 2006. Both culture and sport were combined with the Science and Technology portfolio between 2006 and 2009, before being split into a separate post upon the formation of a new government in March 2009. List of ministers References External links This article about government in Israel is a stub. You can help Wikipedia by adding missing information. This article about a culture ministry is a stub. You can help Wikipedia by adding missing information. |
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[SOURCE: https://en.wikipedia.org/wiki/Neutron_stars] | [TOKENS: 10398] |
Contents Neutron star A neutron star is the gravitationally collapsed core of a massive supergiant star. It results from the supernova explosion of a massive star—combined with gravitational collapse—that compresses the core past white dwarf star density to that of atomic nuclei. Surpassed only by black holes, neutron stars are the second smallest and densest known class of stellar objects. Neutron stars have a radius on the order of 10 kilometers (6 miles) and a mass of about 1.4 solar masses (M☉). Stars that collapse into neutron stars typically have an initial total mass between 10 and 25 M☉ or possibly more for those that are especially rich in elements heavier than hydrogen and helium. There are thought to be around one billion neutron stars in the Milky Way, and at a minimum several hundred million, a figure obtained by estimating the number of stars that have undergone supernova explosions. However, many of them have existed for a long period of time and have cooled down considerably. These stars radiate very little electromagnetic radiation; most neutron stars that have been detected occur only in certain situations in which they do radiate, such as if they are a pulsar or a part of a binary system. Slow-rotating and non-accreting neutron stars are difficult to detect, due to the absence of electromagnetic radiation; however, since the Hubble Space Telescope's detection of RX J1856.5−3754 in the 1990s, a few nearby neutron stars that appear to emit only thermal radiation have been detected. Neutron stars in a binary system with a main sequence star can pull in large amounts of gas from its companion, a process called accretion. These binary systems continue to evolve, with many companions eventually becoming compact objects such as white dwarfs or neutron stars themselves, though other possibilities include a complete destruction of the companion through ablation or collision. The study of neutron star systems is central to gravitational wave astronomy. The merger of binary neutron stars produces gravitational waves and is associated with kilonovae and short gamma-ray bursts. In 2017, the LIGO and Virgo interferometer sites observed GW170817, the first direct detection of gravitational waves from such an event. Prior to this, indirect evidence for gravitational waves was inferred by studying the gravity radiated from the orbital decay of a different type of (unmerged) binary neutron system, the Hulse–Taylor pulsar. Formation Any main-sequence star with an initial mass of greater than 8 M☉ (eight times the mass of the Sun) has the potential to become a neutron star. As the star evolves away from the main sequence, stellar nucleosynthesis produces an iron-rich core. When all nuclear fuel in the core has been exhausted, the core must be supported by degeneracy pressure alone. Further deposits of mass from shell burning cause the core to exceed the Chandrasekhar limit. Electron-degeneracy pressure is overcome, and the core collapses further, causing temperatures to rise to over 5×109 K. At these temperatures, photodisintegration (the breakdown of iron nuclei into alpha particles due to high-energy gamma rays) occurs. As the temperature of the core continues to rise, electrons and protons combine to form neutrons via electron capture, releasing a flood of neutrinos. When densities reach a nuclear density of 4×1017 kg/m3, a combination of strong force repulsion and neutron degeneracy pressure halts the contraction. The contracting outer envelope of the star is halted and rapidly flung outwards by a flux of neutrinos produced in the creation of the neutrons, resulting in a supernova and leaving behind a neutron star. However, if the remnant has a mass greater than about 3 M☉, it instead becomes a black hole. Observations of gravitational waves from neutron star merger GW170817, which is thought to have generated a black hole shortly afterward, have refined the mass limit estimate to ~2.17 M☉. As the core of a massive star is compressed during a Type II supernova or a Type Ib or Type Ic supernova, and collapses into a neutron star, it retains most of its angular momentum. Because it has only a tiny fraction of its parent's radius (sharply reducing its moment of inertia), a neutron star is formed with very high rotation speed and then, over a very long period, it slows. Neutron stars are known that have rotation periods from about 1.4 ms to 30 s. The neutron star's density also gives it very high surface gravity, with typical values ranging from 1012 to 1013 m/s2 (more than 1011 times that of Earth). One measure of such immense gravity is the fact that neutron stars have an escape velocity of over half the speed of light. The neutron star's gravity accelerates infalling matter to tremendous speed, and tidal forces near the surface can cause spaghettification. Properties Once formed, neutron stars no longer actively generate heat and cool over time, but they may still evolve further through collisions or accretion. Most of the basic models for these objects imply that they are composed almost entirely of neutrons, as the extreme pressure causes the electrons and protons present in normal matter to combine into additional neutrons. These stars are partially supported against further collapse by neutron degeneracy pressure, just as white dwarfs are supported against collapse by electron degeneracy pressure. However, this is not by itself sufficient to hold up an object beyond 0.7 M☉ and repulsive nuclear forces increasingly contribute to supporting more massive neutron stars. If the remnant star has a mass exceeding the Tolman–Oppenheimer–Volkoff limit, approximately 2.2 to 2.9 M☉, the combination of degeneracy pressure and nuclear forces is insufficient to support the neutron star, causing it to collapse and form a black hole. The most massive neutron star detected so far, PSR J0952–0607, is estimated to be 2.35±0.17 M☉. Newly formed neutron stars may have surface temperatures of ten million kelvin or more. However, since neutron stars generate no new heat through fusion, they inexorably cool down after their formation. Still, surface temperatures will be around one million kelvin after one thousand to one million years, and older, even cooler neutron stars are still easy to discover. For example, the well-studied neutron star, RX J1856.5−3754, has an average surface temperature of about 434000 K. By comparison, the effective surface temperature of the Sun is only 5780 K. Neutron star material is remarkably dense: a normal-sized matchbox containing neutron-star material would have a weight of approximately 3 billion tonnes, the same weight as a 0.5-cubic-kilometer chunk of the Earth (a cube with edges of about 800 meters) from Earth's surface. As a star's core collapses, its rotation rate increases due to conservation of angular momentum, so newly formed neutron stars typically rotate at up to several hundred times per second. Some neutron stars emit beams of electromagnetic radiation that make them detectable as pulsars, and the discovery of pulsars by Jocelyn Bell Burnell and Antony Hewish in 1967 was the first observational suggestion that neutron stars exist. The fastest-spinning neutron star known is PSR J1748−2446ad, rotating at a rate of 716 times per second or 42960 revolutions per minute, giving a linear (tangential) speed at the surface on the order of 0.24c (i.e., nearly a quarter the speed of light). The equation of state of neutron stars is not currently known. This is because neutron stars are the second most dense known object in the universe, only less dense than black holes. The extreme density means there is no way to replicate the material on Earth in laboratories, which is how equations of state for other things like ideal gases are tested. The closest neutron star is many parsecs away, meaning there is no feasible way to study it directly. While it is known neutron stars should be similar to a degenerate gas, it cannot be modeled strictly like one (as white dwarfs are) because of the extreme gravity. General relativity must be considered for the neutron star equation of state because Newtonian gravity is no longer sufficient in those conditions. Effects such as quantum chromodynamics (QCD), superconductivity, and superfluidity must also be considered. At the extraordinarily high densities of neutron stars, ordinary matter is squeezed to nuclear densities. Specifically, the matter ranges from nuclei embedded in a sea of electrons at low densities in the outer crust, to increasingly neutron-rich structures in the inner crust, to the extremely neutron-rich uniform matter in the outer core, and possibly exotic states of matter at high densities in the inner core. Understanding the nature of the matter present in the various layers of neutron stars, and the phase transitions that occur at the boundaries of the layers is a major unsolved problem in fundamental physics. A presumptive neutron star equation of state would encode information about the structure of a neutron star and would explain how matter behaves at the extreme densities found inside neutron stars. Constraints on the neutron star equation of state would then provide constraints on how the strong interaction of the Standard Model works, which would have profound implications for nuclear and atomic physics. This would make neutron stars natural laboratories for probing fundamental physics. For example, the exotic states that may be found at the cores of neutron stars are types of QCD matter. At the extreme densities at the centers of neutron stars, neutrons become disrupted giving rise to a sea of quarks. This matter's equation of state is governed by the laws of quantum chromodynamics and since QCD matter cannot be produced in any laboratory on Earth, most of the current knowledge about it is only theoretical. Different equations of state lead to different values of observable quantities. While the equation of state relates directly only to density and pressure, these in turn lead to calculating observables like the speed of sound, mass, radius, and Love numbers. There are many proposed neutron star equations of state, such as FPS, UU, APR, L, and SLy, and it is an active area of research. Another aspect of the equation of state is whether it is a soft or stiff equation of state. This relates to how much pressure there is at a certain energy density, and often corresponds to phase transitions. When the material is about to go through a phase transition, the pressure will tend to increase until it shifts into a more comfortable state of matter. A soft equation of state would have a gently rising pressure versus energy density while a stiff one would have a sharper rise in pressure. In neutron stars, nuclear physicists are still testing whether the equation of state should be stiff or soft, and sometimes it changes within individual equations of state depending on the phase transitions within the model. This is referred to as the equation of state stiffening or softening, depending on the previous behavior. Since it is unknown what neutron stars are made of, there is room for different phases of matter to be explored within the equation of state. Neutron stars have overall densities of 3.7×1017 to 5.9×1017 kg/m3 (2.6×1014 to 4.1×1014 times the density of the Sun),[a] which is comparable to the approximate density of an atomic nucleus of 3×1017 kg/m3. The density increases with depth, varying from about 1×109 kg/m3 at the crust to an estimated 6×1017 or 8×1017 kg/m3 deeper inside. Pressure increases accordingly, from about 3.2×1031 Pa (32 QPa) at the inner crust to 1.6×1034 Pa in the center. A neutron star is so dense that one teaspoon (5 milliliters) of its material would have a mass over 5.5×1012 kg, about 900 times the mass of the Great Pyramid of Giza.[b] The entire mass of the Earth at neutron star density would fit into a sphere 305 m in diameter, about the size of the Arecibo Telescope. In popular scientific writing, neutron stars are sometimes described as macroscopic atomic nuclei. Indeed, both states are composed of nucleons, and they share a similar density to within an order of magnitude. However, in other respects, neutron stars and atomic nuclei are quite different. A nucleus is held together by the strong interaction, whereas a neutron star is held together by gravity. The density of a nucleus is uniform, while neutron stars are predicted to consist of multiple layers with varying compositions and densities. Because equations of state for neutron stars lead to different observables, such as different mass-radius relations, there are many astronomical constraints on equations of state. These come mostly from the LIGO gravitational wave observatory and the NICER X-ray telescope. NICER's observations of pulsars in binary systems, from which the pulsar mass and radius can be estimated, can constrain the neutron star equation of state. A 2021 measurement of the pulsar PSR J0740+6620 was able to constrain the radius of a 1.4 M☉ neutron star to 12.33+0.76−0.8 km with 95% confidence. These mass-radius constraints, combined with chiral effective field theory calculations, tighten constraints on the neutron star equation of state. Equation of state constraints from LIGO gravitational wave detections start with nuclear and atomic physics researchers, who work to propose theoretical equations of state (such as FPS, UU, APR, L, SLy, and others). The proposed equations of state can then be passed onto astrophysics researchers who run simulations of binary neutron star mergers. From these simulations, researchers can extract gravitational waveforms, thus studying the relationship between the equation of state and gravitational waves emitted by binary neutron star mergers. Using these relations, one can constrain the neutron star equation of state when gravitational waves from binary neutron star mergers are observed. Numerical relativity simulations of binary neutron star mergers have found relationships between the equation of state and frequency dependent peaks of the gravitational wave signal that must conform with LIGO detections. For example, the LIGO detection of the binary neutron star merger GW170817 provided limits on the tidal deformability of neutron star binaries, ruling out whole families equations of state. Future gravitational wave signals with next generation detectors like Cosmic Explorer can impose further constraints. When nuclear physicists are trying to understand the likelihood of their equation of state, it is good to compare with these constraints to see if it predicts neutron stars of these masses and radii. There is also recent work on constraining the equation of state with the speed of sound through hydrodynamics. The Tolman–Oppenheimer–Volkoff (TOV) equation can be used to describe a neutron star. The equation is a solution to Einstein's equations from general relativity for a spherically symmetric, time invariant metric. With a given equation of state, solving the equation leads to observables such as the mass and radius. There are many codes that numerically solve the TOV equation for a given equation of state to find the mass-radius relation and other observables for that equation of state. The following differential equations can be solved numerically to find the neutron star observables: d p d r = − G ϵ ( r ) M ( r ) c 2 r 2 ( 1 + p ( r ) ϵ ( r ) ) ( 1 + 4 π r 3 p ( r ) M ( r ) c 2 ) ( 1 − 2 G M ( r ) c 2 r ) {\displaystyle {\frac {dp}{dr}}=-{\frac {G\epsilon (r)M(r)}{c^{2}r^{2}}}\left(1+{\frac {p(r)}{\epsilon (r)}}\right)\left(1+{\frac {4\pi r^{3}p(r)}{M(r)c^{2}}}\right)\left(1-{\frac {2GM(r)}{c^{2}r}}\right)} d M d r = 4 π c 2 r 2 ϵ ( r ) {\displaystyle {\frac {dM}{dr}}={\frac {4\pi }{c^{2}}}r^{2}\epsilon (r)} where G is the gravitational constant, p(r) is the pressure, ϵ(r) is the energy density (found from the equation of state), and c is the speed of light. Using the TOV equations and an equation of state, a mass–radius curve can be found. In theory, for a correct equation of state, every neutron star that could possibly exist would lie along that curve. To create these curves, the TOV equations must be solved for different central densities. For each central density, the mass and pressure equations must be numerically solved until the pressure goes to zero, which represents the outside of the star. Each solution gives a corresponding mass and radius for that central density. Mass-radius curves for different equations of state all reach a maximum value at specific radii. This maximum point is known as the maximum mass. Beyond that mass, the star will no longer be stable, i.e. no longer be able to hold itself up against gravity, and would collapse into a black hole. Since each equation of state leads to a different mass-radius curve, each equation also leads to a unique maximum mass value. For example, Oppenheimer and Volkoff came up with the Tolman–Oppenheimer–Volkoff limit of ~0.7 M☉ using a non-interacting degenerate neutron gas equation of state. More advanced theories include interactions between the neutrons which increases the pressure of the gas and thus increases the mass limit above 2.0 M☉. If, in addition the star is rotating rapidly this limit can be as high as 2.9 M☉.: 583 Observations of the neutron star PSR J0952-0607 suggest it has a mass of 2.35±0.17 M☉. One phenomenon in this area of astrophysics relating to the maximum mass of neutron stars is known as the "mass gap". The mass gap refers to a range of masses from roughly 2 to 5 solar masses where very few compact objects were observed. This range is based on the current assumed maximum mass of neutron stars (~2 M☉) and the minimum black hole mass (~5 M☉). Recently, some objects have been discovered that fall in that mass gap from gravitational wave detections.[clarification needed] If the true maximum mass of neutron stars was known, it would help characterize compact objects in that mass range as either neutron stars or black holes. There are three more properties of neutron stars that are dependent on the equation of state but can also be astronomically observed: the moment of inertia, the quadrupole moment, and the Love number. The moment of inertia of a neutron star describes how fast the star can rotate at a fixed spin momentum. The quadrupole moment of a neutron star specifies how much that star is deformed out of its spherical shape. The Love number of the neutron star represents how easy or difficult it is to deform the star due to tidal forces, typically important in binary systems. While these properties depend on the material of the star and therefore on the equation of state, there is a relation between these three quantities that is independent of the equation of state. This relation assumes slowly and uniformly rotating stars and uses general relativity to derive the relation. While this relation would not be able to add constraints to the equation of state, since it is independent of the equation of state, it does have other applications. If one of these three quantities can be measured for a particular neutron star, this relation can be used to find the other two. In addition, this relation can be used to break the degeneracies in detections by gravitational wave detectors of the quadrupole moment and spin, allowing the average spin to be determined within a certain confidence level. The temperature inside a newly formed neutron star is around 1011 to 1012 kelvin. However, so much of this energy is carried away by the enormous flux of residual neutrinos that the temperature of an isolated neutron star falls to around 106 K within a few years. After reaching this lower temperature, most of the remaining radiation emitted by the slowly cooling star will be X-rays. Some researchers have proposed a neutron star classification system using Roman numerals (not to be confused with the Yerkes luminosity classes for non-degenerate stars) to sort neutron stars by their mass and cooling rates: type I for neutron stars with low mass and cooling rates, type II for neutron stars with higher mass and cooling rates, and a proposed type III for neutron stars with even higher mass, approaching 2 M☉, and with higher cooling rates and possibly candidates for exotic stars. The magnetic field strength on the surface of neutron stars ranges from about 104 to 1011 tesla (T). These are orders of magnitude higher than in any other object: for comparison, a continuous 16 T field has been achieved in the laboratory and is sufficient to levitate a living frog due to diamagnetic levitation. Variations in magnetic field strengths are most likely the main factor that allows different types of neutron stars to be distinguished by their spectra, and explains the periodicity of pulsars. The subclass of neutron stars known as magnetars have the strongest magnetic fields, in the range of 108 to 1011 T, and it has become widely accepted that these magnetars are the source of soft gamma repeaters (SGRs) and anomalous X-ray pulsars (AXPs). The magnetic energy density of a 108 T field is extreme, greatly exceeding the mass-energy density of ordinary matter.[c] Fields of this strength are able to polarize the vacuum to the point that the vacuum becomes birefringent: photons can merge or split in two, and virtual particle–antiparticle pairs are produced. The field changes electron energy levels and atoms are forced into thin cylinders. Unlike in an ordinary pulsar, magnetar spin-down can be directly powered by its magnetic field, and the magnetic field is strong enough to stress the crust to the point of fracture. Fractures of the crust cause starquakes, observed as extremely luminous millisecond hard gamma ray bursts. The fireball is trapped by the magnetic field, and comes in and out of view when the star rotates, which is observed as a periodic soft gamma repeater (SGR) emission with a period of 5–8 seconds and which lasts for a few minutes. The origins of the strong magnetic field are as yet unclear. One hypothesis is that of "flux freezing", or conservation of the original magnetic flux during the formation of the neutron star. If an object has a certain magnetic flux over its surface area, and that area shrinks to a smaller area, but the magnetic flux is conserved, then the magnetic field would correspondingly increase. Likewise, a collapsing star begins with a much larger surface area than the resulting neutron star, and conservation of magnetic flux would result in a far stronger magnetic field. However, this simple explanation does not fully explain magnetic field strengths of neutron stars. The gravitational field at a neutron star's surface is about 2×1011 times stronger than on Earth, at around 2.0×1012 m/s2. Such a strong gravitational field acts as a gravitational lens and bends the radiation emitted by the neutron star such that parts of the normally invisible rear surface become visible. If the radius of the neutron star is 3GM/c2 or less, then the photons may be trapped in an orbit, thus making the whole surface of that neutron star visible from a single vantage point, along with destabilizing photon orbits at or below the 1 radius distance of the star. A fraction of the mass of a star that collapses to form a neutron star is released in the supernova explosion from which it forms (from the law of mass–energy equivalence, E = mc2). The energy comes from the gravitational binding energy of a neutron star. Hence, the gravitational field of a typical neutron star is huge. If an object were to fall from a height of 1 m on a neutron star 12 km in radius, it would reach the ground at around 1400 km/s. However, even before impact, the tidal force would cause spaghettification, breaking any sort of an ordinary object into a stream of material. Because of the enormous gravity, time dilation between a neutron star and Earth is significant. For example, eight years could pass on the surface of a neutron star, yet ten years would have passed on Earth, not including the time-dilation effect of the star's very rapid rotation. Neutron star relativistic equations of state describe the relation of radius vs. mass for various models. The most likely radii for a given neutron star mass are bracketed by models AP4 (smallest radius) and MS2 (largest radius). EB is the gravitational binding energy of the observed neutron star of mass of M with radius R, E B M c 2 = 0.60 β 1 − β / 2 {\displaystyle {\frac {E_{\text{B}}}{Mc^{2}}}={\frac {0.60\,\beta }{1-{\beta }/{2}}}} where β = G M / R c 2 {\displaystyle \beta =GM/R{c}^{2}} A neutron star of mass 2M☉ would not be more compact than 10970 m radius (AP4 model). Its mass fraction gravitational binding energy EB/Mc2 would then be 0.187, −18.7% (exothermic). This is not near 0.6/2 = 0.3, −30%. Structure Current understanding of the structure of neutron stars is defined by existing mathematical models, but it might be possible to infer some details through studies of neutron-star oscillations. Asteroseismology, a study applied to ordinary stars, can reveal the inner structure of neutron stars by analyzing observed spectra of stellar oscillations. Current models indicate that matter at the surface of a neutron star is composed of ordinary atomic nuclei crushed into a solid lattice with a sea of electrons flowing through the gaps between them. It is possible that the nuclei at the surface are iron, due to iron's high binding energy per nucleon. It is also possible that heavy elements, such as iron, simply sink beneath the surface, leaving only light nuclei like helium and hydrogen. If the surface temperature exceeds 106 K (as in the case of a young pulsar), the surface should be fluid instead of the solid phase that might exist in cooler neutron stars (temperature < 106 K). The outermost layers of a neutron star consist of an atmosphere several millimeters to centimeters in height, transitioning smoothly into an "ocean" of Coulomb-liquid with a "depth" between meters to tens of meters. Their dynamics are controlled by the neutron star's rotation period and magnetic field. Beneath the ocean is a solid crust. This crust is extremely hard and very smooth (with maximum surface irregularities on the order of millimeters or less), due to the extreme gravitational field. Proceeding inward, one encounters nuclei with ever-increasing numbers of neutrons; such nuclei would decay quickly on Earth, but are kept stable by tremendous pressures. As this process continues at increasing depths, the neutron drip becomes overwhelming, and the concentration of free neutrons increases rapidly. After a supernova explosion of a supergiant star, neutron stars are born from the remnants. A neutron star is composed mostly of neutrons (neutral particles) and contains a small fraction of protons (positively charged particles) and electrons (negatively charged particles), as well as nuclei. In the extreme density of a neutron star, many neutrons are free neutrons, meaning they are not bound in atomic nuclei and move freely within the star's dense matter, especially in the densest regions of the star—the inner crust and core. Over the star's lifetime, as its density increases, the energy of the electrons also increases, which generates more neutrons. In neutron stars, the neutron drip is the transition point where nuclei become so neutron-rich that they can no longer hold additional neutrons, leading to a sea of free neutrons being formed. The sea of neutrons formed after neutron drip provides additional pressure support, which helps maintain the star's structural integrity and prevents gravitational collapse. The neutron drip takes place within the inner crust of the neutron star and starts when the density becomes so high that nuclei can no longer hold additional neutrons. At the beginning of the neutron drip, the pressure in the star from neutrons, electrons, and the total pressure is roughly equal. As the density of the neutron star increases, the nuclei break down, and the neutron pressure of the star becomes dominant. When the density reaches a point where nuclei touch and subsequently merge, they form a fluid of neutrons with a sprinkle of electrons and protons. This transition marks the neutron drip, where the dominant pressure in the neutron star shifts from degenerate electrons to neutrons. At very high densities, the neutron pressure becomes the primary pressure holding up the star, with neutrons being non-relativistic (moving at a small fraction of the speed of light) and extremely compressed. However, at extremely high densities, neutrons begin to move at relativistic speeds (close to the speed of light). These high speeds significantly increase the star's overall pressure, altering the star's equilibrium state, and potentially leading to the formation of exotic states of matter. In that region, there are nuclei, free electrons, and free neutrons. The nuclei become increasingly small (pressure due to gravity overwhelming the strong force) until the core is reached, by definition the point where mostly neutrons exist. The expected hierarchy of phases of nuclear matter in the inner crust has been characterized as "nuclear pasta", with fewer voids and larger structures towards higher pressures. The composition of the superdense matter in the core remains uncertain. One model describes the core as superfluid neutron-degenerate matter (mostly neutrons, with some protons and electrons). More exotic forms of matter are possible, including degenerate strange matter (containing strange quarks in addition to up and down quarks), matter containing high-energy pions and kaons in addition to neutrons, or ultra-dense quark-degenerate matter. Radiation Neutron stars are detected from their electromagnetic radiation. Neutron stars are usually observed to pulse radio waves and other electromagnetic radiation, and neutron stars observed with pulses are called pulsars. Pulsars' radiation is thought to be caused by particle acceleration near their magnetic poles, which need not be aligned with the rotational axis of the neutron star. It is thought that a large electrostatic field builds up near the magnetic poles, leading to electron emission. These electrons are magnetically accelerated along the field lines, leading to curvature radiation, with the radiation being strongly polarized towards the plane of curvature. In addition, high-energy photons can interact with lower-energy photons and the magnetic field for electron−positron pair production, which through electron–positron annihilation leads to further high-energy photons. The radiation emanating from the magnetic poles of neutron stars can be described as magnetospheric radiation, in reference to the magnetosphere of the neutron star. It is not to be confused with magnetic dipole radiation, which is emitted because the magnetic axis is not aligned with the rotational axis, with a radiation frequency the same as the neutron star's rotational frequency. If the axis of rotation of the neutron star is different from the magnetic axis, external viewers will only see these beams of radiation whenever the magnetic axis point towards them during the neutron star rotation. Therefore, periodic pulses are observed, at the same rate as the rotation of the neutron star. In May 2022, astronomers reported an ultra-long-period radio-emitting neutron star PSR J0901-4046, with spin properties distinct from the known neutron stars. It is unclear how its radio emission is generated, and it challenges the current understanding of how pulsars evolve. In addition to pulsars, non-pulsating neutron stars have also been identified, although they may have minor periodic variation in luminosity. This seems to be a characteristic of the X-ray sources known as Central Compact Objects in supernova remnants (CCOs in SNRs), which are thought to be young, radio-quiet isolated neutron stars. In addition to radio emissions, neutron stars have also been identified in other parts of the electromagnetic spectrum. This includes visible light, near infrared, ultraviolet, X-rays, and gamma rays. Pulsars observed in X-rays are known as X-ray pulsars if accretion-powered, while those identified in visible light are known as optical pulsars. The majority of neutron stars detected, including those identified in optical, X-ray, and gamma rays, also emit radio waves; the Crab Pulsar produces electromagnetic emissions across the spectrum. However, there exist neutron stars called radio-quiet neutron stars, with no radio emissions detected. Rotation Neutron stars rotate extremely rapidly after their formation due to the conservation of angular momentum; in analogy to spinning ice skaters pulling in their arms, the slow rotation of the original star's core speeds up as it shrinks. A newborn neutron star can rotate many times a second. Over time, neutron stars slow, as their rotating magnetic fields in effect radiate energy associated with the rotation; older neutron stars may take several seconds for each revolution. This is called spin-down. The rate at which a neutron star slows its rotation is usually constant and very small. The periodic time (P) is the rotational period, the time for one rotation of a neutron star. The spin-down rate, the rate of slowing of rotation, is then given the symbol P ˙ {\displaystyle {\dot {P}}} (P-dot), the derivative of P with respect to time. It is defined as periodic time increase per unit time; it is a dimensionless quantity, but can be given the units of s⋅s−1 (seconds per second). The spin-down rate (P-dot) of neutron stars usually falls within the range of 10−22 to 10−9 s⋅s−1, with the shorter-period (or faster-rotating) observable neutron stars usually having smaller P-dot. As a neutron star ages, its rotation slows (P increases); eventually, the rate of rotation will become too slow to power the radio-emission mechanism, so radio emission from the neutron star can no longer be detected. P and P-dot allow lower bounds on magnetic fields of neutron stars to be estimated. P and P-dot can be also used to calculate the characteristic age of a pulsar, but gives an estimate which is somewhat larger than the true age when it is applied to young pulsars. P and P-dot can also be combined with neutron star's moment of inertia to estimate a quantity called spin-down luminosity, which is given the symbol E ˙ {\displaystyle {\dot {E}}} (E-dot). It is not the measured luminosity, but rather the calculated loss rate of rotational energy that would manifest itself as radiation. For neutron stars where the spin-down luminosity is comparable to the actual luminosity, the neutron stars are said to be "rotation-powered". The observed luminosity of the Crab Pulsar is comparable to the spin-down luminosity, supporting the model that rotational kinetic energy powers the radiation from it. With neutron stars such as magnetars, where the actual luminosity exceeds the spin-down luminosity by about a factor of 100, it is assumed that the luminosity is powered by magnetic dissipation, rather than being rotation-powered. P and P-dot can also be plotted for neutron stars to create a P–P-dot diagram. It encodes a tremendous amount of information about the pulsar population and its properties, and has been likened to the Hertzsprung–Russell diagram in its importance for neutron stars. Neutron star rotational speeds can increase, a process known as spin-up. Sometimes neutron stars absorb orbiting matter from companion stars, increasing the rotation rate and reshaping the neutron star into an oblate spheroid. This causes an increase in the rate of rotation of the neutron star of over a hundred times per second in the case of millisecond pulsars. The most-rapidly-rotating neutron star currently[as of?] known, PSR J1748-2446ad, rotates at 716 revolutions per second. A 2007 paper reported the detection of an X-ray burst oscillation, which provides an indirect measure of spin, of 1122 Hz from the neutron star XTE J1739-285, suggesting 1122 rotations a second. However, at present,[as of?] this signal has only been seen once, and should be regarded as tentative until confirmed in another burst from that star. Sometimes a neutron star will undergo a glitch, a sudden small spin-up. Glitches are thought to be the effect of a starquake—as the rotation of the neutron star slows, its shape becomes more spherical. Due to the stiffness of the "neutron" crust, this happens as discrete events when the crust ruptures, creating a starquake similar to earthquakes. After the starquake, the star will have a smaller equatorial radius, and because angular momentum is conserved, its rotational speed has increased. Starquakes occurring in magnetars, with a resulting glitch, is the leading hypothesis for the gamma-ray sources known as soft gamma repeaters. Recent[when?] work, however, suggests that a starquake would not release sufficient energy for a neutron star glitch; it has been suggested that glitches may instead be caused by transitions of vortices in the theoretical superfluid core of the neutron star from one metastable energy state to a lower one, thereby releasing energy that appears as an increase in the rotation rate. An anti-glitch, a sudden small spin-down, of a neutron star has also been reported. It occurred in the magnetar 1E 2259+586, that in one case produced an X-ray luminosity increase of a factor of 20, and a significant spin-down rate change. Current neutron star models do not predict this behavior. If the cause were internal, then this suggests differential rotation of the solid outer crust and the superfluid component of the magnetar's inner structure. Population and distances At present, there are about 3,200 known neutron stars in the Milky Way and the Magellanic Clouds, the majority of which have been detected as radio pulsars. Neutron stars are mostly concentrated along the disk of the Milky Way, although the spread perpendicular to the disk is large because the supernova explosion process can impart high translational speeds (400 km/s) to the newly formed neutron star. Some of the closest known neutron stars are RX J1856.5−3754, which is about 400 light-years from Earth, and PSR J0108−1431 about 424 light-years. RX J1856.5-3754 is a member of a close group of neutron stars called The Magnificent Seven. Another nearby neutron star that was detected transiting the backdrop of the constellation Ursa Minor has been nicknamed Calvera by its Canadian and American discoverers, after the villain in the 1960 film The Magnificent Seven. This rapidly moving object was discovered using the ROSAT Bright Source Catalog. Neutron stars are only detectable with modern technology during the earliest stages of their lives (almost always less than 1 million years) and are vastly outnumbered by older neutron stars that would only be detectable through their blackbody radiation and gravitational effects on other stars. Binary neutron star systems About 5% of all known neutron stars are members of a binary system. The formation and evolution of binary neutron stars and double neutron stars can be a complex process. Neutron stars have been observed in binaries with ordinary main-sequence stars, red giants, white dwarfs, or other neutron stars. According to modern theories of binary evolution, it is expected that neutron stars also exist in binary systems with black hole companions. The merger of binaries containing two neutron stars, or a neutron star and a black hole, has been observed through the emission of gravitational waves. Binary systems containing neutron stars often emit X-rays, which are emitted by hot gas as it falls towards the surface of the neutron star. The source of the gas is the companion star, the outer layers of which can be stripped off by the gravitational field of the neutron star if the two stars are sufficiently close. As the neutron star accretes this gas, its mass can increase; if enough mass is accreted, the neutron star may collapse into a black hole. The distance between two neutron stars in a close binary system is observed to shrink as gravitational waves are emitted. Ultimately, the neutron stars will come into contact and coalesce. The coalescence of binary neutron stars is one of the leading models for the origin of short gamma-ray bursts. Strong evidence for this model came from the observation of a kilonova associated with the short-duration gamma-ray burst GRB 130603B, and was finally confirmed by detection of gravitational wave GW170817 and short GRB 170817A by LIGO, Virgo, and 70 observatories covering the electromagnetic spectrum observing the event. The light emitted in the kilonova is believed to come from the radioactive decay of material ejected in the merger of the two neutron stars. The merger momentarily creates an environment of such extreme neutron flux that the r-process can occur; this—as opposed to supernova nucleosynthesis—may be responsible for the production of around half the isotopes in chemical elements beyond iron. Planets Neutron stars can host exoplanets. These can be original, circumbinary, captured, or the result of a second round of planet formation. Pulsars can also strip the atmosphere off from a star, leaving a planetary-mass remnant, which may be understood as a chthonian planet or a stellar object depending on interpretation. For pulsars, such pulsar planets can be detected with the pulsar timing method, which allows for high precision and detection of much smaller planets than with other methods. Two systems have been definitively confirmed. The first exoplanets ever to be detected were the three planets Draugr, Poltergeist and Phobetor around the pulsar Lich, discovered in 1992–1994. Of these, Draugr is the smallest exoplanet ever detected, at a mass of twice that of the Moon. Another system is PSR B1620−26, where a circumbinary planet orbits a neutron star-white dwarf binary system. Also, there are several unconfirmed candidates. Pulsar planets receive little visible light, but massive amounts of ionizing radiation and high-energy stellar wind, which makes them rather hostile environments to life as presently understood. History of discoveries At the meeting of the American Physical Society in December 1933 (the proceedings were published in January 1934), Walter Baade and Fritz Zwicky proposed the existence of neutron stars,[d] less than two years after the discovery of the neutron by James Chadwick. In seeking an explanation for the origin of a supernova, they tentatively proposed that in supernova explosions ordinary stars are turned into stars that consist of extremely closely packed neutrons that they called neutron stars. Baade and Zwicky correctly proposed at that time that the release of the gravitational binding energy of the neutron stars powers the supernova: "In the supernova process, mass in bulk is annihilated". Neutron stars were thought to be too faint to be detectable and little work was done on them until November 1967, when Franco Pacini pointed out that if the neutron stars were spinning and had large magnetic fields, then electromagnetic waves would be emitted. Unknown to him, radio astronomer Antony Hewish and his graduate student Jocelyn Bell at Cambridge were shortly to detect radio pulses from stars that are now believed to be highly magnetized, rapidly spinning neutron stars, known as pulsars. In 1965, Antony Hewish and Samuel Okoye discovered "an unusual source of high radio brightness temperature in the Crab Nebula". This source turned out to be the Crab Pulsar that resulted from the great supernova of 1054. In 1967, Iosif Shklovsky examined the X-ray and optical observations of Scorpius X-1 and correctly concluded that the radiation comes from a neutron star at the stage of accretion. In 1967, Jocelyn Bell Burnell and Antony Hewish discovered regular radio pulses from PSR B1919+21. This pulsar was later interpreted as an isolated, rotating neutron star. The energy source of the pulsar is the rotational energy of the neutron star. The majority of known neutron stars (about 2000, as of 2010) have been discovered as pulsars, emitting regular radio pulses. In 1968, Richard V. E. Lovelace and collaborators discovered period P ≈ 33 {\displaystyle P\!\approx 33} ms of the Crab Pulsar using Arecibo Observatory. After this discovery, scientists concluded that pulsars were rotating neutron stars. Before that, many scientists believed that pulsars were pulsating white dwarfs. In 1971, Riccardo Giacconi, Herbert Gursky, Ed Kellogg, R. Levinson, E. Schreier, and H. Tananbaum discovered 4.8 second pulsations in an X-ray source in the constellation Centaurus, Cen X-3. They interpreted this as resulting from a rotating hot neutron star. The energy source is gravitational and results from a rain of gas falling onto the surface of the neutron star from a companion star or the interstellar medium. In 1974, Antony Hewish was awarded the Nobel Prize in Physics "for his decisive role in the discovery of pulsars" without Jocelyn Bell who shared in the discovery. In 1974, Joseph Taylor and Russell Hulse discovered the first binary pulsar, PSR B1913+16, which consists of two neutron stars (one seen as a pulsar) orbiting around their center of mass. Albert Einstein's general theory of relativity predicts that massive objects in short binary orbits should emit gravitational waves, and thus that their orbit should decay with time. This was indeed observed, precisely as general relativity predicts, and in 1993, Taylor and Hulse were awarded the Nobel Prize in Physics for this discovery. In 1982, Don Backer and colleagues discovered the first millisecond pulsar, PSR B1937+21. This object spins 642 times per second, a value that placed fundamental constraints on the mass and radius of neutron stars. Many millisecond pulsars were later discovered, but PSR B1937+21 remained the fastest-spinning known pulsar for 24 years, until PSR J1748-2446ad (which spins ~716 times a second) was discovered. In 2003, Marta Burgay and colleagues discovered the first double neutron star system where both components are detectable as pulsars, PSR J0737−3039. The discovery of this system allows a total of 5 different tests of general relativity, some of these with unprecedented precision. In 2010, Paul Demorest and colleagues measured the mass of the millisecond pulsar PSR J1614−2230 to be 1.97±0.04 M☉, using Shapiro delay. This was substantially higher than any previously measured neutron star mass (1.67 M☉, see PSR J1903+0327), and places strong constraints on the interior composition of neutron stars. In 2013, John Antoniadis and colleagues measured the mass of PSR J0348+0432 to be 2.01±0.04 M☉, using white dwarf spectroscopy. This confirmed the existence of such massive stars using a different method. Furthermore, this allowed, for the first time, a test of general relativity using such a massive neutron star. In August 2017, LIGO and Virgo made first detection of gravitational waves produced by colliding neutron stars (GW170817), leading to further discoveries about neutron stars. In October 2018, astronomers reported that GRB 150101B, a gamma-ray burst event detected in 2015, may be directly related to the historic GW170817 and associated with the merger of two neutron stars. The similarities between the two events, in terms of gamma ray, optical and x-ray emissions, as well as to the nature of the associated host galaxies, are "striking", suggesting the two separate events may both be the result of the merger of neutron stars, and both may be a kilonova, which may be more common in the universe than previously understood, according to the researchers. In July 2019, astronomers reported that a new method to determine the Hubble constant, and resolve the discrepancy of earlier methods, has been proposed based on the mergers of pairs of neutron stars, following the detection of the neutron star merger of GW170817. Their measurement of the Hubble constant is 70.3+5.3−5.0 (km/s)/Mpc. A 2020 study by University of Southampton PhD student Fabian Gittins suggested that surface irregularities ("mountains") may only be fractions of a millimeter tall (about 0.000003% of the neutron star's diameter), hundreds of times smaller than previously predicted, a result bearing implications for the non-detection of gravitational waves from spinning neutron stars. Using the JWST, astronomers have identified a neutron star within the remnants of the Supernova 1987A stellar explosion after seeking to do so for 37 years, according to a 23 February 2024 Science article. In a paradigm shift, new JWST data provides the elusive direct confirmation of neutron stars within supernova remnants as well as a deeper understanding of the processes at play within SN 1987A's remnants. Subtypes There are a number of types of object that consist of or contain a neutron star: There are also a number of theorized compact stars with similar properties that are not actually neutron stars. Examples of neutron stars Gallery See also Notes References External links |
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[SOURCE: https://en.wikipedia.org/wiki/RNA_world] | [TOKENS: 6321] |
Contents RNA world The RNA world is a hypothetical stage in the evolutionary history of life on Earth in which self-replicating RNA molecules proliferated before the evolution of DNA and proteins. The term also refers to the hypothesis that posits the existence of this stage. Alexander Rich first proposed the concept of the RNA world in 1962, and Walter Gilbert coined the term in 1986. Among the characteristics of RNA that suggest its original prominence are that: Although alternative chemical paths to life have been proposed, and RNA-based life may not have been the first life to exist, the RNA world hypothesis seems to be the most favored abiogenesis paradigm. However, even proponents agree that there is still not conclusive evidence to completely falsify other paradigms and hypotheses. Regardless of its plausibility in a prebiotic scenario, the RNA world can serve as a model system for studying the origin of life. If the RNA world existed, it was probably followed by an age characterized by the evolution of ribonucleoproteins (RNP world), which in turn ushered in the era of DNA and longer proteins. DNA has greater stability and durability than RNA, which may explain why it became the predominant information storage molecule. Protein enzymes may have replaced RNA-based ribozymes as biocatalysts because the greater abundance and diversity of the monomers of which they are built makes them more versatile. As some cofactors contain both nucleotide and amino-acid characteristics, it may be that amino acids, peptides, and finally proteins initially were cofactors for ribozymes. History One of the challenges in studying abiogenesis is that the system of reproduction and metabolism utilized by all extant life involves three distinct types of interdependent macromolecules (DNA, RNA, and proteins), none of which can function and reproduce without the others, the classic chicken-and-egg paradox. This suggests that life could not have arisen in its current form, which has led researchers to hypothesize mechanisms whereby the current system might have arisen from a simpler precursor system. American molecular biologist Alexander Rich was the first to posit a coherent hypothesis on the origin of nucleotides as precursors of life. In a 1962 article he explained that the primitive Earth's environment could have produced RNA molecules (polynucleotide monomers) that eventually acquired enzymatic and self-replicating functions. Other mentions of RNA as a primordial molecule can be found in papers by Francis Crick and Leslie Orgel, as well as in Carl Woese's 1967 book The Genetic Code. Hans Kuhn in 1972 laid out a possible process by which the modern genetic system might have arisen from a nucleotide-based precursor, and this led Harold White in 1976 to observe that many of the cofactors essential for enzymatic function are either nucleotides or could have been derived from nucleotides. He proposed a scenario whereby the critical electrochemistry of enzymatic reactions would have necessitated retention of the specific nucleotide moieties of the original RNA-based enzymes carrying out the reactions, while the remaining structural elements of the enzymes were gradually replaced by protein, until all that remained of the original RNAs were these nucleotide cofactors, "fossils of nucleic acid enzymes". Properties of RNA The properties of RNA make the idea of the RNA world hypothesis conceptually plausible, though its general acceptance as an explanation for the origin of life requires further evidence. RNA is known to form efficient catalysts, and its similarity to DNA makes clear its ability to store information. Opinions differ, however, as to whether RNA constituted the first autonomous self-replicating system or was a derivative of a still-earlier system. One version of the hypothesis is that a different type of nucleic acid, termed pre-RNA, was the first one to emerge as a self-reproducing molecule, to be replaced by RNA only later. On the other hand, the discovery in 2009 that activated pyrimidine ribonucleotides can be synthesized under plausible prebiotic conditions suggests that it is premature to dismiss the RNA-first scenarios. Suggestions for 'simple' pre-RNA nucleic acids have included peptide nucleic acid (PNA), threose nucleic acid (TNA) or glycol nucleic acid (GNA). Despite their structural simplicity and possession of properties comparable with RNA, the chemically plausible generation of "simpler" nucleic acids under prebiotic conditions has yet to be demonstrated. In the 1980s, RNA structures capable of self-processing were discovered, with the RNA moiety of ribonuclease P acting as its catalytic subunit. These catalytic RNAs – referred to as RNA enzymes, or ribozymes – are found in today's DNA-based life and could be examples of living fossils. Ribozymes play vital roles, such as that of the ribosome. The large subunit of the ribosome includes an rRNA responsible for the peptide bond-forming peptidyl transferase activity of protein synthesis. Many other ribozyme activities exist; for example, the hammerhead ribozyme performs self-cleavage and an RNA polymerase ribozyme can synthesize a short RNA strand from a primed RNA template. Among the enzymatic properties important for the beginning of life are: RNA is a very similar molecule to DNA, with only two significant chemical differences (the backbone of RNA uses ribose instead of deoxyribose and its nucleobases include uracil instead of thymine). The overall structure of RNA and DNA are immensely similar—one strand of DNA and one of RNA can bind to form a double helical structure. This makes the storage of information in RNA possible in a very similar way to the storage of information in DNA. However, RNA is less stable, being more prone to hydrolysis due to the presence of a hydroxyl group at the ribose 2' position. The major difference between RNA and DNA is the presence of a hydroxyl group at the 2'-position of the ribose sugar in RNA (illustration, right). This group makes the molecule less stable because, when not constrained in a double helix, the 2' hydroxyl can chemically attack the adjacent phosphodiester bond to cleave the phosphodiester backbone. The hydroxyl group also forces the ribose into the C3'-endo sugar conformation unlike the C2'-endo conformation of the deoxyribose sugar in DNA. This forces an RNA double helix to change from a B-DNA structure to one more closely resembling A-DNA. RNA also uses a different set of bases than DNA—adenine, guanine, cytosine and uracil, instead of adenine, guanine, cytosine and thymine. Chemically, uracil is similar to thymine, differing only by a methyl group, and its production requires less energy. In terms of base pairing, this has no effect. Adenine readily binds uracil or thymine. Uracil is, however, one product of damage to cytosine that makes RNA particularly susceptible to mutations that can replace a GC base pair with a GU (wobble) or AU base pair. RNA is thought to have preceded DNA, because of their ordering in the biosynthetic pathways. The deoxyribonucleotides used to make DNA are made from ribonucleotides, the building blocks of RNA, by removing the 2'-hydroxyl group. As a consequence, a cell must have the ability to make RNA before it can make DNA. The chemical properties of RNA make large RNA molecules inherently fragile, and they can easily be broken down into their constituent nucleotides through hydrolysis. These limitations do not make use of RNA as an information storage system impossible, simply energy intensive (to repair or replace damaged RNA molecules) and prone to mutation. While this makes it unsuitable for current 'DNA optimised' life, it may have been acceptable for more primitive life. Riboswitches have been found to act as regulators of gene expression, particularly in bacteria, but also in plants and archaea. Riboswitches alter their secondary structure in response to the binding of a metabolite. Riboswitch classes have highly conserved aptamer domains, even among diverse organisms. When a target metabolite is bound to this aptamer, conformational changes occur, modulating the expression of genes carried by mRNA. These changes occur in an expression platform, located downstream from the aptamer. This change in structure can result in the formation or disruption of a terminator, truncating or permitting transcription respectively. Alternatively, riboswitches may bind or occlude the Shine–Dalgarno sequence, affecting translation. It has been suggested that these originated in an RNA-based world. In addition, RNA thermometers regulate gene expression in response to temperature changes. Support and difficulties The RNA world hypothesis is supported by RNA's ability to do all three of to store, to transmit, and to duplicate genetic information, as DNA does, and to perform enzymatic reactions, like protein-based enzymes. Because it can carry out the types of tasks now performed by proteins and DNA, RNA is believed to have once been capable of supporting independent life on its own. Some viruses use RNA as their genetic material, rather than DNA. Further, while nucleotides were not found in experiments based on Miller-Urey experiment, their formation in prebiotically plausible conditions was reported in 2009; a purine base, adenine, is merely a pentamer of hydrogen cyanide, and it happens that this particular base is used as omnipresent energy vehicle in the cell: adenosine triphosphate is used everywhere in preference to guanosine triphosphate, cytidine triphosphate, uridine triphosphate or even deoxythymidine triphosphate, which could serve just as well but are practically never used except as building blocks for nucleic acid chains. Experiments with basic ribozymes, like Bacteriophage Qβ RNA, have shown that simple self-replicating RNA structures can withstand even strong selective pressures (e.g., opposite-chirality chain terminators). Since there were no known chemical pathways for the abiogenic synthesis of nucleotides from pyrimidine nucleobases cytosine and uracil under prebiotic conditions, it is thought by some that nucleic acids did not contain these nucleobases seen in life's nucleic acids. The nucleoside cytosine has a half-life in isolation of 19 days at 100 °C (212 °F) and 17,000 years in freezing water, which some argue is too short on the geologic time scale for accumulation. Others have questioned whether ribose and other backbone sugars could be stable enough to be found in the original genetic material, and have raised the issue that all ribose molecules would have had to be the same enantiomer, as any nucleotide of the wrong chirality acts as a chain terminator. Pyrimidine ribonucleosides and their respective nucleotides have been prebiotically synthesised by a sequence of reactions that by-pass free sugars and assemble in a stepwise fashion by including nitrogenous and oxygenous chemistries. In a series of publications, John Sutherland and his team at the School of Chemistry, University of Manchester, have demonstrated high yielding routes to cytidine and uridine ribonucleotides built from small 2- and 3-carbon fragments such as glycolaldehyde, glyceraldehyde or glyceraldehyde-3-phosphate, cyanamide, and cyanoacetylene. One of the steps in this sequence allows the isolation of enantiopure ribose aminooxazoline if the enantiomeric excess of glyceraldehyde is 60% or greater, of possible interest toward biological homochirality. This can be viewed as a prebiotic purification step, where the said compound spontaneously crystallised out from a mixture of the other pentose aminooxazolines. Aminooxazolines can react with cyanoacetylene in a mild and highly efficient manner, controlled by inorganic phosphate, to give the cytidine ribonucleotides. Photoanomerization with UV light allows for inversion about the 1' anomeric centre to give the correct beta stereochemistry; one problem with this chemistry is the selective phosphorylation of alpha-cytidine at the 2' position. However, in 2009, they showed that the same simple building blocks allow access, via phosphate controlled nucleobase elaboration, to 2',3'-cyclic pyrimidine nucleotides directly, which are known to be able to polymerise into RNA. Organic chemist Donna Blackmond described this finding as "strong evidence" in favour of the RNA world. However, John Sutherland said that while his team's work suggests that nucleic acids played an early and central role in the origin of life, it did not necessarily support the RNA world hypothesis in the strict sense, which he described as a "restrictive, hypothetical arrangement". The Sutherland group's 2009 paper also highlighted the possibility for the photo-sanitization of the pyrimidine-2',3'-cyclic phosphates. A potential weakness of these routes is the generation of enantioenriched glyceraldehyde, or its 3-phosphate derivative (glyceraldehyde prefers to exist as its keto tautomer dihydroxyacetone).[citation needed] On August 8, 2011, a report, based on NASA studies with meteorites found on Earth, was published suggesting building blocks of RNA (adenine, guanine, and related organic molecules) may have been formed in outer space. In 2017, research using a numerical model suggested that a RNA world may have emerged in warm ponds on the early Earth, and that meteorites were a plausible and probable source of the RNA building blocks (ribose and nucleic acids) to these environments. On August 29, 2012, astronomers at Copenhagen University reported the detection of a specific sugar molecule, glycolaldehyde, in a distant star system. The molecule was found around the protostellar binary IRAS 16293-2422, which is located 400 light years from Earth. Because glycolaldehyde is needed to form RNA, this finding suggests that complex organic molecules may form in stellar systems prior to the formation of planets, eventually arriving on young planets early in their formation. Nitriles, key molecular precursors of the RNA World scenario, are among the most abundant chemical families in the universe and have been found in molecular clouds in the center of the Milky Way, protostars of different masses, meteorites and comets, and also in the atmosphere of Titan, the largest moon of Saturn. A study in 2001 shows that nicotinic acid and its precursor, quinolinic acid can be "produced in yields as high as 7% in a six-step nonenzymatic sequence from aspartic acid and dihydroxyacetone phosphate (DHAP). The biosynthesis of ribose phosphate could have produced DHAP and other three carbon compounds. Aspartic acid could have been available from prebiotic synthesis or from the ribozyme synthesis of pyrimidines." This supports that NAD could have originated in the RNA world. RNA sequences at lengths of 30 nucleotides, 60 nucleotides, 100 nucleotides, and 140 nucleotides, were capable of catalysis of "the synthesis of three common coenzymes, CoA, NAD, and FAD, from their precursors, 4'-phosphopantetheine, NMN, and FMN, respectively". Prebiotic RNA synthesis Nucleotides are the fundamental molecules that combine in series to form RNA. They consist of a nitrogenous base attached to a sugar-phosphate backbone. RNA is made of long stretches of specific nucleotides arranged so that their sequence of bases carries information. The RNA world hypothesis holds that in the primordial soup (or sandwich), there existed free-floating nucleotides. These nucleotides regularly formed bonds with one another, which often broke because the change in energy was so low. However, certain sequences of base pairs have catalytic properties that lower the energy of their chain being created, enabling them to stay together for longer periods of time. As each chain grew longer, it attracted more matching nucleotides faster, causing chains to now form faster than they were breaking down. These chains have been proposed by some as the first, primitive forms of life. In an RNA world, different sets of RNA strands would have had different replication outputs, which would have increased or decreased their frequency in the population, i.e., natural selection. As the fittest sets of RNA molecules expanded their numbers, novel catalytic properties added by mutation, which benefitted their persistence and expansion, could accumulate in the population. Such an autocatalytic set of ribozymes, capable of self-replication in about an hour, has been identified. It was produced by molecular competition (in vitro evolution) of candidate enzyme mixtures. Competition between RNA may have favored the emergence of cooperation between different RNA chains, opening the way for the formation of the first protocell. Eventually, RNA chains developed with catalytic properties that help amino acids bind together (a process called peptide-bonding). These amino acids could then assist with RNA synthesis, giving those RNA chains that could serve as ribozymes the selective advantage. The ability to catalyze one step in protein synthesis, aminoacylation of RNA, has been demonstrated in a short (five-nucleotide) segment of RNA. In 2014, a group of researchers managed to produce all four components of RNA by simulating an asteroid impact in primordial conditions. In March 2015, NASA scientists reported that, for the first time, complex DNA and RNA organic compounds of life, including uracil, cytosine, and thymine, have been formed in the laboratory under conditions found only in outer space, using starting chemicals, like pyrimidine, found in meteorites. Pyrimidine, like polycyclic aromatic hydrocarbons (PAHs), may have been formed in red giant stars or in interstellar dust and gas clouds, according to the scientists. That same month, researchers were able to produce over 50 aminoacids in a laboratory setting by using only hydrogen sulfide, hydrogen cyanide (presumably produced after outer space meteorites reacted with atmospheric nitrogen) and ultraviolet light. In 2018, researchers at Georgia Institute of Technology identified three molecular candidates for the bases that might have formed an earliest version of proto-RNA: barbituric acid, melamine, and 2,4,6-triaminopyrimidine (TAP). These three molecules are simpler versions of the four bases in current RNA, which could have been present in larger amounts and could still be forward-compatible with them but may have been discarded by evolution in exchange for more optimal base pairs. Specifically, TAP can form nucleotides with a large range of sugars. Both TAP and melamine base pair with barbituric acid. All three spontaneously form nucleotides with ribose. Evolution of DNA One of the challenges posed by the RNA world hypothesis is to discover the pathway by which an RNA-based system transitioned to one based on DNA. Geoffrey Diemer and Ken Stedman, at Portland State University in Oregon, may have found a solution. While conducting a survey of viruses in a hot acidic lake in Lassen Volcanic National Park, California, they uncovered evidence that a simple DNA virus had acquired a gene from a completely unrelated RNA-based virus. Virologist Luis Villareal of the University of California Irvine also suggests that viruses capable of converting an RNA-based gene into DNA and then incorporating it into a more complex DNA-based genome might have been common in the virus world during the RNA to DNA transition some 4 billion years ago. This finding bolsters the argument for the transfer of information from the RNA world to the emerging DNA world before the emergence of the last universal common ancestor. From the research, the diversity of this virus world is still with us. Viroids Additional evidence supporting the concept of an RNA world has resulted from research on viroids, the first representatives of a novel domain of "subviral pathogens". Viroids infect plants, where most are pathogens, and consist of short stretches of highly complementary, circular, single-stranded and non-coding RNA without a protein coat. They are extremely small, ranging from 246 to 467 nucleobases, compared to the smallest known viruses capable of causing an infection, with genomes about 2,000 nucleobases in length. Based on their characteristic properties, in 1989 plant biologist Theodor Diener argued that viroids are more plausible living relics of the RNA world than introns and other RNAs considered candidates at the time. Diener's hypothesis would be expanded by the research group of Ricardo Flores, and gained a broader audience when in 2014, a New York Times science writer published a popularized version of the proposal. The characteristics of viroids highlighted as consistent with an RNA world were their small size, high guanine and cytosine content, circular structure, structural periodicity, the lack of protein-coding ability and, in some cases, ribozyme-mediated replication. One aspect critics of the hypothesis have focused on is that the exclusive hosts of all known viroids, angiosperms, did not evolve until billions of years after the RNA world was replaced, making viroids more likely to have arisen through later evolutionary mechanisms unrelated to the RNA world than to have survived via a cryptic host over that extended period. Whether they are relics of that world or of more recent origin, their function as autonomous naked RNA is seen as analogous to that envisioned for an RNA world. Origin of sexual reproduction Eigen et al. and Woese proposed that the genomes of early protocells were composed of single-stranded RNA, and that individual genes corresponded to separate RNA segments, rather than being linked end-to-end as in present-day DNA genomes. A protocell that was haploid (one copy of each RNA gene) would be vulnerable to damage, since a single lesion in any RNA segment would be potentially lethal to the protocell (e.g., by blocking replication or inhibiting the function of an essential gene). Vulnerability to damage could be reduced by maintaining two or more copies of each RNA segment in each protocell, i.e., by maintaining diploidy or polyploidy. Genome redundancy would allow a damaged RNA segment to be replaced by an additional replication of its homolog. However, for such a simple organism, the proportion of available resources tied up in the genetic material would be a large fraction of the total resource budget. Under limited resource conditions, the protocell reproductive rate would likely be inversely related to ploidy number. The protocell's fitness would be reduced by the costs of redundancy. Consequently, coping with damaged RNA genes while minimizing the costs of redundancy would likely have been a fundamental problem for early protocells. A cost-benefit analysis was carried out in which the costs of maintaining redundancy were balanced against the costs of genome damage. This analysis led to the conclusion that, under a wide range of circumstances, the selected strategy would be for each protocell to be haploid, but to periodically fuse with another haploid protocell to form a transient diploid. The retention of the haploid state maximizes the growth rate. The periodic fusions permit mutual reactivation of otherwise lethally damaged protocells. If at least one damage-free copy of each RNA gene is present in the transient diploid, viable progeny can be formed. For two, rather than one, viable daughter cells to be produced would require an extra replication of the intact RNA gene homologous to any RNA gene that had been damaged prior to the division of the fused protocell. The cycle of haploid reproduction, with occasional fusion to a transient diploid state, followed by splitting to the haploid state, can be considered to be the sexual cycle in its most primitive form. In the absence of this sexual cycle, haploid protocells with damage in an essential RNA gene would simply die. This model for the early sexual cycle is hypothetical, but it is very similar to the known sexual behavior of the segmented RNA viruses, which are among the simplest organisms known. Influenza virus, whose genome consists of 8 physically separated single-stranded RNA segments, is an example of this type of virus. In segmented RNA viruses, "mating" can occur when a host cell is infected by at least two virus particles. If these viruses each contain an RNA segment with a lethal damage, multiple infection can lead to reactivation providing that at least one undamaged copy of each virus gene is present in the infected cell. This phenomenon is known as "multiplicity reactivation". Multiplicity reactivation has been reported to occur in influenza virus infections after induction of RNA damage by UV-irradiation, and ionizing radiation. Further developments Patrick Forterre has been working on a novel hypothesis, called "three viruses, three domains": that viruses were instrumental in the transition from RNA to DNA and the evolution of Bacteria, Archaea, and Eukaryota. He believes the last universal common ancestor was RNA-based and evolved RNA viruses. Some of the viruses evolved into DNA viruses to protect their genes from attack. Through the process of viral infection into hosts the three domains of life evolved. Another interesting proposal is the idea that RNA synthesis might have been driven by temperature gradients, in the process of thermosynthesis. Single nucleotides have been shown to catalyze organic reactions. Steven Benner has argued that chemical conditions on the planet Mars, such as the presence of boron, molybdenum, and oxygen, may have been better for initially producing RNA molecules than those on Earth. If so, life-suitable molecules, originating on Mars, may have later migrated to Earth via mechanisms of panspermia or similar process. Alternative hypotheses The hypothesized existence of an RNA world does not exclude a "Pre-RNA world", where a metabolic system based on a different nucleic acid is proposed to pre-date RNA. A candidate nucleic acid is peptide nucleic acid (PNA), which uses simple peptide bonds to link nucleobases. An alternative—or complementary—theory of RNA origin is proposed in the PAH world hypothesis, whereby polycyclic aromatic hydrocarbons (PAHs) mediate the synthesis of RNA molecules. PAHs are the most common and abundant of the known polyatomic molecules in the visible Universe and are a likely constituent of the primordial sea. PAHs and fullerenes (also implicated in the origin of life) have been detected in nebulae. Some of the difficulties of producing the precursors on earth are bypassed by another alternative or complementary theory for their origin, panspermia. It discusses the possibility that the earliest life on this planet was carried here from somewhere else in the galaxy, possibly on meteorites similar to the Murchison meteorite. Sugar molecules, including ribose, have been found in meteorites. Another proposal is that the dual-molecule system we see today, where a nucleotide-based molecule is needed to synthesize protein, and a peptide-based (protein) molecule is needed to make nucleic acid polymers, represents the original form of life. This theory is called RNA-peptide coevolution, or the Peptide-RNA world, and offers a possible explanation for the rapid evolution of high-quality replication in RNA (since proteins are catalysts), with the disadvantage of having to postulate the coincident formation of two complex molecules, an enzyme (from peptides) and a RNA (from nucleotides). In this Peptide-RNA World scenario, RNA would have contained the instructions for life, while peptides (simple protein enzymes) would have accelerated key chemical reactions to carry out those instructions. The study leaves open the question of exactly how those primitive systems managed to replicate themselves — something neither the RNA World hypothesis nor the Peptide-RNA World theory can yet explain, unless polymerases (enzymes that rapidly assemble the RNA molecule) played a role. A research project completed in March 2015 by the Sutherland group found that a network of reactions beginning with hydrogen cyanide and hydrogen sulfide, in streams of water irradiated by UV light, could produce the chemical components of proteins and lipids, alongside those of RNA. The researchers used the term "cyanosulfidic" to describe this network of reactions. In November 2017, a team at the Scripps Research Institute identified reactions involving the compound diamidophosphate which could have linked the chemical components into short peptide and lipid chains as well as short RNA-like chains of nucleotides. Implications The RNA world hypothesis, if true, has important implications for the definition of life and the origin of life. For most of the time that followed Franklin, Watson and Crick's elucidation of DNA structure in 1953, life was largely defined in terms of DNA and proteins: DNA and proteins seemed the dominant macromolecules in the living cell, with RNA only aiding in creating proteins from the DNA blueprint. The RNA world hypothesis places RNA at center-stage when life originated. The RNA world hypothesis is supported by the observations that ribosomes are ribozymes: the catalytic site is composed of RNA, and proteins hold no major structural role and are of peripheral functional importance. This was confirmed with the deciphering of the 3-dimensional structure of the ribosome in 2001. Specifically, peptide bond formation, the reaction that binds amino acids together into proteins, is now known to be catalyzed by an adenine residue in the rRNA. RNAs are known to play roles in other cellular catalytic processes, specifically in the targeting of enzymes to specific RNA sequences. In eukaryotes, the processing of pre-mRNA and RNA editing take place at sites determined by the base pairing between the target RNA and RNA constituents of small nuclear ribonucleoproteins (snRNPs). Such enzyme targeting is also responsible for gene down regulation through RNA interference (RNAi), where an enzyme-associated guide RNA targets specific mRNA for selective destruction. Likewise, in eukaryotes the maintenance of telomeres involves copying of an RNA template that is a constituent part of the telomerase ribonucleoprotein enzyme. Another cellular organelle, the vault, includes a ribonucleoprotein component, although the function of this organelle remains to be elucidated. See also References Further reading External links |
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[SOURCE: https://en.wikipedia.org/wiki/Uniform_Resource_Name] | [TOKENS: 1081] |
Contents Uniform Resource Name A Uniform Resource Name (URN) is a Uniform Resource Identifier (URI) that uses the urn scheme. URNs are globally unique persistent identifiers assigned within defined namespaces so they will be available for a long period of time, even after the resource which they identify ceases to exist or becomes unavailable. URNs cannot be used to directly locate an item and need not be resolvable, as they are simply templates that another parser may use to find an item. URIs, URNs, and URLs URNs were originally conceived to be part of a three-part information architecture for the Internet, along with Uniform Resource Locators (URLs) and Uniform Resource Characteristics (URCs), a metadata framework. As described in RFC 1737, and later in RFC 2141, URNs were distinguished from URLs, which identify resources by specifying their locations in the context of a particular access protocol, such as HTTP or FTP. In contrast, URNs were conceived as persistent, location-independent identifiers assigned within defined namespaces, typically by an authority responsible for the namespace, so that they are globally unique and persistent over long periods of time, even after the resource which they identify ceases to exist or becomes unavailable. URCs never progressed past the conceptual stage, and other technologies such as the Resource Description Framework later took their place. Since RFC 3986 in 2005, use of the terms "Uniform Resource Name" and "Uniform Resource Locator" has been deprecated in technical standards in favor of the term Uniform Resource Identifier (URI), which encompasses both, a view proposed in 2001 by a joint working group between the World Wide Web Consortium (W3C) and Internet Engineering Task Force (IETF). A URI is a string of characters used to identify or name a resource on the internet. URIs are used in many Internet protocols to refer to and access information resources. URI schemes include the http and ftp protocols, as well as hundreds of others. In the "contemporary view", as it is called, all URIs identify or name resources, perhaps uniquely and persistently, with some of them also being "locators" which are resolvable in conjunction with a specified protocol to a representation of the resources. Other URIs are not locators and are not necessarily resolvable within the bounds of the systems where they are found. These URIs may serve as names or identifiers of resources. Since resources can move, opaque identifiers which are not locators and are not bound to particular locations are arguably more likely than identifiers which are locators to remain unique and persistent over time. But whether a URI is resolvable depends on many operational and practical details, irrespective of whether it is called a "name" or a "locator". In the contemporary view, there is no bright line between "names" and "locators". In accord with this way of thinking, the distinction between Uniform Resource Names and Uniform Resource Locators is now no longer used in formal Internet Engineering Task Force technical standards, though the latter term, URL, is still in wide informal use. The term "URN" continues now as one of more than a hundred URI "schemes", urn:, paralleling http:, ftp:, and so forth. URIs of the urn: scheme are not locators, are not required to be associated with a particular protocol or access method, and need not be resolvable. They should be assigned by a procedure which provides some assurance that they will remain unique and identify the same resource persistently over a prolonged period. Some namespaces under the urn: scheme, such as urn:uuid: assign identifiers in a manner which does not require a registration authority, but most of them do. A typical URN namespace is urn:isbn, for International Standard Book Numbers. This view is continued in RFC 8141 (2017). There are other URI schemes, such as tag:, info: (now largely deprecated), and ni: which are similar to the urn: scheme in not being locators and not being associated with particular resolution or access protocols. Syntax The syntax of a urn: scheme URI is represented in the augmented Backus–Naur form as: or, in the form of a syntax diagram, as: In 2017, the syntax for URNs was updated: Namespaces In order to ensure the global uniqueness of URN namespaces, their identifiers (NIDs) are required to be registered with the IANA. Registered namespaces may be "formal" or "informal". An exception to the registration requirement was formerly made for "experimental namespaces", since rescinded by RFC 8141. Approximately sixty formal URN namespace identifiers have been registered. These are namespaces where Internet users are expected to benefit from their publication, and are subject to several restrictions. They must: Informal namespaces are registered with IANA and assigned a number sequence (chosen by IANA on a first-come-first-served basis) as an identifier, in the format Informal namespaces are fully fledged URN namespaces and can be registered in global registration services. An exception to the registration requirement was formerly made for "experimental namespaces". However, following the deprecation of the "X-" notation for new identifier names, RFC 8141 did away with experimental URN namespaces, indicating a preference for use of the urn:example namespace where appropriate. Examples See also References External links |
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[SOURCE: https://en.wikipedia.org/wiki/Python_(programming_language)#cite_note-py_dev_guide-175] | [TOKENS: 4314] |
Contents Python (programming language) Python is a high-level, general-purpose programming language. Its design philosophy emphasizes code readability with the use of significant indentation. Python is dynamically type-checked and garbage-collected. It supports multiple programming paradigms, including structured (particularly procedural), object-oriented and functional programming. Guido van Rossum began working on Python in the late 1980s as a successor to the ABC programming language. Python 3.0, released in 2008, was a major revision and not completely backward-compatible with earlier versions. Beginning with Python 3.5, capabilities and keywords for typing were added to the language, allowing optional static typing. As of 2026[update], the Python Software Foundation supports Python 3.10, 3.11, 3.12, 3.13, and 3.14, following the project's annual release cycle and five-year support policy. Python 3.15 is currently in the alpha development phase, and the stable release is expected to come out in October 2026. Earlier versions in the 3.x series have reached end-of-life and no longer receive security updates. Python has gained widespread use in the machine learning community. It is widely taught as an introductory programming language. Since 2003, Python has consistently ranked in the top ten of the most popular programming languages in the TIOBE Programming Community Index, which ranks based on searches in 24 platforms. History Python was conceived in the late 1980s by Guido van Rossum at Centrum Wiskunde & Informatica (CWI) in the Netherlands. It was designed as a successor to the ABC programming language, which was inspired by SETL, capable of exception handling and interfacing with the Amoeba operating system. Python implementation began in December 1989. Van Rossum first released it in 1991 as Python 0.9.0. Van Rossum assumed sole responsibility for the project, as the lead developer, until 12 July 2018, when he announced his "permanent vacation" from responsibilities as Python's "benevolent dictator for life" (BDFL); this title was bestowed on him by the Python community to reflect his long-term commitment as the project's chief decision-maker. (He has since come out of retirement and is self-titled "BDFL-emeritus".) In January 2019, active Python core developers elected a five-member Steering Council to lead the project. The name Python derives from the British comedy series Monty Python's Flying Circus. (See § Naming.) Python 2.0 was released on 16 October 2000, featuring many new features such as list comprehensions, cycle-detecting garbage collection, reference counting, and Unicode support. Python 2.7's end-of-life was initially set for 2015, and then postponed to 2020 out of concern that a large body of existing code could not easily be forward-ported to Python 3. It no longer receives security patches or updates. While Python 2.7 and older versions are officially unsupported, a different unofficial Python implementation, PyPy, continues to support Python 2, i.e., "2.7.18+" (plus 3.11), with the plus signifying (at least some) "backported security updates". Python 3.0 was released on 3 December 2008, and was a major revision and not completely backward-compatible with earlier versions, with some new semantics and changed syntax. Python 2.7.18, released in 2020, was the last release of Python 2. Several releases in the Python 3.x series have added new syntax to the language, and made a few (considered very minor) backward-incompatible changes. As of January 2026[update], Python 3.14.3 is the latest stable release. All older 3.x versions had a security update down to Python 3.9.24 then again with 3.9.25, the final version in 3.9 series. Python 3.10 is, since November 2025, the oldest supported branch. Python 3.15 has an alpha released, and Android has an official downloadable executable available for Python 3.14. Releases receive two years of full support followed by three years of security support. Design philosophy and features Python is a multi-paradigm programming language. Object-oriented programming and structured programming are fully supported, and many of their features support functional programming and aspect-oriented programming – including metaprogramming and metaobjects. Many other paradigms are supported via extensions, including design by contract and logic programming. Python is often referred to as a 'glue language' because it is purposely designed to be able to integrate components written in other languages. Python uses dynamic typing and a combination of reference counting and a cycle-detecting garbage collector for memory management. It uses dynamic name resolution (late binding), which binds method and variable names during program execution. Python's design offers some support for functional programming in the "Lisp tradition". It has filter, map, and reduce functions; list comprehensions, dictionaries, sets, and generator expressions. The standard library has two modules (itertools and functools) that implement functional tools borrowed from Haskell and Standard ML. Python's core philosophy is summarized in the Zen of Python (PEP 20) written by Tim Peters, which includes aphorisms such as these: However, Python has received criticism for violating these principles and adding unnecessary language bloat. Responses to these criticisms note that the Zen of Python is a guideline rather than a rule. The addition of some new features had been controversial: Guido van Rossum resigned as Benevolent Dictator for Life after conflict about adding the assignment expression operator in Python 3.8. Nevertheless, rather than building all functionality into its core, Python was designed to be highly extensible via modules. This compact modularity has made it particularly popular as a means of adding programmable interfaces to existing applications. Van Rossum's vision of a small core language with a large standard library and easily extensible interpreter stemmed from his frustrations with ABC, which represented the opposite approach. Python claims to strive for a simpler, less-cluttered syntax and grammar, while giving developers a choice in their coding methodology. Python lacks do .. while loops, which Rossum considered harmful. In contrast to Perl's motto "there is more than one way to do it", Python advocates an approach where "there should be one – and preferably only one – obvious way to do it". In practice, however, Python provides many ways to achieve a given goal. There are at least three ways to format a string literal, with no certainty as to which one a programmer should use. Alex Martelli is a Fellow at the Python Software Foundation and Python book author; he wrote that "To describe something as 'clever' is not considered a compliment in the Python culture." Python's developers typically prioritize readability over performance. For example, they reject patches to non-critical parts of the CPython reference implementation that would offer increases in speed that do not justify the cost of clarity and readability.[failed verification] Execution speed can be improved by moving speed-critical functions to extension modules written in languages such as C, or by using a just-in-time compiler like PyPy. Also, it is possible to transpile to other languages. However, this approach either fails to achieve the expected speed-up, since Python is a very dynamic language, or only a restricted subset of Python is compiled (with potential minor semantic changes). Python is meant to be a fun language to use. This goal is reflected in the name – a tribute to the British comedy group Monty Python – and in playful approaches to some tutorials and reference materials. For instance, some code examples use the terms "spam" and "eggs" (in reference to a Monty Python sketch), rather than the typical terms "foo" and "bar". A common neologism in the Python community is pythonic, which has a broad range of meanings related to program style: Pythonic code may use Python idioms well; be natural or show fluency in the language; or conform with Python's minimalist philosophy and emphasis on readability. Syntax and semantics Python is meant to be an easily readable language. Its formatting is visually uncluttered and often uses English keywords where other languages use punctuation. Unlike many other languages, it does not use curly brackets to delimit blocks, and semicolons after statements are allowed but rarely used. It has fewer syntactic exceptions and special cases than C or Pascal. Python uses whitespace indentation, rather than curly brackets or keywords, to delimit blocks. An increase in indentation comes after certain statements; a decrease in indentation signifies the end of the current block. Thus, the program's visual structure accurately represents its semantic structure. This feature is sometimes termed the off-side rule. Some other languages use indentation this way; but in most, indentation has no semantic meaning. The recommended indent size is four spaces. Python's statements include the following: The assignment statement (=) binds a name as a reference to a separate, dynamically allocated object. Variables may subsequently be rebound at any time to any object. In Python, a variable name is a generic reference holder without a fixed data type; however, it always refers to some object with a type. This is called dynamic typing—in contrast to statically-typed languages, where each variable may contain only a value of a certain type. Python does not support tail call optimization or first-class continuations; according to Van Rossum, the language never will. However, better support for coroutine-like functionality is provided by extending Python's generators. Before 2.5, generators were lazy iterators; data was passed unidirectionally out of the generator. From Python 2.5 on, it is possible to pass data back into a generator function; and from version 3.3, data can be passed through multiple stack levels. Python's expressions include the following: In Python, a distinction between expressions and statements is rigidly enforced, in contrast to languages such as Common Lisp, Scheme, or Ruby. This distinction leads to duplicating some functionality, for example: A statement cannot be part of an expression; because of this restriction, expressions such as list and dict comprehensions (and lambda expressions) cannot contain statements. As a particular case, an assignment statement such as a = 1 cannot be part of the conditional expression of a conditional statement. Python uses duck typing, and it has typed objects but untyped variable names. Type constraints are not checked at definition time; rather, operations on an object may fail at usage time, indicating that the object is not of an appropriate type. Despite being dynamically typed, Python is strongly typed, forbidding operations that are poorly defined (e.g., adding a number and a string) rather than quietly attempting to interpret them. Python allows programmers to define their own types using classes, most often for object-oriented programming. New instances of classes are constructed by calling the class, for example, SpamClass() or EggsClass()); the classes are instances of the metaclass type (which is an instance of itself), thereby allowing metaprogramming and reflection. Before version 3.0, Python had two kinds of classes, both using the same syntax: old-style and new-style. Current Python versions support the semantics of only the new style. Python supports optional type annotations. These annotations are not enforced by the language, but may be used by external tools such as mypy to catch errors. Python includes a module typing including several type names for type annotations. Also, mypy supports a Python compiler called mypyc, which leverages type annotations for optimization. 1.33333 frozenset() Python includes conventional symbols for arithmetic operators (+, -, *, /), the floor-division operator //, and the modulo operator %. (With the modulo operator, a remainder can be negative, e.g., 4 % -3 == -2.) Also, Python offers the ** symbol for exponentiation, e.g. 5**3 == 125 and 9**0.5 == 3.0. Also, it offers the matrix‑multiplication operator @ . These operators work as in traditional mathematics; with the same precedence rules, the infix operators + and - can also be unary, to represent positive and negative numbers respectively. Division between integers produces floating-point results. The behavior of division has changed significantly over time: In Python terms, the / operator represents true division (or simply division), while the // operator represents floor division. Before version 3.0, the / operator represents classic division. Rounding towards negative infinity, though a different method than in most languages, adds consistency to Python. For instance, this rounding implies that the equation (a + b)//b == a//b + 1 is always true. Also, the rounding implies that the equation b*(a//b) + a%b == a is valid for both positive and negative values of a. As expected, the result of a%b lies in the half-open interval [0, b), where b is a positive integer; however, maintaining the validity of the equation requires that the result must lie in the interval (b, 0] when b is negative. Python provides a round function for rounding a float to the nearest integer. For tie-breaking, Python 3 uses the round to even method: round(1.5) and round(2.5) both produce 2. Python versions before 3 used the round-away-from-zero method: round(0.5) is 1.0, and round(-0.5) is −1.0. Python allows Boolean expressions that contain multiple equality relations to be consistent with general usage in mathematics. For example, the expression a < b < c tests whether a is less than b and b is less than c. C-derived languages interpret this expression differently: in C, the expression would first evaluate a < b, resulting in 0 or 1, and that result would then be compared with c. Python uses arbitrary-precision arithmetic for all integer operations. The Decimal type/class in the decimal module provides decimal floating-point numbers to a pre-defined arbitrary precision with several rounding modes. The Fraction class in the fractions module provides arbitrary precision for rational numbers. Due to Python's extensive mathematics library and the third-party library NumPy, the language is frequently used for scientific scripting in tasks such as numerical data processing and manipulation. Functions are created in Python by using the def keyword. A function is defined similarly to how it is called, by first providing the function name and then the required parameters. Here is an example of a function that prints its inputs: To assign a default value to a function parameter in case no actual value is provided at run time, variable-definition syntax can be used inside the function header. Code examples "Hello, World!" program: Program to calculate the factorial of a non-negative integer: Libraries Python's large standard library is commonly cited as one of its greatest strengths. For Internet-facing applications, many standard formats and protocols such as MIME and HTTP are supported. The language includes modules for creating graphical user interfaces, connecting to relational databases, generating pseudorandom numbers, arithmetic with arbitrary-precision decimals, manipulating regular expressions, and unit testing. Some parts of the standard library are covered by specifications—for example, the Web Server Gateway Interface (WSGI) implementation wsgiref follows PEP 333—but most parts are specified by their code, internal documentation, and test suites. However, because most of the standard library is cross-platform Python code, only a few modules must be altered or rewritten for variant implementations. As of 13 March 2025,[update] the Python Package Index (PyPI), the official repository for third-party Python software, contains over 614,339 packages. Development environments Most[which?] Python implementations (including CPython) include a read–eval–print loop (REPL); this permits the environment to function as a command line interpreter, with which users enter statements sequentially and receive results immediately. Also, CPython is bundled with an integrated development environment (IDE) called IDLE, which is oriented toward beginners.[citation needed] Other shells, including IDLE and IPython, add additional capabilities such as improved auto-completion, session-state retention, and syntax highlighting. Standard desktop IDEs include PyCharm, Spyder, and Visual Studio Code; there are web browser-based IDEs, such as the following environments: Implementations CPython is the reference implementation of Python. This implementation is written in C, meeting the C11 standard since version 3.11. Older versions use the C89 standard with several select C99 features, but third-party extensions are not limited to older C versions—e.g., they can be implemented using C11 or C++. CPython compiles Python programs into an intermediate bytecode, which is then executed by a virtual machine. CPython is distributed with a large standard library written in a combination of C and native Python. CPython is available for many platforms, including Windows and most modern Unix-like systems, including macOS (and Apple M1 Macs, since Python 3.9.1, using an experimental installer). Starting with Python 3.9, the Python installer intentionally fails to install on Windows 7 and 8; Windows XP was supported until Python 3.5, with unofficial support for VMS. Platform portability was one of Python's earliest priorities. During development of Python 1 and 2, even OS/2 and Solaris were supported; since that time, support has been dropped for many platforms. All current Python versions (since 3.7) support only operating systems that feature multithreading, by now supporting not nearly as many operating systems (dropping many outdated) than in the past. All alternative implementations have at least slightly different semantics. For example, an alternative may include unordered dictionaries, in contrast to other current Python versions. As another example in the larger Python ecosystem, PyPy does not support the full C Python API. Creating an executable with Python often is done by bundling an entire Python interpreter into the executable, which causes binary sizes to be massive for small programs, yet there exist implementations that are capable of truly compiling Python. Alternative implementations include the following: Stackless Python is a significant fork of CPython that implements microthreads. This implementation uses the call stack differently, thus allowing massively concurrent programs. PyPy also offers a stackless version. Just-in-time Python compilers have been developed, but are now unsupported: There are several compilers/transpilers to high-level object languages; the source language is unrestricted Python, a subset of Python, or a language similar to Python: There are also specialized compilers: Some older projects existed, as well as compilers not designed for use with Python 3.x and related syntax: A performance comparison among various Python implementations, using a non-numerical (combinatorial) workload, was presented at EuroSciPy '13. In addition, Python's performance relative to other programming languages is benchmarked by The Computer Language Benchmarks Game. There are several approaches to optimizing Python performance, despite the inherent slowness of an interpreted language. These approaches include the following strategies or tools: Language Development Python's development is conducted mostly through the Python Enhancement Proposal (PEP) process; this process is the primary mechanism for proposing major new features, collecting community input on issues, and documenting Python design decisions. Python coding style is covered in PEP 8. Outstanding PEPs are reviewed and commented on by the Python community and the steering council. Enhancement of the language corresponds with development of the CPython reference implementation. The mailing list python-dev is the primary forum for the language's development. Specific issues were originally discussed in the Roundup bug tracker hosted by the foundation. In 2022, all issues and discussions were migrated to GitHub. Development originally took place on a self-hosted source-code repository running Mercurial, until Python moved to GitHub in January 2017. CPython's public releases have three types, distinguished by which part of the version number is incremented: Many alpha, beta, and release-candidates are also released as previews and for testing before final releases. Although there is a rough schedule for releases, they are often delayed if the code is not ready yet. Python's development team monitors the state of the code by running a large unit test suite during development. The major academic conference on Python is PyCon. Also, there are special Python mentoring programs, such as PyLadies. Naming Python's name is inspired by the British comedy group Monty Python, whom Python creator Guido van Rossum enjoyed while developing the language. Monty Python references appear frequently in Python code and culture; for example, the metasyntactic variables often used in Python literature are spam and eggs, rather than the traditional foo and bar. Also, the official Python documentation contains various references to Monty Python routines. Python users are sometimes referred to as "Pythonistas". Languages influenced by Python See also Notes References Further reading External links |
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Contents Meta Platforms Meta Platforms, Inc. (doing business as Meta) is an American multinational technology company headquartered in Menlo Park, California. Meta owns and operates several prominent social media platforms and communication services, including Facebook, Instagram, WhatsApp, Messenger, Threads and Manus. The company also operates an advertising network for its own sites and third parties; as of 2023[update], advertising accounted for 97.8 percent of its total revenue. Meta has been described as a part of Big Tech, which refers to the largest six tech companies in the United States, Alphabet (Google), Amazon, Apple, Meta (Facebook), Microsoft, and Nvidia, which are also the largest companies in the world by market capitalization. The company was originally established in 2004 as TheFacebook, Inc., and was renamed Facebook, Inc. in 2005. In 2021, it rebranded as Meta Platforms, Inc. to reflect a strategic shift toward developing the metaverse—an interconnected digital ecosystem spanning virtual and augmented reality technologies. In 2023, Meta was ranked 31st on the Forbes Global 2000 list of the world's largest public companies. As of 2022, it was the world's third-largest spender on research and development, with R&D expenses totaling US$35.3 billion. History Facebook filed for an initial public offering (IPO) on January 1, 2012. The preliminary prospectus stated that the company sought to raise $5 billion, had 845 million monthly active users, and a website accruing 2.7 billion likes and comments daily. After the IPO, Zuckerberg would retain 22% of the total shares and 57% of the total voting power in Facebook. Underwriters valued the shares at $38 each, valuing the company at $104 billion, the largest valuation yet for a newly public company. On May 16, one day before the IPO, Facebook announced it would sell 25% more shares than originally planned due to high demand. The IPO raised $16 billion, making it the third-largest in US history (slightly ahead of AT&T Mobility and behind only General Motors and Visa). The stock price left the company with a higher market capitalization than all but a few U.S. corporations—surpassing heavyweights such as Amazon, McDonald's, Disney, and Kraft Foods—and made Zuckerberg's stock worth $19 billion. The New York Times stated that the offering overcame questions about Facebook's difficulties in attracting advertisers to transform the company into a "must-own stock". Jimmy Lee of JPMorgan Chase described it as "the next great blue-chip". Writers at TechCrunch, on the other hand, expressed skepticism, stating, "That's a big multiple to live up to, and Facebook will likely need to add bold new revenue streams to justify the mammoth valuation." Trading in the stock, which began on May 18, was delayed that day due to technical problems with the Nasdaq exchange. The stock struggled to stay above the IPO price for most of the day, forcing underwriters to buy back shares to support the price. At the closing bell, shares were valued at $38.23, only $0.23 above the IPO price and down $3.82 from the opening bell value. The opening was widely described by the financial press as a disappointment. The stock set a new record for trading volume of an IPO. On May 25, 2012, the stock ended its first full week of trading at $31.91, a 16.5% decline. On May 22, 2012, regulators from Wall Street's Financial Industry Regulatory Authority announced that they had begun to investigate whether banks underwriting Facebook had improperly shared information only with select clients rather than the general public. Massachusetts Secretary of State William F. Galvin subpoenaed Morgan Stanley over the same issue. The allegations sparked "fury" among some investors and led to the immediate filing of several lawsuits, one of them a class action suit claiming more than $2.5 billion in losses due to the IPO. Bloomberg estimated that retail investors may have lost approximately $630 million on Facebook stock since its debut. S&P Global Ratings added Facebook to its S&P 500 index on December 21, 2013. On May 2, 2014, Zuckerberg announced that the company would be changing its internal motto from "Move fast and break things" to "Move fast with stable infrastructure". The earlier motto had been described as Zuckerberg's "prime directive to his developers and team" in a 2009 interview in Business Insider, in which he also said, "Unless you are breaking stuff, you are not moving fast enough." In November 2016, Facebook announced the Microsoft Windows client of gaming service Facebook Gameroom, formerly Facebook Games Arcade, at the Unity Technologies developers conference. The client allows Facebook users to play "native" games in addition to its web games. The service was closed in June 2021. Lasso was a short-video sharing app from Facebook similar to TikTok that was launched on iOS and Android in 2018 and was aimed at teenagers. On July 2, 2020, Facebook announced that Lasso would be shutting down on July 10. In 2018, the Oculus lead Jason Rubin sent his 50-page vision document titled "The Metaverse" to Facebook's leadership. In the document, Rubin acknowledged that Facebook's virtual reality business had not caught on as expected, despite the hundreds of millions of dollars spent on content for early adopters. He also urged the company to execute fast and invest heavily in the vision, to shut out HTC, Apple, Google and other competitors in the VR space. Regarding other players' participation in the metaverse vision, he called for the company to build the "metaverse" to prevent their competitors from "being in the VR business in a meaningful way at all". In May 2019, Facebook founded Libra Networks, reportedly to develop their own stablecoin cryptocurrency. Later, it was reported that Libra was being supported by financial companies such as Visa, Mastercard, PayPal and Uber. The consortium of companies was expected to pool in $10 million each to fund the launch of the cryptocurrency coin named Libra. Depending on when it would receive approval from the Swiss Financial Market Supervisory authority to operate as a payments service, the Libra Association had planned to launch a limited format cryptocurrency in 2021. Libra was renamed Diem, before being shut down and sold in January 2022 after backlash from Swiss government regulators and the public. During the COVID-19 pandemic, the use of online services, including Facebook, grew globally. Zuckerberg predicted this would be a "permanent acceleration" that would continue after the pandemic. Facebook hired aggressively, growing from 48,268 employees in March 2020 to more than 87,000 by September 2022. Following a period of intense scrutiny and damaging whistleblower leaks, news started to emerge on October 21, 2021 about Facebook's plan to rebrand the company and change its name. In the Q3 2021 earnings call on October 25, Mark Zuckerberg discussed the ongoing criticism of the company's social services and the way it operates, and pointed to the pivoting efforts to building the metaverse – without mentioning the rebranding and the name change. The metaverse vision and the name change from Facebook, Inc. to Meta Platforms was introduced at Facebook Connect on October 28, 2021. Based on Facebook's PR campaign, the name change reflects the company's shifting long term focus of building the metaverse, a digital extension of the physical world by social media, virtual reality and augmented reality features. "Meta" had been registered as a trademark in the United States in 2018 (after an initial filing in 2015) for marketing, advertising, and computer services, by a Canadian company that provided big data analysis of scientific literature. This company was acquired in 2017 by the Chan Zuckerberg Initiative (CZI), a foundation established by Zuckerberg and his wife, Priscilla Chan, and became one of their projects. Following the rebranding announcement, CZI announced that it had already decided to deprioritize the earlier Meta project, thus it would be transferring its rights to the name to Meta Platforms, and the previous project would end in 2022. Soon after the rebranding, in early February 2022, Meta reported a greater-than-expected decline in profits in the fourth quarter of 2021. It reported no growth in monthly users, and indicated it expected revenue growth to stall. It also expected measures taken by Apple Inc. to protect user privacy to cost it some $10 billion in advertisement revenue, an amount equal to roughly 8% of its revenue for 2021. In meeting with Meta staff the day after earnings were reported, Zuckerberg blamed competition for user attention, particularly from video-based apps such as TikTok. The 27% reduction in the company's share price which occurred in reaction to the news eliminated some $230 billion of value from Meta's market capitalization. Bloomberg described the decline as "an epic rout that, in its sheer scale, is unlike anything Wall Street or Silicon Valley has ever seen". Zuckerberg's net worth fell by as much as $31 billion. Zuckerberg owns 13% of Meta, and the holding makes up the bulk of his wealth. According to published reports by Bloomberg on March 30, 2022, Meta turned over data such as phone numbers, physical addresses, and IP addresses to hackers posing as law enforcement officials using forged documents. The law enforcement requests sometimes included forged signatures of real or fictional officials. When asked about the allegations, a Meta representative said, "We review every data request for legal sufficiency and use advanced systems and processes to validate law enforcement requests and detect abuse." In June 2022, Sheryl Sandberg, the chief operating officer of 14 years, announced she would step down that year. Zuckerberg said that Javier Olivan would replace Sandberg, though in a “more traditional” role. In March 2022, Meta (except Meta-owned WhatsApp) and Instagram were banned in Russia and added to the Russian list of terrorist and extremist organizations for alleged Russophobia and hate speech (up to genocidal calls) amid the ongoing Russian invasion of Ukraine. Meta appealed against the ban, but it was upheld by a Moscow court in June of the same year. Also in March 2022, Meta and Italian eyewear giant Luxottica released Ray-Ban Stories, a series of smartglasses which could play music and take pictures. Meta and Luxottica parent company EssilorLuxottica declined to disclose sales on the line of products as of September 2022, though Meta has expressed satisfaction with its customer feedback. In July 2022, Meta saw its first year-on-year revenue decline when its total revenue slipped by 1% to $28.8bn. Analysts and journalists accredited the loss to its advertising business, which has been limited by Apple's app tracking transparency feature and the number of people who have opted not to be tracked by Meta apps. Zuckerberg also accredited the decline to increasing competition from TikTok. On October 27, 2022, Meta's market value dropped to $268 billion, a loss of around $700 billion compared to 2021, and its shares fell by 24%. It lost its spot among the top 20 US companies by market cap, despite reaching the top 5 in the previous year. In November 2022, Meta laid off 11,000 employees, 13% of its workforce. Zuckerberg said the decision to aggressively increase Meta's investments had been a mistake, as he had wrongly predicted that the surge in e-commerce would last beyond the COVID-19 pandemic. He also attributed the decline to increased competition, a global economic downturn and "ads signal loss". Plans to lay off a further 10,000 employees began in April 2023. The layoffs were part of a general downturn in the technology industry, alongside layoffs by companies including Google, Amazon, Tesla, Snap, Twitter and Lyft. Starting from 2022, Meta scrambled to catch up to other tech companies in adopting specialized artificial intelligence hardware and software. It had been using less expensive CPUs instead of GPUs for AI work, but that approach turned out to be less efficient. The company gifted the Inter-university Consortium for Political and Social Research $1.3 million to finance the Social Media Archive's aim to make their data available to social science research. In 2023, Ireland's Data Protection Commissioner imposed a record EUR 1.2 billion fine on Meta for transferring data from Europe to the United States without adequate protections for EU citizens.: 250 In March 2023, Meta announced a new round of layoffs that would cut 10,000 employees and close 5,000 open positions to make the company more efficient. Meta revenue surpassed analyst expectations for the first quarter of 2023 after announcing that it was increasing its focus on AI. On July 6, Meta launched a new app, Threads, a competitor to Twitter. Meta announced its artificial intelligence model Llama 2 in July 2023, available for commercial use via partnerships with major cloud providers like Microsoft. It was the first project to be unveiled out of Meta's generative AI group after it was set up in February. It would not charge access or usage but instead operate with an open-source model to allow Meta to ascertain what improvements need to be made. Prior to this announcement, Meta said it had no plans to release Llama 2 for commercial use. An earlier version of Llama was released to academics. In August 2023, Meta announced its permanent removal of news content from Facebook and Instagram in Canada due to the Online News Act, which requires Canadian news outlets to be compensated for content shared on its platform. The Online News Act was in effect by year-end, but Meta will not participate in the regulatory process. In October 2023, Zuckerberg said that AI would be Meta's biggest investment area in 2024. Meta finished 2023 as one of the best-performing technology stocks of the year, with its share price up 150 percent. Its stock reached an all-time high in January 2024, bringing Meta within 2% of achieving $1 trillion market capitalization. In November 2023 Meta Platforms launched an ad-free service in Europe, allowing subscribers to opt-out of personal data being collected for targeted advertising. A group of 28 European organizations, including Max Schrems' advocacy group NOYB, the Irish Council for Civil Liberties, Wikimedia Europe, and the Electronic Privacy Information Center, signed a 2024 letter to the European Data Protection Board (EDPB) expressing concern that this subscriber model would undermine privacy protections, specifically GDPR data protection standards. Meta removed the Facebook and Instagram accounts of Iran's Supreme Leader Ali Khamenei in February 2024, citing repeated violations of its Dangerous Organizations & Individuals policy. As of March, Meta was under investigation by the FDA for alleged use of their social media platforms to sell illegal drugs. On 16 May 2024, the European Commission began an investigation into Meta over concerns related to child safety. In May 2023, Iraqi social media influencer Esaa Ahmed-Adnan encountered a troubling issue when Instagram removed his posts, citing false copyright violations despite his content being original and free from copyrighted material. He discovered that extortionists were behind these takedowns, offering to restore his content for $3,000 or provide ongoing protection for $1,000 per month. This scam, exploiting Meta’s rights management tools, became widespread in the Middle East, revealing a gap in Meta’s enforcement in developing regions. An Iraqi nonprofit Tech4Peace’s founder, Aws al-Saadi helped Ahmed-Adnan and others, but the restoration process was slow, leading to significant financial losses for many victims, including prominent figures like Ammar al-Hakim. This situation highlighted Meta’s challenges in balancing global growth with effective content moderation and protection. On 16 September 2024, Meta announced it had banned Russian state media outlets from its platforms worldwide due to concerns about "foreign interference activity." This decision followed allegations that RT and its employees funneled $10 million through shell companies to secretly fund influence campaigns on various social media channels. Meta's actions were part of a broader effort to counter Russian covert influence operations, which had intensified since the invasion. At its 2024 Connect conference, Meta presented Orion, its first pair of augmented reality glasses. Though Orion was originally intended to be sold to consumers, the manufacturing process turned out to be too complex and expensive. Instead, the company pivoted to producing a small number of the glasses to be used internally. On 4 October 2024, Meta announced about its new AI model called Movie Gen, capable of generating realistic video and audio clips based on user prompts. Meta stated it would not release Movie Gen for open development, preferring to collaborate directly with content creators and integrate it into its products by the following year. The model was built using a combination of licensed and publicly available datasets. On October 31, 2024, ProPublica published an investigation into deceptive political advertisement scams that sometimes use hundreds of hijacked profiles and facebook pages run by organized networks of scammers. The authors cited spotty enforcement by Meta as a major reason for the extent of the issue. In November 2024, TechCrunch reported that Meta were considering building a $10bn global underwater cable spanning 25,000 miles. In the same month, Meta closed down 2 million accounts on Facebook and Instagram that were linked to scam centers in Myanmar, Laos, Cambodia, the Philippines, and the United Arab Emirates doing pig butchering scams. In December 2024, Meta announced that, beginning February 2025, they would require advertisers to run ads about financial services in Australia to verify information about who are the beneficiary and the payer in a bid to regulate scams. On December 4, 2024, Meta announced it will invest US$10 billion for its largest AI data center in northeast Louisiana, powered by natural gas facilities. On the 11th of that month, Meta experienced a global outage, impacting accounts on all of their social media and messaging applications. Outage reports from DownDetector reached 70,000+ and 100,000+ within minutes for Instagram and Facebook, respectively. In January 2025, Meta announced plans to roll back its diversity, equity, and inclusion (DEI) initiatives, citing shifts in the "legal and policy landscape" in the United States following the 2024 presidential election. The decision followed reports that CEO Mark Zuckerberg sought to align the company more closely with the incoming Trump administration, including changes to content moderation policies and executive leadership. The new content moderation policies continued to bar insults about a person's intellect or mental illness, but made an exception to allow calling LGBTQ people mentally ill because they are gay or transgender. Later that month, Meta agreed to pay $25 million to settle a 2021 lawsuit brought by Donald Trump for suspending his social media accounts after the January 6 riots. Changes to Meta's moderation policies were controversial among its oversight board, with a significant divide in opinion between the board's US conservatives and its global members. In June 2025, Meta Platforms Inc. has decided to make a multibillion-dollar investment into artificial intelligence startup Scale AI. The financing could exceed $10 billion in value which would make it one of the largest private company funding events of all time. In October 2025, it was announced that Meta would be laying off 600 employees in the artificial intelligence unit to perform better and simpler. They referred to their AI unit as "bloated" and are seeking to trim down the department. This mass layoff is going to impact Meta’s AI infrastructure units, Fundamental Artificial Intelligence Research unit (FAIR) and other product-related positions. Mergers and acquisitions Meta has acquired multiple companies (often identified as talent acquisitions). One of its first major acquisitions was in April 2012, when it acquired Instagram for approximately US$1 billion in cash and stock. In October 2013, Facebook, Inc. acquired Onavo, an Israeli mobile web analytics company. In February 2014, Facebook, Inc. announced it would buy mobile messaging company WhatsApp for US$19 billion in cash and stock. The acquisition was completed on October 6. Later that year, Facebook bought Oculus VR for $2.3 billion in cash and stock, which released its first consumer virtual reality headset in 2016. In late November 2019, Facebook, Inc. announced the acquisition of the game developer Beat Games, responsible for developing one of that year's most popular VR games, Beat Saber. In Late 2022, after Facebook Inc rebranded to Meta Platforms Inc, Oculus was rebranded to Meta Quest. In May 2020, Facebook, Inc. announced it had acquired Giphy for a reported cash price of $400 million. It will be integrated with the Instagram team. However, in August 2021, UK's Competition and Markets Authority (CMA) stated that Facebook, Inc. might have to sell Giphy, after an investigation found that the deal between the two companies would harm competition in display advertising market. Facebook, Inc. was fined $70 million by CMA for deliberately failing to report all information regarding the acquisition and the ongoing antitrust investigation. In October 2022, the CMA ruled for a second time that Meta be required to divest Giphy, stating that Meta already controls half of the advertising in the UK. Meta agreed to the sale, though it stated that it disagrees with the decision itself. In May 2023, Giphy was divested to Shutterstock for $53 million. In November 2020, Facebook, Inc. announced that it planned to purchase the customer-service platform and chatbot specialist startup Kustomer to promote companies to use their platform for business. It has been reported that Kustomer valued at slightly over $1 billion. The deal was closed in February 2022 after regulatory approval. In September 2022, Meta acquired Lofelt, a Berlin-based haptic tech startup. In December 2025, it was announced Meta had acquired the AI-wearables startup, Limitless. In the same month, they also acquired another AI startup, Manus AI, for $2 billion. Manus announced in December that its platform had achieved $100mm in recurring revenue just 8 months after its launch and Meta said it will scale the platform to many other businesses. In January 2026, it was announced Meta proposed acquisition of Manus was undergoing preliminary scrutiny by Chinese regulators. The examination concerns the cross-border transfer of artificial intelligence technology developed in China. Lobbying In 2020, Facebook, Inc. spent $19.7 million on lobbying, hiring 79 lobbyists. In 2019, it had spent $16.7 million on lobbying and had a team of 71 lobbyists, up from $12.6 million and 51 lobbyists in 2018. Facebook was the largest spender of lobbying money among the Big Tech companies in 2020. The lobbying team includes top congressional aide John Branscome, who was hired in September 2021, to help the company fend off threats from Democratic lawmakers and the Biden administration. In December 2024, Meta donated $1 million to the inauguration fund for then-President-elect Donald Trump. In 2025, Meta was listed among the donors funding the construction of the White House State Ballroom. Partnerships February 2026, Meta announced a long-term partnership with Nvidia. Censorship In August 2024, Mark Zuckerberg sent a letter to Jim Jordan indicating that during the COVID-19 pandemic the Biden administration repeatedly asked Meta to limit certain COVID-19 content, including humor and satire, on Facebook and Instagram. In 2016 Meta hired Jordana Cutler, formerly an employee at the Israeli Embassy to the United States, as its policy chief for Israel and the Jewish Diaspora. In this role, Cutler pushed for the censorship of accounts belonging to Students for Justice in Palestine chapters in the United States. Critics have said that Cutler's position gives the Israeli government an undue influence over Meta policy, and that few countries have such high levels of contact with Meta policymakers. Following the election of Donald Trump in 2025, various sources noted possible censorship related to the Democratic Party on Instagram and other Meta platforms. In February 2025, a Meta rep flagged journalist Gil Duran's article and other "critiques of tech industry figures" as spam or sensitive content, limiting their reach. In March 2025, Meta attempted to block former employee Sarah Wynn-Williams from promoting or further distributing her memoir, Careless People, that includes allegations of unaddressed sexual harassment in the workplace by senior executives. The New York Times reports that the arbitration is among Meta's most forcible attempts to repudiate a former employee's account of workplace dynamics. Publisher Macmillan reacted to the ruling by the Emergency International Arbitral Tribunal by stating that it will ignore its provisions. As of 15 March 2025[update], hardback and digital versions of Careless People were being offered for sale by major online retailers. From October 2025, Meta began removing and restricting access for accounts related to LGBTQ, reproductive health and abortion information pages on its platforms. Martha Dimitratou, executive director of Repro Uncensored, called Meta's shadow-banning of these issues "One of the biggest waves of censorship we are seeing". Disinformation concerns Since its inception, Meta has been accused of being a host for fake news and misinformation. In the wake of the 2016 United States presidential election, Zuckerberg began to take steps to eliminate the prevalence of fake news, as the platform had been criticized for its potential influence on the outcome of the election. The company initially partnered with ABC News, the Associated Press, FactCheck.org, Snopes and PolitiFact for its fact-checking initiative; as of 2018, it had over 40 fact-checking partners across the world, including The Weekly Standard. A May 2017 review by The Guardian found that the platform's fact-checking initiatives of partnering with third-party fact-checkers and publicly flagging fake news were regularly ineffective, and appeared to be having minimal impact in some cases. In 2018, journalists working as fact-checkers for the company criticized the partnership, stating that it had produced minimal results and that the company had ignored their concerns. In 2024 Meta's decision to continue to disseminate a falsified video of US president Joe Biden, even after it had been proven to be fake, attracted criticism and concern. In January 2025, Meta ended its use of third-party fact-checkers in favor of a user-run community notes system similar to the one used on X. While Zuckerberg supported these changes, saying that the amount of censorship on the platform was excessive, the decision received criticism by fact-checking institutions, stating that the changes would make it more difficult for users to identify misinformation. Meta also faced criticism for weakening its policies on hate speech that were designed to protect minorities and LGBTQ+ individuals from bullying and discrimination. While moving its content review teams from California to Texas, Meta changed their hateful conduct policy to eliminate restrictions on anti-LGBT and anti-immigrant hate speech, as well as explicitly allowing users to accuse LGBT people of being mentally ill or abnormal based on their sexual orientation or gender identity. In January 2025, Meta faced significant criticism for its role in removing LGBTQ+ content from its platforms, amid its broader efforts to address anti-LGBTQ+ hate speech. The removal of LGBTQ+ themes was noted as part of the wider crackdown on content deemed to violate its community guidelines. Meta's content moderation policies, which were designed to combat harmful speech and protect users from discrimination, inadvertently led to the removal or restriction of LGBTQ+ content, particularly posts highlighting LGBTQ+ identities, support, or political issues. According to reports, LGBTQ+ posts, including those that simply celebrated pride or advocated for LGBTQ+ rights, were flagged and removed for reasons that some critics argue were vague or inconsistently applied. Many LGBTQ+ activists and users on Meta's platforms expressed concern that such actions stifled visibility and expression, potentially isolating LGBTQ+ individuals and communities, especially in spaces that were historically important for outreach and support. Lawsuits Numerous lawsuits have been filed against the company, both when it was known as Facebook, Inc., and as Meta Platforms. In March 2020, the Office of the Australian Information Commissioner (OAIC) sued Facebook, for significant and persistent infringements of the rule on privacy involving the Cambridge Analytica fiasco. Every violation of the Privacy Act is subject to a theoretical cumulative liability of $1.7 million. The OAIC estimated that a total of 311,127 Australians had been exposed. On December 8, 2020, the U.S. Federal Trade Commission and 46 states (excluding Alabama, Georgia, South Carolina, and South Dakota), the District of Columbia and the territory of Guam, launched Federal Trade Commission v. Facebook as an antitrust lawsuit against Facebook. The lawsuit concerns Facebook's acquisition of two competitors—Instagram and WhatsApp—and the ensuing monopolistic situation. FTC alleges that Facebook holds monopolistic power in the U.S. social networking market and seeks to force the company to divest from Instagram and WhatsApp to break up the conglomerate. William Kovacic, a former chairman of the Federal Trade Commission, argued the case will be difficult to win as it would require the government to create a counterfactual argument of an internet where the Facebook-WhatsApp-Instagram entity did not exist, and prove that harmed competition or consumers. In November 2025, it was ruled that Meta did not violate antitrust laws and holds no monopoly in the market. On December 24, 2021, a court in Russia fined Meta for $27 million after the company declined to remove unspecified banned content. The fine was reportedly tied to the company's annual revenue in the country. In May 2022, a lawsuit was filed in Kenya against Meta and its local outsourcing company Sama. Allegedly, Meta has poor working conditions in Kenya for workers moderating Facebook posts. According to the lawsuit, 260 screeners were declared redundant with confusing reasoning. The lawsuit seeks financial compensation and an order that outsourced moderators be given the same health benefits and pay scale as Meta employees. In June 2022, 8 lawsuits were filed across the U.S. over the allege that excessive exposure to platforms including Facebook and Instagram has led to attempted or actual suicides, eating disorders and sleeplessness, among other issues. The litigation follows a former Facebook employee's testimony in Congress that the company refused to take responsibility. The company noted that tools have been developed for parents to keep track of their children's activity on Instagram and set time limits, in addition to Meta's "Take a break" reminders. In addition, the company is providing resources specific to eating disorders as well as developing AI to prevent children under the age of 13 signing up for Facebook or Instagram. In June 2022, Meta settled a lawsuit with the US Department of Justice. The lawsuit, which was filed in 2019, alleged that the company enabled housing discrimination through targeted advertising, as it allowed homeowners and landlords to run housing ads excluding people based on sex, race, religion, and other characteristics. The U.S. Department of Justice stated that this was in violation of the Fair Housing Act. Meta was handed a penalty of $115,054 and given until December 31, 2022, to shadow the algorithm tool. In January 2023, Meta was fined €390 million for violations of the European Union General Data Protection Regulation. In May 2023, the European Data Protection Board fined Meta a record €1.2 billion for breaching European Union data privacy laws by transferring personal data of Facebook users to servers in the U.S. In July 2024, Meta agreed to pay the state of Texas US$1.4 billion to settle a lawsuit brought by Texas Attorney General Ken Paxton accusing the company of collecting users' biometric data without consent, setting a record for the largest privacy-related settlement ever obtained by a state attorney general. In October 2024, Meta Platforms faced lawsuits in Japan from 30 plaintiffs who claimed they were defrauded by fake investment ads on Facebook and Instagram, featuring false celebrity endorsements. The plaintiffs are seeking approximately $2.8 million in damages. In April 2025, the Kenyan High Court ruled that a US$2.4 billion lawsuit in which three plaintiffs claim that Facebook inflamed civil violence in Ethiopia in 2021 could proceed. In April 2025, Meta was fined €200 million ($230 million) for breaking the Digital Markets Act, by imposing a “consent or pay” system that forces users to either allow their personal data to be used to target advertisements, or pay a subscription fee for advertising-free versions of Facebook and Instagram. In late April 2025, a case was filed against Meta in Ghana over the alleged psychological distress experienced by content moderators employed to take down disturbing social media content including depictions of murders, extreme violence and child sexual abuse. Meta moved the moderation service to the Ghanaian capital of Accra after legal issues in the previous location Kenya. The new moderation company is Teleperformance, a multinational corporation with a history of worker's rights violation. Reports suggests the conditions are worse here than in the previous Kenyan location, with many workers afraid of speaking out due to fear of returning to conflict zones. Workers reported developing mental illnesses, attempted suicides, and low pay. In 26 January 2026, a New Mexico state court case was filed, suggesting that Mark Zuckerberg approved allowing minors to access artificial intelligence chatbot companions that safety staffers warned were capable of sexual interactions. In 2020, the company UReputation, which had been involved in several cases concerning the management of digital armies[clarification needed], filed a lawsuit against Facebook, accusing it of unlawfully transmitting personal data to third parties. Legal actions were initiated in Tunisia, France, and the United States. In 2025, the United States District court for the Northern District of Georgia approved a discovery procedure, allowing UReputation to access documents and evidence held by Meta. Structure Meta's key management consists of: As of October 2022[update], Meta had 83,553 employees worldwide. As of June 2024[update], Meta's board consisted of the following directors; Meta Platforms is mainly owned by institutional investors, who hold around 80% of all shares. Insiders control the majority of voting shares. The three largest individual investors in 2024 were Mark Zuckerberg, Sheryl Sandberg and Christopher K. Cox. The largest shareholders in late 2024/early 2025 were: Roger McNamee, an early Facebook investor and Zuckerberg's former mentor, said Facebook had "the most centralized decision-making structure I have ever encountered in a large company". Facebook co-founder Chris Hughes has stated that chief executive officer Mark Zuckerberg has too much power, that the company is now a monopoly, and that, as a result, it should be split into multiple smaller companies. In an op-ed in The New York Times, Hughes said he was concerned that Zuckerberg had surrounded himself with a team that did not challenge him, and that it is the U.S. government's job to hold him accountable and curb his "unchecked power". He also said that "Mark's power is unprecedented and un-American." Several U.S. politicians agreed with Hughes. European Union Commissioner for Competition Margrethe Vestager stated that splitting Facebook should be done only as "a remedy of the very last resort", and that it would not solve Facebook's underlying problems. Revenue Facebook ranked No. 34 in the 2020 Fortune 500 list of the largest United States corporations by revenue, with almost $86 billion in revenue most of it coming from advertising. One analysis of 2017 data determined that the company earned US$20.21 per user from advertising. According to New York, since its rebranding, Meta has reportedly lost $500 billion as a result of new privacy measures put in place by companies such as Apple and Google which prevents Meta from gathering users' data. In February 2015, Facebook announced it had reached two million active advertisers, with most of the gain coming from small businesses. An active advertiser was defined as an entity that had advertised on the Facebook platform in the last 28 days. In March 2016, Facebook announced it had reached three million active advertisers with more than 70% from outside the United States. Prices for advertising follow a variable pricing model based on auctioning ad placements, and potential engagement levels of the advertisement itself. Similar to other online advertising platforms like Google and Twitter, targeting of advertisements is one of the chief merits of digital advertising compared to traditional media. Marketing on Meta is employed through two methods based on the viewing habits, likes and shares, and purchasing data of the audience, namely targeted audiences and "look alike" audiences. The U.S. IRS challenged the valuation Facebook used when it transferred IP from the U.S. to Facebook Ireland (now Meta Platforms Ireland) in 2010 (which Facebook Ireland then revalued higher before charging out), as it was building its double Irish tax structure. The case is ongoing and Meta faces a potential fine of $3–5bn. The U.S. Tax Cuts and Jobs Act of 2017 changed Facebook's global tax calculations. Meta Platforms Ireland is subject to the U.S. GILTI tax of 10.5% on global intangible profits (i.e. Irish profits). On the basis that Meta Platforms Ireland Limited is paying some tax, the effective minimum US tax for Facebook Ireland will be circa 11%. In contrast, Meta Platforms Inc. would incur a special IP tax rate of 13.125% (the FDII rate) if its Irish business relocated to the U.S. Tax relief in the U.S. (21% vs. Irish at the GILTI rate) and accelerated capital expensing, would make this effective U.S. rate around 12%. The insignificance of the U.S./Irish tax difference was demonstrated when Facebook moved 1.5bn non-EU accounts to the U.S. to limit exposure to GDPR. Facilities Users outside of the U.S. and Canada contract with Meta's Irish subsidiary, Meta Platforms Ireland Limited (formerly Facebook Ireland Limited), allowing Meta to avoid US taxes for all users in Europe, Asia, Australia, Africa and South America. Meta is making use of the Double Irish arrangement which allows it to pay 2–3% corporation tax on all international revenue. In 2010, Facebook opened its fourth office, in Hyderabad, India, which houses online advertising and developer support teams and provides support to users and advertisers. In India, Meta is registered as Facebook India Online Services Pvt Ltd. It also has offices or planned sites in Chittagong, Bangladesh; Dublin, Ireland; and Austin, Texas, among other cities. Facebook opened its London headquarters in 2017 in Fitzrovia in central London. Facebook opened an office in Cambridge, Massachusetts in 2018. The offices were initially home to the "Connectivity Lab", a group focused on bringing Internet access to those who do not have access to the Internet. In April 2019, Facebook opened its Taiwan headquarters in Taipei. In March 2022, Meta opened new regional headquarters in Dubai. In September 2023, it was reported that Meta had paid £149m to British Land to break the lease on Triton Square London office. Meta reportedly had another 18 years left on its lease on the site. As of 2023, Facebook operated 21 data centers. It committed to purchase 100% renewable energy and to reduce its greenhouse gas emissions 75% by 2020. Its data center technologies include Fabric Aggregator, a distributed network system that accommodates larger regions and varied traffic patterns. Reception US Representative Alexandria Ocasio-Cortez responded in a tweet to Zuckerberg's announcement about Meta, saying: "Meta as in 'we are a cancer to democracy metastasizing into a global surveillance and propaganda machine for boosting authoritarian regimes and destroying civil society ... for profit!'" Ex-Facebook employee Frances Haugen and whistleblower behind the Facebook Papers responded to the rebranding efforts by expressing doubts about the company's ability to improve while led by Mark Zuckerberg, and urged the chief executive officer to resign. In November 2021, a video published by Inspired by Iceland went viral, in which a Zuckerberg look-alike promoted the Icelandverse, a place of "enhanced actual reality without silly looking headsets". In a December 2021 interview, SpaceX and Tesla chief executive officer Elon Musk said he could not see a compelling use-case for the VR-driven metaverse, adding: "I don't see someone strapping a frigging screen to their face all day." In January 2022, Louise Eccles of The Sunday Times logged into the metaverse with the intention of making a video guide. She wrote: Initially, my experience with the Oculus went well. I attended work meetings as an avatar and tried an exercise class set in the streets of Paris. The headset enabled me to feel the thrill of carving down mountains on a snowboard and the adrenaline rush of climbing a mountain without ropes. Yet switching to the social apps, where you mingle with strangers also using VR headsets, it was at times predatory and vile. Eccles described being sexually harassed by another user, as well as "accents from all over the world, American, Indian, English, Australian, using racist, sexist, homophobic and transphobic language". She also encountered users as young as 7 years old on the platform, despite Oculus headsets being intended for users over 13. See also References External links 37°29′06″N 122°08′54″W / 37.48500°N 122.14833°W / 37.48500; -122.14833 |
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[SOURCE: https://en.wikipedia.org/wiki/Animal#cite_note-141] | [TOKENS: 6011] |
Contents Animal Animals are multicellular, eukaryotic organisms belonging to the biological kingdom Animalia (/ˌænɪˈmeɪliə/). With few exceptions, animals consume organic material, breathe oxygen, have myocytes and are able to move, can reproduce sexually, and grow from a hollow sphere of cells, the blastula, during embryonic development. Animals form a clade, meaning that they arose from a single common ancestor. Over 1.5 million living animal species have been described, of which around 1.05 million are insects, over 85,000 are molluscs, and around 65,000 are vertebrates. It has been estimated there are as many as 7.77 million animal species on Earth. Animal body lengths range from 8.5 μm (0.00033 in) to 33.6 m (110 ft). They have complex ecologies and interactions with each other and their environments, forming intricate food webs. The scientific study of animals is known as zoology, and the study of animal behaviour is known as ethology. The animal kingdom is divided into five major clades, namely Porifera, Ctenophora, Placozoa, Cnidaria and Bilateria. Most living animal species belong to the clade Bilateria, a highly proliferative clade whose members have a bilaterally symmetric and significantly cephalised body plan, and the vast majority of bilaterians belong to two large clades: the protostomes, which includes organisms such as arthropods, molluscs, flatworms, annelids and nematodes; and the deuterostomes, which include echinoderms, hemichordates and chordates, the latter of which contains the vertebrates. The much smaller basal phylum Xenacoelomorpha have an uncertain position within Bilateria. Animals first appeared in the fossil record in the late Cryogenian period and diversified in the subsequent Ediacaran period in what is known as the Avalon explosion. Nearly all modern animal phyla first appeared in the fossil record as marine species during the Cambrian explosion, which began around 539 million years ago (Mya), and most classes during the Ordovician radiation 485.4 Mya. Common to all living animals, 6,331 groups of genes have been identified that may have arisen from a single common ancestor that lived about 650 Mya during the Cryogenian period. Historically, Aristotle divided animals into those with blood and those without. Carl Linnaeus created the first hierarchical biological classification for animals in 1758 with his Systema Naturae, which Jean-Baptiste Lamarck expanded into 14 phyla by 1809. In 1874, Ernst Haeckel divided the animal kingdom into the multicellular Metazoa (now synonymous with Animalia) and the Protozoa, single-celled organisms no longer considered animals. In modern times, the biological classification of animals relies on advanced techniques, such as molecular phylogenetics, which are effective at demonstrating the evolutionary relationships between taxa. Humans make use of many other animal species for food (including meat, eggs, and dairy products), for materials (such as leather, fur, and wool), as pets and as working animals for transportation, and services. Dogs, the first domesticated animal, have been used in hunting, in security and in warfare, as have horses, pigeons and birds of prey; while other terrestrial and aquatic animals are hunted for sports, trophies or profits. Non-human animals are also an important cultural element of human evolution, having appeared in cave arts and totems since the earliest times, and are frequently featured in mythology, religion, arts, literature, heraldry, politics, and sports. Etymology The word animal comes from the Latin noun animal of the same meaning, which is itself derived from Latin animalis 'having breath or soul'. The biological definition includes all members of the kingdom Animalia. In colloquial usage, the term animal is often used to refer only to nonhuman animals. The term metazoa is derived from Ancient Greek μετα meta 'after' (in biology, the prefix meta- stands for 'later') and ζῷᾰ zōia 'animals', plural of ζῷον zōion 'animal'. A metazoan is any member of the group Metazoa. Characteristics Animals have several characteristics that they share with other living things. Animals are eukaryotic, multicellular, and aerobic, as are plants and fungi. Unlike plants and algae, which produce their own food, animals cannot produce their own food, a feature they share with fungi. Animals ingest organic material and digest it internally. Animals have structural characteristics that set them apart from all other living things: Typically, there is an internal digestive chamber with either one opening (in Ctenophora, Cnidaria, and flatworms) or two openings (in most bilaterians). Animal development is controlled by Hox genes, which signal the times and places to develop structures such as body segments and limbs. During development, the animal extracellular matrix forms a relatively flexible framework upon which cells can move about and be reorganised into specialised tissues and organs, making the formation of complex structures possible, and allowing cells to be differentiated. The extracellular matrix may be calcified, forming structures such as shells, bones, and spicules. In contrast, the cells of other multicellular organisms (primarily algae, plants, and fungi) are held in place by cell walls, and so develop by progressive growth. Nearly all animals make use of some form of sexual reproduction. They produce haploid gametes by meiosis; the smaller, motile gametes are spermatozoa and the larger, non-motile gametes are ova. These fuse to form zygotes, which develop via mitosis into a hollow sphere, called a blastula. In sponges, blastula larvae swim to a new location, attach to the seabed, and develop into a new sponge. In most other groups, the blastula undergoes more complicated rearrangement. It first invaginates to form a gastrula with a digestive chamber and two separate germ layers, an external ectoderm and an internal endoderm. In most cases, a third germ layer, the mesoderm, also develops between them. These germ layers then differentiate to form tissues and organs. Repeated instances of mating with a close relative during sexual reproduction generally leads to inbreeding depression within a population due to the increased prevalence of harmful recessive traits. Animals have evolved numerous mechanisms for avoiding close inbreeding. Some animals are capable of asexual reproduction, which often results in a genetic clone of the parent. This may take place through fragmentation; budding, such as in Hydra and other cnidarians; or parthenogenesis, where fertile eggs are produced without mating, such as in aphids. Ecology Animals are categorised into ecological groups depending on their trophic levels and how they consume organic material. Such groupings include carnivores (further divided into subcategories such as piscivores, insectivores, ovivores, etc.), herbivores (subcategorised into folivores, graminivores, frugivores, granivores, nectarivores, algivores, etc.), omnivores, fungivores, scavengers/detritivores, and parasites. Interactions between animals of each biome form complex food webs within that ecosystem. In carnivorous or omnivorous species, predation is a consumer–resource interaction where the predator feeds on another organism, its prey, who often evolves anti-predator adaptations to avoid being fed upon. Selective pressures imposed on one another lead to an evolutionary arms race between predator and prey, resulting in various antagonistic/competitive coevolutions. Almost all multicellular predators are animals. Some consumers use multiple methods; for example, in parasitoid wasps, the larvae feed on the hosts' living tissues, killing them in the process, but the adults primarily consume nectar from flowers. Other animals may have very specific feeding behaviours, such as hawksbill sea turtles which mainly eat sponges. Most animals rely on biomass and bioenergy produced by plants and phytoplanktons (collectively called producers) through photosynthesis. Herbivores, as primary consumers, eat the plant material directly to digest and absorb the nutrients, while carnivores and other animals on higher trophic levels indirectly acquire the nutrients by eating the herbivores or other animals that have eaten the herbivores. Animals oxidise carbohydrates, lipids, proteins and other biomolecules in cellular respiration, which allows the animal to grow and to sustain basal metabolism and fuel other biological processes such as locomotion. Some benthic animals living close to hydrothermal vents and cold seeps on the dark sea floor consume organic matter produced through chemosynthesis (via oxidising inorganic compounds such as hydrogen sulfide) by archaea and bacteria. Animals originated in the ocean; all extant animal phyla, except for Micrognathozoa and Onychophora, feature at least some marine species. However, several lineages of arthropods begun to colonise land around the same time as land plants, probably between 510 and 471 million years ago, during the Late Cambrian or Early Ordovician. Vertebrates such as the lobe-finned fish Tiktaalik started to move on to land in the late Devonian, about 375 million years ago. Other notable animal groups that colonized land environments are Mollusca, Platyhelmintha, Annelida, Tardigrada, Onychophora, Rotifera, Nematoda. Animals occupy virtually all of earth's habitats and microhabitats, with faunas adapted to salt water, hydrothermal vents, fresh water, hot springs, swamps, forests, pastures, deserts, air, and the interiors of other organisms. Animals are however not particularly heat tolerant; very few of them can survive at constant temperatures above 50 °C (122 °F) or in the most extreme cold deserts of continental Antarctica. The collective global geomorphic influence of animals on the processes shaping the Earth's surface remains largely understudied, with most studies limited to individual species and well-known exemplars. Diversity The blue whale (Balaenoptera musculus) is the largest animal that has ever lived, weighing up to 190 tonnes and measuring up to 33.6 metres (110 ft) long. The largest extant terrestrial animal is the African bush elephant (Loxodonta africana), weighing up to 12.25 tonnes and measuring up to 10.67 metres (35.0 ft) long. The largest terrestrial animals that ever lived were titanosaur sauropod dinosaurs such as Argentinosaurus, which may have weighed as much as 73 tonnes, and Supersaurus which may have reached 39 metres. Several animals are microscopic; some Myxozoa (obligate parasites within the Cnidaria) never grow larger than 20 μm, and one of the smallest species (Myxobolus shekel) is no more than 8.5 μm when fully grown. The following table lists estimated numbers of described extant species for the major animal phyla, along with their principal habitats (terrestrial, fresh water, and marine), and free-living or parasitic ways of life. Species estimates shown here are based on numbers described scientifically; much larger estimates have been calculated based on various means of prediction, and these can vary wildly. For instance, around 25,000–27,000 species of nematodes have been described, while published estimates of the total number of nematode species include 10,000–20,000; 500,000; 10 million; and 100 million. Using patterns within the taxonomic hierarchy, the total number of animal species—including those not yet described—was calculated to be about 7.77 million in 2011.[a] 3,000–6,500 4,000–25,000 Evolutionary origin Evidence of animals is found as long ago as the Cryogenian period. 24-Isopropylcholestane (24-ipc) has been found in rocks from roughly 650 million years ago; it is only produced by sponges and pelagophyte algae. Its likely origin is from sponges based on molecular clock estimates for the origin of 24-ipc production in both groups. Analyses of pelagophyte algae consistently recover a Phanerozoic origin, while analyses of sponges recover a Neoproterozoic origin, consistent with the appearance of 24-ipc in the fossil record. The first body fossils of animals appear in the Ediacaran, represented by forms such as Charnia and Spriggina. It had long been doubted whether these fossils truly represented animals, but the discovery of the animal lipid cholesterol in fossils of Dickinsonia establishes their nature. Animals are thought to have originated under low-oxygen conditions, suggesting that they were capable of living entirely by anaerobic respiration, but as they became specialised for aerobic metabolism they became fully dependent on oxygen in their environments. Many animal phyla first appear in the fossil record during the Cambrian explosion, starting about 539 million years ago, in beds such as the Burgess Shale. Extant phyla in these rocks include molluscs, brachiopods, onychophorans, tardigrades, arthropods, echinoderms and hemichordates, along with numerous now-extinct forms such as the predatory Anomalocaris. The apparent suddenness of the event may however be an artefact of the fossil record, rather than showing that all these animals appeared simultaneously. That view is supported by the discovery of Auroralumina attenboroughii, the earliest known Ediacaran crown-group cnidarian (557–562 mya, some 20 million years before the Cambrian explosion) from Charnwood Forest, England. It is thought to be one of the earliest predators, catching small prey with its nematocysts as modern cnidarians do. Some palaeontologists have suggested that animals appeared much earlier than the Cambrian explosion, possibly as early as 1 billion years ago. Early fossils that might represent animals appear for example in the 665-million-year-old rocks of the Trezona Formation of South Australia. These fossils are interpreted as most probably being early sponges. Trace fossils such as tracks and burrows found in the Tonian period (from 1 gya) may indicate the presence of triploblastic worm-like animals, roughly as large (about 5 mm wide) and complex as earthworms. However, similar tracks are produced by the giant single-celled protist Gromia sphaerica, so the Tonian trace fossils may not indicate early animal evolution. Around the same time, the layered mats of microorganisms called stromatolites decreased in diversity, perhaps due to grazing by newly evolved animals. Objects such as sediment-filled tubes that resemble trace fossils of the burrows of wormlike animals have been found in 1.2 gya rocks in North America, in 1.5 gya rocks in Australia and North America, and in 1.7 gya rocks in Australia. Their interpretation as having an animal origin is disputed, as they might be water-escape or other structures. Phylogeny Animals are monophyletic, meaning they are derived from a common ancestor. Animals are the sister group to the choanoflagellates, with which they form the Choanozoa. Ros-Rocher and colleagues (2021) trace the origins of animals to unicellular ancestors, providing the external phylogeny shown in the cladogram. Uncertainty of relationships is indicated with dashed lines. The animal clade had certainly originated by 650 mya, and may have come into being as much as 800 mya, based on molecular clock evidence for different phyla. Holomycota (inc. fungi) Ichthyosporea Pluriformea Filasterea The relationships at the base of the animal tree have been debated. Other than Ctenophora, the Bilateria and Cnidaria are the only groups with symmetry, and other evidence shows they are closely related. In addition to sponges, Placozoa has no symmetry and was often considered a "missing link" between protists and multicellular animals. The presence of hox genes in Placozoa shows that they were once more complex. The Porifera (sponges) have long been assumed to be sister to the rest of the animals, but there is evidence that the Ctenophora may be in that position. Molecular phylogenetics has supported both the sponge-sister and ctenophore-sister hypotheses. In 2017, Roberto Feuda and colleagues, using amino acid differences, presented both, with the following cladogram for the sponge-sister view that they supported (their ctenophore-sister tree simply interchanging the places of ctenophores and sponges): Porifera Ctenophora Placozoa Cnidaria Bilateria Conversely, a 2023 study by Darrin Schultz and colleagues uses ancient gene linkages to construct the following ctenophore-sister phylogeny: Ctenophora Porifera Placozoa Cnidaria Bilateria Sponges are physically very distinct from other animals, and were long thought to have diverged first, representing the oldest animal phylum and forming a sister clade to all other animals. Despite their morphological dissimilarity with all other animals, genetic evidence suggests sponges may be more closely related to other animals than the comb jellies are. Sponges lack the complex organisation found in most other animal phyla; their cells are differentiated, but in most cases not organised into distinct tissues, unlike all other animals. They typically feed by drawing in water through pores, filtering out small particles of food. The Ctenophora and Cnidaria are radially symmetric and have digestive chambers with a single opening, which serves as both mouth and anus. Animals in both phyla have distinct tissues, but these are not organised into discrete organs. They are diploblastic, having only two main germ layers, ectoderm and endoderm. The tiny placozoans have no permanent digestive chamber and no symmetry; they superficially resemble amoebae. Their phylogeny is poorly defined, and under active research. The remaining animals, the great majority—comprising some 29 phyla and over a million species—form the Bilateria clade, which have a bilaterally symmetric body plan. The Bilateria are triploblastic, with three well-developed germ layers, and their tissues form distinct organs. The digestive chamber has two openings, a mouth and an anus, and in the Nephrozoa there is an internal body cavity, a coelom or pseudocoelom. These animals have a head end (anterior) and a tail end (posterior), a back (dorsal) surface and a belly (ventral) surface, and a left and a right side. A modern consensus phylogenetic tree for the Bilateria is shown below. Xenacoelomorpha Ambulacraria Chordata Ecdysozoa Spiralia Having a front end means that this part of the body encounters stimuli, such as food, favouring cephalisation, the development of a head with sense organs and a mouth. Many bilaterians have a combination of circular muscles that constrict the body, making it longer, and an opposing set of longitudinal muscles, that shorten the body; these enable soft-bodied animals with a hydrostatic skeleton to move by peristalsis. They also have a gut that extends through the basically cylindrical body from mouth to anus. Many bilaterian phyla have primary larvae which swim with cilia and have an apical organ containing sensory cells. However, over evolutionary time, descendant spaces have evolved which have lost one or more of each of these characteristics. For example, adult echinoderms are radially symmetric (unlike their larvae), while some parasitic worms have extremely simplified body structures. Genetic studies have considerably changed zoologists' understanding of the relationships within the Bilateria. Most appear to belong to two major lineages, the protostomes and the deuterostomes. It is often suggested that the basalmost bilaterians are the Xenacoelomorpha, with all other bilaterians belonging to the subclade Nephrozoa. However, this suggestion has been contested, with other studies finding that xenacoelomorphs are more closely related to Ambulacraria than to other bilaterians. Protostomes and deuterostomes differ in several ways. Early in development, deuterostome embryos undergo radial cleavage during cell division, while many protostomes (the Spiralia) undergo spiral cleavage. Animals from both groups possess a complete digestive tract, but in protostomes the first opening of the embryonic gut develops into the mouth, and the anus forms secondarily. In deuterostomes, the anus forms first while the mouth develops secondarily. Most protostomes have schizocoelous development, where cells simply fill in the interior of the gastrula to form the mesoderm. In deuterostomes, the mesoderm forms by enterocoelic pouching, through invagination of the endoderm. The main deuterostome taxa are the Ambulacraria and the Chordata. Ambulacraria are exclusively marine and include acorn worms, starfish, sea urchins, and sea cucumbers. The chordates are dominated by the vertebrates (animals with backbones), which consist of fishes, amphibians, reptiles, birds, and mammals. The protostomes include the Ecdysozoa, named after their shared trait of ecdysis, growth by moulting, Among the largest ecdysozoan phyla are the arthropods and the nematodes. The rest of the protostomes are in the Spiralia, named for their pattern of developing by spiral cleavage in the early embryo. Major spiralian phyla include the annelids and molluscs. History of classification In the classical era, Aristotle divided animals,[d] based on his own observations, into those with blood (roughly, the vertebrates) and those without. The animals were then arranged on a scale from man (with blood, two legs, rational soul) down through the live-bearing tetrapods (with blood, four legs, sensitive soul) and other groups such as crustaceans (no blood, many legs, sensitive soul) down to spontaneously generating creatures like sponges (no blood, no legs, vegetable soul). Aristotle was uncertain whether sponges were animals, which in his system ought to have sensation, appetite, and locomotion, or plants, which did not: he knew that sponges could sense touch and would contract if about to be pulled off their rocks, but that they were rooted like plants and never moved about. In 1758, Carl Linnaeus created the first hierarchical classification in his Systema Naturae. In his original scheme, the animals were one of three kingdoms, divided into the classes of Vermes, Insecta, Pisces, Amphibia, Aves, and Mammalia. Since then, the last four have all been subsumed into a single phylum, the Chordata, while his Insecta (which included the crustaceans and arachnids) and Vermes have been renamed or broken up. The process was begun in 1793 by Jean-Baptiste de Lamarck, who called the Vermes une espèce de chaos ('a chaotic mess')[e] and split the group into three new phyla: worms, echinoderms, and polyps (which contained corals and jellyfish). By 1809, in his Philosophie Zoologique, Lamarck had created nine phyla apart from vertebrates (where he still had four phyla: mammals, birds, reptiles, and fish) and molluscs, namely cirripedes, annelids, crustaceans, arachnids, insects, worms, radiates, polyps, and infusorians. In his 1817 Le Règne Animal, Georges Cuvier used comparative anatomy to group the animals into four embranchements ('branches' with different body plans, roughly corresponding to phyla), namely vertebrates, molluscs, articulated animals (arthropods and annelids), and zoophytes (radiata) (echinoderms, cnidaria and other forms). This division into four was followed by the embryologist Karl Ernst von Baer in 1828, the zoologist Louis Agassiz in 1857, and the comparative anatomist Richard Owen in 1860. In 1874, Ernst Haeckel divided the animal kingdom into two subkingdoms: Metazoa (multicellular animals, with five phyla: coelenterates, echinoderms, articulates, molluscs, and vertebrates) and Protozoa (single-celled animals), including a sixth animal phylum, sponges. The protozoa were later moved to the former kingdom Protista, leaving only the Metazoa as a synonym of Animalia. In human culture The human population exploits a large number of other animal species for food, both of domesticated livestock species in animal husbandry and, mainly at sea, by hunting wild species. Marine fish of many species are caught commercially for food. A smaller number of species are farmed commercially. Humans and their livestock make up more than 90% of the biomass of all terrestrial vertebrates, and almost as much as all insects combined. Invertebrates including cephalopods, crustaceans, insects—principally bees and silkworms—and bivalve or gastropod molluscs are hunted or farmed for food, fibres. Chickens, cattle, sheep, pigs, and other animals are raised as livestock for meat across the world. Animal fibres such as wool and silk are used to make textiles, while animal sinews have been used as lashings and bindings, and leather is widely used to make shoes and other items. Animals have been hunted and farmed for their fur to make items such as coats and hats. Dyestuffs including carmine (cochineal), shellac, and kermes have been made from the bodies of insects. Working animals including cattle and horses have been used for work and transport from the first days of agriculture. Animals such as the fruit fly Drosophila melanogaster serve a major role in science as experimental models. Animals have been used to create vaccines since their discovery in the 18th century. Some medicines such as the cancer drug trabectedin are based on toxins or other molecules of animal origin. People have used hunting dogs to help chase down and retrieve animals, and birds of prey to catch birds and mammals, while tethered cormorants have been used to catch fish. Poison dart frogs have been used to poison the tips of blowpipe darts. A wide variety of animals are kept as pets, from invertebrates such as tarantulas, octopuses, and praying mantises, reptiles such as snakes and chameleons, and birds including canaries, parakeets, and parrots all finding a place. However, the most kept pet species are mammals, namely dogs, cats, and rabbits. There is a tension between the role of animals as companions to humans, and their existence as individuals with rights of their own. A wide variety of terrestrial and aquatic animals are hunted for sport. The signs of the Western and Chinese zodiacs are based on animals. In China and Japan, the butterfly has been seen as the personification of a person's soul, and in classical representation the butterfly is also the symbol of the soul. Animals have been the subjects of art from the earliest times, both historical, as in ancient Egypt, and prehistoric, as in the cave paintings at Lascaux. Major animal paintings include Albrecht Dürer's 1515 The Rhinoceros, and George Stubbs's c. 1762 horse portrait Whistlejacket. Insects, birds and mammals play roles in literature and film, such as in giant bug movies. Animals including insects and mammals feature in mythology and religion. The scarab beetle was sacred in ancient Egypt, and the cow is sacred in Hinduism. Among other mammals, deer, horses, lions, bats, bears, and wolves are the subjects of myths and worship. See also Notes References External links |
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