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playoff wins over the Denver Broncos and the Houston Oilers. Super Bowl XIII is also the only Super Bowl to date that featured two teams (and quarterbacks) that had previously won two Super Bowls in the same decade. The Dallas Cowboys (quarterbacked by Roger Staubach) won Super Bowl VI during the 1971–72 season and Super Bowl XII during the 1977–78 season. The Pittsburgh Steelers (quarterbacked by Terry Bradshaw) won Super Bowl IX during the 1974–75 season, and Super Bowl X during the 1975–76 season. Steelers quarterback Terry Bradshaw, who was named Super Bowl MVP, completed 17 out of 30 passes for Super Bowl records of 318 passing yards and 4 touchdown passes. He was the first quarterback since Staubach in Super Bowl VI to win the award. Bradshaw eclipsed Bart Starr's Super Bowl record for passing yards in the first half with 253 yards in the air as the Steelers led 21–14 at intermission. His 75-yard touchdown pass in the second quarter also tied Johnny Unitas in Super Bowl V for the longest pass in a Super Bowl. The Cowboys were able to stay close, only trailing 21–17 at the end of the third quarter, but Pittsburgh scored two touchdowns in a span of 19 seconds in the fourth period. Dallas also could not overcome turnovers, drops, and a controversial penalty during the second half. The Cowboys were able to score two touchdowns in the final minutes of the game, but still ended up being the first defending champion to lose in the Super Bowl and the first losing Super Bowl team to score 30 points or more. This game featured a combined 25 Hall of Famers (14 from the Steelers and 11 from the Cowboys). Background The NFL awarded Super Bowl XIII to Miami on June 14, 1977, at the owners meetings held in New York. For the 1978–79 season, the NFL extended its schedule from 14 regular season games to 16 and increased the playoffs from an 8-team tournament to 10, creating two extra playoff games. The three division winners from each conference would be ranked first through third and be given a week off, and two wild card teams from each conference, seeded fourth and fifth, would play a playoff game with the winner going on to play the first seeded team (or, if they were in the same division, the second seed). Pittsburgh Steelers The Steelers joined the Cowboys in their attempt to be the first team to win a third Super Bowl, after wins in Super Bowl IX and Super Bowl X. Pittsburgh quarterback Terry Bradshaw had the best season of his career, completing 207 of 368 passes for 2,915 yards and 28 touchdowns, with 20 interceptions. He ranked as the second highest rated passer in the league (84.8), his 28 touchdown passes led the league, and he won the NFL Most Valuable Player Award. Wide receivers Lynn Swann and John Stallworth provided the team with a great deep threat. Swann recorded 61 receptions for 880 yards and 11 touchdowns, while Stallworth had 41 receptions for 798 yards and 9 touchdowns. Tight end Randy Grossman, who replaced injured starter Bennie Cunningham for most of the season, also was a big factor, recording 37 receptions for 448 yards and a touchdown. In the Steelers' rushing game, fullback Franco Harris was the team's leading rusher for the 7th consecutive season, recording 1,082 yards and 8 touchdowns, while also catching 22 passes for another 144 yards. Halfback Rocky Bleier had 633 rushing yards and 5 touchdowns, while also catching 17 passes for 168 yards. The Steelers' success on offense was due in large measure to their stellar offensive line, anchored by future Hall of Fame center Mike Webster. Although Pittsburgh's "Steel Curtain" defense had some new starters this season, such as linemen John Banaszak and Steve Furness, and defensive back Tony Dungy, they finished first in fewest points allowed (195), second in the league against the run (allowing 107.8 yards per game), and ranked third in fewest total yards allowed (4,529). Once again, defensive tackles Joe Greene and L. C. Greenwood anchored the line, while Pro Bowl linebackers Jack Ham and Jack Lambert combined for 7 interceptions. Dungy led the team with 6 interceptions, while the rest of the secondary, defensive backs Mel Blount, Donnie Shell, and Ron Johnson, combined for 11. Dallas Cowboys The Cowboys became the first team to appear in five Super Bowls (after playing in Super Bowls V, VI, X and XII). Dallas led the league in scoring (384) and was No. 2 in total yards (5,959). The defending Super Bowl champions were once again led by quarterback Roger Staubach. Staubach finished the season as the top rated passer in the NFL (84.9) by throwing 231 out of 413 completions for 3,190 yards and 25 touchdowns, with 16 interceptions. He also rushed for 182 yards and another touchdown. Wide receivers Drew Pearson and Tony Hill provided the deep passing threats, combining for 90 receptions, 1,537 yards, and 7 touchdowns. Tight end Billy Joe DuPree contributed 34 receptions for 509 yards and 9 touchdowns. Running back Tony Dorsett had another fine season, recording a total of 1,703 combined rushing and receiving yards, and scoring a total of 9 touchdowns. Fullback Robert Newhouse and halfback Preston Pearson also contributed from the offensive backfield, combining for 1,326 rushing and receiving yards, while Newhouse also scored 10 touchdowns. The Cowboys also had a superb offensive line, led by Herbert Scott and 12-time Pro Bowler Rayfield Wright. The Cowboys' "Doomsday Defense" finished the season as the top-ranked defense in the league against the run by only allowing 107.6 yards per game, 2nd in total yards allowed (4,009), and 3rd in points allowed (208). Pro Bowl linemen Ed "Too Tall" Jones, Harvey Martin, and Randy White anchored the line, leading the league with 58 sacks, while linebackers Bob Breunig, D. D. Lewis and Thomas "Hollywood" Henderson provided solid support. Their secondary, led by safeties Cliff Harris and Charlie Waters, along with cornerbacks Benny Barnes and Aaron Kyle, combined for 16 interceptions. The Cowboys started the regular season slowly, winning only six of their first ten games. But Dallas finished strong, winning their last six regular season games to post a 12–4 record. Playoffs Dallas first opponent was the Atlanta Falcons, a scrappy 9-7 squad making the first playoff appearance in their 13-year history. Despite being 14-point favorites, the Cowboys found themselves trailing 20–13 at the end of the first half, having lost three fumbles and Roger Staubach to a concussion. But under backup quarterback Danny White, Dallas rallied back in the second half with two touchdowns, while their defense intercepted two passes from Steve Bartkowski and forced a turnover on downs on their own 35-yard line late in the fourth quarter as Atlanta was driving for a potential tying score, and the team went on to win 27–20. In the following week, any doubts about the Cowboys due to their struggle to win against the Falcons were quickly put to rest as they shut out the 12-4 Los Angeles Rams 28–0, holding them to just 277 total yards and forcing 7 turnovers. Meanwhile, the Steelers easily demolished the defending AFC champion Denver Broncos, 33–10, and the Houston Oilers, 34–5. In the AFC championship game, the "Steel Curtain" defense held the Oilers to just 142 yards and forced 9 turnovers. Super Bowl pregame news and notes Although the Super Bowl had grown into America's biggest one-day sporting event by this point, many believe the 13th edition began the game's evolution to unofficial national holiday. It was the first Super Bowl with a true heavyweight title-fight feel, given the Steelers' and Cowboys' unquestioned status as the two best teams in the NFL, and the honor of the first three-time Super Bowl champion (and likely team of the 1970s designation) that would go to the winner. Super Bowl XIII can arguably be called the greatest collection of NFL talent for a game. In addition to coaches Noll and Landry, 17 players would end up being voted into the Pro Football Hall of Fame. Of the 17 Hall of Fame players to play in this game, ten were Pittsburgh players (Bradshaw, Harris, Shell, Swann, Stallworth, Webster, Greene, Lambert, Ham, and Blount), and seven were Dallas players (Staubach, Dorsett, Harris, Pearson, White, Wright, and Jackie Smith). The Cowboys had lured Smith out of retirement from the St. Louis Cardinals, due to injuries to Cowboys tight ends; most notably, Jay Saldi. Other Hall of Famers who participated in the game representing the Cowboys were general manager/team president Tex Schramm, assistant coach Mike Ditka, who was elected as a tight end with the Chicago Bears, and defensive coordinator Ernie Stautner, who actually was a Hall of Fame defensive tackle for the Steelers. Additional Hall of Famers representing the Steelers included owner Art Rooney Sr., his son Dan Rooney, and scout Bill Nunn. Tony Dungy also played in the game as a safety for the Steelers, and is in the Hall of Fame as a head coach. This was the first Super Bowl in which the designated "home" team was allowed to select between their primary team colored jersey or their white jersey, a rule similar to that of home games in the regular season and playoffs. Previously, the designated "home" team was required to wear their team colored jersey, the NFC champion in odd years and the AFC champion in the even years. The Cowboys, who traditionally wear their white jerseys in home games and often only wear their blue jerseys against teams that have similar policies for themselves (most notably against the Washington Redskins and occasionally the Philadelphia Eagles), were forced to wear their blue jerseys as the "home" team in Super Bowl V, which the team lost to the Baltimore Colts and is widely believed where the "blue jersey jinx" started with America's Team. Not wanting a repeat of that being the designated "home" team in Super Bowl XIII, the Cowboys were able to persuade the NFL to change the rule to allow the "home" team to choose so that they could wear their white jerseys, and thus force the Steelers to wear their black jerseys. The Cowboys would later repeat the option of wearing white jerseys as the "home" team in Super Bowl XXVII, while the Redskins would do so in Super Bowl XVII and, ironically, the Steelers (who always wear their black jerseys in home games) did in Super Bowl XL due to the team's success on the road that season. The only other teams to wear white jerseys as the designated home team in a Super Bowl were the Denver Broncos in Super Bowl 50 and the New England Patriots in Super Bowl LII. This was the first Super Bowl played on grass to match two teams which played their home games on artificial turf. The Cowboys were playing their third Super Bowl at the Orange Bowl, the first team to play three different Super Bowls in the same stadium. The New England Patriots have since done the same playing three Super Bowls at the Mercedes-Benz Superdome, as have the San Francisco 49ers who have played three Super Bowls at Hard Rock Stadium, including the next Super Bowl to be played in Miami. The Cowboys were 0–3 in Orange Bowl games and 5–0 in their other Super Bowls. Much of the pregame hype surrounding Super Bowl XIII centered around Cowboys linebacker Thomas "Hollywood" Henderson. Henderson caused quite a stir before the NFC Championship Game by claiming that the Rams had "no class" and the Cowboys would shut them out. His prediction came true as the Cowboys did shut them out, aided by Henderson's 68-yard interception return for a touchdown. In the days leading up the Super Bowl, Henderson began talking about the Steelers in the same manner. He predicted another shutout and then made unflattering comments about several Pittsburgh players. He put down the talent and the intelligence of Bradshaw, proclaiming "Bradshaw couldn't spell 'cat' if you spotted him the 'c' and the 'a'." But the Steelers refused to get into a war of words with Henderson. Greene responded by saying the Steelers didn't need to say they were the best, they would just go out on the field and "get the job done.'" The matchup of quarterbacks Terry Bradshaw and Roger Staubach is still the only one in Super Bowl history to feature two quarterbacks with two Super Bowl victories. With this start, Staubach became the first quarterback to start four Super Bowls. Bradshaw joined Fran Tarkenton, Bob Griese as well as Staubach as the only quarterbacks to start at least three Super Bowls. The only quarterbacks to start more Super Bowls than Staubach and Bradshaw are John Elway, who guided the Broncos to five Super Bowls, and Tom Brady, who started in ten Super Bowls (nine with the Patriots, one with the Buccaneers). 49ers quarterback Joe Montana, Bills quarterback Jim Kelly and Peyton Manning (two with the Colts, two with the Broncos) later matched Staubach and Bradshaw by leading their teams to four Super Bowls. Betting line The point spread for the game opened at Pittsburgh -3.5 points. As the Steelers backers placed bets on them the sportsbooks adjusted the line. It eventually hit Pittsburgh -4.5 and then the Dallas money poured in on the Cowboys. It eventually settled at Pittsburgh at -4. The Steelers' four-point eventual margin of victory meant the Las Vegas sportsbooks lost the vast majority of wagers on the game. The game thus came to be known as "Black Sunday" in Las Vegas. Broadcasting The game was televised in the United States by NBC, with Curt Gowdy handling play-by-play and sharing the booth with color commentators John Brodie and Merlin Olsen. Dick Enberg served as the pregame host for the broadcast. Also taking part in NBC's coverage were Bryant Gumbel, Mike Adamle (who also covered the Vince Lombardi Trophy presentation ceremony), Donna De Varona, and recently retired former Minnesota Vikings quarterback Fran Tarkenton. For this game and Super Bowl XV, NBC used a custom, synthesizer-heavy theme in place of their regular music. This was Gowdy's seventh and final Super Bowl telecast, and his last major event for NBC before moving to CBS later in 1979. Enberg had essentially succeeded Gowdy as NBC's lead NFL play-by-play announcer in the 1978 regular season, and network producers didn't decide until nearly the last minute which man would get the Super Bowl call. The national radio broadcast of Super Bowl XIII was carried by the CBS Radio Network, with Jack Buck and Hank Stram calling the action and Pat Summerall hosting. Locally, Verne Lundquist and Brad Sham called the game for the Cowboys on KRLD-AM in Dallas, while Jack Fleming and Myron Cope called it for the Steelers on WTAE-AM in Pittsburgh. A technical glitch led to Fleming and Cope's commentary going out over NBC's television broadcast in place of the network's own audio during the coin toss ceremony.Brothers and Sisters'' premiered on NBC after the game, representing the Super Bowl lead-out program. The game was later featured on NFL's Greatest Games as Battle of Champions. John Madden's death on December 28, 2021, left Brodie as the only living television announcer, either play-by-play or color, from any of the first 18 Super Bowls. Brodie and Joe Theismann (Super Bowl XIX) are the only announcers from the first 21 Super Bowls still living as of January 1, 2022. Entertainment The pregame festivities featured the Dallas Cowboys Cheerleaders and several military bands. The Colgate Thirteen performed the national anthem, while the Stetson University Army ROTC Color Guard presented the Colors. The coin toss ceremony featured Pro Football Hall of Famer and longtime Chicago Bears owner/head coach George Halas, who was driven onto the field in a 1920 automobile to commemorate the 1920 founding of the NFL. The halftime show was "Carnival: A Salute to the Caribbean" with various Caribbean bands. Game summary Both teams entered the game with the best defenses in the league (the Cowboys only allowed 107.6 rushing yards per game while the Steelers only allowed 107.8), and each side took advantage of the other team's mistakes throughout the game. But Dallas could not overcome their miscues in the second half. First Quarter On their opening drive, the Cowboys advanced to the Pittsburgh 38-yard line, with running back Tony Dorsett gaining 38 yards off 3 running plays. But they lost the ball on a fumbled handoff while attempting to fool the Steelers defense with
in Super Bowl V for the longest pass in a Super Bowl. The Cowboys were able to stay close, only trailing 21–17 at the end of the third quarter, but Pittsburgh scored two touchdowns in a span of 19 seconds in the fourth period. Dallas also could not overcome turnovers, drops, and a controversial penalty during the second half. The Cowboys were able to score two touchdowns in the final minutes of the game, but still ended up being the first defending champion to lose in the Super Bowl and the first losing Super Bowl team to score 30 points or more. This game featured a combined 25 Hall of Famers (14 from the Steelers and 11 from the Cowboys). Background The NFL awarded Super Bowl XIII to Miami on June 14, 1977, at the owners meetings held in New York. For the 1978–79 season, the NFL extended its schedule from 14 regular season games to 16 and increased the playoffs from an 8-team tournament to 10, creating two extra playoff games. The three division winners from each conference would be ranked first through third and be given a week off, and two wild card teams from each conference, seeded fourth and fifth, would play a playoff game with the winner going on to play the first seeded team (or, if they were in the same division, the second seed). Pittsburgh Steelers The Steelers joined the Cowboys in their attempt to be the first team to win a third Super Bowl, after wins in Super Bowl IX and Super Bowl X. Pittsburgh quarterback Terry Bradshaw had the best season of his career, completing 207 of 368 passes for 2,915 yards and 28 touchdowns, with 20 interceptions. He ranked as the second highest rated passer in the league (84.8), his 28 touchdown passes led the league, and he won the NFL Most Valuable Player Award. Wide receivers Lynn Swann and John Stallworth provided the team with a great deep threat. Swann recorded 61 receptions for 880 yards and 11 touchdowns, while Stallworth had 41 receptions for 798 yards and 9 touchdowns. Tight end Randy Grossman, who replaced injured starter Bennie Cunningham for most of the season, also was a big factor, recording 37 receptions for 448 yards and a touchdown. In the Steelers' rushing game, fullback Franco Harris was the team's leading rusher for the 7th consecutive season, recording 1,082 yards and 8 touchdowns, while also catching 22 passes for another 144 yards. Halfback Rocky Bleier had 633 rushing yards and 5 touchdowns, while also catching 17 passes for 168 yards. The Steelers' success on offense was due in large measure to their stellar offensive line, anchored by future Hall of Fame center Mike Webster. Although Pittsburgh's "Steel Curtain" defense had some new starters this season, such as linemen John Banaszak and Steve Furness, and defensive back Tony Dungy, they finished first in fewest points allowed (195), second in the league against the run (allowing 107.8 yards per game), and ranked third in fewest total yards allowed (4,529). Once again, defensive tackles Joe Greene and L. C. Greenwood anchored the line, while Pro Bowl linebackers Jack Ham and Jack Lambert combined for 7 interceptions. Dungy led the team with 6 interceptions, while the rest of the secondary, defensive backs Mel Blount, Donnie Shell, and Ron Johnson, combined for 11. Dallas Cowboys The Cowboys became the first team to appear in five Super Bowls (after playing in Super Bowls V, VI, X and XII). Dallas led the league in scoring (384) and was No. 2 in total yards (5,959). The defending Super Bowl champions were once again led by quarterback Roger Staubach. Staubach finished the season as the top rated passer in the NFL (84.9) by throwing 231 out of 413 completions for 3,190 yards and 25 touchdowns, with 16 interceptions. He also rushed for 182 yards and another touchdown. Wide receivers Drew Pearson and Tony Hill provided the deep passing threats, combining for 90 receptions, 1,537 yards, and 7 touchdowns. Tight end Billy Joe DuPree contributed 34 receptions for 509 yards and 9 touchdowns. Running back Tony Dorsett had another fine season, recording a total of 1,703 combined rushing and receiving yards, and scoring a total of 9 touchdowns. Fullback Robert Newhouse and halfback Preston Pearson also contributed from the offensive backfield, combining for 1,326 rushing and receiving yards, while Newhouse also scored 10 touchdowns. The Cowboys also had a superb offensive line, led by Herbert Scott and 12-time Pro Bowler Rayfield Wright. The Cowboys' "Doomsday Defense" finished the season as the top-ranked defense in the league against the run by only allowing 107.6 yards per game, 2nd in total yards allowed (4,009), and 3rd in points allowed (208). Pro Bowl linemen Ed "Too Tall" Jones, Harvey Martin, and Randy White anchored the line, leading the league with 58 sacks, while linebackers Bob Breunig, D. D. Lewis and Thomas "Hollywood" Henderson provided solid support. Their secondary, led by safeties Cliff Harris and Charlie Waters, along with cornerbacks Benny Barnes and Aaron Kyle, combined for 16 interceptions. The Cowboys started the regular season slowly, winning only six of their first ten games. But Dallas finished strong, winning their last six regular season games to post a 12–4 record. Playoffs Dallas first opponent was the Atlanta Falcons, a scrappy 9-7 squad making the first playoff appearance in their 13-year history. Despite being 14-point favorites, the Cowboys found themselves trailing 20–13 at the end of the first half, having lost three fumbles and Roger Staubach to a concussion. But under backup quarterback Danny White, Dallas rallied back in the second half with two touchdowns, while their defense intercepted two passes from Steve Bartkowski and forced a turnover on downs on their own 35-yard line late in the fourth quarter as Atlanta was driving for a potential tying score, and the team went on to win 27–20. In the following week, any doubts about the Cowboys due to their struggle to win against the Falcons were quickly put to rest as they shut out the 12-4 Los Angeles Rams 28–0, holding them to just 277 total yards and forcing 7 turnovers. Meanwhile, the Steelers easily demolished the defending AFC champion Denver Broncos, 33–10, and the Houston Oilers, 34–5. In the AFC championship game, the "Steel Curtain" defense held the Oilers to just 142 yards and forced 9 turnovers. Super Bowl pregame news and notes Although the Super Bowl had grown into America's biggest one-day sporting event by this point, many believe the 13th edition began the game's evolution to unofficial national holiday. It was the first Super Bowl with a true heavyweight title-fight feel, given the Steelers' and Cowboys' unquestioned status as the two best teams in the NFL, and the honor of the first three-time Super Bowl champion (and likely team of the 1970s designation) that would go to the winner. Super Bowl XIII can arguably be called the greatest collection of NFL talent for a game. In addition to coaches Noll and Landry, 17 players would end up being voted into the Pro Football Hall of Fame. Of the 17 Hall of Fame players to play in this game, ten were Pittsburgh players (Bradshaw, Harris, Shell, Swann, Stallworth, Webster, Greene, Lambert, Ham, and Blount), and seven were Dallas players (Staubach, Dorsett, Harris, Pearson, White, Wright, and Jackie Smith). The Cowboys had lured Smith out of retirement from the St. Louis Cardinals, due to injuries to Cowboys tight ends; most notably, Jay Saldi. Other Hall of Famers who participated in the game representing the Cowboys were general manager/team president Tex Schramm, assistant coach Mike Ditka, who was elected as a tight end with the Chicago Bears, and defensive coordinator Ernie Stautner, who actually was a Hall of Fame defensive tackle for the Steelers. Additional Hall of Famers representing the Steelers included owner Art Rooney Sr., his son Dan Rooney, and scout Bill Nunn. Tony Dungy also played in the game as a safety for the Steelers, and is in the Hall of Fame as a head coach. This was the first Super Bowl in which the designated "home" team was allowed to select between their primary team colored jersey or their white jersey, a rule similar to that of home games in the regular season and playoffs. Previously, the designated "home" team was required to wear their team colored jersey, the NFC champion in odd years and the AFC
contributor with 36 receptions for 512 yards. Fullback Franco Harris was the Steelers' leading rusher for the 8th consecutive season with 1,186 yards and 11 touchdowns. He also recorded his 7th consecutive season with more than 1,000 yards, tying an NFL record set by Jim Brown. Harris also had his best year as a receiver out of the backfield, recording career-highs of 36 receptions for 291 yards and another touchdown. Halfback Rocky Bleier also had another superb season, providing Harris with excellent blocking while also contributing 711 combined rushing and receiving yards. And running back Sidney Thornton also emerged as a big threat with 816 total yards and averaging 5 yards per carry. Pittsburgh also had a solid offensive line, led by center Mike Webster. The Steelers' offense did lead the NFL with a staggering 52 turnovers in the regular season, a trend that would continue in Super Bowl XIV. The Steelers' "Steel Curtain" defense finished the regular season as the top rated defense in the AFC, limiting opponents to only 4,621 offensive yards. Up front, linemen Joe Greene and L. C. Greenwood terrorized opposing quarterbacks and rushers. And linebackers Jack Lambert and Jack Ham excelled at run stopping and pass coverage, combining for 8 interceptions. The Steelers also had a fine secondary, led by defensive backs Mel Blount, who recorded 3 interceptions, and Donnie Shell, who had 5. Playoffs In the playoffs, the Rams avenged the previous year's NFC Championship Game shutout loss to the Dallas Cowboys by beating them 21–19. Then they beat the Tampa Bay Buccaneers in the NFC Championship Game, 9–0, scoring only three field goals. Meanwhile, the Steelers went on to defeat the Miami Dolphins, 34–14, and the Houston Oilers, 27–13, in the playoffs. During those two playoff games, the Pittsburgh defense limited running backs Larry Csonka and Earl Campbell, respectively, to a combined total of only 35 rushing yards. Campbell was the league's rushing leader during the regular season with 1,697 yards, but could only gain 15 yards against the Steelers in the AFC Championship Game. Super Bowl pregame news and notes Pittsburgh was heavily favored to win Super Bowl XIV and become the first team to win 4 Super Bowls. Most people did not think that the Rams even belonged on the same field with the Steelers. In fact, Sports Illustrated had called the NFC Championship Game "a game for losers, played by losers". One sports writer sarcastically suggested that Bradshaw throw left-handed and the Rams should be allowed to play with 12 men on the field to make the Super Bowl more competitive. However, the Steelers were not taking their opponents lightly. In their previous meetings, the Rams held a 12–1–2 all-time record over the Steelers, including wins in 1971, 1975, and 1978. The wins in 1975 (by a score of 10–3) and 1978 (by a score of 10–7) were over Steeler teams that eventually won the Super Bowl those seasons. Also, the Steelers had shown clear signs of weakness when playing away from their home stadium during the season. Their first loss of the year was on the road in a 4-turnover performance against the Philadelphia Eagles. Two weeks later at 5–1, Pittsburgh was blown out 34–10 in Cincinnati against an 0–6 Bengals team. In week 12, the team lost 8 turnovers in a 35–7 loss on the road against the San Diego Chargers. Bradshaw became the second quarterback to start four Super Bowls, joining his counterpart from Super Bowls X and XIII Roger Staubach. Joe Montana became the third to start four Super Bowls, but all were passed by John Elway and Tom Brady, and also matched by Jim Kelly and Peyton Manning. The Rams became the first NFC West team to reach the Super Bowl. The NFC West was the last of the six post-merger divisions to reach the Super Bowl. Super Bowl XIV holds the record for attendance with 103,985 spectators. Broadcasting CBS televised the game in the United States with play-by-play announcer Pat Summerall and color commentator Tom Brookshier. One of the guest analysts for the network's studio pregame show was former Oakland Raiders coach John Madden; he impressed CBS executives so much that he replaced Brookshier as lead game analyst in 1981. CBS Radio coverage featured Jack Buck and Hank Stram; with Brent Musburger working both radio and television coverage (hosting the Super Bowl Today pregame show and the Vince Lombardi Trophy presentation). Joining Musburger on CBS' pregame coverage was the NFL Today crew of Irv Cross (who joined Musburger in the Pittsburgh Steelers locker room), Jayne Kennedy (the only Super Bowl she would be part of covering for CBS), Jimmy "The Greek" Snyder and Jack Whitaker; with George Allen as a second guest analyst; while filing remote reports from bars in the respect team's home markets were Paul Hornung in The Ginger Man in Beverly Hills (briefly joined by Jayne Kennedy's NFL Today predecessor Phyllis George and her then-husband, newly-inaugurated Kentucky Governor John Y. Brown Jr. along with Houston Oilers quarterback Dan Pastorini) and Tim Ryan at the LeMont Restaurant in Pittsburgh (which included a brief shot of the newly-redesigned Pittsburgh Penguins logo and uniform); while Dick Stockton handled the Los Angeles Rams locker room interviews. Locally, Bob Starr and Al Wisk called the game for the Rams over KMPC in Los Angeles, while WTAE-AM in Pittsburgh featured the Steelers' play-by-play team of Jack Fleming and Myron Cope. The KMPC broadcast, thanks to an agreement with the Iranian militants, Iran's Ministry of National Guidance and KMPC reporter Alex Paen, would be recorded and played for the Americans held hostage in Iran. The famous Coca-Cola commercial (titled "Hey Kid, Catch!") in which "Mean" Joe Greene gives a boy his game jersey aired during CBS' telecast of the game. However, it is technically not viewed as a Super Bowl ad since it actually debuted on October 1, 1979, not during the day of the game. 60 Minutes was broadcast after the game, representing the Super Bowl lead-out program. Entertainment The Los Angeles Unified School District All-City Band played during the pregame ceremonies. Later, actress and singer Cheryl Ladd performed the national anthem. The coin toss ceremony featured longtime Steelers owner Art Rooney. The performance event group Up with People performed during the halftime show titled "A Salute to the Big Band Era". This was the first of 9 consecutive Super Bowls to feature the football-style logo at the 35-yard line. Game summary Despite being the underdogs, the Rams managed to hang onto a 13–10 lead at halftime, and a 19–17 lead at the beginning of the fourth quarter. But the Steelers held the Rams scoreless in the fourth quarter and scored two touchdowns for the win. Despite the game's uneven matchup and the final score, this game is regarded by some as one of the most competitive games in Super Bowl history. Overall, the lead changed seven times between both teams, a Super Bowl record (Pittsburgh took the lead 4 times, while Los Angeles took it 3 times). First Quarter The Rams took the opening kickoff but the Steel Curtain forced a three-and-out. Then on the Steelers' 7th play of their first possession, quarterback Terry Bradshaw completed a 32-yard pass to fullback Franco Harris to reach the Los Angeles 26-yard line. But a third down pass fell incomplete, forcing Pittsburgh to settle for a 41-yard field goal from rookie kicker Matt Bahr. Bahr's ensuing kickoff was very short, giving the Rams great field position at their 41-yard line. On the first play of the drive, Los Angeles running back Wendell Tyler caught a 6-yard pass from Vince Ferragamo. Then on the next play, Tyler took a handoff, ran left, broke some tackles, and ran 39 yards to the Steelers 14-yard line before he was finally dragged down by Pittsburgh defensive back Donnie Shell, the longest run against the Steelers all season. Shell saved the touchdown by making the tackle after previously being knocked to the turf five yards past the line of scrimmage. 6 plays later, fullback Cullen Bryant scored on a 1-yard touchdown run to give the Rams a 7–3 lead. The score was the Steelers' first rushing touchdown allowed in Super Bowl competition in franchise history. But the lead did not last long. Pittsburgh defensive back Larry Anderson returned the ensuing kickoff 45 yards to his own 47-yard line, and then the Steelers marched 53 yards in 9 plays using every offensive weapon in their arsenal. First, Harris ran for 12 yards, halfback Rocky Bleier ran for 1, then tight end Bennie Cunningham caught a pass for 8. Bleier ran again for 2, followed by Bradshaw's 12-yard completion to receiver Lynn Swann on the last play of the first quarter. Second Quarter The second period opened with Bradshaw's 13-yard completion to Cunningham to reach the Los Angeles 5-yard line, and then Harris ran through the middle to the 4. Wide receiver
by a Super Bowl record 103,985 spectators. It was also the first Super Bowl where the game was played in the home market of one of the participants, as Pasadena is northeast of Downtown Los Angeles. It was the last time the Rams made the Super Bowl while based in Los Angeles until LIII in 2018, where they lost to the New England Patriots 13–3. The Rams became the first team to reach the Super Bowl after posting nine wins or fewer during the regular season since the NFL season expanded to 16 games in 1978. Their 9–7 regular season record was followed by postseason wins over the Dallas Cowboys and the Tampa Bay Buccaneers. The Steelers were the defending Super Bowl XIII champions, and finished the 1979 regular season with a 12–4 record, and posted playoff victories over the Miami Dolphins and the Houston Oilers. Despite the final score, Super Bowl XIV was a close game for the majority of the contest. The Rams led 13–10 at halftime before Steelers quarterback Terry Bradshaw connected with wide receiver Lynn Swann on a 47-yard touchdown pass. Los Angeles regained the lead on a halfback option play with running back Lawrence McCutcheon's 24-yard touchdown pass to Ron Smith. But Pittsburgh controlled the fourth quarter, scoring 14 points with Bradshaw's 73-yard touchdown pass to wide receiver John Stallworth, and running back Franco Harris' 1-yard touchdown run. Despite throwing three interceptions, Bradshaw was named Super Bowl MVP by completing 14 of 21 passes for 309 yards and two touchdowns. Background The NFL awarded Super Bowl XIV to Pasadena on June 14, 1977 at the owners meetings held in New York. Los Angeles Rams Team owner Carroll Rosenbloom drowned during an off-season accident, resulting in a power struggle between his second wife, Georgia Frontiere, and his son, Steve Rosenbloom. Frontiere eventually gained control of the team and fired her stepson. Prior to Carroll Rosenbloom's death, the Rams had already announced their intentions to leave the Los Angeles Memorial Coliseum and move to Anaheim Stadium in Orange County for the 1980 season. The Rams barely outscored their opponents, 323–309, and finished the regular season with a 9–7 record, the worst ever by a team who advanced to the Super Bowl (that record was later tied by the Arizona Cardinals in Super Bowl XLIII and the New York Giants in Super Bowl XLVI). The team was plagued with injuries during the regular season, including the loss of their starting quarterback Pat Haden. His replacement, Vince Ferragamo, completed less than 50 percent of his passes and threw twice as many interceptions (10) as touchdowns (5). But he still led the Rams to victory in 6 of their last 7 games. The Rams gained 6,060 total yards of offense during the regular season, ranking second in the league. The team's main offensive weapon was running back Wendell Tyler, who rushed for 1,109 yards, caught 32 passes for 308 yards, and scored 10 touchdowns. Tyler's rushing yards came off just 218 rushing attempts, giving him a league-leading 5.1 yards per carry average. Fullback Cullen Bryant provided Tyler with excellent blocking while also gaining 846 total yards and scoring 5 touchdowns. Wide receiver Preston Dennard was the team's main deep threat, catching 43 passes for 766 yards and 4 touchdowns. The offensive line, led by tackles Doug France and Jackie Slater, guard Dennis Harrah, and Pro Bowl center Rich Saul, paved the Rams' running attack to 4th in the NFC during the season despite injuries. They also gave up only 29 sacks. But the Rams' main strength was their defense, which featured defensive end Jack Youngblood, who made the Pro Bowl for the 7th year in a row and was playing with a broken leg, and lightning-quick Fred Dryer on the opposite end. Behind them, the Rams had two outstanding linebackers: Jack "Hacksaw" Reynolds, and Jim Youngblood (no relation to Jack), who had recorded 5 interceptions and returned 2 of them for touchdowns. The Rams also had a solid secondary, led by free safety Nolan Cromwell, who also grabbed 5 interceptions. On November 4, 1979, the Rams' defense established a still-current NFL record by holding the Seattle Seahawks' offense to a total of minus 7 yards for the game; the Seahawks finished the 1979 season 4th in the league in points scored. Pittsburgh Steelers The Steelers won the AFC Central with a 12–4 regular season record (including 8–0 at home), and advanced to their second consecutive Super Bowl and their fourth appearance in the last six seasons. Pittsburgh appeared to be even better than what they were in their three previous Super Bowl victories. leading the league with 6,258 yards in total offense, an average of 391 yards per game and just 31 yards short of an NFL record. The team also led the league in scoring with 416 points. Pittsburgh quarterback Terry Bradshaw had another fine season as the leader of the Steelers offense, throwing for 3,724 yards and 26 touchdowns during the regular season (but he did throw 25 interceptions). Wide receiver John Stallworth was his top target with 70 receptions for 1,183 yards and 8 touchdowns, while wide receiver Lynn Swann caught 41 passes for 808 yards, an average of 19.7 yards per catch. Steelers starting tight end Bennie Cunningham, who missed most of the previous season due to injuries, was also a big contributor with 36 receptions for 512 yards. Fullback Franco Harris was the Steelers' leading rusher for the 8th consecutive season with 1,186 yards and 11 touchdowns. He also recorded his 7th consecutive season with more than 1,000 yards, tying an NFL record set by Jim Brown. Harris also had his best year as a receiver out of the backfield, recording career-highs of 36 receptions for 291 yards and another touchdown. Halfback Rocky Bleier also had another superb season, providing Harris with excellent blocking while also contributing 711 combined rushing and receiving yards. And running back Sidney Thornton also emerged as a big threat with 816 total yards and averaging 5 yards per carry. Pittsburgh also had a solid offensive line, led by center Mike Webster. The Steelers' offense did lead the NFL with a staggering 52 turnovers in the regular season, a trend that would continue in Super Bowl XIV. The Steelers' "Steel Curtain" defense finished the regular season as the top rated defense in the AFC, limiting opponents to only 4,621 offensive yards. Up front, linemen Joe Greene and L. C. Greenwood terrorized opposing quarterbacks and rushers. And linebackers Jack Lambert and Jack Ham excelled at run stopping and pass coverage, combining for 8 interceptions. The Steelers also had a fine secondary, led by defensive backs Mel Blount, who recorded 3 interceptions, and Donnie Shell, who had 5. Playoffs In the playoffs, the Rams avenged the previous year's NFC Championship Game shutout loss to the Dallas Cowboys by beating them 21–19. Then they beat the Tampa Bay Buccaneers in the NFC Championship Game, 9–0, scoring only three field goals. Meanwhile, the Steelers went on to defeat the Miami Dolphins, 34–14, and the Houston Oilers, 27–13, in the playoffs. During those two playoff games, the Pittsburgh defense limited running backs Larry Csonka and Earl Campbell, respectively, to a combined total of only 35 rushing yards. Campbell was the league's rushing leader during the regular season with 1,697 yards, but could only gain 15 yards against the Steelers in the AFC Championship Game. Super Bowl pregame news and notes Pittsburgh was heavily favored to win Super Bowl XIV and become the first team to win 4 Super Bowls. Most people did not think that the Rams even belonged on the same field with the Steelers. In fact, Sports Illustrated had called the NFC Championship Game "a game for losers, played by losers". One sports writer sarcastically suggested that Bradshaw throw left-handed and the Rams should be allowed to play with 12 men on the field to make the Super Bowl more competitive. However, the Steelers were not taking their opponents lightly. In their previous meetings, the Rams held a 12–1–2 all-time record over the Steelers, including wins in 1971, 1975, and 1978. The wins in 1975 (by a score of 10–3) and 1978 (by a score of 10–7) were over Steeler teams that eventually won the Super Bowl those seasons. Also, the Steelers had shown clear signs of weakness when playing away from their home stadium during the season. Their first loss of the year was on the road in a 4-turnover performance against the Philadelphia Eagles. Two weeks later at 5–1, Pittsburgh was blown out 34–10 in Cincinnati against an 0–6 Bengals team. In week 12, the team lost 8 turnovers in a 35–7 loss on the road against the San Diego Chargers. Bradshaw became the second quarterback to start four Super Bowls, joining his counterpart from Super Bowls X and XIII Roger Staubach. Joe Montana became the third to start four Super Bowls, but all were passed by John Elway and Tom Brady, and also matched by Jim Kelly and Peyton Manning. The Rams became the first NFC West team to reach the Super Bowl. The NFC West was the last of the six post-merger divisions to reach the Super Bowl. Super Bowl XIV holds the record for attendance with 103,985 spectators. Broadcasting CBS televised the game in the United States with play-by-play announcer Pat Summerall and color commentator Tom Brookshier. One of the guest analysts for the network's studio pregame show was former Oakland Raiders coach John Madden; he impressed CBS executives so much that he replaced Brookshier as lead game analyst in 1981. CBS Radio coverage featured Jack Buck and Hank Stram; with Brent Musburger working both radio and television coverage (hosting the Super Bowl Today pregame show and the Vince Lombardi Trophy presentation). Joining Musburger on CBS' pregame coverage was the NFL Today crew of Irv Cross (who joined Musburger in the Pittsburgh Steelers locker room), Jayne Kennedy (the only Super Bowl she would be part of covering for CBS), Jimmy "The Greek" Snyder and Jack Whitaker; with George Allen as a second guest analyst; while filing remote reports from bars in the respect team's home markets were Paul Hornung in The Ginger Man in Beverly Hills (briefly joined by Jayne Kennedy's NFL Today predecessor Phyllis George and her then-husband, newly-inaugurated Kentucky Governor John Y. Brown Jr. along with Houston Oilers quarterback Dan Pastorini)
was later named the 1971 NFL Rookie of the Year. But Plunkett suffered through five losing seasons with the Patriots and two uneven seasons with the San Francisco 49ers before being released as a free agent before the 1978 season. Plunkett was signed by Oakland to be their backup quarterback, and thus he did not see much playing time, throwing no passes in 1978 and just 15 passes in 1979. Meanwhile, Oakland traded long time starting quarterback Ken Stabler in the 1979 off-season to replace him with Dan Pastorini, a former high school rival of Plunkett who had been selected two spots below him in the 1971 draft. After the Raiders started the 1980 season with a 2–3 record, Pastorini broke his leg and suddenly Plunkett was thrust into the starting role. The 33-year-old Plunkett got off to a bad start, throwing 5 interceptions in a 31–17 loss to the Kansas City Chiefs after relieving Pastorini. However, he recovered and led the Raiders to victory in 9 of their last 11 games in the season, qualifying for the playoffs as a wild card team. Plunkett made 165 out of 320 pass completions for 2,299 yards, 18 touchdown passes, and was intercepted 15 times. He also contributed 141 rushing yards and 2 touchdowns on the ground. The Raiders' main offensive deep threat was wide receiver Cliff Branch (44 receptions, 858 yards, 7 touchdowns), while wide receiver Bob Chandler contributed 49 receptions for 786 yards and 10 touchdowns. Running back Mark van Eeghen was the team's top rusher with 838 yards and 5 touchdowns, while also catching 29 passes for 259 yards. Six games into the season, the Raiders made a surprise trade, sending future Hall of Fame tight end Dave Casper to the Houston Oilers for one first round and two second round draft picks. Veteran tight end Raymond Chester proved to be a capable starter for the rest of the year, catching 28 passes for 366 yards and 4 touchdowns. Halfback Kenny King rushed for 761 yards and catching 22 passes for 145 yards. The Raiders also had an outstanding offensive line led by two future Hall of Famers, tackle Art Shell and guard Gene Upshaw. Upshaw became the first player to play in three Super Bowls with the same team in three different decades. He also played in Super Bowls II (1967) and XI (1976). Oakland's defense, anchored by defensive end John Matuszak, was punishing. Defensive back Lester Hayes led the league in interceptions (13) and interception return yards (273), and was the league's Defensive Player of the Year. Safety Burgess Owens added three interceptions, returning them for 59 yards and a touchdown. The Raiders also had a trio of great linebackers: future Hall of Famer Ted Hendricks, Pro Bowler Rod Martin (3 Interceptions), and standout rookie Matt Millen. The Raiders were led by head coach Tom Flores, the first Hispanic coach to win a Super Bowl. Philadelphia Eagles In 1980, under head coach Dick Vermeil, the Philadelphia Eagles, who had not played in a league championship since their 1960 NFL championship, advanced to their first Super Bowl. Philadelphia's offense ranked 6th in the league in scoring (384 points) and 8th in yards gained (5,519). The Eagles were led by quarterback Ron Jaworski, who completed 257 out of 451 passes for 3,529 yards during the regular season, including 27 touchdowns and only 12 interceptions. Another key player on the Eagles offense was halfback Wilbert Montgomery, who was widely considered one of the top running backs in the NFL and had rushed for over 1,200 yards in each of the last two seasons. Injuries during the 1980 regular season had limited him to just 778 yards, but he proved he was fully recovered in the postseason by rushing for 194 yards in the NFC title game. Montgomery was also a superb receiver out of the backfield, recording 50 receptions for 407 yards. The other main deep threats on offense, wide receivers Harold Carmichael and Charlie Smith, along with tight end Keith Krepfle, combined for 125 receptions, 2,090 yards, and 16 touchdowns. The Eagles' defense led the league in fewest points allowed during the regular season (222), while ranking second in fewest yards (4,443). Nose tackle Charlie Johnson anchored the line, and even managed to record 3 interceptions. Defensive end Claude Humphrey led the team in sacks with 14.5. Linebackers Jerry Robinson (4 fumble recoveries and 2 interceptions) and Bill Bergey excelled at both stopping the run and pass coverage. Philadelphia also had a fine secondary, led by veteran defensive backs Herman Edwards (3 interceptions) and Brenard Wilson (6 interceptions), along with rookie Roynell Young (4 interceptions). The Eagles' defense was a major factor in their hard-fought 10–7 victory over the Raiders in the regular season; they sacked Plunkett 8 times. Playoffs The Eagles advanced through the playoffs, defeating the Minnesota Vikings, 31–16, and the Dallas Cowboys, 20–7. Meanwhile, Plunkett and the Raiders defeated the Houston Oilers 27–7, the Cleveland Browns 14–12 (on a play known as Red Right 88), and the San Diego Chargers 34–27. In doing so, Oakland became the second wild card team to advance to the Super Bowl since the 1970 merger, the first from the AFC, and the first wild card team to win three postseason rounds since the NFL expanded to a 10-team playoff format in 1978. Hayes had a spectacular performance in the playoffs, adding 5 more interceptions to give him a total of 18 picks in 19 games. Super Bowl pregame news and notes In the days before the game, most sports writers were speculating over whether, if the Raiders won, NFL Commissioner Pete Rozelle would present the Vince Lombardi Trophy to the team's owner Al Davis. Prior
montage of the game, the arrival of the hostages following their release, and the inauguration of Ronald Reagan as the 40th President of the United States aired to the tune of "Celebration" by Kool & the Gang. Entertainment The pregame festivities honored the end of the Iran hostage crisis (which was announced 5 days before the game), and featured a performance by the Southern University band. A large yellow bow long and wide was attached to the outside of the Superdome, while miniature bows were given to fans and every player wore a yellow stripe on the back of their helmets. (Yellow bows had been used in the US throughout the hostages' time in captivity as a sign of support.) Singer, actress, and dancer Helen O'Connell later sang the national anthem. The coin toss ceremony featured Marie Lombardi, the widow of Pro Football Hall of Fame Green Bay Packers head coach Vince Lombardi. The halftime show, featuring singers and dancers, was a "Mardi Gras Festival", with a performance from "Up With People". Game summary First Quarter Oakland linebacker Rod Martin intercepted Eagles quarterback Ron Jaworski's first pass of the game and returned it 17 yards to Philadelphia's 30-yard line, setting up Jim Plunkett's 2-yard touchdown pass to wide receiver Cliff Branch seven plays later. After each team punted once, Jaworski threw a 40-yard touchdown pass to wide receiver Rodney Parker, but the score was nullified by an illegal motion penalty on wide receiver Harold Carmichael, and the Eagles ended up being forced to punt. The Raiders later scored another touchdown with about a minute left in the quarter. On third down from the Oakland 20-yard line, Plunkett threw the ball to running back Kenny King at the 39-yard line as he was scrambling around in the backfield to avoid being sacked. King caught the pass as it carried just over the outstretched arms of defensive back Herman Edwards and took off to the end zone for a Super Bowl record 80-yard touchdown reception. The Raiders led 14-0 and tied the Miami Dolphins' record (which still stands) for the largest Super Bowl lead (14 points) at the end of the first quarter, set in Super Bowl VIII. Second Quarter The Eagles managed to respond on their next drive, with Jaworski completing passes to tight end John Spagnola and Wilbert Montgomery for gains of 22 and 25 yards on a 61-yard drive that ended with a 30-yard field goal by Tony Franklin, making the score 14–3 five minutes into the second quarter. Then with less than 4 minutes left in the period, the Raiders reached the Eagles 27-yard line, only to have kicker Chris Bahr miss a 45-yard field goal. The Eagles then drove 62 yards to Oakland's 11-yard line. On third down, Parker got ahead of defensive back Odis McKinney and was open on a route into the end zone, but Jaworski overthrew him and the pass was incomplete. Then with just 54 seconds left in the half, Franklin attempted a 28-yard field goal, but Raiders linebacker Ted Hendricks extended his 6'7" frame at the line and blocked the kick. Third Quarter The Raiders then took the opening kickoff of the second half and scored quickly. Plunkett completed a 13-yard pass to King and a 32-yard completion to receiver Bob Chandler to move the ball to Philadelphia's 33-yard line. Then after a 4-yard run by running back Mark van Eeghen, Plunkett threw a 29-yard touchdown pass to Branch, increasing Oakland's lead to 21–3. The Eagles responded by driving 56 yards to the Raiders 34-yard line, but on third down and 3, Jaworski threw his second interception of the game to Martin. Oakland subsequently drove 40 yards and scored with Bahr's 46-yard field goal, increasing their lead to 24–3. Fourth Quarter The Eagles finally managed to score a touchdown that counted early in the fourth quarter to cut their deficit to 24–10. Starting from their own 12-yard line, a 43-yard reception by receiver Charlie Smith and a 19-yard catch by Parker sparked an 88-yard, 12-play drive that was capped by Jaworski's 8-yard touchdown pass to tight end Keith Krepfle. But on their ensuing drive, Oakland marched 72 yards in 11 plays, the longest a 23-yard completion from Plunkett to Chandler. Philadelphia kept the Raiders out of the end zone, but Bahr kicked a 35-yard field goal, increasing Oakland's lead to 27–10. Oakland's defense then dominated the rest the game, forcing two turnovers on Philadelphia's last 2 possessions of the game to prevent any chance of a comeback. On the Eagles' next drive, Jaworski fumbled a snap and Oakland lineman Willie Jones recovered it. Following a Raiders punt, Martin recorded a Super Bowl record third interception, and the Raiders ran out the clock to win the game. Cliff Branch's two touchdown catches tied a Super Bowl record. Only Max McGee in Super Bowl I and John Stallworth in Super Bowl XIII caught two touchdowns prior to this. Jaworski finished the game with more completions (18) and yards (291) than Plunkett, but completed just 18 of 38 attempts and was intercepted 3 times. Van Eeghen was the top rusher of the game with 75 yards. King was the top receiver with 93 yards and a touchdown off of just 2 receptions. Eagles running back Wilbert Montgomery led Philadelphia in rushing and receiving with 44 rushing yards and 6
head coach in a Super Bowl. Gregg played in Super Bowls I and II as a member of the Green Bay Packers. Tom Flores was on the Kansas City Chiefs' roster in Super Bowl IV and coached in Super Bowl XV. However, Flores did not play in Super Bowl IV. This was the first Super Bowl to feature two first-time participants since Super Bowl III (there has been only one since, Super Bowl XX between the Chicago Bears and New England Patriots). This was also the only Super Bowl to date between two teams who had losing records the previous season, although Super Bowl XXXIV matched a team that had a losing record in 1998 (St. Louis Rams) against a team that finished a mediocre 8–8 that year (Tennessee Titans). This is the most recent Super Bowl in which both teams had never appeared in any AFL/NFL title game before the merger. This is the only Super Bowl to have ever been played at the Pontiac Silverdome. This was also only the second of 16 Super Bowls to not take place in one of the three so-called "Big Super Bowl Cities" (the other was Houston in January 1974). Fourteen of the previous 16 Super Bowls took place in either Miami, Florida, New Orleans, Louisiana or in the Greater Los Angeles Area. The Super Bowl did return to Michigan for Super Bowl XL, but that game was played at Ford Field in Detroit, which, in 2002, had replaced the Pontiac Silverdome as the home site for the Detroit Lions. As the designated home team, the Bengals wore their black home uniforms with white pants, while the 49ers donned their road white uniforms with gold pants. On the day of the Super Bowl, one of the 49ers buses, which had Bill Walsh and Montana on board, was stuck in traffic due to bad weather and a motorcade carrying then-Vice President George H.W. Bush. As a result, they would not arrive at the stadium until 90 minutes before kickoff time. "Coach Walsh was pretty loose on the bus," Montana told Sports Illustrated after the game. "He said, ‘I’ve got the radio on and we’re leading 7-0. The trainer’s calling the plays.’" Broadcasting The game was televised in the United States by CBS and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden (the latter making his Super Bowl debut as a broadcaster). The broadcast also featured the introduction of the telestrator to a national audience, that was named CBS Chalkboard. Still in use today, it enables players and areas of play to be highlighted by the superimposing of lines and rings drawn by a freehand operator. Hosting coverage for The Super Bowl Today pregame (90 minutes), halftime, and postgame shows was the NFL Today crew of Brent Musburger; Irv Cross; Phyllis George and Jimmy "The Greek" Snyder, with studio analysis from then-Pittsburgh Steelers quarterback Terry Bradshaw (who coincidentally had faced these very same 49ers during the regular season and lost 17–14) and Roger Staubach. CBS, for this game, used the theme for the CBS Sports Saturday/Sunday for the intro (CBS had aired a special CBS Sports Sunday prior to the beginning of Super Bowl XVI coverage). This Super Bowl was simulcast in Canada on the CTV Television Network, which was airing the Super Bowl for the first time. The game was one of the most watched broadcasts in American television history, with more than 85 million viewers. The final national Nielsen rating was 49.1 (a 73 share), which is still a Super Bowl record, and ranks second to the final episode of M*A*S*H in 1983 among television broadcasts in general. (Super Bowl XLV holds the record for total U.S. viewership, with an average audience of 111 million, but only earned a rating of 46.0 and a 69 share). As of 2022, Super Bowl XVI remains the highest rated championship game in the history of the National Football League. The game was broadcast on nationwide radio by CBS and featured the broadcast team of play-by-play announcer Jack Buck and color commentator Hank Stram. Hosting coverage for CBS was done by Dick Stockton. Locally, Super Bowl XVI was broadcast by KCBS-AM in San Francisco with Don Klein and Wayne Walker and by WLW-AM in Cincinnati with Phil Samp and Andy MacWilliams. 60 Minutes was broadcast after the game on CBS, representing the Super Bowl lead-out program. The closing music for the telecast was "The Winner Takes It All" by ABBA. Entertainment The pregame festivities featured the University of Michigan Band. The band later performed the Canadian National Anthem, which was not televised. Singer Diana Ross (a Detroit native) then performed the U.S. national anthem, which followed a moment of silence in support of the Polish trade union Solidarity following the crackdown by the communist government of Poland on the pro-democracy union. Ross would later perform at the halftime show for Super Bowl XXX. This was the first of two Super Bowls, both held in Michigan, in which two national anthems were performed, and to have a joint Canadian-American armed forces color guard, which consisted of members of the Royal Canadian Mounted Police and Camp Grayling color guards. The coin toss ceremony featured Hall of Fame quarterback Bobby Layne, a star with the Lions from 1950-58. Up with People provided the halftime entertainment featuring a salute to the 1960s and Motown. This was the first Super Bowl to be played in the Midwest. Game summary First Quarter The Bengals had the first opportunity to score early in the game. After returning the opening kickoff 17 yards, San Francisco rookie returner Amos Lawrence was hit by Bengals rookie linebacker Guy Frazier and fumbled at his own 26-yard line (the first time in a Super Bowl that a turnover took place on the opening kick), where John Simmons recovered for Cincinnati. Quarterback Ken Anderson then started the drive off with a completion to wide receiver Isaac Curtis for 8 yards, and fullback Pete Johnson's 2-yard run then picked up a first down. Anderson followed with an 11-yard pass to tight end Dan Ross, moving the ball to the 5-yard line. However, Anderson threw an incomplete pass on first down, then was sacked by defensive end Jim Stuckey on second down for a 6-yard loss. Facing third down, Anderson tried to connect with Curtis in the end zone, but 49ers safety Dwight Hicks intercepted the ball at the 5-yard line and returned it 27 yards to the 32. From there, quarterback Joe Montana led the 49ers offense to the Cincinnati 47-yard line with three consecutive completions. Then, the 49ers ran a fake reverse – flea flicker play that involved wide receiver Freddie Solomon and ended with Montana completing a 14-yard pass to tight end Charle Young at the 33. Three running plays and Montana's 14-yard completion to Solomon moved the ball to the 1-yard line. Finally, Montana scored on a 1-yard quarterback sneak, giving San Francisco a 7–0 lead. Second Quarter The Bengals threatened to score early in the second quarter when they advanced across the San Francisco 30-yard line. But after catching a 19-yard pass from Anderson at the 5-yard line, wide receiver Cris Collinsworth lost a fumble while being tackled by 49ers defensive back Eric Wright. After recovering the fumble, the 49ers drove for a Super Bowl record 92 yards, scoring on a 10-yard pass from Montana to fullback Earl Cooper, increasing their lead to 14–0. The play Cooper scored on had not been called by Bill Walsh for two years. Cooper's leaping, celebratory spike of the football after scoring became the photo Sports Illustrated used for its post-game cover. Following the touchdown came a squib kick by kicker Ray Wersching that was finally recovered by Bengal receiver David Verser, who was quickly tackled at the 2-yard line. According to the NFL's highlight film for the game, the 49ers had discovered Wersching's ability to effectively use the squib during their 1981 season opener when a leg injury kept him from fully powering into the football; because that game was also played at the Silverdome, Bill Walsh felt that Wersching would be able to recreate the crazy bounces of a squib on the hard AstroTurf by shortening his stride and seeing what happened. The Bengals could only advance to their 25 before having Pat McInally boot a 47-yard punt, and with just over 4 minutes left in the half, Montana led the 49ers on another scoring drive. First, he completed a 17-yard pass to wide receiver Dwight Clark at the Cincinnati 49-yard line. Then, running back Ricky Patton ran twice, advancing the ball to the 39-yard line. Montana's next two completions to Clark (his 4th and final reception of the game) and Solomon moved the ball to the 5-yard line. But then Montana threw two straight incompletions, forcing the 49ers to settle for Wersching's 22-yard field goal to increase their lead to 17–0. With just 15 seconds left in the half, Wersching kicked a second squib kick that was muffed by Bengals running back Archie Griffin, and the 49ers recovered the ball on the Bengals' 4-yard line. As they lined-up for a field goal attempt, a false start penalty against San Francisco pushed them back 5 yards but Wersching connected from 26 yards, increasing the 49ers' lead to 20–0, which was the largest halftime lead in Super Bowl history to that date, breaking the previous record of 17 points set by Miami in Super Bowl VIII. Third Quarter After receiving the opening kickoff of the second half, the Bengals drove 83 yards in 9 plays. Charles Alexander started off the drive with a 13-yard carry, with a facemask penalty on Hicks giving an additional 5 yards. Two plays later, Anderson converted a 3rd and 4 situation with a 19-yard pass to Steve Kreider, and eventually finished the drive with a 5-yard touchdown run to cut the deficit to 20–7. This seemed to fire up Cincinnati's defense, who limited the 49ers to only 8 plays and 4 offensive yards for the entire third quarter. Later in the quarter, Bengals defensive back Mike Fuller's 17-yard punt return gave the Bengals the ball at midfield. Two penalties and a 4-yard sack pushed them back to their own 37, but on third down, Anderson's 49-yard pass to Collinsworth (the longest play of the game) moved the ball to the San Francisco 14-yard line. Johnson then later successfully converted on a fourth down run, giving the Bengals a first down on the 3-yard line. On that play, the 49ers only had 10 players on the field because linebacker Keena Turner, who was seriously ill with chicken pox during Super Bowl week, missed a call to enter the game. On first down, Johnson drove into the line and gained 2 yards down to the 49ers' 1-yard line. The Bengals then tried to run Johnson into the line on second down, but lost a yard when a charging rush prevented the Bengals from executing their blocking assignments. Cincinnati receiver David Verser also missed a blocking audible by Anderson. On third down, 49ers linebacker Dan Bunz made probably the key defensive play of the game. Anderson faked to Johnson and threw a swing pass out to Alexander, who was isolated on Bunz. Bunz, however, corralled Alexander at the line of scrimmage on an open-field tackle and kept him from reaching the end zone. Highlights showed that Alexander was supposed to have entered the end zone before making his cut, and his early turn prevented a touchdown pass. After calling a timeout, rather than attempting a field goal on fourth down, the Bengals sent Johnson into the middle of the line one last time. But San Francisco cornerback Ronnie Lott and linebackers Bunz and Jack "Hacksaw" Reynolds tackled him for no gain, giving the ball back to the 49ers. Fourth Quarter The 49ers only gained 8 yards on their ensuing drive, and the Bengals got the ball back after receiving Jim Miller's 44-yard punt at their own 47-yard line. Taking advantage of their great starting field position, the Bengals marched 53 yards in 7 plays and scored a touchdown on a 4-yard pass from Anderson to Ross. With the score, the deficit was cut to 20–14 with 10:06 left in regulation. However, the 49ers countered with a 50-yard, 9-play drive that took 4:41 off the clock, and included Montana's 22-yard pass to receiver Mike Wilson (his longest
first Super Bowl appearance. The 49ers posted a 13–3 regular season record, and playoff wins over the New York Giants and the Dallas Cowboys. The Bengals finished the regular season with a 12–4 record, and had postseason victories over the Buffalo Bills and the San Diego Chargers. Cincinnati's 356 yards of offense to San Francisco's 275 marked the first time in Super Bowl history that a team which was outgained in total yards won. The Bengals also committed four turnovers to San Francisco's one, which played a major factor in the outcome. Three of Cincinnati's turnovers helped San Francisco build a then-Super Bowl record 20–0 halftime lead, off a touchdown pass and a rushing touchdown from quarterback Joe Montana and two field goals by Ray Wersching. The Bengals began to rally in the second half with quarterback Ken Anderson's 5-yard touchdown run and 4-yard touchdown pass, but a third-quarter goal line stand by the 49ers defense and two more Wersching field goals ultimately decided the game. The Bengals managed to score their final touchdown with 16 seconds left, but could not recover the ensuing onside kick. Montana was named the Super Bowl MVP, completing 14 of 22 passes for 157 yards and one touchdown, while also rushing for 18 yards and a touchdown on the ground. Cincinnati tight end Dan Ross recorded a Super Bowl-record 11 receptions (still the most ever by a tight end in a Super Bowl) for 104 yards and 2 touchdowns. Background The NFL awarded Super Bowl XVI to Pontiac, Michigan on March 13, 1979, at the owners meetings in Honolulu. San Francisco 49ers San Francisco finished the regular season with a league-best 13–3 record. The 49ers' success surprised many because they finished with a 6–10 record during the previous season, and a 2–14 record before that (they even still had home blackouts early on in the 1981 season, the last blackouts for the 49ers to date). A major reason for the team's improvement was the emergence of their young quarterback Joe Montana. In just his third season in the league, Montana completed 311 out of 488 passes (a league-leading 63.7 completion percentage) for 3,565 yards and 19 touchdowns. His favorite targets were receivers Dwight Clark (85 receptions, 1,104 yards, and 4 touchdowns) and Freddie Solomon (59 receptions, 969 yards, and 8 touchdowns), along with tight end Charle Young (37 receptions for 400 yards and 5 touchdowns). Running back Ricky Patton was the top rusher on the team with 543 yards and 4 touchdowns, while also catching 27 passes for 195 yards. Multi-talented running back Earl Cooper also provided the team with a good running and receiving threat, rushing for 330 yards and catching 51 passes for 477 yards. Much of San Francisco's success was aided by their offensive line, which featured Dan Audick (LT), John Ayers (LG), Fred Quillan (C), Randy Cross (RG), and Keith Fahnhorst (RT). Although the 49ers had three rookies starting as defensive backs, they all were major defensive threats: Carlton Williamson recorded four interceptions, Eric Wright had three, and Ronnie Lott, who had the best season of his career, recorded seven interceptions and tied an NFL record by returning three of them for touchdowns. Three-year veteran defensive back Dwight Hicks led the team with nine interceptions, which he returned for 239 yards and a touchdown, giving the secondary a total of 23. Defensive end Fred Dean and linebacker Jack "Hacksaw" Reynolds were big contributors up front, making it difficult for the opposing teams to rush the ball; Dean became a 49er after an in-season trade with the San Diego Chargers and piled up 12 sacks for San Francisco. Cincinnati Bengals The Bengals finished with the best regular season record in the AFC at 12–4. Cincinnati was also a surprise team because, like the 49ers, they also had recorded a 6–10 record during the previous season. And prior to this year, they had never won a playoff game in their entire history. Bengals quarterback Ken Anderson was the top rated passer in the league and won both the NFL Most Valuable Player Award and the NFL Comeback Player of the Year Award. He completed 300 of 479 (62.6 percent) passes for 3,754 yards and 29 touchdowns, with only 10 interceptions. Anderson was also an outstanding scrambler, rushing for 320 yards and one touchdown, the highest rushing total among all NFL quarterbacks during the season. The Bengals main deep threat was rookie wide receiver Cris Collinsworth, who caught 67 passes for 1,009 yards and 8 touchdowns. Tight end Dan Ross had 71 receptions for 910 yards and 5 touchdowns, while wide receivers Isaac Curtis and Steve Kreider each recorded 37 receptions, combining for a total of 1,129 yards and 9 touchdowns. Fullback Pete Johnson was the leading rusher on the team with 1,077 yards and 12 touchdowns. He was also a good receiver out of the backfield, catching 46 passes for another 320 yards and 4 touchdowns. Halfback Charles Alexander was also a big contributor with 554 all-purpose yards and 28 receptions. A big reason for Cincinnati's production on offense was their line, led by future Hall of Fame tackle Anthony Muñoz and guard Max Montoya. On special teams, punter Pat McInally made the Pro Bowl with a 45.4 yards-per-punt average. The Bengals also had a good defense that had not given up more than 30 points in any of their regular season or playoff games. Their line was anchored by defensive ends Ross Browner and Eddie Edwards, who did a great job stopping the run. Cincinnati's defense was also led by defensive backs Louis Breeden and Ken Riley, and linebackers Bo Harris, Jim LeClair, and Reggie Williams, who intercepted four passes and recovered three fumbles. Playoffs The Bengals earned their first playoff victory in team history by defeating the Buffalo Bills 28–21, then beating the San Diego Chargers 27–7 in a game known as the Freezer Bowl because of the −59 wind chill conditions at Riverfront Stadium. Meanwhile, the 49ers would defeat the New York Giants 38–24, then narrowly beat the Dallas Cowboys 28–27 on a last-minute touchdown pass known as The Catch. Super Bowl pregame news The 49ers had handily beaten the Bengals in a December game played in Cincinnati and consequently were installed as a 1-point favorite. That said, going into Super Bowl XVI, most experts agreed that both teams were very evenly matched, but many thought Pete Johnson's rushing ability could prove to be the difference. Some also pointed out that Ken Anderson was an established 11-year veteran who had just finished the best season of his career, while the young Montana was only just starting to emerge as a top-notch quarterback. Furthermore, Anderson had advanced through the playoffs without throwing a single interception, while Montana had been intercepted 4 times, 3 of them occurring in the NFC title game. During the season, both teams had shown impressive ball security. Cincinnati had the fewest turnovers of any team during the 1981 season with 24, while San
first time since Super Bowl IV. Four teams that made the playoffs the previous year failed to do so in the strike-shortened season, even with the greatly expanded postseason field. The San Francisco 49ers, winners of Super Bowl XVI, struggled to a 3–6 record. The Buffalo Bills, the New York Giants and the Philadelphia Eagles did not qualify for the playoffs, either. However, the Cleveland Browns and the Detroit Lions did qualify for the playoffs despite 4–5 records, becoming the first teams in NFL history to compete in postseason play despite regular-season winning percentages below .500. No other losing teams would do so until the Seattle Seahawks reached the playoffs following the 2010 season, becoming the first team to accomplish this in a season unaffected by a strike. The 2014 Carolina Panthers and the 2020 Washington Football Team also achieved playoff berths with winning percentages below .500 in seasons not shortened by a players' strike. Miami Dolphins The Dolphins finished the strike-shortened regular season with a 7–2 record, ranking them second in the AFC. The Miami club's main strength was its defense, nicknamed the "Killer Bees" because six of the defense's 11 starters had last names that began with the letter B. The "Killer Bees", anchored by Pro Bowl defensive tackle Bob Baumhower, allowed the fewest total yards in the league (2,312) and the fewest passing yards in the league (1,027). Linebacker A. J. Duhe was extremely effective at blitzing and in pass coverage. The Dolphins' secondary, consisting of defensive backs Don McNeal, Gerald Small and brothers Lyle and Glenn Blackwood, combined for 11 interceptions. However, Miami's passing attack, led by quarterback David Woodley, ranked second to last in the league with 1,314 total yards, 8 touchdowns and 13 interceptions. One of the few bright spots in the Dolphins' passing attack was wide receiver Jimmy Cefalo, who gained 356 yards from just 17 receptions for an average of 20.9 yards per catch. Wide receiver Duriel Harris also provided a deep threat with 22 receptions for 331 yards. Miami's strength on offense was its ground game, ranking third in the league with 1,344 rushing yards. Pro Bowl running back Andra Franklin was the team's top rusher with 701 yards (third in the NFL) and seven touchdowns. Running back Tony Nathan rushed for 233 yards and caught 16 passes for another 114 yards. Woodley himself also rushed for 207 yards and two touchdowns. One reason for the Dolphins' rushing success was the blocking of their offensive line, led by future Hall of Fame center Dwight Stephenson, along with Pro Bowlers Bob Kuechenberg (a starter on Miami's early 1970s Super Bowl teams) and Ed Newman. Washington Redskins Super Bowl XVII was the Redskins' first Super Bowl victory (third NFL championship overall) and their second Super Bowl appearance; they were defeated by the Dolphins, 14–7, in Super Bowl VII. This was the second rematch in Super Bowl history (the first being the Pittsburgh Steelers and the Dallas Cowboys in Super Bowls X and XIII). Washington finished the strike-shortened regular season with an NFC-best 8–1 record, earning their first playoff appearance in six years and allowing the fewest points scored in the NFL (128). Redskins quarterback Joe Theismann finished the season as the top rated passer in the NFC, completing 161 of 252 (63 percent) pass attempts for 2,033 yards and 13 touchdowns, while also rushing for 150 yards. The main weapons in the passing game were wide receivers Charlie Brown (32 receptions, 690 yards and 8 touchdowns) and Art Monk (35 receptions, 447 yards and one touchdown). Running back John Riggins led the Redskins' ground game, rushing for 553 yards and three touchdowns during the regular season. Much of Washington's success on offense was attributed to their offensive line, affectionately known as "The Hogs". Washington also had impact players on special teams. Mark Moseley became the first placekicker to win the NFL Most Valuable Player Award, converting 20 of 21 field goal attempts and all 18 of his extra point attempts. Kick returner Mike Nelms gained a combined total of 809 yards returning kickoffs and punts. The Redskins' defense was led by 6'7", 296-pound defensive tackle Dave Butz, who anchored the line, along with defensive ends Dexter Manley and Tony McGee, who each recorded 6.5 sacks. Washington's secondary was led by defensive backs Vernon Dean and Jeris White, who each recorded three interceptions. Playoffs The Dolphins advanced through the special 16-team playoffs by defeating the New England Patriots, 28–13, the San Diego Chargers, 34–13, and the New York Jets, 14–0, earning a trip to the Super Bowl for the fourth time. Meanwhile, the Redskins defeated the Detroit Lions, 31–7, the Minnesota Vikings, 21–7, and the Dallas Cowboys, 31–17. Before the playoffs, the 33-year-old Riggins, who had averaged barely three yards per carry during the season, told coach Joe Gibbs "I'm really getting down the road. I don't have many of these left. I've been out two weeks and I'm ready. Give me the ball." Gibbs did just that, and Riggins ran for a combined total of 444 yards and three touchdowns during those playoff victories. Another key contributor in the NFC playoffs was backup wide receiver Alvin Garrett, who replaced Monk after he suffered a leg injury that kept him out of the entire postseason. Although he only recorded one reception during the entire regular season, Garrett caught a total of 13 receptions for 231 yards and four touchdowns in Washington's three conference playoff games. Super Bowl pre-game news Entering Super Bowl XVII, the Dolphins were favored to win, primarily because of their "Killer Bees" defense. It had recorded 12 interceptions in three AFC playoff games, including five each in the final two contests. Another reason was because 26 players on Washington's 45-man roster had been signed by the team as free agents, including 14 who had never been drafted by an NFL team. Only ten players on the Redskins roster had any prior playoff experience. As was the case in Super Bowl VII, the Redskins were the designated home team. However, the Redskins chose to wear their white uniforms and burgundy pants for the game; in their previous Super Bowl loss to Miami, the Redskins were required to wear their burgundy and gold uniforms as the home team. Washington became the second team after the 1978 Dallas Cowboys to wear white as the home team in a Super Bowl. The Dolphins wore their aqua uniforms and white pants. Broadcasting The game was televised in the United States by NBC, with Dick Enberg handling the play-by-play duties and color commentator Merlin Olsen in the broadcast booth. Len Berman and his NFL '82 castmates, Mike Adamle (who also covered the Vince Lombardi Trophy presentation ceremony), Ahmad Rashād and Pete Axthelm anchored the pregame, halftime and postgame coverage. NBC's national Nielsen rating of 48.6 was the second-highest for a Super Bowl broadcast, trailing only the 49.1 garnered by Super Bowl XVI on CBS the year before. NBC introduced a new theme for the game; a brass-based piece that would see usage in various forms (as game introduction; pregame introduction or bumper music) for most of the remainder of the decade. The game was broadcast nationally on radio on CBS, with Jack Buck handling the play-by-play duties and color commentator Hank Stram in the broadcast booth. Brent Musburger anchored the Super Bowl XVII pregame, halftime, and postgame coverage with analysis from Irv Cross and Jimmy Snyder for CBS. Locally, Super Bowl XVII was broadcast on WMAL-AM in Washington, D.C. by Frank Herzog, Sam Huff and Sonny Jurgensen, and on WIOD-AM in Miami, Florida by Rick Weaver and Hank Goldberg. Following the game, NBC aired the premiere episode of The A-Team, beginning the tradition of the game's host network airing programming after the game. As a way to hype the show for NBC, Mr. T was in attendance for the game. Locally, Super Bowl XVII was shown on WRC-TV, the Washington, D.C. NBC affiliate and on WCKT-TV, the Miami, Florida NBC affiliate. The game was shown live in the UK
points scored in the NFL (128). Redskins quarterback Joe Theismann finished the season as the top rated passer in the NFC, completing 161 of 252 (63 percent) pass attempts for 2,033 yards and 13 touchdowns, while also rushing for 150 yards. The main weapons in the passing game were wide receivers Charlie Brown (32 receptions, 690 yards and 8 touchdowns) and Art Monk (35 receptions, 447 yards and one touchdown). Running back John Riggins led the Redskins' ground game, rushing for 553 yards and three touchdowns during the regular season. Much of Washington's success on offense was attributed to their offensive line, affectionately known as "The Hogs". Washington also had impact players on special teams. Mark Moseley became the first placekicker to win the NFL Most Valuable Player Award, converting 20 of 21 field goal attempts and all 18 of his extra point attempts. Kick returner Mike Nelms gained a combined total of 809 yards returning kickoffs and punts. The Redskins' defense was led by 6'7", 296-pound defensive tackle Dave Butz, who anchored the line, along with defensive ends Dexter Manley and Tony McGee, who each recorded 6.5 sacks. Washington's secondary was led by defensive backs Vernon Dean and Jeris White, who each recorded three interceptions. Playoffs The Dolphins advanced through the special 16-team playoffs by defeating the New England Patriots, 28–13, the San Diego Chargers, 34–13, and the New York Jets, 14–0, earning a trip to the Super Bowl for the fourth time. Meanwhile, the Redskins defeated the Detroit Lions, 31–7, the Minnesota Vikings, 21–7, and the Dallas Cowboys, 31–17. Before the playoffs, the 33-year-old Riggins, who had averaged barely three yards per carry during the season, told coach Joe Gibbs "I'm really getting down the road. I don't have many of these left. I've been out two weeks and I'm ready. Give me the ball." Gibbs did just that, and Riggins ran for a combined total of 444 yards and three touchdowns during those playoff victories. Another key contributor in the NFC playoffs was backup wide receiver Alvin Garrett, who replaced Monk after he suffered a leg injury that kept him out of the entire postseason. Although he only recorded one reception during the entire regular season, Garrett caught a total of 13 receptions for 231 yards and four touchdowns in Washington's three conference playoff games. Super Bowl pre-game news Entering Super Bowl XVII, the Dolphins were favored to win, primarily because of their "Killer Bees" defense. It had recorded 12 interceptions in three AFC playoff games, including five each in the final two contests. Another reason was because 26 players on Washington's 45-man roster had been signed by the team as free agents, including 14 who had never been drafted by an NFL team. Only ten players on the Redskins roster had any prior playoff experience. As was the case in Super Bowl VII, the Redskins were the designated home team. However, the Redskins chose to wear their white uniforms and burgundy pants for the game; in their previous Super Bowl loss to Miami, the Redskins were required to wear their burgundy and gold uniforms as the home team. Washington became the second team after the 1978 Dallas Cowboys to wear white as the home team in a Super Bowl. The Dolphins wore their aqua uniforms and white pants. Broadcasting The game was televised in the United States by NBC, with Dick Enberg handling the play-by-play duties and color commentator Merlin Olsen in the broadcast booth. Len Berman and his NFL '82 castmates, Mike Adamle (who also covered the Vince Lombardi Trophy presentation ceremony), Ahmad Rashād and Pete Axthelm anchored the pregame, halftime and postgame coverage. NBC's national Nielsen rating of 48.6 was the second-highest for a Super Bowl broadcast, trailing only the 49.1 garnered by Super Bowl XVI on CBS the year before. NBC introduced a new theme for the game; a brass-based piece that would see usage in various forms (as game introduction; pregame introduction or bumper music) for most of the remainder of the decade. The game was broadcast nationally on radio on CBS, with Jack Buck handling the play-by-play duties and color commentator Hank Stram in the broadcast booth. Brent Musburger anchored the Super Bowl XVII pregame, halftime, and postgame coverage with analysis from Irv Cross and Jimmy Snyder for CBS. Locally, Super Bowl XVII was broadcast on WMAL-AM in Washington, D.C. by Frank Herzog, Sam Huff and Sonny Jurgensen, and on WIOD-AM in Miami, Florida by Rick Weaver and Hank Goldberg. Following the game, NBC aired the premiere episode of The A-Team, beginning the tradition of the game's host network airing programming after the game. As a way to hype the show for NBC, Mr. T was in attendance for the game. Locally, Super Bowl XVII was shown on WRC-TV, the Washington, D.C. NBC affiliate and on WCKT-TV, the Miami, Florida NBC affiliate. The game was shown live in the UK for the first time when Channel 4, Britain's newest channel (launched November 2, 1982) covered it. Additionally, the Super Bowl was shown live in Canada on CTV, which also simulcasted NBC's coverage. In Mexico was broadcast, with NBC's signal, live at Rose Bowl Stadium by Televisa Channel 5 XHGC. The game is featured on NFL's Greatest Games under the title Hog Day Afternoon, narrated by John Facenda and featuring interviews with Joe Bugel. Entertainment Super Bowl XVII was dedicated to University of Alabama coach Bear Bryant, who had died four days earlier. A moment of silence was held in his memory during the pregame ceremonies. Dolphins Tony Nathan, Dwight Stephenson, Bob Baumhower and Don McNeal were All-Americans for Bryant at Alabama, and Redskins reserve running back Wilbur Jackson was the first African-American to earn a football scholarship to Alabama. The Los Angeles Unified School District All-City Band played during the pregame ceremonies. Later, actress Leslie Easterbrook performed the national anthem. Easterbrook almost missed the ceremony, saying, "the limo driver couldn’t find the Rose Bowl in Pasadena. When I finally got there I ran through that tunnel by myself and actually slid, as if I was diving for first base. I slid into the microphone and they had 60 seconds of silence for the passing of a football coach from Alabama. I caught my breath and did it." The coin toss ceremony featured Pro Football Hall of Fame receiver Elroy Hirsch. Dolphins captain Bob Kuechenberg called "tails," and the coin came down "tails." However, referee Jerry Markbreit became confused by the similar design of both sides of the coin and incorrectly thought "heads" had landed. After a short discussion with his head linesman, Dale Hamer, Markbreit corrected his mistake before the kickoff, then asked Kuechenberg if the Dolphins would receive said kickoff, which they did. Justin Peters of Slate, who watched all the Super Bowls over a two-month period in 2015 before Super Bowl 50, reported what transpired: “Tails is the call,” said Markbreit. “Heads,” he said after the coin had dropped. “No, it’s tails, it’s tails,” everyone then said. “Whoop!” Markbreit said, bending down before announcing “Tails!” “So some confusion over what is heads and what is tails,” Dick Enberg said. Peters called it one of the funniest of all Super Bowl moments. The halftime show was produced by Bob Jani Productions and titled "KaleidoSUPERscope", and featured the Los Angeles Super Drill Team. Game Summary First Quarter Miami scored first on their second possession when faced with 2nd-and-6 on their own 24. David Woodley froze hard-charging lineman Dexter Manley with a pump fake before throwing the ball to wide receiver Jimmy Cefalo, who caught the ball ahead of single coverage by safety Tony Peters at the Redskins 45 and raced untouched down the right sideline for a 76-yard touchdown completion. Then after forcing the Redskins to punt, Woodley attempted a deep pass again, but was hit by Manley, causing him to fumble, and defensive tackle Dave Butz recovered the ball on the Dolphins 46-yard line. The turnover led to Redskins kicker Mark Moseley's 31-yard field goal to cut the Dolphins' lead to 7–3,
Seattle Seahawks (who had beaten the Raiders twice during the regular season), 30–14. Allen had been particularly effective in the playoffs, gaining a total of 375 combined yards and scoring three touchdowns. The Raiders' defense limited Seahawks running back Curt Warner, who had led the AFC in rushing yards (1,449 yards), to just 26 yards on 11 carries. Meanwhile, the Redskins crushed the Los Angeles Rams 51–7, and then narrowly defeated the San Francisco 49ers 24–21, with Mark Moseley kicking the game-winning field goal with just 40 seconds left. Mirroring the previous postseason, Riggins was a key contributor, rushing for a combined playoff total of 242 yards and five touchdowns in the two games. In doing so, Riggins extended his NFL record of consecutive playoff games with at least 100 rushing yards to six. Brown also was a key contributor in both playoff wins, recording a combined total of 11 receptions for 308 yards and a touchdown. Washington's defense was just as effective at stopping their postseason opponent's rushing attack as they had been during the regular season, limiting running backs Eric Dickerson and Wendell Tyler to a combined total of 60 rushing yards. Dickerson was the NFL's leading rusher with 1,808 yards and 18 touchdowns during the season, but could only gain 16 yards on 10 carries against the Redskins' defense. Super Bowl pregame news Coming into Super Bowl XVIII, the Redskins were favored to win because of their offense, their number one-rated run defense, their league-best 14–2 regular-season record (they lost 2 games by 1 point each to the Dallas Cowboys, 31-30 and the Green Bay Packers, 48-47), and their Super Bowl win from last season. Also, the Redskins had defeated the Raiders during an October 2 regular-season game, 37–35, by scoring 17 points in the final six minutes of the game. In 1970, Jim Plunkett had won the Heisman Trophy as the quarterback of Stanford University with 2,229 votes. The runner up for the award, with 1,410 votes, was University of Notre Dame quarterback Joe Theismann. As the designated home team in the annual rotation between AFC and NFC teams, the Raiders elected to wear their home black uniforms with silver pants, while the Redskins wore their white uniforms with burgundy pants, worn for every game, home and away, by Washington in 1983 except at Philadelphia, San Diego and Dallas. This was the final Super Bowl to feature a team with a straight-on kicker, Mark Moseley of Washington. This was the first Super Bowl to feature the Super Bowl logo on the players uniforms but on the back of the helmet and only Washington wore it. A logo would not appear again on the players uniforms until Super Bowl XXV but this time it was on the jerseys of both teams and would not become a regular practice until Super Bowl XXXII. Broadcasting The game was broadcast in the United States by CBS and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden. Hosting pregame coverage for The Super Bowl Today was Brent Musburger; Irv Cross; Phyllis George (her final assignment for CBS) and Jimmy "The Greek" Snyder. Other contributors to CBS coverage included Jim Hill (who was also sports director of KNXT in Los Angeles which aired the game in that market {KNXT changed its call letters to the current KCBS-TV that April}; WDVM aired the game in Washington, D.C.); Charlsie Cantey; Pat O'Brien; Dick Vermeil; Tom Brookshier; Hank Stram (who also worked the game alongside Jack Buck on CBS Radio); John Tesh and CBS News correspondent Charles Osgood. Dick Stockton would serve as pregame host for CBS Radio coverage; while Musburger would also contribute halftime commentary in addition to hosting CBS television coverage During this game, CBS introduced a new theme and open that would later be used for their college football coverage until it was replaced by the current college football theme introduced on Super Bowl XXI (the next Super Bowl CBS aired at the end of the 1986 season). In addition to King and Marotta, who called the game over KRLA in Los Angeles, additional local radio coverage of Super Bowl XVIII was provided by WMAL-AM with Frank Herzog, Sam Huff and Sonny Jurgensen announcing. Nationally, Jack Buck and Hank Stram announced for CBS Radio. It was simulcast in Canada on CTV and in the United Kingdom on Channel 4. Apple's famous "1984" television commercial, introducing the Macintosh computer and directed by Ridley Scott, ran during a timeout in the third quarter. The advertisement changed how the Super Bowl would be used as a media advertising platform. As previously mentioned, the highlight package to Super Bowl XVIII was voiceover artist John Facenda's final project for NFL Films. Facenda died eight months after the game. An expanded version of Black Sunday (the highlight film's title) has appeared on NFL's Greatest Games and contains an additional hour of game footage plus audio play-by-play from Bill King and Rich Marotta (Raiders), and Frank Herzog and Sonny Jurgensen (Redskins), while retaining Facenda's narration. Following the game, CBS aired the pilot episode of Airwolf. Entertainment The pregame festivities, which paid tribute to George Halas, featured the University of Florida Fightin' Gator Marching Band and the Florida State University Marching Chiefs. After a moment of silence for Halas, singer Barry Manilow performed the national anthem. The coin toss ceremony featured Pro Football Hall of Fame fullback and defensive tackle Bronko Nagurski. The halftime show was a "Salute to Superstars of Silver Screen." Game summary First Quarter During the first half, the Raiders scored on offense, defense, and special teams, becoming the first team to score two non-offensive touchdowns in a Super Bowl. Less than five minutes into the game, Los Angeles's Derrick Jensen blocked Jeff Hayes' punt deep in Washington territory and recovered the ball in the end zone to give the Raiders a 7–0 lead. On their ensuing drive, Washington was forced to punt, but Los Angeles punt returner Ted Watts muffed the catch, and Washington safety Greg Williams recovered the ball at the Raiders 42-yard line. However, the Redskins advanced only to the Raiders 27-yard line and came away with no points after kicker Mark Moseley missed a 44-yard field goal attempt. Second Quarter Early in the second quarter, Raiders punter Ray Guy prevented a disaster when he leaped to pull in a high snap one-handed, before punting through the endzone for a touchback. After Washington was forced to punt, Raiders quarterback Jim Plunkett completed a 50-yard pass to wide receiver Cliff Branch, advancing the ball to the Redskins' 15-yard line. Branch said that the Raiders took advantage of the tailwind after the teams switched sides. Two plays later, Plunkett threw a 12-yard touchdown pass to Branch, increasing the lead to 14–0. One of the key contributors on the touchdown play was center Dave Dalby. After snapping the ball, Dalby had no one in front of him to block, so he backpedaled into the backfield and spotted linebacker Rich Milot coming at Plunkett from the left side, managing to throw a block against him just in time to prevent a sack and enable Plunkett to throw the ball. Cliff Branch became just the fourth player to catch a touchdown in two different Super Bowls (after Lynn Swann, John Stallworth, and Butch Johnson). On their next drive, the Redskins moved the ball 73 yards in 12 plays to the Raiders 7-yard line, with Joe Theismann completing a 17-yard pass to receiver Alvin Garrett and three passes to tight end Clint Didier for 50 yards. However, linebacker Rod Martin broke up Theismann's third-down pass attempt, forcing Washington to settle for a 24-yard field goal by Moseley. Los Angeles took the ensuing kickoff and drove 41 yards to the Redskins 39-yard line. The drive stalled when Plunkett's third-down pass fell incomplete, but Ray Guy's 27-yard punt pinned Washington back at their own 12-yard line with 12 seconds left in the half. From there, head coach Joe Gibbs had Theismann run a screen play called "Rocket Screen", but Raiders linebacker Jack Squirek intercepted the pass and returned it for a touchdown to give the Raiders a 21–3 halftime lead. The defense was prepared for the play, as Theismann had successfully completed an identical screen pass to Joe Washington for a 67-yard gain in their 37–35 victory over the Raiders on October 2. In fact, Los Angeles linebackers coach Charlie Sumner had sent Squirek onto the field as a last-second substitution specifically to cover Washington. "I was mad," said linebacker Matt Millen, who had to run off the field to avoid a
the line, defensive end Dexter Manley recorded 11 sacks and an interception. Defensive back Mark Murphy led the NFL with 9 interceptions, while the other starters in the secondary, Vernon Dean, Anthony Washington and Ken Coffey, along with rookie cornerback Darrell Green, combined for 13 interceptions. Washington, Coffey and Green filled the void left by the season-long suspension of safety Tony Peters and the season-long holdout by cornerback Jeris White. Los Angeles Raiders The Raiders made it to their fourth Super Bowl in team history after posting a 12–4 regular-season record. Raiders quarterback Jim Plunkett completed 230 out of 379 (60.7 percent) passes resulting in 2,935 yards and 20 touchdowns. His favorite target was tight end Todd Christensen, who led the NFL with 92 receptions for 1,247 yards and 12 touchdowns. Wide receivers Cliff Branch and Malcolm Barnwell combined for 74 receptions, 1,209 yards, and 6 touchdowns. But the largest impact on offense was running back Marcus Allen. In just his second NFL season, Allen led the team in rushing yards (1,014) and total yards from scrimmage (1,604), while ranking second on the team in receptions (68) and touchdowns (11). But Allen was not the only key running back on the team. Kenny King and Frank Hawkins combined for 1,119 total rushing and receiving yards, and 10 touchdowns. Los Angeles also had a powerful special teams attack led by Greg Pruitt, who led the NFL in punt returns (58), and punt return yards (666), while adding another 604 yards returning kickoffs and rushing for 154 yards and two scores. On defense, their three-man front was led by Pro Bowl defensive linemen Howie Long (13 sacks, 2 fumble recoveries) and Lyle Alzado, who had 7 sacks, along with rookie Greg Townsend, who recorded 10.5 sacks and a 66-yard fumble return touchdown. The linebacking corps was led by Pro Bowlers Rod Martin and Matt Millen, along with 15-year veteran Ted Hendricks. Martin had six sacks and four interceptions. Cornerbacks Mike Haynes (acquired in a trade from New England) and Lester Hayes were widely considered to be the best cornerback tandem in the NFL. Pro Bowl Safety Vann McElroy recovered 3 fumbles and ranked second in the NFL with 8 interceptions. The Raiders' head coach was Tom Flores. Playoffs The Raiders only allowed a combined total of 24 points in their playoff victories over the Pittsburgh Steelers, 38–10, and the Seattle Seahawks (who had beaten the Raiders twice during the regular season), 30–14. Allen had been particularly effective in the playoffs, gaining a total of 375 combined yards and scoring three touchdowns. The Raiders' defense limited Seahawks running back Curt Warner, who had led the AFC in rushing yards (1,449 yards), to just 26 yards on 11 carries. Meanwhile, the Redskins crushed the Los Angeles Rams 51–7, and then narrowly defeated the San Francisco 49ers 24–21, with Mark Moseley kicking the game-winning field goal with just 40 seconds left. Mirroring the previous postseason, Riggins was a key contributor, rushing for a combined playoff total of 242 yards and five touchdowns in the two games. In doing so, Riggins extended his NFL record of consecutive playoff games with at least 100 rushing yards to six. Brown also was a key contributor in both playoff wins, recording a combined total of 11 receptions for 308 yards and a touchdown. Washington's defense was just as effective at stopping their postseason opponent's rushing attack as they had been during the regular season, limiting running backs Eric Dickerson and Wendell Tyler to a combined total of 60 rushing yards. Dickerson was the NFL's leading rusher with 1,808 yards and 18 touchdowns during the season, but could only gain 16 yards on 10 carries against the Redskins' defense. Super Bowl pregame news Coming into Super Bowl XVIII, the Redskins were favored to win because of their offense, their number one-rated run defense, their league-best 14–2 regular-season record (they lost 2 games by 1 point each to the Dallas Cowboys, 31-30 and the Green Bay Packers, 48-47), and their Super Bowl win from last season. Also, the Redskins had defeated the Raiders during an October 2 regular-season game, 37–35, by scoring 17 points in the final six minutes of the game. In 1970, Jim Plunkett had won the Heisman Trophy as the quarterback of Stanford University with 2,229 votes. The runner up for the award, with 1,410 votes, was University of Notre Dame quarterback Joe Theismann. As the designated home team in the annual rotation between AFC and NFC teams, the Raiders elected to wear their home black uniforms with silver pants, while the Redskins wore their white uniforms with burgundy pants, worn for every game, home and away, by Washington in 1983 except at Philadelphia, San Diego and Dallas. This was the final Super Bowl to feature a team with a straight-on kicker, Mark Moseley of Washington. This was the first Super Bowl to feature the Super Bowl logo on the players uniforms but on the back of the helmet and only Washington wore it. A logo would not appear again on the players uniforms until Super Bowl XXV but this time it was on the jerseys of both teams and would not become a regular practice until Super Bowl XXXII. Broadcasting The game was broadcast in the United States by CBS and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden. Hosting pregame coverage for The Super Bowl Today was Brent Musburger; Irv Cross; Phyllis George (her final assignment for CBS) and Jimmy "The Greek" Snyder. Other contributors to CBS coverage included Jim Hill (who was also sports director of KNXT in Los Angeles which aired the game in that market {KNXT changed its call letters to the current KCBS-TV that April}; WDVM aired the game in Washington, D.C.); Charlsie Cantey; Pat O'Brien; Dick Vermeil; Tom Brookshier; Hank Stram (who also worked the game alongside Jack Buck on CBS Radio); John Tesh and CBS News correspondent Charles Osgood. Dick Stockton would serve as pregame host for CBS Radio coverage; while Musburger would also contribute halftime commentary in addition to hosting CBS television coverage During this game, CBS introduced a new theme and open that would later be used for their college football coverage until it was replaced by the current college football theme introduced on Super Bowl XXI (the next Super Bowl CBS aired at the end of the 1986 season). In addition to King and Marotta, who called the game over KRLA in Los Angeles, additional local radio coverage of Super Bowl XVIII was provided by WMAL-AM with Frank Herzog, Sam Huff and Sonny Jurgensen announcing. Nationally, Jack Buck and Hank Stram announced for CBS Radio. It was simulcast in Canada on CTV and in the United Kingdom on Channel 4. Apple's famous "1984" television commercial, introducing the Macintosh computer and directed by Ridley Scott, ran during a timeout in the third quarter. The advertisement changed how the Super Bowl would be used as a media advertising platform. As previously mentioned, the highlight package to Super Bowl XVIII was voiceover artist John Facenda's final project for NFL Films. Facenda died eight months after the game. An expanded version of Black Sunday (the highlight film's title) has appeared on NFL's Greatest Games and contains an additional hour of game footage plus audio play-by-play from Bill King and Rich Marotta (Raiders), and Frank Herzog and Sonny Jurgensen (Redskins), while retaining Facenda's narration. Following the game, CBS aired the pilot episode of Airwolf. Entertainment The pregame festivities, which paid tribute to George Halas, featured the University of Florida Fightin' Gator Marching Band and the Florida State University Marching Chiefs. After a moment of silence for Halas, singer Barry Manilow performed the national anthem. The coin toss ceremony featured Pro Football Hall of Fame fullback and defensive tackle Bronko Nagurski. The halftime show was a "Salute to Superstars of Silver Screen." Game summary First Quarter During the first half, the Raiders scored on offense, defense, and special teams, becoming the first team to score two non-offensive touchdowns in a Super Bowl. Less than five minutes into the game, Los Angeles's Derrick Jensen blocked Jeff Hayes' punt deep in Washington territory and recovered the ball in the end zone to give the Raiders a 7–0 lead. On their ensuing drive, Washington was forced to punt, but Los Angeles punt returner Ted Watts muffed the catch, and Washington safety Greg Williams recovered the ball at the Raiders 42-yard line. However, the Redskins advanced only to the Raiders 27-yard line and came away with no points after kicker Mark Moseley missed a 44-yard field goal attempt. Second Quarter Early in the second quarter, Raiders punter Ray Guy prevented a disaster when he leaped to pull in a high snap one-handed, before punting through the endzone for a touchback. After Washington was forced to punt, Raiders quarterback Jim Plunkett completed a 50-yard pass to wide receiver Cliff Branch, advancing the ball to the Redskins' 15-yard line. Branch said that the Raiders took advantage of the tailwind after the teams switched sides. Two plays later, Plunkett threw a 12-yard touchdown pass to Branch, increasing the lead to 14–0. One of the key contributors on the touchdown play was center Dave Dalby. After snapping the ball, Dalby had no one in front of him to block, so he backpedaled into the backfield and spotted linebacker Rich Milot coming at Plunkett from the left side, managing to throw a block against him just in time to prevent a sack and enable Plunkett to throw the ball. Cliff Branch became just the fourth player to catch a touchdown in two different Super Bowls (after Lynn Swann, John Stallworth, and Butch Johnson). On their next drive, the Redskins moved the ball 73 yards in 12 plays to the Raiders 7-yard line, with Joe Theismann completing a 17-yard pass to receiver Alvin Garrett and three passes to tight end Clint Didier for 50 yards. However, linebacker Rod Martin broke up Theismann's third-down pass attempt, forcing Washington to settle for a 24-yard field goal by Moseley. Los Angeles took the ensuing kickoff and drove 41 yards to the Redskins 39-yard line. The drive stalled when Plunkett's third-down pass fell incomplete, but Ray Guy's 27-yard punt pinned Washington back at their own 12-yard line with 12 seconds left in the half. From there, head coach Joe Gibbs had Theismann run a screen play called "Rocket Screen", but Raiders linebacker Jack Squirek intercepted the pass and returned it for a touchdown to give the Raiders a 21–3 halftime lead. The defense was prepared for the play, as Theismann had successfully completed an identical screen pass to Joe Washington for a 67-yard gain in their 37–35 victory over the Raiders on October 2. In fact, Los Angeles linebackers coach Charlie Sumner had sent Squirek onto the field as a last-second substitution specifically to cover Washington. "I was mad," said linebacker Matt Millen, who had to run off the field to avoid a penalty. "I'd called a blitz, and I was cranked up for it, but he told Jack to play the screen and sent him in. I guess Charlie knows what he's doing, huh?" Third Quarter The Redskins regrouped in the second half and scored on their opening drive by marching 70 yards in nine plays. First, Garrett returned the opening kickoff 35 yards from 5 yards deep in the
was the only other active player to provide commentary). Michaels would call ABC's next six Super Bowls, until the network lost their NFL rights in 2006. Aftergame ABC featured MacGruder and Loud after the game. Radio Jack Buck was the play-by-play announcer, while Hank Stram served as color commentator for CBS Radio Sports' national coverage. Brent Musburger hosted the pregame, halftime, and postgame coverage for CBS Radio; Musburger was joined by analysts Irv Cross and Jimmy "The Greek" Snyder. Locally, Super Bowl XIX was broadcast by WIOD in Miami with Rick Weaver and Hank Goldberg; and by KCBS in San Francisco with Don Klein and Don Heinrich. Overseas broadcasts Shown on Channel 4, the XIX Super Bowl was the third to be broadcast live and in its entirety in the United Kingdom. Super Bowl XIX was simulcast in Canada on CTV. In Australia, Super Bowl XIX was broadcast on the Nine Network, live from 10.00am (Australian Eastern Summer Time) on Monday, January 21, 1985, with a repeat screening late at night. This was the first Super Bowl to be telecast in Australia. In popular culture Clips from this game can be seen in the movie Ace Ventura: Pet Detective as the character Ray Finkle is in reality Dolphins kicker Uwe von Schamann. Von Schamann made three field goals and an extra point in this game, but Finkle missed the game-winning field goal in a fictional Super Bowl XIX. The latter play actually occurred six years later in Super Bowl XXV. The NFL's Greatest Games episode Masters of the Game focuses on Super Bowl XIX. The film was narrated by Brad Crandall after legendary NFL Films announcer John Facenda died in September 1984. This was the last Super Bowl highlight film produced by NFL Films using film stock; beginning with the 1985 season, NFL Films videos were produced on videotape. The Oliver Stone film, Any Given Sunday, features an (off-screen) "Pantheon Cup" championship game where San Francisco beats Miami, 32–13. Stone, a longtime 49ers fan, based his film's finale on Super Bowl XIX. A major plot point in the episode "Post Traumatic Slide Syndrome" of the television show Sliders is based on this game. In the alternate reality, the 49ers play the Jets in the Super Bowl, which leads the main character Quinn Mallory to the conclusion that something is awry. Entertainment Pre-game The pre-game festivities featured a tribute to the NFL and an appearance by various team mascots. Later, a mega-choir formed by members of the San Francisco Children's Chorus, San Francisco Boys Chorus, San Francisco Girls Chorus and Piedmont Children's Choir performed the national anthem under well known choir director Louis Magor. In honor of Inauguration Day, Ronald Reagan, himself a longtime California resident and former Governor of the state from 1967 to 1975, became the first president to participate in a Super Bowl coin toss ceremony. However, he did it from the White House via satellite. Pro Football Hall of Fame running back Hugh McElhenny, a former 49er, was on the field during the ceremony. The U.S. Air Force provided four T-37 aircraft from nearby Mather Air Force Base (Sacramento, CA) and its 455th Flying Training Squadron for the fly-over. At $255 per hour of flying time for each aircraft, this T-37 flyover ranks as the most economical in the history of Super Bowls. In addition, all the pilots were young officers symbolizing California as the land of opportunity and youth. Halftime The halftime show was titled "World of Children's Dreams" and featured Tops In Blue, an elite performing tour ensemble consisting of members from the U.S. Air Force. Additional performers were recruited from USAF active, retired, and their dependents. Game summary Instead of the predicted shootout between Dan Marino and Joe Montana, the game was mostly one-sided. The 49ers' defense only allowed 25 rushing yards and 16 Dolphins points. San Francisco also intercepted Marino twice and sacked him 4 times. The Dolphins set a Super Bowl record for fewest rush attempts in a game (9). First quarter In the opening minutes of the game, it seemed that the game would live up to the hype. On the opening kickoff, 49ers rookie kick returner Derrick Harmon caught the ball too close to the sidelines and stepped out of bounds at the San Francisco 6-yard line. The 49ers managed to advance to the 41-yard line but were forced to punt, and Dolphins defensive back Fulton Walker returned the punt 9 yards to the Miami 36-yard line. Then on their first play of the drive, Marino completed a 25-yard pass to Tony Nathan. Five plays later, Miami reached the San Francisco 23-yard line. But on third down, 49ers cornerback Eric Wright tackled wide receiver Mark Clayton 2 yards shy of the first down. Miami had to settle for a 37-yard field goal from Uwe von Schamann. The Dolphins' 3–0 lead did not last long, as the 49ers stormed down the field on their next possession. San Francisco drove 78 yards in 8 plays, culminating in a 33-yard touchdown pass from Montana to reserve running back Carl Monroe to give them a 7–3 lead. But Miami retook the lead on their ensuing drive. After a 5-yard rush by Nathan, the Dolphins went into a no-huddle offense, preventing the 49ers from making substitutions and keeping their run defense on the field. Marino completed five consecutive passes, hitting Clayton for 18 yards, Mark Duper for 11, Clayton again for 13, and tight end Dan Johnson for 21. On the next play, Marino finished the drive by hitting Johnson for a 2-yard touchdown pass, giving the Dolphins a 10–7 lead with 45 seconds left in the first quarter. Second quarter In the second quarter, the 49ers began to take control of the game. Bill Walsh switched to a 4–1–6 (or dime defense) to slow down Miami's passing attack, with Keena Turner as the sole linebacker. Miami tried to run against the 4–1–6 alignment, to no avail. Safety Dwight Hicks broke up two consecutive Marino passes, and the Dolphins were forced to punt from their own 10-yard line. Then after taking the ball at the Miami 47-yard line, Montana scrambled for a 19-yard run, and then completed a 16-yard pass to wide receiver Dwight Clark to reach the 12-yard line. From there, Wendell Tyler rushed for 4 yards, and then Montana threw an 8-yard touchdown pass to Roger Craig, giving the 49ers a 14–10 lead. Miami then had to punt again on their ensuing possession, and San Francisco defensive back Dana McLemore returned the ball 28 yards to the 49ers 45-yard line. After advancing 15 yards with two running plays, Montana completed a pair of passes to tight end Russ Francis to move the ball 29 yards to the Miami 11-yard line. Craig ran for 5 yards on the next play, and then Montana ran the final 6 yards to the end zone for a touchdown, making the score 21–10. After the ensuing kickoff, Miami again was forced to punt after three plays, and McLemore returned Reggie Roby's 39-yard punt 10 yards to the 49ers 48-yard line. Montana was sacked for a 5-yard loss by Doug Betters on the first play of the ensuing drive, but he struck back with a 20-yard completion to Craig and a 7-yard run over the next two plays. On the next play, wide receiver Freddie Solomon caught a pass from Montana, took one step, and then lost the ball due to a hit from safety Lyle Blackwood. Blackwood quickly recovered the ball and took off for the 49ers' end zone, but field judge Bob Lewis blew the play dead, ruling that Solomon's fumble was an incomplete pass. Bill Quinby, the side judge, who was nearest to the play, did not make any call. Five plays later, Craig finished the nine-play, 52-yard drive with his second touchdown on a 2-yard run, increasing the 49ers' lead to 28–10. With about two minutes left in the half, the Dolphins finally managed to get a good drive going on their next possession. Marino completed seven out of nine passes, the last one being a 30-yard pass to tight end Joe Rose, to reach the 49ers' 12-yard line. However, San Francisco's defense tightened up on the next three plays, forcing two incompletions and a completed pass for no gain, and Miami was forced to settle for von Schamann's second field goal of the game to cut their deficit to 28–13 with 12 seconds left in the half. Then Miami caught a break as the 49ers botched the ensuing kickoff. San Francisco lineman Guy McIntyre received von Schamann's short kick and was about to down the ball, but then changed his mind at the last second and decided to return it. This turned out to be a big mistake; McIntyre fumbled while being leveled by rookie Joe Carter, and Jim Jensen recovered the ball for Miami at the 49ers' 12-yard line. After that, von Schamann kicked his third field goal on the last play of the half, cutting the score to 28–16. "I can laugh about the play now, but it wasn't funny at the time," McIntyre said after the game. "My first instinct when I got the ball was to fall down. Then I heard everyone yelling, 'Get up! Get up!' So I got up, and here comes someone sneaking underneath me, and he hit the ball." Second half However, any thoughts of a Miami comeback ended early in the third quarter. On the first play of the second half, 49ers defensive end Dwaine Board tackled Nathan for a 1-yard loss. The 49ers scored on kicker Ray Wersching's 27-yard field goal. On the Dolphins' ensuing drive, they were forced to punt again after Marino was sacked twice (once by defensive lineman Manu Tuiasosopo and once by Board). Starting on their own 30-yard line after a 5-yard return by McLemore, Montana completed a 40-yard pass to Tyler, followed up with a 14-yard completion to Francis. Three plays later, Craig scored his third touchdown on a 16-yard reception to make the score 38–16. The score proved to be the last one from either team, as the defenses of both teams took over for the rest of the game – especially the 49ers' defense, who intercepted Marino twice. Highlights Overall, San Francisco gained a Super Bowl-record 537 yards, breaking the Oakland Raiders' record of 429 yards in Super Bowl XI, while limiting Miami to 314, with just 25 rushing yards. San Francisco's 38 points also tied a Super Bowl record set by the Raiders in Super Bowl XVIII. The 49ers' 288 offensive yards in the first half also tied the Raiders in Super Bowl XI for the most offensive yards in a half during a Super Bowl. Marino finished the game with 29 out of 50 pass completions for 318 yards, 1 touchdown, and 2 interceptions. Clayton was the top receiver of the game, with 6 receptions for 92 yards. Walker returned 4 kickoffs for 93 yards and gained 15 yards on 2 punt returns. Nathan was the Dolphins leading rusher with 18 yards, while also catching 10 passes for 83 yards. Craig had 58 rushing yards, 77 receiving yards, and 3 touchdowns. He was the first player to score
be celebrating its 15th season in 1984. Two more ABC-aired Super Bowls would occur during major anniversary seasons for MNF – Super Bowl XXIX (also won by the 49ers) closed out the 25th anniversary season (1994), and Super Bowl XXXIV (won by the St. Louis Rams, division rivals of the 49ers) closed out the 30th anniversary season (1999). This Super Bowl also marked the first to have closed captioning in real time throughout the game courtesy of the National Captioning Institute (previous Super Bowls only had "scoreboard information" captioned); with the captioning sponsored by Ford Motor Company and Kentucky Fried Chicken Announcers Frank Gifford was the play-by-play announcer, while then-ABC Sports analyst Don Meredith and then-Washington Redskins quarterback Joe Theismann served as color commentators. Al Michaels and Jim Lampley hosted the pregame (2 hours), halftime, and postgame (Lampley presided over the Vince Lombardi Trophy presentation ceremony) coverage for ABC. Michaels and Lampley were joined by analysts O. J. Simpson (who would normally have been the second color commentator; when interviewed as to why Theismann would join Gifford and Meredith in the booth instead of Simpson; director Chet Forte was quoted in the January 14, 1985 edition of Broadcasting Magazine as saying that Theismann could contribute more due to having played both teams in the regular-season as well as having played in the two previous Super Bowls.) and Tom Landry (in a separate booth during the game). Also helping out with ABC's coverage were Jack Whitaker, Dick Schaap, Donna de Varona, Ray Gandolf, and ABC News reporters Stone Phillips, Jeff Greenfield, Judd Rose, and Bill Redeker. This would be the only ABC Super Bowl for Gifford as play-by-play announcer, the final game for Don Meredith and the second (and last) time a commentator for the Super Bowl (Theismann) was an active player (Jack Kemp in Super Bowl II was the only other active player to provide commentary). Michaels would call ABC's next six Super Bowls, until the network lost their NFL rights in 2006. Aftergame ABC featured MacGruder and Loud after the game. Radio Jack Buck was the play-by-play announcer, while Hank Stram served as color commentator for CBS Radio Sports' national coverage. Brent Musburger hosted the pregame, halftime, and postgame coverage for CBS Radio; Musburger was joined by analysts Irv Cross and Jimmy "The Greek" Snyder. Locally, Super Bowl XIX was broadcast by WIOD in Miami with Rick Weaver and Hank Goldberg; and by KCBS in San Francisco with Don Klein and Don Heinrich. Overseas broadcasts Shown on Channel 4, the XIX Super Bowl was the third to be broadcast live and in its entirety in the United Kingdom. Super Bowl XIX was simulcast in Canada on CTV. In Australia, Super Bowl XIX was broadcast on the Nine Network, live from 10.00am (Australian Eastern Summer Time) on Monday, January 21, 1985, with a repeat screening late at night. This was the first Super Bowl to be telecast in Australia. In popular culture Clips from this game can be seen in the movie Ace Ventura: Pet Detective as the character Ray Finkle is in reality Dolphins kicker Uwe von Schamann. Von Schamann made three field goals and an extra point in this game, but Finkle missed the game-winning field goal in a fictional Super Bowl XIX. The latter play actually occurred six years later in Super Bowl XXV. The NFL's Greatest Games episode Masters of the Game focuses on Super Bowl XIX. The film was narrated by Brad Crandall after legendary NFL Films announcer John Facenda died in September 1984. This was the last Super Bowl highlight film produced by NFL Films using film stock; beginning with the 1985 season, NFL Films videos were produced on videotape. The Oliver Stone film, Any Given Sunday, features an (off-screen) "Pantheon Cup" championship game where San Francisco beats Miami, 32–13. Stone, a longtime 49ers fan, based his film's finale on Super Bowl XIX. A major plot point in the episode "Post Traumatic Slide Syndrome" of the television show Sliders is based on this game. In the alternate reality, the 49ers play the Jets in the Super Bowl, which leads the main character Quinn Mallory to the conclusion that something is awry. Entertainment Pre-game The pre-game festivities featured a tribute to the NFL and an appearance by various team mascots. Later, a mega-choir formed by members of the San Francisco Children's Chorus, San Francisco Boys Chorus, San Francisco Girls Chorus and Piedmont Children's Choir performed the national anthem under well known choir director Louis Magor. In honor of Inauguration Day, Ronald Reagan, himself a longtime California resident and former Governor of the state from 1967 to 1975, became the first president to participate in a Super Bowl coin toss ceremony. However, he did it from the White House via satellite. Pro Football Hall of Fame running back Hugh McElhenny, a former 49er, was on the field during the ceremony. The U.S. Air Force provided four T-37 aircraft from nearby Mather Air Force Base (Sacramento, CA) and its 455th Flying Training Squadron for the fly-over. At $255 per hour of flying time for each aircraft, this T-37 flyover ranks as the most economical in the history of Super Bowls. In addition, all the pilots were young officers symbolizing California as the land of opportunity and youth. Halftime The halftime show was titled "World of Children's Dreams" and featured Tops In Blue, an elite performing tour ensemble consisting of members from the U.S. Air Force. Additional performers were recruited from USAF active, retired, and their dependents. Game summary Instead of the predicted shootout between Dan Marino and Joe Montana, the game was mostly one-sided. The 49ers' defense only allowed 25 rushing yards and 16 Dolphins points. San Francisco also intercepted Marino twice and sacked him 4 times. The Dolphins set a Super Bowl record for fewest rush attempts in a game (9). First quarter In the opening minutes of the game, it seemed that the game would live up to the hype. On the opening kickoff, 49ers rookie kick returner Derrick Harmon caught the ball too close to the sidelines and stepped out of bounds at the San Francisco 6-yard line. The 49ers managed to advance to the 41-yard line but were forced to punt, and Dolphins defensive back Fulton Walker returned the punt 9 yards to the Miami 36-yard line. Then on their first play of the drive, Marino completed a 25-yard pass to Tony Nathan. Five plays later, Miami reached the San Francisco 23-yard line. But on third down, 49ers cornerback Eric Wright tackled wide receiver Mark Clayton 2 yards shy of the first down. Miami had to settle for a 37-yard field goal from Uwe von Schamann. The Dolphins' 3–0 lead did not last long, as the 49ers stormed down the field on their next possession. San Francisco drove 78 yards in 8 plays, culminating in a 33-yard touchdown pass from Montana to reserve running back Carl Monroe to give them a 7–3 lead. But Miami retook the lead on their ensuing drive. After a 5-yard rush by Nathan, the Dolphins went into a no-huddle offense, preventing the 49ers from making substitutions and keeping their run defense on the field. Marino completed five consecutive passes, hitting Clayton for 18 yards, Mark Duper for 11, Clayton again for 13, and tight end Dan Johnson for 21. On the next play, Marino finished the drive by hitting Johnson for a 2-yard touchdown pass, giving the Dolphins a 10–7 lead with 45 seconds left in the first quarter. Second quarter In the second quarter, the 49ers began to take control of the game. Bill Walsh switched to a 4–1–6 (or dime defense) to slow down Miami's passing attack, with Keena Turner as the sole linebacker. Miami tried to run against the 4–1–6 alignment, to no avail. Safety Dwight Hicks broke up two consecutive Marino passes, and the Dolphins were forced to punt from their own 10-yard line. Then after taking the ball at the Miami 47-yard line, Montana scrambled for a 19-yard run, and then completed a 16-yard pass to wide receiver Dwight Clark to reach the 12-yard line. From there, Wendell Tyler rushed for 4 yards, and then Montana threw an 8-yard touchdown pass to Roger Craig, giving the 49ers a 14–10 lead. Miami then had to punt again on their ensuing possession, and San Francisco defensive back Dana McLemore returned the ball 28 yards to the 49ers 45-yard line. After advancing 15 yards with two running plays, Montana completed a pair of passes to tight end Russ Francis to move the ball 29 yards to the Miami 11-yard line. Craig ran for 5 yards on the next play, and then Montana ran the final 6 yards to the end zone for a touchdown, making the score 21–10. After the ensuing kickoff, Miami again was forced to punt after three plays, and McLemore returned Reggie Roby's 39-yard punt 10 yards to the 49ers 48-yard line. Montana was sacked for a 5-yard loss by Doug Betters on the first play of the ensuing drive, but he struck back with a 20-yard completion to Craig and a 7-yard run over the next two plays. On the next play, wide receiver Freddie Solomon caught a pass from Montana, took one step, and then lost the ball due to a hit from safety Lyle Blackwood. Blackwood quickly recovered the ball and took off for the 49ers' end zone, but field judge Bob Lewis blew the play dead, ruling that Solomon's fumble was an incomplete pass. Bill Quinby, the side judge, who was nearest to the play, did not make any call. Five plays later, Craig finished the nine-play, 52-yard drive with his second touchdown on a 2-yard run, increasing the 49ers' lead to 28–10. With about two minutes left in the half, the Dolphins finally managed to get a good drive going on their next possession. Marino completed seven out of nine passes, the last one being a 30-yard pass to tight end Joe Rose, to reach the 49ers' 12-yard line. However, San Francisco's defense tightened up on the next three plays, forcing two incompletions and a completed pass for no gain, and Miami was forced to settle for von Schamann's second field goal of the game to cut their deficit to 28–13 with 12 seconds left in the half. Then Miami caught a break as the 49ers botched the ensuing kickoff. San Francisco lineman Guy McIntyre received von Schamann's short kick and was about to down the ball, but then changed his mind at the last second and decided to return it. This turned out to be a big mistake; McIntyre fumbled while being leveled by rookie Joe Carter, and Jim Jensen recovered the ball for Miami at the 49ers' 12-yard line. After that, von Schamann kicked his third field goal on the last play of the half, cutting the score to 28–16. "I can laugh about the play now, but it wasn't funny
displayed why many NFL experts thought Super Bowl XXI would be the first of many Super Bowls for him. In what became known as The Drive, the Broncos started from their own 2-yard line, trailing 20–13, with 5:32 left to play. But in 15 plays, Elway led Denver 98 yards for a game-tying touchdown pass with 39 seconds left. The Broncos then won in overtime after Elway led them 60 yards in 9 plays to set up kicker Rich Karlis' game-winning field goal. Meanwhile, the Giants went on to only allow a combined total of 3 points in their playoff victories over the San Francisco 49ers, 49–3, and the Washington Redskins, 17–0, respectively. The dominating performances by the Giants' defense gave the team extra confidence going into their Super Bowl matchup versus the Broncos. Super Bowl pregame news Much of the pregame hype centered around the confrontation between Elway and Taylor, and whether or not Taylor would be able to hurry Elway's throws or sack him. The Giants had narrowly defeated Denver during the regular season, forcing four turnovers in a 19–16 win despite being outgained in total yards 405 to 262. This was the last Super Bowl until Super Bowl XXXIV in which both teams entered the game having never won a Super Bowl before. As the designated home team in the annual rotation between AFC and NFC teams, the Giants wore their home blue uniforms and white pants. The Broncos donned their all-white road uniforms. Broadcasting The game was broadcast in the United States by CBS and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden. Brent Musburger of The NFL Today anchored The Super Bowl Today pregame, halftime and postgame coverage. Helping Musburger were reporters Irv Cross and Will McDonough and analysts Jimmy "The Greek" Snyder, Terry Bradshaw, Joe Theismann, CBS News reporter Charles Osgood and Dan Dierdorf (in his final CBS assignment before moving on to ABC's Monday Night Football for the following season; Dierdorf would return to CBS for the 1999 season). The game was also the first NFL game to be broadcast in Dolby Surround sound and in stereo. The game was also broadcast in Canada on CTV and in the United Kingdom on Channel 4. The latter had commentary by Frank Gifford and John Smith. This was also the first Super Bowl to be telecast on commercial television in Asia, as the GMA Network in the Philippines aired its first Super Bowl. This game also marked the first Super Bowl to be broadcast live in Rome. In the teams' local markets, the game was also broadcast by CBS stations in the New York City and Denver markets, WCBS-TV 2 in New York City and KMGH-TV 7 in Denver. The postgame show was supposed to feature the song "One Shining Moment" but due to postgame interviews taking so long, CBS never aired it. They ultimately changed the lyrics from "The ball is kicked" to "The ball is tipped" in time for the 1987 Final Four (in which Indiana University won its most recent national title to date), and the song has since then been played at the end of the network's annual NCAA Men's Division I Basketball Championship coverage (it is also played on Turner Sports when said game airs on that network due to alternating rights with CBS that first started in 2016). CBS also debuted the theme music (composed by Lloyd Landesman) that would later be used for their college football coverage during this game (still used as of the 2020 season), as well as its open that was used through 1990. This Super Bowl is featured in NFL's Greatest Games under the title Land of the Giants and was narrated by John Doremus. Nationally on radio, the game was carried over the NBC Radio Network. Don Criqui served as play-by-play with Bob Trumpy his color commentator. This was the last Super Bowl called by Criqui, as NBC Radio lost NFL rights following the season and he returned to his secondary play-by-play role on NBC television. Trumpy would call two more Super Bowls for NBC television (Super Bowl XXVII and Super Bowl XXVIII) as part of the network's No. 1 broadcast team. In the teams' local markets, the game was carried on WNEW-AM in New York City with Jim Gordon and Dick Lynch and KOA-AM in Denver, Colorado, with Bob Martin and Larry Zimmer. Entertainment The pregame show was a salute to California and featured the pop music group The Beach Boys and Canadian jazz fusion band The Shuffle Demons. Singer Neil Diamond performed the national anthem. The show was directed and choreographed by Lesslee Fitzmorris. The coin toss ceremony featured Pro Football Hall of Fame defensive lineman Willie Davis. The halftime show was a "Salute to Hollywood's 100th Anniversary" featuring an introduction by George Burns (who was only nine years younger than the Hollywood neighborhood in Los Angeles) and a performance by the Southern California high school drill teams and dancers. As had been their tradition all season, upon securing their victory, Giants players celebrated by dumping a Gatorade cooler on head coach Bill Parcells. The 1986 Giants were the first team to initiate what has now become a standard post-game celebration, and the Super Bowl telecast enabled a large, national audience to first witness what has become commonplace. Super Bowl XXI MVP Phil Simms became the first athlete to appear in an "I'm going to Disney World!" television ad, being recorded shouting the phrase while celebrating the team's victory immediately after the game. Game summary First Quarter On the Broncos' first play after receiving the opening kickoff, quarterback John Elway faked a handoff, then spun around and ran in the opposite direction for a 10-yard gain to the Denver 34-yard line. Then on third down, his 24-yard completion to receiver Mark Jackson advanced the ball to the Giants' 39-yard line. However, the Giants' defense tightened up and halted the drive at the 30-yard line, forcing Denver to settle for Rich Karlis's 48-yard field goal to give them a 3–0 lead. Karlis's kick tied a game record for longest field goal set by Jan Stenerud of the Kansas City Chiefs in Super Bowl IV. The Giants then took the ensuing kickoff and stormed right back on a 9-play, 78-yard drive. First, quarterback Phil Simms completed a 17-yard pass to receiver Lionel Manuel. Then running back Joe Morris ran for 11 yards to the Denver 41-yard line. The Giants then marched to the Denver 6-yard line with Simms' 18-yard pass to receiver Stacy Robinson, and then a 17-yard completion to tight end Mark Bavaro two plays later. Finally, Simms threw a 6-yard touchdown pass to tight end Zeke Mowatt, giving the Giants a 7–3 lead. Denver kick returner Ken Bell gave his team great field position by returning the ensuing kickoff 28 yards to the Broncos 42-yard line. Elway's first two plays were a 14-yard completion to running back Sammy Winder, an 11-yard completion to tight end Orson Mobley, moving the ball to the New York 33-yard line. On the next play Elway called a screen pass for Winder, which he ran for a gain of nine yards before going out of bounds. Linebacker Harry Carson hit Winder after he stepped out, garnering a flag for a personal foul. Then, a second penalty was assessed to Lawrence Taylor, who was called for unsportsmanlike conduct for picking up and throwing the first flag. Carson's penalty was assessed for twelve yards, half the distance to the goal from the spot of the dead ball, and Taylor's was for half the distance from that spot, resulting in a first down at the Giants' 6-yard line. On third down, Elway scored on a quarterback draw to regain the lead for the Broncos. Karlis added the extra point for a 10–7 score. Second Quarter On Denver's first drive of the second quarter, Elway dropped back to pass from his own 18-yard line on third down. The Giants' pass rush forced him to scramble out of the pocket, but it gave him time to find receiver Vance Johnson, who was wide open, for a 54-yard completion. Elway then moved the Broncos down the field further and after a third down completion to Steve Sewell, the third time Denver converted on the drive (Elway found Mobley for a second first down after the Johnson play), they had the ball on the New York 1 with a chance to go up by 10. Needing a stop, the Giants stood their ground. First, Elway tried a run-pass option, but Taylor broke through the line and tackled him for a one-yard loss. Carson stopped fullback Gerald Willhite on the next play for no gain on a run up the middle, and Carl Banks chased down Winder as he attempted to score on a sweep, tackling him for a four-yard loss. After losing five yards in three plays, Karlis tried to salvage the drive with a field goal, but he missed from 23 yards, giving him the record for the shortest missed field goal in Super Bowl history. The Giants picked up a first down on the first play of the ensuing drive as Mark Bavaro caught a pass from Simms for twelve yards on the first play from scrimmage. Simms followed that up with an eight-yard completion to Stacy Robinson, and two plays later Morris picked up a first down with a short run. The drive stalled there, and the Broncos got the ball back on their 15. Elway was sacked on the first play of the ensuing drive, setting up a second down. What followed was one of the more crucial calls of the game. With the ball on the Denver 13, Elway found Clarence Kay for a gain of 25 yards and an apparent first down. However, referee Jerry Markbreit conferred with his crew and reversed the call, determining that Kay had not controlled the football before being tackled. However, the discussion among the crew continued for some time before NFL Director of Officiating Art McNally paged umpire Bob Boylston; this meant that, for the first time, the newly introduced instant replay system would be used in a Super Bowl. The crew then waited while McNally and the officials in the replay booth took a second look at the play. They ruled that the play would stand as called, as an incomplete pass. Indeed, there were no conclusive replays that the officials could find that indicated Kay caught the pass. CBS, however, was able to find one that the officials had not seen; the production crew found a reverse angle shot of the play that proved conclusively that Kay caught the pass cleanly. The network broadcast this replay toward the end of the first half. The Giants managed to capitalize on the next play as Elway, under pressure, retreated into the end zone and was tackled there by veteran defensive lineman George Martin, giving up a safety and cutting the Broncos’ lead to 10–9. The defense, however, was able to hold the Giants to a three-and-out on the drive following the ensuing free kick. With 1:09 left in the half, Elway started from his own 37-yard line. On
in Los Angeles) and a performance by the Southern California high school drill teams and dancers. As had been their tradition all season, upon securing their victory, Giants players celebrated by dumping a Gatorade cooler on head coach Bill Parcells. The 1986 Giants were the first team to initiate what has now become a standard post-game celebration, and the Super Bowl telecast enabled a large, national audience to first witness what has become commonplace. Super Bowl XXI MVP Phil Simms became the first athlete to appear in an "I'm going to Disney World!" television ad, being recorded shouting the phrase while celebrating the team's victory immediately after the game. Game summary First Quarter On the Broncos' first play after receiving the opening kickoff, quarterback John Elway faked a handoff, then spun around and ran in the opposite direction for a 10-yard gain to the Denver 34-yard line. Then on third down, his 24-yard completion to receiver Mark Jackson advanced the ball to the Giants' 39-yard line. However, the Giants' defense tightened up and halted the drive at the 30-yard line, forcing Denver to settle for Rich Karlis's 48-yard field goal to give them a 3–0 lead. Karlis's kick tied a game record for longest field goal set by Jan Stenerud of the Kansas City Chiefs in Super Bowl IV. The Giants then took the ensuing kickoff and stormed right back on a 9-play, 78-yard drive. First, quarterback Phil Simms completed a 17-yard pass to receiver Lionel Manuel. Then running back Joe Morris ran for 11 yards to the Denver 41-yard line. The Giants then marched to the Denver 6-yard line with Simms' 18-yard pass to receiver Stacy Robinson, and then a 17-yard completion to tight end Mark Bavaro two plays later. Finally, Simms threw a 6-yard touchdown pass to tight end Zeke Mowatt, giving the Giants a 7–3 lead. Denver kick returner Ken Bell gave his team great field position by returning the ensuing kickoff 28 yards to the Broncos 42-yard line. Elway's first two plays were a 14-yard completion to running back Sammy Winder, an 11-yard completion to tight end Orson Mobley, moving the ball to the New York 33-yard line. On the next play Elway called a screen pass for Winder, which he ran for a gain of nine yards before going out of bounds. Linebacker Harry Carson hit Winder after he stepped out, garnering a flag for a personal foul. Then, a second penalty was assessed to Lawrence Taylor, who was called for unsportsmanlike conduct for picking up and throwing the first flag. Carson's penalty was assessed for twelve yards, half the distance to the goal from the spot of the dead ball, and Taylor's was for half the distance from that spot, resulting in a first down at the Giants' 6-yard line. On third down, Elway scored on a quarterback draw to regain the lead for the Broncos. Karlis added the extra point for a 10–7 score. Second Quarter On Denver's first drive of the second quarter, Elway dropped back to pass from his own 18-yard line on third down. The Giants' pass rush forced him to scramble out of the pocket, but it gave him time to find receiver Vance Johnson, who was wide open, for a 54-yard completion. Elway then moved the Broncos down the field further and after a third down completion to Steve Sewell, the third time Denver converted on the drive (Elway found Mobley for a second first down after the Johnson play), they had the ball on the New York 1 with a chance to go up by 10. Needing a stop, the Giants stood their ground. First, Elway tried a run-pass option, but Taylor broke through the line and tackled him for a one-yard loss. Carson stopped fullback Gerald Willhite on the next play for no gain on a run up the middle, and Carl Banks chased down Winder as he attempted to score on a sweep, tackling him for a four-yard loss. After losing five yards in three plays, Karlis tried to salvage the drive with a field goal, but he missed from 23 yards, giving him the record for the shortest missed field goal in Super Bowl history. The Giants picked up a first down on the first play of the ensuing drive as Mark Bavaro caught a pass from Simms for twelve yards on the first play from scrimmage. Simms followed that up with an eight-yard completion to Stacy Robinson, and two plays later Morris picked up a first down with a short run. The drive stalled there, and the Broncos got the ball back on their 15. Elway was sacked on the first play of the ensuing drive, setting up a second down. What followed was one of the more crucial calls of the game. With the ball on the Denver 13, Elway found Clarence Kay for a gain of 25 yards and an apparent first down. However, referee Jerry Markbreit conferred with his crew and reversed the call, determining that Kay had not controlled the football before being tackled. However, the discussion among the crew continued for some time before NFL Director of Officiating Art McNally paged umpire Bob Boylston; this meant that, for the first time, the newly introduced instant replay system would be used in a Super Bowl. The crew then waited while McNally and the officials in the replay booth took a second look at the play. They ruled that the play would stand as called, as an incomplete pass. Indeed, there were no conclusive replays that the officials could find that indicated Kay caught the pass. CBS, however, was able to find one that the officials had not seen; the production crew found a reverse angle shot of the play that proved conclusively that Kay caught the pass cleanly. The network broadcast this replay toward the end of the first half. The Giants managed to capitalize on the next play as Elway, under pressure, retreated into the end zone and was tackled there by veteran defensive lineman George Martin, giving up a safety and cutting the Broncos’ lead to 10–9. The defense, however, was able to hold the Giants to a three-and-out on the drive following the ensuing free kick. With 1:09 left in the half, Elway started from his own 37-yard line. On second down, he completed a 31-yard pass to receiver Steve Watson and then an 11-yard pass to Willhite, giving the Broncos a first down at the Giants 21. They moved the ball to the New York 16-yard line, which resulted from a penalty on Jim Burt for jumping offsides, but the Giants forced two incompletions. The last of these saw Elway lead tight end Orson Mobley too far on a throw to the end zone and cause him to collide with the goal post. Despite having missed a relative chip shot field goal on his last attempt, Karlis was called upon again to try to extend the Denver lead. Despite having made all but one of his attempts inside of forty yards during the regular season, Karlis once again pulled the kick to the right and the drive ended with no points. Karlis later admitted his two misses in the first half were devastating to the Broncos. "Both times I didn't get my hips all the way through the kicks. I was steering the ball, and I know better than that. I felt the team unravel after that. I really hurt them." Third Quarter In the second half, the Giants dominated the Broncos, outscoring them 30–10 with four touchdowns and a field goal on their first five possessions. The Giants took the opening kickoff in the third quarter, but faced fourth down and one yard after their first three plays. New York sent their punt formation out onto the field. Parcells had entertained the possibility of running a fake punt and sent Jeff Rutledge, his backup quarterback, onto the field to line up as a third blocking back along with Maurice Carthon and Lee Rouson. Parcells said his reasoning was that if the Broncos were not going to pick up on Rutledge being used as a decoy for a potential fake, he would take advantage. As he had thought, Denver paid no attention to Rutledge, and he moved under center while punter Sean Landeta split out as a receiver and Carthon and Rouson lined up in a split back set behind him. Rutledge then took the snap from center and ran a quarterback sneak to the New York 48-yard line for a first down. On the next play, Simms completed a 12-yard pass to Morris, and then followed it up with a 23-yard completion to Rouson. Three plays later, Simms finished the drive with a 13-yard touchdown pass to Bavaro to give the Giants a 16–10 lead. The Broncos were forced to punt on their next drive, and receiver Phil McConkey returned the punt 25 yards to Denver's 36-yard line. The Broncos managed to keep the Giants out of the end zone, but New York kicker Raúl Allegre kicked a 21-yard field goal to increase their lead to 19–10. Denver was again forced to punt on their ensuing possession. Afterwards, Simms completed a 17-yard pass to Manuel at the Broncos 45-yard line. Two plays later, the Giants executed a flea flicker play for a long gain. Simms handed off to Morris, but before he crossed the line of scrimmage, Morris pitched the ball back to Simms. With the ensuing pass, Simms found McConkey, who was wide open at the Broncos 20-yard line. After eluding one tackler, he was upended just before he reached the goal line, throwing his hands up in mock frustration after being stopped at the 1-yard line. On the next play, Morris scored on a 1-yard touchdown run, increasing New York's lead to 26–10 and essentially putting the game away. Fourth Quarter Elway barely avoided a turnover by recovering his own fumble on the last play of the third quarter, but on the first play of the fourth quarter, he threw an interception to Giants defensive back Elvis Patterson. After that, Simms completed a 36-yard pass to Robinson. Four plays later from Denver's 6-yard line, Simms threw a pass to Bavaro in the end zone. The pass bounced off Bavaro's fingertips, but fell right into the hands of McConkey for a touchdown, extending the lead to 33–10. The Broncos, now playing for pride, finally managed to get a good drive going on their next possession, advancing the ball 74 yards in 13 plays. Elway completed 5 of 6 passes for 46 yards and rushed for 14, while Karlis finished the drive with a 33-yard field goal, making the score 33–13. But New York recovered his ensuing onside kick attempt and stormed right back for more points. Rouson ran twice for 21 yards, and then Simms ran for a 22-yard gain. On the next play, Ottis Anderson scored on a 2-yard touchdown run, giving the Giants a 39–13 lead after Allegre missed the extra point. Denver finally scored a touchdown when Elway found Johnson on a 47-yard bomb later on, which was the 100th recorded Super Bowl touchdown. However, by that point, the game had become so far out of reach that it did not do much good. Elway would eventually be replaced by Gary Kubiak, who took a sack to end the game, and the Giants were victorious in a 39–20 rout of the Broncos. As the final seconds of the game ticked away, Harry
Defensive end Rulon Jones led the line with 7 sacks. The Broncos finished the strike-shortened 1987 season winning the AFC West with a 10–4–1 record and the number one seed in the AFC playoffs. Dan Reeves was the head coach. Playoffs The Broncos routed the Houston Oilers in the Divisional round of the playoffs, 34–10, jumping to a 14–0 first-quarter lead off of two quick Oilers turnovers, with Elway completing 14 of 25 passes for 259 yards and two touchdowns in the game. Vance Johnson recorded four catches for 105 yards, including a 55-yard reception to set up Elway's second touchdown pass. However, Johnson was injured during the game; he ended up missing AFC Championship game, and played only sparingly in the Super Bowl. Denver also lost safety Mike Harden for the rest of the season with a broken arm. Denver then won the AFC Championship Game in exciting fashion over the AFC Central champion Cleveland Browns, 38–33 for the second consecutive year. The Broncos seemed to be in control of the game during the first half, taking a 21–3 lead. However, with quarterback Bernie Kosar, Cleveland rallied back and tied the score 31–31 in the fourth quarter. Elway responded with a 20-yard touchdown pass to Sammy Winder, taking the lead back with less than five minutes left in regulation. The Browns took the ball back and drove to the Denver 8-yard line, but the drive ended with a play that became known as The Fumble, resulting in more bad luck in Cleveland professional sports lore: Denver defensive back Jeremiah Castille stripped the football from Browns running back Earnest Byner and recovered the ensuing fumble as Byner was rushing in for the potential tying touchdown, securing the Broncos' win. Meanwhile, the Redskins had narrow wins in the playoffs. First, they won at Soldier Field against the Chicago Bears, 21–17, ending Walter Payton's career. The key play was a 52-yard punt return for a touchdown by Redskins defensive back Darrell Green for the go-ahead touchdown. The Bears' Kevin Butler kicked a field goal to close the deficit to 21–17, but the Bears could get no closer. Noteworthy was the Redskins trailed 14–0 early in the game. The Redskins won a defensive battle against the surprising Minnesota Vikings in the NFC Championship Game, 17–10. The Vikings barely made the playoffs with an 8–7 record during the strike-shortened regular season, but advanced to the NFC championship by winning on the road against the teams with the best records in the NFL, defeating the 12–3 New Orleans Saints 44–10, and the 13–2 San Francisco 49ers 36–24. The experienced Redskins, who had narrowly defeated Minnesota in a 27–24 overtime game during Week 15 of the season, put an end to the Vikings' string of upsets, aided by Williams' go-ahead touchdown pass to wide receiver Gary Clark with five minutes remaining to lead 17–10. Then they sealed the victory with 56 seconds left when Green knocked a pass out of the hands of running back Darrin Nelson at the one yard line on a fourth down and four play from the Redskins 6-yard line. Super Bowl pregame news Coming into Super Bowl XXII, the Broncos were favored to win (−3 as noted on the NFL Today show by Jimmy "the Greek" Snyder) because most experts thought both teams were equal in terms of talent with Elway presumed to be the superior quarterback to Williams. Elway had won the NFL Most Valuable Player Award and was selected to start for the AFC in the Pro Bowl, while Williams had played just five regular season games in the 1987 season. Before the game, it was announced that Williams underwent emergency root canal treatment for an abscessed lower right molar the previous night. Team dentist Barry Rudolph said there were no complications, and Williams then was pronounced fit to start. As the designated home team in the annual rotation between AFC and NFC teams, the Broncos opted to wear their home orange uniforms and white pants. The Redskins, as the road team, countered with white uniforms and burgundy pants that they typically wore during home games and which they also wore in their two previous Super Bowl appearances during the 1980s. Broadcasting The game was broadcast in the United States by ABC with play-by-play announcer Al Michaels and color commentators Frank Gifford and Dan Dierdorf. Keith Jackson hosted the pregame, halftime, and postgame coverage for ABC, joined by analysts Lynn Swann and Mike Adamle as well as then Cleveland Browns head coach Marty Schottenheimer and then Minnesota Vikings head coach Jerry Burns. (Bob Griese was originally supposed to co-host with Jackson, but had to bow out due to a family illness, as his wife Judi was in the late stages of breast cancer, from which she died on February 15, 1988.) Also helping with ABC's coverage were Jack Whitaker, Jim Hill and Becky Dixon. This was the first Super Bowl broadcast on ABC with the broadcast team of Michaels, Gifford, and Dierdorf in the booth (as the 1987 season was the first year the trio was together, with Dierdorf moving to ABC from CBS; Gifford was the only holdover from ABC's Super Bowl XIX telecast). The trio went on to man the booth for ABC's Monday Night Football from 1987 to 1997 and called Super Bowls XXV and XXIX. It was simulcast in Canada on CTV and in the United Kingdom on Channel 4. It was also the first Super Bowl in which Mexico's Televisa brought a team of its own (instead of relying on the U.S. signal with comments made from Mexico City), airing on its Canal de las Estrellas. The game was broadcast nationally on radio by CBS, with Jack Buck handling the play-by-play duties and color commentator Hank Stram in the broadcast booth, and Jim Hunter reporting from the sidelines. Brent Musburger anchored the Super Bowl XXII pregame, halftime, and postgame coverage with analysis from Will McDonough and Jimmy Snyder for CBS. Locally, Super Bowl XXII was broadcast on WMAL-AM in Washington, D.C. by Frank Herzog, Sam Huff and Sonny Jurgenson, and on KOA-AM in Denver, Colorado by Bob Martin and Larry Zimmer. Locally, Super Bowl XXII was shown on WJLA-TV, the Washington, D.C. ABC affiliate and on KUSA-TV, the Denver, Colorado ABC affiliate. The Wonder Years premiered on ABC immediately following the game. This was only the second successful series to debut following a Super Bowl up to that time (The A-Team, which had premiered following Super Bowl XVII, was the first). The Wonder Years was a late switch by ABC; which had initially scheduled the two-hour premiere of China Beach for the post Super Bowl slot, but concerns about the game running long and potentially pushing the premiere episode's conclusion after midnight contributed to the program change. The NFL Films NFL's Greatest Games highlight film was titled Ambush at Super Bowl XXII; and was the first such highlight film to feature former Boston and Buffalo radio personality Jeff Kaye as its narrator. Entertainment The pregame festivities featured a tribute to entertainer Bob Hope, who was approaching the age of 85. Members representing the military service branches marched out onto the field in full dress uniforms, and in unison saluted Bob Hope for his dedication to helping the troops. Trumpeter Herb Alpert performed "The Star-Spangled Banner", while Pro Football Hall of Fame wide receiver Don Hutson participated in the coin toss ceremony (the game happened to coincide with Hutson's 75th birthday). Alpert's performance was the last non-vocal performance of the National Anthem in a Super Bowl to date. The halftime show, produced by Radio City Music Hall, was titled "Something Grand" and featured performances by vocalist Chubby Checker, The Rockettes, and 88 grand pianos. Among the 44 Radio City Music Hall Rockettes, American performer Jennifer Jones made her national debut as its first African American Rockette. Checker's performance marked the first time a major artist performed during the show. This was the final Super Bowl to feature the football-style logo at the 35-yard-line which had been in use since Super Bowl XIV. Game summary First quarter Super Bowl XXII started out very well for the Denver Broncos. After forcing Washington to go three-and-out, the Broncos scored on their first play from scrimmage, when quarterback John Elway threw a 56-yard touchdown pass to wide receiver Ricky Nattiel, giving Denver a 7–0 lead after just 1:57 had elapsed in the game. It was the earliest touchdown any team had ever scored in Super Bowl history to that point (the record was later broken by Jerry Rice in Super Bowl
The NFL Films NFL's Greatest Games highlight film was titled Ambush at Super Bowl XXII; and was the first such highlight film to feature former Boston and Buffalo radio personality Jeff Kaye as its narrator. Entertainment The pregame festivities featured a tribute to entertainer Bob Hope, who was approaching the age of 85. Members representing the military service branches marched out onto the field in full dress uniforms, and in unison saluted Bob Hope for his dedication to helping the troops. Trumpeter Herb Alpert performed "The Star-Spangled Banner", while Pro Football Hall of Fame wide receiver Don Hutson participated in the coin toss ceremony (the game happened to coincide with Hutson's 75th birthday). Alpert's performance was the last non-vocal performance of the National Anthem in a Super Bowl to date. The halftime show, produced by Radio City Music Hall, was titled "Something Grand" and featured performances by vocalist Chubby Checker, The Rockettes, and 88 grand pianos. Among the 44 Radio City Music Hall Rockettes, American performer Jennifer Jones made her national debut as its first African American Rockette. Checker's performance marked the first time a major artist performed during the show. This was the final Super Bowl to feature the football-style logo at the 35-yard-line which had been in use since Super Bowl XIV. Game summary First quarter Super Bowl XXII started out very well for the Denver Broncos. After forcing Washington to go three-and-out, the Broncos scored on their first play from scrimmage, when quarterback John Elway threw a 56-yard touchdown pass to wide receiver Ricky Nattiel, giving Denver a 7–0 lead after just 1:57 had elapsed in the game. It was the earliest touchdown any team had ever scored in Super Bowl history to that point (the record was later broken by Jerry Rice in Super Bowl XXIX, and again by Devin Hester in Super Bowl XLI). The Broncos quickly forced Washington to punt, and once again Elway displayed his superb scrambling skills. On the second play of Denver's ensuing possession, Elway completed a 32-yard pass to wide receiver Mark Jackson. Then, he caught a 23-yard pass from halfback Steve Sewell, becoming the first quarterback ever to catch a pass in the Super Bowl (Elway had scored a touchdown on that play during opening day the previous year against the Raiders). The Redskins managed to halt Denver's drive on the 6, but kicker Rich Karlis kicked a field goal to increase the Broncos' lead to 10–0. After yet another Redskins punt, Denver managed to drive to the Washington 30 on their third possession with two runs by Gene Lang for a total of 24 yards and an 18-yard reception by Sewell. But this time they failed to score because Washington safety Alvin Walton sacked Elway for an 18-yard loss on third down, pushing the Broncos out of field goal range. Meanwhile, the Redskins could not generate any offensive momentum in the first quarter, with the Broncos' defense forcing a punt on every drive. To make matters worse, late in the period, quarterback Doug Williams twisted his back leg while planting to make a throw and had to leave the game. Williams was untouched by a Bronco defender before he dropped the ball while falling to the ground; the referee, however, inadvertently blew his whistle, stopping the play & costing Denver a fumble recovery and an almost certain fumble return touchdown and a 17–0 lead. Backup quarterback Jay Schroeder was sacked by Denver's Karl Mecklenburg on his first snap, continuing the Redskins' offensive woes. By the time the quarter ended, the Broncos had more than twice as many total yards of offense (142) as the Redskins (64). In the previous 21 Super Bowls, no team had ever overcome a 10-point deficit to win. Second quarter Williams returned with 14:17 left in the second quarter, and the Washington offense began to click. And much like they had in the second half of Super Bowl XXI against the New York Giants, the Broncos defense collapsed. On the Redskins' first play of the second quarter, receiver Ricky Sanders got behind defensive back Mark Haynes (who tried to jam him at the line of scrimmage) and safety Tony Lilly, and caught a pass from Williams, and took it 80 yards for a touchdown. After forcing the Broncos to punt on their next possession, Washington advanced to the Denver 27. Facing third-and-one, Williams connected with receiver Gary Clark who made a diving catch in the end zone to give Washington a 14–10 lead. After the ensuing kickoff, Denver drove to the Washington 26, aided by running back Sammy Winder's 27-yard reception and Elway's 21-yard run. But left tackle Dave Studdard, blocking defensive end Dexter Manley, went down with a knee injury. After Elway threw an incomplete pass on third down, Karlis missed a 43-yard field goal attempt. On the first play of the Redskins' ensuing drive, Williams threw a 16-yard completion to Clark. Then on the next play, running back Timmy Smith, a rookie in his first NFL start, took off for a 58-yard touchdown run, with blocking from guard Raleigh McKenzie and tackle Joe Jacoby, making the score 21–10. Washington's offensive line featuring McKenzie and Jacoby figured greatly in a play known as the Counter Gap, which the Skins ran repeatedly in the game. The Redskins increased their lead to 28–10 on their next possession with a 50-yard touchdown pass from Williams to Sanders, making him the first player in Super Bowl history to catch two touchdowns in one quarter. Four plays after the ensuing kickoff, Washington defensive back Barry Wilburn intercepted a pass from Elway on the Redskins 21, and once again, the Redskins stormed down the field to score. First, Smith broke loose for a 43-yard run, then Williams completed a pair of passes to Sanders to reach the Denver 7. Two plays later, Williams threw an 8-yard touchdown pass to tight end Clint Didier to make the score 35–10. On Denver's next drive, Elway completed three consecutive passes for 40 total yards to advance to the Redskins 36. However, Washington rookie defensive back Brian Davis intercepted Elway's next pass at the 21 with seven seconds left in the half. In the second quarter alone, Williams completed 9 of 11 passes for 228 yards and four touchdowns; Smith rushed five times for 122 yards and a touchdown; and Sanders caught five passes for 168 yards and two touchdowns. The Redskins scored 35 points and gained 356 yards in total offense, both Super Bowl records, and scored five touchdowns on 18 total offensive plays. During the regular season, the Broncos had allowed 35 points for the entire game only once—and it was in that game, a 40–10 loss to the Houston Oilers in Week 4, that they fielded replacement players, with the regular players having gone on strike. Washington's 25-point lead at the half surpassed the previous record of 20 points set by San Francisco in Super Bowl XVI. Second half By the end of the game, Elway was sacked five times and threw three interceptions, and Washington scored another touchdown on a 68-yard fourth-quarter drive featuring a 25-yard run by Clark on a reverse and three runs by Smith for 43 yards, the last a 4-yard touchdown to bring the game to its final score of 42–10. Smith finished the game with a Super Bowl record 204 rushing yards,
became a separate city in 2003). This was the first Super Bowl hosted in the Miami area in 10 years, and the first in Miami not held at the Orange Bowl. This was the second meeting between these two teams in the Super Bowl; their first meeting was seven years earlier. The game was also the third rematch between Super Bowl teams after Super Bowl XIII and Super Bowl XVII. This was the Bengals' second Super Bowl appearance after finishing the regular season with a 12–4 record. The 49ers were making their third Super Bowl appearance after posting a 10–6 regular season record. The game is best remembered for the 49ers' fourth-quarter game-winning drive. Down 16–13, San Francisco got the ball on their own 8-yard line with 3:10 on the clock and marched 92 yards down the field in under three minutes. They then scored the winning touchdown on a Joe Montana pass to John Taylor with just 34 seconds left in the game. The game was tight throughout. The teams combined for five field goals, and battled to a 3–3 score by the end of the second quarter, the first halftime tie in Super Bowl history. Cincinnati's only touchdown, a 93-yard kickoff return by Stanford Jennings in the third quarter, was quickly answered by a four-play, 85-yard drive that ended with San Francisco wide receiver Jerry Rice's 14-yard touchdown reception. The touchdown came one play after Cincinnati cornerback Lewis Billups dropped what would have been a drive-ending interception in the end zone. Rice, who was named the Super Bowl MVP, caught 11 passes for a Super Bowl record 215 yards and a touchdown, while also rushing once for five yards. Background NFL owners voted to award Super Bowl XXIII to Miami, Florida on March 14, 1985, during their March 10–15, 1985 meetings held in Phoenix. This was the sixth time that Miami hosted the game, and the first at Joe Robbie Stadium; the 5 previous Super Bowls in the area were played at the Miami Orange Bowl. Originally, the selection was to be voted on during the May 23–25, 1984 meetings. However, after balloting for XXI took more than two hours, voting for XXIII was rescheduled. Twelve cities were part of the bidding process, which was scheduled to award two Super Bowls (XXIII and XXIV). The bidding cities included: Anaheim, Detroit, Houston, Jacksonville, Miami, Minneapolis, New Orleans, Philadelphia, San Francisco, Seattle, Tampa, and Tempe. Miami entered as the favorite. This was the last Super Bowl played on the second to last Sunday in January. From 1990 to 2001, the game was played on the last Sunday of January, and from 2002 to 2021, on the first Sunday in February (with the exception of Super Bowl XXXVII, which was played on January 26, 2003). This was also the last east coast Super Bowl that began under daylight. San Francisco 49ers For the 49ers, it was their first Super Bowl appearance since they defeated the Miami Dolphins in Super Bowl XIX. They had made the playoffs in the three seasons between Super Bowl XIX and Super Bowl XXIII, but were eliminated each time in the first round, primarily because of the poor performances by their offensive stars in those games; quarterback Joe Montana, receiver Jerry Rice, and running back Roger Craig all failed to produce a single touchdown. The previous season's 36–24 playoff loss to the Minnesota Vikings had been a particularly low point for Montana, who had played so poorly that head coach Bill Walsh had benched him early in the third quarter. In the 1988 season, San Francisco won the NFC West with a 10–6 regular season record and earned the #2 playoff seed, but it was a long uphill battle. Two other teams in their division, the Los Angeles Rams and New Orleans Saints had also recorded 10-6 records, meaning not only did they earn a first round bye with the narrowest possible margin, but a one more loss would have caused them to miss the playoffs altogether. The team had a quarterback controversy with Montana and Steve Young each starting during the season. Young had started three games during the year, in which the 49ers went 2–1, including a crucial 24-21 week 9 win over the Vikings in which Young scored the game winning touchdown on a dynamic 49-yard run with time running out in the 4th quarter. But after a 6–5 start, Montana led the 49ers to win four of their final five regular season games. Montana finished the regular season with 238 completions for 2,981 yards and 18 touchdowns, and also added 132 rushing yards. His favorite target was Rice, who recorded 64 receptions for 1,306 yards (a 20.4 yards per catch average) and 9 touchdowns. Craig was also a key contributor, leading the team in receptions (76) while finishing the season with a total of 2,036 combined rushing and receiving yards and 10 touchdowns, earning him the NFL Offensive Player of the Year Award. Fullback Tom Rathman also made a big impact, rushing for 427 yards and catching 42 passes for 387 yards. San Francisco also had a major special teams threat in second-year receiver John Taylor, who led the NFL in punt return yards (556), yards per return, (12.6), and touchdowns (2). He also gained 228 yards on kickoff returns and 325 receiving yards on just 14 receptions (a 23.2 yards per catch average). The 49ers' defense was led by defensive backs Ronnie Lott, Eric Wright, Jeff Fuller, and Tim McKyer, who recorded a combined total of 18 interceptions. McKyer led the team with 7, while Lott recorded 5, along with 3 forced fumbles and 4 fumble recoveries. Linebacker Charles Haley was also a big contributor with 11.5 sacks and 2 fumble recoveries. The 49ers also had a solid defensive line, featuring Michael Carter (6.5 sacks), Danny Stubbs (6 sacks), Larry Roberts (6 sacks), and Pierce Holt (5 sacks). Cincinnati Bengals The Bengals were also a team on the rebound. During the strike-shortened 1987 season, quarterback Boomer Esiason and head coach Sam Wyche had openly feuded, and the team finished with a miserable 4–11 record, including 0–3 in games played by replacement players. The coach and quarterback worked out their differences in the offseason, and Esiason ended up having the best season of his career en route to Super Bowl XXIII. During the regular season, he threw for 3,572 yards and 28 touchdowns with only 14 interceptions, while also rushing for 248 yards and a touchdown on 43 carries. Esiason's performance made him the top-rated quarterback in the league with a 97.4 passer rating and earned him the NFL Most Valuable Player Award. Cincinnati had a number of offensive weapons, boasting six Pro Bowl selections. Wide receiver Eddie Brown was the top receiver on the team, with 54 receptions for 1,273 yards and 9 touchdowns, setting franchise records for most receiving yards in season, highest yards per catch average in a season (24.0) and most receiving yards in a single game (216 against the Pittsburgh Steelers). Wide receiver Tim McGee and Pro Bowl tight end Rodney Holman were also major threats, combining for 75 receptions, 1,213 yards, and 9 touchdowns. Rookie fullback Ickey Woods was their top rusher with 1,066 yards and 15 touchdowns, while also catching 21 passes for 199 yards and gaining a lot of media attention with his "Ickey Shuffle", a dance routine he did in the end zone to celebrate his touchdowns. Multi-talented running back James Brooks was also a key contributor, gaining a total of 1,218 combined rushing and receiving yards and 14 touchdowns. And the Bengals' offensive line was led by such Pro Bowl players as right guard Max Montoya and left tackle Anthony Muñoz. Muñoz was named the NFL Offensive Lineman of the Year for the third time in his career, and was selected to play in the Pro Bowl for the 8th season in a row. With all these weapons, Cincinnati's offense led the NFL in scoring (448 points), rushing yards (2,710), and total yards (6,302). The Bengals' defense ranked 17th in the league, allowing 5,556 yards and 329 points during the regular season. Cincinnati had a superb defensive line, led by Pro Bowl defensive tackle Tim Krumrie (3 sacks and 3 fumble recoveries), along with linemen Jim Skow (9.5 sacks), David Grant (5 sacks), and Jason Buck (6 sacks). Their linebacking corps was led by 13-year veteran Reggie Williams, one of six players remaining from their 1981 Super Bowl team. Pro Bowl defensive backs Eric Thomas and David Fulcher combined for 12 interceptions, while safety Lewis Billups added 4 interceptions and 2 fumble recoveries. The team ended up winning the AFC Central with a 12–4 record. Playoffs The Bengals went on to defeat the Seattle Seahawks in the AFC Divisional playoff game 21–13, and the Buffalo Bills in the AFC Championship Game 21–10. Woods was the key contributor in both wins, rushing for a combined total of 228 yards and 3 touchdowns. Cincinnati's 17th-ranked defense during the season made a major improvement in the playoffs, holding both their opponents to a combined total of 23 points and recording 5 interceptions. Meanwhile, Bill Walsh guided the 49ers to crushing playoff wins over the Minnesota Vikings, 34–9 and the Chicago Bears, 28–3. With the win over the Bears, the 49ers became the first road team to win an NFC Championship Game since the 1979 season. Super Bowl pregame news Despite the Bengals' superior regular season record and Esiason's MVP award, the 49ers were heavily favored to win the Super Bowl, mainly because of Montana. Montana had already led the 49ers to two previous Super Bowls and both times left with a championship ring and Super Bowl MVP honors. Esiason was also suffering from a sore left (throwing) shoulder, although the Bengals tried to keep it under wraps and made up for a lack of big-play passing attack with a run-heavy offense led by Woods and Brooks against their first two playoff opponents, Seattle and Buffalo. While Montana had his ups and downs during the regular season, he appeared to be playing his best in the postseason, throwing for 466 yards and 5 touchdowns in his two playoff games, with only 1 interception. In contrast, the sore-shouldered Esiason had thrown for only 202 yards and 1 touchdown, with 2 interceptions, in the Bengals' two playoff victories. While in Miami, Cincinnati suffered a major blow even before the game began. On the night before the Super Bowl, Stanley Wilson, the Bengals' best fullback and their third-leading rusher during the season with 398 yards, was caught using cocaine in his hotel room. The Bengals had no choice but to leave him off the roster. It was Wilson's third violation of the league's drug policy, and as a result he was banned from the league for life. Both coaches had a long history with each other. In 1979, 49ers coach Bill Walsh had talked Sam Wyche out of retirement to come and join the team as an assistant coach. Wyche remained on Walsh's coaching staff until 1982, winning a Super Bowl ring against the Bengals in Super Bowl XVI. The rematch was the third time in Super Bowl history two teams were meeting for a second time.
meeting was seven years earlier. The game was also the third rematch between Super Bowl teams after Super Bowl XIII and Super Bowl XVII. This was the Bengals' second Super Bowl appearance after finishing the regular season with a 12–4 record. The 49ers were making their third Super Bowl appearance after posting a 10–6 regular season record. The game is best remembered for the 49ers' fourth-quarter game-winning drive. Down 16–13, San Francisco got the ball on their own 8-yard line with 3:10 on the clock and marched 92 yards down the field in under three minutes. They then scored the winning touchdown on a Joe Montana pass to John Taylor with just 34 seconds left in the game. The game was tight throughout. The teams combined for five field goals, and battled to a 3–3 score by the end of the second quarter, the first halftime tie in Super Bowl history. Cincinnati's only touchdown, a 93-yard kickoff return by Stanford Jennings in the third quarter, was quickly answered by a four-play, 85-yard drive that ended with San Francisco wide receiver Jerry Rice's 14-yard touchdown reception. The touchdown came one play after Cincinnati cornerback Lewis Billups dropped what would have been a drive-ending interception in the end zone. Rice, who was named the Super Bowl MVP, caught 11 passes for a Super Bowl record 215 yards and a touchdown, while also rushing once for five yards. Background NFL owners voted to award Super Bowl XXIII to Miami, Florida on March 14, 1985, during their March 10–15, 1985 meetings held in Phoenix. This was the sixth time that Miami hosted the game, and the first at Joe Robbie Stadium; the 5 previous Super Bowls in the area were played at the Miami Orange Bowl. Originally, the selection was to be voted on during the May 23–25, 1984 meetings. However, after balloting for XXI took more than two hours, voting for XXIII was rescheduled. Twelve cities were part of the bidding process, which was scheduled to award two Super Bowls (XXIII and XXIV). The bidding cities included: Anaheim, Detroit, Houston, Jacksonville, Miami, Minneapolis, New Orleans, Philadelphia, San Francisco, Seattle, Tampa, and Tempe. Miami entered as the favorite. This was the last Super Bowl played on the second to last Sunday in January. From 1990 to 2001, the game was played on the last Sunday of January, and from 2002 to 2021, on the first Sunday in February (with the exception of Super Bowl XXXVII, which was played on January 26, 2003). This was also the last east coast Super Bowl that began under daylight. San Francisco 49ers For the 49ers, it was their first Super Bowl appearance since they defeated the Miami Dolphins in Super Bowl XIX. They had made the playoffs in the three seasons between Super Bowl XIX and Super Bowl XXIII, but were eliminated each time in the first round, primarily because of the poor performances by their offensive stars in those games; quarterback Joe Montana, receiver Jerry Rice, and running back Roger Craig all failed to produce a single touchdown. The previous season's 36–24 playoff loss to the Minnesota Vikings had been a particularly low point for Montana, who had played so poorly that head coach Bill Walsh had benched him early in the third quarter. In the 1988 season, San Francisco won the NFC West with a 10–6 regular season record and earned the #2 playoff seed, but it was a long uphill battle. Two other teams in their division, the Los Angeles Rams and New Orleans Saints had also recorded 10-6 records, meaning not only did they earn a first round bye with the narrowest possible margin, but a one more loss would have caused them to miss the playoffs altogether. The team had a quarterback controversy with Montana and Steve Young each starting during the season. Young had started three games during the year, in which the 49ers went 2–1, including a crucial 24-21 week 9 win over the Vikings in which Young scored the game winning touchdown on a dynamic 49-yard run with time running out in the 4th quarter. But after a 6–5 start, Montana led the 49ers to win four of their final five regular season games. Montana finished the regular season with 238 completions for 2,981 yards and 18 touchdowns, and also added 132 rushing yards. His favorite target was Rice, who recorded 64 receptions for 1,306 yards (a 20.4 yards per catch average) and 9 touchdowns. Craig was also a key contributor, leading the team in receptions (76) while finishing the season with a total of 2,036 combined rushing and receiving yards and 10 touchdowns, earning him the NFL Offensive Player of the Year Award. Fullback Tom Rathman also made a big impact, rushing for 427 yards and catching 42 passes for 387 yards. San Francisco also had a major special teams threat in second-year receiver John Taylor, who led the NFL in punt return yards (556), yards per return, (12.6), and touchdowns (2). He also gained 228 yards on kickoff returns and 325 receiving yards on just 14 receptions (a 23.2 yards per catch average). The 49ers' defense was led by defensive backs Ronnie Lott, Eric Wright, Jeff Fuller, and Tim McKyer, who recorded a combined total of 18 interceptions. McKyer led the team with 7, while Lott recorded 5, along with 3 forced fumbles and 4 fumble recoveries. Linebacker Charles Haley was also a big contributor with 11.5 sacks and 2 fumble recoveries. The 49ers also had a solid defensive line, featuring Michael Carter (6.5 sacks), Danny Stubbs (6 sacks), Larry Roberts (6 sacks), and Pierce Holt (5 sacks). Cincinnati Bengals The Bengals were also a team on the rebound. During the strike-shortened 1987 season, quarterback Boomer Esiason and head coach Sam Wyche had openly feuded, and the team finished with a miserable 4–11 record, including 0–3 in games played by replacement players. The coach and quarterback worked out their differences in the offseason, and Esiason ended up having the best season of his career en route to Super Bowl XXIII. During the regular season, he threw for 3,572 yards and 28 touchdowns with only 14 interceptions, while also rushing for 248 yards and a touchdown on 43 carries. Esiason's performance made him the top-rated quarterback in the league with a 97.4 passer rating and earned him the NFL Most Valuable Player Award. Cincinnati had a number of offensive weapons, boasting six Pro Bowl selections. Wide receiver Eddie Brown was the top receiver on the team, with 54 receptions for 1,273 yards and 9 touchdowns, setting franchise records for most receiving yards in season, highest yards per catch average in a season (24.0) and most receiving yards in a single game (216 against the Pittsburgh Steelers). Wide receiver Tim McGee and Pro Bowl tight end Rodney Holman were also major threats, combining for 75 receptions, 1,213 yards, and 9 touchdowns. Rookie fullback Ickey Woods was their top rusher with 1,066 yards and 15 touchdowns, while also catching 21 passes for 199 yards and gaining a lot of media attention with his "Ickey Shuffle", a dance routine he did in the end zone to celebrate his touchdowns. Multi-talented running back James Brooks was also a key contributor, gaining a total of 1,218 combined rushing and receiving yards and 14 touchdowns. And the Bengals' offensive line was led by such Pro Bowl players as right guard Max Montoya and left tackle Anthony Muñoz. Muñoz was named the NFL Offensive Lineman of the Year for the third time in his career, and was selected to play in the Pro Bowl for the 8th season in a row. With all these weapons, Cincinnati's offense led the NFL in scoring (448 points), rushing yards (2,710), and total yards (6,302). The Bengals' defense ranked 17th in the league, allowing 5,556 yards and 329 points during the regular season. Cincinnati had a superb defensive line, led by Pro Bowl defensive tackle Tim Krumrie (3 sacks and 3 fumble recoveries), along with linemen Jim Skow (9.5 sacks), David Grant (5 sacks), and Jason Buck (6 sacks). Their linebacking corps was led by 13-year veteran Reggie Williams, one of six players remaining from their 1981 Super Bowl team. Pro Bowl defensive backs Eric Thomas and David Fulcher combined for 12 interceptions, while safety Lewis Billups added 4 interceptions and 2 fumble recoveries. The team ended up winning the AFC Central with a 12–4 record. Playoffs The Bengals went on to defeat the Seattle Seahawks in the AFC Divisional playoff game 21–13, and the Buffalo Bills in the AFC Championship Game 21–10. Woods was the key contributor in both wins, rushing for a combined total of 228 yards and 3 touchdowns. Cincinnati's 17th-ranked defense during the season made a major improvement in the playoffs, holding both their opponents to a combined total of 23 points and recording 5 interceptions. Meanwhile, Bill Walsh guided the 49ers to crushing playoff wins over the Minnesota Vikings, 34–9 and the Chicago Bears, 28–3. With the win over the Bears, the 49ers became the first road team to win an NFC Championship Game since the 1979 season. Super Bowl pregame news Despite the Bengals' superior regular season record and Esiason's MVP award, the 49ers were heavily favored to win the Super Bowl, mainly because of Montana. Montana had already led the 49ers to two previous Super Bowls and both times left with a championship ring and Super Bowl MVP honors. Esiason was also suffering from a sore left (throwing) shoulder, although the Bengals tried to keep it under wraps and made up for a lack of big-play passing attack with a run-heavy offense led by Woods and Brooks against their first two playoff opponents, Seattle and Buffalo. While Montana had his ups and downs during the regular season, he appeared to be playing his best in the postseason, throwing for 466 yards and 5 touchdowns in his two playoff games, with only 1 interception. In contrast, the sore-shouldered Esiason had thrown for only 202 yards and 1 touchdown, with 2 interceptions, in the Bengals' two playoff victories. While in Miami, Cincinnati suffered a major blow even before the game began. On the night before the Super Bowl, Stanley Wilson, the Bengals' best fullback and their third-leading rusher during the season with 398 yards, was caught using cocaine in his hotel room. The Bengals had no choice but to leave him off the roster. It was Wilson's third violation of the league's drug policy, and as a result he was banned from the league for life. Both coaches had a long history with each other. In 1979, 49ers coach Bill Walsh had talked Sam Wyche out of retirement to come and join the team as an assistant coach. Wyche remained on Walsh's coaching staff until 1982, winning a Super Bowl ring against the Bengals in Super Bowl XVI. The rematch was the third time in Super Bowl
the coin toss ceremonies. Bradshaw, not to be outdone, joined the ceremonies on the occasion of the 15th anniversary of Super Bowl IX, which had been played at Tulane Stadium and saw the Pittsburgh Steelers win their first world championship. Halftime show The halftime show was a salute to both New Orleans and the 40th anniversary of the comic strip Peanuts. The show featured performances by clarinetist Pete Fountain, fiddle player Doug Kershaw, and singer Irma Thomas – all Louisiana natives. Three local college bands, Southern University, ULL, and Nicholls State, joined in the performance. The finale featured a float that was dressed up as a riverboat that rose several stories high. The float was so huge that one of the goal posts had to be moved so it could be put on the field. Game summary The 49ers blew out the Broncos by gaining 461 yards of total offense, holding the ball for 39:31, and scoring on eight of their first 11 drives. The San Francisco defense also limited the Broncos to 167 yards, 12 first downs, and a time of possession to 20:29, while recording six sacks and forcing four turnovers. The 49ers converted all of the turnovers into touchdowns, needing only four plays total to score on the last three. First quarter On their opening possession, the Broncos were forced to punt after three plays, and the 49ers scored on their ensuing drive, marching 66 yards in 10 plays and scoring on a 20-yard touchdown pass from quarterback Joe Montana to wide receiver Jerry Rice. The Broncos responded with a 49-yard scoring drive, mainly on plays by running back Bobby Humphrey, who rushed 4 times for 22 yards and caught a 27-yard shovel pass, quarterback John Elway's longest completion of the game. Kicker David Treadwell finished the drive with a 42-yard field goal to cut the Broncos' deficit to 7–3. Denver's defense forced San Francisco to punt on their next drive after three plays, and wide receiver Vance Johnson gave his team good field position with a 7-yard return to the Broncos' 49-yard line. But then Humphrey lost a fumble at midfield while being tackled by defensive end Kevin Fagan, and safety Chet Brooks recovered the loose ball for San Francisco at the 49ers' 46-yard line. At this point, the 49ers completely took over the game. Ten plays after the fumble recovery, the 49ers scored on a 7-yard pass from Montana to tight end Brent Jones. Kicker Mike Cofer missed the extra point attempt wide right, keeping the score at 13–3, but it turned out to be the only miscue the 49ers would make for the rest of the game. Second quarter Once again, the Broncos were forced to punt three plays after the ensuing kickoff, and the 49ers advanced 69 yards in 14 plays to score another touchdown. The key player on that drive was fullback Tom Rathman, who caught 3 passes for 39 yards, kept the drive alive with a successful run on a fourth down, and capped it off with a 1-yard touchdown run to make the score 20–3. With under two minutes left in the first half, wide receiver John Taylor's 17-yard punt return gave the 49ers the ball near midfield. Just over a minute later, San Francisco scored another touchdown with a 38-yard completion from Montana to Rice, increasing their lead to 27–3 at the end of the half. Third quarter When the second half started, the 49ers picked up right where they left off. Linebacker Michael Walter intercepted Elway's first pass of the third quarter, and Montana threw a 28-yard touchdown pass to Rice on the next play. Then Elway was intercepted again on the Broncos' ensuing drive, this time by Brooks, who returned the ball 38 yards to the Denver 37-yard line. Two plays later, Montana fooled defensive back Steve Atwater with a pump fake in Rice's direction, and then threw a 35-yard touchdown pass to Taylor, making the score 41–3 before the quarter was 6 minutes old. San Francisco had scored 3 touchdowns in less than 6 minutes to blow open the game. Denver's lone touchdown came on their next possession, a 61-yard, 5-play drive. First, Broncos defensive back Darren Carrington returned the ensuing kickoff 39 yards to the 39-yard line. Elway's 13-yard completion to Johnson, a 34-yard run from Humphrey, and a pass interference penalty on 49ers linebacker Bill Romanowski moved the ball to the San Francisco 1-yard line. Elway then capped off the drive with a 3-yard touchdown run on third down, cutting their deficit to 41–10. Fourth quarter However, the 49ers continued to dominate the Broncos. San Francisco responded to Denver's score with an 11-play, 75-yard drive that took 6:56 off the clock, and ended with Rathman's 3-yard touchdown run on the first play of the fourth quarter. Then after the ensuing kickoff, Elway was sacked for a 6-yard loss by defensive end Danny Stubbs. Then after an offsides penalty on the 49ers, cornerback Don Griffin sacked Elway, forcing a fumble. Stubbs recovered the loose ball and returned it 15 yards to Denver's 1-yard line. 49ers running back Roger Craig then closed out the scoring with a 1-yard touchdown run on the next play to make the final score of the game 55–10. The 49ers had two scores in this quarter before two minutes had elapsed. Steve Young relieved Montana for the remainder of the game. Rice finished the game with 7 receptions for 148 yards and a Super Bowl record 3 receiving touchdowns. He joined teammate Roger Craig as the only players to score three touchdowns in a Super Bowl (Craig did it in Super Bowl XIX – 2 receiving and 1 rushing). Craig was the leading rusher of the game with 69 rushing yards and a touchdown, while also catching 5 passes for 34 yards. Rathman rushed for 38 yards and 2 touchdowns while also catching 4 passes for 43 yards. Taylor caught 3 passes for 49 yards and a touchdown and added another 38 yards on 3 punt returns. Elway was held to a passer rating of 19.4 on just 10 completions out of 26 attempts for 108 yards with no touchdowns and 2 interceptions. He managed to run for a touchdown, but fumbled twice (although he recovered one of them). Humphrey was Denver's leading rusher and receiver, with 61 rushing yards and 3 receptions for 38 yards. Carrington returned 6 kickoffs for 146 yards. A photo essay titled "Ranking the Super Bowls", written by media analyst Elliot Harrison and featuring Dallas personnel man Gil Brandt, ranked Super Bowl XXIV the lowest of the first 50 played. The article was published on the NFL's website. Box score Aftermath Montana and the 49ers looked to win a third consecutive Super Bowl in 1990 and once again finished with the league's best record at 14–2. However, in the NFC Championship Game that season, the 49ers were defeated by the New York Giants on a field goal as time expired. During the game, Montana was sacked from his blind side by Leonard Marshall and was forced to leave the game with a series of injuries including a broken finger, a bruised back, and a concussion. Later, it was discovered that Montana suffered an injury to his throwing elbow in the game and it was severe enough to cost him the entire 1991 season. Montana's injuries, which kept him out of fifteen games in 1992 as well, paved the way for Steve Young to become the 49ers' starting quarterback full-time and Montana was eventually traded to the Kansas City Chiefs in 1993. Young would win the 49ers another Super Bowl title in 1995 in Super Bowl XXIX. After Super Bowl XXIV, Elway and the Broncos entered a period of decline. 1990 saw them fall to 5–11,
touchdown pass to Vance Johnson tied the game in the third quarter. Then after Pittsburgh scored two field goals to take a 23–17 fourth-quarter lead, Elway led the Broncos on a 71-yard drive to score on Melvin Bratton's 1-yard, game-winning touchdown run. On the ensuing drive, Randy Robbins then recovered a Steelers fumble on third down with 2:02 left to clinch the victory. The Broncos then defeated the Cleveland Browns 37–21 in the AFC Championship Game. This was the third time in the last four years that both teams faced each other for the AFC Championship, and the previous two resulted in two of the most famous games in NFL Lore: The Drive and The Fumble. In this game, the Broncos seemed to be in complete control at first, building up a 24–7 lead. But Browns quarterback Bernie Kosar rallied his team back with two third-quarter touchdowns, cutting the lead to 24–21 going into the 4th quarter. Some observers began to wonder if this game would become known as "The Comeback". However, Elway destroyed any chance of a Browns comeback by leading the Broncos 80 yards and scoring with a 39-yard touchdown pass to Sammy Winder on the first drive of the 4th quarter. Denver then scored field goals on each of their next two drives to put the game away. Elway finished the game with 385 passing yards, 3 touchdowns, and no interceptions, while also leading Denver in rushing with 5 carries for 39 yards. Meanwhile, the 49ers started out their postseason by blowing out the Minnesota Vikings, 41–13. Minnesota started out the game by marching 70 yards on their opening drive and scoring a field goal to take a 3–0 lead. But the 49ers dominated the rest of the game. On their first play from scrimmage, Montana completed a short pass to Rice, who then took it all the way to the end zone for a 72-yard touchdown reception. The next time they had the ball, Montana led them on another touchdown drive, scoring on a short pass to tight end Brent Jones. Then defensive back Chet Brooks intercepted a pass from Vikings quarterback Wade Wilson and returned it 28 yards, setting up Montana's third touchdown pass on an 8-yard toss to Taylor. Then just before halftime, Montana threw another touchdown pass to Rice, giving the 49ers a 28–3 halftime lead. Then in the fourth quarter, San Francisco scored two more touchdowns to put the game away: a 53-yard interception return by Lott and a 4-yard run by Craig. Montana finished the game with 241 passing yards, 4 touchdowns, and no interceptions. Wilson was held to just 9 completions for 74 yards, and was intercepted twice. The 49ers then entered the NFC Championship Game against the Los Angeles Rams, who had defeated San Francisco in one of their two regular season games against them, and were coming off postseason wins against two of the NFC's toughest teams, the New York Giants and the Philadelphia Eagles. The Rams scored first to take a 3–0 lead. However, the 49ers took over in the 2nd quarter, scoring 21 unanswered points on two touchdown passes by Montana and a touchdown run by Craig. By halftime, San Francisco had a commanding 21–3 lead and went on to a surprisingly easy 30–3 win and their second consecutive Super Bowl appearance. Montana had another superb performance, compiling 262 passing yards and 2 touchdowns, again without throwing an interception. Rams quarterback Jim Everett was held to 163 yards and threw 3 interceptions. Super Bowl pregame news Although Elway's performance in the AFC Championship Game was widely considered his best ever, many sports writers and fans believed that the Broncos' best effort would not be good enough to beat the 49ers. After all, Denver had barely defeated the Steelers, who only had a 9–7 regular season record, while the 9–6–1 Cleveland Browns had almost overcome a 17-point second half deficit before Denver put them away in the fourth quarter. Furthermore, the Elway-led Broncos had already lost two Super Bowls. On the other hand, the Montana-led 49ers, with their powerful offense, had already won three Super Bowls. Montana came into this game with a 7–0 record as a starting quarterback at the Superdome due to the 49ers' dominance of their then-NFC West rival New Orleans Saints. The 49ers' only loss in the Superdome in the 1980s came in 1986, when Mike Moroski started for an injured Montana. The Broncos, as the designated home team in the annual rotation between AFC and NFC teams, wore their home orange uniforms with white pants. At the time, the Broncos were winless (0–2) in Super Bowls while wearing orange. The 49ers would wear white road uniforms with gold pants, which was the same combination they wore in their Super Bowl XVI victory. Broadcasting The game was broadcast in the United States by CBS and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden. Brent Musburger hosted all of The Super Bowl Today pregame (2 hours), halftime, and postgame events with help from his NFL Today co-hosts Irv Cross, Dick Butkus, and Will McDonough, along with game analysts Terry Bradshaw, Ken Stabler, and Dan Fouts, and then-Chicago Bears head coach Mike Ditka. CBS Sports reporter Pat O'Brien, meanwhile, was stationed in San Francisco 49ers quarterback Joe Montana's hometown of Monongahela, Pennsylvania. This was the last NFL broadcast for the NFL Today team as it was constructed. Several weeks after the Super Bowl, a management change at CBS resulted in the firing of Brent Musburger; his last event for the network was the call of the 1990 NCAA Men's Basketball Championship Game on April 2. Irv Cross was taken off the studio team and became an analyst instead, serving that role for two years with Tim Ryan. Dick Butkus returned to acting, while Will McDonough moved over to NBC’s pregame where, he would remain until retiring. CBS went to a two-man studio team for 1990 with Greg Gumbel, who joined CBS from ESPN the prior year, replacing Musburger as host and Terry Bradshaw moving from his prior position as the No. 2 analyst alongside Verne Lundquist to the studio analyst position vacated by Cross. CBS would not return to using a four-man studio team until 1998, coinciding with their return to broadcasting NFL games for the first time since 1993. CBS also debuted a new graphical package and theme song for their telecasts. The graphics became part of The NFL Today open while the theme continued to be used on game broadcasts for the next two seasons and replaced the original NFL Today theme ("Horizontal Hold" by Jack Trombey), which had been used in remixed form for the 1989 season. The last use of the actual theme was for the 1991 season's NFC Championship Game, while a remixed version was used for Super Bowl XXVI's pregame show. The game drew a national Nielsen rating of 39.0 for CBS, the lowest rating for a Super Bowl game since Super Bowl III in January 1969. This game was featured on NFL's Greatest Games under the title Coronation. This Super Bowl was simulcast in Canada on CTV and in Mexico on Imevisión's Canal 13, and later aired in the United Kingdom on Channel 4. This was the last Super Bowl to feature a kickoff time earlier than 6 p.m. ET. Nissan aired a commercial during Super Bowl XXIV advertising the new Nissan 300ZX Twin Turbo. Executives at Nissan pulled the commercial after the initial airing when they became concerned the commercial would promote street racing since the commercial features the 300ZX being faster than a sport bike, a formula one car and a fighter jet. Grand Slam was broadcast after the game on CBS. On radio, the game was broadcast in the United States by CBS and featured the broadcast team of play-by-play announcer Jack Buck and color commentators Hank Stram and Randy Cross. Cross filled in for Stram when the latter was stricken with laryngitis and had to leave the broadcast in the third quarter of the game. Dick Stockton hosted all of the events. Locally, Super Bowl XXIV was broadcast by KGO-AM in San Francisco with Joe Starkey and Wayne Walker and by KOA-AM in Denver with Larry Zimmer and Jim Turner (Zimmer was moved from his normal position as a color commentator when the Broncos' regular play-by-play voice, Bob Martin, became seriously ill the day before the game; eventually losing his battle with cancer just under a month after the game). Entertainment Pregame ceremonies The pregame show was a salute to Mardi Gras and featured musician and singer David Clayton-Thomas. Soul and R&B singer (and New Orleans native) Aaron Neville later sang the national anthem. The coin toss ceremony featured the recent inductees to the Pro Football Hall of Fame: defensive back Mel Blount, quarterback Terry Bradshaw, offensive lineman Art Shell, and safety Willie Wood. Shell, who was then the head coach of the Los Angeles Raiders, became the first active head coach or player to join the coin toss ceremonies. Bradshaw, not to be outdone, joined the ceremonies on the occasion
and blocking kicks. Despite their good defense, it was the Bills' flashy, high-powered offense that gained the most attention. Unlike the Giants, the Bills routinely used the no-huddle tactic to storm down the field and score points very quickly. Instead of going into a huddle after each play, quarterback Jim Kelly would immediately send his offense back to the line of scrimmage and make the call there after reading the defense. This strategy prevented opposing defenses from reading the Bills' formation correctly, making substitutions, or even catching their breath. The Bills' no-huddle K-Gun offense worked well enough for Kelly to finish the regular season as the top-rated quarterback in the NFL (101.2), throwing for 2,829 yards, 24 touchdowns, and only nine interceptions. One reason for his success was that he had two outstanding wide receivers: future Hall of Famer Andre Reed, who made his specialty going across the middle on slants and crossing routes, recorded 71 receptions, 945 yards, and 8 touchdowns, and future Hall of Famer James Lofton, who was the big threat with 35 receptions for 712 yards (a 20.3 yards per catch average). Tight end Keith McKeller contributed 34 receptions for 464 yards and five touchdowns. Pro Bowl running back Thurman Thomas had an AFC-best 1,297 rushing yards, caught 49 passes for 532 yards, and scored 13 touchdowns. Thomas also led the NFL in yards from scrimmage for the second consecutive season. A key to the Bills' prolific offense was the blocking of its superb offensive line, led by All-Pro center Kent Hull and Pro Bowl left tackle Will Wolford. Even though Kelly missed the last two games of the season with a knee injury, suffered in the same game in which the Giants lost Simms, the Bills finished with a 13–3 regular season record. Playoffs The Giants began their championship postseason run by a trivial elimination of the Chicago Bears, 31–3. In leading the Giants' "power football" offense, Hostetler threw only 17 passes, but two went for touchdowns and he threw no interceptions. He also directed a rushing attack that gained 194 yards, including 43 (and a touchdown) from Hostetler himself. This game offered a preview of what lay in store for Super Bowl XXV, as the Giants scored on drives of 75, 80, 49, and 51 yards, which lasted nine, 11, 11, and 16 plays, respectively. Overall, New York held the ball for 38:22, compared to Chicago's 21:38. However, New York lost another key player for the season when rookie running back Rodney Hampton, the team's second-leading rusher during the regular season with 455 yards, suffered a broken leg. The following Sunday, the Giants upset the San Francisco 49ers 15–13 in the NFC Championship Game. The 49ers, an NFL-best 14–2 in the regular season and winners of the last two Super Bowls, were 8-point favorites at kickoff Link. Their outstanding defense was led by future Hall of Fame defensive back Ronnie Lott and linebacker Charles Haley, who led the NFC in sacks. San Francisco's offense was considered the best in the NFC, led by future Hall of Fame quarterback Joe Montana and wide receiver Jerry Rice. However, except for a 61-yard touchdown pass from Montana to wide receiver John Taylor, the Giants contained the 49ers' offense very well. A sack by Giants defensive end Leonard Marshall early in the fourth quarter knocked Montana out of the game. Despite their super defensive effort, the Giants still trailed 13–9 midway through the fourth quarter, but a 30-yard run from linebacker Gary Reasons on a fake punt set up kicker Matt Bahr's fourth field goal, cutting their deficit to 13–12. The 49ers (now led by Steve Young) tried to run out the clock on their ensuing possession, but running back Roger Craig had the ball dislodged by nose tackle Erik Howard, and Lawrence Taylor recovered the fumble in mid-air with 2:36 remaining. Five plays later, Bahr kicked his fifth field goal, a 41-yarder, as time expired to give New York the win. As for the Bills, Jim Kelly returned from his injury to lead Buffalo to a 44–34 playoff victory over the Miami Dolphins. The Bills jumped to an early 20–3 lead, but Miami quarterback Dan Marino rallied his team back and cut Buffalo's lead to 30–27 going into the fourth quarter. However, Buffalo scored a touchdown on their first drive of the period with a 5-yard run by Thurman Thomas. Kicker Scott Norwood then recovered a fumble from Miami on the ensuing kickoff, allowing the Bills to put the game away with Kelly's 26-yard touchdown pass to Andre Reed. Kelly finished the game with 336 passing yards, three touchdowns, and 37 rushing yards. Reed was also a major factor, recording 123 receiving yards and a pair of touchdown catches. James Lofton caught seven passes for 149 yards and a touchdown. Thomas led the Bills' ground attack with 32 carries for 117 rushing yards and two touchdowns, while also catching three passes for 38 yards. Buffalo then crushed the Los Angeles Raiders 51–3, the most lopsided score in AFC Championship Game history. The Bills' defense dominated the Raiders' offense, which was without running back Bo Jackson, who suffered a career-ending injury against the Cincinnati Bengals the week before, limiting them to an early field goal and intercepting five passes from quarterback Jay Schroeder. Meanwhile, the Bills' offense racked up 502 yards, piling up yards and points so fast the game was out of reach by the end of the first half. Kelly was 17 of 23 for 300 yards passing, and two touchdowns to Lofton. Thomas had 138 yards rushing, 61 yards receiving, and his backup, Kenneth Davis, tied a playoff record with three touchdowns. Super Bowl pregame news The Bills were heavily favored to win Super Bowl XXV. Most experts expected that the Giants' defense would not be able to contain the Bills' turbo-charged no-huddle offense, which had scored 95 points in 2 playoff games. Many also questioned how effective the Giants' offense would be after failing to score a single touchdown in the NFC Championship Game. Also, in Week 15 of the regular season, the two teams met at Giants Stadium, where the Bills defeated the Giants 17–13. As the designated home team in the annual rotation between AFC and NFC teams, the Giants wore their home blue uniforms and white pants. The Bills donned their road all-white uniforms, which marked the only time they wore white in their four consecutive Super Bowl appearances. With the Gulf War having begun 10 days prior to this Super Bowl's scheduled date of January 27; rumors had begun circulating of a possible delay or cancellation of the conference championship games and the Super Bowl. However, the NFL quickly denied those rumors by stating the games would go on as scheduled. Broadcasting The game was broadcast in the United States by ABC, featuring the Monday Night Football broadcast team of play-by-play announcer Al Michaels and color commentators Frank Gifford and Dan Dierdorf. Brent Musburger hosted all the events with the help of then-ABC Sports analysts Bob Griese and Dick Vermeil, Musburger's regular color commentator on ABC's college football telecasts. Also, sponsors Coca-Cola and Diet Pepsi had to withdraw planned contest promotions or advertisements, due to the Gulf War situation. PepsiCo's contest, a heavily promoted $3 million giveaway in which viewers would be invited to call a toll-free number during the first three quarters; with the caller receiving a Diet Pepsi coupon and an opportunity to win one of 3 prizes totaling $1 million each, was also withdrawn due to FCC and Congressional fears and complaints from the telephone communications industry that the United States telephone system would be overwhelmed. In the teams' local markets, the local ABC stations aired the game in the New York City and Buffalo markets (WABC-TV 7 in New York City and WKBW-TV 7 in Buffalo). CBS aired the game nationally on radio. Jack Buck served as play-by-play with Hank Stram as color commentator. In the teams' local markets, the game was carried on WNEW-AM in New York City with Jim Gordon, Dick Lynch, and Karl Nelson and WGR in Buffalo, New York with Van Miller, Ed Rutkowski, and Pete Weber. The game was broadcast in the United Kingdom on Channel 4, in Mexico on the Canal de las Estrellas, in Canada on CTV and in
Bills' defense dominated the Raiders' offense, which was without running back Bo Jackson, who suffered a career-ending injury against the Cincinnati Bengals the week before, limiting them to an early field goal and intercepting five passes from quarterback Jay Schroeder. Meanwhile, the Bills' offense racked up 502 yards, piling up yards and points so fast the game was out of reach by the end of the first half. Kelly was 17 of 23 for 300 yards passing, and two touchdowns to Lofton. Thomas had 138 yards rushing, 61 yards receiving, and his backup, Kenneth Davis, tied a playoff record with three touchdowns. Super Bowl pregame news The Bills were heavily favored to win Super Bowl XXV. Most experts expected that the Giants' defense would not be able to contain the Bills' turbo-charged no-huddle offense, which had scored 95 points in 2 playoff games. Many also questioned how effective the Giants' offense would be after failing to score a single touchdown in the NFC Championship Game. Also, in Week 15 of the regular season, the two teams met at Giants Stadium, where the Bills defeated the Giants 17–13. As the designated home team in the annual rotation between AFC and NFC teams, the Giants wore their home blue uniforms and white pants. The Bills donned their road all-white uniforms, which marked the only time they wore white in their four consecutive Super Bowl appearances. With the Gulf War having begun 10 days prior to this Super Bowl's scheduled date of January 27; rumors had begun circulating of a possible delay or cancellation of the conference championship games and the Super Bowl. However, the NFL quickly denied those rumors by stating the games would go on as scheduled. Broadcasting The game was broadcast in the United States by ABC, featuring the Monday Night Football broadcast team of play-by-play announcer Al Michaels and color commentators Frank Gifford and Dan Dierdorf. Brent Musburger hosted all the events with the help of then-ABC Sports analysts Bob Griese and Dick Vermeil, Musburger's regular color commentator on ABC's college football telecasts. Also, sponsors Coca-Cola and Diet Pepsi had to withdraw planned contest promotions or advertisements, due to the Gulf War situation. PepsiCo's contest, a heavily promoted $3 million giveaway in which viewers would be invited to call a toll-free number during the first three quarters; with the caller receiving a Diet Pepsi coupon and an opportunity to win one of 3 prizes totaling $1 million each, was also withdrawn due to FCC and Congressional fears and complaints from the telephone communications industry that the United States telephone system would be overwhelmed. In the teams' local markets, the local ABC stations aired the game in the New York City and Buffalo markets (WABC-TV 7 in New York City and WKBW-TV 7 in Buffalo). CBS aired the game nationally on radio. Jack Buck served as play-by-play with Hank Stram as color commentator. In the teams' local markets, the game was carried on WNEW-AM in New York City with Jim Gordon, Dick Lynch, and Karl Nelson and WGR in Buffalo, New York with Van Miller, Ed Rutkowski, and Pete Weber. The game was broadcast in the United Kingdom on Channel 4, in Mexico on the Canal de las Estrellas, in Canada on CTV and in Venezuela on Venevisión. Because of the Gulf War situation, this marked the first time the Super Bowl aired in most countries around the world. Outside of North America and England, this Super Bowl aired for the first time in countries such as Australia and Russia. Entertainment Pregame ceremonies Whitney Houston performed "The Star-Spangled Banner" for Super Bowl XXV, backed by the Florida Orchestra under the direction of Maestro Jahja Ling. With America involved in the Gulf War, the positive response to the rousing performance was overwhelming; it would later see a release as a single and a video. It reached number 20 on the Billboard Hot 100 – making her the only act to turn the national anthem into a pop hit of that magnitude. Houston's rendition was critically acclaimed and regarded as one of the best performances of the U.S. national anthem in history. The Whitney: The Greatest Hits album includes this music track. Following 9/11, the single was re-released by Arista Records, peaking at number 6 on the Hot 100 and was certified platinum by the RIAA. Former NFL commissioner Pete Rozelle joined the coin toss ceremony. Halftime show The halftime show was titled "A Small World Salute to 25 Years of the Super Bowl". Produced by Disney, it featured over 3,500 local children from different ethnic backgrounds and a performance by boy band New Kids on the Block, with special guest Warren Moon. ABC did not broadcast the halftime show live. Instead, they televised a special ABC News report anchored by Peter Jennings on the progress of the Gulf War. The halftime show was later shown on tape delay after the game at around 10:40 EST, although most ABC affiliates ran the first episode of Davis Rules following the Super Bowl, and may have televised the remaining parts of the halftime show later. Game summary To counteract the Bills' no-huddle offense, the Giants' used a tough-nosed, conservative plan on both sides of the ball. On offense, the plan was to use a power running game utilizing Ottis Anderson, aided by quarterback rollouts, bootlegs, and play-action fakes. As tight end Mark Bavaro later recalled, "We came out with three tight ends, fat slobs picking you up and moving you and letting you tackle O.J. [Anderson], if you could." This enabled them to take time off the clock and limit Buffalo's possessions. The Giants set a Super Bowl record for time of possession with 40 minutes and 33 seconds, including 22 minutes in the second half. On defense, New York wanted to be physical with Buffalo's wideouts, and play with extra defensive backs to concentrate on stopping the Bills' passing game, while shifting focus away from trying to stop Buffalo's running game. In his book The Education of a Coach, David Halberstam wrote that one of defensive coordinator Bill Belichick's specific plans to combat the Bills involved convincing his defense (who had been the best unit against the run in the NFL that season) that they would win the game if Thurman Thomas ran for more than 100 yards. Belichick also felt that Jim Kelly was not as good at reading defenses as some other elite quarterbacks were (for example, Joe Montana), and that Kelly tended to "freeze" what he was seeing from a series and then use that information on the next one, which meant the Giants could be a step ahead of him all game if they alternated their cover plans from drive to drive. First Quarter The contrast in strategies was evident during the first quarter. After forcing the Bills to punt on the opening drive of the game, the Giants consumed 6:15 off the clock by marching 58 yards in 10 plays to score on a 28-yard field goal from Matt Bahr. In that drive, New York ran five rushing plays and five passing plays. However, the Bills struck right back on their ensuing possession with a five-play, 66-yard drive that took 1:23 off the clock, including a tipped 61-yard completion from Kelly to wide receiver James Lofton that set up Scott Norwood's 23-yard field goal to tie the game 3–3. After forcing the Giants to punt on their ensuing possession, the Bills' offensive strategy started to work to perfection. Kelly led the Bills on a 12-play, 80-yard scoring drive that consumed 4:27 and moved the ball so effectively that the team never faced a third down. Kelly completed six consecutive passes (four to Andre Reed) for 62 yards, and running back Don Smith capped it off with a one yard touchdown run to give Buffalo a 10–3 lead early in the second quarter. Smith's touchdown run was his only carry of the game and the last carry of his career. Reed's 5 first quarter receptions were a Super Bowl record. Second Quarter After trading punts, Rick Tuten's 43-yard kick pinned the Giants at their own 7-yard line. On second down, defensive end Bruce Smith sacked quarterback Jeff Hostetler in the end zone for a safety, increasing the Bills' lead to 12–3. On the play, Smith had a chance to force a fumble, since Hostetler was holding the football with only his throwing hand. But to his credit, Hostetler held the ball away from Smith, helping to ensure that only two points would be surrendered. Later on, the Giants got the ball at their own 13-yard line with 3:43 left in the second quarter. New York abandoned their long-drive strategy and employed a quick-strike attack of their own. It worked, as Hostetler led the Giants 87 yards and scored on a 14-yard touchdown pass to wide receiver Stephen Baker with just 25 seconds left in the half to cut New York's deficit to 12–10. Third Quarter The Giants opened the third quarter and resumed their original game strategy by driving 75 yards in 14 plays to score on Ottis Anderson's one yard touchdown run, giving the Giants a 17-12 lead. The drive consumed a then-Super Bowl record 9:29 (since surpassed by the Giants in Super Bowl XLII), and included four successful third down conversions. The highlight was a 14-yard pass to wide receiver Mark Ingram on third down and 13 yards to go. Ingram caught a short pass and broke five Buffalo tackles to get the first down and keep the drive alive. By this point, the Bills offense had gone nearly two hours of real-time (counting the halftime show) since they last possessed the ball. After forcing Buffalo to punt on its ensuing possession, New York drove to the Bills' 35-yard line. But on fourth and two, Smith tackled Anderson for a two yard loss. Fourth Quarter Buffalo then took over and advanced 63 yards in just four plays, scoring on a 31-yard burst from running back Thurman Thomas on the first play of the fourth quarter, regaining the lead for Buffalo at 19–17. Thomas' touchdown run marked 1,000 points scored in Super Bowl history (1,001 with the extra point). However, before the Bills' defenders had a chance to catch their breath, they found themselves back on the field trying to contain another long Giants drive. This one went for 14 plays and 74 yards, half of which came off passes from Hostetler to tight end Mark Bavaro, and took another 7:32 off the clock. The Bills managed to halt the drive at their own 3-yard line when linebacker Cornelius Bennett broke up Hostetler's third down pass, but Bahr kicked his second field goal to give New York a 20–19 lead. On the Bills' ensuing possession, they could only advance to their own 41-yard line before having to punt, enabling the Giants to take more time off the clock. The Bills finally forced New York to punt and took the ball at their own 10-yard line after Sean Landeta's 38-yard kick with 2:16 remaining. On the Bills' final possession, Kelly led the team down the field with a mix of scrambles, short passes, and runs by Thomas, of which the last was for a critical 11 yards, managing to get the Bills to the Giants 29-yard line, just within field goal range with eight seconds to play. Norwood attempted a 47-yard game-winning field goal from the right hash of the 37-yard line, with Frank Reich the holder and Adam Lingner the long snapper. (During Buffalo's final drive, ABC put up a graphic that showed Norwood's career history of field goal attempts of 40+ yards on grass fields; he was 1 for 5.) Norwood's kick sailed wide right, less than a yard outside of the goalpost upright. To this day, this is the only potential Super Bowl winning field goal attempt in which the kicker's team would lose if the kick were
played host to a Super Bowl. Both teams finished the regular season with the best record in their respective conference. The Redskins posted a 14–2 regular season record, and led the league during the regular season with 485 points. Washington head coach Joe Gibbs entered the game seeking his third Super Bowl victory with the team, but with his third starting Super Bowl quarterback, Mark Rypien. The Bills finished the regular season with a 13–3 record and advanced to their second consecutive Super Bowl, largely through the play of quarterback Jim Kelly and their "K-Gun" no-huddle offense. However, their defense ranked second to last in the league in total yards allowed. Early in the second quarter, the Redskins jumped out to a 17–0 lead from which the Bills could not recover. Washington also sacked Kelly four times and intercepted him four times. Rypien, who completed 18 of 33 passes for 292 yards, two touchdowns and an interception, was named Super Bowl MVP. The telecast of the game on CBS was seen by an estimated 79.6 million viewers. This was the first time that a major television network successfully scheduled Super Bowl counterprogramming: Fox aired a special live football-themed episode of its popular sketch comedy show In Living Color during the halftime show. Background NFL owners voted to award Super Bowl XXVI to Minneapolis during their May 24, 1989, meeting in New Orleans. Indianapolis, Pontiac and Seattle also made bids for the game. Super Bowl XXVI became the second Super Bowl to be played in a cold, winter climate city. The first one was Super Bowl XVI on January 24, 1982, at the Silverdome in Pontiac, Michigan, a suburb of Detroit. Temperatures in Minneapolis on game day were a high of and low of , about above average. The Metrodome also hosted the 1992 NCAA Men's Basketball Final Four, making it the only stadium to host both events in the same calendar year. It also hosted the 1991 World Series as the Minnesota Twins defeated the Atlanta Braves. Minneapolis is the only city, and the Metrodome is the only venue, to host all three events in a 12-month span (all three of these events aired on CBS, who would go on to purchase their Twin Cities affiliate, WCCO-TV, later in the year). The attendance mark of 63,130 was third lowest (and the second lowest post-merger attendance) only to Super Bowl LV's attendance of 25,000 and the first Super Bowl's attendance of 61,946, and the Metrodome was the smallest stadium to ever host the Super Bowl. To date, this and Super Bowl LII are the northernmost Super Bowls ever played. Washington Redskins Washington entered Super Bowl XXVI leading the league during the regular season in scoring with 485 points, while allowing the second-fewest points (224). The team was led by Mark Rypien, head coach Joe Gibbs' third different starting Super Bowl quarterback. Rypien led the NFC during the regular season in passing yards (3,564) and touchdown passes (28). With 249 out of 421 completions and only 11 interceptions, he earned the second-highest passer rating in the league (97.9). Rypien had several great targets to whom he could throw. Wide receiver Gary Clark was the main deep threat on the team, catching 70 passes for 1,340 yards and 10 touchdowns. On the other side of the field, wide receiver Art Monk, playing in his 12th NFL season, was just as reliable, catching 71 passes for 1,049 yards and 8 touchdowns. Monk's 71 receptions in 1991 gave him a career total of 801, just 18 behind the all-time record held by Steve Largent. Wide receiver Ricky Sanders was also a big element of the passing game, catching 45 passes for 580 yards and 5 touchdowns. The Redskins' primary weapon in the backfield was running back Earnest Byner, who ranked 5th in the NFL with 1,048 rushing yards, while also catching 34 passes for 308 yards and scoring 5 touchdowns. Rookie running back Ricky Ervins was also a major asset to the running attack, rushing 145 times for 680 yards for an average of 4.7 yards per carry, while also catching 16 passes for 181 yards. And when Washington was near the goal line, they usually relied on fullback Gerald Riggs, who rushed for 248 yards and scored 11 touchdowns. The Redskins' offensive line, known as "The Hogs", was led by Pro Bowl tackle Jim Lachey and guard Mark Schlereth, along with four-time Pro Bowl veterans Russ Grimm and Joe Jacoby. The Hogs allowed the fewest sacks in the league with just 9, 10 sacks less than the team that allowed the second-fewest. Even Washington's special teams unit was a big threat. Running back Brian Mitchell led the NFL in punt return yards (600) and punt return touchdowns (2) with a 13.3 yards per return average, while also gaining 583 yards returning kickoffs. Washington's defense, which ranked third in the NFL in fewest yards allowed (4,638), was led by All-Pro defensive back Darrell Green, who was one of the fastest players in the NFL, and Pro Bowl linebacker Wilber Marshall. Green and Marshall recorded 5 interceptions each, with Marshall recording 75 return yards and a touchdown, while also compiling 5.5 sacks and forcing 4 fumbles. Safety Brad Edwards was also a big factor in the secondary, recording four interceptions. Up front, their line was anchored by defensive end Charles Mann, who recorded 11 of Washington's 50 sacks, and recovered a fumble. Defensive end Fred Stokes also made a big impact with 6.5 sacks, 2 fumble recoveries, and an interception. The Redskins stormed to a league-best 14–2 regular season record. After crushing the Detroit Lions 45–0 on opening day, they recorded 11 consecutive wins before suffering their first loss to the Dallas Cowboys, 24–21. Their only other defeat was a meaningless loss to the Philadelphia Eagles in the final game of the regular season in which they rested most of their starters because they had already clinched the #1 NFC playoff seed. Buffalo Bills The Bills' no-huddle "K-Gun" offense once again dominated the league by gaining an NFL-leading 6,525 yards and scoring 458 points, second only to Washington. The leaders of the offense, quarterback Jim Kelly and running back Thurman Thomas, both had the best seasons of their careers. Kelly completed 64.1 percent of his passes for 3,844 yards and a league-leading 33 touchdowns, with only 17 interceptions, to give him a 97.6 passer rating. Thomas rushed for 1,407 yards, caught 62 passes for 620 yards, and scored 12 touchdowns to earn him both the NFL Offensive Player of the Year Award and the NFL Most Valuable Player Award. With 2,067 yards from scrimmage, Thomas led the league in that category for the third consecutive season. Just like Washington, Buffalo had more than one threat in their backfield. Running back Kenneth Davis emerged as a big threat, rushing for 624 yards, catching 20 passes for 118 yards, and scoring 5 touchdowns. The Bills also had several major weapons in their passing game. Wide receiver Andre Reed led the team with 81 receptions for 1,113 yards and 10 touchdowns, and also rushed 12 times for 136 yards. On the other side of the field, veteran wide receiver James Lofton recorded 57 receptions for 1,072 yards and 8 touchdowns to earn his 8th Pro Bowl appearance and finished the year just 55 yards short of the all-time receiving yardage record, held by Steve Largent (13,089 yards). Pro Bowl tight end Keith McKeller was also a big contributor with 44 receptions for 434 yards, while receiver Don Beebe had 32 catches, 414 yards, and 6 touchdowns. Once again, the Bills' offensive line was led by center Kent Hull, along with left tackle Will Wolford and Pro Bowl left guard Jim Ritcher. But the Bills had big problems on their defense. Buffalo ranked just 27th (out of 28 teams) in yards allowed, 19th in points allowed, and recorded only 31 sacks. A reason for this was that defensive linemen Bruce Smith and Jeff Wright had missed most of the season with injuries. One of the few bright spots on the Bills' defense was Pro Bowl linebacker Cornelius Bennett, who recorded 78 tackles, 9 sacks, and 2 fumble recoveries. Another Pro Bowl linebacker, Darryl Talley, led the team with 90 tackles and 5 interceptions, while also recovering 2 fumbles. Cornerback Nate Odomes was the leader of the secondary with 5 interceptions, which he returned for 120 yards and a touchdown, along with 66 tackles and a fumble recovery. Despite their defensive problems, the Bills finished the season with an AFC-best 13–3 regular season record. Playoffs The Redskins first defeated the Atlanta Falcons, 24–7, in a rain-soaked playoff game that was closer than their 56–17 regular season win over Atlanta. Rypien had 442 passing yards and 6 touchdowns in the earlier game, but could only complete 14 out of 28 passes for 170 yards and no touchdowns in the rematch. Still, Washington dominated the Falcons again by forcing 6 turnovers and rushing for 162 yards. The Redskins held the ball for over 36 minutes while running back Ricky Ervins recorded 104 rushing yards and a touchdown. Then Washington crushed the Detroit Lions 41–10 in the NFC Championship Game. The Lions posted a 12–4 regular season record and were coming off a 38–6 playoff blowout over the Dallas Cowboys. Many sports writers predicted that the NFC Championship Game would be much closer than the Redskins' win over the Lions in the season opening game because Detroit's future Hall of Fame running back, Barry Sanders, did not play in it due to injury. He had recorded 1,548 rushing yards and 16 touchdowns in the remaining 15 games of the season, and 99 combined rushing and receiving yards against Dallas in the playoffs. However, the Redskins crushed Detroit in this game as well, quickly forcing two Lions turnovers and building up a 10–0 lead before the game was five minutes old. The Redskins scored 41 points off of two touchdown runs by Riggs, two field goals from kicker Chip Lohmiller, a pair of touchdown passes from Rypien to Monk and Clark, and Green's 32-yard 4th-quarter interception return for a touchdown. Sanders was held to just 59 total yards, and linebacker Wilber Marshall sacked Lions quarterback Erik Kramer three times. Meanwhile, the Bills first defeated the Kansas City Chiefs 37–14, avenging a 33–6 Monday night loss during the regular season, in which the Chiefs recorded six sacks, recovered five fumbles, and gained 239 rushing yards, with running backs Harvey Williams and Christian Okoye recording over 100 rushing yards each. During this playoff game, the Bills jumped to a 24–0 lead in the 3rd quarter, with Kelly throwing three touchdown passes, the first two to Reed and the third to Lofton. The Bills also got a big performance out of Thomas, who rushed for over 100 yards, and kicker Scott Norwood, who made three field goals. Meanwhile, unconcerned with Kansas City's weak passing game, Buffalo played Bennett and Talley close to the line of scrimmage on nearly every play to stuff the run. Both players combined for 13 tackles, while the Bills' defense held Kansas City to 77 yards on the ground. Chiefs running back Barry Word, who became their primary rusher since the Monday Night game and rushed for over 100 yards in each of Kansas City's previous three games, was limited to just 50 yards. In addition, Buffalo's defense knocked Chiefs quarterback Steve DeBerg out of the game and intercepted backup quarterback Mark Vlasic four times. Buffalo then played against the Denver Broncos, who were coming off a 26–24 win over the Houston Oilers, in which quarterback John Elway led them on an 87-yard drive to set up kicker David Treadwell's game-winning field goal with only 16 seconds left. It was predicted that this AFC Championship Game would be a shootout between the Bills' powerful offense and the superb postseason play of Elway. But neither Elway nor the Bills' offense had much success in the 10–7 Bills victory in a game totally dominated by defense. Bennett, who spent almost as much time in the Denver backfield as Elway, had another great game, constantly pressuring Elway, sharing one sack, and tackling Denver rushers behind the line of scrimmage three times. Bills linebacker Carlton Bailey also made a big impact late in the 3rd quarter, intercepting a screen pass from Elway and returning it 11 yards for Buffalo's only touchdown of the game. After backup quarterback Gary Kubiak scored Denver's only touchdown with less than two minutes to go, the Bills then clinched the victory when defensive back Kirby Jackson forced and recovered a fumble from running back Steve Sewell on Denver's final drive of the game. Treadwell's three missed field goals were a large factor in the final outcome of the defensive struggle. Super Bowl pregame news During the week leading to Super Bowl XXVI, it seemed most of the pressure was on the Bills. The AFC Championship Game appeared to be the best defensive effort by Buffalo all season, as they held the Broncos to only a touchdown, while also limiting Elway to just 11 of 21 completions for 121 yards and no touchdowns, with one interception. But the Bills' high-powered offense was completely shut down, limited to just a single field goal for the entire game. In addition, the Bills could have easily been eliminated by the Broncos, had Treadwell not missed three field goal attempts, two of which hit the uprights. The performance also gave an opportunity for Gibbs and the Redskins' coaches to devise a strong game plan to exploit their Super Bowl opponent's weaknesses.
Redskins linebacker Matt Millen was bidding to become the first player to play in a Super Bowl victory for three different franchises (he played in Super Bowl XV and Super Bowl XVIII with the Raiders, and Super Bowl XXIV with the 49ers). However, Millen was deactivated for the game and watched from the Redskins sideline. He retired from the NFL shortly after the game to pursue a career in broadcasting (and later as a team executive). During the CBS telecast, it was mentioned that Leonard Smith (the Bills' regular starting strong safety) couldn't play as a result of an infection in his knee. Bills defensive line coach Chuck Dickerson mocked the Washington Redskins' famed offensive line, "The Hogs" in a television interview. Dickerson said Redskins tackle Joe Jacoby was "a Neanderthal – he slobbers a lot, he probably kicks dogs in his neighborhood." He also said tackle Jim Lachey "has bad breath. Players will fall down without him even touching them." Redskins coach Joe Gibbs got his hands on some tapes of Dickerson and played them at a team meeting on the night before the game. (Levy fired Dickerson three days after the game.) As the designated home team in the annual rotation between AFC and NFC teams, the Bills elected to wear their home blue uniforms with white pants, while the Redskins wore their road white uniforms with burgundy pants. This was Jerry Markbreit's third Super Bowl as the game's referee (having previously officiated Super Bowls XVII and XXI) tying the record set by Norm Schachter (I, V, and X), Jim Tunney (VI, XI, and XII), and Pat Haggerty (XIII, XVI, and XIX). Broadcasting The game was broadcast in the United States by CBS and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden for the fifth time. Lesley Visser, Jim Gray, and Pat O'Brien reported on the sidelines; Visser would later preside over the presentation of the Lombardi Trophy to the Redskins, becoming the first woman to do so. The Super Bowl Today was hosted by Greg Gumbel and Terry Bradshaw with Randy Cross and Dan Fouts contributing team reports, and Visser, Madden, Jim Gray, Bernard Goldberg and Mike Francesa (among others) contributing feature segments. This would be the last Super Bowl to air on CBS until Super Bowl XXXV at the end of the 2000 season. CBS lost the NFC package to Fox following the 1993 season, leaving the network without the NFL until it acquired the AFC package from NBC for the 1998 season. Super Bowl XXVI was not originally in CBS' rotation; since it had just broadcast Super Bowl XXIV two years earlier. CBS would have received Super Bowl XXVII as part of the rotation while NBC would have aired Super Bowl XXVI. Instead, the NFL made an exception for CBS, which had acquired the rights to the 1992 Winter Olympics (which started 13 days later), and allowed the network to air the Super Bowl as a lead-in program for its Olympics coverage. For this game, as they had done for Super Bowl XXIV, CBS debuted a new theme and opening for its NFL coverage. Composed by Frankie Vinci, the theme was used for the next two seasons on television and on CBS Radio after that; several remixes of the song were used from the time CBS resumed covering NFL games in 1998 until the end of the 2002 season; after that, CBS began using an E.S. Posthumus composition and has used it ever since. In addition to the new theme, CBS also rolled out a new network-wide graphics package for its sports coverage. With a few minor tweaks, the red, white, and blue graphic displays stayed in place until 1996, when CBS rolled out a new orange and yellow package. Super Bowl XXVI was telecast in over 100 countries around the world, including Australia (Network Ten), Canada (CTV), Mexico (Canal 13) and the United Kingdom (Channel 4). "Willing and Able" by Prince was used in a video montage during the closing credits of CBS' coverage. Following the game was a 60 Minutes interview with future President Bill and Hillary Clinton and an episode of 48 Hours. Super Bowl XXVI was featured in the episode of The Simpsons entitled "Lisa the Greek", which aired three days prior to the game and correctly predicted that Washington would win. Also, this game was part of a broadcasting service test commissioned by the U.S. Navy. The ships participating were the USS America; USS Concord; USS Eisenhower; USS Inchon; USS Monterey; USS Normandy and the USS Sierra. Entertainment Pregame ceremonies The pregame show featured local Minnesota youth including the Metropolitan Boys Choir, the Minnesota Youth Symphonies, and local marching bands. Singer Harry Connick Jr. later sang the national anthem. For the first time in Super Bowl History, the anthem was also performed in sign language, with Lori Hilary signing the anthem for the deaf fans. The coin toss ceremony featured Pro Football Hall of Fame head coach Chuck Noll. Noll, former Steelers Hall of Fame head coach who had retired a month earlier after 23 seasons, conducted the coin toss. Noll's Steelers had lost to both of these teams earlier in the season by large margins (52–34 to Buffalo and 41–14 to Washington). STS-42, a space shuttle mission, was in orbit during the game. A live downlink between the Metrodome and Discovery happened during the pregame show. Three of the mission's seven crew members demonstrated a 'human coin toss' in space. Buffalo head coach Marv Levy stated his famous phrase "Where else would you rather be?" to his players moments before kickoff, as shown on NFL Films highlights. Halftime show The halftime show was titled "Winter Magic", and featured a celebration to the winter season and the Winter Olympics. The halftime show was produced by Timberline Productions. Nearly 2,000 performers were involved in the show. The show featured drill teams, professional dancers (including ballroom dancing couples), the 60-piece Minnesota Youth Symphonies, color guards and drill teams from area high schools, and rollerbladers. In addition, Pride of Minnesota marching band performed, former Olympic champions Brian Boitano and Dorothy Hamill skated. Singer Gloria Estefan performed during the show's finale. The performance began with a 30-second overture, leading into an introduction by Brian Boitano and Dorothy Hamill, welcoming viewers to Minnesota, “where winter’s the hottest time of the year.” This was followed by the original composition "Winter Magic". Performers on the field spelled out the word "winter" followed by the word "magic". This was followed by "Walking in a Winter Wonderland", followed by a rendition of "Dance of the Sugar Plum Fairy". This was followed by "Frosty", an original composition involving rapping based on the character described in the song Frosty the Snowman. During this performance two 30-foot inflatable snowman figures were inflated, and dancing snowman figures were also utilized. The University of Minnesota Marching Band took the field during this song. This was followed by a salute to the 1992 Winter Olympics athletes, with Brian Boitano and Dorothy Hamill skating to the song "One Moment in Time", on sheets of Teflon that were embedded on the tops of large platforms that were placed on the field for the show. After they finished their skating performance, the tribute to Olympians continued to the song "Don't Stop Me Now". Members of the 1980 United States Men's Olympic Ice Hockey Team took stage for this tribute, holding sparklers. Rollerbladers also took part in this segment of the performance. Boitano and Hamill left the field on a snowmobile. Gloria Estefan then took the stage, and performed her songs "Live for Loving You" and "Get on Your Feet". The show then concluded with a reprise of the "Winter Magic" song. Counter-programming by In Living Color To compete with the halftime show, Fox decided to broadcast a special live episode of In Living Color and was able to attract and keep Super Bowl viewers. As a result, in order to maintain Super Bowl viewership, it was decided that Michael Jackson would perform at halftime during Super Bowl XXVII, followed by more big-name talent during subsequent Super Bowl halftimes. Game summary First quarter Both teams entered the game as the two highest scoring teams in the league, but after the end of the first quarter, both of them would be scoreless. The miscues began right from the start. First, the opening kickoff had to be redone because Bills kicker Brad Daluiso kicked the ball before referee Jerry Markbreit signaled to begin play. Then after Washington was forced to punt, Bills running back Thurman Thomas missed the first two plays of Buffalo's first drive because he misplaced his helmet. Later in the first quarter, Washington drove 89 yards and appeared to score a touchdown on a third-down pass from quarterback Mark Rypien to wide receiver Art Monk (who had already caught three passes for 67 yards on the drive). But instant replay ruled that Monk's foot was out of bounds when he caught the ball (the first time a touchdown was overruled by instant replay in a Super Bowl). The Redskins tried to salvage the drive with a field goal attempt, but holder Jeff Rutledge fumbled the snap. On Buffalo's first play after the botched field goal attempt, Bills quarterback Jim Kelly gave Washington another chance to score by throwing an interception to Redskins safety Brad Edwards, who returned it 21 yards to the Bills 12-yard line. But Rypien promptly gave it back to the Bills by throwing an interception to Bills defensive back Kirby Jackson on the third play of the Redskins' next drive. Second quarter In the second quarter, the Redskins began to take over the game. First, a 41-yard completion from Rypien to wide receiver Ricky Sanders and a 19-yard run by Earnest Byner set up Chip Lohmiller's 34-yard field goal to give Washington a 3–0 lead. The Redskins' defense then forced Buffalo to a three-and-out on the ensuing possession, and punter Chris Mohr's 23-yard punt sailed out of bounds at the Washington 49-yard line. The Redskins then drove 51 yards in 5 plays capped by Byner's 10-yard touchdown reception. Then, on the Bills next drive, Washington defensive back Darrell Green intercepted a pass from Kelly at the Redskins 45-yard line. Three plays later, Rypien completed a 34-yard pass to wide receiver Gary Clark to the Buffalo 15-yard line. A 14-yard run by Ricky Ervins then set up fullback Gerald Riggs' 1-yard touchdown run to expand the Redskins' lead to 17–0. The Bills had a chance to drive for a score late in the second quarter. With 1:46 left in the half, Bills special teams expert Steve Tasker downed Mohr's 48-yard punt at the Redskins 1-yard line. Washington gained zero net yards during the possession, and Buffalo got the ball back after Cliff Hicks returned Kelly Goodburn's 42-yard punt 2 yards to the Redskins 41-yard line. From there, Kelly completed a 21-yard pass to tight end Keith McKeller to the 20-yard line. But after an incomplete pass and an 8-yard sack by linebacker Wilber Marshall, Edwards broke up a third-down pass intended for Andre Reed in which Edwards hit Reed before the ball got to him; however, no flag for pass interference was thrown. In disgust, Reed threw his helmet to the ground, drawing a mandatory 15-yard unsportsmanlike conduct penalty that took the Bills out of field goal range and forced them to punt. As the teams ran off the field at halftime, Marv Levy confronted field judge Ed Merrifield, who Levy thought missed the pass interference call and then threw the unsportsmanlike conduct flag against Reed. The Bills became the ninth team to go scoreless in the 1st half of a Super Bowl, after the Baltimore Colts in Super Bowl III; the Minnesota Vikings in Super Bowls IV, VIII, IX, and XI; the Redskins in Super Bowl VII, the Denver Broncos in Super Bowl XII; and the Cincinnati Bengals in Super Bowl XVI. All eight of the previous teams ended up losing the game. Third quarter The Redskins then increased their lead to 24–0 just 16 seconds into the second half after linebacker Kurt Gouveia intercepted Kelly's pass on the first play of the third quarter and returned it 23 yards to the Bills' 2-yard line. The blitz that forced Kelly's rushed throw and led to the turnover had been drawn up by the Redskins' defensive coaches on the pregame bus ride to the Metrodome, as they came up with an idea to use their superior speed rushers against the powerful but not-that-mobile interior Bills' offensive line. One play later, Riggs scored his second touchdown of the game. The Redskins' 24–0 lead midway through the 3rd quarter tied the Miami Dolphins in Super Bowl VIII for the largest shutout lead in Super Bowl history. It was broken by the Seattle Seahawks' 36–0 lead in Super Bowl XLVIII. The Bills finally got some momentum going with their next few drives. First, they drove 77 yards to the Redskins 3-yard line, aided by a 43-yard completion from Kelly to receiver Don Beebe. Washington kept Buffalo out of the end zone, but Scott Norwood kicked a 21-yard field goal to cut the deficit to 24–3. Then, aided by a 29-yard pass interference penalty on Redskins cornerback Martin Mayhew in the end zone, the Bills drove 56 yards in 6 plays and finally scored a touchdown on their next drive with a 1-yard run by Thomas to make the score 24–10. However, Buffalo's hopes of a comeback faded when Washington advanced 79 yards in 11 plays on the ensuing drive, scoring on Clark's 30-yard touchdown reception to give the Redskins a 31–10 lead with 1:24 left in the third quarter. Three plays after receiving the ensuing kickoff, Kelly fumbled the ball while being sacked by defensive back Alvoid Mays, and it was recovered by defensive end Fred Stokes. Fourth quarter After the turnover, Washington drove to the Bills 7-yard line and increased their lead to 34–10 with Lohmiller's 25-yard field goal on the second play of the fourth quarter. On the Bills' ensuing drive, Kelly was sacked for a 9-yard loss by Stokes, threw an incomplete pass, and then threw his second interception of the game to Edwards, who returned it 35 yards to Buffalo's 33-yard line. Five plays later, Lohmiller kicked his third field goal with 11:36 left in the game to increase Washington's lead to 37–10. With the game almost completely out of reach, the Bills managed to respond with a 15-play, 79-yard drive to cut the score to 37–17 on a 2-yard touchdown pass from Kelly to tight end Pete Metzelaars. Then, after recovering an onside kick, the Bills drove 50 yards and scored another touchdown with Beebe's 4-yard reception to make the score 37–24. But the Bills' second onside kick attempt was unsuccessful, and the Redskins were able to run out the clock. From there, the Bills attempted one final pass play before time expired. Kelly completed 28 of a Super Bowl–record 58 passes for 275 yards and two touchdowns, but was sacked four times, intercepted four times, and lost a fumble. Thomas ran for only 13 yards on 10 carries and was limited to 27 yards on four receptions. James Lofton was the top receiver for the Bills with 7 catches for 92 yards, but Reed was limited to just 5 catches for 31 yards. Clark had seven catches for 114 yards and a touchdown and Monk added seven for 113 yards (Clark and Monk became the third pair of teammates to each have 100 yards receiving in a Super Bowl; they joined the Steelers' John Stallworth and Lynn Swann, who did it in Super Bowl XIII and the Bengals' Cris Collinsworth and Dan Ross, who did it in Super Bowl XVI). Ervins was the top rusher of the game with 72 yards. Byner recorded 49 rushing yards, and 3 receptions for 24 yards and a touchdown. On defense, Edwards recorded four tackles, broke up five passes, and returned two interceptions for 56 yards. The Redskins amassed 417 yards of total offense while limiting the explosive Bills to 283, with just 43 rushing yards. The two teams combined for the most points in a 3rd quarter in Super Bowl history (24 total points: 14 for Washington and 10 for Buffalo) and the most combined in a second half (44 total points: 24 for Buffalo and 20 for Washington). With the win, the Redskins became the first team, and Joe Gibbs the first coach, to win a Super Bowl with three different quarterbacks. Two other teams have since duplicated this feat: the
Gayle Gardner; Jim Lampley (who would replace Costas as host of NFL Live for the following season); and Dateline NBC correspondent Deborah Roberts (producing a special report on the Michael Jackson halftime show). Also included was an interview with former New York Jets defensive end Dennis Byrd and his wife Angela in the first one-on-one interview since Byrd suffered a paralyzing neck injury (which he eventually recovered from) suffered in a collision with teammate Scott Mersereau during their game against Kansas City. After the game, Homicide: Life on the Street premiered on NBC. This would be the third successful series to premiere after a Super Bowl (The A-Team, which premiered after Super Bowl XVII, and The Wonder Years, which premiered after Super Bowl XXII, were the other two successful series). Super Bowl XXVII was broadcast to 125 countries around the world. In addition to the United States, this Super Bowl was also broadcast in Canada on CTV, in Germany on Tele 5, in Mexico on Canal 5, in Australia on the ABC, in the Philippines on GMA Network and World TV 21 and the United Kingdom on Channel 4. The NFL's Greatest Games episode A Man and His Moment features Jimmy Johnson reading excerpts from his book Turning the Thing Around: My Life in Football, interspersed with game footage and audio from Super Bowl XXVII. It was based on the Super Bowl XXVII highlight film, which had the same title as this episode. Entertainment Pregame ceremonies The pre show featured The Rockettes dance company in a tribute to Hollywood music and cinema in the United States. Also featured were former Eagles singer Glenn Frey and Fleetwood Mac. Country music singer Garth Brooks sang the national anthem. He was accompanied by actress Marlee Matlin, who signed the anthem for the deaf fans. Brooks very nearly did not perform the anthem—he left the stadium less than an hour before he was slated to sing, because of a dispute with NBC, regarding a video he asked them to air for the song "We Shall Be Free". Television producers spotted rocker Jon Bon Jovi in the crowd and were prepared to have him perform the anthem, until Brooks was finally coaxed back into the stadium. The coin toss ceremony featured a future infamous celebrity, former Bills running back O. J. Simpson, who was working for NBC Sports at the time. Halftime show After Super Bowl XXVI, where a special episode of In Living Color, broadcast by future NFL broadcaster Fox during the game's halftime period, successfully attracted viewers away from the Super Bowl telecast on CBS (with viewership falling by 22% over halftime), the NFL began the process of heightening the profile of the halftime show in an effort to attract mainstream viewers. Radio City Productions, who would produce the halftime show, attempted to court Michael Jackson to serve as the headline act by meeting with him and his manager Sandy Gallin. After three failed negotiations, one having asked the NFL for a fee of $1 million, Jackson's management agreed to allow him to perform at Super Bowl XXVII. Although the league does not pay appearance fees for Super Bowl halftime performers, the NFL and Frito-Lay agreed to donate $100,000 to the Heal the World Foundation—a charity that was founded by Jackson, as well as commercial time to air an appeal for the foundation's Heal L.A. campaign, which aimed to provide health care, drug education, and mentorship for Los Angeles youth, particularly children affected by the aftermath of the 1992 Los Angeles riots. Jackson's set included a medley consisting of "Jam" (with the beginning of "Why You Wanna Trip On Me"), "Billie Jean" and "Black or White". The finale featured an audience card stunt, a video montage showing Jackson participating in various humanitarian efforts around the world, and a choir of 3,500 local Los Angeles area children singing "We Are the World", later joining Jackson as he sang his single "Heal the World". The halftime show was a major success, marking the first time in Super Bowl history that ratings increased between halves during the game with a whopping 133.4 million people tuning in, making it (still) the most watched Halftime Super Show of all time. Nine days later, Jackson would give the most watched television interview of all time with Oprah Winfrey. Game summary First Quarter Super Bowl XXVII started out well for Buffalo. The Cowboys were forced to a three-and-out on their opening possession. Bills special teams expert Steve Tasker then blocked the ensuing punt, knocking the ball out of bounds at the Cowboys 16-yard line. Four plays later, Thurman Thomas scored on a 2-yard touchdown run to give the Bills the 7–0 early lead. Dallas then reached their own 40-yard line on their next drive, but an illegal formation penalty nullified running back Emmitt Smith's 12-yard run. Troy Aikman then threw two consecutive incompletions, and the Cowboys were forced to punt again. The Bills subsequently advanced to midfield with the aid of a 15-yard roughing the passer penalty on Cowboys defensive lineman Leon Lett and a 21-yard reception by wide receiver Andre Reed. Then the wave of turnovers began. On the next play, a blitz by reserve defensive back Kenneth Gant forced a pass by Jim Kelly that Dallas safety James Washington intercepted and returned 13 yards to the Bills 47-yard line. Six plays later, the Cowboys tied the game on Aikman's 23-yard touchdown pass to tight end Jay Novacek. The Bills had to start at their own 10 following the ensuing kickoff due to an illegal block. On the first play of the drive, Dallas defensive end Charles Haley sacked Kelly and forced a fumble. Cowboys defensive tackle Jimmie Jones picked the ball out of the air at the 2-yard line and dove into the end zone for a touchdown to give his team a 14–7 lead. Dallas had scored two touchdowns in a span of 15 seconds, the shortest time between touchdowns in Super Bowl history. Second Quarter Early in the second quarter, Kelly's 40-yard completion to Reed gave the Bills a first down at the Cowboys 4-yard line. But the Bills failed to score on three rushing attempts. On fourth down, Kelly's pass was intercepted in the end zone by safety Thomas Everett. On Buffalo's next drive, linebacker Ken Norton Jr. hit Kelly, re-injuring the quarterback's knee that he sprained earlier in the season, and playoff star Frank Reich took Kelly's place. Reich started out well, completing his first two passes, including a 38-yard completion to Reed to advance the ball to the Dallas 22-yard line, while running back Kenneth Davis was also a major contributor on the drive, rushing five times for 28 yards. However, Thomas was stopped for no gain on third down and 1 at the 4-yard line. Rather than attempt another fourth-down play near the goal line, the Bills settled for Steve Christie's 21-yard field goal to cut their deficit to 14–10 with 3:24 left in the half. The Cowboys then stormed down the field on their next possession, scoring in just five plays. After a pair of completions by Aikman for 17 yards, Smith's 38-yard run gave the Cowboys a first down inside the Bills 20-yard line as the half came to the 2-minute warning. Aikman then finished the drive with a 19-yard touchdown pass to wide receiver Michael Irvin, increasing his team's lead to 21–10. On the first play of the Bills' ensuing drive, Thomas caught a swing pass, but fumbled the ball while being tackled by Lett, and Jones recovered it at the Bills 18-yard line. Aikman then threw his second touchdown pass to Irvin to give the Cowboys a 28–10 lead (Irvin's two touchdown receptions made him the 7th player to do so in a Super Bowl. Irvin also became the second player, after Washington Redskins wide receiver Ricky Sanders in Super Bowl XXII, to catch two touchdowns in a single quarter; Furthermore, Irvin's two catches occurred in a span of 18 seconds, the fastest pair of touchdowns scored by a single player in Super Bowl history). With a little over a minute left in the first half, Buffalo barely avoided another turnover when running back Kenneth Davis recovered a fumbled handoff from Reich. But two plays later, defensive back Larry Brown intercepted Reich's pass at the Dallas 28-yard line to preserve the Cowboys' 18-point lead at halftime. Third Quarter Dallas then took the opening drive of the second half and advanced 77 yards in 11 plays, featuring a 25-yard reception by Irvin. However, on third down and 2, Aikman's pass to Novacek in the end zone was overthrown, forcing Dallas to settle for Lin Elliott's 20-yard field goal. This increased their lead to 31–10. Both teams were unable to score on each of their next possessions, but on the last play of the quarter, Reich threw a 40-yard touchdown pass to receiver Don Beebe. So despite five first-half turnovers, Buffalo was only trailing Dallas 31–17 going into the 4th quarter, and after their comeback from the 32-point deficit to the Houston Oilers, a 14-point comeback seemed perfectly within their capabilities. Fourth Quarter Early in the 4th quarter, Aikman threw a 45-yard touchdown pass to Alvin Harper. Then on the second play of the Bills' next possession, Everett intercepted a pass from Reich and returned it 22 yards to Buffalo's 8-yard line, setting up another touchdown three plays later on Smith's 10-yard run. After Buffalo received the ensuing kickoff, Reich fumbled a high snap while in a shotgun formation. Norton recovered the loose ball and returned it 9 yards for a touchdown, increasing the Cowboys' lead to 52–17. The 21 points by the Cowboys is the most for a team in the 4th quarter, matched by the Kansas City Chiefs in Super Bowl LIV. The Cowboys
In Living Color during the previous year, the NFL booked Michael Jackson to perform during the entire Super Bowl XXVII halftime show. Jackson's performance started the league's trend of signing top acts to appear during the Super Bowl to attract more viewers and interest. Background Arizona's Martin Luther King Day controversy Super Bowl XXVII was originally scheduled to be played at Sun Devil Stadium in Tempe, Arizona, the home of the Phoenix Cardinals. In 1983, U.S. president Ronald Reagan signed a bill creating Martin Luther King Jr. Day, a national holiday honoring African-American civil rights leader Martin Luther King Jr. In 1986, the first year that the holiday was observed, Arizona governor Bruce Babbitt had issued an executive order creating the holiday after the state legislature voted against it. Babbitt's successor, Evan Mecham, rescinded the order on the grounds that Babbitt did not have the authority to issue such an order and Arizona ceased to observe MLK Day for the time being. Mecham also made his displeasure for the holiday widely known, saying that King did not deserve a holiday and that black supporters of the law should have been more concerned about getting jobs. In response, Dr. King's widow Coretta Scott King and musician Stevie Wonder spearheaded a complete entertainment and convention boycott of Arizona, condemning Mecham for the rescinding of the law and accusing him of racism. Black Americans across the nation supported the boycott. Mecham was impeached and removed from office in 1988 on charges of obstruction of justice and financial misconduct. In 1989, the state legislature approved the holiday; however, Arizona's State Constitution required new holidays to be approved via initiatives to be approved by popular vote. On March 13, 1990, the NFL had its annual meeting in Orlando, Florida, and one of the items on its agenda was to determine a host city for Super Bowl XXVII. Among the cities being considered was Tempe, and Arizona civil rights activist Art Mobley was sent to the meeting to make sure that the Arizona ballot initiative was a talking point at the discussion. The vote was conducted and Tempe was awarded the game, but committee chairman and Philadelphia Eagles owner Norman Braman warned that if the MLK Day ballot initiative went against adoption of the holiday, the NFL would not hesitate to pull the game from Arizona and move it somewhere else. The fact that the majority of NFL players were African-American was a big factor into this threat, as many of them felt uncomfortable having the Super Bowl in a state that did not recognize a national holiday honoring Martin Luther King Jr. Polls showed that over 60% of the electorate approved of an MLK holiday in Arizona; however, the issue was confused since there were two competing initiatives and it was not clear that voters could vote "yes" for both. One initiative called for replacing President's Day with MLK Day while the other called for a new holiday on MLK's birthday. Both initiatives required a yes/no vote, and voters were confused if they could vote yes on both. Each initiative was defeated; however, a professor of statistics at Arizona State University demonstrated that all the yes/yes, yes/no, and no/yes votes totaled just over 60% of ballots cast, which corresponded with every poll taken prior to and after the vote. The NFL responded by making good on its threat to remove the Super Bowl from Tempe and held another vote in Kohala, Hawaii on March 19, 1991, with Pasadena chosen as the site for the first time since Super Bowl XXI was played there six years earlier. Arizona voters approved the MLK Day holiday in the 1992 elections when voters were simply asked to vote Yes or No on whether or not Arizona should recognize an MLK Day. The NFL responded by awarding Tempe Super Bowl XXX at their 1993 meeting. Buffalo Bills The Bills entered Super Bowl XXVII trying to avoid becoming the first team to lose three consecutive Super Bowls. Once again, the team was loaded with Pro Bowl players, boasting 12 Pro Bowl selections. During the regular season, Buffalo's no-huddle offense ranked as the number two offense in the league (6,114 yards) and ranked as the number one rushing offense (2,436 yards). Running back Thurman Thomas rushed for a career-high 1,487 yards and 9 touchdowns during the regular season, while also catching 58 passes for 626 yards and another 3 touchdowns. Running back Kenneth Davis rushed for 613 yards, caught 15 passes for 80 yards, and added another 251 yards returning kickoffs. Quarterback Jim Kelly had 269 out of 462 completions for 3,457 yards, 23 touchdowns, and 19 interceptions. Wide receiver Andre Reed led the team with 65 receptions for 913 yards and 3 touchdowns, receiver James Lofton contributed 51 receptions for 786 yards and 6 touchdowns, and wide receiver Don Beebe caught 33 passes for 554 and 2 touchdowns. Also, tight end Pete Metzelaars recorded 30 receptions for 298 yards and 6 touchdowns. The Bills also had one of the best offensive lines in the NFL, led by Pro Bowlers Will Wolford, Jim Ritcher, and Howard Ballard, along with center Kent Hull. On defense, the line was anchored by end Bruce Smith (14 sacks) and nose tackle Jeff Wright (6 sacks, 1 fumble recovery), who were both fully recovered after missing almost all of the previous season due to injuries. The Bills were once again led by their trio of linebackers Darryl Talley (77 tackles, 4 sacks), Shane Conlan (66 tackles, 2 sacks, 1 interception), and Pro Bowler Cornelius Bennett (52 tackles, 4 sacks, 3 fumble recoveries). The secondary was aided by the emergence of second-year safety Henry Jones, who tied for the NFL lead with 8 interceptions, returning them for 263 yards and 2 touchdowns. Safety Mark Kelso recorded 7 interceptions, while Pro Bowl cornerback Nate Odomes had 5. Defensive back Cliff Hicks led the Bills special teams unit, returning 29 punts for 289 yards (9th in the NFL). However, the Bills' quest for a third consecutive Super Bowl suffered a major setback when they lost the final game of the season to the Houston Oilers. The loss caused the Bills to finish with an 11–5 record, losing out on the AFC East title to the Miami Dolphins based on tie-breaking rules, making them a wild card team for the playoffs. Thus, even if they won their first playoff game, they would have to win two on the road to make the Super Bowl. To make matters worse, Kelly also suffered strained knee ligaments during the loss to the Oilers and had to miss the first two playoff games. Furthermore, their first opponent in the playoffs ended up being the Oilers. A headline on a Buffalo newspaper stated the Bills' situation: "Bills Begin The Longest Road Today." The Resurrection of the Dallas Cowboys Super Bowl XXVII saw the resurrection of the Dallas Cowboys. From 1966 to 1985, "America's Team" made the playoffs 18 out of 20 seasons under coach Tom Landry, including five Super Bowl appearances and two Super Bowl wins. But in the late 1980s, the team suffered several losing seasons, including a 3–13 regular season record in 1988. Then Jerry Jones bought the team on February 25, 1989, and in a controversial move, promptly fired Landry, the only coach Dallas had in 29 years as an NFL franchise. Jones replaced Landry with University of Miami head coach Jimmy Johnson, his former University of Arkansas teammate. With Johnson as head coach and Jones as his own general manager, people in the league thought they could take advantage of them. Both lacked NFL experience, and instead of hiring coaching assistants with experience in the league, they hired ones that worked with Johnson in Miami. Compounding this issue was the departure of the two men that brought previous success to Dallas: founding president Tex Schramm and famed personnel man Gil Brandt. The Cowboys' 3–13 record in 1988 did have a silver lining; it was the worst in the league and thus gave the Cowboys the first pick in the 1989 NFL Draft. Jones and Johnson picked UCLA quarterback Troy Aikman, who would eventually go on to be selected to the Pro Bowl six times in his NFL career. Meanwhile, Jones and Johnson immediately started to shuffle the team's depth chart to find players talented enough to build a winning team. Linebacker Ken Norton Jr., one of the few holdovers from Landry's last losing seasons, would later claim that he would often go into a player huddle and meet new teammates for the first time. Then, Jones and Johnson made a move midway through the 1989 season that shocked many in the league: they traded their only Pro Bowl player, running back Herschel Walker, to the Minnesota Vikings for five veteran players and eight draft choices. Although the Cowboys finished the 1989 season with a 1–15 record, their worst record since the team's inception, the foundations for the Cowboys' return to glory had been set. Although Dallas had the league's worst record, they traded away the first pick in the 1990 draft so they could get backup quarterback Steve Walsh in the supplemental draft. Then with the 17th pick, they drafted running back Emmitt Smith, and the trifecta of Aikman, Smith, and wide receiver Michael Irvin (who was drafted by Landry in 1988) was now set. Dallas also signed veteran tight end Jay Novacek away from Phoenix, who went on to make the Pro Bowl in five of his six years with the Cowboys. Johnson also started to rebuild the team by drafting players who were fast, quick, and athletic. The defense was designed to become aggressive, while the offense was made to be a conservative one that did not make mistakes. In 1990, the Cowboys finished 7–9, but Smith won the NFL Rookie of the Year Award and Johnson was selected as NFL Coach of the Year. In 1991, the Cowboys finished with an 11–5 record and made the playoffs for the first time in six years. In 1992, the Cowboys finished with a 13–3 regular season record, the second-best in the league and the best in team history. Although not a single one of their defensive players made the Pro Bowl, Dallas was ranked as the number one defense in the league (allowing only 4,278 yards), fourth in fewest points allowed (243), and ranked as the number one defense against the run (allowing only 1,244 yards), bringing back many fans' memories of the Doomsday Defenses of old. The defensive line was anchored by Jim Jeffcoat (10.5 sacks) and Tony Tolbert (8.5 sacks), along with future Hall of Fame pass rusher Charles Haley (six sacks), who had led the NFC in sacks in 1990 and had been acquired by Dallas in a trade with San Francisco. While Norton and Defensive Rookie of the Year Robert Jones anchored the linebacking corps, the team's solid secondary was led by defensive backs Kenneth Gant and James Washington, who both recorded 3 interceptions each, and rookie cornerback Kevin Smith. The last member of the secondary was defensive back Issiac Holt who had been acquired as part of the trade with the Vikings for Walker. Dallas' offense finished second in the league in scoring with 409 points. Aikman had the best season of his career, completing 302 out of 473 passes (ranking second and fourth in the league) for 3,445 yards (fourth in the league) and 23 touchdowns (third in the league) while throwing only 14 interceptions, producing a quarterback rating of 89.6 (third best in the league). Smith led the NFL in rushing for the second year in a row with 1,713 yards and scoring 18 rushing touchdowns, while also catching 59 passes for 335 yards and a touchdown. Fullback Daryl Johnston was also an asset in the backfield, providing Smith with effective blocking and hauling in 32 receptions. Irvin, the team's emotional lightning rod, caught 78 passes for 1,396 yards and 7 touchdowns. Other contributors on the offense included wide receiver Alvin Harper (35 receptions for 562 yards and 4 touchdowns) and Novacek (68 receptions for 630 yards and 6 touchdowns). Dallas' dominant offensive line, later dubbed "The Great Wall of Dallas", was led by Pro Bowlers Nate Newton and Mark Stepnoski, along with 10-year veteran Mark Tuinei, free agent acquisition John Gesek and the youngster Erik Williams. With all this talent, the Cowboys would be considered by many to be
Wynonna Judd. The show's finale included a special appearance by Naomi Judd, who joined Wynonna in performing The Judds' single "Love Can Build a Bridge", to which everyone eventually joined in. This was the first Super Bowl halftime show in which the main stadium lights were turned off for the performance. The show included dancers with yard-long light sticks. Game summary Though the Bills had a lead at halftime, Super Bowl XXVIII would have an identical outcome to the three preceding Super Bowls and end with a Buffalo loss. First Quarter Dallas kick returner Kevin Williams returned the opening kickoff 50 yards to the Buffalo 48-yard line. The Cowboys began the drive with quarterback Troy Aikman's 20-yard pass to wide receiver Michael Irvin. But on third down and six from 24-yard line, Aikman threw an incomplete pass, and the Cowboys had to settle for kicker Eddie Murray's 41-yard field goal. The Bills then responded with a 7-play, 43-yard scoring drive. Quarterback Jim Kelly's 24-yard pass to running back Thurman Thomas advanced the ball across the Dallas 40-yard line. After a 3-yard run by running back Kenneth Davis, however, Kelly threw two straight incompletions. The Bills then tied the game, 3–3, with Steve Christie's 54-yard field goal, the longest field goal in Super Bowl history. Buffalo then forced Dallas to punt, but on the first play of the Bills' ensuing possession, Dallas safety James Washington forced Thomas to fumble, and safety Darren Woodson recovered the ball at midfield. Aided by wide receiver Alvin Harper's 24-yard reception, the Cowboys drove to the Bills' 7-yard line, but once again were forced to settle for a field goal; a 24-yarder by Murray to regain the lead, 6–3. After receiving Murray's kickoff, the Bills could only reach their own 41-yard line before being forced to punt. However, Dallas cornerback Dave Thomas was penalized for running into punter Chris Mohr on the play, giving Buffalo a first down. Second Quarter Taking advantage of their second chance, the Bills marched down the field with runs by Thomas and short completions by Kelly. Thomas eventually finished off the 17-play, 80-yard drive with a 4-yard touchdown run, giving the Bills a 10–6 lead early in the 2nd quarter. Dallas started out their ensuing drive with a 15-yard reception by Irvin and a 13-yard run by running back Emmitt Smith to get to midfield. They were eventually forced to punt, but Cowboys defensive end Matt Vanderbeek downed John Jett's 43-yard punt at the Bills' 1-yard line. A 19-yard completion from Kelly to receiver Andre Reed moved Buffalo out from the shadow of their own end zone, and they eventually reached the Cowboys 46-yard line, but they too were forced to punt. However, Mohr matched Jett's feat with a 45-yard punt that was downed at the Dallas 1-yard line by Buffalo special teams expert Steve Tasker. As the Bills had done, Dallas managed to get out of their own territory and advance to the Buffalo 47-yard line. However, Bills defensive back Nate Odomes intercepted a pass intended for Irvin, and returned it 41 yards to the Dallas 47-yard line with 1:03 left in the half. After a 1-yard run by Thomas, Kelly completed a pair of passes to Thomas and Reed for gains of 12 and 22 yards, respectively, to move the ball to the Cowboys 12-yard line. But the Dallas defense tightened up on the next three plays, as Kelly threw a 3-yard completion to Thomas, an incomplete pass, and a completion to Thomas for no gain. Christie then kicked his second field goal as time expired in the half, increasing Buffalo's lead to 13–6. Third Quarter Buffalo's command over the game proved short-lived, as the Cowboys dominated the second half. After 45 seconds had elapsed from the third quarter, Leon Lett forced a Thomas fumble, which Washington returned 46 yards for a touchdown to tie the game, 13-13. Bills receiver Russell Copeland then returned the ensuing kickoff 22 yards to the Buffalo 37-yard line, but on third down, Cowboys linemen Jim Jeffcoat and Charles Haley shared a 13-yard sack on Kelly to force the Bills to punt. The Cowboys then scored on an 8-play, 64-yard drive in which Smith carried the ball on seven of the eight plays, gaining all but three of the 64 yards himself, and finished the drive with a 15-yard touchdown run to give Dallas a 20–13 lead. Fourth Quarter Meanwhile, Dallas' defense continued to stop Buffalo's offense throughout the second half. Washington intercepted a pass from Kelly on the first play of the 4th quarter and returned it 12 yards to the Bills 34-yard line. A false start penalty on the next play moved the ball back to the 39, but on the next three plays, Smith ran twice for 10 yards and caught a screen pass for 9. Aikman then completed a 16-yard pass to Harper, giving Dallas a first and goal at the 6-yard line. The Bills managed to prevent a touchdown on the next three plays, but on fourth and goal from the 1-yard line, Smith ran into the end zone for the score, giving the Cowboys a 27–13 lead. The Bills started their ensuing drive from their own 22-yard line and managed to reach their own 36. Cowboy defensive lineman Jimmie Jones made two key plays, however; a second-down tackle on Thomas for a one-yard loss and a 13-yard sack on third down to push the ball back to the 22-yard line and force Buffalo to punt; a poor, 29-yard kick which the Cowboys recovered at their own 49-yard line. Dallas then put the game away with a 9-play, 49-yard scoring drive that took 4:10 off the clock. On the sixth play of the drive, Aikman completed a 35-yard pass to Harper to the Bills 1-yard line. After a false start penalty pushed them back to the 6-yard line, the Cowboys ran the ball on their next three plays to force Buffalo to use up all of their timeouts. Murray then kicked a 20-yard field goal with 2:50 left in the game, increasing the Cowboys' lead to 30–13, and effectively ending any chance of a Bills comeback. "This one is the worst," Reed said after the game, referring to the Bills' streak of four consecutive Super Bowl losses. "We should have won. Then they come up with 24 unanswered points. That last fumble was once in a million. These things always happen to the Bills. It rips the heart out of you." "Dallas didn't wear us down in the second half," added Thomas. "I fumbled. I cost us the game." However, center Kent Hull managed to find some consolation. "In the immediate future we'll be thought of as losers," he said. "But one day down the road, when I'm no longer playing, they'll say, 'Wow, they won four straight AFC championships. They must have been good.'" For the Cowboys, Troy Aikman completed 19 out of 27 for 207 yards with 1 interception, while Alvin Harper was the team's top receiver with three catches for 75 yards. Emmitt Smith, still suffering the effects of a shoulder injury during the regular-season finale, became just the second player in Super Bowl history to rush for 100 yards in back-to-back Super Bowls (the other being Larry Csonka, who did it in Super Bowls VII and VIII). He also became the fourth player to rush for touchdowns in back-to-back Super Bowls (joining Franco Harris, John Riggins and Thomas). Smith also became the first player to lead the league in rushing yards, win the NFL Most Valuable Player Award, and win Super Bowl MVP all in the same season. He was also the fourth player, after Bart Starr (1966), Terry Bradshaw (1978), and Joe Montana (1989) to win both the NFL MVP and Super Bowl MVP during the same season. Defensively, James Washington, who began as the nickel-back to counter Buffalo's "no-huddle" and frequent use of three wide receivers, had a phenomenal game with his 46-yard fumble return touchdown, an interception, forcing a Thurman Thomas fumble that Darren Woodson recovered, and collecting 11 tackles. Washington had only started in one game for the Cowboys during the season, but finished this one just a few votes short of earning the MVP award. For the Bills, wide receiver Andre Reed finished the game with 6 receptions for 75 yards to lead Buffalo, with Don Beebe catching 6 passes for 60 yards and returning 2 kickoffs for 63 yards. Thomas was limited to just 37 rushing yards, but he also caught 7 passes for 52 yards (Thomas became the first player in Super Bowl history to score touchdowns in four Super Bowls: he scored one touchdown in each of the Bills' four straight appearances, XXV-XXVIII). Kenneth Davis was the Bills' top rusher with 38 yards. Kelly finished the game completing 31 of 50 passes for 260 yards and 1 interception. His 31 completions was a then-Super Bowl record. Kelly became the only player ever to throw 50 passes in two Super Bowls. In addition to his 50 passes in this game, he threw a Super Bowl-record 58 passes in Super Bowl XXVI. Box score Final statistics Sources: NFL.com Super Bowl XXVIII, Super Bowl XXVIII Play Finder Dal, Super Bowl XXVIII Play Finder Buf Statistical comparison Individual leaders 1Completions/attempts 2Carries 3Long gain 4Receptions 5Times targeted Records Set The following records were set in Super Bowl XXVIII, according to the official NFL.com boxscore and the ProFootball reference.com game summary. Some records have to meet NFL minimum number of attempts to be recognized. The minimums are
Giants, with the Cowboys desperately trying to clinch the NFC East title and a first-round bye in the playoffs, Aikman showed he was at full health, completing 24 of 30 passes with no interceptions, while for Smith it was his career signature game. He suffered a first-degree separation in his right shoulder during the first half, but still finished with 229 total yards (168 yards rushing, 10 passes caught for 61 yards, and the team's only touchdown) in a 16–13 overtime win which enabled Dallas to finish with an NFC-best 12–4 record. Though not as dynamic as the previous year, Dallas' offense remained incredibly efficient, led by Aikman, who finished the regular season completing 271 out of 392 passes for 3,100 yards, 15 touchdowns, and six interceptions. Smith recorded 1,486 rushing yards and nine touchdowns, while catching 57 passes for 414 yards and another touchdown, earning him his third consecutive NFL rushing title and the NFL Most Valuable Player Award. Fullback Daryl Johnston was also a reliable backfield threat, scoring four touchdowns and contributing a career-high 50 receptions for 371 yards. Pro Bowler Michael Irvin was once again the team's leading wide receiver, catching 88 passes for 1,330 yards and seven touchdowns. Wide receiver Alvin Harper caught 36 passes for 777 yards and five touchdowns, while Pro Bowl tight end Jay Novacek had 44 receptions for 445 yards and one touchdown. Pro Bowlers Mark Stepnoski, Erik Williams, and Nate Newton anchored the offensive line. On special teams, rookie receiver Kevin Williams ranked seventh in the NFL with 381 yards on 36 punt returns, while also gaining 689 kickoff return yards and catching 20 passes for 151 yards. The Cowboys' defense was anchored by such Pro Bowlers as lineman Russell Maryland, and Ken Norton Jr., and defensive backs Thomas Everett and Kevin Smith, who intercepted six passes during the season. Defensive end Tony Tolbert led the team with 7.5 sacks, while Charles Haley added 4 and Chad Hennings had 5.5. Buffalo Bills The Bills finished at the top of the AFC by clinching the conference's best regular season record, winning 7 of their first 8 games and finished the season at 12–4. Quarterback Jim Kelly once again led Buffalo's no-huddle offense by passing for 288 out of 470 regular season completions for 3,382 yards, 18 touchdowns, with 18 interceptions. Kelly was joining an elite class by starting his fourth Super Bowl. The only other quarterbacks to start four were Roger Staubach, Terry Bradshaw and Joe Montana, with John Elway, Tom Brady and Peyton Manning later doing so. Kelly is the only one to start four consecutive Super Bowl games. Running back Thurman Thomas led the AFC with 1,315 rushing yards and six touchdowns, while also catching 48 passes for 387 yards. Running back Kenneth Davis rushed for 391 yards and six touchdowns, while also recording 21 receptions for 95 yards. Pro Bowl wide receiver Andre Reed caught 52 receptions for a team-leading 854 yards and six touchdowns; wide receiver Bill Brooks had 60 receptions for 714 yards and five touchdowns; and wide receiver Don Beebe recorded 31 receptions for 504 yards and three touchdowns. Also, tight end Pete Metzelaars led the team with 68 receptions (a higher amount than his last four seasons combined) for 609 yards and four touchdowns. Pro Bowl offensive lineman Howard Ballard anchored the line. Buffalo's defense was the team's weakness, ranking 27th (second-to-last) in the league, giving up 5,554 total yards. The defense did have a few good contributors, such as Hall of Fame lineman Bruce Smith (14 sacks, one fumble recovery), Pro Bowl linebacker Cornelius Bennett (five sacks, two fumble recoveries), linebacker Darryl Talley (101 tackles, two sacks, two fumble recoveries, three interceptions) and cornerback Nate Odomes, who led the NFL with nine interceptions and one fumble recovery. Linebacker Marvcus Patton, who had moved up to the starting lineup to replace departed Pro Bowler Shane Conlan, was also an impact player, intercepting two passes and recovering three fumbles. Playoffs In the NFC, Dallas' first opponent in the playoffs was the Green Bay Packers, who were coming off a thrilling 28–24 win over the Detroit Lions in the Wild Card Game, in which quarterback Brett Favre had thrown the winning touchdown pass to Sterling Sharpe with only 55 seconds left in the game. In this game, the Packers scored first with a field goal, but Dallas stormed back with 17 consecutive points in the second quarter. First, Aikman threw a 6-yard touchdown pass to Harper. Then with time running out the period, Dallas scored again on an Eddie Murray field goal. Green Bay then fumbled the ensuing kickoff, allowing the Cowboys to score again with Aikman's 6-yard pass to Novacek. The Cowboys went on to stave off an attempted Packers comeback in the second half and win the game, 27–17. Aikman finished the game with 28 of 37 completions for 302 yards and 3 touchdowns, with 2 interceptions. Irvin recorded 9 catches for 126 yards and 2 touchdowns. One week later, Dallas faced the San Francisco 49ers in the NFC Championship Game for the second year in a row in what was, at the time, the last NFL game to air on CBS. The 49ers had the NFL's highest scoring offense with 473 points, 97 more than the runner-up Cowboys. The last time the two teams played for the NFC title, Dallas won when Aikman thwarted an attempted 49ers comeback with a touchdown drive late in the fourth quarter. But this time, the game was extremely one-sided. The Cowboys scored touchdowns on four of their five first-half possessions. By the end of the half, Dallas had a commanding 28–7 lead. Aikman completed 14 of 18 passes for 177 yards and three touchdowns with no interceptions, while also rushing for 25 yards, but was knocked out of the game with a concussion in the third quarter. Then San Francisco scored a touchdown, making the score 28–14 with plenty of time left for a comeback. However, their hopes were soon dashed as backup quarterback Bernie Kosar, who had already played in three conference championship games and was unable to advance to the Super Bowl each time, led the Cowboys 82 yards to go up 35–14 on his 42-yard touchdown pass to Alvin Harper. Murray then put the finishing touches on San Francisco with a 50-yard field goal, while all the 49ers could do was score a useless touchdown in "garbage time" to make the final score 38–21. Smith rushed for 88 yards, caught seven passes for 85 yards, and scored two touchdowns. Meanwhile, the Dallas defense held 49ers running back Ricky Watters, who rushed for over 100 yards and scored 5 touchdowns in the divisional round, to just 37 yards on 12 carries. Buffalo's first opponent was the Los Angeles Raiders, led by quarterback Jeff Hostetler, who had led the New York Giants to victory over the Bills in Super Bowl XXV three years earlier. The Raiders had also edged out the Bills 25–24 in week 14 of the regular season. In this game, the Raiders built up a 17–13 halftime lead, but Buffalo stormed back with 16 second half points. First, they scored on Kelly's 25-yard touchdown pass to Brooks. Then on their next drive, kicker Steve Christie kicked a 29-yard field goal to give the Bills a 23–17 lead. Los Angeles managed to respond with an 86-yard scoring strike from Hostetler to receiver Tim Brown, but Buffalo stormed right back with Brooks' 22-yard touchdown reception in the fourth quarter. The Bills ended up winning the game 29–23, having scored 16 points in a span of 6:18 in the second half. Kelly threw for 287 yards and two touchdowns with no interceptions. One week later, the Bills took on the Kansas City Chiefs for the AFC title. Led by 4-time Super Bowl winning quarterback Joe Montana, Kansas City had defeated the Bills 23-7 during the regular season, and were coming off thrilling narrow wins against the Pittsburgh Steelers and Houston Oilers in the playoffs. In the days leading up to the game, many sports writers and fans were eager for the possibility of a Super Bowl in which Montana took on the San Francisco 49ers led by Steve Young, who had replaced Montana as their starting quarterback, or the Dallas Cowboys, who had displaced the 49ers to become the most dominant team in the NFC. However, Buffalo quickly crushed this prospect, burying Kansas City with a dominating 30–13 victory in the AFC Championship Game. Thomas rushed for 186 yards and three touchdowns, and caught two passes for 22 yards. On defense, the Bills limited Montana to just 9 of 23 completions for 125 yards and no touchdowns, with one interception. In addition, Kansas City's future Hall of Fame running back, Marcus Allen, was held to just 50 rushing yards on 18 carries. Both Dallas and Buffalo were the top seeded teams in their respective conferences, earning home field advantage throughout the playoffs. Until the New Orleans Saints and Indianapolis Colts qualified for Super Bowl XLIV, this was the last time that both number one seeds advanced to the Super Bowl. Pregame news Many sportswriters and fans were a bit upset that the Bills advanced to their fourth consecutive Super Bowl. They were distressed with Buffalo having lost the three previous Super Bowl games and did not want to see them lose again. Some Bills fans appeared to be defensive about their team's presence in the game; during Buffalo's victory in the AFC Championship Game a week earlier, one fan displayed a banner defiantly proclaiming, "We're back; deal with it, America!" Therefore, the Super Bowl hype was more focused onto Cowboys owner/general manager Jerry Jones and head coach Jimmy Johnson. Although the two rebuilt the team with young talent that eventually won the previous year's Super Bowl, both men had huge egos that conflicted with each other. Both had different ideas on the future personnel plans for the Cowboys, and both wanted equal credit for the team's recent success (eventually, Johnson would leave the team after the season). This was the fourth rematch in Super Bowl history, and the first time that both teams met in consecutive years. Both the Bills, as the designated home team in the AFC/NFC annual rotation, and the Cowboys wore the same uniforms as the previous year, with the Bills donning the home blue jersey/white pants set and the Cowboys wearing the white jersey/silver pants set. Before the game, the Super Bowl became the target of protests over the Georgia state flag, which at the time included the Confederate battle flag and was seen as offensive by the African-American community. Several high-profile Georgia politicians got involved, including state senator Ralph D. Abernathy. The NFL tried to duck the issue, with spokesman Greg Aiello stating, "We're not a political-advocacy group. It's not our role to get involved in political issues that have nothing to do with the Super Bowl." However, the NFL had cancelled plans to hold the Super Bowl in Phoenix three years earlier after a referendum to make Martin Luther King Jr. Day an Arizona state holiday was defeated. Ultimately, the flag was not flown inside the Georgia Dome, but was mounted on a pole outside the stadium. Vice President Al Gore attended the game. Broadcasting The game was broadcast in the United States by NBC, with play-by-play announcer Dick Enberg and color commentator Bob Trumpy. Jim Lampley hosted all the events with the help of analysts Mike Ditka and Joe Gibbs and sideline reporters O. J. Simpson (on Buffalo's sideline) and Will McDonough (on Dallas' sideline). While Lampley was busy covering the trophy presentation, Bob Costas (who also interviewed Dallas head coach Jimmy Johnson and Dallas owner/general manager Jerry Jones together prior to the game) covered for Lampley at the host and analysts' desk (and signed off the broadcast for NBC). This would be Simpson's last NFL on NBC appearance before being charged with murder later in 1994. It was the first (and, to date, only) time a single network had held consecutive Super Bowls outright. The five-year NFL contract signed in 1989 had a provision where the last Super Bowl in the contract (XXVIII) would not be rotated, but would go to the highest bidder. NBC, which had held XXVII (according to the original rotation, NBC would have had XXVI and CBS XXVII, but the NFL allowed the networks to switch the two games in order to
of the Forbidden Eye. The show also had performances by singers Tony Bennett and Patti LaBelle, jazz trumpeter Arturo Sandoval, and the Miami Sound Machine. The show ended with everybody singing "Can You Feel The Love Tonight", the song featured in Disney's (which later acquired ABC) 1994 film The Lion King. The dancers on the field were members of the Coral Gables Senior High marching band. This halftime show also had a connection with past ABC programming: the first two Indiana Jones films had their broadcast premieres on ABC, and the network aired a TV series, The Young Indiana Jones Chronicles, from 1992 to 1993 (actually serving as the lead-in to Monday Night Football at one point). Radio The game was broadcast on nationwide radio by CBS with play-by-play announcer Jack Buck and color commentator Hank Stram. Jim Hunter hosted all of the events. Locally, Super Bowl XXIX was broadcast by XTRA-AM in San Diego with Lee "Hacksaw" Hamilton and Jim Laslavic and by KGO-AM in San Francisco with Joe Starkey and Wayne Walker. Game summary First quarter On the opening kickoff, a 15-yard face-mask penalty on Chargers linebacker Doug Miller gave San Francisco the ball at their own 41-yard line. Then on the third play of the drive, 49ers quarterback Steve Young threw a 44-yard touchdown pass to Jerry Rice. The 49ers became the second team to take the opening kickoff and score a touchdown on that first drive (the first being the Miami Dolphins in Super Bowl VIII), and also set a new Super Bowl record for the fastest touchdown (later broken by the Chicago Bears' Devin Hester in Super Bowl XLI). After forcing the Chargers to punt, the 49ers advanced 79 yards in four plays, with Young rushing for 21 yards and then throwing a 51-yard touchdown pass to running back Ricky Watters to give San Francisco a 14–0 lead less than 5 minutes into the 1st quarter, and set a Super Bowl record for the fastest second touchdown scored by a team. The Chargers responded on their ensuing possession, marching 78 yards in 13 plays and taking more than 7 minutes off the clock. Running back Natrone Means finished the drive with a 1-yard touchdown run to cut San Diego's deficit to 14–7. However, the 49ers quickly countered after the ensuing kickoff, driving 70 yards in 10 plays. Rice started off the drive with a 19-yard reception and 10-yard run on a reverse play, while Young added a 12-yard completion to John Taylor and a 15-yard scramble. Second quarter Young eventually finished the drive with his third touchdown pass, this one from five yards out to fullback William Floyd five plays into the 2nd quarter. Later in the quarter, Chargers punter Bryan Wagner's 40-yard punt from his own 9-yard line gave the 49ers the ball at the San Diego 49. San Francisco then marched on a 9-play drive to score on Young's fourth touchdown pass, an 8-yard toss to Watters with 4:44 left in the half, making the score 28–7. The Chargers then took the ensuing kickoff and drove 62 yards from their own 25-yard line to the San Francisco 13, featuring a 33-yard gain on a screen pass from Stan Humphries to Eric Bieniemy, San Diego's longest play of the game. But after three incomplete passes, one of which was a perfectly thrown Humphries pass that Mark Seay dropped in the end zone, they were forced to settle for kicker John Carney's 31-yard field goal, cutting their deficit to 28–10. A 33-yard completion from Young to tight end Brent Jones helped the 49ers reach the San Diego 29-yard line on their next possession, but Young's third-down pass to Jones was overthrown, and rookie kicker Doug Brien missed a 47-yard field goal attempt. The Chargers then drove to their own 46-yard line, but 49ers defensive back Eric Davis intercepted Humphries' third-down pass in the end zone with 10 seconds left in the half, and the score remained 28–10 at halftime. The Chargers' 18-point halftime deficit ended up being the closest scoring margin they would reach for the rest of the game. Third quarter Leading 28–10 in the 3rd quarter, the 49ers added 14 more points. The Chargers were forced to punt after three plays on the opening drive of the second half, and Dexter Carter returned the ball 11 yards to his own 38-yard line. Young subsequently completed three consecutive passes for 53 yards on a 7-play, 62-yard drive that ended with Watters' third touchdown on a 9-yard run. After a 33-yard kickoff return by Andre Coleman, the Chargers advanced to the San Francisco 33-yard line, but they turned the ball over on downs when Humphries' fourth-down pass was broken up by Davis. After the turnover, Young led his team on a 10-play, 67-yard drive, aided by a 22-yard pass interference penalty against Darrien Gordon on third and 14, to score on his fifth touchdown pass, a 15-yard completion to Rice. The Chargers' only highlight of the 3rd quarter was when Coleman returned the ensuing kickoff 98 yards for a touchdown. Then, wide receiver Mark Seay caught a pass for a successful two-point conversion (the first in Super Bowl history; the rule had been adopted by the NFL at the start of the season), but it only cut the deficit to 42–18. The 49ers were forced to punt on their next drive, but San Diego ended up turning the ball over on downs when Means was tackled for a 4-yard loss on a fourth down and 1 from their own 37-yard line. Fourth quarter Six plays later, Young threw his record-setting sixth touchdown pass to Rice with 13:49 remaining in the game to make the score 49–18. The Chargers responded with a 13-play, 59-yard drive to get to the San Francisco 7-yard line, but 49ers defensive back Deion Sanders intercepted backup quarterback Gale Gilbert's fourth-down pass in the end zone. After two San Francisco punts and another interception (defensive back Toi Cook picked off a pass from Humphries on the 49ers 28), the Chargers scored the final points of the game with a 30-yard touchdown pass from Humphries to wide receiver Tony Martin and another two-point conversion to make the score 49–26. San Francisco recovered the ensuing onside kick and ran time off the clock before punting to the San Diego 7. San Diego drove to the San Francisco 35 before time ran out, and the game ended in a 49ers victory. At the end of the game, Young showed his jubilation at finally being able to win "the big one" while accepting the MVP trophy. "There were times when this was hard! But this is the greatest feeling in the world! No one — no one! — can ever take this away from us! No one, ever! It's ours!" Young and his teammates were equally enthusiastic in the locker room afterwards. "We're part of history," said guard Jesse Sapolu. "This is probably the best offense people will see in their lifetimes." "Is this great or what?" Young added. "I mean, I haven't thrown six touchdown passes in a game in my life. Then I throw six in the Super Bowl! Unbelievable." Rice caught 10 passes for 149 yards and 3 touchdowns, tying his own record for most touchdown receptions in a Super Bowl, and becoming the first player ever to do it twice. He also recorded 10 rushing yards. Watters rushed for 47 yards and a touchdown, while also catching 3 passes for 61 yards and two touchdowns. Means, who rushed for 1,350 yards in the regular season, was held to just 33 yards in the game. Humphries finished 24 out of 49 for 275 yards and one touchdown, with two interceptions. Seay was the Chargers' top receiver with 7 receptions for 75 yards, while Ronnie Harmon added 8 catches for 68 yards. Defensive end Raylee Johnson had two sacks. Coleman's 8 kickoff returns for 244 yards and a touchdown set the following Super Bowl records: most kickoff returns in a Super Bowl, most kickoff return yards in a Super Bowl, and most combined net yards gained in a Super Bowl. This was the first Super Bowl to have two players each score three touchdowns. Rice matched his Super Bowl XXIV performance with his three touchdown catches. Watters also had three touchdowns, matching Roger Craig's three touchdowns (two receiving and one rushing) in Super Bowl XIX. Watters also became the second running back to catch two touchdown passes in a game, matching Craig. Ken Norton Jr. became the first player to win three straight Super Bowls, although as a member of two teams. Norton was a member of the Cowboys teams who won Super Bowls XXVII and XXVIII. Deion Sanders became the first player to play in both a Super Bowl and a World Series, playing in the 1992 World Series with the Atlanta Braves. Chargers quarterback Gale Gilbert became the first player to be a member of five straight Super Bowl teams. Gilbert was a member of the Bills who played in four straight Super Bowls (XXV–XXVIII). Gilbert was on the losing team in all five Super Bowl games. The 49ers' spectacular performance led to their offensive coordinator, Mike Shanahan, and defensive coordinator, Ray Rhodes, earning head coaching positions in 1995 for the Denver Broncos and the Philadelphia Eagles, respectively. Bobby Ross became the second coach, after Jimmy Johnson in Super Bowl XXVII, to lead a team to a college football national championship (Georgia Tech in 1990) and a Super Bowl. One year later, Barry Switzer would join Johnson as the only head coaches to win championships in both NCAA Division I-A (now FBS) college football and the NFL. Box score Final statistics Sources: NFL.com Super Bowl XXIX, Super Bowl XXIX Play Finder SF, Super Bowl XXIX Play Finder SD, USA Today Super Bowl XXIX Play by Play Statistical comparison Individual statistics 1Completions/attempts 2Carries 3Longest gain 4Receptions 5Times targeted Records Set The following records were set in Super Bowl XXIX, according to the official NFL.com boxscore and the Pro-Football-Reference.com game summary. Some records have to meet NFL minimum number of attempts to be recognized. The minimums are shown (in parenthesis). † This category includes rushing, receiving, interception returns, punt returns, kickoff returns, and fumble returns. Turnovers are defined as the number of times losing the ball on interceptions and fumbles. Starting lineups Source: Officials Referee: Jerry Markbreit #9 fourth Super Bowl (XVII, XXI, XXVI) Umpire: Ron Botchan #110 third Super Bowl (XX, XXVII) Head Linesman: Ron Phares #10 second Super Bowl (XVII) Line Judge: Ron Baynes #56 first Super Bowl Back Judge: Tim Millis #80 first Super Bowl Side Judge: Tom Fincken #47 first Super Bowl Field Judge: Jack Vaughan #93 third Super Bowl (XX, XXV) Alternate Referee: Gerald Austin #34 (side judge for XXIV; later referee for XXXI and XXXV) Alternate Umpire: Rex Stuart #103 Jerry Markbreit became the first official to serve as referee in four Super Bowls, a record that still stands. Aftermath As of the 2020 season, this is the only Super Bowl played between teams based in the same state. As for the Chargers, the implications of their defeat were worse in hindsight. This remains the only Super Bowl the Chargers have ever played in. Including the pre AFL-NFL merger, it is the 3rd championship game that the Chargers have lost. The AFL Championship in 1963 remains to this day as the only major sports championship the city of San Diego has won (and also the longest championship drought for any city that has at least two major sports franchises), so even though they were heavy underdogs, the loss still had a great significance. The Chargers would also not win another playoff game since then until the 2007 season, when they reached the AFC Championship, but lost to the then 18-0 New England Patriots, 21–12. Super Bowl XXIX would be their only appearance while playing in San Diego, before they moved to Los Angeles following the 2016 season. Notable deaths from 1994 Chargers team In addition, eight players from the 1994 Chargers Super Bowl team have died prior to reaching age 45. They include: David Griggs: died in a traffic collision in 1995 at age 28 Rodney Culver: died in the crash of ValuJet Flight 592 in 1996 at age 26 Doug Miller: killed by lightning strikes in 1998 at age 28 Chris Mims: died of heart attack in 2008 at age 38 Curtis Whitley: died from a drug overdose in 2008 at age 39 Lewis Bush: died from cardiac arrest in 2011 at age 42 Shawn Lee: died in 2011 from cardiac arrest at age 44 Junior Seau: committed suicide with a firearm in 2012 at age 43 Notes References Super Bowl 029 San Francisco 49ers postseason San Diego Chargers postseason 1994 National Football League season 1995 in American football 1995 in sports in
York Jets quarterback Boomer Esiason. This would be the final Super Bowl hosted by Musburger, as all subsequent Super Bowls on ABC were hosted by ESPN's Chris Berman following the Disney purchase of ABC (which included ESPN), and the subsequent integration of ESPN and ABC Sports (now ESPN on ABC). Also, the trophy presentation for this game was the last to be held in the winning team's locker room, as all subsequent Vince Lombardi Trophy presentations would be held on the field. This was the last Super Bowl broadcast by the Monday Night Football broadcast team of Michaels, Gifford and Dierdorf. This was the broadcast team for Monday Night Football from 1987 to 1997. They also worked ABC's coverage of Super Bowls XXII and XXV. This would also be the last Super Bowl aired on ABC until the 1999 season (when Al Michaels called the game with Boomer Esiason). On the Tuesday prior to the Super Bowl, the ABC sitcom Full House aired an episode called "Super Bowl Fun Day" involving two main characters actually at the game. (Full House was set in San Francisco, and this was the only time during the show's run that the 49ers advanced to a Super Bowl aired on ABC.) A week earlier, the Seinfeld episode "The Label Maker" involved Jerry trying to give away his tickets to the game. He eventually decided to go, but unfortunately was stuck sitting next to Newman. Two days after the Super Bowl, the game was the main plot feature of an episode of the ABC sitcom Home Improvement, "Super Bowl Fever", in which Jill was sick with the flu while Tim and his buddies tried to watch the game. Thirty-second television advertisements for Super Bowl XXIX averaged $1.15 million in costs, the first time that Super Bowl ads exceeded the $1 million mark. This Super Bowl aired in over 150 countries worldwide. It was simulcast in Canada on CTV and TVA (in French), in Mexico on Televisa's Canal 5, in Germany on Tele 5, in Australia on the ABC, in the Philippines on the GMA Network and later aired in the United Kingdom on Channel 4. Following the game ABC premiered the television drama Extreme starring James Brolin; this was the last series to premiere following the Super Bowl until Family Guy premiered following Super Bowl XXXIII and is one of only four in the last 14 years to premiere following a Super Bowl (joining Family Guy, its spinoff American Dad!, and Undercover Boss which premiered following Super Bowl XLIV), since the networks have preferred to have new episodes of established shows to catch as much of the post-game audience as possible. This Super Bowl would later be featured on NFL's Greatest Games under the title Exercise in Excellence. The Super Bowl highlight film on which the episode was based was the only Super Bowl highlight film to be narrated by Harry Kalas. Entertainment Pregame ceremonies The pregame show held before the game featured country music singer Hank Williams Jr., who performed his theme song for Monday Night Football, which was based on his single "All My Rowdy Friends Are Coming Over Tonight". Actress and singer Kathie Lee Gifford (Frank Gifford's wife) later sang the national anthem. She was accompanied by then-Miss America Heather Whitestone who signed the anthem for the hearing impaired. To honor the NFL's 75th season, four former players all Hall of Fame members, who were named to the league's 75th Anniversary All-Time Team joined the coin toss ceremony: Otto Graham, Joe Greene, Ray Nitschke, and Gale Sayers. A special 75th anniversary logo was painted at midfield. Each player also wore a patch on his jersey with the same logo; the 75th anniversary patch was worn by all players league-wide during the 1994 season. During the regular season, teams also wore "throwback" jerseys for selected games. The 49ers wore their throwbacks (which paid tribute to the 1957 Niners) for most of the season, this game included. Halftime show The halftime show was titled "Indiana Jones and the Temple of the Forbidden Eye" and was produced by Disney to promote their Indiana Jones Adventure attraction at Disneyland that opened later that year. The show featured actors playing Indiana Jones and his girlfriend Marion Ravenwood who were raiding the Vince Lombardi Trophy from the Temple of the Forbidden Eye. The show also had performances by singers Tony Bennett and Patti LaBelle, jazz trumpeter Arturo Sandoval, and the Miami Sound Machine. The show ended with everybody singing "Can You Feel The Love Tonight", the song featured in Disney's (which later acquired ABC) 1994 film The Lion King. The dancers on the field were members of the Coral Gables Senior High marching band. This halftime show also had a connection with past ABC programming: the first two Indiana Jones films had their broadcast premieres on ABC, and the network aired a TV series, The Young Indiana Jones Chronicles, from 1992 to 1993 (actually serving as the lead-in to Monday Night Football at one point). Radio The game was broadcast on nationwide radio by CBS with play-by-play announcer Jack Buck and color commentator Hank Stram. Jim Hunter hosted all of the events. Locally, Super Bowl XXIX was broadcast by XTRA-AM in San Diego with Lee "Hacksaw" Hamilton and Jim Laslavic and by KGO-AM in San Francisco with Joe Starkey and Wayne Walker. Game summary First quarter On the opening kickoff, a 15-yard face-mask penalty on Chargers linebacker Doug Miller gave San Francisco the ball at their own 41-yard line. Then on the third play of the drive, 49ers quarterback Steve Young threw a 44-yard touchdown pass to Jerry Rice. The 49ers became the second team to take the opening kickoff and score a touchdown on that first drive (the first being the Miami Dolphins in Super Bowl VIII), and also set a new Super Bowl record for the fastest touchdown (later broken by the Chicago Bears' Devin Hester in Super Bowl XLI). After forcing the Chargers to punt, the 49ers advanced 79 yards in four plays, with Young rushing for 21 yards and then throwing a 51-yard touchdown pass to running back Ricky Watters to give San Francisco a 14–0 lead less than 5 minutes into the 1st quarter, and set a Super Bowl record for the fastest second touchdown scored by a team. The Chargers responded on their ensuing possession, marching 78 yards in 13 plays and taking more than 7 minutes off the clock. Running back Natrone Means finished the drive with a 1-yard touchdown run to cut San Diego's deficit to 14–7. However, the 49ers quickly countered after the ensuing kickoff, driving 70 yards in 10 plays. Rice started off the drive with a 19-yard reception and 10-yard run on a reverse play, while Young added a 12-yard completion to John Taylor and a 15-yard scramble. Second quarter Young eventually finished the drive with his third touchdown pass, this one from five yards out to fullback William Floyd five plays into the 2nd quarter. Later in the quarter, Chargers punter Bryan Wagner's 40-yard punt from his own 9-yard line gave the 49ers the ball at the San Diego 49. San Francisco then marched on a 9-play drive to score on Young's fourth touchdown pass, an 8-yard toss to Watters with 4:44 left in the half, making the score 28–7. The Chargers then took the ensuing kickoff and drove 62 yards from their own 25-yard line to the San Francisco 13, featuring a 33-yard gain on a screen pass from Stan Humphries to Eric Bieniemy, San Diego's longest play of the game. But after three incomplete passes, one of which was a perfectly thrown Humphries pass that Mark Seay dropped in the end zone, they were forced to settle for kicker John Carney's 31-yard field goal, cutting their deficit to 28–10. A 33-yard completion from Young to tight end Brent Jones helped the 49ers reach the San Diego 29-yard line on their next possession, but Young's third-down pass to Jones was overthrown, and rookie kicker Doug Brien missed a 47-yard field goal attempt. The Chargers then drove to their own 46-yard line, but 49ers defensive back Eric Davis intercepted Humphries' third-down pass in the end zone with 10 seconds left in the half, and the score remained 28–10 at halftime. The Chargers' 18-point halftime deficit ended up being the closest scoring margin they would reach for the rest of the game. Third quarter Leading 28–10 in the 3rd quarter, the 49ers added 14 more points. The Chargers were forced to punt after three plays on the opening drive of the second half, and Dexter Carter returned the ball 11 yards to his own 38-yard line. Young subsequently completed three consecutive passes for 53 yards on a 7-play, 62-yard drive that ended with Watters' third touchdown on a 9-yard run. After a 33-yard kickoff return by Andre Coleman, the Chargers advanced to the San Francisco 33-yard line, but they turned the ball over on downs when Humphries' fourth-down pass was broken up by Davis. After the turnover, Young led his team on a 10-play, 67-yard drive, aided by a 22-yard pass interference penalty against Darrien Gordon on third and 14, to score on his fifth touchdown pass, a 15-yard completion to Rice. The Chargers' only highlight of the 3rd quarter was when Coleman returned the ensuing kickoff 98 yards for a touchdown. Then, wide receiver Mark Seay caught a pass for a successful two-point conversion (the first in Super Bowl history; the rule had been adopted by the NFL at the start of the season), but it only cut the deficit to 42–18. The 49ers were forced to punt on their next drive, but San Diego ended up turning the ball over on downs when Means was tackled for a 4-yard loss on a fourth down and 1 from their own 37-yard line. Fourth quarter Six plays later, Young threw his record-setting sixth touchdown pass to Rice with 13:49 remaining in the game to make the score 49–18. The Chargers responded with a 13-play, 59-yard drive to get to the San Francisco 7-yard line, but 49ers defensive back Deion Sanders intercepted backup quarterback Gale Gilbert's fourth-down pass in the end zone. After two San Francisco punts and another interception (defensive back Toi Cook picked off a pass from Humphries on the 49ers 28), the Chargers scored the final points of the game with a 30-yard touchdown pass from Humphries to wide receiver Tony Martin and another two-point conversion to make the score 49–26. San Francisco recovered the ensuing onside kick and ran time off the clock before punting to the San Diego 7. San Diego drove to the San Francisco 35 before time ran out, and the game ended in a 49ers victory. At the end of the game, Young showed his jubilation at finally being able to win "the big one" while accepting the MVP trophy. "There were times when this was hard! But this is the greatest feeling in the world! No one — no one! — can ever take this away from us! No one, ever! It's ours!" Young and his teammates were equally enthusiastic in the locker room afterwards. "We're part of history," said guard Jesse Sapolu. "This is probably the best offense people will see in their lifetimes." "Is this great or what?" Young added. "I mean, I haven't thrown six touchdown passes in a game in my life. Then I throw six in the Super Bowl! Unbelievable." Rice caught 10 passes for 149 yards and 3 touchdowns, tying his own record for most touchdown receptions in a Super Bowl, and becoming the first player ever to do it twice. He also recorded 10 rushing yards. Watters rushed for 47 yards and a touchdown, while also catching 3 passes for 61 yards and two touchdowns. Means, who rushed for 1,350 yards in the regular season, was held to just 33 yards in the game. Humphries finished 24 out of 49 for 275 yards and one touchdown, with two interceptions. Seay was the Chargers' top receiver with 7 receptions for 75 yards, while Ronnie Harmon added 8 catches for 68 yards. Defensive end Raylee Johnson had two
16 touchdowns, with only seven interceptions. Pro Bowl running back Emmitt Smith won his fourth and last league rushing crown in his career with 1,773 yards, and broke a league single-season record with 25 rushing touchdowns. Smith was also a reliable receiver out of the backfield, recording a career-high 62 receptions for 375 yards. Fullback Daryl Johnston added 111 rushing yards, while also catching 30 passes for 248 and scoring three touchdowns. Pro Bowl wide receiver Michael Irvin led the team in receiving with 111 catches for 1,603 yards and 10 touchdowns. Kevin Williams was another big receiving threat with 38 receptions for 613 yards, while also racking up 1,274 return yards on special teams. Pro Bowl tight end Jay Novacek had 62 receptions for 705 yards and five touchdowns. Dallas' offensive line was led by Pro Bowl selections Larry Allen, Ray Donaldson, Nate Newton, and Mark Tuinei. However, Donaldson suffered a season-ending injury late in the season and would be replaced by Derek Kennard. Dallas' major acquisition before the season was four-time Pro Bowl cornerback Deion Sanders. Coincidentally, Sanders won the Super Bowl the year before with San Francisco. However, Sanders only played nine regular season games for the Cowboys in 1995 due to injuries, and thus only recorded 24 tackles and two interceptions for 34 yards. However, safety Darren Woodson was named to the Pro Bowl with 89 tackles and two interceptions for 46 return yards and a touchdown. Cornerback Larry Brown led the team in interceptions with six for 124 return yards and two touchdowns. Pro Bowl defensive end Charles Haley led the team in sacks with 10.5, while defensive end Chad Hennings added 5.5. Safety Brock Marion recorded six interceptions, returning them for 40 yards and a touchdown. After starting fast at 8–1, the Cowboys hit a major bump in the road, losing big at home to the 49ers, 38–20 (they trailed 31–14 at halftime). Coincidentally, the 49ers, the previous Super Bowl champion, also suffered a blowout loss at home the prior season (40–8 to the Philadelphia Eagles). Adding insult to injury, the 49ers were without starting quarterback Steve Young and fullback William Floyd. The game was highly anticipated, with verbal exchanges between the teams during the week, and it marked the beginning of a difficult stretch for the team. The following four games resulted in two more losses for the Cowboys. However, after a narrow 21–20 win against the New York Giants, the Cowboys regained their dominating form, trouncing the Arizona Cardinals (who were playing their home games at Sun Devil Stadium) 37–13 on Christmas night in Arizona as part of Monday Night Football, and then cruising through the playoffs with convincing wins against the Philadelphia Eagles and the Green Bay Packers. Brown foreshadowed his Super Bowl XXX heroics with a key interception against Green Bay quarterback Brett Favre late in the NFC Championship Game. Pittsburgh Steelers Super Bowl XXX was the first time that the Steelers advanced to the league championship game since winning Super Bowl XIV and the first under head coach Bill Cowher. Cowher took over the team in 1992 after longtime head coach Chuck Noll retired after a 23-year tenure and leading the team to four Super Bowl wins. During Cowher's first year, the Steelers captured the number one AFC playoff seed with an 11–5 regular season record, but were eliminated in their first playoff game against the Buffalo Bills, 24–3. Cowher then led the Steelers into the playoffs in 1993 and 1994, but were also eliminated, including a 17–13 upset loss to the San Diego Chargers in the 1994 AFC Championship Game. In 1995, the Steelers overcame a 3–4 start (including a 20–16 upset loss to the expansion Jacksonville Jaguars) to win eight of their final nine games and finished with an record, the second-best in the AFC. Their offense was led by quarterback Neil O'Donnell, who completed 246 out of 416 passes for 2,970 yards and 17 touchdowns, with only seven interceptions. Pro Bowl wide receiver Yancey Thigpen was the team's leading receiver with 85 receptions for 1,307 yards and five touchdowns. Other contributors in the passing game included wide receivers Andre Hastings (48 catches for 502 yards and one touchdown) and Ernie Mills (39 receptions for 679 yards and 8 touchdowns), who both also excelled as returners on special teams. Mills gained 1,306 yards returning kickoffs, while Hastings returned 48 punts for 474 yards and a touchdown. The Steelers' rushing attack was led by Erric Pegram, who recorded 813 yards and five touchdowns, and Bam Morris, who had 559 yards and nine touchdowns. On special teams, newly acquired kicker Norm Johnson led the NFL in both field goals made (34) and field goals attempted (41), while also successfully making all 39 of his extra point attempts. Leading the offensive line was future Hall of Fame center Dermontti Dawson, who made the Pro Bowl for the third consecutive year. The Steelers' defense ranked second in the league in total yards allowed (4,833). Pro Bowl linebacker Kevin Greene led the team with nine sacks, while another Pro Bowl linebacker, Greg Lloyd, led the team with 86 tackles, while also collecting 6.5 sacks and three interceptions. The secondary was led by Pro Bowl defensive back Carnell Lake and Willie Williams, who led the team with seven interceptions and 122 return yards. The secondary also featured future Hall of Fame defensive back Rod Woodson, who missed almost the entire season with a knee injury, but healed quickly enough to return in time for the playoffs. He is still the only NFL player to suffer and return from a torn ACL and still play in the same season. Playoffs The Cowboys first defeated the Philadelphia Eagles, 30–11. The score was tied 3–3 into the 2nd quarter, until Dallas scored 27 consecutive points to put the game out of reach. First, Deion Sanders scored a 21-yard touchdown on an end-around play. Emmitt Smith then capped off a 79-yard drive with a 1-yard touchdown run before halftime. Kicker Chris Boniol later scored two field goals in the 3rd quarter, and Troy Aikman completed a 9-yard touchdown pass to Michael Irvin in the 4th quarter, giving the Cowboys a commanding 30–3 lead. Meanwhile, Eagles quarterback Randall Cunningham was limited to just 11 of 26 completions for 161 yards and no touchdowns, with one interception. Philadelphia could only score a single field goal and Cunningham's meaningless 4-yard touchdown run late in the 4th quarter. Dallas then advanced to their fourth consecutive NFC Championship Game, where they faced the Green Bay Packers, who had eliminated the San Francisco 49ers in the other NFC Divisional Playoff Game. Dallas jumped to an early 14–3 lead with a pair of first quarter touchdown passes from Aikman to Irvin. However, Packers quarterback Brett Favre threw two touchdowns to take a 17–14 lead midway through the second quarter: a 73-yard strike to wide receiver Robert Brooks and a 24-yard pass to tight end Keith Jackson. Dallas stormed right back with a Boniol field goal, and a record 99-yard drive to score on Smith's 1-yard touchdown run, giving them a 24–17 halftime lead. In the third quarter, Green Bay regained the lead, 27–24 with a field goal and another touchdown pass from Favre to Brooks. However, Dallas scored two unanswered touchdowns in the fourth quarter to put the game away, 38–27. A 90-yard drive was capped with Smith's second touchdown run. On Green Bay's ensuing drive, Larry Brown intercepted a pass from Favre and returned it 28 yards to set up Smith's third touchdown run. Smith finished the game with 150 rushing yards and three touchdowns, while also catching two passes for 17 yards. Aikman threw for 255 yards and two touchdowns, with no interceptions. Irvin caught seven passes for 100 yards and two touchdowns. For the Steelers, they started their playoff run with a 40–21 win over the Buffalo Bills. Pittsburgh dominated the Bills right from the start, building up a 23–7 halftime lead. Buffalo scored two touchdowns in the second half, but Bam Morris's two rushing touchdowns in the fourth quarter ended any thoughts of a Bills comeback. The Steelers' defense limited Buffalo's Jim Kelly to just 135 passing yards and one touchdown, while intercepting him three times. Bills running back Thurman Thomas, who had rushed for 158 yards and caught three passes for 42 yards in Buffalo's wild card playoff win over the Miami Dolphins, was held to just 46 rushing yards and 12 receiving yards. Meanwhile, Morris rushed for 106 yards and two touchdowns, while kicker Norm Johnson made four field goals. Pittsburgh then narrowly defeated the Indianapolis Colts, 20–16 to advance to their first Super Bowl since the 1979 season. In the second quarter, Neil O'Donnell's controversial 5-yard touchdown pass to Kordell Stewart gave Pittsburgh a 10–6 halftime lead (replays showed that Stewart stepped on the end line before making the catch, which would have made him ineligible). Stewart later said after the game: "I was hit in the end zone for pass interference earlier but (the refs) didn't throw a flag, so what goes around comes around." After the teams exchanged field goals in the third quarter, Indianapolis quarterback Jim Harbaugh threw a 47-yard touchdown pass to wide receiver Floyd Turner to give the Colts a 16–13 lead in the fourth quarter. The Steelers drove 67 yards on their final drive (keyed by a 4th down-and-3 conversion and a 37-yard pass play from O'Donnell to Ernie Mills) to score the go-ahead touchdown on a 1-yard run by Morris with 1:34 left. Mills broke up what would have been a game-clinching interception by Colts linebacker Quentin Coryatt several plays earlier. The Colts responded by driving to the Steelers 29-yard line, and on the game's final play, Harbaugh threw a Hail Mary intended for wide receiver Aaron Bailey in the end zone. Bailey attempted to make a diving catch, but the pass was batted away at the last second by Randy Fuller and ruled incomplete. Broadcasting The game was broadcast in the United States by NBC, with play-by-play announcer Dick Enberg and color commentators Phil Simms, Paul Maguire, and Jim Gray and Will McDonough on the sidelines. Greg Gumbel hosted all the events with the help of then-NBC analysts Ahmad Rashād, Mike Ditka, Joe Gibbs, and Joe Montana. The Vince Lombardi Trophy presentation started a tradition that continues today, in which it is held on the field instead of inside the winners' locker room as was the case previously. All three Super Bowl wins for the Cowboys in the 1990s were broadcast on NBC, who later gained majority control and then full ownership of its affiliate in the Dallas area, KXAS-TV. Following the game, NBC broadcast an hour-long episode of Friends, restarting a trend in which the prized post-Super Bowl time slot was given to an established program. Previously, networks typically used the occasion to premiere a new show, with little success. Of the new series premiering after the Super Bowl from 1983 to 1995, only The A-Team (NBC, after Super Bowl XVII), The Wonder Years (ABC, after XXII), and Homicide: Life on the Street (NBC, after XXVII) had lengthy runs. The radio broadcast was carried by CBS Radio, with Jack Buck and Hank Stram announcing. It proved to be Buck's last NFL broadcast. Super Bowl XXX was broadcast to over 150 countries around the world, including Australia on Network Ten, Canada on CTV, Germany on Tele 5, Mexico on Canal 5, the Philippines on the GMA Network, and the United Kingdom on Channel 4. Some weeks before the game, it was discovered that some proxy servers were blocking the web site for the event; this was due to the fact that the game's Roman numeral (XXX) is usually associated with pornography, one of the early cases of the web filter problem. Super Bowl XXX is the subject of the NFL's Greatest Games episode Duel in the Desert, based on the Super Bowl highlight film of the same name, which was narrated by Earl Mann. Entertainment Pregame ceremonies The pregame show held before the game featured dancers in celebration of the culture of Native Americans in the United States, the traditions of the American Old West, and the great outdoors. Actress and singer Vanessa Williams later sang the national anthem. Following the anthem, to honor the 10th anniversary of the Challenger disaster, the flyover was done in a Missing Man formation. To honor the 30th Super Bowl game, several past Super Bowl MVPs joined the coin toss ceremony (similar to 10 years earlier in Super Bowl XX, and then subsequently repeated every 10 years thereafter in Super Bowl XL and Super Bowl 50). Joe Montana, MVP of Super Bowls XVI, XIX, and XXIV, tossed the coin. Halftime show Diana Ross performed during the halftime show, titled
Dallas scored two unanswered touchdowns in the fourth quarter to put the game away, 38–27. A 90-yard drive was capped with Smith's second touchdown run. On Green Bay's ensuing drive, Larry Brown intercepted a pass from Favre and returned it 28 yards to set up Smith's third touchdown run. Smith finished the game with 150 rushing yards and three touchdowns, while also catching two passes for 17 yards. Aikman threw for 255 yards and two touchdowns, with no interceptions. Irvin caught seven passes for 100 yards and two touchdowns. For the Steelers, they started their playoff run with a 40–21 win over the Buffalo Bills. Pittsburgh dominated the Bills right from the start, building up a 23–7 halftime lead. Buffalo scored two touchdowns in the second half, but Bam Morris's two rushing touchdowns in the fourth quarter ended any thoughts of a Bills comeback. The Steelers' defense limited Buffalo's Jim Kelly to just 135 passing yards and one touchdown, while intercepting him three times. Bills running back Thurman Thomas, who had rushed for 158 yards and caught three passes for 42 yards in Buffalo's wild card playoff win over the Miami Dolphins, was held to just 46 rushing yards and 12 receiving yards. Meanwhile, Morris rushed for 106 yards and two touchdowns, while kicker Norm Johnson made four field goals. Pittsburgh then narrowly defeated the Indianapolis Colts, 20–16 to advance to their first Super Bowl since the 1979 season. In the second quarter, Neil O'Donnell's controversial 5-yard touchdown pass to Kordell Stewart gave Pittsburgh a 10–6 halftime lead (replays showed that Stewart stepped on the end line before making the catch, which would have made him ineligible). Stewart later said after the game: "I was hit in the end zone for pass interference earlier but (the refs) didn't throw a flag, so what goes around comes around." After the teams exchanged field goals in the third quarter, Indianapolis quarterback Jim Harbaugh threw a 47-yard touchdown pass to wide receiver Floyd Turner to give the Colts a 16–13 lead in the fourth quarter. The Steelers drove 67 yards on their final drive (keyed by a 4th down-and-3 conversion and a 37-yard pass play from O'Donnell to Ernie Mills) to score the go-ahead touchdown on a 1-yard run by Morris with 1:34 left. Mills broke up what would have been a game-clinching interception by Colts linebacker Quentin Coryatt several plays earlier. The Colts responded by driving to the Steelers 29-yard line, and on the game's final play, Harbaugh threw a Hail Mary intended for wide receiver Aaron Bailey in the end zone. Bailey attempted to make a diving catch, but the pass was batted away at the last second by Randy Fuller and ruled incomplete. Broadcasting The game was broadcast in the United States by NBC, with play-by-play announcer Dick Enberg and color commentators Phil Simms, Paul Maguire, and Jim Gray and Will McDonough on the sidelines. Greg Gumbel hosted all the events with the help of then-NBC analysts Ahmad Rashād, Mike Ditka, Joe Gibbs, and Joe Montana. The Vince Lombardi Trophy presentation started a tradition that continues today, in which it is held on the field instead of inside the winners' locker room as was the case previously. All three Super Bowl wins for the Cowboys in the 1990s were broadcast on NBC, who later gained majority control and then full ownership of its affiliate in the Dallas area, KXAS-TV. Following the game, NBC broadcast an hour-long episode of Friends, restarting a trend in which the prized post-Super Bowl time slot was given to an established program. Previously, networks typically used the occasion to premiere a new show, with little success. Of the new series premiering after the Super Bowl from 1983 to 1995, only The A-Team (NBC, after Super Bowl XVII), The Wonder Years (ABC, after XXII), and Homicide: Life on the Street (NBC, after XXVII) had lengthy runs. The radio broadcast was carried by CBS Radio, with Jack Buck and Hank Stram announcing. It proved to be Buck's last NFL broadcast. Super Bowl XXX was broadcast to over 150 countries around the world, including Australia on Network Ten, Canada on CTV, Germany on Tele 5, Mexico on Canal 5, the Philippines on the GMA Network, and the United Kingdom on Channel 4. Some weeks before the game, it was discovered that some proxy servers were blocking the web site for the event; this was due to the fact that the game's Roman numeral (XXX) is usually associated with pornography, one of the early cases of the web filter problem. Super Bowl XXX is the subject of the NFL's Greatest Games episode Duel in the Desert, based on the Super Bowl highlight film of the same name, which was narrated by Earl Mann. Entertainment Pregame ceremonies The pregame show held before the game featured dancers in celebration of the culture of Native Americans in the United States, the traditions of the American Old West, and the great outdoors. Actress and singer Vanessa Williams later sang the national anthem. Following the anthem, to honor the 10th anniversary of the Challenger disaster, the flyover was done in a Missing Man formation. To honor the 30th Super Bowl game, several past Super Bowl MVPs joined the coin toss ceremony (similar to 10 years earlier in Super Bowl XX, and then subsequently repeated every 10 years thereafter in Super Bowl XL and Super Bowl 50). Joe Montana, MVP of Super Bowls XVI, XIX, and XXIV, tossed the coin. Halftime show Diana Ross performed during the halftime show, titled "Take Me Higher: A Celebration of 30 years of the Super Bowl". The show featured a number of her songs along with pyrotechnics, special effects, and stadium card stunts. The show ended with Ross singing "Take Me Higher" from her 1995 nineteenth studio album of the same name, and then she was taken from the field in a helicopter. Game summary First Quarter As the designated home team in the annual rotation between AFC and NFC teams, the Cowboys elected to wear their home white uniforms with silver pants, while the Steelers wore their home black uniforms with gold pants. This uniform matchup was also featured in Dallas and Pittsburgh's two prior Super Bowl meetings, with Pittsburgh as the "home" team in X and Dallas as the "home" team in XIII. Super Bowl XXX began with Dallas wide receiver Kevin Williams returning the opening kickoff 18 yards to the 29-yard line. On the Cowboys' first possession, quarterback Troy Aikman completed a 20-yard pass on second down to wide receiver Michael Irvin, which was followed by a 23-yard rush by running back Emmitt Smith to advance to the Pittsburgh 28-yard line. The run would be Smith's longest of the day and the longest for either team. On 3rd-and-8 from the 26-yard line, Williams could only gain 2 yards on a reverse play, forcing Dallas to settle for a 42-yard Chris Boniol field goal. On the Steelers' first possession, the Dallas defense forced a three-and-out and subsequent punt, which Cowboys cornerback Deion Sanders returned 11 yards to the 25-yard line. After two Smith runs, Aikman completed two quick passes, the first to Irvin for an 11-yard gain and the second to Sanders (who was brought in on offense as an extra receiver) for 47 yards. Sanders became the only player in Super Bowl history to record a Super Bowl interception on defense and a reception on offense (he recorded an interception as a member of the 49ers a year earlier in Super Bowl XXIX). Four plays later, Aikman completed a 3-yard touchdown pass to tight end Jay Novacek (playing in what would be his last game, as Novacek missed the following season due to back injuries before retiring), increasing Dallas' lead to 10–0. It was the second Super Bowl in which Novacek scored Dallas's first touchdown (he also scored their first touchdown in Super Bowl XXVII). After the Steelers managed to advance to the Dallas 36-yard line on their ensuing drive, the possession fell apart due to a miscue by center Dermontti Dawson. Pittsburgh had lined up in the shotgun formation, and Dawson's snap sailed over quarterback Neil O'Donnell's head. O'Donnell managed to recover the fumble, but the Steelers were unable to recover from the 13-yard loss, and they had to punt two plays later. Second Quarter After the punt, Dallas drove to the Steelers' 24-yard line. However, a pass interference penalty on Irvin nullified a 24-yard touchdown reception and moved the ball back to the 34-yard line. On the next play, Aikman completed a 19-yard pass to Novacek, bringing up second down and 1 from the 15-yard line. However, the Steelers' defense stopped Smith for no gain on the next play, and then tackled him for a 3-yard loss on third down. Boniol then kicked a 35-yard field goal, increasing Dallas' lead to 13–0. After an exchange of punts, Steelers wide receiver Andre Hastings returned John Jett's punt 11 yards to the Pittsburgh 46-yard line. After O'Donnell's first-down pass fell incomplete, Dallas linebacker Charles Haley then sacked the Steelers quarterback for a 10-yard loss, forcing third down and 20. O'Donnell's next pass was a 19-yard completion to Hastings, and then a 3-yard run on fourth down by wide receiver/backup quarterback Kordell Stewart netted a first down. Nine plays later, O'Donnell threw a 6-yard touchdown pass to wide receiver Yancey Thigpen with just 13 seconds left in the half, cutting Pittsburgh's deficit to 13–7. Third Quarter After the third quarter began with another exchange of punts, the Steelers advanced the ball to their own 48-yard line. However, on third down, Cowboys cornerback Larry Brown intercepted O'Donnell's pass at the Dallas 38-yard line and returned it 44 yards to the Pittsburgh 18-yard line. Aikman then completed a 17-yard pass to Irvin to reach the 1-yard line, setting up a 1-yard touchdown run by Smith to increase Dallas' lead to 20–7. On their next drive, the Steelers faced second down and 2 on their own 47-yard line, but turned the ball over on downs after running back Bam Morris was tackled for no gain on three consecutive running plays: a draw play to the left, a run to the left, and one to the middle. The Steelers defense held, however, forcing Dallas into a three-and-out; after a 6-yard run by Smith and an incompletion, Aikman's third-down pass was broken up by defensive back Rod Woodson (who had missed most of the season due to a knee injury), forcing the Cowboys to punt. Fourth Quarter On their next drive, the Steelers advanced from their own 20-yard line to the Dallas 19. However, Dallas defensive end Tony Tolbert sacked O'Donnell on third down for a 9-yard loss, one of four Dallas sacks in the game, forcing Pittsburgh to settle for kicker Norm Johnson's 46-yard field goal with 11:20 left in the game, cutting the deficit to 20–10. On the ensuing kickoff, Pittsburgh surprised the Cowboys by executing a successful onside kick, with defensive back Deon Figures recovering the ball for Pittsburgh at their own 47-yard line. O'Donnell hit Hastings on two consecutive passes for 23 total yards. His next pass went to wide receiver Ernie Mills for 7 yards, and then Morris ran for 5 yards and caught a pass for a 6-yard gain to the Dallas 11-yard line. Three plays later, Morris scored on a 1-yard touchdown run, cutting Pittsburgh's deficit to 20–17. With the aid of linebacker Levon Kirkland's 8-yard sack of Aikman, the Cowboys were forced to punt on their next drive, and Pittsburgh regained possession of the ball at their own 32-yard line with 4:15 remaining. However, on second down, Brown intercepted another O'Donnell pass and returned it 33 yards to the Steelers' 6-yard line. The play was a mirror image of O'Donnell's first interception to Brown; a throw in the right flat thrown under a heavy Cowboys blitz into the arms of Brown with no Steelers receiver in sight. After the game, O'Donnell said that he was throwing in the spot he expected receiver Corey Holliday to be on the second interception, stating that he expected Holliday to make an out-cut instead of an in-cut. Mills responded by questioning why O'Donnell would throw to a spot and not a man in a Super Bowl. Brown said he was all alone on both picks because he expected O'Donnell to throw to the outside to seemingly get rid of the ball amidst the Cowboys' blitz. Two plays following the interception, Smith scored once again with 3:43 left in the game, increasing the Cowboys' lead to 27–17. Despite being held to 49 yards on the ground and only 9 in the second half, Smith scored the game-clinching touchdown by making a devastating cutback on Kirkland, the best player on Pittsburgh's defense that day. The Steelers responded by driving to the Dallas 40-yard line, but after O'Donnell threw four consecutive incompletions, Pittsburgh turned the ball over on downs with 1:42 left in the game. After that, Dallas ran out most of the clock with three quarterback kneels and an intentional delay of the game penalty before punting the ball back to the Steelers. Pittsburgh regained possession of the ball with three seconds remaining, but O'Donnell's Hail Mary pass was intercepted by Dallas safety Brock Marion on the final play of the game. The Steelers had outgained the Cowboys in total yards, 310–254 (201–61 in the second half), had 25 first downs compared to the Cowboys' 15, and limited Dallas' powerful running attack to just 56 yards. However, they were unable to overcome O'Donnell's interceptions, which led to two Cowboys touchdowns. The irony of the game was that O'Donnell entered Super Bowl XXX as the NFL's all-time leader in fewest interceptions per pass attempt. Troy Aikman finished the game with 15 out of 23 completions for 209 yards and a touchdown (Aikman became just the third quarterback to win three Super Bowl games; Terry Bradshaw and Joe Montana each won four). Smith was the Cowboys' leading rusher with 49 yards and 2 rushing touchdowns (Smith became just the fifth player to score a touchdown in three Super Bowl games, joining Lynn Swann, Franco Harris, Thurman Thomas, and Jerry Rice; he also became the first player to rush for two touchdowns in two Super Bowls). Irvin was Dallas' top receiver with 5 catches for 76 yards. Novacek caught 5 passes for 50 yards and a touchdown. Defensive end Chad Hennings recorded 2 of the 4 Dallas sacks in the game. The Dallas defense did not allow a play from scrimmage longer than 20 yards. Although his 3 interceptions were costly, O'Donnell recorded 28 of 49 completions for 239 yards and a touchdown. Morris was the top rusher of the game with 73 yards and a touchdown, and also
result of the contributions from their draft picks that they made before the season: linebackers Willie McGinest and Chris Slade. Tight end Ben Coates also became a major contributor as a favorite target of quarterback Drew Bledsoe, who was taken with the #1 overall pick in the 1993 draft. With that improvement, the team was sold to Robert Kraft in January 1994 for a then-record price of $200 million. It was an astonishing price considering the Pats had long been considered a laughing-stock by local and national media as well as opponents, and had one of the worst stadiums in the league (Foxboro Stadium). During the losing spell they had rarely sold out, resulting in most games going without local television coverage. Sports in New England at that time centered on the beloved, successful, Celtics and Red Sox, and even Bruins, not the NFL team orphaned in remote Foxborough, Massachusetts, thirty miles outside Boston. (During an earlier run of 13 years in the 1970s and 1980s with only 1 losing season, the very competitive Patriots sold out that venue regularly.) The team then posted a 10–6 record in 1994 after starting the regular season at 3–6, but were eliminated by the Cleveland Browns in their first playoff game. The Krafts had also eliminated the practice of TV blackouts (and courted and nailed deals with local affiliates), and the season resulted in a resurgence of popularity in the NFL game across the region. New England then had a let down and failed to make the playoffs in 1995, a year when many organizations were coming to grips with the new salary cap put in by the NFL to improve competition in the league. In the offseason, Parcells hired his old Giants defensive coordinator, Bill Belichick, as assistant head coach and defensive backs coach. Part of the team's spotty performance that season might have been that the head coach, Parcells, and the new owner, Kraft, did not get along well. Belichick came to serve during the 1996 season as the head coach's interface with the Kraft family and the non-football operations side of the business. After losing their first two games in the 1996 regular season with lackluster performances, the Patriots would run through the rest of the season competitive in every game, finishing with an 11–5 record (their best in the Parcells era) and winning the AFC East. The Patriots' offense became the 7th-best unit in the league in terms of yards, and 2nd-best (behind the Packers) in points. Their pass offense, led by Bledsoe and wide receiver Terry Glenn, ranked third in the NFL. Bledsoe threw for 4,086 yards and 27 touchdowns against 15 interceptions. Glenn set a rookie record with 90 receptions, which yielded 1,132 yards and 6 touchdowns. Tight end Ben Coates was also a big contributor, catching 62 passes for 682 yards and 9 touchdowns. Wide receiver Shawn Jefferson recorded 50 receptions for 771 yards and 4 touchdowns. Running back Curtis Martin would be the focal point of the rushing attack with his 1,152 yards and 14 touchdowns on the ground, while also catching 46 passes for another 333 yards and 3 touchdowns. Pro Bowl running back Dave Meggett provided the team with a good special teams threat, gaining 1,369 yards and a touchdown returning kickoffs and punts, while also rushing for 122 yards and catching 33 passes for 292 yards. On defense, the team's main weapon was Pro Bowler McGinest, who recorded 49 tackles, 2 fumble recoveries, an interception which he returned 46 yards for a touchdown, and a team-leading 9.5 sacks. Linebacker Chris Slade added 7 sacks and 3 forced fumbles. New England also had a solid secondary, led by defensive backs Willie Clay (72 tackles, a fumble recovery, 4 interceptions, 50 return yards), Ty Law (56 tackles, 3 interceptions, 45 return yards, 1 touchdown), and Lawyer Milloy (54 tackles, 1 sack, 1 fumble recovery, 2 interceptions). Green Bay Packers After winning Super Bowl II after the 1967 regular season, the Packers became a losing team for much of the 1970s and 1980s, only making the playoffs in 1972 and the strike-shortened 1982 season. In addition to having the reputation of being a poor team, the Packers were unable to attract good players because many did not want to play in Green Bay's cold winter climate for a small market team. All that changed when former San Francisco 49ers offensive coordinator Mike Holmgren became the Packers head coach in 1992. During his first year, the team improved to a 9–7 regular season record, barely missing the playoffs. One of the significant players on the 1992 Packers team was second-year quarterback Brett Favre, who spent his rookie season as a third-string quarterback for the Atlanta Falcons. During a September 20, 1992 game against the Cincinnati Bengals, Favre replaced injured starter Don Majkowski and proceeded to lead the team to a comeback victory. Afterwards, Favre became the starter for the rest of that season and held that position with the Packers until his purported retirement and subsequent conditional trade to the New York Jets in 2008 (followed by a departure for Minnesota in 2009). Green Bay then made the playoffs in the 1993, 1994, and the 1995 seasons. As Holmgren, Favre, and the Packers continued to win, they were able to attract impact free agents like veteran defensive end Reggie White, nicknamed the "Minister of Defense", who joined the team in 1993. In 1996, the Packers posted an NFC-best 13–3 regular season record after winning eight of their first nine games to start the season. After losing two straight games in November, they finished off the regular season winning their remaining five games, including dominating wins over two playoff teams: the Denver Broncos, 41–6, and the Minnesota Vikings, 38–10. The Packers' defense also led the league in both fewest points and yards allowed. They allowed 210 points and also scored an NFL-best 456 points, becoming the first team since the 1972 Miami Dolphins to score the most points in the league and allow the fewest. They set an NFL record with seven wins by at least 25 points. Favre won the NFL Most Valuable Player Award for the second straight season after throwing for 3,899 yards and an NFC record 39 touchdown passes during the 1996 regular season, with only 13 interceptions. His 39 touchdown passes was the third-highest total in league history at that time. Favre was also a good runner, ranking third on the team with 136 rushing yards and scoring 2 touchdowns. The Packers had another valuable asset in game-breaking kick returner Desmond Howard. The former Heisman Trophy winner's NFL career as a wide receiver was widely viewed as a disappointment up until this point, recording just 92 receptions in his first four NFL seasons. After joining Green Bay before the 1996 season, the team used him as a kick returner. Howard excelled in this role and ended up setting an NFL record with 875 punt return yards, while also leading the league in yards per return (15.1) and punt return touchdowns (3). He also caught 13 passes for 95 yards and added another 460 yards returning kickoffs. Green Bay also had a number of offensive weapons. Wide receiver Antonio Freeman led the team with 933 yards and 9 touchdowns. Multi-talented veteran wide receiver Don Beebe was also a constant breakaway threat, catching 39 passes for 606 yards and adding another 403 yards and a touchdown returning kickoffs. Beebe was a member of the Buffalo Bills during their four Super Bowl losses, and was thus extremely eager for another shot at a Super Bowl win. Late in the season, after a string of injuries sent star receiver Robert Brooks out for the season and caused Freeman to miss four games, Green Bay made another big addition to their receiving corps by signing Andre Rison, who had been cut by the Jacksonville Jaguars, and finished the season with 47 receptions for 593 yards and 3 touchdowns. The Packers also had two outstanding tight ends: Pro Bowler Keith Jackson recorded 40 catches for 504 yards and 10 touchdowns, and Mark Chmura had 28 receptions for 370 yards. Although Green Bay's running game did not have any standout backs or Pro Bowlers, running backs Dorsey Levens and Edgar Bennett, and fullback William Henderson were all very good at blocking, running, and receiving. Bennett was the team's leading rusher with 899 yards, while also catching 31 passes for 176 yards and scored 3 touchdowns. Levens rushed for 566 yards, caught 31 passes for 226 yards, returned 5 kickoffs for 84 yards, and scored 10 touchdowns. Henderson had 130 rushing yards, caught 27 passes for 203 yards, and returned 2 kickoffs for 38 yards. Up front, Pro Bowl center Frank Winters anchored the offensive line, along with guard Adam Timmerman. On defense, White continued to be a weapon, recording 29 tackles, 3 fumble recoveries, and led the team with 8.5 sacks. Defensive tackle Santana Dotson was also a big asset, recording 5.5 sacks and a fumble recovery. In the secondary, the team was led by safety Eugene Robinson, who recorded 55 tackles, 6 interceptions, and 107 return yards. Defensive back LeRoy Butler was also a major force, recording 65 tackles, 6.5 sacks, 2 fumble recoveries, and 5 interceptions for 149 return yards and a touchdown. Playoffs Aided by Martin's 166 rushing yards and 3 touchdowns, including a 78-yard touchdown run in the 2nd quarter, the Patriots first eliminated the Pittsburgh Steelers, 28–3. New England gained a total of 346 yards in the game, while limiting Steelers quarterback Mike Tomczak to just 110 passing yards with no touchdowns and 2 interceptions. The Patriots then defeated the Jacksonville Jaguars 20–6 in the AFC Championship Game. The Jaguars, an expansion team in 1995, advanced after upsetting the AFC's top seed, the Denver Broncos. However, New England took advantage of several key Jacksonville miscues in a game dominated by defense. A bad snap allowed Patriots defensive back Larry Whigham to tackle Jaguars punter Bryan Barker at the Jacksonville 4-yard line, setting up Martin's 1-yard touchdown run a few plays later. The Jaguars scored a field goal in the 2nd quarter, but Jacksonville punt returner Chris Hudson's fumble set up Patriots kicker Adam Vinatieri's 29-yard field goal. Eventually, the teams exchanged field goals, and the Patriots led 13–6 going into the 4th quarter. With under 4 minutes left in the game, the Jaguars reached the New England 5-yard line, but Patriots safety Willie Clay intercepted a pass in the end zone. After New England was forced to punt, cornerback Otis Smith recovered a fumble from Jaguars running back James Stewart and returned it 47 yards for a touchdown to put the game away. Meanwhile, the Packers first eliminated the San Francisco 49ers, 35–14. Green Bay's defense and special teams dominated the game, forcing 5 turnovers, and helped the team score 35 points even though Favre was limited to just 79 passing yards. San Francisco starting quarterback Steve Young, who was still suffering from a rib injury sustained during their 14–0 playoff win over the Philadelphia Eagles, had to leave the game in the 1st quarter. Howard opened up the scoring by returning a punt 71 yards for a touchdown. Later, he returned a punt 46 yards to set up Favre's 4-yard touchdown pass to Andre Rison. By the time the first half ended, Green Bay had a commanding 21–7 lead. San Francisco cut their deficit to 7 points with a 3rd-quarter touchdown, but the Packers responded by driving 72 yards to score a touchdown, in which a fumble by Bennett was recovered in the end zone by Freeman. Green Bay then put the game away with an 11-yard touchdown run by Bennett. Green Bay then defeated the Carolina Panthers 30–13 in the NFC Championship Game. Like the Jaguars, the Panthers were a 1995 expansion team that advanced to the conference title game. But unlike Jacksonville, Carolina came into the contest as the NFC's #2 seed and had eliminated the defending Super Bowl champion Dallas Cowboys, 26–17. In the NFC Championship Game, Carolina scored first with a 3-yard touchdown reception by Howard Griffith, but Green Bay scored on two touchdown passes by Favre and a field goal in the 2nd quarter to take a 17–10 halftime lead. The Packers then dominated the second half, only allowing one more field goal from the Panthers. Levens recorded 5 catches for 117 yards and a touchdown, along with 88 rushing yards. Bennett rushed for 99 yards and a touchdown. Favre threw for 292 yards and 2 touchdowns with 1 interception. Kicker Chris Jacke scored three field goals. By advancing to the Super Bowl, the Packers broke a streak since Super Bowl XXVI that had either the Dallas Cowboys or the San Francisco 49ers representing the NFC in the championship game. It also marked the Packers first Super Bowl appearance since winning the first two to culminate their dynasty under Lombardi and Hall of Fame quarterback Bart Starr. Super Bowl pregame news and notes The Packers were favored to win the game by 14 points, largely because many thought the Patriots were a Cinderella team, and because of the recent dominance of the NFC in Super Bowl games. The signing of Andre Rison by Green Bay late in the season had been a surprise to the league. Rison had been released by two teams over the previous two years and was known as a serious disciplinary problem for skipping team meetings. The previous year, the Packers had tried to sign Rison and Favre had spoken positively when a deal was not reached, stating "We saved a lot of money, and a lot of heartache because he was a problem internally." Rison later replied that if he were a defensive player, "I'd try to break his face." He also added "maybe a couple of years ago, I would have said he's a hillbilly jealous of a black man making money. But now I'm at this age. No comment." Much of the pregame hype surrounded the conflict between Parcells and Patriots owner Robert Kraft. Kraft took control of the team after Parcells was hired, and the two of them had different ideas on how to run the organization. Six days before the Super Bowl, in an article by Will McDonough, the Boston Globe reported Parcells would leave the Patriots after the Super Bowl to become the coach of the New York Jets. The book Patriot Reign alleges the Patriots have cell phone records showing Parcells was in constant contact with the Jets during the week. Then-Patriots defensive coordinator (and now head coach) Bill Belichick is quoted as saying Parcells' plans to leave for the Jets were a distraction, "Yeah, I'd say it was a little bit of a distraction all the way around. I can tell you first-hand, there was a lot of stuff going on prior to the game. I mean, him talking to other teams. He was trying to make up his mind about what he was going to do. Which, honestly, I felt [was] totally inappropriate. How many chances do you get to play for the Super Bowl? Tell them to get back to you in a couple of days. I'm not saying it was disrespectful to me, but it was in terms of the overall commitment to the team." Parcells even refused to travel back with the rest of the Patriots after the game, and was eventually hired by the rival Jets. To honor former NFL commissioner Pete Rozelle, who died on December 6, 1996, each player wore a special helmet decal with Rozelle's signature, "Pete", printed across the NFL logo. Tributes to Rozelle were also published in the game program. Coincidentally, the first Super Bowl appearance for the Patriots was also in the Superdome and against an NFC Central team. In Super Bowl XX, the Patriots lost to the Chicago Bears, whose rivalry with the Packers is said to be the NFL's oldest. As the designated home team, the Packers wore their home green uniforms and gold pants, while the Patriots went with their road white uniforms and silver pants. Broadcasting The game was the first Super Bowl to be televised in the United States by the Fox network. Play-by-play announcer Pat Summerall and color commentator John Madden, both previously of CBS, called the game. James Brown hosted all the events with help from his fellow Fox NFL Sunday cast members Terry Bradshaw, Howie Long, and Ronnie Lott. This was the first of three Super Bowls to be called by Summerall and Madden while with Fox (Super Bowls XXXIII and XXXVI being the others). Starting with this game, through Super Bowl XXXVII, the Super Bowl logo was painted at the 50-yard line, and the teams' helmets were placed on the 30-yard lines. In the past Super Bowl games since Super Bowl VI, the NFL logo was painted on the 50-yard line, except for Super Bowls XXV and XXIX. The Super Bowl XXV logo was painted at midfield, and the NFL 75th Anniversary logo was painted at midfield in Super Bowl XXIX. The league started to put the NFL logo at midfield again for Super Bowl XXXVIII. The telecast ended up being the highest-rated program in the history of the then ten-year-old Fox network, and it currently ties Super Bowl XLII for the highest-rated program in the entire history of the network. Afterwards, Fox televised The X-Files episode "Leonard Betts". Fox's broadcast was also the first Super Bowl to have a constant, live-updating graphic for the score, time and down & distance. The FoxBox was used also in Super Bowl XXXIII, and the graphic positioned over live action has become the norm in virtually all sports broadcasts at the national and regional production levels. With the Packers' win, they became the third
their multi-platinum smash hit "Macarena", the dance craze that became a worldwide summer hit in 1996. Country singer-songwriter Mary Chapin Carpenter and Cajun musical group BeauSoleil also appeared singing Carpenter's hit "Down at the Twist and Shout". R&B singer Luther Vandross later sang the national anthem, and Miss Louisiana 1996 Erika Schwarz Wright performed sign language for the national anthem. The coin toss ceremony featured the winning head coaches of the previous Super Bowl games played in New Orleans: Hank Stram (Super Bowl IV), Tom Landry (Super Bowl VI, Super Bowl XII), Chuck Noll (Super Bowl IX), Tom Flores (Super Bowl XV), Mike Ditka (Super Bowl XX), and George Seifert (Super Bowl XXIV). Hank Stram was given the honor of doing the coin toss. Halftime show The halftime show was titled "Blues Brothers Bash" and featured actors Dan Aykroyd, John Goodman, and Jim Belushi as The Blues Brothers. The show highlighted blues music and also had performances by the rock band ZZ Top and singer James Brown. Game summary The Packers outgained the Patriots 323 yards to 257 and intercepted quarterback Drew Bledsoe four times. Packers defensive end Reggie White set a Super Bowl record with three sacks, including back to back takedowns in the 3rd quarter. First Quarter Green Bay forced New England to punt on the opening possession of the game and started their first drive with great field position after receiver Desmond Howard returned the ball 32 yards to the Packers 46-yard line. Green Bay then opened up the scoring with Brett Favre's 54-yard touchdown pass to wide receiver Andre Rison on their second offensive play of the game. Then on the Patriots' ensuing drive, Packers defensive back Doug Evans intercepted a pass from Bledsoe at the Patriots 28-yard line. On the first play after the turnover, Patriots lineman Ferric Collons sacked Favre for a 10-yard loss, but running back Dorsey Levens rushed for 4 yards and caught a pass for 14 over the next two plays, setting up Chris Jacke's 37-yard field goal to make the score 10–0. New England stormed back, scoring touchdowns on each of their next two possessions. On the second play of the Patriots' ensuing drive, Bledsoe completed a 32-yard screen pass to fullback Keith Byars and followed it up with a "dump-off" pass to running back Curtis Martin, who caught the ball near the line of scrimmage and ran 20 yards to the Packers 27-yard line before being tackled. Bledsoe then threw three straight incompletions, but on the third one, Packers cornerback Craig Newsome was called for a 26-yard pass interference penalty, giving New England a first down at the 1-yard line. On the next play, Bledsoe completed a 1-yard touchdown pass to Byars to cut his team's deficit to 10–7. New England's defense then forced the Packers to punt from their own 17-yard line after a three-and-out, giving the Patriots the ball back after running back Dave Meggett received Craig Hentrich's 39-yard punt at the Patriots 43-yard line. After a 7-yard reception and a 2-yard run by Martin on their first two plays, Bledsoe completed a 44-yard pass to wide receiver Terry Glenn to advance to the Green Bay 4-yard line. From there, tight end Ben Coates' 4-yard touchdown reception gave New England a 14–10 lead. The Packers and Patriots combined for 24 points, the most ever scored in the 1st quarter of a Super Bowl. The Patriots became the first team in Super Bowl history to score 14 points in the first quarter and lose the game. Second Quarter New England's lead was short-lived. After both teams exchanged punts, Favre threw a Super Bowl-record 81-yard touchdown pass to receiver Antonio Freeman, putting the Packers back in the lead, 17–14. Then on third down of the ensuing Patriots drive, strong safety LeRoy Butler powered through Meggett's block attempt and managed to drag Bledsoe down with one arm for a 9-yard sack, forcing a Tom Tupa punt that Howard returned 34 yards to the Patriots 47-yard line. The Packers then drove to the 14-yard line, featuring a 23-yard reception by Rison and a 12-yard run by Levens, to score on Jacke's 31-yard field goal to increase their lead to 20–14. Meggett returned the ensuing kickoff 21 yards to the Patriots 25-yard line. On the first play of the drive, Bledsoe completed a 19-yard pass to Coates to advance to their own 44-yard line. But two plays later, Packers free safety Mike Prior intercepted a long pass that was intended for wide receiver Shawn Jefferson, and returned it 8 yards to the Packers 26-yard line. After the turnover, Favre completed a 22-yard pass to Freeman, and Levens rushed four times for 31 yards on a 9-play, 74-yard drive that took 5:59 minutes off the clock and ended with Favre's 2-yard touchdown run to give Green Bay a 27–14 lead with just 1:11 left in the half. After a 24-yard kickoff return by Meggett, Bledsoe completed an 18-yard pass to Coates, and followed it up with a 10-yard pass to Glenn. Then after a 1-yard run by Meggett on the next play, Bledsoe completed a 7-yard pass to receiver Vincent Brisby to bring up 3rd down and 2 yards to go from the Packers 42-yard line. However, Green Bay's defense forced two incompletions from Bledsoe, causing the Patriots to turn the ball over on downs with just 19 seconds left before halftime. The Packers tried to get into scoring range by calling a pass on the next play, but linebacker Willie McGinest sacked Favre, and the score remained 27–14 at halftime. Third Quarter Howard returned the second half kickoff 23 yards to the Green Bay 25-yard line. From there, Favre led the Packers all the way to the New England 37, but the Patriots made a key defensive stand, stopping Levens for no gain on 3rd down and 1, and then tackling him again for a 7-yard loss on 4th down. Then after driving to the Packers 41-yard line, New England was forced to punt, but they managed to pin Green Bay deep in their own territory when Howard made a fair catch of Tupa's 29-yard punt at the 12-yard line. On the ensuing drive, a 7-yard sack by Patriots cornerback Otis Smith helped the New England defense force the Packers to punt, and the Patriots got the ball back with great field position after Meggett returned Craig Hentrich's 48-yard punt 6 yards to the New England 47-yard line. Taking advantage of their excellent starting field position, New England drove 53 yards in 7 plays and scored on an 18-yard touchdown run by Martin to cut the Packers' lead to 27–21. But on the ensuing kickoff, Howard returned the ball 99 yards for a touchdown – the longest play in Super Bowl history (later broken in Super Bowl XLIII, and broken again in Super Bowl XLVII). Favre then completed a pass to tight end Mark Chmura for a successful two-point conversion, giving the Packers a 35–21 lead. Fourth Quarter The score proved to be the last one of the contest, as the defenses of both teams took over for the rest of the game. The Patriots limited the Packers to three punts and a missed 47-yard field goal attempt by Jacke. Green Bay did even better, not allowing New England to advance past their own 32-yard line. Furthermore, White sacked Bledsoe on back to back plays on the Patriots' first drive after Howard's game-clinching touchdown return. White then recorded a third sack late in the 4th quarter. Bledsoe was also intercepted twice in the final period (one by Newsome and the other one by linebacker Brian Williams). After the game, Favre reflected on his long road to becoming a Super Bowl champion, which included the death of his friend Mark Harvy in a car accident during the season. "Through everything I really believed I'd be here today. Right here in this stairwell, talking about being world champions. My best friend's gone forever. Trouble never seems to be far away, and the future won't be all rosy, but they can't take this away from me. Thirty years from now, the kids will be getting ready for Super Bowl LXI, and NFL Films will drag out Steve Sabol — he'll be around 102 then — and he'll talk about how Brett Favre fought through such adversity. And there will be other players and coaches. But I know this: We etched our place in history today." Freeman was the top receiver of the game, finishing with 105 receiving yards and a touchdown on only 3 receptions. Dorsey Levens was the game's leading rusher with 61 rushing yards, and caught 3 passes for 23 yards. Favre completed 14 out of 27 passes for 246 yards and 2 touchdowns, and had 12 rushing yards and another touchdown on 4 carries. Favre became the first Super Bowl-winning quarterback to have at least three touchdowns (Favre had 2 throwing, 1 rushing) and not be named Super Bowl MVP. Bledsoe finished the game with 11 more pass completions (25) than Favre, but only 7 more total passing yards (253). His four interceptions tied a Super Bowl record. Martin was limited to just 41 rushing yards and 1 touchdown on 11 carries, but he also caught 3 passes for 28 yards. Meggett recorded 155 combined net yards (117 kick return, 30 punt return, 8 receiving). Coates was the Patriots' leading receiver with 6 catches for 67 yards and a touchdown. This was the first Super Bowl played at the Superdome in which the home (and losing) team's point total was something other than 10. The Dallas Cowboys beat the Denver Broncos 27–10 in Super Bowl XII, the Oakland Raiders defeated the Philadelphia Eagles 27–10 in Super Bowl XV, the Chicago Bears beat the New England Patriots 46–10 in Super Bowl XX, and the San Francisco 49ers beat the Denver Broncos 55–10 in Super Bowl XXIV. The Packers also became the first dark-colored team to win a Super Bowl indoors. Box score Final statistics Sources: NFL.com Super Bowl XXXI, Super Bowl XXXI Play Finder GB, Super Bowl XXXI Play Finder NE Statistical comparison Individual statistics 1Completions/attempts 2Carries 3Long gain 4Receptions 5Times targeted Records set The following records were set in Super Bowl XXXI, according to the official NFL.com boxscore, the 2016 NFL Record & Fact Book and the ProFootball reference.com game summary. Some records have to meet NFL minimum number of attempts to be recognized. The minimums are shown (in parenthesis). † This category includes rushing, receiving, interception returns, punt returns, kickoff returns, and fumble returns. Turnovers are defined as the number of times losing the ball on interceptions and fumbles. Starting lineups Source: Aftermath Packers The Packers returned to the Super Bowl again the following year but were then outfought by the Denver Broncos in Super Bowl XXXII in San Diego, marking the first of their two consecutive Super Bowls to conclude the Hall of Fame career of John Elway. In 2007, the Packers were favored to return to the Super Bowl to face the Patriots again but were upset at Lambeau Field by the eventual champion New York Giants, who went on to knock off the previously undefeated Patriots. It proved to be Favre's final game as a Packer, but three years later, Favre's successor Aaron Rodgers helped drive the Packers to regain the Vince Lombardi Trophy in Super Bowl XLV in Dallas against the Pittsburgh Steelers. This was the Packers’ last win in the Superdome for 23 years; their next win wouldn't come until Week 3 of the 2020 season. Patriots Five years later, Belichick had returned to the Patriots and was in his second season as head coach, while Milloy, Law, Vinatieri, McGinest, Tedy Bruschi and Otis Smith, who all played in this Super Bowl, were still with the team when they made an unexpected return to the Superdome to face the "Greatest Show on Turf" St. Louis Rams in Super Bowl XXXVI. Bledsoe was also still there, but was now backing up Tom Brady, who was then just a second-year player who had thrown only three passes in his rookie season but had gone 11-3 as a starter to finish the regular season after Bledsoe had been knocked out in Week 2 against the Jets. (Bledsoe had replaced Brady after Pittsburgh's Lee Flowers knocked Brady out of the AFC Championship Game and proceeded to throw for a touchdown.) Law gave the Patriots a lead with an interception return for a
Rouen's 47-yard kick planted Green Bay at their own 5-yard line with 7:38 left in the quarter. But Green Bay stormed down the field on their ensuing drive, marching 95 yards in 17 plays and scoring with Favre's 6-yard touchdown pass to tight end Mark Chmura with just 12 seconds left in the half. Thus at halftime, the Broncos held a slim 17–14 lead. Third quarter Green Bay kicked to Denver to start the second half. On the first play after the kickoff, Packer defensive back Tyrone Williams forced and recovered a fumble from Davis. Green Bay took possession with good field position at the Broncos' 26-yard line to begin the second half. But Denver's defense forced a three-and-out. However, on the ensuing field goal attempt, Denver's special teams were called for an offsides penalty, giving the Packers a second 1st and 10 at the Broncos' 15-yard line. But the Broncos defense forced a second three-and-out in back-to-back possessions, stalling the Packers' drive at the 9-yard line and forcing them to settle for a 27-yard Ryan Longwell field goal, tying the game at 17–17. Green Bay kicked off once again and Denver's offense stalled once more, resulting in a punt, giving the Packers possession with good field position again, this time near their 40-yard line. But Denver's defense forced another three-and-out for the third straight time. However, again on the ensuing punt, the Broncos' special teams were called for an offsides penalty, giving Green Bay a fresh set of downs near midfield. Denver's defense then forced another punt with a fourth three-and-out in a row. Green Bay punter Craig Hentrich's 51-yard kick pinned the Broncos back at their own 8-yard line. But the Packers' defense could not stop Denver as they marched on a 13-play, 92-yard drive to regain the lead. Aided by a 36-yard reception by receiver Ed McCaffrey, the Broncos advanced to the Green Bay 12-yard line. On 3rd and 6 from the 12-yard line, Elway scrambled for an 8-yard run and dove for the first down, a play in which he was hit so hard by Packers defenders Butler and Mike Prior that he spun sideways in mid-air. This run was later referred to as "The Helicopter," and what many consider as Elway's career-defining moment and the defining moment of Super Bowl XXXII. Two plays later, Davis scored on another 1-yard touchdown run, giving the Broncos the lead, 24–17. On the ensuing kickoff, Denver's special teams player Detron Smith ran full speed into the wedge of the Green Bay blockers, forcing Freeman outside, to his left. Freeman was hit as he held the ball exposed while running sideways and fumbled, then Denver defensive back Tim McKyer recovered the ball at the Packers' 22-yard line. The Broncos immediately tried to capitalize on the turnover by trying a quick-strike touchdown pass, intended for Rod Smith as he ran a post pattern following a fake handoff and a roll out by Elway, but Packers safety Eugene Robinson intercepted Elway's pass in the end zone and returned it to the 15-yard line. Fourth quarter After the interception, the Packers marched 85 yards on four straight pass completions, three of them receptions by Freeman, to tie the game once again 1:28 into the 4th quarter with Freeman's 13-yard touchdown catch. On the scoring play, Freeman and Robert Brooks ran a "criss-cross" pattern, with Freeman on the inside running towards the sidelines. Denver defensive back Darrien Gordon hesitated as to which receiver to cover, and Favre hit Freeman for the score, tying the game at 24–24. After the ensuing kick-off, the Packers forced Denver's offense to punt. With a short punt of only 33 yards, the Packers took possession with good field position, having 1st-and-10 at their own 48-yard line. The Packers drove to Denver's 39-yard line. On 3rd and 8, Favre dropped back to pass and Denver's defense blitzed, leaving Packers receiver Robert Brooks to face one-on-one coverage deep. Favre attempted the pass to a seemingly wide-open Brooks at Denver's 16-yard line, but Broncos safety Steve Atwater closed in and knocked the pass away at the last second, leaving the Packers just outside of field-goal range and forcing another punt. The Packers' defense was able to stop Denver's offense on the ensuing possession again, giving Green Bay 1st-and-10 at their own 10-yard line with 5:25 remaining in the game and a chance at a game winning drive with Favre, the 3-time league MVP, at the helm. With the game in the balance, the Broncos defense forced a fifth critical three-and-out in the second half. Packers kicker Hentrich then punted the ball 39 yards to the Packers' 49-yard line, giving Denver a chance to end the game on a potentially game-winning drive with only 3:27 left in the game. On the first play of the ensuing drive, Packers linebacker Darius Holland committed a 15-yard face-mask penalty while tackling Davis on a 2-yard run, moving the ball to the 32-yard line. Two plays later, Elway completed a 23-yard pass to fullback Howard Griffith, aided by a powerful block by Ed McCaffrey. A holding penalty pushed the Broncos back to the 18-yard line, but then Davis rushed 17 yards to the 1-yard line, and the Broncos called a time-out. This left the Broncos facing 2nd and goal with 1:47 left on the clock. Green Bay had two time-outs remaining. Packers coach Mike Holmgren told his team to let the Broncos score to maximize the time the Packers would have on the clock for a potential game-tying drive. He admitted later that he had thought that it was 1st and goal rather than 2nd and goal, a crucial distinction in clock-management decision-making on the play. Davis then scored his third rushing touchdown on 2nd and goal, leaving 1:45 on the clock. The Broncos now had a one-touchdown lead, with the score 31–24. The Packers attempted one final drive to try to tie the game before the end of regulation and send the contest into overtime. Shanahan famously instructed his defensive coordinators to keep playing the same blitzing defense they'd done throughout the game as Green Bay attempted to drive downfield in the final two minutes, rather than playing prevent defense. Freeman returned the Broncos' kickoff 22 yards to the 30-yard line. On the very first play of the drive, the Packers advanced to the Broncos' 48-yard line with a 22-yard screen pass to Levens, leaving them in Broncos Territory with 1:30 still remaining in the game and two time-outs. But following the first pass, rather than use one of their time-outs, the Packers hurried to the line of scrimmage and ran a second consecutive screen pass to Levens. The pass was complete, but Levens was stopped for no gain. The play cost the Packers 19 seconds, leaving 1:11 on the game clock and also forcing the Packers to take one of their two time-outs. On the next play Favre completed another pass to Levens. Levens picked up 13 yards and was able to run out of bounds, stopping the clock with 1:04 left in the game. The Packers had 1st-and-10 at the Broncos' 35-yard line with one time-out remaining. The Broncos defense would stop the Packers on the next four downs. On the first-down play, Favre completed a 4-yard pass to Levens, but he was stopped in-bounds. The Packers hurried to the line but 20 seconds ran off before Favre could attempt a second pass. On second down, Favre attempted a pass downfield that hit receiver Antonio Freeman in both hands and the chest at the Broncos' 15, but Freeman could not handle the ball. The incomplete pass stopped the clock, but left the Packers with 3rd-and-6 and now only :37 seconds remaining. On 3rd down, Favre intended the pass for receiver Robert Brooks, covered by Denver's Randy Hilliard, but both were hit by Atwater, and the pass was incomplete. All three players were knocked out of the game. Because of NFL rules regarding injuries to players in the final two minutes of a game, both teams were charged a time-out since players on both teams were injured and needed to be tended to. This left the Packers facing 4th and 6 with the ball at the Broncos' 31-yard line, with no time-outs and the clock stopped at :32 seconds remaining. On 4th down, Denver linebacker John Mobley broke up a pass intended for Chmura, enabling the Broncos to take the ball back and run out the clock for the victory. Post-game During the post-game victory celebration, Broncos owner Pat Bowlen held the Vince Lombardi Trophy in the air and said, "This one's for John," referring to the fact that Elway's long quest for a Super Bowl victory was finally complete. Eighteen years later, Elway, now general manager for the team, would salute an Alzheimer's-stricken Bowlen in the same fashion after the Broncos won Super Bowl 50. A remarkable fact about Denver's offensive performance was that, except for two penalties and Elway's kneel-downs to end each half, the Broncos did not lose yardage on any play from scrimmage. Green Bay's Reggie White, Gilbert Brown, LeRoy Butler and others were unable to register a sack against the Broncos' front line. Elway completed 12 out of 22 passes for 123 yards, with 1 interception. He became the sixth player to score touchdowns in three different Super Bowls, joining Lynn Swann, Franco Harris, Thurman Thomas, Jerry Rice, and Emmitt Smith. He was also the Broncos' second-leading rusher behind Davis, with 17 yards and a touchdown on 5 carries. Terrell Davis became the only player to rush for three touchdowns in a Super Bowl, and the only non-San Francisco 49er to score three touchdowns in a Super Bowl; Roger Craig, Jerry Rice, and Ricky Watters were the only other players to do so. Rice had 3 touchdown catches in two different Super Bowls. This feat has only been accomplished one time since Davis, by James White in Super Bowl LI. Davis's three touchdowns in this Super Bowl gave him a total of 48 points (8 touchdowns) during the postseason, an NFL record. Denver's defense limited Green Bay to only 10 points in the second half, despite Green Bay having nine possessions in the second half. The Packers' first four possessions of the second half were all 3-and-out's. Their fifth possession of the second half resulted in a lost fumble by
The game was close throughout much of the contest. The Broncos converted two turnovers to take a 17–7 lead in the second quarter before the Packers cut the score to 17–14 at halftime. Green Bay kept pace with Denver in the second half, before tying the game with 13:31 remaining. Both defenses stiffened until Broncos running back Terrell Davis scored the go-ahead touchdown with 1:45 left. Despite suffering a migraine headache that caused him to miss most of the second quarter, Davis (who is coincidentally a San Diego native) was named Super Bowl MVP. He ran for 157 yards, caught two passes for 8 yards, and scored a Super Bowl record three rushing touchdowns. Background NFL owners awarded Super Bowl XXXII to San Diego during their October 26, 1993 meeting in Chicago. This was the second time San Diego hosted the game; the city previously hosted Super Bowl XXII ten years earlier on January 31, 1988. The Broncos played in both San Diego Super Bowls and became the first franchise to play two different Super Bowls in the same stadium twice; they had already played twice at the Louisiana Superdome, in Super Bowls XII and XXIV. Green Bay Packers The Packers entered the 1997 season coming off of their win in Super Bowl XXXI. They then repeated as NFC Central division champions, earning a 13–3 regular-season record. Green Bay's offense ranked 2nd in the league in points scored and 4th in yards gained, while their defense respectively ranked 5th and 7th in those two categories. Quarterback Brett Favre had another Pro Bowl season and became the first player ever to win the NFL MVP award three times, winning it for the third consecutive year (Favre was named co-MVP in 1997 with Detroit Lions running back Barry Sanders). Favre led the league with 35 passing touchdowns and completed 304 out of 513 attempts for 3,867 yards, with 16 interceptions, while ranking second on the team in rushing with 187 yards and a touchdown. Wide receiver Antonio Freeman led the team in receptions with 81 catches for 1,243 yards and 12 touchdowns. Wide receiver Robert Brooks was also a major deep threat, catching 60 passes for 1,010 yards and 7 touchdowns. Pro Bowl tight end Mark Chmura recorded 38 receptions for 417 yards and 6 touchdowns. Pro Bowl running back Dorsey Levens led the team in rushing with 1,435 yards and 7 touchdowns, while also catching 53 passes for 373 yards and 5 touchdowns. Fullback William Henderson rushed for 113 yards and caught 41 passes for 367 yards and a touchdown. On special teams, receiver Bill Schroeder led the team with 33 punt returns for 342 yards, while also gaining 562 yards on 24 kickoff returns. On the Packers' defense, the line was led by veteran Pro Bowl selection Reggie White, who led the team with 11 sacks. Behind him, Santana Dotson recorded 37 tackles and 5.5 sacks. In the secondary, Pro Bowl defensive back LeRoy Butler led the team with 5 interceptions, while also adding 70 tackles. Safety Eugene Robinson led the team with 74 tackles while also recording 2.5 sacks, 2 fumble recoveries, and 1 interception. Cornerback Mike Prior recorded 4 interceptions, while rookie Darren Sharper recorded 2 of them, both of which he returned for touchdowns. Denver Broncos The Broncos entered Super Bowl XXXII after suffering four Super Bowl losses: Super Bowls XII, XXI, XXII, and XXIV from 1978, 1987, 1988, and 1990, respectively. In all of those losses, the Broncos never had the ability to rush well enough or score enough points to be competitive. Denver had been defeated by a large margin in each one, losing all four by a combined scoring margin of 163–50. The previous three Super Bowl losses were under starting quarterback John Elway, whose ad-libbing skills enabled the Broncos to advance to the league's championship game in a span of three out of four seasons. Elway also led his team to the 1991 AFC Championship Game, but they lost in a defensive struggle to the Buffalo Bills, 10–7. The team's fortunes changed when Mike Shanahan became head coach of the Broncos in 1995. Shanahan was previously Denver's offensive coordinator during those Super Bowl losses, but was fired in 1991 after a power struggle between him and then-head coach Dan Reeves over the offensive personnel. Shanahan then served as the offensive coordinator for the San Francisco 49ers from 1992 to 1994, including the 49ers' Super Bowl XXIX win. Under Shanahan, the San Francisco offense ranked first in the league in total yards gained for all three of his seasons there. When Shanahan returned to the Broncos in 1995, he selected running back Terrell Davis in the 6th round of the NFL draft. Davis became the cornerstone of Denver's rebuilt running game, leading the team with 1,117 rushing yards in just his rookie year. The Broncos finished the 1995 regular season with just an 8–8 record. By 1996, the Broncos had the league's best offense, gaining 5,791 total yards, and recorded the AFC's best regular-season record at 13–3, but they were upset by the second-year Jacksonville Jaguars, 30–27 in the playoffs. During the 1997 regular season, the Broncos once again had the league's best offense with 5,872 total yards and led the league in total points scored with 472. Although they recorded a 12–4 regular-season record, they finished in second place behind the 13–3 Kansas City Chiefs in the AFC West. Davis, a Pro Bowl selection, remained the team's leading rusher, recording 1,750 yards and 15 touchdowns, while also catching 42 passes for 287 yards. At 37 years old, Elway still posted a Pro Bowl season with 280 out of 502 completions for 3,635 yards, 27 touchdowns, and only 11 interceptions. He also rushed for 215 yards and another touchdown. Pro Bowl tight end Shannon Sharpe led the team with 72 receptions for 1,107 yards. Wide receiver Rod Smith, who was not drafted by any NFL team and recorded only 22 receptions for 389 yards and 3 touchdowns in his two previous seasons, had a breakout year with 70 receptions for 1,180 yards and 12 touchdowns. Wide receiver Ed McCaffrey, who played in Shanahan's 1994 49ers offense, recorded 45 receptions for 590 yards and 8 touchdowns. Denver's offensive line was led by seven-time Pro Bowl left tackle Gary Zimmerman and Pro Bowl center Tom Nalen. On defense, the major acquisition to the team prior to the season was former Chiefs defensive lineman Neil Smith. Smith had a Pro Bowl season for the 6th time in his career with 28 tackles and 8.5 sacks. Defensive end Alfred Williams recorded 36 tackles, 8.5 sacks, and a fumble recovery. The linebacking corps was led by veteran Bill Romanowski, who had 55 tackles and 2 sacks, and John Mobley, who led the team with 97 tackles while also recording 4 sacks, a fumble recovery, and an interception. The secondary was led by veteran defensive backs Tyrone Braxton, who led the team with 4 interceptions for 113 yards and 1 touchdown, and Steve Atwater, who had 53 tackles, 1 sack, 2 fumble recoveries, and 2 interceptions for 42 yards and 1 touchdown. Defensive back Darrien Gordon recorded 50 tackles, 2 sacks, 4 fumble recoveries, 4 interceptions, 64 return yards, and 1 touchdown. He also returned 40 punts for 543 yards and 3 touchdowns. Playoffs The Broncos entered the playoffs as a wild-card team and defeated the Jacksonville Jaguars, 42–17, the Kansas City Chiefs, 14–10, and the Pittsburgh Steelers, 24–21, making Denver the fifth wild-card team to make it to the Super Bowl. Meanwhile, the Packers were victorious against the Tampa Bay Buccaneers, 21–7, and the San Francisco 49ers, 23–10. Super Bowl pregame news The Packers came into the game as 11-point favorites, having compiled a 13–3 record regular-season record compared to the Broncos' 12–4 and coming in as defending Super Bowl champions after winning Super Bowl XXXI 35–21 over the New England Patriots. Furthermore, the Packers had easily crushed their two playoff opponents, while the Broncos had barely edged out their final two postseason victories by a margin of one score. As the designated home team in the annual rotation between AFC and NFC teams, the Broncos chose to wear their newly unveiled home navy uniforms with white pants. The uniforms replaced the "Orange Crush" uniforms they previously wore in three of their four Super Bowl losses. The Packers wore their customary road white uniforms with gold pants. Broadcasting The game was televised in the United States by NBC, with play-by-play announcer Dick Enberg (calling his eighth and final Super Bowl), color commentators Phil Simms and Paul Maguire, and sideline reporter Jim Gray. Greg Gumbel hosted all the events, and was joined by co-host Ahmad Rashad and commentators Cris Collinsworth, Sam Wyche, and Joe Gibbs. Following the game, NBC aired a special one-hour episode of 3rd Rock from the Sun, which opened live at the game site with Gumbel playing himself before he was "attacked" by show star John Lithgow (except for the NBC affiliate in Denver, which broadcast 30 minutes of post-game reactions and interviews before screening the programme). During the game, NBC (partnering with Silicon Graphics Inc.) included real-time 3D computer graphics on SGI's Onyx2 computers to display a model of Qualcomm Stadium and simulating real-time animation of things such as receiver patterns and yards after the catch; along with a second model known as "Football Guy" which allowed viewers to see defensive players from the quarterback's vantage point, with those replays handled by Randy Cross. This broadcast was the last for NBC as the AFC network after 33 years (CBS has held the AFC broadcast rights ever since), their last NFL broadcast overall until 2006, when they signed on to televise Sunday Night Football, and their last Super Bowl broadcast until 2009 (Super Bowl XLIII). This was also the last time Channel 4 in the United Kingdom showed the Super Bowl – and their last NFL coverage until 2010 – after they had been showing the event since 1983 (Super Bowl XVII). Only Sky Sports showed it live until Channel 5 joined them in 2003 (Super Bowl XXXVII). It also marked the last Super Bowl until 2007 for CTV in Canada after airing the NFL and the event since Super Bowl XVI; from 1999 to 2006 the Super Bowl aired on the Global Television Network. CTV had aired NFL football since 1970 and the Super Bowl since 1982 (Super Bowl XVI). It was also the final NFL game for GMA Network in the Philippines until the 2006 season; GMA had aired NFL football since 1986 and the Super Bowl since Super Bowl XXI in 1987. The Super Bowl was broadcast on ABC 5, also from 1999 until 2006. It was also the final Super Bowl in which the Televisa family of networks aired on its own in Mexico, also until 2007, being broadcast on Canal 5; Televisa had aired NFL football since 1970 and the Super Bowl since 1988 (at the time, the only other Super Bowl in San Diego). Azteca 13 likewise exclusively aired the Super Bowl from 1999 until 2006, including Super Bowl XXXVII which was the next Super Bowl to be played at Qualcomm Stadium. This game was later featured on NFL's Greatest Games as This One's for John. Entertainment Pregame ceremonies The pregame show, narrated by actor and comedian Phil Hartman (who was murdered four months and three days later), celebrated the music and history of California. It featured performances by The 5th Dimension, Lee Greenwood, and The Beach Boys. Singer Jewel later sang the U.S. national anthem. To honor the 10th anniversary of the Washington Redskins' win in Super Bowl XXII, the only other previous Super Bowl played in San Diego, the game's MVP, Doug Williams, and former head coach Joe Gibbs participated during the coin toss ceremony. They were joined by the recently retired, longtime college football head coach Eddie Robinson, who ran the Grambling State University Tigers football team from 1942 until 1997. Halftime show The halftime show was titled "A Tribute to Motown's 40th Anniversary" and featured Boyz II Men, Smokey Robinson, Queen Latifah, Martha Reeves and The Temptations. Game summary First quarter Packers wide receiver Antonio Freeman returned the opening kickoff 19 yards to the Green Bay 24-yard line. On the third play of the drive, quarterback Brett Favre kept the offense on the field by completing a 13-yard pass to Freeman on 3rd down and 9. Then running back Dorsey Levens rushed the
Reeves was Denver's head coach from 1981 to 1992, leading the Elway-led Broncos to Super Bowls XXI, XXII, and XXIV. However Elway and the Broncos lost all three, including a 55–10 loss to the San Francisco 49ers in Super Bowl XXIV. Reeves was in constant conflict with his coaching staff and some of his players for the three ensuing seasons. He left Denver in 1993 and spent four seasons as the head coach of the New York Giants before joining the Falcons. Pro Bowl quarterback Chris Chandler led Atlanta's offense extremely well, throwing for 3,154 yards and 25 touchdowns with just 12 interceptions, while also rushing for 121 yards and 2 touchdowns. Wide receivers Tony Martin and Terance Mathis provided the team with a superb deep threat, each recording over 60 receptions and 1,100 receiving yards, while also combining for 17 touchdowns. Tight end O.J. Santiago added 27 receptions for 428 yards and 5 scores. However, the biggest threat on offense was Pro Bowl running back Jamal Anderson, who rushed for 1,846 yards, caught 27 passes for 319 yards, and scored 16 total touchdowns. Rookie wide receiver Tim Dwight gave the team a great special teams attack, gaining a total of 1,236 yards and scoring a touchdown on kickoff and punt returns. The Falcons' defense ranked second in the league for fewest rushing yards allowed (1,203), eighth for fewest total yards allowed (5,009), and fourth for fewest points allowed. Defensive linemen Lester Archambeau (10 sacks, 2 fumble recoveries, 5 forced fumbles), Chuck Smith (8.5 sacks, 4 fumble recoveries, 3 forced fumbles) and Shane Dronett (6.5 sacks, 4 force fumbles) excelled at pressuring quarterbacks and stopping the run. Behind them, Atlanta had two outstanding linebackers, Pro Bowler Jessie Tuggle (65 tackles, 3 sacks, 1 fumble recovery) and Cornelius Bennett (69 tackles, 1 sack, 2 fumble recoveries). Bennett played with the Buffalo Bills when they suffered their four consecutive defeats in Super Bowls XXV, XXVI, XXVII, and XXVIII; and thus was determined to finally get a championship ring that had eluded him in the past. Atlanta's secondary was led by Pro Bowl cornerback Ray Buchanan, who recorded 7 interceptions and 102 return yards, and Pro Bowl safety Eugene Robinson (4 interceptions), who was with the Green Bay Packers when they appeared in Super Bowls XXXI and XXXII. The season was punctuated by Reeves receiving emergency coronary bypass surgery after Week 14. Doctors said he could have been "within hours of a catastrophic heart attack." Although asked to rest for at least six weeks, Reeves returned to the sidelines for Week 17. Then-defensive coordinator Rich Brooks substituted for Reeves as head coach in Weeks 15 and 16, and won both games. The Falcons did not return to the Super Bowl until 2016, when they lost 34–28 in overtime to the New England Patriots in Super Bowl LI. Playoffs The Broncos demolished the Miami Dolphins 38–3 and beat the New York Jets 23–10 in the playoffs. Meanwhile, the Falcons were victorious against the San Francisco 49ers, 20–18 and then upset the heavily favored 15–1 Minnesota Vikings on the road, 30–27 in overtime. This was the third Super Bowl in history that featured two teams with two losses or less, and second since the advent of the 16-game schedule. Both teams came into the game with 16–2 records after the playoffs. The first was Super Bowl XII, featuring two 12–2 teams: the Dallas Cowboys and the Denver Broncos. The only Super Bowl featuring a better matchup record-wise was Super Bowl XIX, when the San Francisco 49ers had a 17–1 record and the Miami Dolphins had a 16–2 record. Super Bowl pregame news Much of the pregame hype was centered around John Elway confronting his former coach Reeves. Denver head coach Mike Shanahan was hurt and angered by Reeves' pregame assertion that Shanahan and Elway had conspired to have him fired during his stint at Denver. Media coverage also focused on whether or not Elway would retire after the season (which he eventually did). Elway became the first quarterback to start five Super Bowls; he previously started Super Bowls XXI, XXII, XXIV, and XXXII. Broncos defensive lineman Mike Lodish was making his record sixth appearance in a Super Bowl. He played with Buffalo in all four of their Super Bowl losses (Super Bowl XXV through XXVIII) and with Denver's first Super Bowl win the year before. On the night before the Super Bowl, Falcons safety Eugene Robinson was arrested for solicitation of prostitution. While driving alone in a rented car along a downtown Miami street, he approached a female undercover police officer posing as a prostitute and offered $40 for oral sex. Although he was released from jail and allowed to play the game, he was widely denounced by the press and fans for the incident. Ironically, on the morning of the day Robinson was arrested for the incident, he had received the Bart Starr Award for his "high moral character." As the designated home team in the annual rotation between AFC and NFC teams, the Falcons chose to wear their regular black home uniforms with silver pants, with the Broncos going for the road white uniforms and pants. Broadcasting The game was broadcast in the United States by Fox and featured the broadcast team of play-by-play announcer Pat Summerall and color commentator John Madden. James Brown hosted all the events with help from his then-fellow Fox NFL Sunday cast members Terry Bradshaw, Howie Long and Cris Collinsworth. Actress Calista Flockhart, then the star of Fox's Ally McBeal, and heavyweight champion Evander Holyfield, both big Falcons fans, were in attendance for the game. Miami became the first Super Bowl host city to have games televised by all four major American broadcast networks. CBS televised Super Bowls II and X (and later XLI and XLIV), NBC televised Super Bowls III, V, XIII, and XXIII, and ABC televised Super Bowl XXIX. After the game, Fox aired the pilot episode of Family Guy, "Death Has a Shadow". Family Guy would become, at the time, only the fourth series to premiere after the Super Bowl and then have a very successful, lengthy run afterwards. The three other successful series that premiered after the Super Bowl were The A-Team after Super Bowl XVII, The Wonder Years after Super Bowl XXII, and Homicide: Life on the Street after Super Bowl XXVII This was followed by The Simpsons episode "Sunday, Cruddy Sunday". With this appearance, the Broncos became the first team to play in Super Bowls televised on all four major broadcast networks in the United States. CBS televised the Broncos' losses in Super Bowls XII, XXI, and XXIV (and later their Super Bowl 50 victory), ABC their loss in Super Bowl XXII, and NBC their win in Super Bowl XXXII. The Pittsburgh Steelers became the second with their appearance in Super Bowl XLV, the New York Giants the third with their appearance in Super Bowl XLVI, the San Francisco 49ers the fourth with their appearance in Super Bowl LIV, and the Los Angeles Rams the fifth with their appearance in Super Bowl LVI. The starting lineups were shown using a virtual television. To television viewers, it appeared as if the end zone opened up and a giant television came up out of the ground. The virtual television displayed video announcing the starting lineups. The virtual television effect was provided by PVI Virtual Media Services using their L-VIS virtual graphics system. Counterprogramming During halftime, USA Network aired a special edition of WWF Sunday Night Heat called Halftime Heat featuring a match between The Rock and Mankind for the WWF Championship in an Empty Arena Match that took place in Arizona and had been taped five days before. Mankind won the title, just seven days after losing it to The Rock at the Royal Rumble. FoxSports.com also ran an online-only Internet halftime show, Webcast live from South Beach Miami, and hosted by then-Fox Sports Net anchorman Keith Olbermann. This halftime show was sponsored by Victoria's Secret and available exclusively in Windows Media Player. Viewer questions were solicited via the FoxSports.com website. Entertainment Pregame ceremonies The pregame show, narrated by actress Tori Spelling, depicted the adventure of a Caribbean cruise from its festive departure to its journey to exotic destinations. The show included a performance by KISS, along with their trademark elaborate costumes and theatrical pyrotechnics. Cher later sang the U.S. national anthem. To honor the 40th anniversary of the 1958 NFL Championship, also known as "The Greatest Game Ever Played", the following participants of that game appeared during the coin toss ceremony: Raymond Berry, Lenny Moore, Jim Parker, Art Donovan, Gino Marchetti, Frank Gifford, Roosevelt Brown, Don Maynard, Sam Huff, and Tom Landry, the defensive coordinator of the New York Giants. Weeb Ewbank, head coach of the Baltimore Colts in that game, was also scheduled to appear, but died November 17, 1998. Halftime show The halftime show was titled "A Celebration of Soul, Salsa and Swing" and featured Big Bad Voodoo Daddy, Stevie Wonder, and Gloria Estefan. Big Bad Voodoo Daddy performed their song "Go Daddy-O". Wonder sang "Sir Duke", "You Are the Sunshine of My Life", and "I Wish". And Miami-native Estefan performed "Oye!" and "Turn the Beat Around", then a special performance by Stevie Wonder and Estefan was given performing Estefan's hit "You'll Be Mine (Party Time)". The halftime show was sponsored by Progressive Auto Insurance. Progressive, in doing so, was the first auto insurer to be the title sponsor of a Super Bowl halftime show. The show was produced by Radio City Productions. The show featured 1,000 performers. Effects included large lighted balloon balls, lasers, pyrotechnics. The show was preceded with a brief skit featuring Estefan and Wonder with the character E.T. the Extra-Terrestrial, who had appeared in Super Bowl advertisements run that night for the show's title sponsor Progressive Auto Insurance. The performance began with Big Bad Voodoo Daddy performing "Go Daddy-O". Wonder then entered the field in a vintage automobile, while performing "Sir Duke". He sat at a keyboard and performed "You Are the Sunshine of My Life". During this song, dancers unrolled large swaths of cloth to form an image of a sun on the field. He then performed "I Wish", during which he was joined on stage by tap dancer Savion Glover. Wonder briefly joined Savion in tap dancing. The performance then saw Estefan make her entrance. She sang "Oye!" followed by "Turn the Beat Around". During "Turn the Beat Around", dancers on the field swung long lighted ropes. The performance ended with Wonder and Estefan both performing "You'll Be Mine (Party Time)". During this final song, Wonder wore a jacket with the word "African" on one sleeve and the word "American" on the other. The show took place around the time of the end of commercial success of the swing revival. Music journalist Rob Sheffield has likened it to marking an end of 1990s music culture in the same that many regard the
and Los Angeles. Owners initially planned on selecting only two hosts (XXXIII and XXXIV), but decided to name three after strong showings by the respective delegations. Miami, Atlanta, and Tampa were selected to host XXXIII, XXXIV, and XXXV, respectively. This was the eighth time that the South Florida area hosted the game, and the third at Pro Player Stadium (formerly Joe Robbie Stadium). Following Super Bowl XXXII, which was played at Qualcomm Stadium in San Diego, Super Bowl XXXIII would mark the last time back-to-back Super Bowls were played outdoors until Super Bowls XLIII, which was held at Raymond James Stadium in Tampa, and XLIV, which was played at Pro Player Stadium, now known as Hard Rock Stadium. Denver Broncos Following the Broncos' victory during Super Bowl XXXII the previous season, many wondered if 15-year veteran quarterback John Elway would retire after finally winning a Super Bowl. But Elway decided to stay with Denver and see if he could lead them to a second consecutive championship. Under the leadership of head coach Mike Shanahan, the Broncos stormed to the top of the AFC with a 14–2 regular record in 1998, winning their first 13 games before suffering their first loss to the New York Giants. The Broncos' offense, under the leadership of Elway and running back Terrell Davis, had another outstanding regular season, ranking second in the NFL with 501 points and third in total offense with 6,276 yards. Davis had one of the greatest seasons of any running back in NFL history, rushing for 2,008 yards, catching 25 passes for 217 yards, and scoring 23 touchdowns to earn him both the NFL Most Valuable Player Award and the NFL Offensive Player of the Year Award. Nevertheless, Davis' rushing numbers did not reduce Elway's passing production. The 38-year-old quarterback made the Pro Bowl for the 3rd year in a row and the 9th time in his career, throwing for 2,806 yards and 22 touchdowns, with only 10 interceptions. A big reason for Elway's passing success was that he had two Pro Bowl wide receivers and a Pro Bowl tight end to throw to. Wide receivers Ed McCaffrey (64 receptions, 1,053 yards and 10 touchdowns) and Rod Smith (86 receptions, 1,222 yards, 6 touchdowns, and 66 rushing yards) provided the team with outstanding deep threats, while tight end Shannon Sharpe (64 receptions, 786 yards and 10 touchdowns) provided a sure-handed target over the middle. The Broncos also had three Pro Bowlers anchoring their offensive line: center Tom Nalen, guard Mark Schlereth, and tackle Tony Jones. On special teams, running back Vaughn Hebron returned 46 kickoffs for 1,216 yards and a touchdown, giving him a 26.4 yards per return average. The Broncos' defense typically did not get as much attention as their offense, but it was still effective, giving up 308 points (8th fewest in the NFL). Up front, the line was anchored by defensive tackles Maa Tanuvasa and Trevor Pryce, who each recorded 8.5 sacks. Behind them, Pro Bowl linebacker Bill Romanowski recorded 55 tackles, 7.5 sacks, 3 fumble recoveries, and 2 interceptions. The secondary was led by Pro Bowler Steve Atwater and Darrien Gordon, who led the team with 4 interceptions, which he returned for 125 yards and a touchdown. Gordon was also a great punt returner, returning 34 punts for 379 yards. Atlanta Falcons The Falcons advanced to their first Super Bowl in franchise history. Like the Broncos, they finished the 1998 regular season with a 14–2 record, including wins in each of their last nine games. Unlike the Broncos, Atlanta's success in 1998 was very surprising to many because they had a 7–9 record in the previous season and a 3–13 record the year before that. In fact, the franchise recorded just four non-losing seasons in the nineteen years prior to 1998, and just two in its previous fifteen. The Falcons' fortunes began to improve after Dan Reeves became their head coach in 1997. During Reeves' first season with Atlanta, they finished the season 6–2, after starting out 1–7, to compile a 7–9 record overall. Reeves was Denver's head coach from 1981 to 1992, leading the Elway-led Broncos to Super Bowls XXI, XXII, and XXIV. However Elway and the Broncos lost all three, including a 55–10 loss to the San Francisco 49ers in Super Bowl XXIV. Reeves was in constant conflict with his coaching staff and some of his players for the three ensuing seasons. He left Denver in 1993 and spent four seasons as the head coach of the New York Giants before joining the Falcons. Pro Bowl quarterback Chris Chandler led Atlanta's offense extremely well, throwing for 3,154 yards and 25 touchdowns with just 12 interceptions, while also rushing for 121 yards and 2 touchdowns. Wide receivers Tony Martin and Terance Mathis provided the team with a superb deep threat, each recording over 60 receptions and 1,100 receiving yards, while also combining for 17 touchdowns. Tight end O.J. Santiago added 27 receptions for 428 yards and 5 scores. However, the biggest threat on offense was Pro Bowl running back Jamal Anderson, who rushed for 1,846 yards, caught 27 passes for 319 yards, and scored 16 total touchdowns. Rookie wide receiver Tim Dwight gave the team a great special teams attack, gaining a total of 1,236 yards and scoring a touchdown on kickoff and punt returns. The Falcons' defense ranked second in the league for fewest rushing yards allowed (1,203), eighth for fewest total yards allowed (5,009), and fourth for fewest points allowed. Defensive linemen Lester Archambeau (10 sacks, 2 fumble recoveries, 5 forced fumbles), Chuck Smith (8.5 sacks, 4 fumble recoveries, 3 forced fumbles) and Shane Dronett (6.5 sacks, 4 force fumbles) excelled at pressuring quarterbacks and stopping the run. Behind them, Atlanta had two outstanding linebackers, Pro Bowler Jessie Tuggle (65 tackles, 3 sacks, 1 fumble recovery) and Cornelius Bennett (69 tackles, 1 sack, 2 fumble recoveries). Bennett played with the Buffalo Bills when they suffered their four consecutive defeats in Super Bowls XXV, XXVI, XXVII, and XXVIII; and thus was determined to finally get a championship ring that had eluded him in the past. Atlanta's secondary was led by Pro Bowl cornerback Ray Buchanan, who recorded 7 interceptions and 102 return yards, and Pro Bowl safety Eugene Robinson (4 interceptions), who was with the Green Bay Packers when they appeared in Super Bowls XXXI and XXXII. The season was punctuated by Reeves receiving emergency coronary bypass surgery after Week 14. Doctors said he could have been "within hours of a catastrophic heart attack." Although asked to rest for at least six weeks, Reeves returned to the sidelines for Week 17. Then-defensive coordinator Rich Brooks substituted for Reeves as head coach in Weeks 15 and 16, and won both games. The Falcons did not return to the Super Bowl until 2016, when they lost 34–28 in overtime to the New England Patriots in Super Bowl LI. Playoffs The Broncos demolished the Miami Dolphins 38–3 and beat the New York Jets 23–10 in the playoffs. Meanwhile, the Falcons were victorious against the San Francisco 49ers, 20–18 and then upset the heavily favored 15–1 Minnesota Vikings on the road, 30–27 in overtime. This was the third Super Bowl in history that featured two teams with two losses or less, and second since the advent of the 16-game schedule. Both teams came into the game with 16–2 records after the playoffs. The first was Super Bowl XII, featuring two 12–2 teams: the Dallas Cowboys and the Denver Broncos. The only Super Bowl featuring a better matchup record-wise was Super Bowl XIX, when the San Francisco 49ers had a 17–1 record and the Miami Dolphins had a 16–2 record. Super Bowl pregame news Much of the pregame hype was centered around John Elway confronting his former coach Reeves. Denver head coach Mike Shanahan was
to the postseason after a period of struggles and relocation. Led by The Greatest Show on Turf offense, the Rams entered their second Super Bowl appearance with an NFC-best 13–3 regular season record. Their season marked the franchise's first playoff run since 1989 and first since relocating from Los Angeles to St. Louis. The Titans also finished the regular season with a 13–3 record, but obtained a wild card berth to advance to their Super Bowl debut. In their first season after retiring the franchise's original Oilers name, the Titans were making their first playoff run since 1993 and first since relocating from Houston to Tennessee. Largely a defensive battle during the first half, the Rams converted three field goals by halftime and scored a third quarter touchdown to take a 16–0 lead. The Titans responded by scoring 16 straight points to tie the game near the end of regulation, the then-largest deficit to be erased in a Super Bowl and first greater than ten points. On their ensuing drive, the Rams regained the lead off wide receiver Isaac Bruce's 73-yard touchdown. Super Bowl XXXIV became best remembered for its final play, in which the Titans reached St. Louis' 10-yard line with six seconds remaining, but linebacker Mike Jones tackled wide receiver Kevin Dyson one yard short of the goal line to prevent a potential game-tying touchdown. The play became known as "One Yard Short" and "The Tackle". Rams quarterback Kurt Warner, who was the first undrafted quarterback and first first-year starter to win a Super Bowl, was named Super Bowl MVP after setting the Super Bowl records for passing yards and 45 pass attempts without an interception. He became the sixth player to win both Super Bowl MVP and NFL MVP during the same season and is the most recent to do so. The game has been referred to as the "Dot-com Super Bowl" due to the large amount of advertisements purchased by dot-com companies. Regarded as one of the greatest Super Bowls of all time, it was featured on NFL's Greatest Games as "The Longest Yard". Background NFL owners awarded Super Bowl XXXIV to Atlanta during their October 31, 1996, meeting held in New Orleans. Other cities under consideration were Miami, Tampa, and Los Angeles. Owners initially planned on selecting only two hosts (XXXIII and XXXIV), but decided to name three after strong showings by the respective delegations. Miami, Atlanta, and Tampa were selected to host XXXIII, XXXIV, and XXXV. St. Louis Rams The Rams entered 1999 having been among the league's stragglers for a decade. The reasons are many, including, some suggest, mismanagement by executive John Shaw. The franchise moved to a taxpayer-funded stadium in St. Louis, Missouri for the 1995 season, but continued to struggle. In 1997, the team hired Dick Vermeil as their head coach, bringing him back to the NFL after 15 years of retirement. Vermeil had previously turned the Philadelphia Eagles from one of the worst teams in the league into a Super Bowl team in 1980, but his first two seasons in St. Louis were hardly stellar, winning just five games in 1997 and four in 1998. Little was expected of the Rams for 1999. Indeed, ESPN The Magazines 1999 NFL preview predicted the Rams would be the worst team in the NFL, worse even than the Cleveland Browns, who had returned as an expansion team that year. Trent Green, who had just been signed as the Rams starting quarterback, suffered a season-ending knee injury in the preseason, making undrafted quarterback Kurt Warner the team's new starter. Warner, who started the season as a backup to Green, had previously played for the Iowa Barnstormers of the Arena Football League and the Amsterdam Admirals of NFL Europe. The Rams proceeded to shock the NFL with an NFC-best 13–3 regular season record and outscored their opponents 526–242, the highest scoring margin (284) of any Super Bowl champion. The Rams' high-powered offense, run by offensive coordinator Mike Martz, was nicknamed "The Greatest Show on Turf". In Warner's first NFL season in 1998, he played only one game and threw just 11 passes. But in 1999, he experienced one of the most spectacular seasons ever by a quarterback, recording a passer rating of 109.2, completing 65.1 percent of his passes for 4,353 yards, 41 touchdowns, and just 13 interceptions, and earning the NFL Most Valuable Player Award. Besides Warner, several other Rams compiled significant statistics. Halfback Marshall Faulk, in his first year in St. Louis after spending five seasons with Indianapolis, had the best season of his career and won the NFL Offensive Player of the Year Award, while finishing second in MVP voting to Warner. He scored 12 touchdowns, rushed for 1,381 yards, and recorded a team-leading 87 receptions for 1,048 yards. In all, Faulk gained a record 2,429 total yards and became just the second running back in NFL history to gain over 1,000 yards rushing and receiving in the same season (Roger Craig was the first to do it, in 1985). Faulk held the NFL record for yards from scrimmage in a single season until Tennessee's Chris Johnson broke it in 2009. Faulk wasn’t the only weapon at Warner's disposal in 1999. Veteran receiver Isaac Bruce was the top Rams receiver with 77 receptions for 1,165 yards and 12 touchdowns. while breakout rookie wide receiver Torry Holt recorded 52 receptions, 788 yards, and 6 touchdowns. Even the team's third wide receiver, Az-Zahir Hakim, was a big contributor by catching 36 passes for 677 yards and 8 touchdowns, while also returning punts for 461 yards and another touchdown. The Rams' offensive line was led by Pro Bowlers Orlando Pace and Adam Timmerman. Timmerman, acquired by the Rams in 1999, had previously won Super Bowl XXXI with the Green Bay Packers. On special teams, receiver Tony Horne returned 30 kickoffs for 892 yards and 2 touchdowns, giving him an NFL-leading 29.7 yards per return average. Overall, St. Louis's offense led the league in total yards gained (6,639), scoring (526 points), and passing touchdowns (42). The Rams' defense led the league in fewest rushing yards allowed (1,189) and fewest rushing touchdowns allowed (4), while giving up just 242 points. Overall, the defense ranked 4th in the league in fewest total yards (5,056). The line was anchored by Pro Bowl defensive end Kevin Carter and defensive end Grant Wistrom. Carter led the league with 17 sacks, while Wistrom recorded 8.5 sacks and 2 interceptions, returning both for touchdowns and a combined total of 131 yards. Behind them, the Rams had three linebackers: London Fletcher (66 tackles and 3 sacks), Mike Jones (4 interceptions for 96 return yards and 2 touchdowns, and 2 fumble recoveries for 51 return yards and a touchdown), and Todd Collins (72 tackles, a sack, and 2 interceptions for 16 yards). The secondary was led by Pro Bowler Todd Lyght (6 interceptions), Dexter McCleon (4 interceptions), and rookie Dré Bly (3 interceptions). This was the Rams' first playoff appearance since 1989 and only the second Super Bowl appearance in team history. This was the Rams' last championship until winning Super Bowl LVI in 2021 after moving back from St. louis to Los Angeles. Tennessee Titans The Titans advanced to their first Super Bowl in team history, after originating as a charter member of the American Football League. From 1960 to 1996, the team was owned by Houston, Texas businessman Bud Adams and known as the Houston Oilers. By 1995, however, Adams, like Frontiere, was lured to move his team from Houston, in this case to a new stadium in Nashville, Tennessee. Since this new stadium was not ready until the 1999 season, Adams decided to move his team to Liberty Bowl Memorial Stadium in Memphis, Tennessee in 1997 after playing before small Houston crowds in 1996. The renamed Tennessee Oilers also played before sparse Memphis crowds, and thus spent the 1998 season playing at Nashville's Vanderbilt Stadium. After the new Adelphia Coliseum (now known as Nissan Stadium) was completed in 1999, the team's name was changed to Tennessee Titans. With Tennessee's Super Bowl appearance, every former AFL team had now played in the Super Bowl, including the original eight AFL teams and two AFL expansion teams: the Miami Dolphins and the Cincinnati Bengals. The 1999 Titans were led by quarterback Steve McNair and running back Eddie George. McNair had missed five games due to injuries during the season, but he was still able to put up solid numbers, throwing for 2,179 yards and 12 touchdowns with only 8 interceptions. Despite his injury problems, McNair finished the season as the second-leading rusher on the team with 337 yards and 8 touchdowns. When McNair was out with injuries, the team was able to rely on backup QB Neil O'Donnell, who threw for 1,382 yards and 10 touchdowns, with only 5 interceptions. George also had an outstanding season, rushing for 1,304 yards, and catching 47 passes for 458 yards (his receptions, receiving yards, and receiving touchdowns were all career highs). In all, George scored a grand total of 13 touchdowns, and was selected to play in the Pro Bowl for the 3rd consecutive year. Another contributor on the Titans' offense was fullback Lorenzo Neal, who frequently served as George's lead blocker and was widely considered one of the best blocking backs in the league. The team did not have any outstanding deep threats, but wide receiver Yancey Thigpen recorded 38 receptions for 648 yards, wide receiver Kevin Dyson had 54 receptions for 658 yards, and tight end Frank Wycheck caught 69 passes for 641 yards. Up front, their line was anchored by Pro Bowl tackle Bruce Matthews. On special teams, speedy rookie Derrick Mason racked up 1,030 combined return yards and a touchdown. Tennessee's defense was also extremely effective. Pro Bowl defensive end Jevon Kearse anchored the line, recording 14.5 sacks to go along with 8 forced fumbles and was named the NFL's Defensive Rookie of the Year. The linebackers corps was led by Eddie Robinson, who recorded 64 tackles and 6 sacks, while also recovering and forcing 3 fumbles. Their secondary was led by cornerback Samari Rolle, who led the team with 4 interceptions. The Titans finished the regular season with a 13–3 record (including a home win over the Rams), but finished second behind the 14–2 Jacksonville Jaguars in the AFC Central. The Jaguars' only two losses were to the Titans, but Tennessee's three losses forced them to enter the playoffs as a wild-card team. Playoffs Playing in his first ever NFL playoff game, Warner threw for 395 yards and 5 touchdowns, with 1 interception, as the Rams defeated the Minnesota Vikings, 49–37 in St. Louis, by scoring 35 unanswered points in the second half. Bruce caught 4 passes for 133 yards and a touchdown. Faulk gained 101 combined rushing/receiving yards and scored 2 touchdowns. Although Vikings quarterback Jeff George threw for 423 yards and 4 touchdowns, three of his scores occurred late in the 4th quarter, after the Rams had already put the game away. The Rams then narrowly defeated the Tampa Bay Buccaneers, 11–6 at home, in a hard-fought defensive struggle in the NFC Championship Game. The first half ended with the Rams leading 5–3 on a Jeff Wilkins field goal and after a bad snap by the Buccaneers went through their own end zone for a safety. Tampa Bay then scored a field goal in the 3rd quarter to take the lead. But Warner threw a 30-yard go-ahead touchdown pass to receiver Ricky Proehl with 4:44 left in the game. Meanwhile, the Titans started out their postseason by narrowly defeating the Buffalo Bills, 22–16 in Nashville, on a famous, trick kickoff return play that became known in NFL lore as the Music City Miracle. Tennessee jumped to a 12–0 halftime lead with an Al Del Greco field goal, a safety by Kearse, and a McNair touchdown run. However, Buffalo came back to take the lead, 13–12 with Antowain Smith's two touchdown runs in the second half (the two-point conversion after Smith's second touchdown failed). In the 4th quarter, the Titans regained the lead after Del Greco kicked his second field goal. With 16 seconds left in the game, Bills kicker Steve Christie made what seemed to be the game-winning 41-yard field goal to give his team the lead, 16–15. However, Neal received the ensuing kickoff and handed the ball off to Wycheck, who then lateraled the ball to Dyson on the other side of the field, who eventually ran 75 yards to the end zone for the game-winning touchdown. The play was reviewed to determine whether Wycheck had lateraled the ball to Dyson or made an illegal forward pass. Referee Phil Luckett upheld the original call on the field of a touchdown, giving Tennessee the win. The Titans then defeated the Indianapolis Colts, 19–16 in Indianapolis. After both teams exchanged field goals in the first half, George scored on a 68-yard touchdown run to give his team a 13–9 lead. Del Greco then kicked two more field goals in the 4th quarter to put the game
on their ensuing possession, a pair of 21-yard completions from McNair to tight end Jackie Harris and wide receiver Isaac Byrd aided a 13-play, 79-yard drive that was capped by George's 2-yard touchdown run to make the score 16–13. The Tennessee defense then forced the Rams to a three-and-out, and Horan's 30-yard punt gave the Titans the ball back at their 47-yard line. The Titans' offense then drove only 28 yards on their ensuing possession, but it was close enough for Del Greco to attempt a 43-yard field goal. This time, Del Greco's kick was good, tying the score at 16–16 with just 2:12 left in the game. The 16-point deficit was the largest deficit to be erased in a Super Bowl and the first greater than 10 points. It was also the first time in any Super Bowl a team down double digits in the 4th quarter had tied the game. Then on the Rams' first play of their ensuing drive, Warner threw a long pass that was caught at the Titans' 38-yard line by Bruce, who then ran it all the way into the end zone for a 73-yard touchdown to give St. Louis a 23–16 lead. Likewise, in the 1951 NFL Championship Game, quarterback Norm Van Brocklin's 73-yard game-winning touchdown pass to wide receiver Tom Fears broke a 17–17 tie in the fourth quarter and gave the Rams a seven-point victory to win the NFL title. Warner's touchdown pass to Bruce was his only completion of the 4th quarter. The Titans took over the ball at their own 12-yard line with 1:48 left in the game after committing a holding penalty on the ensuing kickoff. McNair started out the drive with a pair of completions to Mason and Wycheck for gains of 9 and 7 yards to reach the 28-yard line. After an incomplete pass, defensive back Dré Bly's 15-yard face-mask penalty while tackling McNair on a 12-yard scramble gave the Titans a 1st down at the St. Louis 45-yard line. On the next play, St. Louis was penalized 5 yards for being offside, moving the ball to the 40-yard line with 59 seconds left. McNair ran for 2 yards, then threw a 7-yard completion to wide receiver Kevin Dyson. On the next play, Tennessee nearly lost the ball when Bly stepped in front of a pass intended for Mason, only to have it go right through his arms. Two plays later, with the Titans facing 3rd down and 5, McNair was hit by two Rams defenders, but he escaped and completed a 16-yard pass to Dyson to gain a 1st down at the Rams' 10-yard line. Tennessee then used up their final timeout with just six seconds left, giving them a chance for one last play to tie the game. The final play The game's final play from the Rams' 10-yard line has gone down in NFL history as simply "The Tackle" or "One Yard Short". Tennessee's plan was to use tight end Frank Wycheck as a decoy. Wycheck would run straight up the field on the right side, to lure linebacker Mike Jones away from receiver Kevin Dyson. Dyson would then slant left through the middle of the field. With Wychek occupying Jones, quarterback Steve McNair would pass the ball to Dyson, who would be open from about five yards out to run in for the score. On the defensive side, Rams linebacker Mike Jones was the signal caller. He had called a 77 Blast, a combination coverage based on where the offense lines up. Once they lined up, Rams safety Billy Jenkins called for a match up coverage where three Rams players — he, Jones, and cornerback Dexter McCleon — would have a zone coverage against Wychek and Dyson. As the play began, everything appeared to go as planned. Jones ran with Wycheck up the field at the beginning of the play. However, as the pass was being delivered to Dyson, Jones, who was at the goal line, glanced over his left shoulder and noticed an open Dyson catching the ball. Jones switched directions and ran toward the Titans receiver. Dyson ran directly toward the end zone, but his legs were wrapped up by Jones with about two and a half yards left to the goal line. Since Dyson was being tackled by the legs, there was still the possibility he could reach towards the end zone and get the ball across the goal line. Both players went into a rolling motion as Dyson outstretched his hand with the football towards the goal line in the hopes of scoring the touchdown. Though his reach was close, and the ball mere inches away from the end zone, it was still not enough to score. As the rolling motion came to an end, with Jones now on top of Dyson's legs, his shoulder touched the ground and, therefore, the game was over. Had Dyson scored and the extra point been converted, it would have been the first Super Bowl ever to go into overtime; it wasn't until 17 years later in Super Bowl LI that the first Super Bowl to go into overtime occurred. Alternatively, had Dyson scored, the Titans could have attempted a 2-point conversion for the outright win on the final play of the game; this happened for the first time two years later (via field goal) in Super Bowl XXXVI. Considering the magnitude of the Super Bowl, and the wild game that preceded it, "The Tackle" is considered one of the greatest and most exciting game-ending plays in modern NFL history. The image of Dyson stretching the ball to the goal line with Jones wrapped around him has become a staple of NFL highlights. ESPN.com ranked "The Tackle" as the 35th greatest moment of the past 25 years in sports (as of 2007). NFL.com ranked Jones's tackle of Dyson as the fourth greatest clutch moment in Super Bowl history. Fox Sports ranked The Tackle as the Greatest Clutch Play in Super Bowl History (as of 2007). Like Dallas Cowboys cornerback Larry Brown, Jones was included on the NFL Network's "Top 10 One-Hit Wonders" list (Jones was #10, Brown was #3), although Jones also mirrored Brown in having a solid if unspectacular career outside of his Super Bowl heroics. After the game After the game, many sports writers commented on Warner's rise from an unknown backup to a Super Bowl MVP, but Warner himself wasn't impressed by it. "How can you be in awe of something that you expect yourself to do?" Warner pointed out. "People think this season is the first time I touched a football; they don't realize I've been doing this for years – just not on this level, because I never got the chance. Sure, I had my tough times, but you don't sit there and say, 'Wow, I was stocking groceries five years ago, and look at me now.' You don't think about it, and when you do achieve something, you know luck has nothing to do with it." However, he later told The New York Times "I guess it is sort of a storybook ending. When you think about where I was and where I am now, it seems pretty incredible." Box score Statistical overview Bruce caught 6 passes for 162 yards (3rd highest) and a touchdown, an average of 27 yards per catch. Holt had 7 receptions for 109 yards (the most ever by a rookie in a Super Bowl) and a touchdown. Bruce and Holt became the fourth pair of teammates to each have over 100 yards receiving in a Super Bowl, joining the Steelers' John Stallworth and Lynn Swann in Super Bowl XIII, the Bengals' Cris Collinsworth and Dan Ross in Super Bowl XVI, and the Redskins' Gary Clark and Art Monk in Super Bowl XXVI. Rams starting running back Marshall Faulk was held to just 17 rushing yards, but gained 90 receiving yards on 5 receptions. McNair set a Super Bowl record for rushing yards by a quarterback, recording 64 yards on 8 carries. He also completed 22 out of 36 passes for 214 yards. George finished the game with 95 rushing yards, 35 receiving yards, and 2 touchdowns. Harris was the top receiver for Tennessee with 7 catches for 64 yards. Mason returned 5 kickoffs for 122 yards, and caught 2 passes for 18 yards. Rams coach Dick Vermeil became the oldest coach ever to win a Super Bowl (age 63). He also set the record for the longest amount of time between going to his first Super Bowl (Super Bowl XV in the 1980 season) to winning it for the first time. He retired after this season, but came back in 2001 to coach the Kansas City Chiefs, finally retiring for good in 2005. It was the second (and last) Super Bowl in which neither team committed any turnovers (after Super Bowl XXV). The Rams became the first, and to this day only, NFL team to win a championship in three different cities. They won the 1945 NFL Championship Game while located in Cleveland, and the 1951 NFL Championship Game when they represented Los Angeles. Final statistics Sources: NFL.com Super Bowl XXXIV, Super Bowl XXXIV Play Finder StL, Super Bowl XXXIV Play Finder Ten, USA Today Super Bowl XXXIV Play by Play Statistical comparison Individual leaders 1Completions/attempts 2Carries 3Long gain 4Receptions 5Times targeted Records Set The following records were set in Super Bowl XXXIV, according to the official NFL.com boxscore, the 2016 NFL Record & Fact Book and the Pro-Football-Reference.com game summary. Some of these records have since been surpassed in subsequent Super Bowl games. Turnovers are defined as the number of times losing the ball on interceptions and fumbles. Starting lineups Source: Officials Referee: Bob McElwee, #95 (third Super Bowl; previously worked XXII and XXVIII, the latter of which was the first Super Bowl played in Atlanta) Umpire: Ron Botchan, #110, fifth Super Bowl (XX, XXXVII, XXIX, XXI) Head Linesman: Earnie Frantz, #111, third Super Bowl (XXIV, XXXI) Line Judge: Byron Boston, #18, first Super Bowl Field Judge: Al Jury, #106, fifth Super Bowl (XX, XXII, XXIV, XXVIII) Side Judge: Tom Fincken, #47, third Super Bowl (XXIX, XXXVI) Back Judge: Bill Leavy, #127, first Super Bowl (later officiated Super Bowl XL as referee) Alternate Referee: Walt Coleman, #65 Alternate Umpire''': Bob Wagner, #100 Ron Botchan and Al Jury joined Tom Kelleher, Jack Fette and Bob Beeks as the only men to officiate five Super Bowls. Jury became the
defense and a "play-it-safe" offense, the Ravens became the seventh wild-card team to reach the Super Bowl, and third in four seasons, after allowing only a combined one touchdown and three field goals in their playoff wins over the Denver Broncos, the Tennessee Titans, and the Oakland Raiders. Meanwhile, the Giants defeated the Philadelphia Eagles, 20–10, and shut out the Minnesota Vikings, 41–0, the most lopsided game in NFC Championship game history. Pre-game news Officially, the win made the Ravens the quickest expansion team in NFL history to win a Super Bowl, although much like the 1950 Browns winning the NFL Championship in their first season in the NFL after coming over from the All-America Football Conference, the Ravens were not an expansion team in the traditional sense of the term that started out as a completely brand new organization, coaching staff and players from scratch. The Giants, as the designated home team, wore blue jerseys with grey pants. The team had previously worn blue jerseys with white pants in their two prior Super Bowl victories, but before the 2000 season, they replaced the Big Blue Wrecking Crew-era uniforms with a modern version of their early 1960s set. The Ravens donned all-white uniforms for the game. Broadcasting The game was broadcast in the United States by CBS (their first since Super Bowl XXVI in January 1992). Play-by-play announcer Greg Gumbel became the first African-American announcer to call a major sports championship on network television. He was joined in the broadcast booth by color commentator Phil Simms. Armen Keteyian and Bonnie Bernstein served as sideline reporters. Jim Nantz hosted all the events with help from his then-fellow cast members from The NFL Today: Mike Ditka, Craig James, Randy Cross, and Jerry Glanville. The desk reporting was done aboard the famous Buccaneer Cove pirate ship at the end zone of Raymond James Stadium. The broadcast featured the brand-new EyeVision instant-replay system, which provided rapid-fire sequential shots from a series of cameras positioned around the top of the stadium. It allowed for bullet time effects, similar to those used in the movie The Matrix. It was extremely unusual for CBS to debut a major new technology system at an event the size of the Super Bowl. The EyeVision system proved its mettle when it helped to uphold a replay challenge on a Jamal Lewis 4th-quarter touchdown. EyeVision was also used during the broadcast of the Super Bowl XXXV halftime show, which was directed by Saturday Night Live director Beth McCarthy-Miller. EyeVision would mostly fall out of use after Super Bowl XXXV, not being used in an NFL game until an upgraded version was announced for Super Bowl 50. CBS also produced a separate HDTV broadcast of the game in the 1080i format, with Kevin Harlan and Daryl Johnston announcing. It was the second year that the game was televised in both standard-definition TV (NTSC) and HDTV. As previously mentioned, this was the first Super Bowl to be aired on CBS in nine years (after XXVI). Following the 1993 season, Fox bought the rights to air the NFC package, leaving CBS without the NFL for the next four years until 1998, when they began broadcasting the AFC package, bringing an end to NBC's 33-year stint. (NBC would later outbid ABC for the prime time NFL package in 2006, which resulted in these match-ups moving from Monday to Sunday.) Along with being the first African-American to be the play-by-play announcer for a Super Bowl, Gumbel also became the third person to both host a Super Bowl pregame show and call the game, joining Dick Enberg and Al Michaels. Gumbel was the host during his first stint with CBS for Super Bowl XXVI, and he was the pregame host for Super Bowls XXX and XXXII when he was with NBC. Professional wrestler Hulk Hogan, a big Giants fan, was in attendance for the game. Entertainment Pregame ceremonies Before the game, a pregame show titled "Life's Super in Central Florida" was held, featuring Sting, Styx, and PYT. The show was directed and choreographed by Lesslee Fitzmorris from Covington, Louisiana. To honor the 225th anniversary of the birth of the United States, singer Ray Charles performed "America the Beautiful". The song was signed (ASL) by Tom Cooney. To honor the 10th anniversary of the Persian Gulf War, 10 military veterans from the conflict including former general Norman Schwarzkopf were introduced on the field. The vocal group (and Florida natives) Backstreet Boys then sang the national anthem becoming the only boyband to sing the national anthem at the Super Bowl. The coin toss ceremony honored the two previous Super Bowls that were played in Tampa. Representing the New York Giants' win in Super Bowl XXV was the game's MVP, Ottis Anderson, and former head coach Bill Parcells. Representing the Los Angeles Raiders' win in Super Bowl XVIII was that game's MVP, Marcus Allen, and former head coach Tom Flores. This was the last Super Bowl to have individual player introductions for both teams (both the Ravens' and Giants' defenses were announced). In Super Bowl XXXVI, the New England Patriots bucked this trend and were introduced all at once as a team; the Rams, however, still used individual player introductions in that game. Starting with Super Bowl XXXVII, the league decided to have both participating teams introduced collectively as teams, instead of introducing them individually by player. Halftime show The halftime show was produced by MTV, then a sister network of CBS before the re-merger. The show was titled, "The Kings of Rock and Pop". It was headlined by Aerosmith and 'N Sync, and also featured appearances from Britney Spears, Nelly, Mary J. Blige, and Tremors featuring The Earthquake Horns. The show featured a back-and-forth medley between Aerosmith and 'N Sync. Community Events The city of Tampa moved its annual Gasparilla Pirate Festival from its usual date in early February to the Saturday before the game. It was the largest Gasparilla in history, with over 750,000 attending. Game summary First quarter Both defenses dominated early in the first quarter as the first five possessions of the game ended in punts. On the fifth punt, Ravens kickoff/punt returner Jermaine Lewis returned the ball 33 yards to the New York 22-yard line. Although a holding penalty on the return moved the ball back to the 41-yard line, Baltimore took only two plays to score on quarterback Trent Dilfer's 38-yard touchdown pass to wide receiver Brandon Stokley. Second quarter Early in the second quarter, New York advanced to midfield, only to lose the ball when Ray Lewis deflected a pass into the arms of linebacker Jamie Sharper for an interception. Then on the next play, a holding penalty against the Giants nullified linebacker Jessie Armstead's 43-yard interception return for a touchdown that would have tied the game. Later in the period, Dilfer completed a 44-yard pass to receiver Qadry Ismail to set up a 47-yard field goal by Ravens kicker Matt Stover to extend Baltimore's lead, 10–0. With the aid of a 27-yard run from running back Tiki Barber, the Giants advanced all the way to the Ravens' 29-yard line on their ensuing drive, but Baltimore defensive back Chris McAlister intercepted a pass from quarterback Kerry Collins to keep New York scoreless at halftime. Third quarter The Giants forced the Ravens to punt on the opening drive of the second half. Five
led by a trio of outstanding linebackers: Peter Boulware, Jamie Sharper, and Ray Lewis. During the regular season, Boulware recorded 7 sacks, while Sharper forced five fumbles and made one interception. Lewis was named the NFL Defensive Player of the Year by recording three sacks, making 138 tackles, and intercepting two passes. Pro Bowl defensive tackle Sam Adams and veteran Tony Siragusa anchored the defensive line, along with defensive ends Rob Burnett (10.5 sacks, three forced fumbles, and five fumble recoveries) and Pro Bowler Michael McCrary (6.5 sacks and three fumble recoveries). Baltimore also had an outstanding corps of defensive backs led by Pro Bowl veteran safety Rod Woodson, who along with Kim Herring, Duane Starks, and Chris McAlister combined for 17 interceptions. On offense, the Ravens' main strength was rushing, led by rookie Jamal Lewis (1,364 yards, six rushing touchdowns, 27 receptions, 298 yards) and Priest Holmes (588 yards, 32 receptions, 221 yards). Also, tight end Shannon Sharpe recorded 67 receptions for 810 yards and five touchdowns. Receiver Qadry Ismail added 49 receptions for 655 yards and four touchdowns. The offensive line was anchored by tackle Jonathan Ogden, who was named to the Pro Bowl for the fourth consecutive season. On special teams, Jermaine Lewis ranked second in the NFL with 36 punt returns for 578 yards and two touchdowns, while also catching nineteen passes for 161 yards and another score. Kicker Matt Stover led the NFL in field goals made (35) and attempted (39), while ranking seventh in field goal percentage (89.7) and second in scoring (135 points). However, the Baltimore offense was mediocre, ranking only thirteenth in the league in scoring (333 points), sixteenth in total yards (5,301), and 23rd in passing yards (3,102). The team had a lot of trouble scoring, and at one point they went through five games without scoring an offensive touchdown (although they managed to win two of those games). But they managed to regroup, as head coach Brian Billick forbade anyone to use the "P-word" (presumably "postseason" or "playoffs") until the team actually played in it. The Ravens' outspoken defensive lineman, Tony Siragusa, did utter the word "playoffs" on two occasions and was fined $500. Since the fine (and Billick's ban) were clearly symbolic and playful, Billick explained himself by saying, "He got a $400 fine for doing it on national television and $100 for doing it on his radio show. The reason being because no one listens to his show anyway." In place of the "P-word", the word "Festivus" was used, the December 23 secular holiday featured in an episode of the popular American television sitcom Seinfeld (the Ravens organization played along with this theme for that year's playoffs by showing a clip of Cosmo Kramer saying "A Festivus miracle!" on the stadium screen during the team's only home playoff game that year). The Super Bowl was thereafter referred to as "Festivus Maximus." Midway through the season, with the team at 5–3, Billick benched starting quarterback Tony Banks and replaced him with Trent Dilfer. Although his statistics were hardly distinguished (twelve touchdowns, eleven interceptions, 76.6 passer rating), and the team lost in his first game as a starter, Dilfer led them to victory in their last seven regular season games to finish in second place in the AFC Central with a 12–4 record and entered the playoffs as a wild-card team. New York Giants The Giants advanced to Super Bowl XXXV after posting a 7–9 record in the previous year. Their big draft acquisition during the off-season was running back Ron Dayne, the 1999 Heisman Trophy winner. The plan was to have his power running style complement running back Tiki Barber's speed and pass-catching ability. The two would be called the Giants' "Thunder and Lightning" backfield. Although Dayne had a solid rookie year by rushing for 770 yards, the breakout star during the regular season was Barber. Barber had 1,006 rushing yards in 213 attempts, caught seventy passes for 719 yards, and scored ten touchdowns. He also returned 44 punts for 506 yards and gained 266 yards returning kickoffs, giving him 2,495 total yards. Kerry Collins entered the season as the Giants' unquestioned starting quarterback. Although he helped lead the Carolina Panthers to the 1996 NFC Championship Game, he endured a mediocre season in 1997. In 1998, he quit part way through the season after the team opened the campaign with a four-game losing streak. After spending the remainder of the 1998 season with the New Orleans Saints, Collins was signed in 1999 as the Giants' second-string quarterback, but soon claimed the starting job. In leading the Giants to Super Bowl XXXV, Collins completed 311 out of 529 passes for 3,610 yards and 22 touchdowns during the regular season. His favorite targets, in addition to Barber, were wide receivers Amani Toomer (78 receptions, 1,094 yards, seven touchdowns), and Ike Hilliard (55 receptions, 787 yards, eight touchdowns), along with fullback Greg Comella (36 receptions for 274 yards). The Giants offensive line featured guard Ron Stone, the team's only Pro Bowl selection from the offense. The Giants also had a powerful defense, led by Pro Bowl defensive end Michael Strahan, who recorded 9.5 sacks, and defensive tackle Keith Hamilton who recorded ten. Defensive backs Jason Sehorn, Emmanuel McDaniel, Reggie Stephens, and Shaun Williams combined for fourteen interceptions. Pro Bowl linebacker Jesse Armstead led the team in total tackles with 102, while also recording five sacks and an interception. The Giants lost just four games that season, having won six of their first eight games before a subsequent two-game losing streak put them at 7–4 with five games to go. In what would be his defining moment, head coach Jim Fassel, at a press conference following the Giants' loss to the Detroit Lions, guaranteed that his team would make the playoffs. The Giants responded by winning their last five regular season games to reach 12–4 and win the NFC East for the first time in three years. Playoffs With an explosive defense and a "play-it-safe" offense, the Ravens became the seventh wild-card team to reach the Super Bowl, and third in four seasons, after allowing only a combined one touchdown and three field goals in their playoff wins over the Denver Broncos, the Tennessee Titans, and the Oakland Raiders. Meanwhile, the Giants defeated the Philadelphia Eagles, 20–10, and shut out the Minnesota Vikings, 41–0, the most lopsided game in NFC Championship game history. Pre-game news Officially, the win made the Ravens the quickest expansion team in NFL history to win a Super Bowl, although much like the 1950 Browns winning the NFL Championship in their
Slavic descent, at least acquainted with the language of the Slavs,... 15. William Leslie King. Investment and Achievement: A Study in Christian Progress. Jennings and Graham, 1913. Columbia University. ...This man and his brother Cyril became the Methodius and Cyril apostles of the Slavic people. These two brothers seemed to have been raised up for such a mission. They were probably of Slavic descent...</ref> or Greek origin, or both. The two brothers lost their father when Cyril was fourteen, and the powerful minister Theoktistos, who was logothetes tou dromou, one of the chief ministers of the Empire, became their protector. He was also responsible, along with the regent Bardas, for initiating a far-reaching educational program within the Empire which culminated in the establishment of the University of Magnaura, where Cyril was to teach. Cyril was ordained as priest some time after his education, while his brother Methodius remained a deacon until 867/868. Mission to the Khazars About the year 860, Byzantine Emperor Michael III and the Patriarch of Constantinople Photius (a professor of Cyril's at the University and his guiding light in earlier years), sent Cyril on a missionary expedition to the Khazars who had requested a scholar be sent to them who could converse with both Jews and Saracens. It has been claimed that Methodius accompanied Cyril on the mission to the Khazars, but this may be a later invention. The account of his life presented in the Latin "Legenda" claims that he learned the Khazar language while in Chersonesos, in Taurica (today Crimea). After his return to Constantinople, Cyril assumed the role of professor of philosophy at the University while his brother had by this time become a significant figure in Byzantine political and administrative affairs, and an abbot of his monastery. Mission to the Slavs Great Moravia In 862, the brothers began the work which would give them their historical importance. That year Prince Rastislav of Great Moravia requested that Emperor Michael III and the Patriarch Photius send missionaries to evangelize his Slavic subjects. His motives in doing so were probably more political than religious. Rastislav had become king with the support of the Frankish ruler Louis the German, but subsequently sought to assert his independence from the Franks. It is a common misconception that Cyril and Methodius were the first to bring Christianity to Moravia, but the letter from Rastislav to Michael III states clearly that Rastislav's people "had already rejected paganism and adhere to the Christian law." Rastislav is said to have expelled missionaries of the Roman Church and instead turned to Constantinople for ecclesiastical assistance and, presumably, a degree of political support. The Emperor quickly chose to send Cyril, accompanied by his brother Methodius. The request provided a convenient opportunity to expand Byzantine influence. Their first work seems to have been the training of assistants. In 863, they began the task of translating the Gospels and necessary liturgical books into the language now known as Old Church Slavonic and traveled to Great Moravia to promote it. They enjoyed considerable success in this endeavour. However, they came into conflict with German ecclesiastics who opposed their efforts to create a specifically Slavic liturgy. For the purpose of this mission, they devised the Glagolitic alphabet, the first alphabet to be used for Slavonic manuscripts. The Glagolitic alphabet was suited to match the specific features of the Slavic language. Its descendant script, the Cyrillic, is still used by many languages today. The brothers wrote the first Slavic Civil Code, which was used in Great Moravia. The language derived from Old Church Slavonic, known as Church Slavonic, is still used in liturgy by several Orthodox Churches and also in some Eastern Catholic churches. It is impossible to determine with certainty exactly what the brothers translated. The New Testament and the Psalms seem to have been the first, followed by other lessons from the Old Testament. The "Translatio" speaks only of a version of the Gospels by Cyril, and the "Vita Methodii" only of the "evangelium Slovenicum," though other liturgical selections may also have been translated. Nor is it known for sure which liturgy, that of Rome or that of Constantinople, they took as a source. They may well have used the Roman alphabet, as suggested by liturgical fragments which adhere closely to the Latin type. This view is confirmed by the "Prague Fragments" and by certain Old Glagolitic liturgical fragments brought from Jerusalem to Kiev and discovered there by Izmail Sreznevsky—probably the oldest document for the Slavonic tongue; these adhere closely to the Latin type, as is shown by the words "Mass," "Preface," and the name of one Felicitas. In any case, the circumstances were such that the brothers could hope for no permanent success without obtaining the authorization of Rome. Journey to Rome The mission of Constantine and Methodius had great success among Slavs in part because they used the people's native language rather than Latin or Greek. In Great Moravia, Constantine and Methodius also encountered missionaries from East Francia, representing the western or Latin branch of the Church, and more particularly representing the Carolingian Empire as founded by Charlemagne, and committed to linguistic, and cultural uniformity. They insisted on the use of the Latin liturgy, and they regarded Moravia and the Slavic peoples as part of their rightful mission field. When friction developed, the brothers, unwilling to be a cause of dissension among Christians, decided to travel to Rome to see the Pope, and seek a solution that would avoid quarreling between missionaries in the field. In 867, Pope Nicholas I (858-867) invited the brothers to Rome. Their evangelizing mission in Moravia had by this time become the focus of a dispute with Archbishop Adalwin of Salzburg (859–873) and Bishop Ermanrich of Passau (866-874), who claimed ecclesiastical control of the same territory and wished to see it use the Latin liturgy exclusively. Travelling with the relics of Saint Clement and a retinue of disciples, and passing through Pannonia (the Balaton Principality), where they were well received by Prince Koceľ. This activity in Pannonia made a continuation of conflicts inevitable with the German episcopate, and especially with the bishop of Salzburg, to whose jurisdiction Pannonia had belonged for seventy-five years. As early as 865, Bishop Adalwin was found to exercise Episcopal rights there, and the administration under him was in the hands of the archpriest Riehbald. The latter was obliged to retire to Salzburg, but his superior was naturally disinclined to abandon his claims. The brothers sought support from Rome, and arrived there in 868, where they were warmly received. This was partly due to their bringing with them the relics of Saint Clement; the rivalry with Constantinople as to the jurisdiction over the territory of the Slavs would incline Rome to value the brothers and their influence. New Pope Adrian II (867-872) gave Methodius the title of Archbishop of Sirmium (now Sremska Mitrovica in Serbia) and sent him back in 869, with jurisdiction over all of Moravia and Pannonia, and authorisation to use the Slavonic Liturgy. The brothers were praised for their learning and cultivated for their influence in Constantinople. Anastasius
was administered by German nobles; but Svatopluk now ruled with practical independence in Great Moravia, and expelled the German clergy. This apparently secured an undisturbed field of operation for Methodius, and the Vita (x.) depicts the next few years (873–879) as a period of fruitful progress. Methodius seems to have disregarded, wholly or in part, the prohibition of the Slavonic liturgy; and when Frankish clerics again found their way into the country, and the archbishop's strictness had displeased the licentious Svatopluk, this was made a cause of complaint against him at Rome, coupled with charges regarding the Filioque. In 878, Methodius was summoned to Rome on charges of heresy and using Slavonic. This time Pope John was convinced by the arguments that Methodius made in his defence and sent him back cleared of all charges, and with permission to use Slavonic. The Carolingian bishop who succeeded him, Witching, suppressed the Slavonic Liturgy and forced the followers of Methodius into exile. Many found refuge with Knyaz Boris of Bulgaria, under whom they reorganised a Slavic-speaking Church. Meanwhile, Pope John's successors adopted a Latin-only policy which lasted for centuries. Methodius vindicated his orthodoxy at Rome, the more easily as the creed was still recited there without the Filioque, and promised to obey in regard to the liturgy. The other party was conciliated by giving him a Swabian, Wiching, as his coadjutor. When relations were strained between the two, John VIII steadfastly supported Methodius; but after his death (December 882) the archbishop's position became insecure, and his need of support induced Goetz to accept the statement of the Vita (xiii.) that he went to visit the Eastern emperor. It was not until after Methodius' death, which is placed on 6 April 885, that the animosity erupted into an open conflict. Gorazd, whom Methodius had designated as his successor, was not recognised by Pope Stephen V. The same Pope forbade the use of the Slavic liturgy and placed the infamous as Methodius' successor. The latter exiled the disciples of the two brothers from Great Moravia in 885. They fled to the First Bulgarian Empire, where they were welcomed and commissioned to establish theological schools. There they and scholar Saint Clement of Ohrid devised the Cyrillic script on the basis of the Glagolitic. Cyrillic gradually replaced Glagolitic as the alphabet of the Old Church Slavonic language, which became the official language of the Bulgarian Empire and later spread to the Eastern Slav lands of Kievan Rus'. Cyrillic eventually spread throughout most of the Slavic world to become the standard alphabet in the Eastern Orthodox Slavic countries. Hence, Cyril and Methodius' efforts also paved the way for the spread of Christianity throughout Eastern Europe. Methodius' body was buried in the main cathedral church of Great Moravia. Until today it remains an open question which city was capital of Great Moravia and therefore the place of Methodius' eternal rest remains unknown. Invention of the Glagolitic and Cyrillic alphabets The Glagolitic and Cyrillic alphabets are the oldest known Slavic alphabets, and were created by the two brothers and their students, to translate the Gospels and liturgical books into the Slavic languages. The early Glagolitic alphabet was used in Great Moravia between 863 (the arrival of Cyril and Methodius) and 885 (the expulsion of their students) for government and religious documents and books, and at the Great Moravian Academy (Veľkomoravské učilište) founded by Cyril, where followers of Cyril and Methodius were educated, by Methodius himself among others. The alphabet has been traditionally attributed to Cyril. That attribution has been confirmed explicitly by the papal letter Industriae tuae (880) approving the use of Old Church Slavonic, which says that the alphabet was "invented by Constantine the Philosopher". The term invention need not exclude the possibility of the brothers having made use of earlier letters, but implies only that before that time the Slavic languages had no distinct script of their own. The early Cyrillic alphabet was developed in the First Bulgarian Empire and later finalized and spread by disciples Kliment and Naum in the Ohrid and Preslav schools of Tsar Boris I of Bulgaria as a simplification of the Glagolitic alphabet which more closely resembled the Greek alphabet. It was developed by the disciples of Saints Cyril and Methodius at the Preslav Literary School at the end of the 9th century. After the death of Cyril, Clement of Ohrid accompanied Methodius from Rome to Pannonia and Great Moravia. After the death of Methodius in 885, Clement headed the struggle against the German clergy in Great Moravia along with Gorazd. After spending some time in jail, he was expelled from Great Moravia, and in 885 or 886 reached the borders of the Bulgarian Empire together with Naum of Preslav, Angelarius, and possibly Gorazd (according to other sources, Gorazd was already dead by that time). The four of them were afterwards sent to the Bulgarian capital of Pliska, where they were commissioned by Tsar Boris I of Bulgaria to instruct the future clergy of the state in the Slavonic language. After the adoption of Christianity in 865, religious ceremonies in Bulgaria were conducted in Greek by clergy sent from the Byzantine Empire. Fearing growing Byzantine influence and weakening of the state, Boris viewed the adoption of the Old Slavonic language as a way to preserve the political independence and stability of Bulgaria, so he established two literary schools (academies), in Pliska and Ohrid, where theology was to be taught in the Slavonic language. While Naum of Preslav stayed in Pliska working on the foundation of the Pliska Literary School, Clement was commissioned by Boris I to organise the teaching of theology to future clergymen in Old Church Slavonic at the Ohrid Literary School. For seven years (886-893) Clement taught some 3,500 students in the Slavonic language and the Glagolitic alphabet. Commemoration Saints Cyril and Methodius' Day The canonization process was much more relaxed in the decades following Cyril's death than today. Cyril was regarded by his disciples as a saint soon after his death. His following spread among the nations he evangelized and subsequently to the wider Christian Church, and he was famous as a holy man, along with his brother Methodius. There were calls for Cyril's canonization from the crowds lining the Roman streets during his funeral procession. The brothers' first appearance in a papal document is in Grande Munus of Leo XIII in 1880. They are known as the "Apostles of the Slavs", and are still highly regarded by both Roman Catholic and Orthodox Christians. Their feast day is currently celebrated on 14 February in the Roman Catholic Church (to coincide with the date of St Cyril's death); on 11 May in the Eastern Orthodox Church (though for Eastern Orthodox Churches which use the Julian Calendar this is 24 May according to the Gregorian calendar); and on 7 July according to the old sanctoral calendar that existed before the revisions of the Second Vatican Council. The celebration also commemorates the introduction of literacy and the preaching of the gospels in the Slavonic language by the brothers. The brothers were declared "Patrons of Europe" in 1980. The first recorded secular celebration of Saints Cyril and Methodius' Day as the "Day of the Bulgarian script", as traditionally accepted by Bulgarian history, was held in the town of Plovdiv on 11 May 1851, when a local Bulgarian school was named "Saints Cyril and Methodius": both acts on the initiative of the prominent Bulgarian educator Nayden Gerov, although an Armenian traveller mentioned his visit to the "celebration of the Bulgarian script" in the town of Shumen on 22 May 1803. Cyril and Methodius are remembered in the Church of England with a Lesser Festival on 14 February. The day is now celebrated as a public holiday in the following countries: In Bulgaria it is celebrated on 24 May and is known as the "Bulgarian Education and Culture, and Slavonic Script Day" (Bulgarian: Ден на българската просвета и култура и на славянската писменост), a national holiday celebrating Bulgarian culture and literature as well as the alphabet. It is also known as "Alphabet, Culture, and Education Day" (Bulgarian: Ден на азбуката, културата и просвещението). Saints Cyril and Methodius are patrons of the National Library of Bulgaria. There is a monument to them in front of the library. Saints Cyril and Methodius are the most celebrated saints in the Bulgarian Orthodox church, and icons of the two brothers can be found in every church. In North Macedonia, it is celebrated on 24 May and is known as the "Saints Cyril and Methodius, Slavonic Enlighteners' Day" (), a national holiday. The Government of the Republic of Macedonia enacted a statute of the national holiday in October 2006 and the Parliament of the Republic of Macedonia passed a corresponding law at the beginning of 2007. Previously it had only been celebrated in the schools. It is also known as the day of the "Solun Brothers" (). In the Czech Republic and Slovakia, the two brothers were originally commemorated on 9 March, but Pope Pius IX changed this date to 5 July for several reasons. Today, Saints Cyril and Methodius are revered there as national saints and their name day (5 July), "Sts Cyril and Methodius Day" is a national holiday in Czech Republic and Slovakia. In the Czech Republic it is celebrated as "Slavic Missionaries Cyril and Methodius Day" (Czech: Den slovanských věrozvěstů Cyrila a Metoděje); in Slovakia it is celebrated as "St. Cyril and Metod Day" (Slovak: Sviatok svätého Cyrila a Metoda). In Russia, it is celebrated on 24 May and is known as the "Slavonic Literature and Culture Day" (Russian: День славянской письменности и культуры), celebrating Slavonic culture and literature as well as the alphabet. Its celebration is ecclesiastical (11 May in the Church's Julian calendar). It is not a public holiday in Russia. The saints' feast day is celebrated by the Eastern Orthodox Church on 11 May and by the Roman Catholic Church and
indicates 'person or thing from a place named Saluq'. Arab tradition states that Saluq was an ancient town in Yemen not far from modern Ta'izz, and the Arabs associate this town with the origin of the breed. However, the word might have been derived from reference to several other places: Saluq in Armenia, and three towns called Saluqiyah. One has become modern Silifke, Turkey; another is near Antioch (modern Antakya), Turkey; and third is located near Baghdad, Iraq. Baghdad eclipsed Ctesiphon, the capital of the Persian Empire, which was located some to the southeast. Ctesiphon itself had replaced and absorbed Seleucia, the first capital of the Seleucid Empire (312 BC – 65 AD). Regardless, the adjective may have been derived by the Arabs of the Arabian Peninsula from the similar-sounding word for Seleucid used in the Aramaic and Syriac languages spoken there by the various peoples of that part of Mesopotamia, but there is no irrefutable evidence. Description Salukis are sighthounds – hunting by sight more than scent or sound – and run their quarry down to kill or retrieve it. The normal size range for the modern breed is high at the withers and in weight. Female Salukis are slightly smaller than males. The head is long and narrow with large eyes and drop ears. The tail of the breed is long and curved. It has the typical deep-chested, long-legged body of sighthounds. The coat comes in a variety of colors including white, cream, fawn, red, grizzle/tan, black/tan, and tri-color (white, black and tan). The overall appearance of the Saluki is grace and symmetry. Two coat types – smooth and "feathered" – are evident in the breed's gene pool. The latter variety has light fluffing on the back of the legs, thighs, ears, and sometimes the throat. The fur on both types is silky and is low-shedding when compared to other breeds. Salukis bred in the Middle East most commonly have short hair. There is a type called "desert Saluki", which descends from bloodlines brought directly from the original region of the breed. It exists in the entire Middle Eastern region. In Israel the type is known as the "Negev Saluki". The desert Saluki does not have influence of western lines and it tends to have a more primitive appearance. It often has a broader skull, shorter muzzle, shorter and more compact body, broader chest, less angulations, and shorter tail than the western equivalent. Some desert Salukis imported from the original region have cropped ears because this is a common tradition in countries such as Iran, Iraq, Turkey, and Syria. However, it is difficult to strictly determine what desert Salukis are because even when the dogs with "original" bloodlines have been bred in the western world for 4 to 5 generations, many people start to call them "western". The type existed in the US already in the 1980s and there has been breeding in France in the 1990s. The first desert Salukis in Finland were imported from Israel in February 2000. After that, more have been imported from countries such as Syria, Oman, Qatar, Turkey. In addition to their countries of birth, they have for example Iranian, Moroccan, Bahraini, and Saudi Arabian "Bedouin Saluki" dogs in their background. Swiftness and physical capacity While the Greyhound is credited as being the fastest dog breed up to distances of around , the Saluki is thought to be faster over longer distances. In 1996, The Guinness Book of Records listed a Saluki as being the fastest dog, capable of reaching a speed of . Due to its heavily padded feet being able to absorb the impact on its body, the Saluki has remarkable stamina when running. Historically, the ancestors of the modern Saluki breed were used for hunting by nomadic tribes. Typical quarry included the gazelle, hare, fox and jackal. While hunting hares, Bedouin hunters would sometimes ride close to their quarry on a camel holding such a dog, which would be thrown towards the prey while at speed to give the dog a running start. Gazelle hunters have also used hawks or falcons to attack the head of the prey so that the dogs could then bring down the distracted animal. Temperament The modern Saluki has retained qualities of hunting hounds and may seem reserved to strangers. The often independent and aloof breed may be difficult to train, and they generally cannot be trusted to return to
capital of the Persian Empire, which was located some to the southeast. Ctesiphon itself had replaced and absorbed Seleucia, the first capital of the Seleucid Empire (312 BC – 65 AD). Regardless, the adjective may have been derived by the Arabs of the Arabian Peninsula from the similar-sounding word for Seleucid used in the Aramaic and Syriac languages spoken there by the various peoples of that part of Mesopotamia, but there is no irrefutable evidence. Description Salukis are sighthounds – hunting by sight more than scent or sound – and run their quarry down to kill or retrieve it. The normal size range for the modern breed is high at the withers and in weight. Female Salukis are slightly smaller than males. The head is long and narrow with large eyes and drop ears. The tail of the breed is long and curved. It has the typical deep-chested, long-legged body of sighthounds. The coat comes in a variety of colors including white, cream, fawn, red, grizzle/tan, black/tan, and tri-color (white, black and tan). The overall appearance of the Saluki is grace and symmetry. Two coat types – smooth and "feathered" – are evident in the breed's gene pool. The latter variety has light fluffing on the back of the legs, thighs, ears, and sometimes the throat. The fur on both types is silky and is low-shedding when compared to other breeds. Salukis bred in the Middle East most commonly have short hair. There is a type called "desert Saluki", which descends from bloodlines brought directly from the original region of the breed. It exists in the entire Middle Eastern region. In Israel the type is known as the "Negev Saluki". The desert Saluki does not have influence of western lines and it tends to have a more primitive appearance. It often has a broader skull, shorter muzzle, shorter and more compact body, broader chest, less angulations, and shorter tail than the western equivalent. Some desert Salukis imported from the original region have cropped ears because this is a common tradition in countries such as Iran, Iraq, Turkey, and Syria. However, it is difficult to strictly determine what desert Salukis are because even when the dogs with "original" bloodlines have been bred in the western world for 4 to 5 generations, many people start to call them "western". The type existed in the US already in the 1980s and there has been breeding in France in the 1990s. The first desert Salukis in Finland were imported from Israel in February 2000. After that, more have been imported from countries such as Syria, Oman, Qatar, Turkey. In addition to their countries of birth, they have for example Iranian, Moroccan, Bahraini, and Saudi Arabian "Bedouin Saluki" dogs in their background. Swiftness and physical capacity While the Greyhound is credited as being the fastest dog breed up to distances of around , the Saluki is thought to be faster over longer distances. In 1996, The Guinness Book of Records listed a Saluki as being the fastest dog, capable of reaching a speed of . Due to its heavily padded feet being able to absorb the impact on its body, the Saluki has remarkable stamina when running. Historically, the ancestors of the modern Saluki breed were used for hunting by nomadic tribes. Typical quarry included the gazelle, hare, fox and jackal. While hunting hares, Bedouin hunters would sometimes ride close to their quarry on a camel holding such a dog, which would be thrown towards the prey while at speed to give the dog a running start. Gazelle hunters have also used hawks or falcons to attack the head of the prey so that the dogs could then bring down the distracted animal. Temperament The modern Saluki has retained qualities of hunting hounds and may seem reserved to strangers. The often independent and aloof breed may be difficult to train, and they generally cannot be trusted to return to their owner when off-leash. Training methods have been recommended to be always gentle and patient. Salukis may bore easily and are not an ideal breed to leave unattended
shape can create the illusion that their heads are longer than usual. Wolves and other wild dogs are dolichocephalic or mesaticephalic, but some domestic dogs have become brachycephalic (short-headed) due to artificial selection by humans over the course of 12,000 years. Dolichocephalic dogs have a wider field of vision but smaller overlap between the eyes and therefore possibly poorer depth perception in some of their field of view than brachycephalic dogs; most, if not all, dogs have less visual acuity than their antecedent the wolf. There is no science-based evidence to confirm the popular belief that sighthounds have a higher visual acuity than other types of dogs. However, there is increasing evidence that dolichocephalic dogs, thanks to a higher number of retinal ganglion cells in their “visual streak”, retain more heightened sensitivity than other dog types to objects and rapid movement in the horizontal field of vision. Sighthounds such as the Saluki/Sloughi type (both named after the Seleucid Empire) may have existed for at least 5,000 years, with the earliest presumed sighthound remains of a male with a shoulder height around 54 cm, compared to a Saluki, appearing in the excavations of Tell Brak dated approximately 4,000 years before present. The earliest complete European description of a sighthound and its work, the Celtic vertragus from Roman Spain of the 2nd century C.E., comes from Arrian's Cynegeticus. A similar type, possibly a moderately sized male sighthound, with a height of 61–63 cm, of approximately the same historic period, the Warmington Roman dog is described from a well-preserved skeleton found in England. Although today most sighthounds are kept primarily as pets, some of them may have been bred for as many as thousands of years to detect movement of prey, then chase, capture, and kill it primarily by speed. They thrive on physical activity. Some have mellow personalities, others are watchful or even hostile towards strangers, but the instinct to chase running animals remains strong. Apart from coursing and hunting, various dog sports are practiced with purebred sighthounds, and sometimes with lurchers and longdogs. Such sports include racing, lure coursing, and other events. List of sighthound breeds Afghan Hound Azawakh Borzoi Chippiparai Chortai Galgo Español Greyhound Irish Wolfhound Italian Greyhound Kaikadi Kanni Kombai Levriero Sardo Magyar agár Mudhol Hound Old Croatian Sighthound † Patagonian Greyhound Polish Greyhound Rajapalayam Rampur Greyhound Saluki Scottish Deerhound Silken Windhound Sloughi Taigan Tazy Whippet Xigou † extinct Crossbreed sighthound types Kangaroo hound Longdog Lurcher American Staghound Breeds considered to be controversial, not having by origin a sighthound function A number of breeds or types of dogs which do not hunt solely by speed and sight, as well as a number of non-hunting breeds, are currently being recognized as sighthounds, either formally or informally by kennel clubs, or lure and live coursing clubs. These include: Andalusian Hound Basenji Cirneco dell'Etna Ibizan Hound (Podenco Ibicenco) Peruvian Inca Orchid Pharaoh Hound (Kelb tal-fenek) Podenco Canario Portuguese Podengo Rhodesian Ridgeback Thai Ridgeback Kennel club classification When competing in conformation shows, most Anglophone kennel clubs, including the American Kennel Club and The Kennel Club (UK), group pedigree sighthound breeds together with scent hounds in a Hound Group, the Fédération Cynologique Internationale groups them in a dedicated Sighthound Group, whilst the United Kennel Club groups them in a Sighthound and Pariah Group. See also Dog type Hound Hunting dog Scenthound References Further reading Almirall, Leon V. Canines and Coyotes. Caldwell, Id.: The Caxton Printers, Ltd., 1941. Anderson, John Kinlock. Hunting in the Ancient World. University of California Press 1985. Belkin, Dan. "The Functional Saluki: Lessons from the Coursing Field". Field Advisory News, November/December 1993. Bengtson, Bo. "What IS a Sighthound?" Sighthound Review, charter Issue, May–June 1984. Bengtson, Bo. "What is a Sighthound?" Sighthound Review. January 2011. Bennett, D. & Timm, R.M., The dogs of Roman Vindolanda, Part IV:
the eyes and therefore possibly poorer depth perception in some of their field of view than brachycephalic dogs; most, if not all, dogs have less visual acuity than their antecedent the wolf. There is no science-based evidence to confirm the popular belief that sighthounds have a higher visual acuity than other types of dogs. However, there is increasing evidence that dolichocephalic dogs, thanks to a higher number of retinal ganglion cells in their “visual streak”, retain more heightened sensitivity than other dog types to objects and rapid movement in the horizontal field of vision. Sighthounds such as the Saluki/Sloughi type (both named after the Seleucid Empire) may have existed for at least 5,000 years, with the earliest presumed sighthound remains of a male with a shoulder height around 54 cm, compared to a Saluki, appearing in the excavations of Tell Brak dated approximately 4,000 years before present. The earliest complete European description of a sighthound and its work, the Celtic vertragus from Roman Spain of the 2nd century C.E., comes from Arrian's Cynegeticus. A similar type, possibly a moderately sized male sighthound, with a height of 61–63 cm, of approximately the same historic period, the Warmington Roman dog is described from a well-preserved skeleton found in England. Although today most sighthounds are kept primarily as pets, some of them may have been bred for as many as thousands of years to detect movement of prey, then chase, capture, and kill it primarily by speed. They thrive on physical activity. Some have mellow personalities, others are watchful or even hostile towards strangers, but the instinct to chase running animals remains strong. Apart from coursing and hunting, various dog sports are practiced with purebred sighthounds, and sometimes with lurchers and longdogs. Such sports include racing, lure coursing, and other events. List of sighthound breeds Afghan Hound Azawakh Borzoi Chippiparai Chortai Galgo Español Greyhound Irish Wolfhound Italian Greyhound Kaikadi Kanni Kombai Levriero Sardo Magyar agár Mudhol Hound Old Croatian Sighthound † Patagonian Greyhound Polish Greyhound Rajapalayam Rampur Greyhound Saluki Scottish Deerhound Silken Windhound Sloughi Taigan Tazy Whippet Xigou † extinct Crossbreed sighthound types Kangaroo hound Longdog Lurcher American Staghound Breeds considered to be controversial, not having by origin a sighthound function A number of breeds or types of dogs which do not hunt solely by speed and sight, as well as a number of non-hunting breeds, are currently being recognized as sighthounds, either formally or informally by kennel clubs, or lure and live coursing clubs. These include: Andalusian Hound Basenji Cirneco dell'Etna Ibizan Hound (Podenco Ibicenco) Peruvian Inca Orchid Pharaoh Hound (Kelb tal-fenek) Podenco Canario Portuguese Podengo Rhodesian Ridgeback Thai Ridgeback Kennel club classification When competing in conformation shows, most Anglophone kennel clubs, including the American Kennel Club and The Kennel Club (UK), group pedigree sighthound breeds together with scent hounds in a Hound Group, the Fédération Cynologique Internationale groups them in a dedicated Sighthound Group, whilst the United Kennel Club groups them in a Sighthound and Pariah Group. See also Dog type Hound Hunting dog Scenthound References Further reading Almirall, Leon V. Canines and Coyotes. Caldwell, Id.: The Caxton Printers, Ltd., 1941. Anderson, John Kinlock. Hunting in the Ancient World. University of California Press 1985.
a wire haired coat, but, with show breeders preferring a dark, longer coat, these genes now appear to be lost. A white chest and toes are allowed, and a slight white tip to the tail; a white blaze on the head or a white collar are not accepted. The head is long, skull flat, with little stop and a tapering muzzle. The eyes are dark, dark brown or hazel in colour. The teeth should form a level, complete scissor bite. The long straight or curved tail, well covered with hair, should almost reach the ground. Temperament The Scottish Deerhound is gentle and extremely friendly. The breed is famed for being docile and eager to please, with a bearing of gentle dignity. It is however a true sighthound which has been selected for generations to pursue game; consequently, most Deerhounds will be eager to chase. The Deerhound needs considerable exercise when young to develop properly and to maintain its health and condition. That does not mean it needs a large house to live in; however it should have regular access to free exercise in a fenced or otherwise "safe" area. Deerhounds should not be raised with access only to leash walking or a small yard, this would be detrimental to their health and development. City dwellers with conviction, however, can keep the dog both healthy and happy, as long as they are willing to take their Deerhounds to nearby parks for lengthy runs and rigorous fetching sessions within these wider running courses. Young Deerhounds can sometimes, depending on the individual, be quite destructive especially when they are not given sufficient exercise; however, the average adult Deerhound may want to spend most of the day stretched out on the floor or a couch, sleeping. They do require a stimulus, preferably another Deerhound, and a large area to exercise properly and frequently. They are gentle and docile indoors and are generally good around company and children. However, due to their size, they require supervision with young children. Health Longevity for this breed, according to a US health survey, is 8.4 years for males and 8.9 years for females, and a UK survey puts the average at 8.3 and median at 8.6. The serious health issues in the breed include cardiomyopathy; osteosarcoma; bloat; stomach or splenic torsion, called Gastric dilatation
with hair, should almost reach the ground. Temperament The Scottish Deerhound is gentle and extremely friendly. The breed is famed for being docile and eager to please, with a bearing of gentle dignity. It is however a true sighthound which has been selected for generations to pursue game; consequently, most Deerhounds will be eager to chase. The Deerhound needs considerable exercise when young to develop properly and to maintain its health and condition. That does not mean it needs a large house to live in; however it should have regular access to free exercise in a fenced or otherwise "safe" area. Deerhounds should not be raised with access only to leash walking or a small yard, this would be detrimental to their health and development. City dwellers with conviction, however, can keep the dog both healthy and happy, as long as they are willing to take their Deerhounds to nearby parks for lengthy runs and rigorous fetching sessions within these wider running courses. Young Deerhounds can sometimes, depending on the individual, be quite destructive especially when they are not given sufficient exercise; however, the average adult Deerhound may want to spend most of the day stretched out on the floor or a couch, sleeping. They do require a stimulus, preferably another Deerhound, and a large area to exercise properly and frequently. They are gentle and docile indoors and are generally good around company and children. However, due to their size, they require supervision with young children. Health Longevity for this breed, according to a US health survey, is 8.4 years for males and 8.9 years for females, and a UK survey puts the average at 8.3 and median at 8.6. The serious health issues in the breed include cardiomyopathy; osteosarcoma; bloat; stomach or splenic torsion, called Gastric dilatation volvulus; and cystinuria. See current health studies. Like other sighthounds, deerhounds have unique anatomical and physiological features likely due to intentional selection for hunting by speed and sight. Laboratory studies have established reference intervals for haematology and serum biochemical profiles in Deerhounds, some of which are shared by all sighthounds, and some of which may be unique to this breed. Notable Scottish Deerhounds "Dusk": one of a couple (including "Dawn"), a wedding gift to the Danish writer Karen Blixen a.k.a. Isak Dinesen and her husband Bror von Blixen-Finecke during her years in Kenya, frequently referenced in Blixen's work and letters, with whom she can be seen in several photos, and represented in the feature film Out of Africa. Maida, Sir Walter Scott's dog Foxcliffe Hickory Wind See also Dogs portal List of dog breeds List of domesticated Scottish breeds References Further reading Almirall, Leon V. Canines and Coyotes. Caldwell, Id.: The Caxton Printers, Ltd., 1941. Barret, Kay. Living with Deerhounds Bell, Weston. The Scottish Deerhound. 1892. (Reprinted by Hoflin Publishing Inc., 4401 Sephyr St., Wheat Ridge, Colorado, U.S.A. 80003.) Benbow, Audrey. How To Raise and Train A Scottish Deerhound. Neptune City, N.J.: T.F.H.Publications, 1965, 1993. Blaze, Elzear and Byng Hall, Herbert The Sportsman and His Dog London: Darling 1850 Cassels, Kenneth. A Most Perfect Creature of Heaven: The Scottish Deerhound. K.A.H.Cassels, 1997. Crealock, Lt.-General Henry Hope. Deerstalking in the Highlands of Scotland. London: Longmans & Green, 1892. Cunliffe, Juliette. Deerhound. Dorking, Surrey, U.K.: Interpret Publishing, 2002. Cupples, George. Scotch Deerhounds and their Masters. Edinburgh: William Blackwood, 1892. (Reprinted in 1978 by Hoflin Publishing Inc.) Dalziel, Hugh. British Dogs – Their Varieties, History, Characteristics, Breeding, Management And Exhibition London: The Bazaar Office circa 1879 Grimble, Augustus. Deer-stalking London: Chapman & Hall 1886 Hartley, A.N. The Deerhound. 1986. (Available from the Scottish Deerhound Club of America and the Deerhound Club (U.K.)) Heidenreich, Barbara. Your Scottish Deerhound Primer, Fern Hill, Ontario, 1989,1999,2005,2012.
nomads and bedouins, the Sloughi is reserved with strangers and takes a while to warm up to new friends. The Sloughi also expects reserve from people they meet, and may not appreciate those who are too familiar. The Sloughi is also noted for its primitive instincts, for unlike other sighthound breeds it is highly alert and territorial which made them prized by the Berbers, not only as hunters, but as fearless watch dogs. Improperly socialized Sloughis can be shy and or aggressive towards other dogs, and it is critical that breeders consider temperament in their breeding decisions and that puppies receive appropriate socialization from an early age so that they mature into well adjusted adults. Their socialization must include not only new people, but new situations, environments and other dogs. Sloughis that are accustomed to children are excellent with children. As with all breeds, children need to be taught to respect dogs and not to mistreat them. They require ample daily exercise in order to meet their physical, emotional and mental needs. This is not a breed that is well suited to apartment life without a planned regimen of daily exercise that includes galloping freely. Sloughis have been bred for millennia to course game and as a result have extremely high prey drive. They can be wonderful with cats, small dogs and other animals if they are introduced at an early age and learn that these other pets are not prey. The Sloughi's character is also tender and intelligent and they are sensitive to correction. They must be trained with methods that are also intelligent and sensitive. Heavy-handed or corporal training methods are not effective for any breed, but they are especially deleterious to the character of sighthounds. Health Only a few genetic conditions have been confirmed in the breed. These include certain autoimmune disorders, such as Addison's disease and irritable bowel syndrome and progressive retinal atrophy. The Sloughi is one of
The tail is long and carried low with an upward curve at the end. Temperament The Sloughi is a primitive hunting breed that bonds extremely closely with its owner or family from an early age. They are unlikely to be exceedingly shy or aggressive. A well bred and well socialized Sloughi is a stable, attentive, and exceedingly loving family member. The American Sloughi Association standard states that, “The Sloughi is a dog with class and grace. The attitude is noble and somewhat aloof.” Because of their origins as the hunters and guardians of Sahara nomads and bedouins, the Sloughi is reserved with strangers and takes a while to warm up to new friends. The Sloughi also expects reserve from people they meet, and may not appreciate those who are too familiar. The Sloughi is also noted for its primitive instincts, for unlike other sighthound breeds it is highly alert and territorial which made them prized by the Berbers, not only as hunters, but as fearless watch dogs. Improperly socialized Sloughis can be shy and or aggressive towards other dogs, and it is critical that breeders consider temperament in their breeding decisions and that puppies receive appropriate socialization from an early age so that they mature into well adjusted adults. Their socialization must include not only new people, but new situations, environments and other dogs. Sloughis that are accustomed to children are excellent with children. As with all breeds, children need to be taught
over or jumped on than with a more excitable breed. They are very gentle and tolerate the often over-enthusiastic attentions of children with little risk of retaliation from the dog. Galgos have a very reserved personality and they have a tendency towards shyness, so it is very important that they be socialized early in life so that they grow up to be comfortable around strange people, dogs and locations. Health Like many other sighthounds, Galgos are a fairly healthy breed although they are sensitive to anaesthesia. As such, proper care should be taken by the owner to ensure that the attending veterinarian is aware of this issue. Although Galgos are big dogs, their history of selection as a working sighthound, their light weight, and their anatomy keep them safe from hip dysplasia. These dogs must run regularly to keep in perfect health, combined with their characteristic tendency to sleep all the rest of the day. History The Spanish greyhound is thought by some popular writers to have descended from Egyptian dogs brought to the Iberian Peninsula by the Phoenicians nearly 3,000 years ago. However the existence of the Celtic vertragus in Roman Iberia 2,000 years ago, as described by Arrian and Martial, suggests that it and its possible descendant the Galgo, may more likely be of Western European type in origin. After it was established in Spain, it is thought to have been cross-bred centuries later with the Sloughi brought from North Africa by the Moors. Some writers suggest that this breed may be ancestral to the English Greyhound. The Galgo name is probably derived from the Latin "Canis Gallicus" or "Dog from Gaul". The Spanish word for all kinds of Greyhounds — including the Galgo — is "lebrel", which means "harrier" or "dog for chasing hares", since "liebre" is Spanish for hare. We can see the same derivative in the Italian "levriero" and the French "lévrier". The first written references to an ancient Celtic sighthound, the "vertragus", in the Cynegeticus of Flavius Arrianus (Arrian), Roman proconsul of the Spanish province of Baetica in the second century, may refer to the Galgo's antecedent. Arrian described his personal experience in Spain. His description of hare hunting is very similar to that used with the Galgo nowadays in Spain, adding that it was a general Celtic tradition not related to social class. He indicated that there were not only smooth haired types of the vertragus but also rough coated ones. There is little evidence for mention of the Galgo or its antecedent in the first centuries of the Middle Ages, but it appeared to have survived and flourished in the second half of the period. In the 9th and 10th centuries, coinciding with the Reconquista, great spaces in Castile were colonized resulting in Christian military repossession of the Iberian Peninsula from Muslim control. This open land introduced a new mode of hunting with dogs: while the North of Spain is mountainous, the regions progressively recovered were flat, open areas full of small animals like hares, which provided the Galgo a useful opportunity for hunting. At that time it was considered a noble dog, and was kept mainly by the aristocracy of both the Christian and the Muslim Kingdoms in which Spanish territory was still divided. It is likely that the Galgo and the Sloughi (perhaps also Saluki) were interbred during this period. The great esteem in which the Galgo was held is evident by the many laws of the time designed to punish the killing or theft of the breed: Fuero of Salamanca (9th century); Fuero of Cuenca; Fuero of Zorita de los Canes; Fuero of Molina de Aragón (12th century); Fuero of Usagre (12th century). In the Cartuario of Slonza we can read a will written in Villacantol in which, using an odd mixture of Latin and Spanish, the Mayor Gutiérrez bequeaths a Galgo to Diego Citid in the year 1081: Urso galgo colore nigro ualente caetum sólidos dae argento; "a black Galgo with patches of silver"; That this dog was a significant item in a noble's will demonstrates the great value accorded it at the time. The mural paintings at the Hermitage of San Baudelio de Berlanga, in Soria, dating from the 12th century show a hunting scene with three Galgos apparently identical to the ones that we can see today. In the Renaissance Martínez del Espinar writes in his book "Arte de Ballestería y Montería" ("The Art of Hunting and Archery"): Muchas maneras hay de matar estos animales. (las liebres) "Muchas, diré las que en España usan: correnlas con galgos, que aquí los hay ligerísimos, y así mismo lo son algunas liebres, que se les escapan sin poderlas alcanzar; y no porque corren hoy dejan de volver a sus querencias; antes estas liebres corredoras las continúan, porque tienen conocido el camino de su uida, y por la mayor parte se encaman cerca de alguna senda o camino, orilla de algún soto, monte o ladera, o tierra pedregosa, y así huyen de ellas y de ir cuesta abajo que las alcanzan luego en las laderas y tierra tiesa, parece que vuelan". "there is a large variety of ways to kill these animals". (the hares) Nevertheless, I will tell of those that are used in Spain: they hunt them with Galgos, since here there are some extremely swift ones, although some hares are as swift as them, and sometimes do get away from them. But even having run and got scared today, these hares will come back to their homes tomorrow. They know the way back. They spend the night in some quiet place: a road, a hill, a stony field. In fact they are sometimes surprised in such places by the dogs; then they run away down to the plain, and the dogs try to chase them over the flat ground. They seem to fly. The Galgo appears to have developed first in the Castillian plains, both in the north (Valladolid, Zamora, Ávila Salamanca, Segovia, Soria, Burgos and Palencia) and the south (Toledo, Cuenca, Guadalajara, Madrid and Ciudad Real) of Castilla. And, afterwards, in more southern territories: La Mancha and Andalusia. It became the typical dog type of the Spanish interior, while the bloodhound plays the same role in the coast regions. The Galgo appears not only in hunting books but also in common Spanish expressions, as well as in Literature. Maybe the most famous reference is the one contained in the opening sentence of "Don Quixote de La Mancha": "En un lugar de la Mancha, de cuyo nombre no quiero acordarme, no ha mucho tiempo que vivía un hidalgo de los de lanza en astillero, adarga antigua, rocín flaco y galgo corredor. " "In a village of La Mancha, the name of which I have no desire to call to mind, there lived not long since one of those gentlemen that keep a lance in the lance-rack, an old buckler, a lean hack, and a galgo for coursing." There are plenty of common expressions in Spain that name the Galgo. For example, "A galgo viejo, echadle liebre, no conejo" which means " use old Galgos for chasing hares instead of rabbits" suggests that it is best to use experienced people for hard tasks and challenges. "Galgo que va tras dos liebres, sin ninguna vuelve" meaning "if a Galgo tries to chase two hares, it will return with none" recommends focussing on a single effort, otherwise by distraction, failing. Although the breed did not apparently experience any significant change in the 18th and 19th centuries, and was kept in its vocation as a swift hunting dog, maybe the most telling proverb which mentions the Galgo, is the one dating from the first years of the nineteenth Century: "A los galgos del Rey no se les escapa la liebre"; Meaning "The hare never escapes from the King's Galgos"; Which was used at first to satirize the corrupt Government of Fernando VII, considered to cheat in everything it did. In the first years of the 20th century, large scale crossbreeding occurred between the Galgo and the English Greyhound in order to create faster dogs for professional track racing. This certainly affected the purity of the breed, the resulting dogs were just a bit faster, but did lose their long-distance-running abilities. Finally breeders came to the conclusion that it was not worth crossbreeding. The
the Galgo or its antecedent in the first centuries of the Middle Ages, but it appeared to have survived and flourished in the second half of the period. In the 9th and 10th centuries, coinciding with the Reconquista, great spaces in Castile were colonized resulting in Christian military repossession of the Iberian Peninsula from Muslim control. This open land introduced a new mode of hunting with dogs: while the North of Spain is mountainous, the regions progressively recovered were flat, open areas full of small animals like hares, which provided the Galgo a useful opportunity for hunting. At that time it was considered a noble dog, and was kept mainly by the aristocracy of both the Christian and the Muslim Kingdoms in which Spanish territory was still divided. It is likely that the Galgo and the Sloughi (perhaps also Saluki) were interbred during this period. The great esteem in which the Galgo was held is evident by the many laws of the time designed to punish the killing or theft of the breed: Fuero of Salamanca (9th century); Fuero of Cuenca; Fuero of Zorita de los Canes; Fuero of Molina de Aragón (12th century); Fuero of Usagre (12th century). In the Cartuario of Slonza we can read a will written in Villacantol in which, using an odd mixture of Latin and Spanish, the Mayor Gutiérrez bequeaths a Galgo to Diego Citid in the year 1081: Urso galgo colore nigro ualente caetum sólidos dae argento; "a black Galgo with patches of silver"; That this dog was a significant item in a noble's will demonstrates the great value accorded it at the time. The mural paintings at the Hermitage of San Baudelio de Berlanga, in Soria, dating from the 12th century show a hunting scene with three Galgos apparently identical to the ones that we can see today. In the Renaissance Martínez del Espinar writes in his book "Arte de Ballestería y Montería" ("The Art of Hunting and Archery"): Muchas maneras hay de matar estos animales. (las liebres) "Muchas, diré las que en España usan: correnlas con galgos, que aquí los hay ligerísimos, y así mismo lo son algunas liebres, que se les escapan sin poderlas alcanzar; y no porque corren hoy dejan de volver a sus querencias; antes estas liebres corredoras las continúan, porque tienen conocido el camino de su uida, y por la mayor parte se encaman cerca de alguna senda o camino, orilla de algún soto, monte o ladera, o tierra pedregosa, y así huyen de ellas y de ir cuesta abajo que las alcanzan luego en las laderas y tierra tiesa, parece que vuelan". "there is a large variety of ways to kill these animals". (the hares) Nevertheless, I will tell of those that are used in Spain: they hunt them with Galgos, since here there are some extremely swift ones, although some hares are as swift as them, and sometimes do get away from them. But even having run and got scared today, these hares will come back to their homes tomorrow. They know the way back. They spend the night in some quiet place: a road, a hill, a stony field. In fact they are sometimes surprised in such places by the dogs; then they run away down to the plain, and the dogs try to chase them over the flat ground. They seem to fly. The Galgo appears to have developed first in the Castillian plains, both in the north (Valladolid, Zamora, Ávila Salamanca, Segovia, Soria, Burgos and Palencia) and the south (Toledo, Cuenca, Guadalajara, Madrid and Ciudad Real) of Castilla. And, afterwards, in more southern territories: La Mancha and Andalusia. It became the typical dog type of the Spanish interior, while the bloodhound plays the same role in the coast regions. The Galgo appears not only in hunting books but also in common Spanish expressions, as well as in Literature. Maybe the most famous reference is the one contained in the opening sentence of "Don Quixote de La Mancha": "En un lugar de la Mancha, de cuyo nombre no quiero acordarme, no ha mucho tiempo que vivía un hidalgo de los de lanza en astillero, adarga antigua, rocín flaco y galgo corredor. " "In a village of La Mancha, the name of which I have no desire to call to mind, there lived not long since one of those gentlemen that keep a lance in the lance-rack, an old buckler, a lean hack, and a galgo for coursing." There are plenty of common expressions in Spain that name the Galgo. For example, "A galgo viejo, echadle liebre, no conejo" which means " use old Galgos for chasing hares instead of rabbits" suggests that it is best to use experienced people for hard tasks and challenges. "Galgo que va tras dos liebres, sin ninguna vuelve" meaning "if a Galgo tries to chase two hares, it will return with none" recommends focussing on a single effort, otherwise by distraction, failing. Although the breed did not apparently experience any significant change in the 18th and 19th centuries, and was kept in its vocation as a swift hunting dog, maybe the most telling proverb which mentions the Galgo, is the one dating from the first years of the nineteenth Century: "A los galgos del Rey no se les escapa la liebre"; Meaning "The hare never escapes from the King's Galgos"; Which was used at first to satirize the corrupt Government of Fernando VII, considered to cheat in everything it did. In the first years of the 20th century, large scale crossbreeding occurred between the Galgo and the English Greyhound in order to create faster
Dummer who had taken up a large farm. Bachiler and Hussey like-wise received similar grants of land. Hampton, New Hampshire In 1638, Bachiler and others, including his son-in-law Christopher Hussey, successfully petitioned to begin a new plantation at Winnacunnet, to which he gave the name Hampton when the town was incorporated in 1639. His ministry there became embroiled in controversy when Timothy Dalton was sent to the town as "teaching assistant" by the Boston church after New Hampshire was absorbed by Massachusetts in 1641. Shortly thereafter, Bachiler was excommunicated by the Hampton church on unfounded charges of "scandal", but protested to Governor Winthrop and was later reinstated. In other respects, Bachiler's reputation was such that in 1642, he was asked by Thomas Gorges, deputy governor of the Province of Maine, to act as arbitration "umpire" (deciding judge) in a Saco Court land dispute between George Cleeve and John Winter. Maine By 1644, Cleeve had become deputy governor of Lygonia, a rival province to that of Gorges' in Maine established from a resurrected Plough Patent, and asked Bachiler to be its minister at Casco. Bachiler deferred, having already received a call to be minister for the new town of Exeter. Once again Massachusetts intervened in his affairs when the General Court ordered deferral of any church at Exeter. Frustrated in his attempts at a new ministry, Bachiler left Hampton and went as missionary to Strawbery Banke (now Portsmouth, New Hampshire) probably that same year 1644. While there, he married in 1648 (his fourth wife) a young widow, Mary Beedle of Kittery, Maine. In 1651, she was indicted and sentenced for adultery with a neighbor. There are scholars who believe that she was the model of the character of Hester Prynne in The Scarlet Letter. Emigration to England and death Denied a divorce by the Massachusetts Court, Bachiler finally returned to England about 1653. His children who had stayed in England were well off and able to take care of him. Bachiler died near London, and the burial register of All Hallows Staining records that he was buried on 31 October 1656 at the New Churchyard. Legacy The biographical entry in Robert Charles Anderson's look at the early immigrants says of Bachilder: "Among the many remarkable lives lived by early New Englanders, Bachiler's is the most remarkable." The Metropolitan Museum of Art in New York
to be its minister and leader. Although the settlers sailed to America in the winter of 1630–1631, the project was abandoned. The plough and the image of a sun rising from its base feature on Bachiler's coat-of-arms which were included in a 1661 work on the origins of heraldry by Sylvanus Morgan. Bachiler was accompanied to America, on the ship William & Francis (5 June 1632) after an 88-day journey, by his third wife, Helena and his "family". Exactly who came with Rev. Bachiler is unknown. The families of his children Nathaniel, Deborah, Ann & Theodate are all later found in New England. Lynn and Newbury, Massachusetts Bachiler was 70 years old when he reached Boston in 1632, and gathered his followers to establish the First Church of Lynn (then Saugus). He incurred the hostility of the Puritan theocracy in Boston, being believed to have cast the only dissenting vote among ministers against the expulsion of Roger Williams. Despite his age, he was uncommonly energetic, and throughout some two decades pursued settlement and church endeavors, always engaged in controversy and confrontation with Bay Colony leaders. By 1636, Bachiler had moved to Newbury, Massachusetts, with his son-in-law Captain Christopher Hussey. The men were following their cousin Richard Dummer who had taken up a large farm. Bachiler and Hussey like-wise received similar grants of land. Hampton, New Hampshire In 1638, Bachiler and others, including his son-in-law Christopher Hussey, successfully petitioned to begin a new plantation at Winnacunnet, to which he gave the name Hampton when the town was incorporated in 1639. His ministry there became embroiled in controversy when Timothy Dalton was sent to the town as "teaching assistant" by the Boston church after New Hampshire was absorbed by Massachusetts in 1641. Shortly thereafter, Bachiler was excommunicated by the Hampton church on unfounded charges of "scandal", but protested to Governor Winthrop and was later reinstated. In other respects, Bachiler's reputation was such that in 1642, he was asked by Thomas Gorges, deputy governor of the Province of Maine, to act as arbitration "umpire" (deciding judge) in a Saco Court land dispute between George Cleeve and John Winter. Maine By 1644, Cleeve had become deputy governor of Lygonia, a rival province to that of Gorges' in Maine established from a resurrected Plough Patent, and asked Bachiler to be its minister at Casco. Bachiler deferred, having already received a call to be minister for the new town of Exeter. Once again Massachusetts intervened in his affairs when the General Court ordered deferral of any church at Exeter. Frustrated in his attempts at a new ministry, Bachiler left Hampton and went as missionary to Strawbery Banke (now Portsmouth, New Hampshire) probably that same year 1644. While there, he married in 1648 (his fourth wife) a young widow, Mary Beedle of Kittery, Maine. In 1651, she was indicted and sentenced for adultery with a neighbor. There are scholars who believe that she was the model of the character of Hester Prynne in The
used for cleaning surfaces before repainting SOAP (originally an acronym for Simple Object Access Protocol), a protocol specification in computer networks Spectrometric Oil Analysis Program, a method for testing the oil in aircraft engines for the concentration of critical metals to identify wear of engine parts Symbolic Optimal Assembly Program, an assembly language for the IBM 650 computer SOAP note, a method of documentation used in medical charts Short Oligonucleotide Analysis Package, a bioinformatics package used for the assembly and analysis of DNA sequences SOAP ("Simplify Obscure Algol Programs"), an Algol 60 prettyprinter See also Soap Creek (Missouri), a stream in the U.S. state of Missouri Soap Creek (Texas), a stream in the U.S. state of Texas Soap shoes, skateboarding
in computer networks Spectrometric Oil Analysis Program, a method for testing the oil in aircraft engines for the concentration of critical metals to identify wear of engine parts Symbolic Optimal Assembly Program, an assembly language for the IBM 650 computer SOAP note, a method of documentation used in medical charts Short Oligonucleotide Analysis Package, a bioinformatics package used for the assembly and analysis of DNA sequences SOAP ("Simplify Obscure Algol Programs"), an Algol
made profitable to it. He has monopolized nearly all the profitable employments, and from those she is permitted to follow, she receives but a scanty remuneration. He closes against her all the avenues to wealth and distinction, which he considers most honorable to himself. As a teacher of theology, medicine, or law, she is not known. He has denied her the facilities for obtaining a thorough education—all colleges being closed against her. He allows her in church, as well as State, but a subordinate position, claiming Apostolic authority for her exclusion from the ministry, and, with some exceptions, from any public participation in the affairs of the Church. He has created a false public sentiment by giving to the world a different code of morals for men and women, by which moral delinquencies which exclude women from society, are not only tolerated but deemed of little account in man. He has usurped the prerogative of Jehovah himself, claiming it as his right to assign for her a sphere of action, when that belongs to her conscience and her God. He has endeavored, in every way that he could to destroy her confidence in her own powers, to lessen her self-respect, and to make her willing to lead a dependent and abject life. Closing remarks Signers Signers of the Declaration at Seneca Falls in order: Lucretia Mott Harriet Cady Eaton - sister of Elizabeth Cady Stanton Margaret Pryor (1785-1874) - Quaker reformer Elizabeth Cady Stanton Eunice Newton Foote Mary Ann M'Clintock (1800-1884) - Quaker reformer, half-sister of Margaret Pryor Margaret Schooley Martha C. Wright (1806–75) - Quaker reformer, sister of Lucretia Mott Jane C. Hunt Amy Post Catherine F. Stebbins Mary Ann Frink Lydia Hunt Mount - well-off Quaker widow Delia Matthews Catharine V. Paine - 18 years old at the time, she is likely one of two signers of the Declaration of Sentiments to have cast a ballot. Catherine Paine Blaine registered to vote in Seattle in 1885 after Washington Territory extended voting rights to women in 1883, making her the first female signer of the Declaration of Sentiments to legally register as a voter. Elizabeth W. M'Clintock - daughter of Mary Ann M'Clintock. She invited Frederick Douglass to attend. Malvina Beebe Seymour Phebe Mosher Catherine Shaw Deborah Scott Sarah Hallowell Mary M'Clintock - daughter of Mary Ann M'Clintock Mary Gilbert Sophrone Taylor Cynthia Davis Hannah Plant Lucy Jones Sarah Whitney Mary H. Hallowell Elizabeth Conklin Sally Pitcher Mary Conklin Susan Quinn Mary S. Mirror Phebe King Julia Ann Drake Charlotte Woodward (c.1830-1921) - the only signer who lived to see the 19th amendment though illness apparently prevented her from ever voting. Martha Underhill - her nephew also signed Eunice Barker Sarah R. Woods Lydia Gild Sarah Hoffman Elizabeth Leslie Martha Ridley Rachel D. Bonnel (1827-1909) Betsey Tewksbury Rhoda Palmer (1816-1919) - the only woman signer who ever legally voted, in 1918 when New York passed female suffrage. Margaret Jenkins Cynthia Fuller Mary Martin P.A. Culvert Susan R. Doty Rebecca Race (1808-1895) Sarah A. Mosher Mary E. Vail - daughter of Lydia Mount Lucy Spalding Lavinia Latham (1781-1859) Sarah Smith Eliza Martin Maria E. Wilbur Elizabeth D. Smith Caroline Barker Ann Porter Experience Gibbs Antoinette E. Segur Hannah J. Latham - daughter of Lavinia Latham Sarah Sisson The following men signed, under the heading "…the gentlemen present in favor of this new movement": Richard P. Hunt (1796-1856) - husband of Jane C. Hunt, brother of Lydia Mount and
the United States Declaration of Independence. She was a key organizer of the convention along with Lucretia Coffin Mott, and Martha Coffin Wright. According to the North Star, published by Frederick Douglass, whose attendance at the convention and support of the Declaration helped pass the resolutions put forward, the document was the "grand movement for attaining the civil, social, political, and religious rights of women." Opening paragraphs Sentiments He has not ever permitted her to exercise her inalienable right to the elective franchise. He has compelled her to submit to laws, in the formation of which she had no voice. He has withheld her from rights which are given to the most ignorant and degraded men—both natives and foreigners. Having deprived her of this first right as a citizen, the elective franchise, thereby leaving her without representation in the halls of legislation, he has oppressed her on all sides. He has made her, if married, in the eye of the law, civilly dead. He has taken from her all right in property, even to the wages she earns. He has made her morally, an irresponsible being, as she can commit many crimes with impunity, provided they be done in the presence of her husband. In the covenant of marriage, she is compelled to promise obedience to her husband, he becoming, to all intents and purposes, her master—the law giving him power to deprive her of her liberty, and to administer chastisement. He has so framed the laws of divorce, as to what shall be the proper causes of divorce, in case of separation, to whom the guardianship of the children shall be given; as to be wholly regardless of the happiness of the women—the law, in all cases, going upon a false supposition of the supremacy of a man, and giving all power into his hands. After depriving her of all rights as a married woman, if single and the owner of property, he has taxed her to support a government which recognizes her only when her property can be made profitable to it. He has monopolized nearly all the profitable employments, and from those she is permitted to follow, she receives but a scanty remuneration. He closes against her all the avenues to wealth and distinction, which he considers most honorable to himself. As a teacher of theology, medicine, or law, she is not known. He has denied her the facilities for obtaining a thorough education—all colleges being closed against her. He allows her in church, as well as State, but a subordinate position, claiming Apostolic authority for her exclusion from the ministry, and, with some exceptions, from any public participation in the affairs of the Church. He has created a false public sentiment by giving to the world a different code of morals for men and women, by which moral delinquencies which exclude women from society, are not only tolerated but deemed of little account in man. He has usurped the prerogative of Jehovah himself, claiming it as his right to assign for her a sphere of action, when that belongs to her conscience and her God. He has endeavored, in every way that he could to destroy her confidence in her own powers, to lessen her self-respect, and to make her willing to lead a dependent and abject life. Closing remarks Signers Signers of the Declaration at Seneca Falls in order: Lucretia Mott Harriet Cady Eaton - sister of Elizabeth Cady Stanton Margaret Pryor (1785-1874) - Quaker reformer Elizabeth Cady Stanton Eunice Newton Foote Mary Ann M'Clintock (1800-1884) - Quaker reformer, half-sister of Margaret Pryor Margaret Schooley Martha C. Wright (1806–75) - Quaker reformer, sister of Lucretia Mott Jane C. Hunt Amy Post Catherine
opinions among authors. Although slaves were mostly used as indentured servants, they were able to buy and sell their servitude, work their way to freedom or nobility, and were usually treated by doctors in the workplace. Elsewhere In Ancient Greece when the clan system was declining. The classes replaced the clan society when it become too small to sustain the needs of increasing population.The division of labor is also essential for the growth of classes. Historically, social class and behavior were laid down in law. For example, permitted mode of dress in some times and places was strictly regulated, with sumptuous dressing only for the high ranks of society and aristocracy, whereas sumptuary laws stipulated the dress and jewelry appropriate for a person's social rank and station. In Europe, these laws became increasingly commonplace during the Middle Ages. However, these laws were prone to change due to societal changes, and in many cases, these distinctions may either almost disappear, such as the distinction between a patrician and a plebeian being almost erased during the late Roman Republic. Jean-Jacques Rousseau had a large influence over political ideals of the French Revolution because of his views of inequality and classes. Rousseau saw humans as "naturally pure and good," meaning that humans from birth were seen as innocent and any evilness was learned. He believed that social problems arise through the development of society and suppress the innate pureness of humankind. He also believed that private property is the main reason for social issues in society because private property creates inequality through the property's value. Even though his theory predicted if there were no private property then there would be wide spread equality, Rousseau accepted that there will always be social inequality because of how society is viewed and run. Later Enlightenment thinkers viewed inequality as valuable and crucial to society's development and prosperity. They also acknowledged that private property will ultimately cause inequality because specific resources that are privately owned can be stored and the owners profit off of the deficit of the resource. This can create competition between the classes that was seen as necessary by these thinkers. This also creates stratification between the classes keeping a distinct difference between lower, poorer classes and the higher, wealthier classes. India (↑), Nepal, North Korea (↑), Sri Lanka (↑) and some Indigenous peoples maintain social classes today. In class societies, class conflict has tended to recur or is ongoing, depending on the sociological and anthropolitical perspective. Class societies have not always existed; there have been widely different types of class communities. For example, societies based on age rather than capital. During colonialism, social relations were dismantled by force, which gave rise to societies based on the social categories of waged labor, private property, and capital. Class society Class society or class-based society is an organizing principle society in which ownership of property, means of production, and wealth is the determining factor of the distribution of power, in which those with more property and wealth are stratified higher in the society and those without access to the means of production and without wealth are stratified lower in the society. In a class society, at least implicitly, people are divided into distinct social strata, commonly referred to as social classes or castes. The nature of class society is a matter of sociological research. Class societies exist all over the globe in both industrialized and developing nations. Class stratification is theorized to come directly from capitalism. In terms of public opinion, nine out of ten people in a Swedish survey considered it correct that they are living in a class society. Comparative sociological research One may use comparative methods to study class societies, using, for example, comparison of Gini coefficients, de facto educational opportunities, unemployment, and culture. Effect on the population Societies with large class differences have a greater proportion of people who suffer from mental health issues such as anxiety and depression symptoms. A series of scientific studies have demonstrated this relationship. Statistics support this assertion and results are found in life expectancy and overall health; for example, in the case of high differences in life expectancy between two Stockholm suburbs. The differences between life expectancy of the poor and less-well-educated inhabitants who live in proximity to the station , and the highly educated and more affluent inhabitants living near Danderyd differ by 18 years. Similar data about New York is also available for life expectancy, average income per capita, income distribution, median income mobility for people who grew up poor, share with a bachelor's degree or higher. In class societies, the lower classes systematically receive lower-quality education and care. There are more explicit effects where those within the higher class actively demonize parts of the lower-class population. Theoretical models Definitions of social classes reflect a number of sociological perspectives, informed by anthropology, economics, psychology and sociology. The major perspectives historically have been Marxism and structural functionalism. The common stratum model of class divides society into a simple hierarchy of working class, middle class and upper class. Within academia, two broad schools of definitions emerge: those aligned with 20th-century sociological stratum models of class society and those aligned with the 19th-century historical materialist economic models of the Marxists and anarchists. Another distinction can be drawn between analytical concepts of social class, such as the Marxist and Weberian traditions, as well as the more empirical traditions such as socioeconomic status approach, which notes the correlation of income, education and wealth with social outcomes without necessarily implying a particular theory of social structure. Marxist For Marx, class is a combination of objective and subjective factors. Objectively, a class shares a common relationship to the means of production. The class society itself is understood as the aggregated phenomenon to the "interlinked movement", which generates the quasi-objective concept of capital. Subjectively, the members will necessarily have some perception ("class consciousness") of their similarity and common interest. Class consciousness is not simply an awareness of one's own class interest but is also a set of shared views regarding how society should be organized legally, culturally, socially and politically. These class relations are reproduced through time. In Marxist theory, the class structure of the capitalist mode of production is characterized by the conflict between two main classes: the bourgeoisie, the capitalists who own the means of production and the much larger proletariat (or "working class") who must sell their own labour power (wage labour). This is the fundamental economic structure of work and property, a state of inequality that is normalized and reproduced through cultural ideology. For Marxists, every person in the process of production has separate social relationships and issues. Along with this, every person is placed into different groups that have similar interests and values that can differ drastically from group to group. Class is special in that does not relate to specifically to a singular person, but to a specific role. Marxists explain the history of "civilized" societies in terms of a war of classes between those who control production and those who produce the goods or services in society. In the Marxist view of capitalism, this is a conflict between capitalists (bourgeoisie) and wage-workers (the proletariat). For Marxists, class antagonism is rooted in the situation that control over social production necessarily entails control over the class which produces goods—in capitalism this is the exploitation of workers by the bourgeoisie. Furthermore, "in countries where modern civilisation has become fully developed, a new class of petty bourgeois has been formed". "An industrial army of workmen, under the command of a capitalist, requires, like a real army, officers (managers) and sergeants (foremen, over-lookers) who, while the work is being done, command in the name of the capitalist". Marx makes the argument that, as the bourgeoisie reach a point of wealth accumulation, they hold enough power as the dominant class to shape political institutions and society according to their own interests. Marx then goes on to claim that the non-elite class, owing to their large numbers, have the power to overthrow the elite and create an equal society. In The Communist Manifesto, Marx himself argued that it was the goal of the proletariat itself to displace the capitalist system with socialism, changing the social relationships underpinning the class system and then developing into a future communist society in which: "the free development of each is the condition for the free development of all". This would mark the beginning of a classless society in which human needs rather than profit would be motive for production. In a society with democratic control and production for use, there would be no class, no state and no need for financial and banking institutions and money. These theorists have taken this binary class system and expanded it to include contradictory class locations, the idea that a person can be employed in many different class locations that fall between the two classes of proletariat and bourgeoisie. Erik Olin Wright stated that class definitions are more diverse and elaborate through identifying with multiple classes, having familial ties with people in different a class, or having a temporary leadership role. Weberian Max Weber formulated a three-component theory of stratification that saw social class as emerging from an interplay between "class", "status" and "power". Weber believed that class position was determined by a person's relationship to the means of production, while status or "Stand" emerged from estimations of honor or prestige. Weber views class as a group of people who have common goals and opportunities that are available to them. This means that what separates each class from each other is their value in the marketplace through their own goods and services. This creates a divide between the classes through the assets that they have such as property and expertise. Weber derived many of his key concepts on social stratification by examining the social structure of many countries. He noted that contrary to Marx's theories, stratification was based on more than simply ownership of capital. Weber pointed out that some members of the aristocracy lack economic wealth yet might nevertheless have political power. Likewise in Europe, many wealthy Jewish families lacked prestige and honor because they were considered members of a "pariah group". Class: A person's economic position in a society. Weber differs from Marx in that he does not see this as the supreme factor in stratification. Weber noted how managers of corporations or industries control firms they do not own. Status: A person's prestige, social honour or popularity in a society. Weber noted that political power was not rooted in capital value solely, but also in one's status. Poets and saints, for example, can possess immense influence on society with often little economic worth. Power: A person's ability to get their way despite the resistance of others. For example, individuals in state jobs, such as an employee of the Federal Bureau of Investigation, or a member of the United States Congress, may hold little property or status, but they still hold immense power. Bourdieu For Bourdieu, the place in the social strata for any person is vaguer than the equivalent in Weberian sociology. Bourdieu introduced an array of concepts of what he refers to as types of capital. These types were economic capital, in the form assets convertible to money and secured as private property. This type of capital is separated from the other types of culturally constituted types of capital, which Bourdieu introduces, which are: personal cultural capital (formal education, knowledge); objective cultural capital (books, art); and institutionalized cultural capital (honours and titles). Great British Class Survey On 2 April 2013, the results of a survey conducted by BBC Lab UK developed in collaboration with academic experts and slated to be published in the journal Sociology were published online. The results released were based on a survey of 160,000 residents of the United Kingdom most of whom lived in England and described themselves as "white". Class was defined and measured according to the amount and kind of economic, cultural and social resources reported. Economic capital was defined as income and assets; cultural capital as amount and type of cultural interests and activities; and social capital as the quantity and social status of their friends, family and personal and business contacts. This theoretical framework was developed by Pierre Bourdieu who first published his theory of social distinction in 1979. Three-level economic class model Today, concepts of social class often assume three general economic categories: a very wealthy and powerful upper class that owns and controls the means of production; a middle class of professional workers, small business owners and low-level managers; and a lower class, who rely on low-paying jobs for their livelihood and experience poverty. Upper class The upper class is the social class composed of those who are rich, well-born, powerful, or a combination of those. They usually wield the greatest political power. In some countries, wealth alone is sufficient to allow entry into the upper class. In others, only people who are born or marry into certain aristocratic bloodlines are considered members of the upper class and those who gain great wealth through commercial activity are looked down upon by the aristocracy as nouveau riche. In the United Kingdom, for example, the upper classes are the aristocracy and royalty, with wealth playing a less important role in class status. Many aristocratic peerages or titles have seats attached to them, with the holder of the title (e.g. Earl of Bristol) and his family being the custodians of the house, but not the owners. Many of these require high expenditures, so wealth is typically needed. Many aristocratic peerages and their homes are parts of estates, owned and run by the title holder with moneys generated by the land, rents or other sources of wealth. However, in the United States where there is no aristocracy or royalty, the upper class status belongs to the extremely wealthy, the so-called "super-rich", though there is some tendency even in the United States for those with old family wealth to look down on those who have earned their money in business, the struggle between new money and old money. The upper class is generally contained within the richest one or two percent of the population. Members of the upper class are often born into it and are distinguished by immense wealth which is passed from generation to generation in the form of estates. Based on some new social and political theories upper class consists of the most wealthy decile group in society which holds nearly 87% of the whole society's wealth. Middle class See also: Middle-class squeeze The middle class is the most contested of the three categories, the broad group of people in contemporary society who fall socio-economically between the lower and upper classes. One example of the contest of this term is that in the United States "middle class" is applied very broadly and includes people who would elsewhere be considered working class. Middle-class workers are sometimes called "white-collar workers". Theorists such as Ralf Dahrendorf have noted the tendency toward an enlarged middle class in modern Western societies, particularly in relation to the necessity of an educated work force in technological economies. Perspectives concerning globalization and neocolonialism, such as dependency theory, suggest this is due to the shift of low-level labour to developing nations and the Third World. Middle class is the group of people with typical-everyday jobs that pay significantly more than the poverty line. Examples of these types of jobs are factory workers, salesperson, teacher, cooks and nurses. There is a new trend by some scholars which assumes that the size of the middle class in every society is the same. For example, in paradox of interest theory, middle class are those who are in 6th–9th decile groups which hold nearly 12% of the whole society's wealth. Lower class Lower class (occasionally described as working class) are those employed in low-paying wage
which those with more property and wealth are stratified higher in the society and those without access to the means of production and without wealth are stratified lower in the society. In a class society, at least implicitly, people are divided into distinct social strata, commonly referred to as social classes or castes. The nature of class society is a matter of sociological research. Class societies exist all over the globe in both industrialized and developing nations. Class stratification is theorized to come directly from capitalism. In terms of public opinion, nine out of ten people in a Swedish survey considered it correct that they are living in a class society. Comparative sociological research One may use comparative methods to study class societies, using, for example, comparison of Gini coefficients, de facto educational opportunities, unemployment, and culture. Effect on the population Societies with large class differences have a greater proportion of people who suffer from mental health issues such as anxiety and depression symptoms. A series of scientific studies have demonstrated this relationship. Statistics support this assertion and results are found in life expectancy and overall health; for example, in the case of high differences in life expectancy between two Stockholm suburbs. The differences between life expectancy of the poor and less-well-educated inhabitants who live in proximity to the station , and the highly educated and more affluent inhabitants living near Danderyd differ by 18 years. Similar data about New York is also available for life expectancy, average income per capita, income distribution, median income mobility for people who grew up poor, share with a bachelor's degree or higher. In class societies, the lower classes systematically receive lower-quality education and care. There are more explicit effects where those within the higher class actively demonize parts of the lower-class population. Theoretical models Definitions of social classes reflect a number of sociological perspectives, informed by anthropology, economics, psychology and sociology. The major perspectives historically have been Marxism and structural functionalism. The common stratum model of class divides society into a simple hierarchy of working class, middle class and upper class. Within academia, two broad schools of definitions emerge: those aligned with 20th-century sociological stratum models of class society and those aligned with the 19th-century historical materialist economic models of the Marxists and anarchists. Another distinction can be drawn between analytical concepts of social class, such as the Marxist and Weberian traditions, as well as the more empirical traditions such as socioeconomic status approach, which notes the correlation of income, education and wealth with social outcomes without necessarily implying a particular theory of social structure. Marxist For Marx, class is a combination of objective and subjective factors. Objectively, a class shares a common relationship to the means of production. The class society itself is understood as the aggregated phenomenon to the "interlinked movement", which generates the quasi-objective concept of capital. Subjectively, the members will necessarily have some perception ("class consciousness") of their similarity and common interest. Class consciousness is not simply an awareness of one's own class interest but is also a set of shared views regarding how society should be organized legally, culturally, socially and politically. These class relations are reproduced through time. In Marxist theory, the class structure of the capitalist mode of production is characterized by the conflict between two main classes: the bourgeoisie, the capitalists who own the means of production and the much larger proletariat (or "working class") who must sell their own labour power (wage labour). This is the fundamental economic structure of work and property, a state of inequality that is normalized and reproduced through cultural ideology. For Marxists, every person in the process of production has separate social relationships and issues. Along with this, every person is placed into different groups that have similar interests and values that can differ drastically from group to group. Class is special in that does not relate to specifically to a singular person, but to a specific role. Marxists explain the history of "civilized" societies in terms of a war of classes between those who control production and those who produce the goods or services in society. In the Marxist view of capitalism, this is a conflict between capitalists (bourgeoisie) and wage-workers (the proletariat). For Marxists, class antagonism is rooted in the situation that control over social production necessarily entails control over the class which produces goods—in capitalism this is the exploitation of workers by the bourgeoisie. Furthermore, "in countries where modern civilisation has become fully developed, a new class of petty bourgeois has been formed". "An industrial army of workmen, under the command of a capitalist, requires, like a real army, officers (managers) and sergeants (foremen, over-lookers) who, while the work is being done, command in the name of the capitalist". Marx makes the argument that, as the bourgeoisie reach a point of wealth accumulation, they hold enough power as the dominant class to shape political institutions and society according to their own interests. Marx then goes on to claim that the non-elite class, owing to their large numbers, have the power to overthrow the elite and create an equal society. In The Communist Manifesto, Marx himself argued that it was the goal of the proletariat itself to displace the capitalist system with socialism, changing the social relationships underpinning the class system and then developing into a future communist society in which: "the free development of each is the condition for the free development of all". This would mark the beginning of a classless society in which human needs rather than profit would be motive for production. In a society with democratic control and production for use, there would be no class, no state and no need for financial and banking institutions and money. These theorists have taken this binary class system and expanded it to include contradictory class locations, the idea that a person can be employed in many different class locations that fall between the two classes of proletariat and bourgeoisie. Erik Olin Wright stated that class definitions are more diverse and elaborate through identifying with multiple classes, having familial ties with people in different a class, or having a temporary leadership role. Weberian Max Weber formulated a three-component theory of stratification that saw social class as emerging from an interplay between "class", "status" and "power". Weber believed that class position was determined by a person's relationship to the means of production, while status or "Stand" emerged from estimations of honor or prestige. Weber views class as a group of people who have common goals and opportunities that are available to them. This means that what separates each class from each other is their value in the marketplace through their own goods and services. This creates a divide between the classes through the assets that they have such as property and expertise. Weber derived many of his key concepts on social stratification by examining the social structure of many countries. He noted that contrary to Marx's theories, stratification was based on more than simply ownership of capital. Weber pointed out that some members of the aristocracy lack economic wealth yet might nevertheless have political power. Likewise in Europe, many wealthy Jewish families lacked prestige and honor because they were considered members of a "pariah group". Class: A person's economic position in a society. Weber differs from Marx in that he does not see this as the supreme factor in stratification. Weber noted how managers of corporations or industries control firms they do not own. Status: A person's prestige, social honour or popularity in a society. Weber noted that political power was not rooted in capital value solely, but also in one's status. Poets and saints, for example, can possess immense influence on society with often little economic worth. Power: A person's ability to get their way despite the resistance of others. For example, individuals in state jobs, such as an employee of the Federal Bureau of Investigation, or a member of the United States Congress, may hold little property or status, but they still hold immense power. Bourdieu For Bourdieu, the place in the social strata for any person is vaguer than the equivalent in Weberian sociology. Bourdieu introduced an array of concepts of what he refers to as types of capital. These types were economic capital, in the form assets convertible to money and secured as private property. This type of capital is separated from the other types of culturally constituted types of capital, which Bourdieu introduces, which are: personal cultural capital (formal education, knowledge); objective cultural capital (books, art); and institutionalized cultural capital (honours and titles). Great British Class Survey On 2 April 2013, the results of a survey conducted by BBC Lab UK developed in collaboration with academic experts and slated to be published in the journal Sociology were published online. The results released were based on a survey of 160,000 residents of the United Kingdom most of whom lived in England and described themselves as "white". Class was defined and measured according to the amount and kind of economic, cultural and social resources reported. Economic capital was defined as income and assets; cultural capital as amount and type of cultural interests and activities; and social capital as the quantity and social status of their friends, family and personal and business contacts. This theoretical framework was developed by Pierre Bourdieu who first published his theory of social distinction in 1979. Three-level economic class model Today, concepts of social class often assume three general economic categories: a very wealthy and powerful upper class that owns and controls the means of production; a middle class of professional workers, small business owners and low-level managers; and a lower class, who rely on low-paying jobs for their livelihood and experience poverty. Upper class The upper class is the social class composed of those who are rich, well-born, powerful, or a combination of those. They usually wield the greatest political power. In some countries, wealth alone is sufficient to allow entry into the upper class. In others, only people who are born or marry into certain aristocratic bloodlines are considered members of the upper class and those who gain great wealth through commercial activity are looked down upon by the aristocracy as nouveau riche. In the United Kingdom, for example, the upper classes are the aristocracy and royalty, with wealth playing a less important role in class status. Many aristocratic peerages or titles have seats attached to them, with the holder of the title (e.g. Earl of Bristol) and his family being the custodians of the house, but not the owners. Many of these require high expenditures, so wealth is typically needed. Many aristocratic peerages and their homes are parts of estates, owned and run by the title holder with moneys generated by the land, rents or other sources of wealth. However, in the United States where there is no aristocracy or royalty, the upper class status belongs to the extremely wealthy, the so-called "super-rich", though there is some tendency even in the United States for those with old family wealth to look down on those who have earned their money in business, the struggle between new money and old money. The upper class is generally contained within the richest one or two percent of the population. Members of the upper class are often born into it and are distinguished by immense wealth which is passed from generation to generation in the form of estates. Based on some new social and political theories upper class consists of the most wealthy decile group in society which holds nearly 87% of the whole society's wealth. Middle class See also: Middle-class squeeze The middle class is the most contested of the three categories, the broad group of people in contemporary society who fall socio-economically between the lower and upper classes. One example of the contest of this term is that in the United States "middle class" is applied very broadly and includes people who would elsewhere be considered working class. Middle-class workers are sometimes called "white-collar workers". Theorists such as Ralf Dahrendorf have noted the tendency toward an enlarged middle class in modern Western societies, particularly in relation to the necessity of an educated work force in technological economies. Perspectives concerning globalization and neocolonialism, such as dependency theory, suggest this is due to the shift of low-level labour to developing nations and the Third World. Middle class is the group of people with typical-everyday jobs that pay significantly more than the poverty line. Examples of these types of jobs are factory workers, salesperson, teacher, cooks and nurses. There is a new trend by some scholars which assumes that the size of the middle class in every society is the same. For example, in paradox of interest theory, middle class are those who are in 6th–9th decile groups which hold nearly 12% of the whole society's wealth. Lower class Lower class (occasionally described as working class) are those employed in low-paying wage jobs with very little economic security. The term "lower class" also refers to persons with low income. The working class is sometimes separated into those who are employed but lacking financial security (the "working poor") and an underclass—those who are long-term unemployed and/or homeless, especially those receiving welfare from the state. The latter is today considered analogous to the Marxist term "lumpenproletariat". However, during the time of Marx's writing the lumpenproletariat referred to those in dire poverty; such as the homeless. Members of the working class are sometimes called blue-collar workers. Consequences of class position A person's socioeconomic class has wide-ranging effects. It can impact the schools they are able to attend, their health, the jobs open to them, when they exit the labour market, whom they may marry and their treatment by police and the courts. Angus Deaton and Anne Case have analyzed the mortality rates related to the group of white, middle-aged Americans between the ages of 45 and 54 and its relation to class. There has been a growing number of suicides and deaths by substance abuse in this particular group of middle-class Americans. This group also has been recorded to have an increase in reports of chronic pain and poor general health. Deaton and Case came to the conclusion from these observations that because of the constant stress that these white, middle aged Americans feel fighting poverty and wavering between the middle and lower classes, these strains have taken a toll on these people and affected their whole bodies. Social classifications can also determine the sporting activities that such classes take part in. It is suggested that those of an upper social class are more likely to take part in sporting activities, whereas those of a lower social background are less likely to participate in sport. However, upper-class people tend to not take part in certain sports that have been commonly known to be linked with the lower class. Social privilege Education A person's social class has a significant impact on their educational opportunities. Not only are upper-class parents able to send their children to exclusive schools that are perceived to be better, but in many places, state-supported schools for children of the upper class are of a much higher quality than those the state provides for children of the lower classes. This lack of good schools is one factor that perpetuates the class divide across generations. In the UK, the educational consequences of class position have been discussed by scholars inspired by the cultural studies framework of the CCCS and/or, especially regarding working-class girls, feminist theory. On working-class boys, Paul Willis' 1977 book Learning
("ritual slaughterer") and member of Chabad hasidim. He was named after its founder, Shneur Zalman of Liadi. Schechter received his early education from his father. Reportedly, he learned to read Hebrew by age 3, and by 5 mastered Chumash. He went to a yeshiva in Piatra Neamţ at age 10 and at age thirteen studied with one of the major Talmudic scholars, Rabbi Joseph Saul Nathanson of Lemberg. In his 20s, he went to the Rabbinical College in Vienna, where he studied under the more modern Talmudic scholar Meir Friedmann, before moving on in 1879 to undertake further studies at the Berlin Hochschule für die Wissenschaft des Judentums and at the University of Berlin. In 1882, he was invited to Britain, to be tutor of rabbinics under Claude Montefiore in London. Academic career In 1890, after the death of Solomon Marcus Schiller-Szinessy, he was appointed to the faculty at Cambridge University, serving as a lecturer in Talmudics and reader in Rabbinics. The students of the Cambridge University Jewish Society hold an annual Solomon Schechter Memorial Lecture. His greatest academic fame came from his excavation in 1896 of the papers of the Cairo Geniza, an extraordinary collection of over 100,000 pages (around 300,000 documents) of rare Hebrew religious manuscripts and medieval Jewish texts that were preserved at an Egyptian synagogue. The find revolutionized the study of Medieval Judaism. Jacob Saphir was the first Jewish researcher to recognize the significance of the Cairo Geniza, as well as the first to publicize the existence of the Midrash ha-Gadol. Schechter was alerted to the existence of the Geniza's papers in May 1896 by two Scottish sisters, Agnes and Margaret Smith (also known as Mrs. Lewis and Mrs. Gibson), who showed him some leaves from the Geniza that contained the Hebrew text of Sirach, which had for centuries only been known in
the significance of the Cairo Geniza, as well as the first to publicize the existence of the Midrash ha-Gadol. Schechter was alerted to the existence of the Geniza's papers in May 1896 by two Scottish sisters, Agnes and Margaret Smith (also known as Mrs. Lewis and Mrs. Gibson), who showed him some leaves from the Geniza that contained the Hebrew text of Sirach, which had for centuries only been known in Greek and Latin translation. Letters, written at Schechter's prompting, by Agnes Smith to The Athenaeum and The Academy quickly revealed the existence of another nine leaves of the same manuscript in the possession of Archibald Sayce at University of Oxford. Schechter quickly found support for another expedition to the Cairo Geniza, and arrived there in December 1896 with an introduction from the Chief Rabbi, Hermann Adler, to the Chief Rabbi of Cairo, Aaron Raphael Ben Shim'on. He carefully selected for the Cambridge University Library a trove three times the size of any other collection: this is now part of the Taylor-Schechter Collection. The find was instrumental in Schechter resolving a dispute with David Margoliouth as to the likely Hebrew language origins of Sirach. Charles Taylor took a great interest in Solomon Schechter's work in Cairo, and the genizah fragments presented to the University of Cambridge are known as the Taylor-Schechter Collection. He was joint editor with Schechter of The Wisdom of Ben Sira, 1899. He published separately Cairo Genizah Palimpsests, 1900. He became a Professor of Hebrew at University College London in 1899 and remained until 1902 when he moved to the United States and was replaced by Israel Abrahams. American Jewish community In 1902, traditional Jews reacting against the progress of the American Reform Judaism movement, which was trying to establish an authoritative
and (sometimes) West German and American actors. Filming locations Most Spaghetti Westerns filmed between 1964 and 1978 were made on low budgets and shot at Cinecittà studios and various locations around southern Italy and Spain. Many of the stories take place in the dry landscapes of the American Southwest and Northern Mexico, hence common filming locations were the Tabernas Desert and the Cabo de Gata-Níjar Natural Park, an area of volcanic origin known for its wide sandy beaches, both of which are in the Province of Almería in southeastern Spain. Some sets and studios built for Spaghetti Westerns survive as theme parks, such as Texas Hollywood, Mini Hollywood, and Western Leone, and continue to be used as film sets. Other filming locations used were in central and southern Italy, such as the parks of Valle del Treja (between Rome and Viterbo), the area of Camposecco (next to Camerata Nuova, characterized by a karst topography), the hills around Castelluccio, the area around the Gran Sasso mountain, and the Tivoli's quarries and Sardinia. God's Gun was filmed in Israel. European Westerns before the Spaghetti Western European Westerns are as old as filmmaking itself. The Lumière brothers made their first public screening of films in 1895 and already in 1896 Gabriel Veyre shot Repas d'Indien ("Indian Banquet") for them. Joe Hamman starred as Arizona Bill in films made in the French horse country of Camargue 1911–12. In Italy, the American West as a dramatic setting for spectacles goes back at least as far as Giacomo Puccini's 1910 opera La fanciulla del West (“The Girl of the West”) it is sometimes considered to be the first Spaghetti Western. The first Italian Western movie was La Vampira Indiana (1913)—a combination of Western and vampire film. It was directed by Vincenzo Leone, father of Sergio Leone, and starred his mother Bice Waleran in the title role as Indian princess Fatale. The Italians also made Wild Bill Hickok films, while the Germans released back-woods Westerns featuring Bela Lugosi as Uncas. Of the Western-related European films before 1964, the one attracting most attention is probably Luis Trenker's Der Kaiser von Kalifornien (1936), about John Sutter. Another early forerunner of the genre had appeared in 1943 with the release of Giorgio Ferroni's Il fanciullo del West (The Boy in the West). After the Second World War, there were scattered European uses of Western settings, mostly for comedy or musical comedy. A cycle of Western comedies was initiated in 1959 with La sceriffa and Il terrore dell’Oklahoma, followed by other films starring comedy specialists like Walter Chiari, Ugo Tognazzi, Raimondo Vianello or Fernandel. An Italian critic has compared these comedies to American Bob Hope vehicles. Origins The first American-British western filmed in Spain was The Sheriff of Fractured Jaw (1958), directed by Raoul Walsh. It was followed in 1961 by Savage Guns, a British-Spanish western, again filmed in Spain. This marked the beginning of Spain as a suitable film shooting location for any kind of European western. In 1961 an Italian company co-produced the French Taste of Violence, with a Mexican Revolution theme. In 1963, three non-comedy Italo-Spanish westerns were produced: Gunfight at Red Sands, Implacable Three and Gunfight at High Noon. In 1965, Bruno Bozzetto released his traditionally animated feature film West and Soda, a Western parody with a marked Spaghetti Western-theme; despite having been released a year after Sergio Leone's seminal Spaghetti Western A Fistful of Dollars, development of West and Soda actually began a year earlier than Fistful'''s and lasted longer, mainly because of the use of more time-demanding animation over regular acting. For this reason, Bozzetto himself claims to have invented the Spaghetti Western genre. Since there is no real consensus about where to draw the exact line between Spaghetti Westerns and other Eurowesterns (or other Westerns in general) one cannot say which one of the films mentioned so far was the first Spaghetti Western. However, 1964 saw the breakthrough of this genre, with more than twenty productions or co-productions from Italian companies, and more than half a dozen Westerns by Spanish or Spanish/American companies. Furthermore, by far the most commercially successful of this lot was Sergio Leone's A Fistful of Dollars. It was the innovations in cinematic style, music, acting and story of Leone's first Western that decided that Spaghetti Westerns became a distinct subgenre and not just a number of films looking like American Westerns. A Fistful of Dollars and its impact on the Spaghetti Western genre In this seminal film, Leone used a distinct visual style with large face close ups to tell the story of a hero entering a town that is ruled by two outlaw gangs, and ordinary social relations are non-existent. The hero betrays and plays the gangs against one another in order to make money. He then uses his cunning and exceptional weapons skill to assist a family threatened by both gangs. His treachery is exposed and he is severely beaten, but in the end, he defeats the remaining gang. The interactions in this story range between cunning and irony (the tricks, deceits, unexpected actions and sarcasm of the hero) on the one hand, and pathos (terror and brutality against defenseless people and against the hero after his double-cross has been revealed) on the other. Ennio Morricone's innovative score expresses a similar duality between quirky and unusual sounds and instruments on the one hand and sacral dramatizing for the big confrontation scenes on the other. Another important novelty was Clint Eastwood's performance as the Man with no name—an unshaven, sarcastic, insolent Western antihero set on his own gain, with distinct visuals to boot—the squint, the cigarillo, the poncho. The Spaghetti Western was born, flourished and faded in a highly commercial production environment. The Italian "low" popular film production was usually low-budget and low-profit, and the easiest way to success was imitating a proven success. When the typically low-budget production A Fistful of Dollars turned into a remarkable box office success, the industry eagerly lapped up its innovations. Most succeeding Spaghetti Westerns tried to get a ragged, laconic hero with superhuman weapon skill, preferably one who looked like Clint Eastwood: Franco Nero, John Garko and Terence Hill started out that way; Anthony Steffen and others stayed that way all their Spaghetti Western careers. Whoever the hero was, he would join an outlaw gang to further his own secret agenda, as in A Pistol for Ringo, Blood for a Silver Dollar, Vengeance Is a Dish Served Cold, Renegade Riders and others, while Beyond the Law instead has a bandit infiltrate society and become a sheriff. There would be a flamboyant Mexican bandit (Gian Maria Volonté from A Fistful of Dollars, otherwise Tomas Milian or most often Fernando Sancho) and a grumpy old man—more often than not an undertaker, to serve as sidekick for the hero. For love interest, rancher's daughters, schoolmarms and barroom maidens were overshadowed by young Latin women desired by dangerous men, where actresses like Nicoletta Machiavelli or Rosalba Neri carried on Marianne Koch's role of Marisol in the Leone film. The terror of the villains against their defenseless victims became just as ruthless as in A Fistful of Dollars, or more, and their brutalization of the hero when his treachery is disclosed became just as merciless, or more—just like the cunning used to secure the latter's retribution. In the beginning some films mixed some of these new devices with the borrowed US Western devices typical for most of the 1963–64 Spaghetti Westerns. For example, in Sergio Corbucci's Minnesota Clay (1964) that appeared two months after A Fistful of Dollars, an American style "tragic gunfighter" hero confronts two evil gangs, one Mexican and one Anglo, and (just as in A Fistful of Dollars) the leader of the latter is the town sheriff. In the same director's Johnny Oro (1966) a traditional Western sheriff and a mixed-race bounty killer are forced into an uneasy alliance when Mexican bandits and Native Americans together assault the town. In A Pistol for Ringo a traditional sheriff commissions a money-oriented hero played by Giuliano Gemma (as deadly but with more pleasing manners than Eastwood's character) to infiltrate a gang of Mexican bandits whose leader is played typically by Fernando Sancho. Further developments of the genre Just like Leone's first Western, the following works in his Dollars Trilogy — For a Few Dollars More (1965) and The Good, the Bad and the Ugly (1966) — strongly influenced the further developments of the genre, as did Sergio Corbucci's Django and Enzo Barboni's two Trinity films, as well as some other successful Spaghetti Westerns. For a Few Dollars More and unstable partnerships After 1965 when Leone's second Western For a Few Dollars More brought a larger box office success, the profession of bounty hunter became the choice of occupation of Spaghetti Western heroes in films like Arizona Colt, Vengeance Is Mine, Ten Thousand Dollars for a Massacre, The Ugly Ones, Dead Men Don't Count and Any Gun Can Play. In The Great Silence and A Minute to Pray, a Second to Die, the heroes instead fight bounty killers. During this era, many heroes and villains in Spaghetti Westerns began carrying a musical watch, after its ingenious use in For a Few Dollars More. Spaghetti Westerns also began featuring a pair of different heroes. In Leone's film Eastwood's character is an unshaven bounty hunter, dressed similarly to his character in A Fistful of Dollars, who enters an unstable partnership with Colonel Mortimer (Lee Van Cleef), an older bounty killer who uses more sophisticated weaponry and wears a suit, and in the end turns out to also be an avenger. In the following years there was a deluge of Spaghetti Westerns with a pair of heroes with (most often) conflicting motives. Examples include: a lawman and an outlaw (And the Crows Will Dig Your Grave), an army officer and an outlaw (Bury Them Deep), an avenger and a (covert) army officer (The Hills Run Red), an avenger and a (covert) guilty party (Viva! Django aka W Django!), an avenger and a con-man (The Dirty Outlaws), an outlaw posing as a sheriff and a bounty hunter (Man With the Golden Pistol aka Doc, Hands of Steel) and an outlaw posing as his twin and a bounty hunter posing as a sheriff (A Few Dollars for Django). The theme of age in For a Few Dollars More, where the younger bounty killer learns valuable lessons from his more experienced colleague and eventually becomes his equal, is taken up in Day of Anger and Death Rides a Horse. In both cases Lee Van Cleef carries on as the older hero versus Giuliano Gemma and John Phillip Law, respectively. Zapata Westerns One variant of the hero pair was a revolutionary Mexican bandit and a mostly money-oriented American from the United States frontier. These films are sometimes called Zapata Westerns. The first was Damiano Damiani's A Bullet for the General and then followed Sergio Sollima's trilogy: The Big Gundown, Face to Face and Run, Man, Run. Sergio Corbucci's The Mercenary and Compañeros also belong here, as does Tepepa by Giulio Petroni—among others. Many of these films enjoyed both good takes at the box office and attention from critics. They are often interpreted as a leftist critique of the typical Hollywood handling of the Mexican Revolution, and of imperialism in general. However, Sergio Leone's Duck, You Sucker! is rather a critique of the Zapata Westerns. The Good, the Bad and the Ugly and universal betrayal In Leone's The Good, the Bad and the Ugly there is still the scheme of a pair of heroes vs. a villain but it is somewhat relaxed, as here all three parties were driven by a money motive. In subsequent films like Any Gun Can Play (which's Italian title, "Vado... l'ammazzo e torno", is itself a quote from Leone's masterpiece), One Dollar Too Many and Kill Them All and Come Back Alone several main characters repeatedly form alliances and betray each other for monetary gain.Sabata and If You Meet Sartana Pray for Your Death, directed by Gianfranco Parolini, introduce into similar betrayal environments a kind of hero molded on the Mortimer character from For a Few Dollars More, only without any vengeance motive and with more outrageous trick weapons. Fittingly enough Sabata is portrayed by Lee Van Cleef himself, while John Garko plays the very similar Sartana protagonist. Parolini made some more Sabata movies while Giuliano Carnimeo made a whole series of Sartana films with Garko. Django and the tragic hero Beside the first three Spaghetti Westerns by Leone, a most influential film was Sergio Corbucci's Django starring Franco Nero. The titular character is torn between several motives—money or revenge—and his choices bring misery to him and to a woman close to him. Indicative of this film's influence on the Spaghetti Western style, "Django" is the hero's name in a plenitude of subsequent westerns. Even though his character is not named Django, Franco Nero brings a similar ambience to Texas, Adios and Massacre Time where the hero must confront surprising and dangerous family relations. Similar "prodigal son" stories followed, including Chuck Moll, Keoma, The Return of Ringo, The Forgotten Pistolero, One Thousand Dollars on the Black, Johnny Hamlet and also Seven Dollars on the Red. Another type of wronged hero is set up and must clear himself
mainly because of the use of more time-demanding animation over regular acting. For this reason, Bozzetto himself claims to have invented the Spaghetti Western genre. Since there is no real consensus about where to draw the exact line between Spaghetti Westerns and other Eurowesterns (or other Westerns in general) one cannot say which one of the films mentioned so far was the first Spaghetti Western. However, 1964 saw the breakthrough of this genre, with more than twenty productions or co-productions from Italian companies, and more than half a dozen Westerns by Spanish or Spanish/American companies. Furthermore, by far the most commercially successful of this lot was Sergio Leone's A Fistful of Dollars. It was the innovations in cinematic style, music, acting and story of Leone's first Western that decided that Spaghetti Westerns became a distinct subgenre and not just a number of films looking like American Westerns. A Fistful of Dollars and its impact on the Spaghetti Western genre In this seminal film, Leone used a distinct visual style with large face close ups to tell the story of a hero entering a town that is ruled by two outlaw gangs, and ordinary social relations are non-existent. The hero betrays and plays the gangs against one another in order to make money. He then uses his cunning and exceptional weapons skill to assist a family threatened by both gangs. His treachery is exposed and he is severely beaten, but in the end, he defeats the remaining gang. The interactions in this story range between cunning and irony (the tricks, deceits, unexpected actions and sarcasm of the hero) on the one hand, and pathos (terror and brutality against defenseless people and against the hero after his double-cross has been revealed) on the other. Ennio Morricone's innovative score expresses a similar duality between quirky and unusual sounds and instruments on the one hand and sacral dramatizing for the big confrontation scenes on the other. Another important novelty was Clint Eastwood's performance as the Man with no name—an unshaven, sarcastic, insolent Western antihero set on his own gain, with distinct visuals to boot—the squint, the cigarillo, the poncho. The Spaghetti Western was born, flourished and faded in a highly commercial production environment. The Italian "low" popular film production was usually low-budget and low-profit, and the easiest way to success was imitating a proven success. When the typically low-budget production A Fistful of Dollars turned into a remarkable box office success, the industry eagerly lapped up its innovations. Most succeeding Spaghetti Westerns tried to get a ragged, laconic hero with superhuman weapon skill, preferably one who looked like Clint Eastwood: Franco Nero, John Garko and Terence Hill started out that way; Anthony Steffen and others stayed that way all their Spaghetti Western careers. Whoever the hero was, he would join an outlaw gang to further his own secret agenda, as in A Pistol for Ringo, Blood for a Silver Dollar, Vengeance Is a Dish Served Cold, Renegade Riders and others, while Beyond the Law instead has a bandit infiltrate society and become a sheriff. There would be a flamboyant Mexican bandit (Gian Maria Volonté from A Fistful of Dollars, otherwise Tomas Milian or most often Fernando Sancho) and a grumpy old man—more often than not an undertaker, to serve as sidekick for the hero. For love interest, rancher's daughters, schoolmarms and barroom maidens were overshadowed by young Latin women desired by dangerous men, where actresses like Nicoletta Machiavelli or Rosalba Neri carried on Marianne Koch's role of Marisol in the Leone film. The terror of the villains against their defenseless victims became just as ruthless as in A Fistful of Dollars, or more, and their brutalization of the hero when his treachery is disclosed became just as merciless, or more—just like the cunning used to secure the latter's retribution. In the beginning some films mixed some of these new devices with the borrowed US Western devices typical for most of the 1963–64 Spaghetti Westerns. For example, in Sergio Corbucci's Minnesota Clay (1964) that appeared two months after A Fistful of Dollars, an American style "tragic gunfighter" hero confronts two evil gangs, one Mexican and one Anglo, and (just as in A Fistful of Dollars) the leader of the latter is the town sheriff. In the same director's Johnny Oro (1966) a traditional Western sheriff and a mixed-race bounty killer are forced into an uneasy alliance when Mexican bandits and Native Americans together assault the town. In A Pistol for Ringo a traditional sheriff commissions a money-oriented hero played by Giuliano Gemma (as deadly but with more pleasing manners than Eastwood's character) to infiltrate a gang of Mexican bandits whose leader is played typically by Fernando Sancho. Further developments of the genre Just like Leone's first Western, the following works in his Dollars Trilogy — For a Few Dollars More (1965) and The Good, the Bad and the Ugly (1966) — strongly influenced the further developments of the genre, as did Sergio Corbucci's Django and Enzo Barboni's two Trinity films, as well as some other successful Spaghetti Westerns. For a Few Dollars More and unstable partnerships After 1965 when Leone's second Western For a Few Dollars More brought a larger box office success, the profession of bounty hunter became the choice of occupation of Spaghetti Western heroes in films like Arizona Colt, Vengeance Is Mine, Ten Thousand Dollars for a Massacre, The Ugly Ones, Dead Men Don't Count and Any Gun Can Play. In The Great Silence and A Minute to Pray, a Second to Die, the heroes instead fight bounty killers. During this era, many heroes and villains in Spaghetti Westerns began carrying a musical watch, after its ingenious use in For a Few Dollars More. Spaghetti Westerns also began featuring a pair of different heroes. In Leone's film Eastwood's character is an unshaven bounty hunter, dressed similarly to his character in A Fistful of Dollars, who enters an unstable partnership with Colonel Mortimer (Lee Van Cleef), an older bounty killer who uses more sophisticated weaponry and wears a suit, and in the end turns out to also be an avenger. In the following years there was a deluge of Spaghetti Westerns with a pair of heroes with (most often) conflicting motives. Examples include: a lawman and an outlaw (And the Crows Will Dig Your Grave), an army officer and an outlaw (Bury Them Deep), an avenger and a (covert) army officer (The Hills Run Red), an avenger and a (covert) guilty party (Viva! Django aka W Django!), an avenger and a con-man (The Dirty Outlaws), an outlaw posing as a sheriff and a bounty hunter (Man With the Golden Pistol aka Doc, Hands of Steel) and an outlaw posing as his twin and a bounty hunter posing as a sheriff (A Few Dollars for Django). The theme of age in For a Few Dollars More, where the younger bounty killer learns valuable lessons from his more experienced colleague and eventually becomes his equal, is taken up in Day of Anger and Death Rides a Horse. In both cases Lee Van Cleef carries on as the older hero versus Giuliano Gemma and John Phillip Law, respectively. Zapata Westerns One variant of the hero pair was a revolutionary Mexican bandit and a mostly money-oriented American from the United States frontier. These films are sometimes called Zapata Westerns. The first was Damiano Damiani's A Bullet for the General and then followed Sergio Sollima's trilogy: The Big Gundown, Face to Face and Run, Man, Run. Sergio Corbucci's The Mercenary and Compañeros also belong here, as does Tepepa by Giulio Petroni—among others. Many of these films enjoyed both good takes at the box office and attention from critics. They are often interpreted as a leftist critique of the typical Hollywood handling of the Mexican Revolution, and of imperialism in general. However, Sergio Leone's Duck, You Sucker! is rather a critique of the Zapata Westerns. The Good, the Bad and the Ugly and universal betrayal In Leone's The Good, the Bad and the Ugly there is still the scheme of a pair of heroes vs. a villain but it is somewhat relaxed, as here all three parties were driven by a money motive. In subsequent films like Any Gun Can Play (which's Italian title, "Vado... l'ammazzo e torno", is itself a quote from Leone's masterpiece), One Dollar Too Many and Kill Them All and Come Back Alone several main characters repeatedly form alliances and betray each other for monetary gain.Sabata and If You Meet Sartana Pray for Your Death, directed by Gianfranco Parolini, introduce into similar betrayal environments a kind of hero molded on the Mortimer character from For a Few Dollars More, only without any vengeance motive and with more outrageous trick weapons. Fittingly enough Sabata is portrayed by Lee Van Cleef himself, while John Garko plays the very similar Sartana protagonist. Parolini made some more Sabata movies while Giuliano Carnimeo made a whole series of Sartana films with Garko. Django and the tragic hero Beside the first three Spaghetti Westerns by Leone, a most influential film was Sergio Corbucci's Django starring Franco Nero. The titular character is torn between several motives—money or revenge—and his choices bring misery to him and to a woman close to him. Indicative of this film's influence on the Spaghetti Western style, "Django" is the hero's name in a plenitude of subsequent westerns. Even though his character is not named Django, Franco Nero brings a similar ambience to Texas, Adios and Massacre Time where the hero must confront surprising and dangerous family relations. Similar "prodigal son" stories followed, including Chuck Moll, Keoma, The Return of Ringo, The Forgotten Pistolero, One Thousand Dollars on the Black, Johnny Hamlet and also Seven Dollars on the Red. Another type of wronged hero is set up and must clear himself from accusations. Giuliano Gemma starred in a series of successful films carrying this theme—Adiós gringo, For a Few Extra Dollars, Long Days of Vengeance, Wanted, and to some extent Blood for a Silver Dollar—where most often his character is called "Gary". The wronged hero who becomes an avenger appears in many Spaghetti Westerns. Among the more commercially successful films with a hero dedicated to vengeance—For a Few Dollars More, Once Upon a Time in the West, Today We Kill... Tomorrow We Die!, A Reason to Live, a Reason to Die, Death Rides a Horse, Django, Prepare a Coffin, The Deserter, Hate for Hate, Halleluja for Django—those with whom he cooperates typically have conflicting motivations. The "Trinity" films and triumph of comedy In 1968, the wave of Spaghetti Westerns reached its crest, comprising one-third of the Italian film production, only to collapse to one-tenth in 1969. However, the considerable box office success of Enzo Barboni's They Call Me Trinity and the pyramidal one of its follow-up Trinity Is Still My Name gave Italian filmmakers a new model to emulate. The main characters were played by Terence Hill and Bud Spencer, who had already cooperated as hero pair in earlier Spaghetti Westerns God Forgives... I Don't!, Boot Hill and Ace High directed by Giuseppe Colizzi. The humor started in those movies already, with scenes with comedy fighting, but the Barboni films became burlesque comedies. They feature the quick but lazy Trinity (Hill) and his big, strong and irritable brother Bambino (Spencer). The stories lampoon stereotypical Western characters such as diligent farmers, lawmen and bounty hunters. There was a wave of Trinity-inspired films with quick and strong heroes, the former kind often called Trinity or perhaps coming from "a place called Trinity", and with no or few killings. Because the two model stories contained religious pacifists to account for the absence of gunplay, all the successors contained religious groups or at least priests, sometimes as one of the heroes. The music for the two Trinity westerns (composed by Franco Micalizzi and Guido & Maurizio De Angelis, respectively) also reflected the change into a lighter and more sentimental mood. The Trinity-inspired films also adopted this less serious and often maligned style. Some critics deplore these post-Trinity films and their soundtracks as a degeneration of the "real" Spaghetti Westerns. Indeed, Hill's and Spencer's skillful use of body language was a hard act to follow and it is significant that the most successful of the post-Trinity films featured Hill (Man of the East, A Genius, Two Partners and a Dupe), Spencer (It Can Be Done Amigo) and a pair of Hill/Spencer look-alikes in Carambola. Spaghetti Western old hand Franco Nero also worked in this subgenre with Cipolla Colt and Tomas Milian plays an outrageous "quick" bounty hunter modeled on Charlie Chaplin's Little Tramp in Sometimes Life Is Hard, Eh Providence? and Here We Go Again, Eh, Providence?Twilight of the genre In 1975, Terence Hill still could draw large audiences in the post-Trinity caper story Western A Genius, Two Partners and a Dupe, and the following year Franco Nero achieved likewise as a Django-style hero in Keoma. However, by the end of the 1970s, the different types of Spaghetti Westerns had lost their following among mainstream cinema audiences and the production had ground to a virtual halt. Belated attempts to revive the genre included the comedy film Buddy Goes West (1981), the Spanish-American coproduction Comin' at Ya! (also 1981) shot in 3D, and Django Strikes Again (1987). Other notable themes in Spaghetti Westerns "Cult" Spaghetti Westerns Some movies that were not very successful at the box office still earn a "cult" status in some segment of the audience because of certain exceptional features in story and/or presentation. One "cult" Spaghetti Western that also has drawn attention from critics is Giulio Questi's Django Kill. Other "cult" items are Cesare Canevari's Matalo!, Tony Anthony's Blindman and Joaquín Luis Romero Marchent's Cut-Throats Nine (the latter among gore film audiences). Historical backgrounds The few Spaghetti Westerns containing historical characters like Buffalo Bill, Wyatt Earp, Billy the Kid etc. mainly appear before A Fistful of Dollars had put its mark on the genre. Likewise, and in contrast to the contemporary German Westerns, few films feature Native Americans. When they appear they are more often portrayed as victims of discrimination than as dangerous foes. The only fairly successful Spaghetti Western with
the latter half of the 20th century and now it is most commonly available in lengths. A variety of pasta dishes are based on it and it is frequently served with tomato sauce or meat or vegetables. Etymology Spaghetti is the plural form of the Italian word spaghetto, which is a diminutive of spago, meaning "thin string" or "twine". History The first written record of pasta comes from the Talmud in the 5th century AD and refers to dried pasta that could be cooked through boiling, which was conveniently portable. Some historians think that Berbers introduced pasta to Europe during a conquest of Sicily. In the West, it may have first been worked into long, thin forms in Sicily around the 12th century, as the Tabula Rogeriana of Muhammad al-Idrisi attested, reporting some traditions about the Sicilian kingdom. The popularity of spaghetti spread throughout Italy after the establishment of spaghetti factories in the 19th century, enabling the mass production of spaghetti for the Italian market. In the United States around the end of the 19th century, spaghetti was offered in restaurants as Spaghetti Italienne (which likely consisted of noodles cooked past al dente, and a mild tomato sauce flavored with easily found spices and vegetables such as cloves, bay leaves, and garlic) and it was not until decades later that it came to be commonly prepared with oregano or basil. Ingredients Spaghetti is made from ground grain (flour) and water. Whole-wheat and multigrain spaghetti are also available. Production Fresh spaghetti At its simplest, imitation spaghetti can be formed using no more than a rolling pin and a knife. A home pasta machine simplifies the rolling and makes the cutting more uniform. But of course cutting sheets produces pasta with a rectangular rather than a cylindrical cross-section and the result is a variant of fettuccine. Some pasta machines have a spaghetti attachment with circular holes that extrude spaghetti or shaped rollers that form cylindrical noodles. Spaghetti can be made by hand by manually rolling a ball of dough on a surface to make a long sausage shape. The ends of the sausage are pulled apart to make a long thin sausage. The ends are brought together and the loop pulled to make two long sausages. The process is repeated until the pasta is sufficiently thin. The pasta knobs at each end are cut off leaving many strands which may be hung up to dry. Fresh spaghetti would normally be cooked within hours of being formed. Commercial versions of fresh spaghetti are manufactured. Dried spaghetti The bulk of dried spaghetti is produced in factories using auger extruders. While essentially simple, the process requires attention to detail to ensure that the mixing and kneading of the ingredients produces a homogeneous mix, without air bubbles. The forming dies have to be water cooled to prevent spoiling of the pasta by overheating. Drying of the newly formed spaghetti has to be carefully controlled to prevent strands
dates back to the period between the 1940s to the 1960s. During the American Commonwealth Period, a shortage of tomato supplies in the Second World War forced the development of the banana ketchup. Spaghetti was introduced by the Americans and was tweaked to suit the local Filipino predilection for sweet dishes. Sapaketti phat khi mao (Spaghetti fried drunken noodle style) is a popular dish in Thai cuisine. Spaghetti is a main part of laksa Johor, a specialty from Johor, Malaysia. Spaghetti dishes Spaghetti aglio e olio – ("spaghetti with garlic and oil" in Italian), a traditional Italian pasta dish coming from Naples. Spaghetti alla puttanesca – (literally "spaghetti whore-style" in Italian), a tangy, somewhat salty Italian pasta dish invented in the mid-20th century. The ingredients are typical of Southern Italian cuisine: tomatoes, olive oil, olives, capers and garlic. Spaghetti alla Nerano - from the village of Nerano, near Naples. With fried zucchinis and a local variant of provolone. Spaghetti alle vongole – Italian for "spaghetti with clams", it is very popular throughout Italy, especially its central regions, including Rome and further south in Campania (where it is part of traditional Neapolitan cuisine). Spaghetti and meatballs – an Italian-American dish that usually consists of spaghetti, tomato sauce and meatballs. Spaghetti Bolognese - Spaghetti with minced beef and tomato sauce. Consumption By 1955, annual consumption of spaghetti in Italy doubled from per person before World War II to . By that year, Italy produced 1,432,990 tons of spaghetti, of which 74,000 were exported, and had a production capacity of 3 million tons. Nutrition Pasta provides carbohydrates, along with some protein, iron, dietary fiber, potassium and B vitamins. Pasta prepared with whole wheat grain provides more dietary fiber than that prepared with degermed flour. Records The world record for the largest bowl of spaghetti was set in March 2009 and reset in March 2010 when a Buca di Beppo restaurant in Garden Grove, California, filled a swimming pool with more than of pasta. In popular culture The term Spaghetti Western was used by American critics and those in other countries because most of the Western movies made in Europe were produced and directed by Italians. The BBC television program Panorama featured a hoax program about the spaghetti harvest in Switzerland on April Fools' Day, 1957. See also List of pasta Spaghetti alla chitarra Spaghetti sandwich Spaghetti squash Spaghettieis SpaghettiOs References Bibliography Further reading External links
Shock had no support for spoken dialogue. The enhanced CD-ROM was released in December 1994, which featured full speech for logs and e-mails, multiple display resolutions, and more detailed graphics. The CD-ROM version is often considered to be superior to the floppy version. After completing work on the sound and music for the floppy version, LoPiccolo recorded all of the spoken dialogue for the CD release, using company employees and his friends' voices, which he mixed with ambient sounds to create "audio vignettes". Doug Church later said, "We tried to keep them from shipping the floppy version and instead just ship the CD version, but Origin would have none of it". System Shock producer Warren Spector later expressed regret concerning the floppy version, stating, "I wish I could go back and make the decision not to ship the floppy version months before the full-speech CD version. The additional audio added so much it might as well have been a different game. The CD version seemed so much more, well, modern. And the perception of Shock was cemented in the press and in people's minds by the floppy version (the silent movie version!). I really think that cost us sales..." Reception The game sold over 170,000 copies. Maximum PC believed that the game did not reach "blockbuster" status, but was successful enough to "keep Looking Glass afloat". GameSpy's Bill Hiles said, "Though it sold well, it never reached the frenzied popularity of [Doom]". Paul Neurath later said that the game "was not a flop", but that it ultimately "lost money" for the company, which he attributed to its steep learning curve. Computer Gaming World praised the game's scale, physics system, and true 3D environments; the magazine extolled the presentation of Cyberspace as "nothing short of phenomenal". However, the reviewer believed that the game had "little sense of urgency" and "confusing level layouts". Computer Shopper wrote that, while the game's controls were difficult to master compared to "simple run-and-shoot game[s] like Doom", they were "worth the time and effort". The reviewer noted that the game "grows on you, and it will keep you intrigued for weeks". The Boston Herald noted superficial similarities between System Shock and Doom, but called System Shock "much more elaborate". The reviewer noted its high system requirements and complex controls; of the latter, he said, "There's no way you can play System Shock without first studying the manual for at least 20 minutes". The paper believed that the game would "set a new standard for computer games with its combination of action and puzzle-solving". The Atlanta Journal-Constitution said that the game "is like a well-prepared hamburger—familiar stuff, but good to the last byte". The reviewer noted the game's "somewhat clumsy control", but said, "That, however, is all I can find to complain about. Graphics and sound are outstanding, and the game is well-paced and riveting". PC Gamer US wrote, "System Shock smokes. It is the most fully immersive game world I have ever experienced". The reviewer praised the game's story and control system, and believed that "no matter what kind of game you're looking for, you'll find something in System Shock to delight you". He finished his review by stating that the game "unquestionably raises computer gaming to a new level". Next Generation Magazine summarized the game as "a great blend of strategy and action backed up with all the extras". Various sources have ranked SHODAN as one of the most effective antagonists and female characters in the history of video gaming.IGN Staff (March 7, 2006). Top 10 Tuesday: Most Memorable Villains. IGN. Retrieved August 27, 2017. In the years following its release, System Shock has been inducted into many lists of the best video games of all time, including those by PC Gamer, GameSpy, and Computer Gaming World. In 1998, PC Gamer declared it the 6th-best computer game ever released, and the editors called it "one of the finest games ever due to its seductive game design that blended a fantastic storyline with meaningful, suspenseful action in a way that has rarely been equaled". Legacy In a Gamasutra feature, Patrick Redding of Ubisoft attested that "the fact that so many of System Shock features are now virtually de rigueur in modern sci-fi shooters is a testament to the influence exerted by this one game". GameSpy argued that the game "is the progenitor of today's story-based action games, a group with titles as diverse as Metal Gear Solid, Resident Evil, and even Half-Life". Eurogamer called the System Shock series "the benchmark for intelligent first-person gaming" and noted that it "kick-start[ed] the revolution which ... has influenced the design of countless other games". Steven Wright for Glixel said in a 2017 essay that System Shock still is important to gaming today, and that the only reasons it is not considered a "Mt. Olympus of gaming" is due to its lower sales compared to games like Half-Life that sold in the millions, and that at the time it was released, it was difficult for players to adjust to the complex systems in the game compared to straightforward first-person shooters. The game has been cited as a key popularizer of emergent gameplay, and alongside Thief and Deus Ex, is considered one of the defining games of the immersive sim genre. Certain game developers have acknowledged System Shock influence on their products. With Deus Ex, developer Warren Spector revealed a desire to "build on the foundation laid by the Looking Glass guys in games like ... System Shock". Developer Ken Levine has commented that the "spirit of System Shock is player-powered gameplay: the spirit of letting the player drive the game, not the game designer", and at Irrational Games "... that's always the game we ideally want to make". System Shock was one of the key inspirations behind Irrational's BioShock. Sequels and remakes A sequel to System Shock, titled System Shock 2, was released by Looking Glass and Irrational Games in 1999 to further acclaim and awards. Following System Shock 2s release, and the subsequent closure of Looking Glass, the rights to the series had fallen to Meadowbrook Insurance Group (a subsidiary of Star Insurance Company), the entity that acquired the assets of Looking Glass. In 2012, Night Dive Studios were able to acquire the rights for System Shock 2 and produced a digitally distributable version updated for modern operating systems. Night Dive Studios subsequently went on to acquire the rights for System Shock and the franchise as a whole. Night Dive said that they plan to release the source code of the game to the game community. A third game in the series was announced in 2015, titled System Shock 3, and was to be developed by OtherSide Entertainment. Various trailers were released; however, in early 2020, it was announced that development team for System Shock 3 had been let go by OtherSide and that the game was "critically behind". While OtherSide initially stated that it was still working on the project, they later announced in May 2020, via Twitter, that Tencent, one of China's largest video-game corporations, would be taking over development of the game and that they were no longer attached to it. One of the first projects Night Dive Studios did following the acquisition of the rights was to develop System Shock: Enhanced Edition, which was released via GOG.com on September 22, 2015 for Microsoft Windows. Similar to the System Shock 2 update, this version is intended to run on modern systems significantly easier among several other technical improvements such as the original resolution of 320×200, now boosted up to 1024×768 and 854×480 pixels in widescreen mode. The release also includes the original version of the game, titled System Shock: Classic, with support for Microsoft Windows, OS X and Linux. System Shock: Enhanced Edition received very positive reviews. Metacritic
voice acting. Production After production began, the team's first task was to develop a new game engine—one that could display a true 3D environment and allow for advanced gameplay. The team abandoned the engine used for the Ultima Underworld games and coded one from scratch in Watcom C/C++, using 32-bit code. The new engine is capable of processing texture maps, sloped architecture and light-emitting objects; and it allows the player to look in any direction, whereas Ultima Underworlds engine was "very limited" in this regard. It also enables the player character to jump, crawl, climb walls and lean, among other things. The designers utilized loopholes in the engine's renderer to create more diverse and striking environments. Despite having coded the renderer, Church said that "at first glance even I couldn't see how they did them". However, this added to the performance issues already being caused by the engine's advanced nature, and the team struggled to optimize the game throughout development. 3D polygonal character models were planned, but they could not be implemented on schedule. Church said that the team's ultimate goal was to create a "rich, exciting, active environment" in which the player could be immersed, and that this required "a coherent story and a world that you can interact with as much as possible." Church later said that the team "stumbled into a nice villain" with SHODAN, in that she could routinely and directly affect the player's gameplay "in non-final ways". Through triggered events and through objects in the environment, such as security cameras that the player must destroy, the team made SHODAN's presence part of the player's exploration of the world. Because SHODAN interacts with the player as a "recurring, consistent, palpable enemy", Church believed that she meaningfully connects the player to the story. System Shock concept artist Robb Waters created SHODAN's visual design, and LoPiccolo recruited his bandmate Terri Brosius to voice the character. Brosius said that her goal during the recording sessions was to speak "without emotion, but with some up and down inflections". Afterward, her voice was heavily edited in post-production, which created a robotic effect inspired by the voice of Max Headroom. LoPiccolo later said that the large number of effects on Brosius's voice were "laboriously hand-done" with Sound Designer, which lacked the features that a sound editor would normally use to achieve such results. SHODAN's dialogue early in the game was given "a few glitches" to hint at her corrupted status. LoPiccolo increased the number of these effects throughout the game, which creates an "arc" that ends with SHODAN "completely out of her mind [... and] collapsing as an entity". The character of the hacker arose as a reaction against the protagonist of the Ultima series, the Avatar. According to Grossman, they wanted to cast the player as someone "interestingly morally compromised" who had a stake in the situation. Seamus Blackley designed the game's physics system, which is a modified version of the one he wrote for Looking Glass's flight simulator Flight Unlimited. At the time, Church described it as "far more sophisticated than what you would normally use for an indoor game". The system governs, among other things, weapon recoil and the arc of thrown objects; the latter behave differently based on their weight and velocity. The game's most complex physics model is that of the player character. Church explained that the character's head "tilts forward when you start to run, and jerks back a bit when you stop", and that, after an impact against a surface or object, its "head is knocked in the direction opposite the hit, with proportion to [the] mass and velocity of the objects involved". On coding physics for Looking Glass Technologies games, Blackley later said, "If games don't obey physics, we somehow feel that something isn't right", and that "the biggest compliment to me is when a gamer doesn't notice the physics, but only notices that things feel the way they should". Spector's role as a producer gave him the job of explaining the game to the publisher, which he called his "biggest challenge". He explained that they "didn't always get what the team was trying to do", and said, "You don't want to know how many times the game came this close to being killed (or how late in the project)". According to Church, Looking Glass' internal management largely ignored System Shock, in favor of the concurrently-developed Flight Unlimited—the game "that had to be the hit, because it was the self-published title". Spector organized a licensing deal between Electronic Arts and Looking Glass that gave the former the trademark to the game, but the latter the copyright. His goal was to ensure that neither party could continue the franchise without the other's involvement. While Cyberspace was originally conceived as a realistic hacking simulation—which could even be used to reimplement SHODAN's ethical constraints—it was simplified after Origin Systems deemed it too complicated. The game's star field system was written by programmer James Fleming. Marc LeBlanc was the main creator of the game's HUD, which he later believed was too complicated. He said that it was "very much the Microsoft Word school of user interface", in that there was no "feature that you [could not] see on the screen and touch and play with". LoPiccolo composed the game's score—called "dark", "electronic" and "cyberpunk" by the Boston Herald—on a Macintosh computer and inexpensive synthesizer, using Audio Vision. It dynamically changes according to the player's actions, a decision made in keeping with the team's focus on emergent gameplay. Each track was "written at three different intensity levels", which change depending on the player's nearness to enemies; and certain events, such as victory in combat, trigger special music. The game's tracks were composed of four-bar segments that could be rearranged dynamically in reaction to game events, with "melodies through-composed on top". LoPiccolo noted that, when using this method, it is necessary to write music that "still flows with the overall theme and doesn't jump around". Because the score was closely tied to the gameplay, LoPiccolo had to work closely with Church and Rob Fermier, the latter of whom wrote the "interactive scoring module" that allowed for dynamic music. After recording the music, LoPiccolo recorded all of the game's sound effects. He later recalled visiting an automobile repair shop with "portable recorder and a mic", and "having [his] mechanic [...] hit things with wrenches and so forth, just to get the raw material". He developed the game's audio over 16 months, working on a contractual basis until Tribe disbanded in May 1994; Ned Lerner gave him a full-time job as audio director the next day. Tim Ries composed the "Elevator" music. The original September 1994 floppy disk release of System Shock had no support for spoken dialogue. The enhanced CD-ROM was released in December 1994, which featured full speech for logs and e-mails, multiple display resolutions, and more detailed graphics. The CD-ROM version is often considered to be superior to the floppy version. After completing work on the sound and music for the floppy version, LoPiccolo recorded all of the spoken dialogue for the CD release, using company employees and his friends' voices, which he mixed with ambient sounds to create "audio vignettes". Doug Church later said, "We tried to keep them from shipping the floppy version and instead just ship the CD version, but Origin would have none of it". System Shock producer Warren Spector later expressed regret concerning the floppy version, stating, "I wish I could go back and make the decision not to ship the floppy version months before the full-speech CD version. The additional audio added so much it might as well have been a different game. The CD version seemed so much more, well, modern. And the perception of Shock was cemented in the press and in people's minds by the floppy version (the silent movie version!). I really think that cost us sales..." Reception The game sold over 170,000 copies. Maximum PC believed that the game did not reach "blockbuster" status, but was successful enough to "keep Looking Glass afloat". GameSpy's Bill Hiles said, "Though it sold well, it never reached the frenzied popularity of [Doom]". Paul Neurath later said that the game "was not a flop", but that it ultimately "lost money" for the company, which he attributed to its steep learning curve. Computer Gaming World praised the game's scale, physics system, and true 3D environments; the magazine extolled the presentation of Cyberspace as "nothing short of phenomenal". However, the reviewer believed that the game had "little sense of urgency" and "confusing level layouts". Computer Shopper wrote that, while the game's controls were difficult to master compared to "simple run-and-shoot game[s] like Doom", they were "worth the time and effort". The reviewer noted that the game "grows on you, and it will keep you intrigued for weeks". The Boston Herald noted superficial similarities between System Shock and Doom, but called System Shock "much more elaborate". The reviewer noted
from the origin to . The inclination (or polar angle) is the angle between the zenith direction and the line segment . The azimuth (or azimuthal angle) is the signed angle measured from the azimuth reference direction to the orthogonal projection of the line segment on the reference plane. The sign of the azimuth is determined by choosing what is a positive sense of turning about the zenith. This choice is arbitrary, and is part of the coordinate system's definition. The elevation angle is 90 degrees ( radians) minus the inclination angle. If the inclination is zero or 180 degrees ( radians), the azimuth is arbitrary. If the radius is zero, both azimuth and inclination are arbitrary. In linear algebra, the vector from the origin to the point is often called the position vector of P. Conventions Several different conventions exist for representing the three coordinates, and for the order in which they should be written. The use of to denote radial distance, inclination (or elevation), and azimuth, respectively, is common practice in physics, and is specified by ISO standard 80000-2:2019, and earlier in ISO 31-11 (1992). However, some authors (including mathematicians) use ρ for radial distance, φ for inclination (or elevation) and θ for azimuth, and r for radius from the z-axis, which "provides a logical extension of the usual polar coordinates notation". Some authors may also list the azimuth before the inclination (or elevation). Some combinations of these choices result in a left-handed coordinate system. The standard convention conflicts with the usual notation for two-dimensional polar coordinates and three-dimensional cylindrical coordinates, where is often used for the azimuth. The angles are typically measured in degrees (°) or radians (rad), where 360° = 2π rad. Degrees are most common in geography, astronomy, and engineering, whereas radians are commonly used in mathematics and theoretical physics. The unit for radial distance is usually determined by the context. When the system is used for physical three-space, it is customary to use positive sign for azimuth angles that are measured in the counter-clockwise sense from the reference direction on the reference plane, as seen from the zenith side of the plane. This convention is used, in particular, for geographical coordinates, where the "zenith" direction is north and positive azimuth (longitude) angles are measured eastwards from some prime meridian. {| class="wikitable" style="text-align:center" |+ Major conventions |- ! coordinates !! corresponding local geographical directions !! right/left-handed |- | || || right |- | || || right |- | || || left |} Note: easting (), northing (), upwardness (). Local azimuth angle would be measured, e.g., counterclockwise from to in the case of . Unique coordinates Any spherical coordinate triplet specifies a single point of three-dimensional space. On the other hand, every point has infinitely many equivalent spherical coordinates. One can add or subtract any number of full turns to either angular measure without changing the angles themselves, and therefore without changing the point. It is also convenient, in many contexts, to allow negative radial distances, with the convention that is equivalent to for any , , and . Moreover, is equivalent to . If it is necessary to define a unique set of spherical coordinates for each point, one must restrict their ranges. A common choice is However, the azimuth is often restricted to the interval , or in radians, instead of . This is the standard convention for geographic longitude. For , the range for inclination is equivalent to for elevation. In geography, the latitude is the elevation. Even with these restrictions, if is 0° or 180° (elevation is 90° or −90°) then the azimuth angle is arbitrary; and if is zero, both azimuth and inclination/elevation are arbitrary. To make the coordinates unique, one can use the convention that in these cases the arbitrary coordinates are zero. Plotting To plot a dot from its spherical coordinates , where is inclination, move units from the origin in the zenith direction, rotate by about the origin towards the azimuth reference direction, and rotate by about the zenith in the proper direction. Applications Just as the two-dimensional Cartesian coordinate system is useful on the plane, a two-dimensional spherical coordinate system is useful on the surface of a sphere. In this system, the sphere is taken as a unit sphere, so the radius is unity and can generally be ignored. This simplification can also be very useful when dealing with objects such as rotational matrices. Spherical coordinates are useful in analyzing systems that have some degree of symmetry about a point, such as volume integrals inside a sphere, the potential energy field surrounding a concentrated mass or charge, or global weather simulation in a planet's atmosphere. A sphere that has the Cartesian equation has the simple equation in spherical coordinates. Two important partial differential equations that arise in many physical problems, Laplace's equation and the Helmholtz equation, allow a separation of variables in spherical coordinates. The angular portions of the solutions to such equations take the form of spherical harmonics.
to be taken to check the meaning of the symbols. According to the conventions of geographical coordinate systems, positions are measured by latitude, longitude, and height (altitude). There are a number of celestial coordinate systems based on different fundamental planes and with different terms for the various coordinates. The spherical coordinate systems used in mathematics normally use radians rather than degrees and measure the azimuthal angle counterclockwise from the -axis to the -axis rather than clockwise from north (0°) to east (+90°) like the horizontal coordinate system. The polar angle is often replaced by the elevation angle measured from the reference plane, so that the elevation angle of zero is at the horizon. The spherical coordinate system generalizes the two-dimensional polar coordinate system. It can also be extended to higher-dimensional spaces and is then referred to as a hyperspherical coordinate system. Definition To define a spherical coordinate system, one must choose two orthogonal directions, the zenith and the azimuth reference, and an origin point in space. These choices determine a reference plane that contains the origin and is perpendicular to the zenith. The spherical coordinates of a point are then defined as follows: The radius or radial distance is the Euclidean distance from the origin to . The inclination (or polar angle) is the angle between the zenith direction and the line segment . The azimuth (or azimuthal angle) is the signed angle measured from the azimuth reference direction to the orthogonal projection of the line segment on the reference plane. The sign of the azimuth is determined by choosing what is a positive sense of turning about the zenith. This choice is arbitrary, and is part of the coordinate system's definition. The elevation angle is 90 degrees ( radians) minus the inclination angle. If the inclination is zero or 180 degrees ( radians), the azimuth is arbitrary. If the radius is zero, both azimuth and inclination are arbitrary. In linear algebra, the vector from the origin to the point is often called the position vector of P. Conventions Several different conventions exist for representing the three coordinates, and for the order in which they should be written. The use of to denote radial distance, inclination (or elevation), and azimuth, respectively, is common practice in physics, and is specified by ISO standard 80000-2:2019, and earlier in ISO 31-11 (1992). However, some authors (including mathematicians) use ρ for radial distance, φ for inclination (or elevation) and θ for azimuth, and r for radius from the z-axis, which "provides a logical extension of the usual polar coordinates notation". Some authors may also list the azimuth before the inclination (or elevation). Some combinations of these choices result in a left-handed coordinate system. The standard convention conflicts with the usual notation for two-dimensional polar coordinates and three-dimensional cylindrical coordinates, where is often used for the azimuth. The angles are typically measured in degrees (°) or radians (rad), where 360° = 2π rad. Degrees are most common in geography, astronomy, and engineering, whereas radians are commonly used in mathematics and theoretical physics. The unit for radial distance is usually determined by the context. When the system is used for physical three-space, it is customary to use positive sign for azimuth angles that are measured in the counter-clockwise sense from the reference direction on the reference plane, as seen from the zenith side of the plane. This convention is used, in particular, for geographical coordinates, where the "zenith" direction is north and positive azimuth (longitude) angles are measured eastwards from some prime meridian. {| class="wikitable" style="text-align:center" |+ Major conventions |- ! coordinates !! corresponding local geographical directions !! right/left-handed |- | || || right |- | || || right |- | || || left |} Note: easting (), northing (), upwardness (). Local azimuth angle would be measured, e.g., counterclockwise from to in the case of . Unique coordinates Any spherical coordinate triplet specifies a single point of three-dimensional space. On the other hand, every point has infinitely many equivalent spherical coordinates. One can add or subtract any number of full turns to either angular measure without changing the angles themselves, and therefore without changing the point. It is also convenient, in many contexts, to allow negative radial distances, with the convention that is equivalent to for any , , and . Moreover, is equivalent to . If it is necessary to define a unique set of spherical coordinates for each point, one must restrict their ranges. A common choice is However, the azimuth is often restricted to the interval , or in radians, instead of . This is the standard convention for geographic longitude. For , the range for inclination is equivalent to for elevation. In geography, the latitude is the elevation. Even with these restrictions, if is 0° or 180° (elevation is 90° or −90°) then the azimuth angle is arbitrary; and if is zero, both azimuth and inclination/elevation are arbitrary. To make the coordinates unique, one can use the convention that in these cases the arbitrary coordinates are zero. Plotting To plot a dot from its spherical coordinates , where is inclination, move units from the origin in the zenith direction, rotate by about the origin towards the azimuth reference direction, and rotate by about the zenith in the proper direction. Applications Just as the two-dimensional Cartesian coordinate system is useful on the plane, a two-dimensional spherical coordinate system is useful on the surface of a sphere. In this system, the sphere is taken as a unit sphere, so the radius is unity and can generally be ignored. This simplification can also be very useful when dealing with objects such as rotational matrices. Spherical coordinates are useful in analyzing systems that have some degree of symmetry about a point, such as volume
a large crane vessel owned and operated by Heerema Sports IK Sleipner, a Swedish sports club SK Sleipner, a Norwegian sports club; see Kampforbundet for Rød Sportsenhet Other uses Sleipnir (web browser) Sleipnir, a type of horse enemy in Final Fantasy XII Uddeholm Sleipner, a tool steel grade; see Uddeholms AB §
also refer to: Places Sleipner Glacier, Greenland Sleipnir Glacier, Antarctica Ships and offshore Sleipner gas field Sleipner A, an offshore platform , three different warships in service with the Royal Norwegian Navy between 1877 and 1992 , a class of Norwegian destroyers , a class of corvettes , a passenger catamaran , a large
the British Cabinet decided in February 1960 to cancel Blue Streak as well. Prime Minister Macmillan met President Eisenhower in March 1960 and agreed to purchase 144 Skybolts for the RAF. By agreement, British funding for research and development was limited to that required to modify the V bombers to take the missile, but the British were allowed to fit their own warheads. In exchange, the Americans were given nuclear submarine basing facilities in Scotland. Following the agreement, the Blue Streak program was formally canceled in April 1960 and in May 1960 an agreement for an initial order of 100 Skybolts was concluded. Avro was made an associate contractor to manage the Skybolt program for the United Kingdom and four different schemes were submitted to find a platform for the missile. A number of different aircraft were considered, including a variant of the Vickers VC10 airliner and two of the current V bombers, the Avro Vulcan and Handley Page Victor. It was decided to use the Vulcan to initially carry two missiles each on hardpoints outboard of the main landing gear. Development and testing During development, it was decided that the system could not reach the required accuracy at the desired range without improvements to the guidance system. This led to the introduction of a star tracker platform that would enhance the existing inertial navigation system. The system had to be capable of tracking bright stars in direct sunlight, a challenging requirement. This change meant that the missile could only be carried in locations where the front of the missile could continually observe the sky. This had always been the case on the USAF's B-52 bombers, where they were carried under the wings, but presented a problem for some of the UK designs. Ultimately Skybolt was limited to the Vulcan, where its mounting points allowed the nose of the missile to project in front of this aircraft's delta wing. By 1961, several test articles were ready for testing from B-52s, with drop tests starting in January. In January 1961 a Vulcan visited the Douglas plant at Santa Monica, California, to ensure the modifications to the aircraft were electrically compatible with the missile. In Britain, compatibility trials with mockups started on the Vulcan. Powered tests started in April 1962, but the test series went badly, with the first five trials ending in failure. The first fully successful flight occurred on 19 December 1962. Cancellation By this point, the value of the Skybolt system in the US had been seriously eroded. The Polaris had recently gone into service, with overall capabilities similar to Skybolt, but with "loiter" times on the order of months instead of hours. The US Air Force was well into the process of developing the Minuteman missile, whose improved accuracy reduced the need for any bomber attacks. Robert McNamara was particularly opposed to the bomber force and repeatedly stated he felt that the combination of SLBMs and ICBMs would render them useless. He pressed for the cancellation of Skybolt as unnecessary. The British had canceled all other projects to concentrate fully on Skybolt. When McNamara informed them that they were considering canceling the program in November 1962, a firestorm of protest broke out in the House of Commons. Jo Grimond noted "Does not this mark the absolute failure of the policy of the independent deterrent? Is it not the case that everybody else in the world knew this, except the Conservative Party in this country?" President Kennedy officially cancelled the program on 22 December 1962. As the political row grew into a major crisis, an emergency meeting between parties from the US and UK was called, leading to the Nassau agreement. Over the next few days a new plan was hammered out that saw the UK purchase the Polaris SLBM, but equipped with British warheads that lacked the dual-key system. The UK would thus retain its independent deterrent force, although its control passed from the RAF largely to the Royal Navy. The Polaris, a much better weapon system for the UK, was a major "scoop" and has been referred to as "almost the bargain of the century". The RAF kept a tactical nuclear capability with the WE.177 which armed V bombers and later the Panavia Tornado force. A B-52G launched the last XGAM-87A missile at the Atlantic Missile Range a day after the program was canceled. In June 1963, the XGAM-87A was redesignated as XAGM-48A Description The GAM-87 was powered by a two-stage solid-fuel rocket motor. The missile was fitted with a tailcone to reduce drag while on the pylon, which was ejected shortly after being dropped from the plane. After first stage burnout, the Skybolt coasted for a while before the second stage ignited. First stage control was by eight movable tail fins, while the second stage was equipped with a gimballed nozzle. Guidance was entirely by inertial platform. The current position was constantly updated from the host aircraft through accurate fixes, meaning that the accuracy of the platform inside the missile was not as critical. B-52s were to carry four missiles, two under each wing on the weapons pylon with a dual launcher adapter with the missiles slightly staggered (inboard missile slightly ahead of the outboard missile). The Vulcan carried two missiles, one each on smaller underwing pylons. Survivors RAF Museum Cosford, Shropshire, England National Museum of the United States Air Force, Dayton, Ohio, United States Air Force Space
was in the process of introducing their own stand-off missile, the ranged Mach 3 Blue Steel. While capable, the missile flew at altitudes and speeds that left it vulnerable to improving SAMs, and it had a number of reliability and serviceability issues that made it less than ideal. A faster, longer-ranged version was being talked about, Blue Steel II, but it would be some time before it could enter service. The long-range Skybolt would eliminate the need for both the Blue Streak and the Blue Steel II. Blue Steel II was canceled in December 1959 and the British Cabinet decided in February 1960 to cancel Blue Streak as well. Prime Minister Macmillan met President Eisenhower in March 1960 and agreed to purchase 144 Skybolts for the RAF. By agreement, British funding for research and development was limited to that required to modify the V bombers to take the missile, but the British were allowed to fit their own warheads. In exchange, the Americans were given nuclear submarine basing facilities in Scotland. Following the agreement, the Blue Streak program was formally canceled in April 1960 and in May 1960 an agreement for an initial order of 100 Skybolts was concluded. Avro was made an associate contractor to manage the Skybolt program for the United Kingdom and four different schemes were submitted to find a platform for the missile. A number of different aircraft were considered, including a variant of the Vickers VC10 airliner and two of the current V bombers, the Avro Vulcan and Handley Page Victor. It was decided to use the Vulcan to initially carry two missiles each on hardpoints outboard of the main landing gear. Development and testing During development, it was decided that the system could not reach the required accuracy at the desired range without improvements to the guidance system. This led to the introduction of a star tracker platform that would enhance the existing inertial navigation system. The system had to be capable of tracking bright stars in direct sunlight, a challenging requirement. This change meant that the missile could only be carried in locations where the front of the missile could continually observe the sky. This had always been the case on the USAF's B-52 bombers, where they were carried under the wings, but presented a problem for some of the UK designs. Ultimately Skybolt was limited to the Vulcan, where its mounting points allowed the nose of the missile to project in front of this aircraft's delta wing. By 1961, several test articles were ready for testing from B-52s, with drop tests starting in January. In January 1961 a Vulcan visited the Douglas plant at Santa Monica, California, to ensure the modifications to the aircraft were electrically compatible with the missile. In Britain, compatibility trials with mockups started on the Vulcan. Powered tests started in April 1962, but the test series went badly, with the first five trials ending in failure. The first fully successful flight occurred on 19 December 1962. Cancellation By this point, the value of the Skybolt system in the US had been seriously eroded. The Polaris had recently gone into service, with overall capabilities similar to Skybolt, but with "loiter" times on the order of months instead of hours. The US Air Force was well into the process of developing the Minuteman missile, whose improved accuracy reduced the need for any bomber attacks. Robert McNamara was particularly opposed to the bomber force and repeatedly stated he felt that the combination of SLBMs and ICBMs would render them useless. He pressed for the cancellation of Skybolt as unnecessary. The British had canceled all other projects to concentrate fully on Skybolt. When McNamara informed them that they were considering canceling the program in November 1962, a firestorm of protest broke out in the House of Commons. Jo Grimond noted "Does not this mark the absolute failure of the policy of the independent deterrent? Is it not the case that everybody else in the world knew this, except the Conservative Party in this country?" President Kennedy officially cancelled the program on 22 December 1962. As the political row grew into a major crisis, an emergency meeting between parties from the US and UK was called, leading to the Nassau agreement. Over the next few days a new plan was hammered out that saw the UK purchase the Polaris SLBM, but equipped with British warheads that lacked
be key sources of funding for top research scientists in the fields of high-energy physics, supercomputing/computation, advanced materials, and many other critical science and engineering disciplines and funding which indirectly supports other research work by top scientists. In 1987, the American Physical Society concluded that the technologies being considered were decades away from being ready for use, and at least another decade of research was required to know whether such a system was even possible. After the publication of the APS report, SDI‘s budget was repeatedly cut. By the late 1980s, the effort had been re-focused on the "Brilliant Pebbles" concept using small orbiting missiles not unlike a conventional air-to-air missile, which was expected to be much less expensive to develop and deploy. SDI was controversial in some sectors, and was criticized for threatening to destabilize the MAD-approach potentially rendering the Soviet nuclear arsenal useless and to possibly re-ignite "an offensive arms race". Through declassified papers of American intelligence agencies the wider implications and effects of the program were examined and revealed that due to the potential neutralization of its arsenal and resulting loss of a balancing power factor, SDI was a cause of grave concern for the Soviet Union and her primary successor state Russia. By the early 1990s, with the Cold War ending and nuclear arsenals being rapidly reduced, political support for SDI collapsed. SDI officially ended in 1993, when the Clinton Administration redirected the efforts towards theatre ballistic missiles and renamed the agency the Ballistic Missile Defense Organization (BMDO). In 2019, space-based interceptor development resumed for the first time in 25 years with President Trump's signing of the National Defense Authorization Act. The program is currently managed by the Space Development Agency (SDA) as part of the new National Defense Space Architecture (NDSA) envisioned by Michael D. Griffin. Early development contracts were awarded to L3Harris and SpaceX. CIA Director Mike Pompeo called for additional funding to achieve a full-fledged “Strategic Defense Initiative for our time, the SDI II". History National BMD The US Army had considered the issue of ballistic missile defense (BMD) as early as late in World War II. Studies on the topic suggested attacking a V-2 rocket would be difficult because the flight time was so short that it would leave little time to forward information through command and control networks to the missile batteries that would attack them. Bell Labs pointed out that although longer-range missiles flew much faster, their longer flight times would address the timing issue and their very high altitudes would make long-range detection by radar easier. This led to a series of projects including Nike Zeus, Nike-X, Sentinel and ultimately the Safeguard Program, all aimed at deploying a nationwide defensive system against attacks by Soviet ICBMs. The reason for so many programs was the rapidly changing strategic threat; the Soviets claimed to be producing missiles "like sausages", and ever-more missiles would be needed to defend against this growing fleet. Low-cost countermeasures like radar decoys required additional interceptors to counter. An early estimate suggested one would have to spend $20 on defense for every $1 the Soviets spent on offense. The addition of MIRV in the late 1960s further upset the balance in favor of offense systems. This cost-exchange ratio was so favorable that it appeared the only thing building a defense would do would be to cause an arms race. When initially faced with this problem, Dwight D. Eisenhower asked ARPA to consider alternative concepts. Their Project Defender studied all sorts of systems, before abandoning most of them to concentrate on Project BAMBI. BAMBI used a series of satellites carrying interceptor missiles that would attack the Soviet ICBMs shortly after launch. This boost phase intercept rendered MIRV impotent; a successful attack would destroy all of the warheads. Unfortunately, the operational cost of such a system would be enormous, and the US Air Force continually rejected such concepts. Development was cancelled in 1963. Through this period, the entire topic of BMD became increasingly controversial. Early deployment plans were met with little interest, but by the late 1960s, public meetings on the Sentinel system were met by thousands of angry protesters. After thirty years of effort, only one such system would be built; a single base of the original Safeguard system became operational in April 1975, only to shut down in February 1976. A Soviet military A-35 anti-ballistic missile system was deployed around Moscow to intercept enemy ballistic missiles targeting the city or its surrounding areas. The A-35 was the only Soviet ABM system allowed under the 1972 Anti-Ballistic Missile Treaty. In development since the 1960s and in operation from 1971 until the 1990s, it featured the nuclear-tipped A350 exoatmospheric interceptor missile. Lead up to SDI George Shultz, Reagan's secretary of state, suggested that a 1967 lecture by physicist Edward Teller (the so-called "father of the hydrogen bomb") was an important precursor to SDI. In the lecture, Teller talked about the idea of defending against nuclear missiles using nuclear weapons, principally the W65 and W71, with the latter being a contemporary enhanced thermal/X-ray device used actively on the Spartan missile in 1975. Held at Lawrence Livermore National Laboratory (LLNL), the 1967 lecture was attended by Reagan shortly after he became the governor of California. Development of laser weapons in the Soviet Union began in 1964–1965. Though classified at the time, a detailed study on a Soviet space-based laser system began no later than 1976 as the Skif, a 1 MW Carbon dioxide laser along with the anti-satellite Kaskad, an in-orbit missile platform. A revolver cannon (Rikhter R-23) was mounted on the 1974 Soviet Salyut 3 space station, a satellite that successfully test fired its cannon in orbit. In 1979, Teller contributed to a Hoover Institution publication where he claimed that the US would be facing an emboldened USSR due to their work on civil defense. Two years later at a conference in Italy, he made the same claims about their ambitions, but with a subtle change; now he claimed that the reason for their boldness was their development of new space-based weapons. According to the popular opinion at the time, and one shared by author Frances FitzGerald; there was absolutely no evidence that such research was being carried out. What had really changed was that Teller was now selling his latest nuclear weapon, the X-ray laser. Finding limited success in his efforts to get funding for the project, his speech in Italy was a new attempt to create a missile gap. In 1979, Reagan visited the NORAD command base, Cheyenne Mountain Complex, where he was first introduced to the extensive tracking and detection systems extending throughout the world and into space; however, he was struck by their comments that while they could track the attack down to the individual targets, there was nothing one could do to stop it. Reagan felt that in the event of an attack this would place the president in a terrible position, having to choose between immediate counterattack or attempting to absorb the attack and then maintain an upper hand in the post-attack era. Shultz suggests that this feeling of helplessness, coupled with the defensive ideas proposed by Teller a decade earlier, combined to form the impetus of the SDI. In the fall of 1979, at Reagan's request, Lieutenant General Daniel O. Graham, the former head of the DIA, briefed Reagan on an updated BAMBI he called High Frontier, a missile shield composed of multi-layered ground- and space-based weapons that could track, intercept, and destroy ballistic missiles, which would theoretically be possible because of emerging technologies. It was designed to replace the MAD doctrine that Reagan and his aides described as a suicide pact. In September 1981, Graham formed a small, Virginia-based think tank called High Frontier to continue research on the missile shield. The Heritage Foundation provided High Frontier with space to conduct research, and Graham published a 1982 report entitled, "High Frontier: A New National Strategy" that examined in greater detail how the system would function. Graham was not alone in considering the anti-missile problem. Since the late 1970s, a group had been pushing for the development of a high-powered chemical laser that would be placed in orbit and attack ICBMs, the Space Based Laser (SBL). More recently, new developments under Project Excalibur by Teller's "O-Group" at LLNL suggested that a single X-ray laser could shoot down dozens of missiles with a single shot. Graham organized a meeting space at the Heritage Foundation in Washington and the groups began to meet in order to present their plans to the incoming president. The group met with Reagan several times during 1981 and 1982, apparently with little effect, while the buildup of new offensive weaponry like the B-1 Lancer and MX missile continued; however, in early 1983, the Joint Chiefs of Staff met with the president and outlined the reasons why they might consider shifting some of the funding from the offensive side to new defensive systems. According to a 1983 US Interagency Intelligence Assessment, there was good evidence that in the late 1960s the Soviets were devoting serious thought to both explosive and non-explosive nuclear power sources for lasers. Project and proposals Announcement On March 23, 1983, Reagan announced SDI in a nationally televised speech, stating "I call upon the scientific community in this country, those who gave us nuclear weapons, to turn their great talents to the cause of mankind and world peace, to give us the means of rendering these nuclear weapons impotent and obsolete." Strategic Defense Initiative Organization (SDIO) In 1984, the Strategic Defense Initiative Organization (SDIO) was established to oversee the program, which was headed by Lt. General James Alan Abrahamson USAF, a past Director of the NASA Space Shuttle program. In addition to the ideas presented by the original Heritage group, a number of other concepts were also considered. Notable among these were particle-beam weapons, updated versions of nuclear shaped charges, and various plasma weapons. Additionally, the SDIO invested in computer systems, component miniaturization, and sensors. Initially, the program focused on large scale systems designed to defeat a massive Soviet offensive strike. For this mission, SDIO concentrated almost entirely on the "high tech" solutions like lasers. Graham's proposal was repeatedly rejected by members of the Heritage group as well as within SDIO; when asked about it in 1985, Abrahamson suggested that the concept was underdeveloped and was not being considered. By 1986, many of the promising ideas were failing. Teller's X-ray laser, run under Project Excalibur, failed several key tests in 1986 and was soon being suggested solely for the anti-satellite role. The particle beam concept was demonstrated to basically not work, as was the case with several other concepts. Only the Space Based Laser seemed to have any hope of developing in the short term, but it was growing in size due to its fuel consumption. APS report The American Physical Society (APS) had been asked by the SDIO to provide a review of the various concepts. They put together an all-star panel including many of the inventors of the laser, one of which was a Nobel laureate. Their initial report was presented in 1986, but due to classification issues it was not released to the public (in redacted form) until early 1987. The report considered all of the systems then under development, and concluded none of them were anywhere near ready for deployment. Specifically, they noted that all of the systems had to improve their energy output by at least 100 times, and in some cases as much as a million. In other cases, like Excalibur, they dismissed the concept entirely. Their summary stated simply: We estimate that all existing candidates for directed energy weapons (DEWs) require two or more orders of magnitude, (powers of 10) improvements in power output and beam quality before they may be seriously considered for application in ballistic missile defense systems. In a best case scenario, they concluded that none of the systems could be deployed as an anti-missile system until into the next century. Strategic Defense System Faced with this report, and the press storm that followed, the SDIO changed direction. Beginning in late 1986, Abrahamson proposed that SDI would be based on the system he had previously dismissed, a version of High Frontier now renamed the "Strategic Defense System, Phase I Architecture". The name implied that the concept would be replaced by more advanced systems in future phases. Strategic Defense System, or SDS, was largely the Smart Rocks concept with an added layer of ground-based missiles in the US. These missiles were intended to attack the enemy warheads that the Smart Rocks had missed. In order to track them when they were below the radar horizon, SDS also added a number of additional satellites flying at low altitude that would feed tracking information to both the space-based "garages" as well as the ground-based missiles. The ground-based systems operational today trace their roots back to this concept. While SDS was being proposed, Lawrence Livermore National had introduced a new concept known as Brilliant Pebbles. This was essentially the combination of the sensors on the garage satellites and the low-orbit tracking stations on the Smart Rocks missile. Advancements in new sensors and microprocessors allowed all of this to be packaged into the volume of a small missile nose cone. Over the next two years, a variety of studies suggested that this approach would be cheaper, easier to launch and more resistant to counterattack, and in 1990 Brilliant Pebbles was selected as the baseline model for the SDS Phase 1. Global Protection Against Limited Strikes (GPALS) While SDIO and SDS was ongoing, the Warsaw Pact was rapidly disintegrating, culminating in the destruction of the Berlin Wall in 1989. One of the many reports on SDS considered these events, and suggested that the massive defense against a Soviet launch would soon be unnecessary, but that short and medium range missile technology would likely proliferate as the former Soviet Union disintegrated and sold off their hardware. One of the core ideas behind the GPALS system was that the Soviet Union would not always be assumed as the aggressor and the United States would not always be assumed as the target. Instead of a heavy defense aimed at ICBMs, this report suggested realigning the deployment for the Global Protection Against Limited Strikes (GPALS). Against such threats the Brilliant Pebbles would have limited performance, largely because the missiles fired for only a short period and the warheads did not rise high enough for them to be easily tracked by a satellite above them. To the original SDS, GPALS added a new mobile ground-based missile, and added more low-orbit satellites known as Brilliant Eyes to feed information to the Pebbles. GPALS was approved by President George H.W. Bush in 1991. The new system would cut the proposed costs of the SDI system from $53 billion to $41 billion over a decade. Also, instead of making plans to protect against thousands of incoming missiles, the GPALS system sought to provide flawless protection from up to two hundred nuclear missiles. The GPALS system also was able to protect the United States from attacks coming from all different parts of the world. Ballistic Missile Defense Organization (BMDO) In 1993, the Clinton administration further shifted the focus to ground-based interceptor missiles and theater scale systems, forming the Ballistic Missile Defense Organization (BMDO) and closing the SDIO. The Ballistic Missile Defense Organization was renamed again by the George W. Bush administration as the Missile Defense Agency and focused onto limited National Missile Defense. Ground-based programs Extended Range Interceptor (ERINT) The Extended Range Interceptor (ERINT) program was part of SDI's Theater Missile Defense Program and was an extension of the Flexible Lightweight Agile Guided Experiment (FLAGE), which included developing hit-to-kill technology and demonstrating the guidance accuracy of a small, agile, radar-homing vehicle. FLAGE scored a direct hit against a MGM-52 Lance missile in flight, at White Sands Missile Range in 1987. ERINT was a prototype missile similar to the FLAGE, but it used a new solid-propellant rocket motor that allowed it to fly faster and higher than FLAGE. Under BMDO, ERINT was later chosen as the MIM-104 Patriot (Patriot Advanced Capability-3,PAC-3) missile. Homing Overlay Experiment (HOE) Given concerns about the previous programs using nuclear-tipped interceptors, in the 1980s the US Army began studies about the feasibility of hit-to-kill vehicles, i.e. interceptor missiles that would destroy incoming ballistic missiles just by colliding with them head-on. The Homing Overlay Experiment (HOE) was the first hit-to-kill system tested by the US Army, and also the first successful hit-to-kill intercept of a mock ballistic missile warhead outside the Earth's atmosphere. The HOE used a Kinetic Kill Vehicle (KKV) to destroy a ballistic missile. The KKV was equipped with an infrared seeker, guidance electronics and a propulsion system. Once in space, the KKV could extend a folded structure similar to an umbrella skeleton of 4 m (13 ft) diameter to enhance its effective cross section. This device would destroy the ICBM reentry vehicle on collision. Four test launches were conducted in 1983 and 1984 at Kwajalein Missile Range in the Republic of the Marshall Islands. For each test a Minuteman missile was launched from Vandenberg Air Force Base in California carrying a single mock re-entry vehicle targeted for Kwajalein lagoon more than away. After test failures with the first three flight tests because of guidance and sensor problems, the DOD reported that the fourth and final test on June 10, 1984 was successful, intercepting the Minuteman RV with a closing speed of about 6.1 km/s at an altitude of more than 160
beam in space. After the rocket was recovered, the particle beam was still operational. According to the BMDO, the research on neutral particle beam accelerators, which was originally funded by the SDIO, could eventually be used to reduce the half-life of nuclear waste products using accelerator-driven transmutation technology. Laser and mirror experiments The High Precision Tracking Experiment (HPTE), launched with the Space Shuttle Discovery on STS-51-G, was tested June 21, 1985 when a Hawaii-based low-power laser successfully tracked the experiment and bounced the laser off of the HPTE mirror. The Relay mirror experiment (RME), launched in February 1990, demonstrated critical technologies for space-based relay mirrors that would be used with an SDI directed-energy weapon system. The experiment validated stabilization, tracking, and pointing concepts and proved that a laser could be relayed from the ground to a 60 cm mirror on an orbiting satellite and back to another ground station with a high degree of accuracy and for extended durations. Launched on the same rocket as the RME, the Low-power Atmospheric Compensation Experiment (LACE) satellite was built by the United States Naval Research Laboratory (NRL) to explore atmospheric distortion of lasers and real-time adaptive compensation for that distortion. The LACE satellite also included several other experiments to help develop and improve SDI sensors, including target discrimination using background radiation and tracking ballistic missiles using Ultraviolet Plume Imaging (UVPI). LACE was also used to evaluate ground-based adaptive optics, a technique now used in civilian telescopes to remove atmospheric distortions. Hypervelocity Railgun (CHECMATE) Research out of hypervelocity railgun technology was done to build an information base about railguns so that SDI planners would know how to apply the technology to the proposed defense system. The SDI railgun investigation, called the Compact High Energy Capacitor Module Advanced Technology Experiment, had been able to fire two projectiles per day during the initiative. This represented a significant improvement over previous efforts, which were only able to achieve about one shot per month. Hypervelocity railguns are, at least conceptually, an attractive alternative to a space-based defense system because of their envisioned ability to quickly shoot at many targets. Also, since only the projectile leaves the gun, a railgun system can potentially fire many times before needing to be resupplied. A hypervelocity railgun works very much like a particle accelerator insofar as it converts electrical potential energy into kinetic energy imparted to the projectile. A conductive pellet (the projectile) is attracted down the rails by electric current flowing through a rail. Through the magnetic forces that this system achieves, a force is exerted on the projectile moving it down the rail. Railguns can generate muzzle-velocities in excess of 2.4 kilometers per second. Railguns face a host of technical challenges before they will be ready for battlefield deployment. First, the rails guiding the projectile must carry very high power. Each firing of the railgun produces tremendous current flow (almost half a million amperes) through the rails, causing rapid erosion of the rail's surfaces (through ohmic heating), and even vaporization of the rail surface. Early prototypes were essentially single-use weapons, requiring complete replacement of the rails after each firing. Another challenge with the railgun system is projectile survivability. The projectiles experience acceleration force in excess of 100,000 g. To be effective, the fired projectile must first survive the mechanical stress of firing and the thermal effects of a trip through the atmosphere at many times the speed of sound before its subsequent impact with the target. In-flight guidance, if implemented, would require the onboard navigation system to be built to the same level of sturdiness as the main mass of the projectile. In addition to being considered for destroying ballistic missile threats, railguns were also being planned for service in space platform (sensor and battle station) defense. This potential role reflected defense planner expectations that the railguns of the future would be capable of not only rapid fire, but also of multiple firings (on the order of tens to hundreds of shots). Space-based programs Space-Based Interceptor (SBI) Groups of interceptors were to be housed in orbital modules. Hover testing was completed in 1988 and demonstrated integration of the sensor and propulsion systems in the prototype SBI. It also demonstrated the ability of the seeker to shift its aiming point from a rocket's hot plume to its cool body, a first for infrared ABM seekers. Final hover testing occurred in 1992 using miniaturized components similar to what would have actually been used in an operational interceptor. These prototypes eventually evolved into the Brilliant Pebbles program. Brilliant Pebbles Brilliant Pebbles was a non-nuclear system of satellite-based interceptors designed to use high-velocity, watermelon-sized, teardrop-shaped projectiles made of tungsten as kinetic warheads. It was designed to operate in conjunction with the Brilliant Eyes sensor system. The project was conceived in November 1986 by Lowell Wood at Lawrence Livermore National Laboratory. Detailed studies were undertaken by several advisory boards, including the Defense Science Board and JASON, in 1989. The Pebbles were designed in such a way that autonomous operation, without further external guidance from planned SDI sensor systems, was possible. This was attractive as a cost saving measure, as it would allow scaling back of those systems, and was estimated to save $7 to $13 billion versus the standard Phase I Architecture. Brilliant Pebbles later became the centerpiece of a revised architecture under the Bush Administration SDIO. John H. Nuckolls, director of Lawrence Livermore National Laboratory from 1988 to 1994, described the system as "The crowning achievement of the Strategic Defense Initiative". Some of the technologies developed for SDI were used in numerous later projects. For example, the sensors and cameras that were developed and manufactured for Brilliant Pebbles systems became components of the Clementine mission and SDI technologies may also have a role in future missile defense efforts. Though regarded as one of the most capable SDI systems, the Brilliant Pebbles program was canceled in 1994 by the BMDO. Sensor programs SDIO sensor research encompassed visible light, ultraviolet, infrared, and radar technologies, and eventually led to the Clementine mission though that mission occurred just after the program transitioned to the BMDO. Like other parts of SDI, the sensor system initially was very large-scale, but after the Soviet threat diminished it was cut back. Boost Surveillance and Tracking System (BSTS) Boost Surveillance and Tracking System was part of the SDIO in the late 1980s, and was designed to assist detection of missile launches, especially during the boost phase; however, once the SDI program shifted toward theater missile defense in the early 1990s, the system left SDIO control and was transferred to the Air Force. Space Surveillance and Tracking System (SSTS) Space Surveillance and Tracking System was a system originally designed for tracking ballistic missiles during their mid-course phase. It was designed to work in conjunction with BSTS, but was later scaled down in favor of the Brilliant Eyes program. Brilliant Eyes Brilliant Eyes was a simpler derivative of the SSTS that focused on theater ballistic missiles rather than ICBMs and was meant to operate in conjunction with the Brilliant Pebbles system. Brilliant Eyes was renamed Space and Missile Tracking System (SMTS) and scaled back further under BMDO, and in the late 1990s it became the low earth orbit component of the Air Force's Space Based Infrared System (SBIRS). Other sensor experiments The Delta 183 program used a satellite known as Delta Star to test several sensor related technologies. Delta Star carried a thermographic camera, a long-wave infrared imager, an ensemble of imagers and photometers covering several visible and ultraviolet bands as well as a laser detector and ranging device. The satellite observed several ballistic missile launches including some releasing liquid propellant as a countermeasure to detection. Data from the experiments led to advances in sensor technologies. Countermeasures In war-fighting, countermeasures can have a variety of meanings: The immediate tactical action to reduce vulnerability, such as chaff, decoys, and maneuvering. Counter strategies which exploit a weakness of an opposing system, such as adding more MIRV warheads which are less expensive than the interceptors fired against them. Defense suppression. That is, attacking elements of the defensive system. Countermeasures of various types have long been a key part of warfighting strategy; however, with SDI they attained a special prominence due to the system cost, scenario of a massive sophisticated attack, strategic consequences of a less-than-perfect defense, outer spacebasing of many proposed weapons systems, and political debate. Whereas the current United States national missile defense system is designed around a relatively limited and unsophisticated attack, SDI planned for a massive attack by a sophisticated opponent. This raised significant issues about economic and technical costs associated with defending against anti-ballistic missile defense countermeasures used by the attacking side. For example, if it had been much cheaper to add attacking warheads than to add defenses, an attacker of similar economic power could have simply outproduced the defender. This requirement of being "cost effective at the margin" was first formulated by Paul Nitze in November 1985. In addition, SDI envisioned many space-based systems in fixed orbits, ground-based sensors, command, control and communications facilities, etc. In theory, an advanced opponent could have targeted those, in turn requiring self-defense capability or increased numbers to compensate for attrition. A sophisticated attacker having the technology to use decoys, shielding, maneuvering warheads, defense suppression, or other countermeasures would have multiplied the difficulty and cost of intercepting the real warheads. SDI design and operational planning had to factor in these countermeasures and the associated cost. Response from the Soviet Union SDI failed to dissuade the USSR from investing in development of ballistic missiles. The Soviet response to the SDI during the period of March 1983 through November 1985 provided indications of their view of the program both as a threat and as an opportunity to weaken NATO. SDI was likely seen not only as a threat to the physical security of the Soviet Union, but also as part of an effort by the United States to seize the strategic initiative in arms controls by neutralizing the military component of Soviet strategy. The Kremlin expressed concerns that space-based missile defenses would make nuclear war inevitable. A major objective of that strategy was the political separation of Western Europe from the United States, which the Soviets sought to facilitate by aggravating allied concern over the SDI's potential implications for European security and economic interests. The Soviet predisposition to see deception behind the SDI was reinforced by their assessment of US intentions and capabilities and the utility of military deception in furthering the achievement of political goals. In 1986 Carl Sagan summarized what he heard Soviet commentators were saying about SDI, with a common argument being that it was equivalent to starting an economic war through a defensive arms race to further cripple the Soviet economy with extra military spending, while another interpretation was that it served as a disguise for the US wish to initiate a first strike on the Soviet Union. Though classified at the time, a detailed study on a Soviet space-based LASER system began no later than 1976 as the Skif, a 1 MW Carbon dioxide laser along with the anti-satellite Kaskad, an in-orbit missile platform. With both devices reportedly designed to pre-emptively destroy any US satellites that might be launched in the future which could otherwise aid US missile defense. Terra-3 was a Soviet laser testing centre, located on the Sary Shagan anti-ballistic missile (ABM) testing range in the Karaganda Region of Kazakhstan. It was originally built to test missile defense concepts, In 1984, officials within the United States Department of Defense (DoD) suggested it was the site of a prototypical anti-satellite weapon system. In 1987 a disguised Mir space station module was lifted on the inaugural flight of the Energia booster as the Polyus and it has since been revealed that this craft housed a number of systems of the Skif laser, which were intended to be clandestinely tested in orbit, if it had not been for the spacecraft's attitude control system malfunctioning upon separation from the booster and it failing to reach orbit. More tentatively, it is also suggested that the Zarya module of the International Space Station, capable of station keeping and providing sizable battery power, was initially developed to power the Skif laser system. The polyus was a prototype of the Skif orbital weapons platform designed to destroy Strategic Defense Initiative satellites with a megawatt carbon-dioxide laser. Soviet motivations behind attempting to launch components of the Skif laser in the form of Polyus were, according to interviews conducted years later, more for propaganda purposes in the prevailing climate of focus on US SDI, than as an effective defense technology, as the phrase "Space based laser" has a certain political capital. In 2014, a declassified CIA paper states that "In response to SDI, Moscow threatened a variety of military countermeasures in lieu of developing a parallel missile defense system". Controversy and criticism Historians from the Missile Defense Agency attribute the term "Star Wars" to a Washington Post article published March 24, 1983, the day after the speech, which quoted Democratic Senator Ted Kennedy describing the proposal as "reckless Star Wars schemes", a reference to the fantasy franchise Star Wars. Some critics used the term derisively, implying it was an impractical science fiction. In addition, the American media's liberal use of the moniker (despite President Reagan's request that they use the program's official name) did much to damage the program's credibility. In
services SDI Presence, US IT consultancy SDI Technologies, a consumer electronics manufacturer, New Jersey, U.S.A. Service Desk Institute, organization for computer help desk staff Slum Dwellers International (Italian Democratic Socialists), a political party Software Design Inc., mainframe systems software house Spiritual Directors International, an educational nonprofit organization supporting professional spiritual direction Steel Dynamics, Inc., a steel producer, Indiana, U.S.A. In science and technology Computing and telecommunications Serial data input in the Serial Peripheral Interface bus Serial digital interface for sending video signals over coaxial cable Single document interface, a style of graphical user interface Software-defined infrastructure, with no human intervention Spatial data infrastructure Standard Disk Interconnect, a DEC standard Statistical Design Institute's SDI Tools for Microsoft Excel System Deployment Image, a Microsoft disk
Tools for Microsoft Excel System Deployment Image, a Microsoft disk image file format Medicine Sulfadimidine, an antibiotic Other uses in science and technology Selective dissemination of information Silt density index in reverse osmosis systems Smoke-developed index, the concentration of smoke emitted by a material Spiral Dynamics Integral, a model of evolutionary development Stand density index, of the stocking of a stand of trees Subsurface drip irrigation Suction Diesel Injection, a Volkswagen diesel engine Other uses Saidor Airport (IATA code), in Madang Province, Papua New Guinea Socio Demographic Index of the Global Burden of Disease
tourist season he worked for the United States Hotel, where he was employed by Judge James M. Marvin, a part-owner of the hotel. He played his violin at several well-known hotels in Saratoga Springs. He also worked on the construction of the Troy and Saratoga Railroad. He had become a regular customer and friend of William Perry and Cephus Parker, who owned several shops in town. Over the seven years that the Northups lived in Saratoga Springs, they had been able to make ends meet and dress their children in fine clothes, but they had been unable to prosper as hoped. In March 1841, Anne went 20 miles to Sandy Hill where she ran the kitchen at Sherrill's Coffee House during the session of the court. She may have taken their oldest daughter Elizabeth with her. Their two youngest children went to stay with their aunt. Northup stayed in Saratoga Springs to look for employment until the tourist season. Kidnapped and sold into slavery In 1841, at age 32, Northup met two men, who introduced themselves as Merrill Brown and Abram Hamilton. Saying they were entertainers, members of a circus company, they offered him a job as a fiddler for several performances in New York City. Expecting the trip to be brief, Northup did not notify Anne, who was working in Sandy Hill. When they reached New York City, the men persuaded Northup to continue with them for a gig with their circus in Washington, D.C., offering him a generous wage and the cost of his return trip home. They stopped so that he could get a copy of his "free papers", which documented his status as a free man. The city had one of the nation's largest slave markets, and slave catchers were not above kidnapping free black people. At this time, 20 years before the Civil War, the expansion of cotton cultivation in the Deep South had led to a continuing high demand for healthy slaves. Kidnappers used a variety of means, from forced abduction to deceit, and frequently abducted children, who were easier to control. It is possible that "Brown" and "Hamilton" incapacitated Northuphis symptoms suggest that he was drugged with belladonna or laudanum, or with a mixture of bothand sold him to Washington slave trader James H. Birch for $650, claiming that he was a fugitive slave. However, Northup stated in his account of the ordeal in Twelve Years a Slave in Chapter II, "[w]hether they were accessory to my misfortunes – subtle and inhuman monsters in the shape of men – designedly luring me away from home and family, and liberty, for the sake of gold – those who read these pages will have the same means of determining as myself." Birch and Ebenezer Radburn, his jailer, severely beat Northup to stop him from saying he was a free man. Birch then wrongfully presented Northup as a slave from Georgia. Northup was held in the slave pen of trader William Williams, close to the United States Capitol. Birch shipped Northup and other slaves by sea to New Orleans, in what was called the coastwise slave trade, where Birch's partner Theophilus Freeman would sell them. During the voyage, Northup and the other slaves caught smallpox. Northup persuaded John Manning, an English sailor, to send to Henry B. Northup, upon reaching New Orleans, a letter that told of his kidnapping and illegal enslavement. Henry was a lawyer, was related to Henry Northrop who had held and freed Solomon's father, and a childhood friend of Solomon's. The letter was delivered to Governor Seward by Henry, but it was not actionable because Northup's location was unknown. The New York State Legislature had passed a law in 1840 that made it illegal to entice or kidnap an African-American out of New York and sell them into slavery. It provided legal and financial assistance to aid the recovery of any who were kidnapped and taken out of state and illegally enslaved. At the New Orleans slave market, Birch's partner Theophilus Freeman sold Northup (who had been renamed Platt) along with Harry and Eliza (renamed Dradey) to William Prince Ford, a preacher who engaged in small farming on Bayou Boeuf of the Red River in northern Louisiana. Ford was then a Baptist preacher. (In 1843, he led his congregation in converting to the closely related Churches of Christ, after they were influenced by the writings of Alexander Campbell.) In his memoir, Northup characterized Ford as a good man, considerate of his slaves. In spite of his situation, Northup wrote: At Ford's place in Pine Woods, Northup assessed the problem of getting timber off Ford's farm to market. He proposed and then made a log raft to move lumber down the narrow Indian Creek, in order to transport the logs more easily. Northup built weaving looms, so that fabric could be woven for clothing. Ford came into financial difficulties and had to sell 18 slaves to settle his debts. In the winter of 1842, Ford sold Northup to John M. Tibaut, a carpenter who had been working for Ford on the mills. He also had helped construct a weaving-house and corn mill on Ford's Bayou Boeuf plantation. Ford owed Tibaut money for the work. Since the amount Ford owed Tibaut was less than the purchase price agreed upon for Solomon, Ford held a chattel mortgage on Northup for $400, the difference between the two amounts. Under Tibaut, Northup suffered cruel and capricious treatment. Tibaut used him to help complete construction at Ford's plantation. At one point, Tibaut whipped Northup because he did not like the nails Northup was using. But Northup fought back, beating Tibaut severely. Enraged, Tibaut recruited two friends to lynch and hang the slave, which a master was legally entitled to do. Ford's overseer Chapin interrupted and prevented the men from killing Northup, reminding Tibaut of his debt to Ford, and chasing them off at gunpoint. Northup was left bound and noosed for hours until Ford returned home to cut him down. Northup believed that Tibaut's debt to Ford saved his life. Historian Walter Johnson suggests that Northup may well have been the first slave Tibaut ever bought, marking his transition from itinerant employee to property-owning master. Tibaut hired Northup out to a planter named Eldret, who lived about 38 miles south on the Red River. At what he called "The Big Cane Brake", Eldret had Northup and other slaves clear cane, trees, and undergrowth in the bottomlands in order to develop cotton fields for cultivation. With the work unfinished, after about five weeks, Tibaut sold Northup to Edwin Epps. Epps held Northup for almost 10 years, until 1853, in Avoyelles Parish. He was a cruel master who frequently and indiscriminately punished slaves and drove them hard. His policy was to whip slaves if they did not meet daily work quotas he set for pounds of cotton to be picked, among other goals. In 1852, itinerant Canadian carpenter Samuel Bass came to do some work for Epps. Hearing Bass express his abolitionist views, Northup eventually decided to confide his secret to him. Bass was the first person he told of his true name and origins as a free man since he was first enslaved. Along with mailing a letter written by Northup, Bass wrote several letters at his request to Northup's friends, providing general details of his location at Bayou Boeuf, in hopes of gaining his rescue. Bass did this at great personal risk as the local people would not take kindly to a person helping a slave and depriving a man of his property. In addition, Bass's help came after passage of the Fugitive Slave Act of 1850, which increased federal penalties against people assisting slaves to escape. Restoration of freedom Bass wrote several letters to people Northup knew in Saratoga Springs: one went to his former employer Judge James M. Marvin and another reached Cephas Parker and William Perry, storekeepers in Saratoga. Parker and Perry forwarded the letter to Northup's wife, Anne, who contacted attorney Henry B. Northup, the son of Solomon's father's former master. Henry B. Northup contacted New York Governor Washington Hunt, who took up the case, appointing the attorney general as his legal agent. In 1840, the New York State Legislature had passed a law committing the state to help any African-American residents kidnapped into slavery, as well as guaranteeing a jury trial to alleged fugitive slaves. Once Northup's family was notified, his rescuers still had to do detective work to find the enslaved man, as he had partially tried to hide his location for protection in case the letters fell into the wrong hands, and Bass had not used his real name. They had to find documentation of his free status as a citizen and New York resident; Henry B. Northup also collected sworn affidavits from people who knew Solomon Northup. During this time, Northup did not know if Bass had reached anyone with the letters. There was no means of communicating, because of the secrecy they needed to maintain, and the necessity of preventing Northup's owner from knowing their plans. Bass did not reveal his own name in the letter. Henry gathered documentation and depositions and stopped off in Washington, D.C. to meet with Pierre Soule, a legislator from Louisiana, and the Secretary of War in preparation for his rescue effort in Louisiana. Although he did not have Bass's name, Henry still managed to find him in Marksville (the postmark on the letters), and Bass revealed that Solomon Northup was held by Edwin Epps on his plantation. Henry had legal paperwork prepared based upon the documentation that proved that Northup was free. The sheriff went with Henry to give the news to Epps and take Northup off the farm. Northup later wrote, "He [Epps] thought of nothing but his loss, and cursed me for having been born free." Attorney Henry B. Northup convinced Epps that it would be futile to contest the free papers in a court of law, so the planter conceded the case. He signed papers giving up all claim to Northup. Finally on January 4, 1853, four months after meeting Bass, Northup regained his freedom. Twelve Years a Slave After he made it back to New York, Solomon Northup wrote and published his memoir, Twelve Years a Slave (1853). The book was written in three months with the help of David Wilson, a local lawyer and writer. Northup told the story of his kidnapping and enslavement with a lot of verifiable details. Northup told the cruelty, treatment as chattel, and the appreciated acts of kindnesses that he received. "Its tone is much milder than we expected to see exhibited," according to the Rome Citizen of New York. The detail that he provided helped illuminate the depth of his experiences, and allowed for verification of what life was like on a plantation. Sue Eakin and Joseph Logsdon researched the facts from Northup's book and were able to verify many of the events and people and published their annotated version of the book in 1968. Edwin Epps, his slaveholder, stated that a greater part of the book was the truth to soldiers from the 114th New York Infantry Regiment that Epps met during the Civil War. Northup was literate and provided the facts without hyperbole in "plain and candid language", while Wilson corrected style, grammar, and inconsistencies. It was published by Derby & Miller of Auburn, New York. In the period when questions of slavery generated debate and the novel Uncle Tom's Cabin (1852) by Harriet Beecher Stowe was a bestseller, Northup's book sold 30,000 copies within three years, also becoming a bestseller. Northup traveled and went on a lecture tour in Northeastern states to tell his story and sell books. The book became the backbone of other books about him, such as Solomon Northup: The Complete Story of the Author of Twelve Years a Slave. Court cases Northup was one of the few kidnapped free black people to regain freedom after being sold into slavery. Represented by attorneys Senator Salmon P. Chase of Ohio, General Orville Clark, and Henry B. Northup, Solomon Northup sued Birch and other men involved in selling him into slavery in Washington, DC. The historian Carol Wilson documented 300 kidnapping cases in her 1994 book, and believes that it is likely that thousands more were kidnapped who were never documented. As Solomon Northup and Henry Northup made their way back to New York, they
Justice of the Peace Charles Hughes on November 19, 1852. He gathered the information to prove that Northup was free and went to Louisiana to bring him back to New York. Northup returned to Sandy Hill on January 21, 1853, and reunited with his wife and children. By 1855, he was living with his daughter Margaret Stanton and her family in Queensbury, Warren County, New York. He purchased land in Glens Falls near his daughter. In his memoir, Northup described his love for his wife as "sincere and unabated", since the time of their marriage, and his children as "beloved". While Northup gave talks about his book around the country, Anne worked in Bolton Landing on Lake George at the hotel Mohican House. Author David Fiske states that Northup seems to have had a difficult time overcoming the years in which he was enslaved. He was said to have drunk a lot and did not seem to spend a lot of time with his wife. By the late 1850s, it was not known what had become of Northup, and he was not listed with his family in the 1860 census. After selling their land in Glens Falls, Anne Northup moved to the household of her daughter and son-in-law, Margaret and Philip Stanton, in Moreau, Saratoga County, where she again was recorded as married though Solomon was not with the family. Anne did laundry, cooking and chores for a Moreau man. In 1870, she worked as a cook in the household of Burton C. Dennis, who kept the Middleworth House hotel in Sandy Hill. Anne Northup lived in Kingsbury in Washington County, New York in 1875. By that time she was identified as a widow. She died in 1876 while performing her chores in Moreau. One obituary, while praising Anne, says of Solomon Northup that "after exhibiting himself through the country [he] became a worthless vagabond". Life Canal worker, farmer, and violin player In the winter of the year that he married, Northup worked as a laborer repairing the Champlain Canal. He then bought two horses and contracted to tow lumber on rafts to Troy from Lake Champlain beginning the following spring. He employed two workers. He worked on other waterways in upstate New York and he traveled to northern New York and Montreal, Canada. When the canal was closed down, he cut lumber during the winter of 1831–1832. He worked as a farm laborer in the Sandy Hill area. He arranged to farm corn and oats on part of the Alden farm where his father lived in Kingsbury. He built a fine reputation as a fiddler and was in high demand to play for dances in surrounding villages. The couple had become prosperous due to the income Anne received as a cook and that Northup made farming and playing the violin. The couple moved to Saratoga Springs in March 1834, where he drove a horse-drawn taxi for a businessman, and during the tourist season he worked for the United States Hotel, where he was employed by Judge James M. Marvin, a part-owner of the hotel. He played his violin at several well-known hotels in Saratoga Springs. He also worked on the construction of the Troy and Saratoga Railroad. He had become a regular customer and friend of William Perry and Cephus Parker, who owned several shops in town. Over the seven years that the Northups lived in Saratoga Springs, they had been able to make ends meet and dress their children in fine clothes, but they had been unable to prosper as hoped. In March 1841, Anne went 20 miles to Sandy Hill where she ran the kitchen at Sherrill's Coffee House during the session of the court. She may have taken their oldest daughter Elizabeth with her. Their two youngest children went to stay with their aunt. Northup stayed in Saratoga Springs to look for employment until the tourist season. Kidnapped and sold into slavery In 1841, at age 32, Northup met two men, who introduced themselves as Merrill Brown and Abram Hamilton. Saying they were entertainers, members of a circus company, they offered him a job as a fiddler for several performances in New York City. Expecting the trip to be brief, Northup did not notify Anne, who was working in Sandy Hill. When they reached New York City, the men persuaded Northup to continue with them for a gig with their circus in Washington, D.C., offering him a generous wage and the cost of his return trip home. They stopped so that he could get a copy of his "free papers", which documented his status as a free man. The city had one of the nation's largest slave markets, and slave catchers were not above kidnapping free black people. At this time, 20 years before the Civil War, the expansion of cotton cultivation in the Deep South had led to a continuing high demand for healthy slaves. Kidnappers used a variety of means, from forced abduction to deceit, and frequently abducted children, who were easier to control. It is possible that "Brown" and "Hamilton" incapacitated Northuphis symptoms suggest that he was drugged with belladonna or laudanum, or with a mixture of bothand sold him to Washington slave trader James H. Birch for $650, claiming that he was a fugitive slave. However, Northup stated in his account of the ordeal in Twelve Years a Slave in Chapter II, "[w]hether they were accessory to my misfortunes – subtle and inhuman monsters in the shape of men – designedly luring me away from home and family, and liberty, for the sake of gold – those who read these pages will have the same means of determining as myself." Birch and Ebenezer Radburn, his jailer, severely beat Northup to stop him from saying he was a free man. Birch then wrongfully presented Northup as a slave from Georgia. Northup was held in the slave pen of trader William Williams, close to the United States Capitol. Birch shipped Northup and other slaves by sea to New Orleans, in what was called the coastwise slave trade, where Birch's partner Theophilus Freeman would sell them. During the voyage, Northup and the other slaves caught smallpox. Northup persuaded John Manning, an English sailor, to send to Henry B. Northup, upon reaching New Orleans, a letter that told of his kidnapping and illegal enslavement. Henry was a lawyer, was related to Henry Northrop who had held and freed Solomon's father, and a childhood friend of Solomon's. The letter was delivered to Governor Seward by Henry, but it was not actionable because Northup's location was unknown. The New York State Legislature had passed a law in 1840 that made it illegal to entice or kidnap an African-American out of New York and sell them into slavery. It provided legal and financial assistance to aid the recovery of any who were kidnapped and taken out of state and illegally enslaved. At the New Orleans slave market, Birch's partner Theophilus Freeman sold Northup (who had been renamed Platt) along with Harry and Eliza (renamed Dradey) to William Prince Ford, a preacher who engaged in small farming on Bayou Boeuf of the Red River in northern Louisiana. Ford was then a Baptist preacher. (In 1843, he led his congregation in converting to the closely related Churches of Christ, after they were influenced by the writings of Alexander Campbell.) In his memoir, Northup characterized Ford as a good man, considerate of his slaves. In spite of his situation, Northup wrote: At Ford's place in Pine Woods, Northup assessed the problem of getting timber off Ford's farm to market. He proposed and then made a log raft to move lumber down the narrow Indian Creek, in order to transport the logs more easily. Northup built weaving looms, so that fabric could be woven for clothing. Ford came into financial difficulties and had to sell 18 slaves to settle his debts. In the winter of 1842, Ford sold Northup to John M. Tibaut, a carpenter who had been working for Ford on the mills. He also had helped construct a weaving-house and corn mill on Ford's Bayou Boeuf plantation. Ford owed Tibaut money for the work. Since the amount Ford owed Tibaut was less than the purchase price agreed upon for Solomon, Ford held a chattel mortgage on Northup for $400, the difference between the two amounts. Under Tibaut, Northup suffered cruel and capricious treatment. Tibaut used him to help complete construction at Ford's plantation. At one point, Tibaut whipped Northup because he did not like the nails Northup was using. But Northup fought back, beating Tibaut severely. Enraged, Tibaut recruited two friends to lynch and hang the slave, which a master was legally entitled to do. Ford's overseer Chapin interrupted and prevented the men from killing Northup, reminding Tibaut of his debt to Ford, and chasing them off at gunpoint. Northup was left bound and noosed for hours until Ford returned home to cut him down. Northup believed that Tibaut's debt to Ford saved his life. Historian Walter Johnson suggests that Northup may well have been the first slave Tibaut ever bought, marking his transition from itinerant employee to property-owning master. Tibaut hired Northup out to a planter named Eldret, who lived about 38 miles south on the Red River. At what he called "The Big Cane Brake", Eldret had Northup and other slaves clear cane, trees, and undergrowth in the bottomlands in order to develop cotton fields for cultivation. With the work unfinished, after about five weeks, Tibaut sold Northup to Edwin Epps. Epps held Northup for almost 10 years, until 1853, in Avoyelles Parish. He was a cruel master who frequently and indiscriminately punished slaves and drove them hard. His policy was to whip slaves if they did not meet daily work quotas he set for pounds of cotton to be picked, among other goals. In 1852, itinerant Canadian carpenter Samuel Bass came to do some work for Epps. Hearing Bass express his abolitionist views, Northup eventually decided to confide his secret to him. Bass was the first person he told of his true name and origins as a free man since he was first enslaved. Along with mailing a letter written by Northup, Bass wrote several letters at his request to Northup's friends, providing general details of his location at Bayou Boeuf, in hopes of gaining his rescue. Bass did this at great personal risk as the local people would not take kindly to a person helping a slave and depriving a man of his property. In addition, Bass's help came after passage of the Fugitive Slave Act of 1850, which increased federal penalties against people assisting slaves to escape. Restoration of freedom Bass wrote several letters to people Northup knew in Saratoga Springs: one went to his former employer Judge James M. Marvin and another reached Cephas Parker and William Perry, storekeepers in Saratoga. Parker and Perry forwarded the letter to Northup's
as quickly as possible to clear the cable for the next payload. Various methods have been proposed to get that energy to the climber: Transfer the energy to the climber through wireless energy transfer while it is climbing. Transfer the energy to the climber through some material structure while it is climbing. Store the energy in the climber before it starts – requires an extremely high specific energy such as nuclear energy. Solar power – After the first 40 km it is possible to use solar energy to power the climber Wireless energy transfer such as laser power beaming is currently considered the most likely method, using megawatt-powered free electron or solid state lasers in combination with adaptive mirrors approximately wide and a photovoltaic array on the climber tuned to the laser frequency for efficiency. For climber designs powered by power beaming, this efficiency is an important design goal. Unused energy would need to be re-radiated away with heat-dissipation systems, which add to weight. Yoshio Aoki, a professor of precision machinery engineering at Nihon University and director of the Japan Space Elevator Association, suggested including a second cable and using the conductivity of carbon nanotubes to provide power. Counterweight Several solutions have been proposed to act as a counterweight: a heavy, captured asteroid; a space dock, space station or spaceport positioned past geostationary orbit a further upward extension of the cable itself so that the net upward pull would be the same as an equivalent counterweight; parked spent climbers that had been used to thicken the cable during construction, other junk, and material lifted up the cable for the purpose of increasing the counterweight. Extending the cable has the advantage of some simplicity of the task and the fact that a payload that went to the end of the counterweight-cable would acquire considerable velocity relative to the Earth, allowing it to be launched into interplanetary space. Its disadvantage is the need to produce greater amounts of cable material as opposed to using just anything available that has mass. Applications Launching into deep space An object attached to a space elevator at a radius of approximately 53,100 km would be at escape velocity when released. Transfer orbits to the L1 and L2 Lagrangian points could be attained by release at 50,630 and 51,240 km, respectively, and transfer to lunar orbit from 50,960 km. At the end of Pearson's cable, the tangential velocity is 10.93 kilometers per second (6.79 mi/s). That is more than enough to escape Earth's gravitational field and send probes at least as far out as Jupiter. Once at Jupiter, a gravitational assist maneuver could permit solar escape velocity to be reached. Extraterrestrial elevators A space elevator could also be constructed on other planets, asteroids and moons. A Martian tether could be much shorter than one on Earth. Mars' surface gravity is 38 percent of Earth's, while it rotates around its axis in about the same time as Earth. Because of this, Martian stationary orbit is much closer to the surface, and hence the elevator could be much shorter. Current materials are already sufficiently strong to construct such an elevator. Building a Martian elevator would be complicated by the Martian moon Phobos, which is in a low orbit and intersects the Equator regularly (twice every orbital period of 11 h 6 min). Phobos and Deimos may get in the way of a geostationary space elevator, however, they may contribute useful resources to the project. Phobos is projected to contain high amounts of carbon. If carbon nanotubes become feasible for a tether material, there will be an abundance of carbon in Mars local region. This could provide readily available resources for the future colonization on Mars. Phobos also could be a good counterweight for a space elevator. It's massive enough that unbalanced forces created by a space elevator would not affect the orbit of the planet. But since Phobos is not in geostationary orbit, the tether would not be able to anchor to the ground. The end of the tether would have to be in the outer atmosphere and would pass over the same place twice a Martian day. The Earth's Moon is a potential location for a Lunar space elevator, especially as the specific strength required for the tether is low enough to use currently available materials. The Moon does not rotate fast enough for an elevator to be supported by centrifugal force (the proximity of the Earth means there is no effective lunar-stationary orbit), but differential gravity forces means that an elevator could be constructed through Lagrangian points. A near-side elevator would extend through the Earth-Moon L1 point from an anchor point near the center of the visible part of Earth's Moon: the length of such an elevator must exceed the maximum L1 altitude of 59,548 km, and would be considerably longer to reduce the mass of the required apex counterweight. A far-side lunar elevator would pass through the L2 Lagrangian point and would need to be longer than on the near-side: again, the tether length depends on the chosen apex anchor mass, but it could also be made of existing engineering materials. Rapidly spinning asteroids or moons could use cables to eject materials to convenient points, such as Earth orbits; or conversely, to eject materials to send a portion of the mass of the asteroid or moon to Earth orbit or a Lagrangian point. Freeman Dyson, a physicist and mathematician, has suggested using such smaller systems as power generators at points distant from the Sun where solar power is uneconomical. A space elevator using presently available engineering materials could be constructed between mutually tidally locked worlds, such as Pluto and Charon or the components of binary asteroid 90 Antiope, with no terminus disconnect, according to Francis Graham of Kent State University. However, spooled variable lengths of cable must be used due to ellipticity of the orbits. Construction The construction of a space elevator would need reduction of some technical risk. Some advances in engineering, manufacturing and physical technology are required. Once a first space elevator is built, the second one and all others would have the use of the previous ones to assist in construction, making their costs considerably lower. Such follow-on space elevators would also benefit from the great reduction in technical risk achieved by the construction of the first space elevator. Prior to the work of Edwards in 2000, most concepts for constructing a space elevator had the cable manufactured in space. That was thought to be necessary for such a large and long object and for such a large counterweight. Manufacturing the cable in space would be done in principle by using an asteroid or Near-Earth object for source material. These earlier concepts for construction require a large preexisting space-faring infrastructure to maneuver an asteroid into its needed orbit around Earth. They also required the development of technologies for manufacture in space of large quantities of exacting materials. Since 2001, most work has focused on simpler methods of construction requiring much smaller space infrastructures. They conceive the launch of a long cable on a large spool, followed by deployment of it in space. The spool would be initially parked in a geostationary orbit above the planned anchor point. A long cable would be dropped "downward" (toward Earth) and would be balanced by a mass being dropped "upward" (away from Earth) for the whole system to remain on the geosynchronous orbit. Earlier designs imagined the balancing mass to be another cable (with counterweight) extending upward, with the main spool remaining at the original geosynchronous orbit level. Most current designs elevate the spool itself as the main cable is paid out, a simpler process. When the lower end of the cable is long enough to reach the surface of the Earth (at the equator), it would be anchored. Once anchored, the center of mass would be elevated more (by adding mass at the upper end or by paying out more cable). This would add more tension to the whole cable, which could then be used as an elevator cable. One plan for construction uses conventional rockets to place a "minimum size" initial seed cable of only 19,800 kg. This first very small ribbon would be adequate to support the first 619 kg climber. The first 207 climbers would carry up and attach more cable to the original, increasing its cross section area and widening the initial ribbon to about 160 mm wide at its widest point. The result would be a 750-ton cable with a lift capacity of 20 tons per climber. Safety issues and construction challenges For early systems, transit times from the surface to the level of geosynchronous orbit would be about five days. On these early systems, the time spent moving through the Van Allen radiation belts would be enough that passengers would need to be protected from radiation by shielding, which would add mass to the climber and decrease payload. A space elevator would present a navigational hazard, both to aircraft and spacecraft. Aircraft could be diverted by air-traffic control restrictions. All objects in stable orbits that have perigee below the maximum altitude of the cable that are not synchronous with the cable would impact the cable eventually, unless avoiding action is taken. One potential solution proposed by Edwards is to use a movable anchor (a sea anchor) to allow the tether to "dodge" any space debris large enough to track. Impacts by space objects such as meteoroids, micrometeorites and orbiting man-made debris pose another design constraint on the cable. A cable would need to be designed to maneuver out of the way of debris, or absorb impacts of small debris without breaking. Economics With a space elevator, materials might be sent into orbit at a fraction of the current cost. As of 2000, conventional rocket designs cost about US$25,000 per kilogram (US$11,000 per pound) for transfer to geostationary orbit. Current space elevator proposals envision payload prices starting as low as $220 per kilogram ($100 per pound), similar to the $5–$300/kg estimates of the Launch loop, but higher than the $310/ton to 500 km orbit quoted to Dr. Jerry Pournelle for an orbital airship system. Philip Ragan, co-author of the book Leaving the Planet by Space Elevator, states that "The first country to deploy a space elevator will have a 95 percent cost advantage and could potentially control all space activities." International Space Elevator Consortium (ISEC) The International Space Elevator Consortium (ISEC) is a US Non-Profit 501(c)(3) Corporation formed to promote the development, construction, and operation of a space elevator as "a
be transported up the elevator when a minimum strength strand reached the ground or be manufactured in space from asteroidal or lunar ore. After the development of carbon nanotubes in the 1990s, engineer David Smitherman of NASA/Marshall's Advanced Projects Office realized that the high strength of these materials might make the concept of a space elevator feasible, and put together a workshop at the Marshall Space Flight Center, inviting many scientists and engineers to discuss concepts and compile plans for an elevator to turn the concept into a reality. In 2000, another American scientist, Bradley C. Edwards, suggested creating a long paper-thin ribbon using a carbon nanotube composite material. He chose the wide-thin ribbon-like cross-section shape rather than earlier circular cross-section concepts because that shape would stand a greater chance of surviving impacts by meteoroids. The ribbon cross-section shape also provided large surface area for climbers to climb with simple rollers. Supported by the NASA Institute for Advanced Concepts, Edwards' work was expanded to cover the deployment scenario, climber design, power delivery system, orbital debris avoidance, anchor system, surviving atomic oxygen, avoiding lightning and hurricanes by locating the anchor in the western equatorial Pacific, construction costs, construction schedule, and environmental hazards. 21st century To speed space elevator development, proponents have organized several competitions, similar to the Ansari X Prize, for relevant technologies. Among them are Elevator:2010, which organized annual competitions for climbers, ribbons and power-beaming systems from 2005 to 2009, the Robogames Space Elevator Ribbon Climbing competition, as well as NASA's Centennial Challenges program, which, in March 2005, announced a partnership with the Spaceward Foundation (the operator of Elevator:2010), raising the total value of prizes to US$400,000. The first European Space Elevator Challenge (EuSEC) to establish a climber structure took place in August 2011. In 2005, "the LiftPort Group of space elevator companies announced that it will be building a carbon nanotube manufacturing plant in Millville, New Jersey, to supply various glass, plastic and metal companies with these strong materials. Although LiftPort hopes to eventually use carbon nanotubes in the construction of a space elevator, this move will allow it to make money in the short term and conduct research and development into new production methods." Their announced goal was a space elevator launch in 2010. On February 13, 2006 the LiftPort Group announced that, earlier the same month, they had tested a mile of "space-elevator tether" made of carbon-fiber composite strings and fiberglass tape measuring wide and 1 mm (approx. 13 sheets of paper) thick, lifted with balloons. In April 2019, Liftport CEO Michael Laine admitted little progress has been made on the company's lofty space elevator ambitions, even after receiving more than $200,000 in seed funding. The carbon nanotube manufacturing facility that Liftport announced in 2005 was never built. In 2006 the book "Leaving the Planet by Space Elevator" was published by Dr Brad Edwards and Philip Ragan, containing a comprehensive review of the history, construction challenges and implementation plans for future space elevators, including space elevators on the Moon and Mars. In 2007, Elevator:2010 held the 2007 Space Elevator games, which featured US$500,000 awards for each of the two competitions, ($1,000,000 total) as well as an additional $4,000,000 to be awarded over the next five years for space elevator related technologies. No teams won the competition, but a team from MIT entered the first 2-gram (0.07 oz), 100-percent carbon nanotube entry into the competition. Japan held an international conference in November 2008 to draw up a timetable for building the elevator. In 2008 the book Leaving the Planet by Space Elevator was published in Japanese and entered the Japanese best-seller list. This led to Shuichi Ono, chairman of the Japan Space Elevator Association, unveiling a space-elevator plan, putting forth what observers considered an extremely low cost estimate of a trillion yen (£5 billion / $8 billion) to build one. In 2012, the Obayashi Corporation announced that it could build a space elevator by 2050 using carbon nanotube technology. The design's passenger climber would be able to reach the GEO level after an 8 day trip. Further details have been published in 2016. In 2013, the International Academy of Astronautics published a technological feasibility assessment which concluded that the critical capability improvement needed was the tether material, which was projected to achieve the necessary specific strength within 20 years. The four-year long study looked into many facets of space elevator development including missions, development schedules, financial investments, revenue flow, and benefits. It was reported that it would be possible to operationally survive smaller impacts and avoid larger impacts, with meteors and space debris, and that the estimated cost of lifting a kilogram of payload to GEO and beyond would be $500. In 2014, Google X's Rapid Evaluation R&D team began the design of a Space Elevator, eventually finding that no one had yet manufactured a perfectly formed carbon nanotube strand longer than a meter. They thus decided to put the project in "deep freeze" and also keep tabs on any advances in the carbon nanotube field. In 2018, researchers at Japan's Shizuoka University launched STARS-Me, two CubeSats connected by a tether, which a mini-elevator will travel on. The experiment was launched as a test bed for a larger structure. In 2019, the International Academy of Astronautics published "Road to the Space Elevator Era", a study report summarizing the assessment of the space elevator as of summer 2018. The essence is that a broad group of space professionals gathered and assessed the status of the space elevator development, each contributing their expertise and coming to similar conclusions : (a) Earth Space Elevators seem feasible, reinforcing the IAA 2013 study conclusion (b) Space Elevator development initiation is nearer than most think. This last conclusion is based on a potential process for manufacturing macro-scale single crystal graphene with higher specific strength than carbon nanotubes. In fiction In 1979, space elevators were introduced to a broader audience with the simultaneous publication of Arthur C. Clarke's novel, The Fountains of Paradise, in which engineers construct a space elevator on top of a mountain peak in the fictional island country of "Taprobane" (loosely based on Sri Lanka, albeit moved south to the Equator), and Charles Sheffield's first novel, The Web Between the Worlds, also featuring the building of a space elevator. Three years later, in Robert A. Heinlein's 1982 novel Friday, the principal character mentions a disaster at the “Quito Sky Hook” and makes use of the "Nairobi Beanstalk" in the course of her travels. In Kim Stanley Robinson's 1993 novel Red Mars, colonists build a space elevator on Mars that allows both for more colonists to arrive and also for natural resources mined there to be able to leave for Earth. In David Gerrold's 2000 novel, Jumping Off The Planet, a family excursion up the Ecuador "beanstalk" is actually a child-custody kidnapping. Gerrold's book also examines some of the industrial applications of a mature elevator technology. The concept of a space elevator, called the Beanstalk, is also depicted in John Scalzi's 2005 novel, Old Man's War. In a biological version, Joan Slonczewski's 2011 novel The Highest Frontier depicts a college student ascending a space elevator constructed of self-healing cables of anthrax bacilli. The engineered bacteria can regrow the cables when severed by space debris. Analemma Tower is an inhabitable variant of a space elevator, proposed as the 'tallest building in the world'. Physics Apparent gravitational field An Earth space elevator cable rotates along with the rotation of the Earth. Therefore, the cable, and objects attached to it, would experience upward centrifugal force in the direction opposing the downward gravitational force. The higher up the cable the object is located, the less the gravitational pull of the Earth, and the stronger the upward centrifugal force due to the rotation, so that more centrifugal force opposes less gravity. The centrifugal force and the gravity are balanced at geosynchronous equatorial orbit (GEO). Above GEO, the centrifugal force is stronger than gravity, causing objects attached to the cable there to pull upward on it. The net force for objects attached to the cable is called the apparent gravitational field. The apparent gravitational field for attached objects is the (downward) gravity minus the (upward) centrifugal force. The apparent gravity experienced by an object on the cable is zero at GEO, downward below GEO, and upward above GEO. The apparent gravitational field can be represented this way: where At some point up the cable, the two terms (downward gravity and upward centrifugal force) are equal and opposite. Objects fixed to the cable at that point put no weight on the cable. This altitude (r1) depends on the mass of the planet and its rotation rate. Setting actual gravity equal to centrifugal acceleration gives: This is above Earth's surface, the altitude of geostationary orbit. On the cable below geostationary orbit, downward gravity would be greater than the upward centrifugal force, so the apparent gravity would pull objects attached to the cable downward. Any object released from the cable below that level would initially accelerate downward along the cable. Then gradually it would deflect eastward from the cable. On the cable above the level of stationary orbit, upward centrifugal force would be greater than downward gravity, so the apparent gravity would pull objects attached to the cable upward. Any object released from the cable above the geosynchronous level would initially accelerate upward along the cable. Then gradually it would deflect westward from the cable. Cable section Historically, the main technical problem has been considered the ability of the cable to hold up, with tension, the weight of itself below any given point. The greatest tension on a space elevator cable is at the point of geostationary orbit, above the Earth's equator. This means that the cable material, combined with its design, must be strong enough to hold up its own weight from the surface up to . A cable which is thicker in cross section area at that height than at the surface could better hold up its own weight over a longer length. How the cross section area tapers from the maximum at to the minimum at the surface is therefore an important design factor for a space elevator cable. To maximize the usable excess strength for a given amount of cable material, the cable's cross section area would need to be designed for the most part in such a way that the stress (i.e., the tension per unit of cross sectional area) is constant along the length of the cable. The constant-stress criterion is a starting point in the design of the cable cross section area as it changes with altitude. Other factors considered in more detailed designs include thickening at altitudes where more space junk is present, consideration of the point stresses imposed by climbers, and the use of varied materials. To account for these and other factors, modern detailed designs seek to achieve the largest safety margin possible, with as little variation over altitude and time as possible. In simple starting-point designs, that equates to constant-stress. For a constant-stress cable with no safety margin, the cross-section-area as a function of distance from Earth's center is given by the following equation: where Safety margin can be accounted for by dividing T by the desired safety factor. Cable materials Using the above formula we can calculate the ratio between the cross-section at geostationary orbit and the cross-section at Earth's surface, known as taper ratio: The taper ratio becomes very large unless the specific strength of the material used approaches 48 (MPa)/(kg/m3). Low specific strength materials require very large taper ratios which equates to large (or astronomical) total mass of the cable with associated large or impossible costs. Structure There are a variety of space elevator designs proposed for many planetary bodies. Almost every design includes a base station, a cable, climbers, and a counterweight. For an Earth Space Elevator the Earth's rotation creates upward centrifugal force on the counterweight. The counterweight is held down by the cable while the cable is held up and taut by the counterweight. The base station anchors the whole system to the surface of the Earth. Climbers climb up and down the cable with cargo. Base station Modern concepts for the base station/anchor are typically mobile stations, large oceangoing vessels or other mobile platforms. Mobile base stations would have the advantage over the earlier stationary concepts (with land-based anchors) by being able to maneuver to avoid high winds, storms, and space debris. Oceanic anchor points are also typically in international waters, simplifying and reducing the cost of negotiating territory use for the base station. Stationary land-based platforms would have simpler and less costly logistical access to the base. They also would have the advantage of being able to be at high altitudes, such as on top of mountains. In an alternate concept, the base station could be a tower, forming a space elevator which comprises both a compression tower close to the surface, and a tether structure at higher altitudes. Combining a compression structure with a tension structure would reduce loads from the atmosphere at the Earth end of the tether, and reduce the distance into the Earth's gravity field the cable needs to extend, and thus reduce the critical strength-to-density requirements for the cable material, all other design factors being equal. Cable A space elevator cable would need to carry its own weight as well as the additional weight of climbers. The required strength of the cable would vary along its length. This is because at various points it would have to carry the weight of the cable below, or provide a downward force to retain the cable and counterweight above. Maximum tension on a space elevator cable would be at geosynchronous altitude so the cable would have to be thickest there and taper as it approaches Earth. Any potential cable design may be characterized by the taper factor – the ratio between the cable's radius at geosynchronous altitude and at the Earth's surface. The cable would need to be made of a material with a high tensile strength/density ratio. For example, the Edwards space elevator design assumes a cable material with a tensile strength of at least 100 gigapascals. Since Edwards consistently assumed the density of his carbon nanotube cable to be 1300 kg/m3, that implies a specific strength of 77 megapascal/(kg/m3). This value takes into consideration the entire weight of the space elevator. An untapered space elevator cable would need a material capable of sustaining a length of of its own weight at sea level to reach a geostationary altitude of without yielding. Therefore, a material with very high strength and lightness is needed. For comparison, metals like titanium, steel or aluminium alloys have breaking lengths of only 20–30 km (0.2–0.3 MPa/(kg/m3)). Modern fiber materials such as kevlar, fiberglass and carbon/graphite fiber have breaking lengths of 100–400 km (1.0–4.0 MPa/(kg/m3)). Nanoengineered materials such as carbon nanotubes and, more recently discovered, graphene ribbons (perfect two-dimensional sheets of carbon) are expected to have breaking lengths of 5000–6000 km (50–60 MPa/(kg/m3)), and also are able to conduct electrical power. For a space elevator on Earth, with its comparatively high gravity, the cable material would need to be stronger and lighter than currently available materials. For this reason, there has been a focus on the development of new materials that meet the demanding specific strength requirement. For high specific strength, carbon has advantages because it is only the 6th element in the periodic table. Carbon has comparatively few of the protons and neutrons which contribute most of the dead weight of any material. Most of the interatomic bonding forces of any element are contributed by only the outer few electrons. For carbon, the strength and stability of those bonds is high compared to the mass of the atom. The challenge in using carbon nanotubes remains to extend to macroscopic sizes the production of such material that are still perfect on the microscopic scale (as microscopic defects are most responsible for material weakness). As of 2014, carbon nanotube technology allowed growing tubes up to a few tenths of meters. In 2014, diamond nanothreads were first synthesized. Since they have strength properties similar to carbon nanotubes, diamond nanothreads were quickly seen as candidate cable material as well. Climbers A space elevator cannot be an elevator in the typical sense (with moving cables) due to the need for the cable to be significantly wider at the center than at the tips. While various designs employing moving cables have been proposed, most cable designs call for the "elevator" to climb up a stationary cable. Climbers cover a wide range of designs. On elevator designs whose cables are planar ribbons, most propose to use pairs of rollers to hold the cable with friction. Climbers would need to be paced at optimal timings so as to minimize cable stress and oscillations and to maximize throughput. Lighter climbers could be sent up more often, with several going up at the same time. This would increase throughput somewhat, but would lower the mass of each individual payload. The horizontal speed, i.e. due to orbital rotation, of each part of the cable increases with altitude, proportional to distance from the center of the Earth, reaching low orbital speed at a point approximately 66 percent of the height between the surface and geostationary orbit, or a height of about 23,400 km. A payload released at this point would go into a highly eccentric elliptical orbit, staying just barely clear from atmospheric reentry, with the periapsis at the same altitude as LEO and the apoapsis at the release height. With increasing release height the orbit would become less eccentric as both periapsis and apoapsis increase, becoming circular at geostationary level. When the payload has reached GEO, the horizontal speed is exactly the speed of a circular orbit at that level, so that if released, it would remain adjacent to that point on the cable. The payload can also continue climbing further up the cable beyond GEO, allowing it to obtain higher speed at jettison. If released from 100,000 km, the payload would have enough speed to reach the asteroid belt. As a payload is lifted up a space elevator, it would gain not only altitude, but horizontal speed (angular momentum) as well.
the entire Spawn series from the early issues once again (Spawn Origins Collection, see below). Spawn Collection Volume 1 – contains issues 1–8, 11–12 (December 2005) Spawn Collection Volume 2 – contains issues 13–33 (July 2006) Spawn Collection Volume 3 – contains issues 34–54 (March 2007) Spawn Collection Volume 4 – contains issues 55–75 (September 2007) Spawn Collection Volume 5 – contains issues 76–95 (April 2008) Spawn Collection Volume 6 – contains issues 96–116 (August 2008)Spawn Collection Volume 1 was ranked 17 in the top 100 graphic novels for December 2005 period, with pre-order sales of 3,227. Spawn Compendium In 2012, in celebration of Image Comics' then 20 years as a publisher and Spawn being one of their longest running titles, Spawn Compendium was released, reprinting Spawn issues #1–50 at 1136 pages in black and white, though this volume does not collect the individual issues' covers. The book went to a second printing in March 2016. A new edition of this volume, collected now in full color, was released in February 2021 with a different front cover art (from Spawn #95, and back cover art from Spawn #70). As with the previous edition, this book does not collect the individual issues' covers. Spawn Compendium 1 – collects Spawn issues #1–50 in black and white, 1136 pages () (2012). Spawn Compendium 1 Color – collects Spawn issues #1–50 in color, 1136 pages () (2021). Spawn Origins Collection In 2009, a line of newly redesigned and reformatted trade paperbacks was announced, replacing the Spawn Collection line (see above) and once again collecting the early issues of Spawn. These new trades feature new cover art by Greg Capullo, recreating classic Spawn covers. In addition to the 6 issue trade paperbacks, this line features three oversized 12–13 issue hardcovers, and two large 25-issue limited slipcased deluxe editions (which come in both a standard edition and a signed and numbered edition limited to 500 copies). The 12-issue hardcover edition of Volume One was the first to reprint both Issues 9 and 10, and the 25-issue deluxe editions did as well. Spawn Origins Collection Volume 20 trade paperback was the final volume released in 2014, collecting issues #117–122. In May 2019, a new edition of Spawn Origins Collection Volume 1 TPB (6th printing) was published at the low cover price of US$9.99. The book went back to press again for a seventh printing a few months later in September 2019. Spawn Origins Collection Volume 1 – collects issues #1–6 (May 2009) (sixth printing released in May 2019 at US$9.99 cover price) (seventh printing released in September 2019) Spawn Origins Collection Volume 2 – collects issues #7–9, 11–14 (July 2009) Spawn Origins Collection Volume 3 – collects issues #15–20 (December 2009) Spawn Origins Collection Volume 4 – collects issues #21–26 (January 2010) Spawn Origins Collection Volume 5 – collects issues #27–32 (May 2010) Spawn Origins Collection Volume 6 – collects issues #33–38 (July 2010) Spawn Origins Collection Volume 7 – collects issues #39–44 (September 2010) Spawn Origins Collection Volume 8 – collects issues #45–50 (November 2010) Spawn Origins Collection Volume 9 – collects issues #51–56 (February 2011) Spawn Origins Collection Volume 10 – collects issues #57–62 (March 2011) Spawn Origins Collection Volume 11 – collects issues #63–68 (June 2011) Spawn Origins Collection Volume 12 – collects issues #69–74 (September 2011) Spawn Origins Collection Volume 13 – collects issues #75–80 (January 2012) Spawn Origins Collection Volume 14 – collects issues #81–86 (March 2012) Spawn Origins Collection Volume 15 – collects issues #87–92 (June 2012) Spawn Origins Collection Volume 16 – collects issues #93–98 (September 2012) Spawn Origins Collection Volume 17 – collects issues #99–104 (February 2013) Spawn Origins Collection Volume 18 – collects issues #105–110 (May 2013) Spawn Origins Collection Volume 19 – collects issues #111–116 (September 2013) Spawn Origins Collection Volume 20 – collects issues #117–122 (February 2014) Deluxe Edition Spawn Origins Collection: Deluxe Edition Volume 1 – collects issues #1–25 Spawn Origins Collection: Deluxe Edition Volume 2 – collects issues #26–50 Spawn Origins Collection: Deluxe Edition Volume 3 – collects issues #51–75 Spawn Origins Collection: Deluxe Edition Volume 4 – collects issues #76–100 Hardcover Edition UK releases These releases were originally published in fifteen 5–6–issue volumes in the UK by Titan Books, with titles named by religious theme. The following books contained original series issues 1–82, with the exception of the previously mentioned Issue 10. Creation – contains issues 1–5 Evolution – contains issues 6–9 and 11 Revelation – contains issues 12–15 Escalation – contains issues 16–20 Confrontation – contains issues 21–25 Retribution – contains issues 26–30 Transformation – contains issues 31–36 Abduction – contains issues 37–42 Sanction – contains issues 43–48 Damnation – contains issues 49–53 Corruption – contains issues 54–58 Devastation – contains issues 59–64 Termination – contains issues 65–70 Resurrection – contains issues 71–76 Ascension – contains issues 77–82 South African releases Originally published by a South African publisher named Battle Axe Press in the early 1990s. Only the first 10 issues were published due to legal matters. The comic book prints were released on standard paper as opposed to the original glossy paper from Image comics. Spanish releases Published by Planeta DeAgostini / Planeta Cómic. 1 - Deuda con el Diablo (#140-144) - December 2005 2 - Aullido (#145-150) - December 2005 3 - La Promesa (#151-157) - December 2006 4 - Destruccion (#158-162) - April 2007 5 - Los que Oyen Voces (#163-168) - April 2008 6 - Tres Hermanos (#169-173) - January 2010 7 - El Monstruo de la Burbuja (#174-178) - May 2010 8 - La Batalla Interior (#179-184) - May 2010 9 - Fin del Juego 1 (#185-190) - July 2010 10 - Fin del Juego 2 (#191-196) - September 2010 11 - Spawn Resurrección (Spawn Resurrection, Spawn #251-255) - September 2017 Brazilian releases In the year of 1996 was published by Editora Abril Jovem the first 150 numbers of Spawn. There was other magazine named "A Maldição do Spawn" collecting only the first 12 numbers of Curse of Spawn. The arc 'Twist of Fate' was named "A Caçada ao Poderoso Chefão" (like 'The Hunt for the Powerful Kingpin') collecting the numbers 17, 18 and 19 of Curse of Spawn. There was too others mini-series magazines like Angela, Violator, Spawn Bible, Blood Feud, and the two encounters with Batman. This run of publications ended in the year of 2005. In the meantime, in the year of 2001, another publisher called Pandora Books released the edition named "Witchblade: Era das Trevas" (like 'The Dark Ages') with the encounter with the character Medieval Spawn. In the year of 2006 to 2008 Spawn changed the publisher (after 10 years of Editora Abril Jovem) and went to Editora Pixel Media. They released from the issue number 151 to 178. Besides that, they released on the format of trade paperback the edition of Spawn Armageddon, Spawn Godslayer and the first two editions of Spawn Origin. In the year of 2012 Spawn was released on the format of a special trade paperback by the publisher HQ Maniacs Editora (a.k.a. HQM), named "Spawn: Herança Maldita" (like 'Damn Inheritance' or 'Bad Seed' too), collecting numbers 179 to 184. In the beginning of year 2019 Todd McFarlane himself confirmed at social media that a new Brazilian publisher named New Order Editora will release Spawn from the number 251 to 255 and the special "Spawn: Resurrection". Related collected editions Spin-off trade paperback collections Several Spawn-related mini-series have been collected in trade paperback editions. Angela (later retitled Spawn: Angela's Hunt) – collects Neil Gaiman's Angela issues 1–3 and the 1995 one-shot. Spawn: Bloodfeud – collects Spawn: Bloodfeud 1–4 Hellspawn: The Ashley Wood Collection – collects Hellspawn issues 1–10, replaces pages from issue 10 originally drawn by Ben Templesmith with new art by Ashley Wood Spawn: The Undead – collects Spawn: The Undead issues 1–9 Medieval Spawn/Witchblade – collects Medieval Spawn/Witchblade 1–3 Sam & Twitch Book 1: Udaku – collects 1–8 of the Sam and Twitch spin off. Sam & Twitch: The Brian Michael Bendis Collection 1 – collects issues 1–9 Sam & Twitch: The Brian Michael Bendis Collection 2 – collects issues 10–19 Sam & Twitch: The Writer Violator vs. Badrock – collects Alan Moore's crossover miniseries issues 1–4 Shadows of Spawn Collection – collects the Spawn manga Spawn: Book of the Dead Released in both hardcover and softcover editions Alan Moore: Wild Worlds – collects Spawn/Wild C.A.T.S 1–4 One-shot editions Spawn: Blood and Shadows Spawn: Blood and Salvation Spawn: Simony Spawn: Architects of Fear Spawn: The Movie Spawn: The Book Of Souls ASIN: B0039ODNQW Spawn: Bible ASIN: B001M0G3NK Spawn Adult Coloring Book Spawn: Godslayer Spawn/Batman Batman/Spawn: War Devil Spawn & Batman: Inner Demons (Unreleased) Spawn/Savage Dragon: Newsstand edition of Savage Dragon issue 30 Angela Special Angela/Glory Glory/Angela Glory/Celestine Aria-Angela Blank & NoirSpin-off hardcover collection A few Spawn-related mini-series have been collected in HC editions. Spawn: The Dark Ages Complete Collection – collects Issues 1–28 Hellspawn: Complete Collection – collects Issues 1–16 Sam & Twitch: Complete Collection Volume 1 – collects Issues 1–12 Sam& Twitch : Complete Collection Volume 2 – collects Issues 13–24 Curse of the Spawn Most of the Curse of the Spawn – spin-off series has been collected in trade paperback editions. Curse of the Spawn: Book 1: Sacrifice of the Soul – issues 1–4 Curse of the Spawn: Book 2: Blood and Sutures – issues 5–8 Curse of the Spawn: Book 3: Shades of Grey – issues 9–11, 29 Curse of the Spawn: Book 4: Lost Values – issues 12–14, 22 The Best of Curse of the Spawn – contains issues 1–8, 12–16 and 20–29 without the coloring In other media Television Spawn made his animated debut in the HBO Todd McFarlane's Spawn in which Spawn is voiced by Keith David. The series won two Emmys (one in 1998 and another in 1999) and two Golden Reel Awards (1998/1999). In 2019, McFarlane revealed that there will be two animated shows based on the character, one for kids and the other for adults. Film In 1997, a film adaptation featured Michael Jai White as Spawn. As a result, White became the first African American to portray a major comic book superhero in a major motion picture. In early 2015, Todd McFarlane announced a new Spawn adaptation for the big screen. In February 2016 McFarlane confirmed he had completed the script for the film with a larger-than-normal page count because he's "putting in details for myself" in conjunction with his hopes to direct. In July 2017, it was officially confirmed that McFarlane would direct the film, which is being produced under Jason Blum's production company Blumhouse. In May 2018, it was reported that Jamie Foxx would portray the title character. In July 2018, the working title was revealed to be Tony Dynamite. In November 2019, the film restarted development due to the financial success of the R-rated comic book film Joker. In August 2021, it was revealed that Broken City screenwriter Brian Tucker had been hired to rewrite McFarlane's screenplay. Spawn appears in Ready Player One. He appears as an avatar fighting the forces of IOI on Planet Doom during the final battle. Video games Spawn has starred in several video games: Todd McFarlane's Spawn: The Video Game (1995) (SNES) Spawn: The Eternal (1997) (PlayStation) Spawn: The Ultimate (1997) (PlayStation, only released in Japan) Spawn (1999) (Game Boy Color) voiced by Scott Keck. Spawn: In the Demon's Hand (1999, 2000; Dreamcast, Arcade) voiced by Maurice Dean Wint. Spawn: Armageddon (2003; Xbox, PlayStation 2, and Nintendo GameCube) voiced by Kevin Michael Richardson. Soulcalibur II (2003; Xbox) voiced by Akio Otsuka in the Japanese version and by Kevin Michael Richardson in the English dub. Soulcalibur II HD Online (2013): (Xbox 360, PlayStation 3) Mortal Kombat 11 (2019; PlayStation 4, Xbox One, Nintendo Switch, Microsoft Windows) with Keith David reprising his role. Merchandising At the time of the release of the live action film, Spawn appeared in several commercials for Taco Bell. In 1994 McFarlane Toys released the first line of Spawn toys ever produced, in later years the series would include alternate timeframes and different takes on the classic characters with toyline series. Music The Dark Saga by Iced Earth is a concept album based upon the Spawn story. The cover of the album, by Greg Capullo and Todd McFarlane, depicts Spawn himself, though due to legal issues, Iced Earth could not use the names of the characters in the songs. References in other works Spawn has also been referenced or parodied in other forms of media, including: Spawn appeared in the Robot Chicken episode "Celebutard Mountain" voiced by Adam Talbot. The episode features a violin battle between Spawn and Malebolgia where Spawn performs a parody of the Charlie Daniels song "The Devil Went Down to Georgia". Malebolgia wins the battle despite being a terrible violinist and Spawn is subsequently enslaved. In The Powerpuff Girls episode "Super Zeroes", the main characters appear as superheroines that parody different comic book characters. Buttercup appears in a likeness of Spawn, the character being known as "Spore" in their universe. Her appearance is dark with a large cape and green eyes, and she gives herself the name "Mange". Even a parody of Malebolgia appears, giving her powers. A villain who appeared in the show World of Quest named General Ogun has a strong resemblance to Spawn. Reception Spawn was ranked 60th on Wizard magazine's list of the Top 200 Comic Book Characters of All Time, 50th on Empire magazine's list of The 50 Greatest Comic Book
Wood.Cy-Gor (1999) A six-issue spinoff miniseries.Spawn: The Undead (1999–2000) This series concentrates on Al Simmons. Unlike the original Spawn series, it was self-contained, single-issue stories. Written by Paul Jenkins it lasted 9 issues.Sam & Twitch (1999–2004) + A spin-off series following the criminal investigations of detectives Sam Burke and Twitch Williams. 26 issues.Case Files: Sam & Twitch (2003–2006) Cotinuation of Sam & Twitch. 25 issues.Sam & Twitch: The Writer (2010) A four-issue miniseries.Hellspawn (2000–2003) A relatively avant-garde spin-off comic inspired by Spawn. Darker and more atmospheric than Spawn, Hellspawn frequently dealt with the disturbing subject matter. It originally featured writer Brian Michael Bendis and artist Ashley Wood. It ran 16 issues.Spawn: Simony (2003) One-Shot. Published in 2003 by Semic of France, McFarlane allowed the creators (Jean-François Porchero and Alex Nikolavitch) to create an original Spawn tale without using Image comics.Shadows of Spawn (2005–2006) Recently released on American shores are three graphic novel compilations of the Spawn manga, known as Shadows of Spawn.Spawn Toysa nine-issue series of one-shots focus on Spawn toys.Spawn: Architects of Fear (2011) A prestige format one-shot released in February 2008. Written by Arthur Claire with artwork by Aleksi Briclot.Spawn: Blood and SalvationA prestige-format one-shot that concludes the story of Daniel Llanso, the Hellspawn featured in the first four issues of Curse of the Spawn.Spawn/Batman (1994) Intercompany crossover written by Frank Miller with art of Todd McFarlane. Considered as part of Spawn and Miller's Dark Knight universe canon. Batman-Spawn: War DevilContinuation of Spawn/Batman crossover, written by Doug Moench, Chuck Dixon, and Alan Grant and drawn by Klaus Janson.The Adventures of SpawnAt the San Diego Comic-Con (SDCC) '06 it was announced that a new take on the Spawn mythos was in the works. This new Spawn story is known as The Adventures of Spawn and as stated by Jon Goff, a moderator on the Spawn.com Message Board and McFarlane employee, it is a re-imagining of the Spawn story that is essentially a "What If?" universe that hearkens back to classic kid-friendly Saturday morning cartoons. The story takes place in a webcomic format and has been tied into the action figure world through McFarlane Toys' Spawn Series 30.MiseryAn future series announced by McFarlane about Cyan Fitzgerald and her titular alter-ego.Spawn-WitchbladeA four Issue mini-series centered in medieval times focusing on the Medieval Spawn and the wielder of the Witchblade of that time. A sequel to the 1993 series.Sam and Twitch True DetectivesAn eight-part mini-series focusing on Sam and Twitch which would tie in with the upcoming film.Spawn: ResurrectionA one-shot that takes place around the same time as Spawn 250 explaining how Al returned.Spawn Kills EveryoneA one-shot focusing on a chibi Spawn killing everyone.Spawn Kills Everyone Too!A four-part mini-series sequel to the one-shot Spawn Kills Everyone.Spawn's UniverseA one-shot issue that sets up the expand Spawn Universe titles.The Scorched An ongoing series that focuses on a team of rotating roster of heroes.King SpawnAn ongoing story starting Spawn against an old foe.Gunslinger SpawnA series that focuses on Gunslinger Spawn's adventures. Legal disputes Dispute with Neil Gaiman In 1993, McFarlane contracted Neil Gaiman to write Spawn #9. While doing so, Gaiman introduced the characters Cogliostro, Angela, and Medieval Spawn. All three characters were designed and co-created by Todd McFarlane and continued to be featured in the series after Gaiman's involvement, and some had tie-ins with McFarlane's toy company. Cogliostro had a prominent role in the live-action movie in 1997. McFarlane had agreed that Gaiman was a co-creator of the characters and paid him royalties for reprints, graphic novels, and action figures. After a few years, he ceased the payment of royalties and gave Gaiman notice that he owned all rights to the characters, citing the copyright notice from #9 and claimed that Gaiman's work had been work-for-hire and that McFarlane was the sole owner. In 2002, Gaiman filed suit against McFarlane and, in response, McFarlane counter-sued. Gaiman had partnered with Marvel Comics to form Marvels and Miracles, LLC, which bankrolled the lawsuit. The main goal was to determine the issue of ownership for another character Gaiman felt he had a stake in, Miracleman, which at the time McFarlane was believed to hold a sizable stake in after his buyout of the assets of Eclipse Comics. This issue was thrown out. Instead, the court chose to rule on the breach of contract issue, the rights of ownership and the copyrightability of the characters from Spawn #9. Several arguments were presented by McFarlane and all were rejected, leading to a sizable judgment against McFarlane and Image Comics. The matter went to appeal and the judgment was upheld in a 2003 decision. Gaiman's rights as co-creator and co-owner of Cogliostro, Angela, and Medieval Spawn were acknowledged. The court's view was that Gaiman and McFarlane's collaboration led to each contributing half of the work. Gaiman wrote the story while McFarlane illustrated the character; because of this, each held a 50% stake in the characters. Issue 9 was reprinted for the first time since the lawsuit was filed in the hardcover edition of Spawn Origins: Volume 1. In a reprint collection of the first twelve issues of Spawn, the contentious issue (along with Dave Sim's #10, featuring copyrighted character Cerebus) was excluded, but both issues have been reprinted in the hardcover and deluxe editions of Spawn Origins Collection: Volume 1, and the black & white 2012 (and the later 2021 color edition) softcover omnibus Spawn Compendium 1, collecting Spawn issues #1–50. In 2012, McFarlane and Gaiman settled their dispute, and Gaiman was given full ownership of the character Angela. Gaiman, in turn, sold all rights to the character to Marvel Comics. Tony Twist suit Todd McFarlane created a mob enforcer character named "Antonio 'Tony Twist' Twistelli", who McFarlane acknowledged was named after hockey player Tony Twist. Twist won a $15 million verdict in 2004 when a St. Louis, Missouri, jury found Todd McFarlane Productions had profited from Twist's likeness. The verdict was upheld after two appeals in June 2006, but the two later settled out of court for $5 million. Creative teams Writers Todd McFarlane (#'s 1–7, 12–15, 21–150, 185–current) (wrote #'s 201–219 under pseudonym Will Carlton) Brian Holguin (#'s 71–150, 185–190) David Hine (#'s 150–184) Jonathan David Goff (#'s 200–241, 297, 303-305) Paul Jenkins (#'s 251–254) Erik Larsen (#'s 259–266) Darragh Savage (#'s 276–282) Artists Todd McFarlane (#'s 1–15, 21–24, 26–34, 50, 195–196, 200, 300) Greg Capullo (#'s 16–20, 26–37, 39, 41, 43, 45, 47, 49–75, 78–100, 193, 200, 300-301) Angel Medina (#'s 101–139, 142–150) Philip Tan (#'s 150–164, 306-307) Brian Haberlin (#'s 166–173, 176–178, 180–184) Whilce Portacio (#'s 185–192, 194–195, 197) Erik Larsen (#'s 199, 258–266) (contributed uncredited inking work on #27) Szymon Kudranski (#'s 201–250, 256–257, 267–275, 283, 291-292) Jonboy Meyers (#'s 251–256) Jason Shawn Alexander (#'s 276–282, 284–290, 293-305) Carlo Barberi (#'s 311-Current) Guest writers Alan Moore (#'s 8, 37) (also wrote Spawn: Blood Feud prelude back-up story in #32) Neil Gaiman (#9) (also wrote a scene in #26 uncredited) Dave Sim (# 10) Frank Miller (#11) Grant Morrison (#'s 16–18) Andrew Grossenberg (#'s 19–20) Tom Orzechowski (#'s 19–20) Julia Simmons (#38) Steve Niles (#'s 105–106) Robert Kirkman (#200) Scott Snyder (#300) Guest artists Marc Silvestri (#'s 25, 200) Tony Daniel (#'s 38, 40, 42, 44, 46, 48) (also drew Spawn: Blood Feud prelude back-up story in #32) Dwayne Turner (#'s 76–77) Nat Jones (#'s 139–141) Lan Medina (#165) Bing Cansino (#'s 174–175) Mike Mayhew (#179) Rob Liefeld (#196) (contributed uncredited inking work on #11 along with Jim Lee) Khary Randolph (#198) Robert Kirkman (#200) Michael Golden (#200) J. Scott Campbell (#300) Jerome Opeña (#'s 300-301) Clayton Crain (#301) Ken Lashley (#'s 308-309) Jim Muniz (#310) Collected editions Many issues of Spawn have been gathered together in various trade paperbacks collections since the mid-nineties. The original US and UK trade releases contain issue 9, but not 10 (Cerebus' appearance). US releases Each containing four to five issues, the original Spawn trade paperbacks started in 1995 under a different trade cover design, going up to three volumes only. After the live-action 1997 movie, a new trade cover design was created, with Brent Ashe providing new covers for Books 1–7, and Ashley Wood for Books 8–12. These reissues were retitled with subtitles. The sequential trades stopped after Book 12, but several new volumes appeared in 2006–2008, collecting various story arcs. Beginning in 2009, a new series of volumes was released, collecting the "Endgame" storyline. From 2015 to 2020, with "Resurrection", "Satan Saga Wars", "Hell on Earth", "Dark Horror", "Enemy of The State", and "Vengeance" volumes, the trade paperbacks have started in sequential order again collecting issues #251–297. Book 1, "Beginnings", 1–5 Book 2, "Dark Discoveries", 6–9, 11 Book 3, "Book 3", 12–15 Book 4, "Book 4", 16–20 Book 5, "Death and Rebirth", 21–25 Book 6, "Pathway to Judgement", 26–30 Book 7, "Deadman's Touch", 31–34 Book 8, "Betrayal of Blood", 35–38 Book 9, "Urban Jungle", 39–42 Book 10, "Vengeance of the Dead", 43–47 Book 11, "Crossroads", 48–50 (50 is double-sized) Book 12, "Immortality", 51–54 Spawn: Capital Collection (January 1993) – contains issues 1–3 (note: this was a limited edition hardcover exclusively available from Capital City Distribution, and only 1200 copies were made) Spawn: The Armageddon Collection Part 1 – contains issues 150–155 Spawn: The Armageddon Collection Part 2 – contains issues 156–164 Spawn: The Complete Armageddon Collection – contains issues 150–164 Spawn: New Flesh Collection (December 2007) – contains issues 166–169, plus a short story from Image Holiday Special 2005 (note: Issue #165 wasn't included because it features the story of Mandarin Spawn) Spawn: Neo Noir – contains issues 170–175 Spawn: EndGame Volume 1 (June 2009) – contains issues 185–190, with some altered artwork Spawn: EndGame Volume 2 (April 2010) – contains issues 191–196, with some altered artwork Spawn: EndGame Collection (January 2011) – combines Endgame Vol 1 and 2 (issues 185–196 with some altered artwork) Spawn: New Beginnings Volume 1 (July 2011) – contains issues 201–206. Spawn: New Beginnings Volume 2 (March 2012) – contains issues 207–212. Spawn: Resurrection (November 2015) – contains Spawn: Resurrection #1 and issues 251–255. Spawn: Satan Saga Wars (June 21, 2016) – collects SPAWN #256–262 Spawn: Hell on Earth (September 20, 2017) – collects SPAWN #263–275 Spawn: Dark Horror (April 23, 2019) – collects SPAWN #276–283 Spawn: Enemy of The State (August 21, 2019) – collects SPAWN #284-290 Spawn: Vengeance (May 27, 2020) – collects SPAWN #291-297 Spawn Collection In 2005 the entire Spawn series began to appear in massive trade paperback releases under the title Spawn Collection, each containing (with the exception of Volume 1) approximately twenty issues. Released after the Gaiman lawsuit, these editions do not contain either Issue 9 (featuring the first appearance of Angela and Cogliostro, both created by Neil Gaiman) or Issue 10 (featuring Dave Sim's Cerebus).Spawn Collection Volumes 1 and 2 were published in both hardcover and trade paperback formats, while Volume 3 onward were only released as trade paperbacks. As of 2009, Spawn Collection Volume 1 is currently out of print, with its fourth printing released in June 2007. In 2009 it was announced that the Spawn Collection would end with Volume 6, to be replaced by a new TBP format that includes soft- and hardcover versions, reprinting the entire Spawn series from the early issues once again (Spawn Origins Collection, see below). Spawn Collection Volume 1 – contains issues 1–8, 11–12 (December 2005) Spawn Collection Volume 2 – contains issues 13–33 (July 2006) Spawn Collection Volume 3 – contains issues 34–54 (March 2007) Spawn Collection Volume 4 – contains issues 55–75 (September 2007) Spawn Collection Volume 5 – contains issues 76–95 (April 2008) Spawn Collection Volume 6 – contains issues 96–116 (August 2008)Spawn Collection Volume 1 was ranked 17 in the top 100 graphic novels for December 2005 period, with pre-order sales of 3,227. Spawn Compendium In 2012, in celebration of Image Comics' then 20 years as a publisher and Spawn being one of their longest running titles, Spawn Compendium was released, reprinting Spawn issues #1–50 at 1136 pages in black and white, though this volume does not collect the individual issues' covers. The book went to a second printing in March 2016. A new edition of this volume, collected now in full color, was released in February 2021 with a different front cover art (from Spawn #95, and back cover art from Spawn #70). As with the previous edition, this book does not collect the individual issues' covers. Spawn Compendium 1 – collects Spawn issues #1–50 in black and white, 1136 pages () (2012). Spawn Compendium 1 Color – collects Spawn issues #1–50 in color, 1136 pages () (2021). Spawn Origins Collection In 2009, a line of newly redesigned and reformatted trade paperbacks was announced, replacing the Spawn Collection line (see above) and once again collecting the early issues of Spawn. These new trades feature new cover art by Greg Capullo, recreating classic Spawn covers. In addition to the 6 issue trade paperbacks, this line features three oversized 12–13 issue hardcovers, and two large 25-issue limited slipcased deluxe editions (which come in both a standard edition and a signed and numbered edition limited to 500 copies). The 12-issue hardcover edition of Volume One was the first to reprint both Issues 9 and 10, and the 25-issue deluxe editions did as well. Spawn Origins Collection Volume 20 trade paperback was the final volume released in 2014, collecting issues #117–122. In May 2019, a new edition of Spawn Origins Collection Volume 1 TPB (6th printing) was published at the low cover price of US$9.99. The book went back to press again for a seventh printing a few months later in September 2019. Spawn Origins Collection Volume 1 – collects issues #1–6 (May 2009) (sixth printing released in May 2019 at US$9.99 cover price) (seventh printing released in September 2019) Spawn Origins Collection Volume 2 – collects issues #7–9, 11–14 (July 2009) Spawn Origins Collection Volume 3 – collects issues #15–20 (December 2009) Spawn Origins Collection Volume 4 – collects issues #21–26 (January 2010) Spawn Origins Collection Volume 5 – collects issues #27–32 (May 2010) Spawn Origins Collection Volume 6 – collects issues #33–38 (July 2010) Spawn Origins Collection Volume 7 – collects issues #39–44 (September 2010) Spawn Origins Collection Volume 8 – collects issues #45–50 (November 2010) Spawn Origins Collection Volume 9 – collects issues #51–56 (February 2011) Spawn Origins Collection Volume 10 – collects issues #57–62 (March 2011) Spawn Origins Collection Volume 11 – collects issues #63–68 (June 2011) Spawn Origins Collection Volume 12 – collects issues #69–74 (September 2011) Spawn Origins Collection Volume 13 – collects issues #75–80 (January 2012) Spawn Origins Collection Volume 14 – collects issues #81–86 (March 2012) Spawn Origins Collection Volume 15 – collects issues #87–92 (June 2012) Spawn Origins Collection Volume 16 – collects issues #93–98 (September 2012) Spawn Origins Collection Volume 17 – collects issues #99–104 (February 2013) Spawn Origins Collection Volume 18 – collects issues #105–110 (May 2013) Spawn Origins Collection Volume 19 – collects issues #111–116 (September 2013) Spawn Origins Collection Volume 20 – collects issues #117–122 (February 2014) Deluxe Edition Spawn Origins Collection: Deluxe Edition Volume 1 – collects issues #1–25 Spawn Origins Collection: Deluxe Edition Volume 2 – collects issues #26–50 Spawn Origins Collection: Deluxe Edition Volume 3 – collects issues #51–75 Spawn Origins Collection: Deluxe Edition Volume 4 – collects issues #76–100 Hardcover Edition UK releases These releases were originally published in fifteen 5–6–issue volumes in the UK by Titan Books, with titles named by religious theme. The following books contained original series issues 1–82, with the exception of the previously mentioned Issue 10. Creation – contains issues 1–5 Evolution – contains issues 6–9 and 11 Revelation – contains issues 12–15 Escalation – contains issues 16–20 Confrontation – contains issues 21–25 Retribution – contains issues 26–30 Transformation – contains issues 31–36 Abduction – contains issues 37–42 Sanction – contains issues 43–48 Damnation – contains issues 49–53 Corruption – contains issues 54–58 Devastation – contains issues 59–64 Termination – contains issues 65–70 Resurrection – contains issues 71–76 Ascension – contains issues 77–82 South African releases Originally published by a South African publisher named Battle Axe Press in the early 1990s. Only the first 10 issues were published due to legal matters. The comic book prints were released on standard paper as opposed to the original glossy paper from Image comics. Spanish releases Published by Planeta DeAgostini / Planeta Cómic. 1 - Deuda con el Diablo (#140-144) - December 2005 2 - Aullido (#145-150) - December 2005 3 - La Promesa (#151-157) - December 2006 4 - Destruccion (#158-162) - April 2007 5 - Los que Oyen Voces (#163-168) - April 2008 6 - Tres Hermanos (#169-173) - January 2010 7 - El Monstruo de la Burbuja (#174-178) - May 2010 8 - La Batalla Interior (#179-184) - May 2010 9 - Fin del Juego 1 (#185-190) - July 2010 10 - Fin del Juego 2 (#191-196) - September 2010 11 - Spawn Resurrección (Spawn Resurrection, Spawn #251-255) - September 2017 Brazilian releases In the year of 1996 was published by Editora Abril Jovem the first 150 numbers of Spawn. There was other magazine named "A Maldição do Spawn" collecting only the first 12 numbers of Curse of Spawn. The arc 'Twist of Fate' was named "A Caçada ao Poderoso Chefão" (like 'The Hunt for the Powerful Kingpin') collecting the numbers 17, 18 and 19 of Curse of Spawn. There was too others mini-series magazines like Angela, Violator, Spawn Bible, Blood Feud, and the two encounters with Batman. This run of publications ended in the year of 2005. In the meantime, in the year of 2001, another publisher called Pandora Books released the edition named "Witchblade: Era das Trevas" (like 'The Dark Ages') with the encounter with the character Medieval Spawn. In the year of 2006 to 2008 Spawn changed the publisher (after 10 years of Editora Abril Jovem) and went to Editora Pixel Media. They released from the issue number 151 to 178. Besides that, they released on the format of trade paperback the edition of Spawn Armageddon, Spawn Godslayer and the first two editions of Spawn Origin. In the year of 2012 Spawn was released on the format of a special trade paperback by the publisher HQ Maniacs Editora (a.k.a. HQM), named "Spawn: Herança Maldita" (like 'Damn Inheritance' or 'Bad Seed' too), collecting numbers 179 to 184. In the beginning of year 2019 Todd McFarlane himself confirmed at social media that a new Brazilian publisher named New Order Editora will release Spawn from the number 251 to 255 and the special "Spawn: Resurrection". Related collected editions Spin-off trade paperback collections Several Spawn-related mini-series have been collected in trade paperback editions. Angela (later retitled Spawn: Angela's Hunt) – collects Neil Gaiman's Angela issues 1–3 and the 1995 one-shot. Spawn: Bloodfeud – collects Spawn: Bloodfeud 1–4 Hellspawn: The Ashley Wood Collection – collects Hellspawn issues 1–10, replaces pages from issue 10 originally drawn by Ben Templesmith with new art by Ashley Wood Spawn: The Undead – collects Spawn: The Undead issues 1–9 Medieval Spawn/Witchblade – collects Medieval Spawn/Witchblade 1–3 Sam & Twitch Book 1: Udaku – collects 1–8 of the Sam and Twitch spin off. Sam & Twitch: The Brian Michael Bendis Collection 1 – collects issues 1–9 Sam & Twitch: The Brian Michael Bendis Collection 2 – collects issues 10–19 Sam & Twitch: The Writer Violator vs. Badrock – collects Alan Moore's crossover miniseries issues 1–4 Shadows of Spawn Collection – collects the Spawn manga Spawn: Book of the Dead Released in both hardcover and softcover editions Alan Moore: Wild Worlds – collects Spawn/Wild C.A.T.S 1–4 One-shot editions Spawn: Blood and Shadows Spawn: Blood and Salvation Spawn: Simony Spawn: Architects of Fear Spawn: The Movie Spawn: The Book Of Souls ASIN: B0039ODNQW Spawn: Bible ASIN: B001M0G3NK Spawn Adult Coloring Book Spawn: Godslayer Spawn/Batman Batman/Spawn: War Devil Spawn & Batman: Inner Demons (Unreleased) Spawn/Savage Dragon: Newsstand edition of Savage Dragon issue 30 Angela Special Angela/Glory Glory/Angela Glory/Celestine Aria-Angela Blank & NoirSpin-off hardcover collection A few Spawn-related mini-series have been collected in HC editions.
Language, a Microsoft fore-runner to Web Services Description Language Scene Description Language, used by POV-Ray Structure Definition Language of OpenVMS Security Development Lifecycle, a software development process Organizations Party of the Democratic Left (Slovakia) (SDĽ, 1990–2004) Former Party of the Democratic Left (Czech Republic) Party of the Democratic Left (2005), SDĽ, Slovakia Scottish Defence League, a far-right anti-Muslim organisation Social Democratic League of
of OpenVMS Security Development Lifecycle, a software development process Organizations Party of the Democratic Left (Slovakia) (SDĽ, 1990–2004) Former Party of the Democratic Left (Czech Republic) Party of the Democratic Left (2005), SDĽ, Slovakia Scottish Defence League, a
Active Directory as a member, though not as a domain controller. Subsequent point-releases to 3.0 have added minor new features. Currently, the latest release in this series is 3.0.37, released 1 October 2009, and shipped on a voluntary basis. The 3.0.x series officially reached end-of-life on 5 August 2009. Version 3.1 was used only for development. With version 3.2, the project decided to move to time-based releases. New major releases, such as 3.3, 3.4, etc. will appear every six months. New features will only be added when a major release is done, point-releases will be only for bug fixes. Also, 3.2 marked a change of license from GPL2 to GPL3, with some parts released under LGPL3. The main technical change in version 3.2 was to autogenerate much of the DCE/RPC-code that used to be handcrafted. Version 3.2.0 was released on 1 July 2008. and its current release is 3.2.15 from 1 October 2009. The 3.2.x series officially reached end-of-life on 1 March 2010. Security Some versions of Samba 3.6.3 and lower suffer serious security issues which can allow anonymous users to gain root access to a system from an anonymous connection, through the exploitation of an error in Samba's remote procedure call. On 12 April 2016, Badlock, a crucial security bug in Windows and Samba, was disclosed. Badlock for Samba is referenced by (SAMR and LSA man in the middle attacks possible). On 24 May 2017, it was announced that a remote code execution vulnerability had been found in Samba named EternalRed or SambaCry, affecting all versions since 3.5.0. This vulnerability was assigned identifier . On 14 September 2020, a proof-of-concept exploit for the netlogon vulnerability called Zerologon () for which a patch exists since August was published. Some federal agencies using the software have been ordered to install the patch. Features Samba allows file and print sharing between computers running Microsoft Windows and computers running Unix. It is an implementation of dozens of services and a dozen protocols, including: NetBIOS over TCP/IP (NBT) SMB (known as CIFS in some versions) Samba supports POSIX extensions for CIFS/SMB. The initial extension was CIFS VFS (CAP_UNIX) from 2004, which has been somewhat superseded by SMB3. DCE/RPC or more specifically, MSRPC, the Network Neighborhood suite of protocols A WINS server also known as a NetBIOS Name Server (NBNS) The NT Domain suite of protocols which includes NT Domain Logons Security Account Manager (SAM) database Local Security Authority (LSA) service NT-style printing service (SPOOLSS) NTLM Active Directory Logon using modified versions of Kerberos and LDAP DFS server All these services and protocols are frequently incorrectly referred to as just NetBIOS or SMB. The NBT (NetBIOS over TCP/IP) and WINS protocols, and their underlying SMB version 1 protocol, are deprecated on Windows. Since Windows Vista the WS-Discovery protocol has been included along with SMB2 and its successors, which supersede these. (WS-Discovery is implemented on Unix-like platforms by third party daemons which allow Samba shares to be discovered when the deprecated protocols are disabled). Samba sets up network shares for chosen Unix directories (including all contained subdirectories). These appear to Microsoft Windows users as normal Windows folders accessible via the network. Unix users can either mount the shares directly as part of their file structure using the mount.cifs command or, alternatively, can use a utility, smbclient (libsmb) installed with Samba to read the shares with a similar interface to a standard command line FTP program. Each directory can have different access privileges overlaid on top of the normal Unix file protections. For example: home directories would have read/write access for all known users, allowing each to access their own files. However they would still not have access to the files of others unless that permission would normally exist. Note that the netlogon share, typically distributed as a read only share from /etc/samba/netlogon, is the logon directory for user logon scripts. Samba services are implemented as two daemons: smbd, which provides the file and printer sharing services, and nmbd, which provides the NetBIOS-to-IP-address name service. NetBIOS over TCP/IP requires some method for mapping NetBIOS computer
3.2.0 was released on 1 July 2008. and its current release is 3.2.15 from 1 October 2009. The 3.2.x series officially reached end-of-life on 1 March 2010. Security Some versions of Samba 3.6.3 and lower suffer serious security issues which can allow anonymous users to gain root access to a system from an anonymous connection, through the exploitation of an error in Samba's remote procedure call. On 12 April 2016, Badlock, a crucial security bug in Windows and Samba, was disclosed. Badlock for Samba is referenced by (SAMR and LSA man in the middle attacks possible). On 24 May 2017, it was announced that a remote code execution vulnerability had been found in Samba named EternalRed or SambaCry, affecting all versions since 3.5.0. This vulnerability was assigned identifier . On 14 September 2020, a proof-of-concept exploit for the netlogon vulnerability called Zerologon () for which a patch exists since August was published. Some federal agencies using the software have been ordered to install the patch. Features Samba allows file and print sharing between computers running Microsoft Windows and computers running Unix. It is an implementation of dozens of services and a dozen protocols, including: NetBIOS over TCP/IP (NBT) SMB (known as CIFS in some versions) Samba supports POSIX extensions for CIFS/SMB. The initial extension was CIFS VFS (CAP_UNIX) from 2004, which has been somewhat superseded by SMB3. DCE/RPC or more specifically, MSRPC, the Network Neighborhood suite of protocols A WINS server also known as a NetBIOS Name Server (NBNS) The NT Domain suite of protocols which includes NT Domain Logons Security Account Manager (SAM) database Local Security Authority (LSA) service NT-style printing service (SPOOLSS) NTLM Active Directory Logon using modified versions of Kerberos and LDAP DFS server All these services and protocols are frequently incorrectly referred to as just NetBIOS or SMB. The NBT (NetBIOS over TCP/IP) and WINS protocols, and their underlying SMB version 1 protocol, are deprecated on Windows. Since Windows Vista the WS-Discovery protocol has been included along with SMB2 and its successors, which supersede these. (WS-Discovery is implemented on Unix-like platforms by third party daemons which allow Samba shares to be discovered when the deprecated protocols are disabled). Samba sets up network shares for chosen Unix directories (including all contained subdirectories). These appear to Microsoft Windows users as normal Windows folders accessible via the network. Unix users can either mount the shares directly as part of their file structure using the mount.cifs command or, alternatively, can use a utility, smbclient (libsmb) installed with Samba to read the shares with a similar interface to a standard command line FTP program. Each directory can have different access privileges overlaid on top of the normal Unix file protections. For example: home directories would have read/write access for all known users, allowing each to access their own files. However they would still not have access to the files of others unless that permission would normally exist. Note that the netlogon share, typically distributed as a read only share from /etc/samba/netlogon, is the logon directory for user logon scripts. Samba services are implemented as two daemons: smbd, which provides the file and printer sharing services, and nmbd, which provides the NetBIOS-to-IP-address name service. NetBIOS over TCP/IP requires some method for mapping NetBIOS computer names to the IP addresses of a TCP/IP network. Samba configuration is achieved by editing a single file (typically installed as /etc/smb.conf or /etc/samba/smb.conf). Samba can also provide user logon scripts and group policy implementation through poledit. Samba is included in most Linux distributions and is started during the boot process. On Red Hat, for instance, the /etc/rc.d/init.d/smb script runs at boot time, and starts both daemons. Samba is not included in Solaris 8, but a Solaris 8-compatible version is available from the Samba website. The OS/2-based ArcaOS includes Samba to replace the old IBM LAN Server software. Samba includes a web administration tool called Samba Web Administration Tool (SWAT). SWAT was removed starting with version 4.1. Samba TNG Samba TNG (The Next Generation) was forked in late 1999, after disagreements between the Samba Team leaders
hardware-accelerated 2D graphics, and better Unicode support. Support for Mir and Wayland was added in SDL 2.0.2 and enabled by default in SDL 2.0.4. Version 2.0.4 also provided better support for Android. Software architecture SDL is a wrapper around the operating-system-specific functions that the game needs to access. The only purpose of SDL is to provide a common framework for accessing these functions for multiple operating systems (cross-platform). SDL provides support for 2D pixel operations, sound, file access, event handling, timing and threading. It is often used to complement OpenGL by setting up the graphical output and providing mouse and keyboard input, since OpenGL comprises only rendering. A game using the Simple DirectMedia Layer will not automatically run on every operating system; further adaptations must be applied. These are reduced to the minimum, since SDL also contains a few abstraction APIs for frequent functions offered by an operating system. The syntax of SDL is function-based: all operations done in SDL are done by passing parameters to subroutines (functions). Special structures are also used to store the specific information SDL needs to handle. SDL functions are categorized under several different subsystems. Subsystems SDL is divided into several subsystems: Basics Initialization and Shutdown, Configuration Variables, Error Handling, Log Handling Video Display and Window Management, surface functions, rendering acceleration, etc. Input Events Event handling, Support for Keyboard, Mouse, Joystick and Game controller Force Feedback SDL_haptic.h implements support for "Force Feedback" Audio SDL_audio.h implements Audio Device Management, Playing and Recording Threads multi-threading: Thread Management, Thread Synchronization Primitives, Atomic Operations Timers Timer Support File Abstraction Filesystem Paths, File I/O Abstraction Shared Object Support Shared Object Loading and Function Lookup Platform and CPU Information Platform Detection, CPU Feature Detection, Byte Order and Byte Swapping, Bit Manipulation Power Management Power Management Status Additional Platform-specific functionality Besides this basic, low-level support, there also are a few separate official libraries that provide some more functions. These comprise the "standard library", and are provided on the official website and included in the official documentation: SDL_image — support for multiple image formats SDL_mixer — complex audio functions, mainly for sound mixing SDL_net — networking support SDL_ttf — TrueType font rendering support SDL_rtf — simple Rich Text Format rendering Other, non-standard libraries also exist. For example: SDL_Collide on SourceForge created by Amir Taaki. Language bindings The SDL 2.0 library has language bindings for: Ada Beef C C++ C# D Fortran Genie Go Haskell Java (e.g. JSDL) Julia Lua Nim OCaml Pascal Perl (via SDL) PHP Python (several, e.g. pygame_sdl2 and sdl2hl) Raku Ring Rust Vala Common Lisp Supported back-ends Because of the way SDL is designed, much of its source code is split into separate modules for each operating system, to make calls to the underlying system. When SDL is compiled, the appropriate modules are selected for the target system. The following back-ends are available: GDI back-end for Microsoft Windows. DirectX back-end; older SDL 1.2 uses DirectX 7 by default, while 2.0 defaults to DirectX 9 and can access up to DirectX 11. Quartz back-end for macOS (dropped in 2.0). Metal back-end for macOS / iOS / tvOS since 2.0.8; older versions use OpenGL by default. Xlib back-end for X11-based windowing system on various operating systems. OpenGL contexts on various
company. Lantinga announced the stable release of SDL 2.0.0 on 13 August 2013. SDL 2.0 is a major update to the SDL 1.2 codebase with a different, not backwards-compatible API. It replaces several parts of the 1.2 API with more general support for multiple input and output options. Some feature additions include multiple window support, hardware-accelerated 2D graphics, and better Unicode support. Support for Mir and Wayland was added in SDL 2.0.2 and enabled by default in SDL 2.0.4. Version 2.0.4 also provided better support for Android. Software architecture SDL is a wrapper around the operating-system-specific functions that the game needs to access. The only purpose of SDL is to provide a common framework for accessing these functions for multiple operating systems (cross-platform). SDL provides support for 2D pixel operations, sound, file access, event handling, timing and threading. It is often used to complement OpenGL by setting up the graphical output and providing mouse and keyboard input, since OpenGL comprises only rendering. A game using the Simple DirectMedia Layer will not automatically run on every operating system; further adaptations must be applied. These are reduced to the minimum, since SDL also contains a few abstraction APIs for frequent functions offered by an operating system. The syntax of SDL is function-based: all operations done in SDL are done by passing parameters to subroutines (functions). Special structures are also used to store the specific information SDL needs to handle. SDL functions are categorized under several different subsystems. Subsystems SDL is divided into several subsystems: Basics Initialization and Shutdown, Configuration Variables, Error Handling, Log Handling Video Display and Window Management, surface functions, rendering acceleration, etc. Input Events Event handling, Support for Keyboard, Mouse, Joystick and Game controller Force Feedback SDL_haptic.h implements support for "Force Feedback" Audio SDL_audio.h implements Audio Device Management, Playing and Recording Threads multi-threading: Thread Management, Thread Synchronization Primitives, Atomic Operations Timers Timer Support File Abstraction Filesystem Paths, File I/O Abstraction Shared Object Support Shared Object Loading and Function Lookup Platform and CPU Information Platform Detection, CPU Feature Detection, Byte Order and Byte Swapping, Bit Manipulation Power Management Power Management Status Additional Platform-specific functionality Besides this basic, low-level support, there also are a few separate official libraries that provide some more functions. These comprise the "standard library", and are provided on the official website and included in the official documentation: SDL_image — support for multiple image formats SDL_mixer — complex audio functions, mainly for sound mixing SDL_net — networking support SDL_ttf — TrueType font rendering support SDL_rtf — simple Rich Text Format rendering Other, non-standard libraries also exist. For example: SDL_Collide on SourceForge created by Amir Taaki. Language bindings The SDL 2.0 library has language bindings for: Ada Beef C C++ C# D Fortran Genie Go Haskell Java (e.g. JSDL) Julia Lua Nim OCaml Pascal Perl (via SDL) PHP Python (several, e.g. pygame_sdl2 and sdl2hl) Raku Ring Rust Vala Common Lisp Supported back-ends Because of the way SDL is designed, much of its source code is split into separate modules for each operating system, to make calls to the underlying system. When SDL is compiled, the appropriate modules are selected for the target system. The following back-ends are available: GDI back-end for Microsoft Windows. DirectX back-end; older SDL 1.2 uses DirectX 7 by default, while 2.0 defaults to DirectX 9 and can access up to DirectX 11. Quartz back-end for macOS (dropped in 2.0). Metal back-end for macOS / iOS / tvOS since 2.0.8; older versions use OpenGL by
campus in 1999. In 2009, SU completed its largest capital campaign, raising almost $169 million. This led to investment in the scholarship fund, academic programs and professorships, a fitness complex, an arts center, and the $56 million Lemieux Library and McGoldrick Learning Commons, completed in fall 2010. Campus Seattle University has a campus in the city's First Hill neighborhood, east of downtown Seattle. The SU campus has been recognized by the city of Seattle and EPA for its commitment to sustainability through pesticide-free grounds, a food waste compost facility, recycling, and energy conservation program. The Chapel of St. Ignatius on campus, designed by New York architect Steven Holl, won a national Honor Award from the American Institute of Architects in 1998. At night the chapel sends beacons of multi-colored lights out onto the campus. The campus includes numerous works by well-known artists: the Centennial Fountain by Seattle artist George Tsutakawa; a large glass sculpture in the PACCAR Atrium of Piggot Hall by Tacoma artist Dale Chihuly; and works by Chuck Close, Jacob Lawrence, Gwendolyn Knight, William Morris, and David Mach. Undergraduate enrollment in 2014 showed some ethnic diversity: 55.7% White, 23.4% Asian, 11.0% Hispanic, 10.7% other (international), 4.5% Black, 3.3% Pacific Islander, 1.6% Native American; some dual mention. Lemieux Library and McGoldrick Learning Commons The Lemieux Library was founded in 1991. it contained 216,677 books and subscribed to 1,604 periodicals. It is a member of the American Theological Library Association. Academics Seattle University offers 65 bachelor's degree programs, 31 graduate degree programs, and 27 certificate programs, plus law school and a doctoral program in education. The university consists of eight colleges: the College of Arts and Sciences, the Albers School of Business and Economics, the College of Education, the School of Law, the College of Nursing, the College of Science and Engineering, the School of New and Continuing Studies, and the School of Theology and Ministry. A Seattle University education is estimated to cost $150,000, although much of this is covered by financial aid. Albers School of Business and Economics Seattle University's Albers School of Business and Economics, started in 1945, was named after the Albers family. George and Eva Albers were frequent donors including Eva's bequest of $3 million to the school in 1971. Their daughter, alumna Genevieve Albers, has also made several bequests including a sponsored professorship. In 1967, the business school added an MBA program. The Albers School is accredited with the Association to Advance Collegiate Schools of Business (AACSB). College of Arts and Sciences The Seattle University College of Arts and Sciences is the oldest and largest undergraduate and graduate college affiliated with Seattle University. The college offers 41 undergraduate majors, 36 undergraduate minors, six graduate degrees, and one post-graduate certificate. Its graduate program in psychology is one of the few schools in the country to focus on existential phenomenology as a therapeutic method. School of Law Seattle University School of Law was founded in 1972 as part of the University of Puget Sound (UPS) in Tacoma, WA. In 1993 the University of Puget Sound and Seattle University agreed on a transfer of the law school to Seattle University; in August 1994 the transfer was completed and the school physically moved to the Seattle University campus in 1999. The 2019 U.S. News & World Report Law School rankings lists the school at number 122 in the nation overall, adding that the school has the number one legal writing program in the nation as well as top-20 rankings for its part-time program and its clinical programs. College of Nursing Seattle University's College of Nursing celebrated its 75th anniversary in 2010. It is housed in the renovated Garrand building, the site of the original Seattle College and the oldest building on campus. The "state of the art" Clinical Performance Lab is located in the James Tower of Swedish on Cherry Hill, a few blocks away from the main campus. Undergraduate and graduate students use this lab to practice skills necessary for clinical nursing. The BSN program accepts transfer students from community colleges and other universities. The MSN program welcomes registered nurses with bachelor's degrees. The Advanced Practice Nursing Immersion program (MSN) offers an accelerated program for those with a bachelor's degree in another field. College of Education The College of Education was founded in 1935. It is accredited by the National Council of Accreditation of Teacher Education and the National Association of School Psychologists and approved by the National Association of School Psychologists. College of Science & Engineering The College of Science and Engineering focuses on basic sciences, mathematics, and their applications. Students can major in basic science disciplines, computer science, or one of the engineering departments – civil and environmental engineering, mechanical engineering, or computer and electrical engineering.
bequest of $3 million to the school in 1971. Their daughter, alumna Genevieve Albers, has also made several bequests including a sponsored professorship. In 1967, the business school added an MBA program. The Albers School is accredited with the Association to Advance Collegiate Schools of Business (AACSB). College of Arts and Sciences The Seattle University College of Arts and Sciences is the oldest and largest undergraduate and graduate college affiliated with Seattle University. The college offers 41 undergraduate majors, 36 undergraduate minors, six graduate degrees, and one post-graduate certificate. Its graduate program in psychology is one of the few schools in the country to focus on existential phenomenology as a therapeutic method. School of Law Seattle University School of Law was founded in 1972 as part of the University of Puget Sound (UPS) in Tacoma, WA. In 1993 the University of Puget Sound and Seattle University agreed on a transfer of the law school to Seattle University; in August 1994 the transfer was completed and the school physically moved to the Seattle University campus in 1999. The 2019 U.S. News & World Report Law School rankings lists the school at number 122 in the nation overall, adding that the school has the number one legal writing program in the nation as well as top-20 rankings for its part-time program and its clinical programs. College of Nursing Seattle University's College of Nursing celebrated its 75th anniversary in 2010. It is housed in the renovated Garrand building, the site of the original Seattle College and the oldest building on campus. The "state of the art" Clinical Performance Lab is located in the James Tower of Swedish on Cherry Hill, a few blocks away from the main campus. Undergraduate and graduate students use this lab to practice skills necessary for clinical nursing. The BSN program accepts transfer students from community colleges and other universities. The MSN program welcomes registered nurses with bachelor's degrees. The Advanced Practice Nursing Immersion program (MSN) offers an accelerated program for those with a bachelor's degree in another field. College of Education The College of Education was founded in 1935. It is accredited by the National Council of Accreditation of Teacher Education and the National Association of School Psychologists and approved by the National Association of School Psychologists. College of Science & Engineering The College of Science and Engineering focuses on basic sciences, mathematics, and their applications. Students can major in basic science disciplines, computer science, or one of the engineering departments – civil and environmental engineering, mechanical engineering, or computer and electrical engineering. Students may also obtain an interdisciplinary general science degree, or prepare for graduate work in the health professions. Environmental sustainability Among Seattle University's many environmental undertakings, there are projects ranging from composting initiatives to water conservation. There are also solar panels on buildings, and a central recycling yard with an extensive recycling program. The university has been composting since 1995, and in 2003 it built the first composting facility in the state on an urban campus. SU received the Sustainability Innovator Award in 2007 from the Sustainable Endowments Institute for its pre-consumer food waste composting program and the Green Washington Award in 2008 from Washington CEO Magazine for its sustainable landscape practices and pre-consumer food waste composting program. The Princeton Review's 2018 Green Rating rated the school as the #12 Green College in the country. SU's move to a pesticide-free campus began in the early 1980s when Ciscoe Morris, now a local gardening personage, was head of the grounds department. He put a halt to chemical spraying and in its place released more than 20,000 beneficial insects called lacewings to eat the aphids that had infested trees on campus. The success of this led to other pesticide-free gardening practices. Athletics Between 1950 and 1971, Seattle University competed as a Division I independent school. In the 1950s, the basketball team was a powerhouse with brothers Johnny and Eddie O'Brien, who led the team to a rare victory over the Harlem Globetrotters. In 1958, future NBA Hall of Famer Elgin Baylor paced a men's basketball team that advanced to the Final Four and defeated top-ranked Kansas State University before losing to the University of Kentucky. Seattle University was also a leader in the area of racial diversity, with an integrated squad known as "the United Nations team." The success of men's basketball, in addition to men's golf and baseball, continued into the 1960s with players Eddie Miles, Clint Richardson, and Tom Workman who went on to successful careers in the NBA. The 1966 basketball squad gave Texas Western University its only defeat in a championship season celebrated in the film Glory Road. During that time women's tennis star Janet Hopps Adkisson was the first female to be the top-ranked player for both the men and women nationally. In women's golf, Pat Lesser was twice named to the Curtis Cup in the mid-1950s and was later inducted into the State of Washington Sports Hall of Fame. Before 1980, more than 25 SU baseball players went on to play professionally in both the
Time magazine's Community College of the Year in 2001. In March 2014, the Board of Trustees voted unanimously to change the name from Seattle Community Colleges District to Seattle Colleges District and to change the names of the colleges to Seattle Central College, North Seattle College and South Seattle College. In 2018 Seattle Colleges partnered with the city of Seattle and Seattle Public Schools to launch Seattle Promise, a tuition covering program that aims to expand college access, success, and completion. Seattle Promise was part of the Families and Education Levy passed by citizens of Seattle during the local election of November 2018. Seattle Promise offers graduating seniors of Seattle public schools paid tuition for up to two years or 90 credits as well as academic support and advising when they attend Seattle Colleges. Leadership and Governance The chief executive officer of Seattle Colleges District is the chancellor. Presidents of each of the three colleges comprising Seattle Colleges—North Seattle College, Seattle Central College, South Seattle College—report to the chancellor. Seattle Colleges is governed by a board of trustees appointed by the governor and approved by the state Senate. Chancellors Since 2000 2016–present - Dr. Shouan Pan 2009-2016 - Dr. Jill Wakefield 2003-2008 - Dr. Charles Mitchell 1998-2003 - Dr. Peter Ku Programs of Study Seattle Colleges offers more than 130 career and technical education programs of study that result in certificates and associate degrees, as well as a number of Bachelor of Applied Science degrees and college transfer options. The colleges also offer continuing education programs; concurrent high school enrollment and high school
Community College of the Year in 2001. In March 2014, the Board of Trustees voted unanimously to change the name from Seattle Community Colleges District to Seattle Colleges District and to change the names of the colleges to Seattle Central College, North Seattle College and South Seattle College. In 2018 Seattle Colleges partnered with the city of Seattle and Seattle Public Schools to launch Seattle Promise, a tuition covering program that aims to expand college access, success, and completion. Seattle Promise was part of the Families and Education Levy passed by citizens of Seattle during the local election of November 2018. Seattle Promise offers graduating seniors of Seattle public schools paid tuition for up to two years or 90 credits as well as academic support and advising when they attend Seattle Colleges. Leadership and Governance The chief executive officer of Seattle Colleges District is the chancellor. Presidents of each of the three colleges comprising Seattle Colleges—North Seattle College, Seattle Central College, South Seattle College—report to the chancellor. Seattle Colleges is governed by a board of trustees appointed by the governor and approved by the state Senate. Chancellors Since 2000 2016–present - Dr. Shouan Pan 2009-2016 - Dr. Jill Wakefield 2003-2008 - Dr. Charles Mitchell 1998-2003 - Dr. Peter Ku Programs of Study Seattle Colleges offers more than 130 career and technical education programs of study that result in certificates and associate
little to help the hordes of newcomers, much of which was done by residents of the area. College and high-school students began streaming into the Haight during the spring break of 1967 and the local government officials, determined to stop the influx of young people once schools ended for the summer, unwittingly brought additional attention to the scene, and a series of articles in local papers alerted the national media to the hippies' growing numbers. By spring, some Haight-Ashbury residents responded by forming the Council of the Summer of Love, giving the event a name. Popularization The media's coverage of hippie life in the Haight-Ashbury drew the attention of youth from all over America. Hunter S. Thompson termed the district "Hashbury" in The New York Times Magazine, and the activities in the area were reported almost daily. The event was also reported by the counterculture's own media, particularly the San Francisco Oracle, the pass-around readership of which is thought to have exceeded a half-million people that summer, and the Berkeley Barb. The media's reportage of the "counterculture" included other events in California, such as the Fantasy Fair and Magic Mountain Music Festival in Marin County and the Monterey Pop Festival, both during June 1967. At Monterey, approximately 30,000 people gathered for the first day of the music festival, with the number increasing to 60,000 on the final day. Additionally, media coverage of the Monterey Pop Festival facilitated the Summer of Love as large numbers of hippies traveled to California to hear favorite bands such as The Who, Grateful Dead, the Animals, Jefferson Airplane, Quicksilver Messenger Service, The Jimi Hendrix Experience, Otis Redding, The Byrds, and Big Brother and the Holding Company featuring Janis Joplin. "San Francisco (Be Sure to Wear Flowers in Your Hair)" Musician John Phillips of the band The Mamas & the Papas wrote the song "San Francisco (Be Sure to Wear Flowers in Your Hair)" for his friend Scott McKenzie. It served to promote both the Monterey Pop Festival that Phillips was helping to organize, and to popularize the flower children of San Francisco. Released on May 13, 1967, the song was an instant success. By the week ending July 1, 1967, it reached number four on the Billboard Hot 100 in the United States, where it remained for four consecutive weeks. Meanwhile, the song charted at number one in the United Kingdom and much of Europe. The single is purported to have sold more than 7 million copies worldwide. Events New York City In Manhattan, near the Greenwich Village neighborhood, during a concert in Tompkins Square Park on Memorial Day of 1967, some police officers asked for the music's volume to be reduced. In response, some people in the crowd threw various objects, and 38 arrests ensued. A debate about the "threat of the hippie" ensued between Mayor John Lindsay and Police Commissioner Howard Leary. After this event, Allan Katzman, the editor of the East Village Other, predicted that 50,000 hippies would enter the area for the summer. California Double that amount, as many as 100,000 young people from around the world, flocked to San Francisco's Haight-Ashbury district, as well as to nearby Berkeley and to other San Francisco Bay Area cities, to join in a popularized version of the hippieism. A Free Clinic was established for free medical treatment, and a Free Store gave away basic necessities without charge to anyone who needed them. The Summer of Love attracted a wide range of people of various ages: teenagers and college students drawn by their peers and the allure of joining an alleged cultural utopia; middle-class vacationers; and even partying military personnel from bases within driving distance. The Haight-Ashbury could not accommodate this influx of people, and the neighborhood scene quickly deteriorated, with overcrowding, homelessness, hunger, drug problems, and crime afflicting the neighborhood. Denver Chet Helms,
Dog Denver in the summer of 1967 also held a Human Be-In, in Denver's City Park, with the goal of harnessing the Summer of Love vibe to promote Helm's new Family Dog Productions venture, which opened in September, 1967. 5,000 people attended the Be-In, with performances by bands like the Grateful Dead, Odetta and Captain Beefheart. Ken Kesey and Timothy Leary were also reportedly in attendance. As Denver native Bruce Bond states in the 2021 documentary The Tale of the Dog, "It's not like the Summer of Love ended in Frisco. It just moved east, to Denver." Use of drugs Psychedelic drug use became common. Grateful Dead guitarist Bob Weir commented: Haight Ashbury was a ghetto of bohemians who wanted to do anything—and we did but I don't think it has happened since. Yes there was LSD. But Haight Ashbury was not about drugs. It was about exploration, finding new ways of expression, being aware of one's existence. After losing his untenured position as an instructor on the Psychology faculty at Harvard University, Timothy Leary became a major advocate for the recreational use of psychedelic drugs. After taking psilocybin, a psychoactive chemical produced by certain mushrooms that causes effects similar to those of LSD, Leary endorsed the use of all psychedelics for personal development. He often invited friends as well as an occasional graduate student to consume such drugs along with him and colleague Richard Alpert. On the West Coast, author Ken Kesey, a prior volunteer for a CIA-sponsored LSD experiment, also advocated the use of the drug. Soon after participating, he was inspired to write the bestselling novel One Flew Over the Cuckoo's Nest. Subsequently, after buying an old school bus, painting it with psychedelic graffiti and attracting a group of similarly minded individuals he dubbed the Merry Pranksters, Kesey and his group traveled across the country, often hosting "acid tests" where they would fill a large container with a diluted low dose form of the drug and give out diplomas to those who passed their test. Along with LSD, cannabis was also much used during this period. However, as a result, crime increased among users because new laws were subsequently enacted to control the use of both drugs. The users thereof often had sessions to oppose the laws, including The Human Be-In referenced above as well as various "smoke-ins" during July and August, however, their efforts at repeal were unsuccessful. Funeral and aftermath By the end of summer, many participants had left the scene to join the back-to-the-land movement of the late '60s, to resume school studies, or simply to "get a job". Those remaining in the Haight wanted to commemorate the conclusion of the event. A mock funeral entitled "The Death of the Hippie" ceremony was staged on October 6, 1967, and organizer Mary Kasper explained the intended message: In New York, the rock musical drama Hair, which told the story of the hippie counterculture and sexual revolution of the 1960s, began Off-Broadway on October 17, 1967. Legacy Second Summer of Love The "Second Summer of Love" (a term which generally refers to the summers of both 1988 and 1989) was a renaissance of acid house music and rave parties in Britain. The culture supported MDMA use and some LSD use. The art had a generally psychedelic emotion reminiscent of the 1960s. 40th anniversary During the summer of 2007, San Francisco celebrated the 40th anniversary of the Summer of Love by holding numerous events around the region, culminating on September 2, 2007, when over 150,000 people attended the 40th anniversary of the Summer of Love concert, held in Golden Gate Park in Speedway Meadows. It was produced by 2b1 Multimedia and the Council of Light. 50th anniversary In 2016, 2b1 Multimedia and The Council of Light, once again, began the planning for the 50th Anniversary of the Summer of Love in Golden Gate Park in San Francisco. By the beginning of 2017, the council had gathered about 25 poster artists, about 10 of whom submitted their finished art, but it was never printed. The council was also contacted by many bands and musicians who wanted to be part of this historic event, all were waiting for the date to be determined before a final commitment. New rules enforced by the San Francisco Parks and Recreational Department (PRD) prohibited the council from holding a free event of the proposed size. There were many events planned for San Francisco in 2017, many of which were 50th Anniversary-themed. However, there was no free concert. The PRD later hosted an event originally called “Summer Solstice Party,” but it was later renamed “50th Anniversary of the Summer of Love” two weeks before commencement. The event had fewer than 20,000 attendees from the local Bay Area. In frustration, producer Boots Hughston put the proposal of what was by then to be a 52nd anniversary free concert into the form of an initiative intended for the November 6, 2018, ballot. The issue did not make the ballot; however, a more generic Proposition E provides for directing hotel tax fees to a $32 million budget for "arts and cultural organizations and projects in the city." During the summer of 2017, San Francisco celebrated the 50th anniversary of the Summer of Love by holding numerous events and art exhibitions. In Liverpool, the city has staged a 50 Summers of Love festival based on the 50th anniversary of the June 1, 1967, release of the album Sgt Pepper's Lonely Hearts Club Band,
backing vocals, and Imants "Freddie" Strauks on drums. They were soon joined by Bob "Bongo" Starkie on guitar and backing vocals, and Red Symons on guitar, vocals and keyboards; Graeme "Shirley" Strachan became lead vocalist in March 1974. Described as a glam rock band, because of flamboyant costumes and make-up, Skyhooks addressed issues including buying drugs in "Carlton (Lygon Street Limbo)", sex and commitment in "Balwyn Calling", the gay scene in "Toorak Cowboy" and loss of girlfriends in "Somewhere in Sydney" by namechecking Australian locales. According to music historian, Ian McFarlane "[Skyhooks] made an enormous impact on Australian social life". Skyhooks had No. 1 albums on the Australian Kent Music Report with their 1974 debut, Living in the 70's (for 16 weeks), and its 1975 follow-up, Ego Is Not a Dirty Word (11 weeks). Their No. 1 singles were "Horror Movie" (January 1975) and "Jukebox in Siberia" (November 1990). Symons left Skyhooks in 1977 and became a radio and television personality; he was replaced by Bob Spencer. Strachan left the band in 1978 to become a radio and television presenter. He was replaced by Tony Williams. With altered line-ups, Skyhooks continued until 8 June 1980; the Strauks-Symons-Macainsh-Starkie-Strachan line-up reconvened four times thereafter, in 1983, 1984, 1990 and 1994. In 1992, the group was inducted into the Australian Recording Industry Association (ARIA) Hall of Fame. Strachan died on 29 August 2001, aged 49, in a helicopter crash while solo piloting. Original lead singer Steve Hill died in October 2005, aged 52, from liver cancer. Original guitarist, Peter Starkie died in mid-September 2020, aged 72, of complications resulting from a fall. In 2011, the Skyhooks album Living in the 70's was added to the National Film and Sound Archive of Australia's Sounds of Australia registry. History 1966–1974: Early years and formation Greg Macainsh and Imants "Freddie" Strauks both attended Norwood High School in the Melbourne suburb of Ringwood and formed Spare Parts in 1966 with Macainsh on bass guitar and Strauks on lead vocals. Spare Parts was followed by Sound Pump in 1968, Macainsh formed Reuben Tice in Eltham, with Tony Williams on vocals. By 1970 Macainsh was back with Strauks, now on drums, first in Claptrap and by 1971 in Frame which had Graeme "Shirley" Strachan as lead vocalist. Frame also included Pat O'Brien on guitar and Cynthio Ooms on guitar. Strachan had befriended Strauks earlier—he sang with Strauks on the way to parties—and was asked to join Claptrap which was renamed as Frame. Strachan stayed in Frame for about 18 months but left for a career in carpentry and a hobby of surfing in Phillip Island. Skyhooks formed in March 1973 in Melbourne with Steve Hill on vocals (ex-Lillee), Peter Inglis on guitar (The Captain Matchbox Whoopee Band), Macainsh on bass guitar and backing vocals, Peter Starkie on guitar and backing vocals (Lipp & the Double Dekker Brothers) and Strauks on drums and backing vocals. The name, Skyhooks, came from a fictional organisation in the 1956 film Earth vs. the Flying Saucers. Their first gig was on 16 April 1973 at St Jude's Church hall in Carlton. At a later gig, former Daddy Cool frontman, Ross Wilson was playing in his group Mighty Kong with Skyhooks as a support act. Wilson was impressed with the fledgling band and signed Macainsh to a publishing deal. In August, Bob "Bongo" Starkie (Mary Jane Union) on guitar replaced his older brother Peter (later in Jo Jo Zep & The Falcons) and Inglis was replaced by Red Symons on guitar, vocals and keyboards. The two new members added a touch of theatre and humour to the band's visual presence. By late 1973, Wilson had convinced Michael Gudinski to sign the band to his booking agency, Australian Entertainment Exchange, and eventually to Gudinski's label, Mushroom Records. Skyhooks gained a cult following around Melbourne including university intelligentsia and pub rockers, but a poorly received show at the January 1974 Sunbury Pop Festival saw the group booed off stage. Two tracks from their live set, "Hey What's the Matter?" and "Love on the Radio" appeared on Mushroom's Highlights of Sunbury '74. After seeing his performance on TV, Hill phoned Macainsh and resigned. To replace Hill, in March, Macainsh recruited occasional singer, surfer and carpenter Strachan from his Frame era. Strachan had been dubbed "Shirley" by fellow surfers due to his curly blond hair a la Shirley Temple. 1974–1975: Living in the 70's For Skyhooks, the replacement of Hill by Strachan was a pivotal moment, as Strachan had remarkable vocal skills, and a magnetic stage and screen presence. Alongside Macainsh's lyrics, another facet of the group was the twin-guitar sound of Starkie and Symons. Adopting elements of glam rock in their presentation, and lyrics that presented frank depictions of the social life of young Australia in the 1970s, the band shocked conservative middle Australia with their outrageous (for the time) costumes, make-up, lyrics, and on-stage activities. A 1.2-metre (4 ft) high mushroom-shaped phallus was confiscated by Adelaide police after a performance. Six of the ten tracks on their debut album, Living in the 70's, were banned by the Federation of Australian Commercial Broadcasters for their sex and drug references, "Toorak Cowboy", "Whatever Happened to the Revolution?", "You Just Like Me Cos I'm Good in Bed", "Hey What's the Matter", "Motorcycle Bitch" and "Smut". Much of the group's success derived from its distinctive repertoire, mostly penned by bass guitarist Macainsh, with an occasional additional song from Symons—who wrote "Smut" and performed its lead vocals. Although Skyhooks were not the first Australian rock band to write songs in a local setting—rather than ditties about love or songs about New York City or other foreign lands—they were the first to become commercially successful doing so. Skyhooks songs addressed teenage issues including buying drugs ("Carlton (Lygon Street Limbo)"), suburban sex ("Balwyn Calling"),
the band shocked conservative middle Australia with their outrageous (for the time) costumes, make-up, lyrics, and on-stage activities. A 1.2-metre (4 ft) high mushroom-shaped phallus was confiscated by Adelaide police after a performance. Six of the ten tracks on their debut album, Living in the 70's, were banned by the Federation of Australian Commercial Broadcasters for their sex and drug references, "Toorak Cowboy", "Whatever Happened to the Revolution?", "You Just Like Me Cos I'm Good in Bed", "Hey What's the Matter", "Motorcycle Bitch" and "Smut". Much of the group's success derived from its distinctive repertoire, mostly penned by bass guitarist Macainsh, with an occasional additional song from Symons—who wrote "Smut" and performed its lead vocals. Although Skyhooks were not the first Australian rock band to write songs in a local setting—rather than ditties about love or songs about New York City or other foreign lands—they were the first to become commercially successful doing so. Skyhooks songs addressed teenage issues including buying drugs ("Carlton (Lygon Street Limbo)"), suburban sex ("Balwyn Calling"), the gay scene ("Toorak Cowboy") and loss of girlfriends ("Somewhere in Sydney") by namechecking Australian locales. Radio personality, Billy Pinnell described the importance of their lyrics in tackling Australia's cultural cringe: The first Skyhooks single, "Living in the 70's", was released in August 1974, ahead of the album, and peaked at No. 28 on the Australian Kent Music Report Singles Charts. The album, Living in the 70's initially charted only in Melbourne upon its release on 28 October 1974. It went on to spend 16 weeks at the top of the Australian Kent Music Report Albums Charts from February to June 1975. The album was produced by Wilson, and became the best selling Australian album, to that time, with 226,000 copies sold in Australia. Skyhooks returned to the Sunbury Pop Festival in January 1975. They were declared the best performers by Rolling Stone Australia and The Age reviewers, and Gudinski now took over their management. The second single, "Horror Movie", reached No. 1 for two weeks in March. The band's success was credited by Gudinski with saving his struggling Mushroom Records and enabled it to develop into the most successful Australian label of its time. The success of the album was also due to support by a new pop music television show Countdown on national public broadcaster ABC Television, rather than promotion by commercial radio. "Horror Movie" was the first song played on the first colour transmission of Countdown in early 1975. Despite the radio ban, the ABC's newly established 24-hour rock music station Double Jay chose the album's fifth track, the provocatively titled "You Just Like Me Cos I'm Good in Bed", as its first ever broadcast on 19 January. 1975–1976: Ego Is Not a Dirty Word Skyhooks' 1975 national tour promoting Living in the 70's finished at Melbourne's Festival Hall with their ANZAC Day (25 April) performance. They were supported by comedy singer Bob Hudson, heavy rockers AC/DC and New Zealand band Split Enz. Strachan then took two weeks off and considered leaving the band, but he returned – newly married – and they continued recording the follow-up album, Ego Is Not a Dirty Word. Initially, they were locked out of the recording studio until their manager, Gudinski, sent down the money still owed for recording the first album. Ego Is Not a Dirty Word spent 11 weeks at the top of the Australian album chart from 21 July 1975, and sold 210,000 copies. with the single, "Ego Is Not a Dirty Word" issued in April ahead of the album, peaking at No. 2. The next single, "All My Friends Are Getting Married" reached No. 2 in July, and was followed by "Million Dollar Riff" at No. 6 in October. Macainsh's then girlfriend, Jenny Brown, described the band in her 1975 book, Skyhooks : Million Dollar Riff. A live version of Chuck Berry's "Let It Rock" from a December performance was released as a single in March 1976 and reached No. 26. With Australian commercial success achieved, Skyhooks turned to the US market. Gudinski announced a $1.5 million deal with Mercury Records/Phonogram Records, which released a modified international version of Ego Is Not a Dirty Word with "Horror Movie" and "You Just Like Me Cos I'm Good in Bed" from their first Australian album replacing two tracks. A US tour followed in March–April 1976, but critics described them as imitators of Kiss due to the similarity of Symons' make-up and stage act to that of Gene Simmons, and despite limited success in Boston, Massachusetts and Jacksonville, Florida they failed to make inroads into the general US market. 1977–1981: Later years to break-up After completing their 1976 US tour, the band remained in San Francisco and recorded their third album with Wilson producing, Straight in a Gay Gay World, which was released in August 1976 and peaked at No. 3 on the Australian album charts. In July, upon return to Australia they launched The Brats Are Back Tour with a single, "This is My City", which peaked at number 32. "Blue Jeans" followed in August and peaked at No. 12 on the singles chart. By October, Strachan provided his debut solo single, "Every Little Bit Hurts" (a cover of Brenda Holloway's 1964 hit). In February 1977, Symons left the band and was replaced on guitar by Bob Spencer from the band Finch. With Symons' departure the band dropped the glam rock look and used a
length. The square root of x is rational if and only if x is a rational number that can be represented as a ratio of two perfect squares. (See square root of 2 for proofs that this is an irrational number, and quadratic irrational for a proof for all non-square natural numbers.) The square root function maps rational numbers into algebraic numbers, the latter being a superset of the rational numbers). For all real numbers x, (see absolute value) For all nonnegative real numbers x and y, and The square root function is continuous for all nonnegative x, and differentiable for all positive x. If f denotes the square root function, whose derivative is given by: The Taylor series of about x = 0 converges for ≤ 1, and is given by The square root of a nonnegative number is used in the definition of Euclidean norm (and distance), as well as in generalizations such as Hilbert spaces. It defines an important concept of standard deviation used in probability theory and statistics. It has a major use in the formula for roots of a quadratic equation; quadratic fields and rings of quadratic integers, which are based on square roots, are important in algebra and have uses in geometry. Square roots frequently appear in mathematical formulas elsewhere, as well as in many physical laws. Square roots of positive integers A positive number has two square roots, one positive, and one negative, which are opposite to each other. When talking of the square root of a positive integer, it is usually the positive square root that is meant. The square roots of an integer are algebraic integers—more specifically quadratic integers. The square root of a positive integer is the product of the roots of its prime factors, because the square root of a product is the product of the square roots of the factors. Since only roots of those primes having an odd power in the factorization are necessary. More precisely, the square root of a prime factorization is As decimal expansions The square roots of the perfect squares (e.g., 0, 1, 4, 9, 16) are integers. In all other cases, the square roots of positive integers are irrational numbers, and hence have non-repeating decimals in their decimal representations. Decimal approximations of the square roots of the first few natural numbers are given in the following table. {|class="wikitable" ! !! truncated to 50 decimal places |- |align="right" | 0 || 0 |- |align="right" | 1 || 1 |- |align="right" | 2 || |- |align="right" | 3 || |- |align="right" | 4 || 2 |- |align="right" | 5 || |- |align="right" | 6 || |- |align="right" | 7 || |- |align="right" | 8 || |- |align="right" | 9 || 3 |- |align="right" | 10 || |- |} As expansions in other numeral systems As with before, the square roots of the perfect squares (e.g., 0, 1, 4, 9, 16) are integers. In all other cases, the square roots of positive integers are irrational numbers, and therefore have non-repeating digits in any standard positional notation system. The square roots of small integers are used in both the SHA-1 and SHA-2 hash function designs to provide nothing up my sleeve numbers. As periodic continued fractions One of the most intriguing results from the study of irrational numbers as continued fractions was obtained by Joseph Louis Lagrange 1780. Lagrange found that the representation of the square root of any non-square positive integer as a continued fraction is periodic. That is, a certain pattern of partial denominators repeats indefinitely in the continued fraction. In a sense these square roots are the very simplest irrational numbers, because they can be represented with a simple repeating pattern of integers. {| |- |align="right"||| = [1; 2, 2, ...] |- |align="right"||| = [1; 1, 2, 1, 2, ...] |- |align="right"||| = [2] |- |align="right"||| = [2; 4, 4, ...] |- |align="right"||| = [2; 2, 4, 2, 4, ...] |- |align="right"||| = [2; 1, 1, 1, 4, 1, 1, 1, 4, ...] |- |align="right"|||= [2; 1, 4, 1, 4, ...] |- |align="right"||| = [3] |- |align="right"||| = [3; 6, 6, ...] |- |align="right"||| = [3; 3, 6, 3, 6, ...] |- |align="right"||| = [3; 2, 6, 2, 6, ...] |- |align="right"||| = [3; 1, 1, 1, 1, 6, 1, 1, 1, 1, 6, ...] |- |align="right"||| = [3; 1, 2, 1, 6, 1, 2, 1, 6, ...] |- |align="right"||| = [3; 1, 6, 1, 6, ...] |- |align="right"||| = [4] |- |align="right"||| = [4; 8, 8, ...] |- |align="right"||| = [4; 4, 8, 4, 8, ...] |- |align="right"||| = [4; 2, 1, 3, 1, 2, 8, 2, 1, 3, 1, 2, 8, ...] |- |align="right"||| = [4; 2, 8, 2, 8, ...] |} The square bracket notation used above is a short form for a continued fraction. Written in the more suggestive algebraic form, the simple continued fraction for the square root of 11, [3; 3, 6, 3, 6, ...], looks like this: where the two-digit pattern {3, 6} repeats over and over again in the partial denominators. Since , the above is also identical to the following generalized continued fractions: Computation Square roots of positive numbers are not in general rational numbers, and so cannot be written as a terminating or recurring decimal expression. Therefore in general any attempt to compute a square root expressed in decimal form can only yield an approximation, though a sequence of increasingly accurate approximations can be obtained. Most pocket calculators have a square root key. Computer spreadsheets and other software are also frequently used to calculate square roots. Pocket calculators typically implement efficient routines, such as the Newton's method (frequently with an initial guess of 1), to compute the square root of a positive real number. When computing square roots with logarithm tables or slide rules, one can exploit the identities where and 10 are the natural and base-10 logarithms. By trial-and-error, one can square an estimate for and raise or lower the estimate until it agrees to sufficient accuracy. For this technique it is prudent to use the identity as it allows one to adjust the estimate x by some amount c and measure the square of the adjustment in terms of the original estimate and its square. Furthermore, (x + c)2 ≈ x2 + 2xc when c is close to 0, because the tangent line to the graph of x2 + 2xc + c2 at c = 0, as a function of c alone, is y = 2xc + x2. Thus, small adjustments to x can be planned out by setting 2xc to a, or c = a/(2x). The most common iterative method of square root calculation by hand is known as the "Babylonian method" or "Heron's method" after the first-century Greek philosopher Heron of Alexandria, who first described it. The method uses the same iterative scheme as the Newton–Raphson method yields when applied to the function y = f(x) = x2 − a, using the fact that its slope at any point is dy/dx = (x) = 2x, but predates it by many centuries. The algorithm is to repeat a simple calculation that results in a number closer to the actual square root each time it is repeated with its result as the new input. The motivation is that if x is an overestimate to the square root of a nonnegative real number a then a/x will be an underestimate and so the average of these two numbers is a better approximation than either of them. However, the inequality of arithmetic and geometric means shows this average is always an overestimate of the square root (as noted below), and so it can serve as a new overestimate with which to repeat the process, which converges as a consequence of the successive overestimates and underestimates being closer to each other after each iteration. To find x: Start with an arbitrary positive start value x. The closer to the square root of a, the fewer the iterations that will be needed to achieve the desired precision. Replace x by the average (x + a/x) / 2 between x and a/x. Repeat from step 2, using this average as the new value of x. That is, if an arbitrary guess for is x0, and , then each xn is an approximation of which is better for large n than for small n. If a is positive, the convergence is quadratic, which means that in approaching the limit, the number of correct digits roughly doubles in each next iteration. If , the convergence is only linear. Using the identity the computation of the square root of a positive number can be reduced to that of a number in the range . This simplifies finding a start value for the iterative method that is close to the square root, for which a polynomial or piecewise-linear approximation can be used. The time complexity for computing a square root with n digits of precision is equivalent to that of multiplying two n-digit numbers. Another useful method for calculating the square root is the shifting nth root algorithm, applied for . The name of the square root function varies from programming language to programming language, with sqrt (often pronounced "squirt" ) being common, used in C, C++, and derived languages like JavaScript, PHP, and Python. Square roots of negative and complex numbers The square of any positive or negative number is positive, and the square of 0 is 0. Therefore, no negative number can have a real square root. However, it is possible to work with a more inclusive set of numbers, called the complex numbers, that does contain solutions to the square root of a negative number. This is done by introducing a new number, denoted by i (sometimes j, especially in the context of electricity where "i" traditionally represents electric current) and called the imaginary unit, which is defined such that . Using this notation, we can think of i as the square root of −1, but we also have and so −i is also a square root of −1. By convention, the principal square root of −1 is i, or more generally, if x is any nonnegative number, then the principal square root of −x is The right side (as well as its negative) is indeed a square root of −x, since For every non-zero complex number z there exist precisely two numbers w such that : the principal square root of z (defined below), and its negative. Principal square root of a complex number To find a definition for the square root that allows us to consistently choose a single value, called the principal value, we start by observing that any complex number can be viewed as a point in the plane, expressed using Cartesian coordinates. The same point may be reinterpreted using polar coordinates as the pair where is the distance of the point from the origin, and is the angle that the line from the origin to the point makes with the positive real () axis. In complex analysis, the location of this point is conventionally written If then the of is defined to be the following: The principal square root function is thus defined using the nonpositive real axis as a branch cut. If is a non-negative real number (which happens if and only if ) then the principal square root of is in other words, the principal square root of a non-negative real number is just the usual non-negative square root. It is important that because if, for example, (so ) then the principal square root is but using would instead produce the other square root The principal square root function is holomorphic everywhere except on the set of non-positive real numbers (on strictly negative reals it is not even continuous). The above Taylor series
each other after each iteration. To find x: Start with an arbitrary positive start value x. The closer to the square root of a, the fewer the iterations that will be needed to achieve the desired precision. Replace x by the average (x + a/x) / 2 between x and a/x. Repeat from step 2, using this average as the new value of x. That is, if an arbitrary guess for is x0, and , then each xn is an approximation of which is better for large n than for small n. If a is positive, the convergence is quadratic, which means that in approaching the limit, the number of correct digits roughly doubles in each next iteration. If , the convergence is only linear. Using the identity the computation of the square root of a positive number can be reduced to that of a number in the range . This simplifies finding a start value for the iterative method that is close to the square root, for which a polynomial or piecewise-linear approximation can be used. The time complexity for computing a square root with n digits of precision is equivalent to that of multiplying two n-digit numbers. Another useful method for calculating the square root is the shifting nth root algorithm, applied for . The name of the square root function varies from programming language to programming language, with sqrt (often pronounced "squirt" ) being common, used in C, C++, and derived languages like JavaScript, PHP, and Python. Square roots of negative and complex numbers The square of any positive or negative number is positive, and the square of 0 is 0. Therefore, no negative number can have a real square root. However, it is possible to work with a more inclusive set of numbers, called the complex numbers, that does contain solutions to the square root of a negative number. This is done by introducing a new number, denoted by i (sometimes j, especially in the context of electricity where "i" traditionally represents electric current) and called the imaginary unit, which is defined such that . Using this notation, we can think of i as the square root of −1, but we also have and so −i is also a square root of −1. By convention, the principal square root of −1 is i, or more generally, if x is any nonnegative number, then the principal square root of −x is The right side (as well as its negative) is indeed a square root of −x, since For every non-zero complex number z there exist precisely two numbers w such that : the principal square root of z (defined below), and its negative. Principal square root of a complex number To find a definition for the square root that allows us to consistently choose a single value, called the principal value, we start by observing that any complex number can be viewed as a point in the plane, expressed using Cartesian coordinates. The same point may be reinterpreted using polar coordinates as the pair where is the distance of the point from the origin, and is the angle that the line from the origin to the point makes with the positive real () axis. In complex analysis, the location of this point is conventionally written If then the of is defined to be the following: The principal square root function is thus defined using the nonpositive real axis as a branch cut. If is a non-negative real number (which happens if and only if ) then the principal square root of is in other words, the principal square root of a non-negative real number is just the usual non-negative square root. It is important that because if, for example, (so ) then the principal square root is but using would instead produce the other square root The principal square root function is holomorphic everywhere except on the set of non-positive real numbers (on strictly negative reals it is not even continuous). The above Taylor series for remains valid for complex numbers with The above can also be expressed in terms of trigonometric functions: Algebraic formula When the number is expressed using its real and imaginary parts, the following formula can be used for the principal square root: where is the sign of (except that, here, sgn(0) = 1). In particular, the imaginary parts of the original number and the principal value of its square root have the same sign. The real part of the principal value of the square root is always nonnegative. For example, the principal square roots of are given by: Notes In the following, the complex z and w may be expressed as: where and . Because of the discontinuous nature of the square root function in the complex plane, the following laws are not true in general. (counterexample for the principal square root: and ) This equality is valid only when (counterexample for the principal square root: and )This equality is valid only when (counterexample for the principal square root: )This equality is valid only when A similar problem appears with other complex functions with branch cuts, e.g., the complex logarithm and the relations or which are not true in general. Wrongly assuming one of these laws underlies several faulty "proofs", for instance the following one showing that : The third equality cannot be justified (see invalid proof). It can be made to hold by changing the meaning of √ so that this no longer represents the principal square root (see above) but selects a branch for the square root that contains The left-hand side becomes either if the branch includes +i or if the branch includes −i, while the right-hand side becomes where the last equality, is a consequence of the choice of branch in the redefinition of √. Nth roots and polynomial roots The definition of a square root of as a number such that has been generalized in the following way. A cube root of is a number such that ; it is denoted If is an integer greater than two, a th root of is a number such that ; it is denoted Given any polynomial , a root of is a number such that . For example, the th roots of are the roots of the polynomial (in ) Abel–Ruffini theorem states that, in general, the roots of a polynomial of degree five or higher cannot be expressed in terms of th roots. Square roots of matrices and operators If A is a positive-definite matrix or operator, then there exists precisely one positive definite matrix or operator B with ; we then define . In general matrices may have multiple square roots or even an infinitude of them. For example, the identity matrix has an infinity of square roots, though only one of them is positive definite. In integral domains, including fields Each element of an integral domain has no more than 2 square roots. The difference of two squares identity is proved using the commutativity of multiplication. If and are square roots of the same element, then . Because there are no zero divisors this implies or , where the latter means that two roots are additive inverses of each other. In other words if an element a square root of an element exists, then the only square roots of are and . The only square root of 0 in an integral domain is 0 itself. In a field of characteristic 2, an element either has one square root or does not have any at all, because each element is its own additive inverse, so that . If the field is finite of characteristic 2 then every element has a unique square root. In a field of any other characteristic, any non-zero element either has two square roots, as explained above, or does not have any. Given an odd prime number , let for some positive integer . A non-zero element of the field with elements is a quadratic residue if it has a square root in . Otherwise, it is a quadratic non-residue. There are quadratic residues and quadratic non-residues; zero is not counted in either class. The quadratic residues form a group under multiplication. The properties of quadratic residues are widely used in number theory. In rings in general Unlike in an integral domain, a square root in an arbitrary (unital) ring need not be unique up to sign. For example, in the ring of integers modulo 8 (which is commutative, but has zero divisors), the element 1 has four distinct square roots: ±1 and ±3. Another example is provided by the ring of quaternions which has no zero divisors, but is not commutative. Here, the element −1 has infinitely many square roots, including , , and . In fact, the set of square roots of −1 is exactly A square root of 0 is either 0 or a zero divisor. Thus in rings where zero divisors do not exist, it is uniquely 0. However, rings with zero divisors may have multiple square roots of 0. For example, in any multiple of is a square root of 0. Geometric construction of the square root The square root of a positive number is usually defined as the side length of a square with the area equal to the given number. But the square shape is not necessary for it: if one of two similar planar Euclidean objects has the area a times greater than another, then the ratio of their linear sizes is . A square root can be constructed with a compass and straightedge. In his Elements, Euclid (fl. 300 BC) gave the construction of the geometric mean of two quantities in two different places: Proposition II.14 and Proposition VI.13. Since the geometric mean of a and b is , one can construct simply by taking . The construction is also given by Descartes in his La Géométrie, see figure 2 on page 2. However, Descartes made no claim to originality and his audience would have been quite familiar with Euclid. Euclid's second proof in Book VI depends on the theory of similar triangles. Let AHB be a line segment of length with and . Construct the circle with AB as diameter and let C be one of the two intersections of the perpendicular chord at H with the circle and denote the length CH as h. Then, using Thales' theorem and, as in the proof of Pythagoras' theorem by similar triangles, triangle AHC is similar to triangle CHB (as indeed both are to triangle ACB, though we don't need that, but it is the essence of the proof of Pythagoras' theorem) so that AH:CH is as HC:HB, i.e. , from which we conclude by cross-multiplication that , and finally that . When marking the midpoint O of the line segment AB and drawing the radius OC of length , then clearly OC > CH, i.e. (with equality if and only if ), which is the arithmetic–geometric mean inequality for two variables and, as noted above, is the basis of the Ancient Greek understanding of "Heron's method".
wartime conversion. The launching of the ship took place on 4 May 1897 in the presence of the Imperial family; it was the emperor who baptised the ship whose name honoured his grandfather Emperor William I, "the Great". Construction and the internal decoration of the liner took place in Bremerhaven and before long she was ready to begin her regular crossings, her maiden voyage being scheduled for September the same year. The most striking feature of Kaiser Wilhelm der Grosse was her four funnels, the first ship ever to sport such a quartet, which for the next two decades would be a symbol of size and safety. Career Kaiser Wilhelm der Grosse set out on her maiden voyage on 19 September 1897, travelling from Bremerhaven to Southampton and thence to New York. With a capacity of 800 third-class passengers, the NDL had ensured that they would profit greatly from the immigrants wishing to leave the continent for a better standard of living in the United States. From her maiden voyage, she was the only superliner to cross the Atlantic with such speed and such media attention. In March 1898, she successfully gained the Blue Riband with an average crossing speed of , thus establishing the new German competitiveness. The Blue Riband, an award given for the fastest crossing of the North Atlantic, east and westbound, had previously been held by the Cunard liner . This turn of events was closely watched by the maritime world of the era, who were eager to see how the British would retaliate. However, the NDL soon lost the riband in 1900 to the new German superliner, of the Hamburg America Line. This change in events was acceptable to Germans, who were able to relax in the knowledge that they were still the owners of the fastest liner; however, NDL promptly ordered that Kaiser Wilhelm der Grosse undergo a refit to ensure that they were the dominant German company. This refit included the installation of wireless communication, then new technology which allowed Kaiser Wilhelm der Grosse to transmit telegraphic messages to a port, emphasising her image of security. The NDL took the battle even further. 1901 saw the addition to their fleet of another four-funnel liner, named in honour of Crown Prince William, heir to the German throne, and they subsequently commissioned another two superliners, and of 1903 and 1907 respectively. From 1903 to 1907 the Blue Riband was held by SS Kaiser Wilhelm II. The company stated that the four liners were of the renowned Kaiser class and decided to market them as the Four Flyers, a reference to their speed and associations with the Blue Riband. The career of Kaiser Wilhelm der Grosse, despite its prestige, was not without incident. In June 1900 at her quay in Hoboken, New Jersey, she was the victim of a fire which killed one hundred staff who were trying to remove the threat as the ship was towed to safety in the Hudson River. Six years later, on 21 November 1906, she was the victim of a collision with , a British ship of the Royal Mail, in Cherbourg. Five passengers aboard Kaiser Wilhelm der Grosse and three crewmen aboard Orinoco lost their lives in the incident and Kaiser Wilhelm der Grosse was found to have an tear in her hull. New York City mayor William Jay Gaynor was embarking on a European vacation when he was shot aboard the ship on 9 August 1910. To make matters worse, ever growing technological evolution of steamships soon made NDL's express steamers outdated. Cunard's and outmatched their German rivals in all fields, and when the future White Star's entered service in 1911, luxury on the high seas was taken one step further. As a result, Kaiser Wilhelm der Grosse was rebuilt in 1913 to carry third-class passengers only. It seemed that her glory was fading regardless of her career as the first "four stacker". From 26 January 1907, she was charged with carrying passengers between the Mediterranean Sea and New York, effectively ending the public career of the first of the "four flyers". First World War From 1908, German naval captains had been receiving orders to make preparations in the event of a sudden war. In fact, Kaiser Wilhelm der Grosse was soon fitted with cannons and thus transformed into an auxiliary cruiser. Across the world, supply ships carrying weapons and provisions were ready to convert merchant vessels into armed auxiliary cruisers. On 4 August 1914, Great Britain declared war on Germany after the Germans invaded Belgium and Luxembourg. Kaiser Wilhelm der Grosse was requisitioned and turned into an armed cruiser, painted in grey and black. Her commander at the time, Captain Reymann, operated not only under the rules of war, but also the rules of mercy. Reymann soon sank three ships, Tubal Cain, Kaipara, and Nyanza, but only after taking their occupants on board. Further south in the Atlantic, Kaiser Wilhelm der Grosse encountered two passenger liners: Galician and Arlanza. Reymann's first intention was to sink both vessels, but, discovering that they had many women and children on board, he let them go. In this early stage of the war, it was thought that it could be fought in a chivalrous fashion. However, soon it was to become a total war and ships would no longer be warned before being fired upon. As Kaiser Wilhelm der Grosse approached the west coast of Africa, her coal bunkers were almost empty and needed refilling. She stopped at Río de Oro, (Villa Cisneros, former Spanish Sahara) where German and Austrian colliers started the task of refuelling her. The task of coaling was still going on on 26 August, when the British cruiser appeared. Reymann quickly prepared his ship and crew for battle and steamed out to engage the enemy after disembarking his prisoners of war. A fierce battle took place, but came to a dramatic end when Kaiser Wilhelm der Grosse ran out of ammunition. According to the Germans, rather than let the enemy capture
security. The NDL took the battle even further. 1901 saw the addition to their fleet of another four-funnel liner, named in honour of Crown Prince William, heir to the German throne, and they subsequently commissioned another two superliners, and of 1903 and 1907 respectively. From 1903 to 1907 the Blue Riband was held by SS Kaiser Wilhelm II. The company stated that the four liners were of the renowned Kaiser class and decided to market them as the Four Flyers, a reference to their speed and associations with the Blue Riband. The career of Kaiser Wilhelm der Grosse, despite its prestige, was not without incident. In June 1900 at her quay in Hoboken, New Jersey, she was the victim of a fire which killed one hundred staff who were trying to remove the threat as the ship was towed to safety in the Hudson River. Six years later, on 21 November 1906, she was the victim of a collision with , a British ship of the Royal Mail, in Cherbourg. Five passengers aboard Kaiser Wilhelm der Grosse and three crewmen aboard Orinoco lost their lives in the incident and Kaiser Wilhelm der Grosse was found to have an tear in her hull. New York City mayor William Jay Gaynor was embarking on a European vacation when he was shot aboard the ship on 9 August 1910. To make matters worse, ever growing technological evolution of steamships soon made NDL's express steamers outdated. Cunard's and outmatched their German rivals in all fields, and when the future White Star's entered service in 1911, luxury on the high seas was taken one step further. As a result, Kaiser Wilhelm der Grosse was rebuilt in 1913 to carry third-class passengers only. It seemed that her glory was fading regardless of her career as the first "four stacker". From 26 January 1907, she was charged with carrying passengers between the Mediterranean Sea and New York, effectively ending the public career of the first of the "four flyers". First World War From 1908, German naval captains had been receiving orders to make preparations in the event of a sudden war. In fact, Kaiser Wilhelm der Grosse was soon fitted with cannons and thus transformed into an auxiliary cruiser. Across the world, supply ships carrying weapons and provisions were ready to convert merchant vessels into armed auxiliary cruisers. On 4 August 1914, Great Britain declared war on Germany after the Germans invaded Belgium and Luxembourg. Kaiser Wilhelm der Grosse was requisitioned and turned into an armed cruiser, painted in grey and black. Her commander at the time, Captain Reymann, operated not only under the rules of war, but also the rules of mercy. Reymann soon sank three ships, Tubal Cain, Kaipara, and Nyanza, but only after taking their occupants on board. Further south in the Atlantic, Kaiser Wilhelm der Grosse encountered two passenger liners: Galician and Arlanza. Reymann's first intention was to sink both vessels, but, discovering that they had many women and children on board, he let them go. In this early stage of the war, it was thought that it could be fought in a chivalrous fashion. However, soon it was to become a total war and ships would no longer be warned before being fired upon. As Kaiser Wilhelm der Grosse approached the west coast of Africa, her coal bunkers were almost empty and needed refilling. She stopped at Río de Oro, (Villa Cisneros, former Spanish Sahara) where German and Austrian colliers started the task of refuelling her. The task of coaling was still going on on 26 August, when the British cruiser appeared. Reymann quickly prepared his ship and crew for battle and steamed out to engage the enemy after disembarking his prisoners of war. A fierce battle took place, but came to a dramatic end when Kaiser Wilhelm der Grosse ran out of ammunition. According to the Germans, rather than let the enemy capture the onetime pride of Germany, Reymann ordered the ship to be scuttled using dynamite, which was already in position should this situation ever arise. On detonation, the explosives tore a massive hole in the ship, causing her to capsize. This version of events was disputed by the British, who stated that
parade down Sydney's George Street was held in honour of the Swans' achievements, which ended with a rally at Town Hall, where Sydney Lord Mayor Clover Moore presented the team with the key to the city. The flag of the Swans also flew on top of the Sydney Harbour Bridge during the week; the same flag was later given to WA premier Geoff Gallop to fly on top of the state legislature in Perth as part of the friendly wager between Gallop and NSW premier Morris Iemma. Off the field the Grand Final success instigated moves to make the club sustainable in the long term and capitalise on the success to grow the code in the state. The Greater Sydney Australian Football Foundation Limited was formed, which would later become the Sydney Swans Foundation aimed initially at raising $5 million in funds to develop the Swans and the code in New South Wales. The Foundation has raised millions since its inception and helped keep the Swans sustainable in Sydney. As reigning premiers, the Sydney Swans started the 2006 season slowly, losing three of their first four games, including in round one to an side that would finish near the bottom of the ladder with only three wins and a draw, and finish with the worst defensive record of any side for the season (Sydney, conversely, had the best defensive record of any side). The 2006 AFL Grand Final was contested between the Sydney Swans and West Coast Eagles at the Melbourne Cricket Ground on 30 September 2006. The West Coast Eagles avenged their 2005 Grand Final defeat by beating the Sydney Swans by one point, only the fourth one-point grand final margin in the competition's history. The rivalry between the Sydney Swans and West Coast Eagles has become one of the great modern rivalries. The six games between the two sides (from the start of the 2005 finals to the first round of 2007 inclusive) were decided by a combined margin of 13 points. Four of those six games were finals and 2 grand finals. Sydney finished the 2007 home and away season in 7th place, and advanced to the finals, where they faced and were defeated by by 38 points in the elimination final. It was their earliest exit from the finals since 2001 and was a culmination of a mostly disappointing season, as only victories against lesser teams saw them through to a fifth consecutive finals campaign. The conclusion of the 2007 trade saw the loss of Adam Schneider and Sean Dempster to St Kilda, the delisting of Simon Phillips, Jonathan Simpkin and Luke Vogels, and the gain of Henry Playfair from Geelong and Martin Mattner from Adelaide. The Swans spent the middle part of the 2008 season inside the top four, however a late form slump which yielded only three wins in the last nine rounds saw the Swans drop to sixth at the conclusion of the 2008 regular season. Having qualified for the finals for a sixth consecutive season, the Swans defeated in the elimination final before losing to the Western Bulldogs the following week. The 2010 season saw Sydney return to the finals by virtue of a fifth-place finish at the end of the regular season. The club defeated by five points in the elimination final before losing to the Western Bulldogs in the semi-finals for the second time in three seasons. The loss signalled the end of the Swans coaching career of Paul Roos as well as that of the playing career of Brett Kirk. John Longmire and COLA controversy: 2011–present Former premiership-winning forward John Longmire took over as coach of Sydney as part of a succession plan initiated by Paul Roos in 2009 prior to the beginning of the 2011 season. He led the club to a seventh-place finish at the end of the regular season. Sydney defeated in an elimination final at Docklands Stadium before losing to in the semi-finals the following week. The 2012 season began for Sydney with the inaugural Sydney Derby against AFL newcomers . After an even and physical first half, Sydney went on to win by 63 points. Subsequent wins over , , and saw Sydney sit second behind on percentage after Round 5, but Sydney would proceed to lose three of their next four matches before embarking on a nine-match winning streak between Rounds 10 and 19 inclusive. Sydney eventually finished the regular season in third place after losing three of their final four matches, all against finalists. Sydney defeated Adelaide and Collingwood in their two final to progress to the 2012 Grand Final. In the grand final, Sydney defeated Hawthorn by ten points in front of 99,683 people, securing the club's fifth premiership. Ryan O'Keefe was named the Norm Smith Medallist. Following the 2013 season, Sydney's continued period of success, in which it has missed the finals only three times since 1995, led to some criticism about a salary cap concession which the club received; an additional Cost of Living Allowance (COLA), due to the higher cost of living in Sydney compared with any other Australian city. It was, however, announced in March 2014 that this allowance would be scrapped. Sydney's 2014 season was extremely successful. The club won twelve consecutive games, equalling their club record that was achieved in 1935. They finished the season as minor premiers, achieving a club record of 17 wins for the season, eclipsing the previous highest of 16. The club defeated Fremantle and North Melbourne to qualify for 2014 Grand Final. Despite their successes over the year, Sydney was defeated in the grand final by Hawthorn. The 63-point loss was Sydney's worst loss of the season, and their highest conceded score in 12 years. Prior to the 2014 trade period, the AFL and Sydney discussed and agreed upon a partial trade ban for the club until the end of the 2016 season, in regards to the COLA arrangements made earlier in the year. The ban would prevent the club from signing new players to the club through any means other than the national draft and, if broken, would cause the forfeit of all remaining COLA payments to the club. Despite complying with the trade ban, Sydney's chief executive Andrew Ireland expressed the club's unhappiness with the ban, believing the ban to have occurred despite the club following the AFL's rules. Following a special meeting of the AFL Commission in December 2014, Sydney and the AFL agreed to relax the trade restrictions - Sydney would be allowed to participate in future trade periods, but would be required to sign players and free agents at or below the average league wage at the time. The following season, Sydney indicated they would further fight the trade restrictions prior to the 2015 trade period. The club lodged a formal submission to the AFL to have the trade ban further altered in August 2015. Following further discussion between Sydney and the AFL, the league further relaxed the trade restrictions for the club. In the revised deal, the club was permitted to replace one player who exited the club with another player on a contract of up to $450,000 per year. If the club chose to take this option, the COLA allowance for 2016 was to be lowered by 9.8% of the exiting player's contract, if the player had been contracted for 2016. After a semi-final loss in 2015, the 2016 season was more successful for Sydney. The club finished as minor premiers with 17 wins, including a 113-point victory over Richmond to claim the minor premiership. Despite a loss in their qualifying final to GWS, the club won their following two finals to qualify for their third grand final in five years. The club was defeated in the grand final by the Western Bulldogs, losing by 22 points. The 2017 season began with six consecutive defeats, becoming the first grand finalist to start a season with six consecutive defeats. However, the club went on to win 13 from their next 15 games, becoming the first team to reach the finals after starting the season with six losses. They won their first match of the interrupted 2020 season against Adelaide at the Adelaide Oval by three points, but won only four more games for the season, missing the finals in consecutive seasons for the first time since 1994–95. The 16th-place finish was also the lowest in club history. After two seasons out of the finals, Sydney rebounded to great effect in 2021. An excellent first month of the season, which saw them upset Brisbane and reigning premiers Richmond, set up a strong home-and-away campaign. Seven wins in their final eight games saw Sydney secure sixth position with a 15–7 win-loss record, just percentage outside the top four. AFLW Involvement In May 2021, the AFL Commission announced that the remaining four clubs without AFLW teams would be admitted to the competition by the end of 2023, with the clubs to bid for entry order. Sydney's bid to enter the competition was successful, with the AFL Commission deciding all four clubs would debut in the AFLW in the 2022/23 season. In February 2022 Scott Gowans was appointed the head coach of the club's AFLW side. Club identity The club's on-field nickname, the Swans, was suggested by a Herald and Weekly Times artist in 1933, was inspired by the number of Western Australians in the team (the black swan being the state emblem of Western Australia), and was formally adopted by the club before the following season 1934. The Chicago Swans are affiliated with the club and share a similar logo. Uniforms The jumper is white with a red back and a red yoke with a silhouette of the Sydney Opera House at the point of the yoke. The Opera House design was first used at the start of the 1987 season, replacing the traditional red "V" on white design. Until 1991, the back of the jumper was white with the yoke only extending to the back of the shoulders and each side of the jumper had a red vertical stripe. The current predominantly red design appeared at the start of the 1992 season. The club's major sponsor is QBE Insurance. In 2004 the club added the initials 'SMFC' in white lettering at the back of the collar to honour the club's past as South Melbourne Football Club. The move was welcomed by Melbourne-based fans. The clash guernsey is a predominantly white version of the home guernsey similar to the original Opera House guernsey design, including a white back, but it is rarely used, since the two Queensland clubs (the Brisbane Lions and Gold Coast Suns) and cross town rivals GWS Giants are the only clubs with which there is a clash. The Swans also wear a white and red v-shaped guernsey for all matches played in Victoria, which replicates the design of the strip when they were South Melbourne. Nike is the current manufacturer of the Swans' apparel. Previous manufacturers were Puma (from mid-1990s to 2009) and ISC (2010 to 2020). Evolution Club song The club song is known as Cheer, Cheer The Red and The White and is to the tune of the Victory March, the fight song of the Notre Dame Fighting Irish in South Bend, Indiana, USA, which was written by University of Notre Dame graduates and brothers Rev. Michael J. Shea and John F. Shea. In 1961, SMFC committee member Mr. Lynn Laurence sought and was granted a copyright from the University and other musical houses to adapt and add lyrics to the Victory March thus creating the new club song, which replaced an adaptation of Springtime in the Rockies by Gene Autry. Port Adelaide also has used the Victory March as the basis for their club song since 1971, though their senior team changed their club song to their current original Power To Win after their entry into the AFL. George Gershwin's Swanee (1919) was used by the club in marketing promotions during the late 1990s. In March 2021, the Swans made a slight but inclusive change to the penultimate line of their club song, with the words "while her loyal sons are marching..." changing to "while our loyal Swans are marching...". Home ground and training base Since the 2016 AFL season, the Swans have played all their home games at the Sydney Cricket Ground, a 48,000 capacity venue located in inner-east suburb of Moore Park. The venue has been home to Swans home games since the club's relocation to Sydney in 1982. In the years 2002–2015, the Swans played between three and four home matches per season and most home finals matches at Stadium Australia (commercially known as ANZ Stadium), an 80,000 capacity stadium located in the west of the city. During the first five years at the ground average crowds were high, but issues with the surface as well as fan and player disengagement resulted in the club ending its association with the venue. The club also trains on the SCG during the season and has its indoor training facilities and offices located within the stadium. During the off-season, when the ground is configured for cricket, the Swans train on the adjacent Tramway Oval (previously known as Lakeside Oval) also located within the Moore Park precinct. The oval is located less than one hundred metres from the SCG and since undergoing a redevelopment in 2018/19, has the same dimensions as the Docklands Stadium in Melbourne. The Swans NEAFL/reserves team have played some home matches at the oval, which has grassed hills and standing areas for several hundred spectators. In October 2018 the club announced it would shift all offices and indoor training facilities to Moore Park's Royal Hall of Industries sometime in the early-to-mid 2020s, after announcing a $55 million deal with the New South Wales Government to redevelop the Hall. The club pulled out of the agreement in April 2020 due to the financial implications of the COVID-19 pandemic. In August 2021, the Swans announced it had re-negotiated a lease with the government to immediately commence the project, which is scheduled to be finished in late 2022. The facility will provide indoor training facilities and administration for the Swans AFL, VFL and AFLW teams and an international-standard netball court and training facility. Rivalries Greater Western Sydney The introduction of the Greater Western Sydney Giants (GWS) to the AFL in 2012 lead to formation of a new rivalry between the two Sydney-based teams, known as the Sydney Derby. In contrast to other cross-city rivalries, the Sydney Derby has been touted as "the AFL's nicest rivalry", due to very little conflict existing between the two clubs. Despite this, continued success from both teams has seen them face off in more finals series than any other cross-city rivalry. The two club have played three finals matches since GWS' inception, all of which have been won by GWS. West Coast Eagles Sydney developed an era-defining rivalry against the Perth-based West Coast Eagles during the mid-2000s. During the period, six consecutive games between the two teams were decided by less than a goal. including two qualifying finals and two grand finals. The rivalry was highlighted by Sydney's four-point win against West Coast in the 2005 Grand Final and West Coast's one-point win against Sydney in the 2006 Grand Final. This rivalry is no longer considered active. Hawthorn The Sydney-Hawthorn rivalry is considered to be one of the "great" rivalries of the 2010s. The two clubs competed against each other in 4 consecutive finals series between 2011 and 2014, including in two grand finals in which the clubs shared one premiership each. In the eight matches between 2016 and 2020, both clubs won four matches each with an average winning margin of nine points, including a period of five consecutive matches with single-digit winning margins. Notable encounters include Round 8 2018, where third-gamer Ben Ronke kicked seven goals, including Sydney's first five, to help Sydney to an eight point victory, and Round 17 2016, where Cyril Rioli kicked a goal with a minute remaining to win the match for Hawthorn. Players Current squad Reserves team The Swans has fielded its reserves team in the Victorian Football League from 2021. The team plays the majority of its home matches at Tramway Oval, and some as curtain raisers to the senior team. Previously, a reserves team was first created for South Melbourne in 1919, initially in the form of the Leopold Football Club, which was the leading junior club in the district and which had won five Metropolitan Junior Football Association premierships in its history. The team played as Leopold until 1924, then changed its name to the South Melbourne Second Eighteen in 1925. The club's seconds (and later, reserves) team, competed in the VFL reserves and its successor, the Victorian State Football League, until that competition's demise at the end of 1999 – despite the club having moved to Sydney in 1982. The team enjoyed little success in the Victorian competition; it was the only reserves team never to win a premiership, and its best performances were losing grand finals in 1927, 1956, 1980 and 1995. In 2000, the Swans reserves team – known as the Redbacks – joined the Sydney AFL competition, but was so dominant in the lower competition that it withdrew prior to the finals series because the club felt the difference in standard was too greatly in favour of the Swans. Between 2001 and 2002 the Swans affiliated themselves with the Port Melbourne Football Club in the VFL, sending most of its reserves players there, while also retaining the Redbacks in the Sydney AFL as a junior development team – which was more suited to the level of competition, but had limited onfield success. Then, from 2003 until 2010, the Sydney reserves recombined to a single team, which contested the higher standard AFL Canberra, winning four consecutive premierships between 2005 and 2008. In 2011 the Swans reserves team joined the newly established North East Australian Football League with the rest of the AFL Canberra competition, and was able to play regular matches against other AFL reserves teams from the Brisbane Lions, Gold Coast Suns and GWS Giants. The team played home games at the Sydney Cricket Ground and will often play as a curtain raiser to senior AFL games. The team was almost always competitive but never won a premiership, eliminated in the Eastern Conference Grand Finals in 2011 and 2012; then losing the overall NEAFL grand final five times: 2013, 2014, 2016, 2017 and 2018. Corporate AdministrationDirectors: Andrew Pridham chairman (2013–present) Andrew Ireland Sam Mostyn Robert Morgan Greg Paramor Darren Steinberg Leo Barry Alexandra Goodfellow Brian TysonCEOs: Tom Harley (2018- Current) Andrew Ireland (2009-2018) Myles Baron-Hay (2004–2009) Phil Mullen Colin Seery Kelvin Templeton Jordan Sembel Supported charities Wally Jackson Research Fund Sydney Australian Football Foundation (SAFF) Supporter base Although a large majority of the existing fan base strongly objected to the relocation of the club from South Melbourne, the Sydney Swans have built a large following in the city they now call home. Attendances and memberships in Sydney grew dramatically during the Lockett era, helped out by the Super League War plaguing Rugby League. Nevertheless, the Swans continue to have a substantial supporter base in Victoria, with attendances for Swans games in Melbourne being much higher than other non-Victorian teams. According to Roy Morgan Research, the club has been the most supported club among all AFL supporters in every year since 2004.Legend: Premiers Grand Finalist Finals Wooden spoon Club honour boards Honour Board Team of the century On 8 August 2003, Sydney named its team of the century. The team was selected from a pool of 66 nominated players. Nominees were required to have played 75 games for the club, and meet one of five other criteria. Between the selected players, they achieved 4500 games played, 11 Brownlow medals and 59 years captaining the club. Hall of Fame {{Australian football Hall of Fame |Current team Name = Sydney Swans | All Team Names = Sydney Swans | ColorA# = ED171F | ColorB# = FFFFFF | ColorC# = ED171F | ColorD# = FFFFFF | | Team Name 1 = Individuals| List 1.1 = Peter BedfordDavid Ackerly Jack Bisset Mark Browning Rod CarterJared Crouch Paul Kelly William Faul Barry Hall Herb Howson Barry Mitchell Bill WindleyBob SkiltonRon Hillis Tadhg Kennelly | List 1.2 = Craig Kimberley Denis McKay Tony Morwood Michael O'Loughlin Charlie Ricketts Bruce Sloss Len Thomas Greg Williams Jimmy Young Peter Burns Paul Roos Bernard Toohey Dennis Carroll Stuart Maxfield Len Mortimer | List 1.3 = Leo Barry Craig Bolton Jim CaldwellRoy CazalyAndrew Dunkley Fred Goldsmith Gerard Healy Herbie Matthews Graeme John Brett Kirk Laurie Nash Adam Goodes Harry Clarke Ryan O'Keefe Ted Richards | List 1.4 = David McLeish David Murphy Rick Quade Lewis Roberts-Thomson Mark Tandy William Thomas Paul Williams Stephen Wright Graham Teasdale Edward Johnson John Rantall Terry Brain Bernie Evans Barry Round | List 1.5 = Mark Bayes Ron Clegg Jude Bolton Bob PrattWarwick Capper Jim Cleary Henry Elms Jack Graham John Heriot Tony Lockett Jim Taylor Vic Belcher Bill Gunn Billy Williams |}} Achievements Club achievements Individual achievements Bob Skilton Medal (Club best and fairest) Brownlow Medal (League best and fairest) Herbie Matthews – 1940 Ron Clegg – 1949 Fred Goldsmith – 1955 Bob Skilton – 1959, 1963, 1968 Peter Bedford – 1970 Graham Teasdale – 1977 Barry Round – 1981 Greg Williams – 1986 Gerard Healy – 1988 Paul Kelly – 1995 Adam Goodes – 2003, 2006 Norm Smith Medal (AFL Grand Final best on ground) Ryan O'Keefe – 2012 Leigh Matthews Trophy (AFLPA Most Valuable Player) Gerard Healy – 1988 Coleman Medal (Leading Goal Kicker) Tony Lockett – 1996, 1998 Lance Franklin – 2014, 2017 AFL Rising Star (Best player under 21) Adam Goodes – 1999 Dan Hannebery – 2010 Callum Mills – 2016 AFLCA Champion Player of the Year 2005 – Barry Hall 2006 – Adam Goodes 2015 – Daniel Hannebery All-Australian An All-Australian team is considered a 'best-of' selection of players for each calendar year, with each player represented in their team position. Each team is selected by a panel of experts. ==== Sporting Lifes All Australian ==== Sporting Life Magazine first pioneered the concept of an All-Australian 'team of the year' in 1947, and would run each year until 1955. The AFL does not recognise the teams selected by Sporting Life. William King – 1947 Ron Clegg – 1949, 1951 Official All Australian teams from the Interstate Carnivals and Australian Football League have been endorsed as official by governing bodies of the sport, such as the Australian National Football Council and the AFL.Interstate carnivals Graeme John – 1966 John Roberts – 1980 Greg Williams – 1986, 1987 Gerard Healy – 1986, 1987, 1988 Bernard Toohey – 1987 Craig Holden – 1987 David Murphy – 1988Australian Football League Greg Smith – 1982 David Ackerly – 1982, 1984 Mark Browning – 1983
not continue to trade until it had offloaded the Swans. A Canberra consortia including the ACTAFL initially proposed to buy the failed club and shift it to Canberra, however the VFL felt this was too extreme a move. The league compromised and along with Aylett, who had denied Canberra a license in 1981, proposed that the Swans play away games in the ACT with a dual aim of giving the club a sustainable supporter base and helping resurrect the code in the ACT which had lost enormous ground to rugby league since the introduction of the Canberra Raiders. However the VFL blocked the move feeling that the club would lose its identity if it were to play matches in Canberra. By mid year the VFL had revoked the Swans license and took over ownership of the club, after an investigation under VFL CEO Ross Oakley determined that it was inable to continue operating. However, there were no buyers. On 6 May 1988 the VFL paid Powerplay just $10 to transfer ownership of the club in an attempt to keep it afloat until a buyer could be found. The VFL would wait months for the club to regain financial security. The VFL had reported that it needed to find a buyer willing to pay at least $4 million in order to make the club financially viable in the medium to long term. In the meantime, the league had secured a sponsor which helped underwrite the club until the sale. At the end of 1988 the VFL re-tendered the Swans license and a group of financial backers including Mike Willesee, Basil Sellers, Peter Weinert and Craig Kimberley purchased the licence and bankrolled the club. Morale at the side plummeted as players were asked to take pay cuts. Legendary coach Tom Hafey was sacked by the club in 1988 after a player-led rebellion at his tough training methods (unusual in the semi-professional days of that era). Capper was sold to the Brisbane Bears for $400,000 in a desperate attempt to improve the club's finances. Instead, it only led to disastrous on-field performances. Instead of a 100-goal-a-season forward, Sydney's goalkicking was led by Bernard Toohey (usually a defender) with 29 in 1989, then Jim West with 34 in 1990. Players left the club in droves, including Brownlow Medalist Greg Williams, Bernard Toohey and Barry Mitchell. The careers of stars such as Dennis Carroll, David Bolton, Ian Roberts, Tony Morwood and David Murphy wound down, while promising young players like Jamie Lawson, Robert Teal and Paul Bryce had their careers cut short by injury. Attendances consistently dropped below 10,000 when the team performed poorly between 1990 and 1994. The nadir came with three consecutive wooden spoons in 1992, 1993 and 1994. The AFL stepped in to save the Swans, offering substantial monetary and management support. The club survived, despite strong rumours in 1992 that it would merge with the Brisbane Bears to form a combined New South Wales/Queensland team, fold altogether, or even move back to South Melbourne. With draft and salary cap concessions in the early 1990s and a series of notable recruits, the team became competitive after the early part of the decade. During this time, the side was largely held together by two inspirational skippers, both from the Wagga Wagga region of country New South Wales, Dennis Carroll and later the courageous captain Paul Kelly. Desperate to hang on, the club was keen to enlist the biggest names and identities in the AFL, and recruited legendary coach Ron Barassi who helped save the club from extinction while serving them as coach from Round 7, 1993 to 1995. At roughly the same time, Hawthorn legend Dermott Brereton was also recruited, albeit with little on-field impact. On a much brighter side for the Swans, their captain Paul Kelly won the League's highest individual honour, the Brownlow Medal, in 1995. A big coup for the club was recruitment of St Kilda Football Club champion Tony "Plugger" Lockett in 1995. Lockett became a cult figure in Sydney, with an instant impact and along with the Super League war in the dominant rival rugby league football code in Australia, helped the Swans to become a powerhouse Sydney icon. 1995 would be Barassi's last year in charge. The Swans won eight games – as many as they did in the previous three seasons combined – and finished with a percentage of over 100 (in fact, they have managed such consistently ever since). They were also one of only two teams to defeat the all-conquering Carlton side of that year. Swans great Paul Kelly also won the Brownlow Medal that year. Barassi left an improving team, a club in a much better state than he found them. Rodney Eade, Paul Roos and premiership winners: 1996–2010 Former Hawthorn player Rodney Eade took over the reins in 1996 and after a slow start (they lost their first two games of the season), turned the club around into powerful force. The Swans ended the minor round on top of the premiership table with 16 wins, 5 losses and 1 draw. In the finals, the Swans won one of the most thrilling AFL preliminary finals in history after Plugger Lockett kicked a behind after the siren to win the game. The Swans lost the grand final to , which had been their first appearance in a grand final since 1945. The game was played in front of 93,102 at the MCG. The Swans then made the finals for four of the next five full years that Rodney Eade was in charge. In 1998 they finished 3rd on the AFL ladder; despite beating in their first final the Swans were then beaten by eventual premiers in the semi-final at the SCG. The 1999 season was a largely uneventful year for the club, the only real highlight being Tony Lockett kicking his record-breaking 1300th goal against in Round 10. The 1999 season ended with a 69-point mauling at the hands of minor premiers . After missing the finals in 2000, the Swans rebounded to finish 7th in 2001, but were beaten by by 55 points in their elimination final at Colonial Stadium. Former Swans favourite son Paul Roos was appointed caretaker coach midway through the 2002 season, replacing Rodney Eade who was removed after Round 12. Roos won six of the remaining 10 games that year (including the last four of the season) and was installed as the permanent coach from the 2003 season onwards, despite rumors that Sydney had nearly concluded a deal with Terry Wallace. Roos continued a record as a successful coach with the Swans for the eight full seasons that would follow. A new home ground in ANZ Stadium (then known as Telstra Stadium) provided increased capacity over the SCG. The Swans' first game played at the Stadium in Round 9, 2002 against attracted 54,169 spectators. The Sydney Swans v Collingwood match on 23 August 2003 set an attendance record for the largest crowd to watch an AFL game outside of Victoria with an official attendance of 72,393 and was the largest home and away AFL crowd at any stadium for 2003. A preliminary final against the Brisbane Lions in 2003 attracted 71,019 people. The Swans lost all three of those significant matches. 2004 saw an average year for Sydney, however one highlight was when they ended 's undefeated start to the season in Round 11. The match was notable for Leo Barry's effort in nullifying the impact of St Kilda full-forward and eventual Coleman Medallist Fraser Gehrig, whom Barry restricted to only two possessions for the entire match. Sydney was able to recruit another St Kilda export in the Lockett mould, Barry Hall. There were obvious parallels to the signing of Lockett (a powerful, tough forward from St Kilda with questions over his discipline and attitude), which left Hall with much to live up to. He flourished in his new surroundings and eventually became a cult figure and club leader in his own right. As the new century dawned, Sydney implemented a policy of giving up high order draft picks in exchange for players who struggled at other clubs. It was during this era that the Swans picked up the likes of Paul Williams, Barry Hall, Craig Bolton, Darren Jolly, Ted Richards, Peter Everitt, Martin Mattner, Rhyce Shaw, Shane Mumford, Ben McGlynn and Mitch Morton, amongst others, and giving up higher order draft picks meant the Swans missed out on the likes of Daniel Motlop, Nick Dal Santo, James Kelly, Courtenay Dempsey and Sam Lonergan who went to , , and the latter two to respectively. This policy is said to have paid off in the Roos era, as they implemented a strict culture of discipline at the club. In 2005, the Swans came under enormous public scrutiny, even from AFL CEO Andrew Demetriou, for their unorthodox, "boring" defense-oriented tactics that included tightly controlling the tempo of the game and starving the opposition of possession (in fact, seven teams that season had their lowest possession total while playing against the Swans). Swans coach Paul Roos maintained that playing contested football was the style used by all recent Premiership-winning teams, and felt that it was ironic that the much criticised strategy proved ultimately successful. After finishing third during the regular season, the Swans lost the second qualifying final against the West Coast Eagles at Subiaco Oval on 2 September by 10.5 (65) to 10.9 (69). This dropped them into a semi-final against the Geelong Cats at the SCG on 9 September, and the Swans trailed the Cats 31–53 before Nick Davis kicked four consecutive goals, with the last one a matter of seconds before the siren, to win the game for Sydney by 7.14 (56) to 7.11 (53). In the first preliminary final at the MCG on 16 September against St Kilda, the Swans used a seven-goal blitz in 11 minutes of the fourth quarter to overturn an 8-point deficit and overrun the Saints by 15.6 (96) to 9.11 (65). The Swans faced the Eagles in a rematch in the AFL Grand Final on 24 September 2005, and this time, they prevailed by four points, final score 8.10 (58) to West Coast's 7.12 (54). In the last few minutes, the Sydney defence held strong, with Leo Barry marking the ball just before the siren to stop the Eagles' final desperate shot at goal. The Premiership was the Swans' first in 72 years and their first since being based in Sydney. On Friday, 30 September 2005, a ticker tape parade down Sydney's George Street was held in honour of the Swans' achievements, which ended with a rally at Town Hall, where Sydney Lord Mayor Clover Moore presented the team with the key to the city. The flag of the Swans also flew on top of the Sydney Harbour Bridge during the week; the same flag was later given to WA premier Geoff Gallop to fly on top of the state legislature in Perth as part of the friendly wager between Gallop and NSW premier Morris Iemma. Off the field the Grand Final success instigated moves to make the club sustainable in the long term and capitalise on the success to grow the code in the state. The Greater Sydney Australian Football Foundation Limited was formed, which would later become the Sydney Swans Foundation aimed initially at raising $5 million in funds to develop the Swans and the code in New South Wales. The Foundation has raised millions since its inception and helped keep the Swans sustainable in Sydney. As reigning premiers, the Sydney Swans started the 2006 season slowly, losing three of their first four games, including in round one to an side that would finish near the bottom of the ladder with only three wins and a draw, and finish with the worst defensive record of any side for the season (Sydney, conversely, had the best defensive record of any side). The 2006 AFL Grand Final was contested between the Sydney Swans and West Coast Eagles at the Melbourne Cricket Ground on 30 September 2006. The West Coast Eagles avenged their 2005 Grand Final defeat by beating the Sydney Swans by one point, only the fourth one-point grand final margin in the competition's history. The rivalry between the Sydney Swans and West Coast Eagles has become one of the great modern rivalries. The six games between the two sides (from the start of the 2005 finals to the first round of 2007 inclusive) were decided by a combined margin of 13 points. Four of those six games were finals and 2 grand finals. Sydney finished the 2007 home and away season in 7th place, and advanced to the finals, where they faced and were defeated by by 38 points in the elimination final. It was their earliest exit from the finals since 2001 and was a culmination of a mostly disappointing season, as only victories against lesser teams saw them through to a fifth consecutive finals campaign. The conclusion of the 2007 trade saw the loss of Adam Schneider and Sean Dempster to St Kilda, the delisting of Simon Phillips, Jonathan Simpkin and Luke Vogels, and the gain of Henry Playfair from Geelong and Martin Mattner from Adelaide. The Swans spent the middle part of the 2008 season inside the top four, however a late form slump which yielded only three wins in the last nine rounds saw the Swans drop to sixth at the conclusion of the 2008 regular season. Having qualified for the finals for a sixth consecutive season, the Swans defeated in the elimination final before losing to the Western Bulldogs the following week. The 2010 season saw Sydney return to the finals by virtue of a fifth-place finish at the end of the regular season. The club defeated by five points in the elimination final before losing to the Western Bulldogs in the semi-finals for the second time in three seasons. The loss signalled the end of the Swans coaching career of Paul Roos as well as that of the playing career of Brett Kirk. John Longmire and COLA controversy: 2011–present Former premiership-winning forward John Longmire took over as coach of Sydney as part of a succession plan initiated by Paul Roos in 2009 prior to the beginning of the 2011 season. He led the club to a seventh-place finish at the end of the regular season. Sydney defeated in an elimination final at Docklands Stadium before losing to in the semi-finals the following week. The 2012 season began for Sydney with the inaugural Sydney Derby against AFL newcomers . After an even and physical first half, Sydney went on to win by 63 points. Subsequent wins over , , and saw Sydney sit second behind on percentage after Round 5, but Sydney would proceed to lose three of their next four matches before embarking on a nine-match winning streak between Rounds 10 and 19 inclusive. Sydney eventually finished the regular season in third place after losing three of their final four matches, all against finalists. Sydney defeated Adelaide and Collingwood in their two final to progress to the 2012 Grand Final. In the grand final, Sydney defeated Hawthorn by ten points in front of 99,683 people, securing the club's fifth premiership. Ryan O'Keefe was named the Norm Smith Medallist. Following the 2013 season, Sydney's continued period of success, in which it has missed the finals only three times since 1995, led to some criticism about a salary cap concession which the club received; an additional Cost of Living Allowance (COLA), due to the higher cost of living in Sydney compared with any other Australian city. It was, however, announced in March 2014 that this allowance would be scrapped. Sydney's 2014 season was extremely successful. The club won twelve consecutive games, equalling their club record that was achieved in 1935. They finished the season as minor premiers, achieving a club record of 17 wins for the season, eclipsing the previous highest of 16. The club defeated Fremantle and North Melbourne to qualify for 2014 Grand Final. Despite their successes over the year, Sydney was defeated in the grand final by Hawthorn. The 63-point loss was Sydney's worst loss of the season, and their highest conceded score in 12 years. Prior to the 2014 trade period, the AFL and Sydney discussed and agreed upon a partial trade ban for the club until the end of the 2016 season, in regards to the COLA arrangements made earlier in the year. The ban would prevent the club from signing new players to the club through any means other than the national draft and, if broken, would cause the forfeit of all remaining COLA payments to the club. Despite complying with the trade ban, Sydney's chief executive Andrew Ireland expressed the club's unhappiness with the ban, believing the ban to have occurred despite the club following the AFL's rules. Following a special meeting of the AFL Commission in December 2014, Sydney and the AFL agreed to relax the trade restrictions - Sydney would be allowed to participate in future trade periods, but would be required to sign players and free agents at or below the average league wage at the time. The following season, Sydney indicated they would further fight the trade restrictions prior to the 2015 trade period. The club lodged a formal submission to the AFL to have the trade ban further altered in August 2015. Following further discussion between Sydney and the AFL, the league further relaxed the trade restrictions for the club. In the revised deal, the club was permitted to replace one player who exited the club with another player on a contract of up to $450,000 per year. If the club chose to take this option, the COLA allowance for 2016 was to be lowered by 9.8% of the exiting player's contract, if the player had been contracted for 2016. After a semi-final loss in 2015, the 2016 season was more successful for Sydney. The club finished as minor premiers with 17 wins, including a 113-point victory over Richmond to claim the minor premiership. Despite a loss in their qualifying final to GWS, the club won their following two finals to qualify for their third grand final in five years. The club was defeated in the grand final by the Western Bulldogs, losing by 22 points. The 2017 season began with six consecutive defeats, becoming the first grand finalist to start a season with six consecutive defeats. However, the club went on to win 13 from their next 15 games, becoming the first team to reach the finals after starting the season with six losses. They won their first match of the interrupted 2020 season against Adelaide at the Adelaide Oval by three points, but won only four more games for the season, missing the finals in consecutive seasons for the first time since 1994–95. The 16th-place finish was also the lowest in club history. After two seasons out of the finals, Sydney rebounded to great effect in 2021. An excellent first month of the season, which saw them upset Brisbane and reigning premiers Richmond, set up a strong home-and-away campaign. Seven wins in their final eight games saw Sydney secure sixth position with a 15–7 win-loss record, just percentage outside the top four. AFLW
been the mainstream interpretation of the New Testament of all three major historical traditions within Christianity – Orthodox, Roman Catholic and Protestant. The text most often evident in favor of the supersessionist view is Hebrews 8:13: "In speaking of 'a new covenant' [Jer. 31.31-32] he has made the first one obsolete." Church Fathers Many Early Christian commentators taught that the Old Covenant was fulfilled and superseded by the New Covenant in Christ, for instance Justin Martyr wrote that the "true spiritual Israel" referred to those who had "been led to God through this crucified Christ". Irenaeus taught that, while the New Covenant had superseded the old, the moral law underlying the Law of Moses continued to stand in the New Covenant. Whereas, Tertullian believed that the New Covenant brought with it a new law, writing: "Who else, therefore, are understood but we, who, fully taught by the new law, observe these practices, the old law being obliterated, the coming of whose abolition the action itself demonstrates. ...Therefore, as we have shown above that the coming cessation of the old law and of the carnal circumcision was declared, so, too, the observance of the new law and the spiritual circumcision has shone out into the voluntary observances of peace." Augustine of Hippo followed the views of the earlier Church Fathers but emphasized the importance to Christianity of the continued existence of the separate Rabbinic Jewish faith: "The Jews ... are thus by their own Scriptures a testimony to us that we have not forged the prophecies about Christ." The Catholic church built its system of eschatology on his theology, where Christ rules the earth spiritually through his triumphant church. Augustine, however, also mentioned to "love" the Jews as a means to convert them to Christianity. Jeremy Cohen, followed by John Y. B. Hood and James Carroll, sees this as having had decisive social consequences, with Carroll saying, "It is not too much to say that, at this juncture, Christianity 'permitted' Judaism to endure because of Augustine." Roman Catholicism Supersessionism is not the name of any official Roman Catholic Church doctrine and the word appears in no Church documents, but official Catholic teaching has reflected varying levels of supersessionist thought throughout its history, especially prior to the mid-twentieth century. The theology that the Jews dissent by continuing to exist outside the Church is extensive in Catholic liturgy and literature. The Second Vatican Council (1962–65) marked a shift in emphasis of official Catholic teaching about Judaism, a shift which may be described as a move from "hard" to "soft" supersessionism, to use the terminology of David Novak. Prior to Vatican II, Catholic doctrine on the matter was characterized by "displacement" or "substitution" theologies, according to which the Church and its New Covenant took the place of Judaism and its "Old Covenant", the latter being rendered void by the coming of Jesus. The nullification of the Old Covenant was often explained in terms of the "deicide charge" that Jews forfeited their covenantal relationship with God by executing the divine Christ. As recently as 1943, Pope Pius XII stated in his encyclical Mystici corporis Christi: At the Second Vatican Council, which was convened two decades after the Holocaust, a different framework emerged on how Catholics should think about the status of the Jewish covenant. The declaration Nostra aetate, which was promulgated in 1965, made several statements which signaled a shift away from "hard supersessionist" replacement thinking which posited that the Jews’ covenant was no longer acknowledged by God. Retrieving Paul's language in chapter 11 of his Epistle to the Romans, the declaration states, "God holds the Jews most dear for the sake of their Fathers; He does not repent of the gifts He makes or of the calls He issues. …Although the Church is the new people of God, the Jews should not be presented as rejected or accursed by God, as if this followed from the Holy Scriptures." Notably, a draft of the declaration contained a passage which originally called for "the entry of that [Jewish] people into the fullness of the people of God established by Christ;" however, at the suggestion of Catholic priest (and convert from Judaism) John M. Oesterreicher, it was replaced in the final promulgated version with the following language: “the Church awaits that day, known to God alone, on which all peoples will address the Lord in a single voice and ‘serve him shoulder to shoulder’ (Zeph 3:9).” Further developments in Catholic thinking on the covenantal status of Jews were led by Pope John Paul II. Among his most noteworthy statements on the matter is that which occurred during his historic visit to the synagogue in Mainz (1980), where he called Jews the "people of God of the Old Covenant, which has never been abrogated by God (cf. Romans 11:29, "for the gifts and the calling of God are irrevocable" [NRSV])." In 1997, John Paul II again affirmed the Jews’ covenantal status: “This people continues in spite of everything to be the people of the covenant and, despite human infidelity, the Lord is faithful to his covenant.” Cardinal Joseph Ratzinger, who later became Pope Benedict XVI writes in his 1999 work Many Religions - One Covenant that "the Sinai [Mosaic] Covenant is indeed superseded." The post-Vatican II shift toward acknowledging the Jews as a covenanted people has led to heated discussions in the Catholic Church over the issue of missionary activity directed toward Jews, with some Catholics theologians with Cardinal Avery Dulles reasoning that "if Christ is the redeemer of the world, every tongue should confess him", while others vehemently oppose "targeting Jews for conversion". Weighing in on this matter, Cardinal Walter Kasper, then President of the Pontifical Commission for Religious Relations with the Jews, reaffirmed the validity of the Jews’ covenant and then continued: In his apostolic exhortation Evangelii gaudium (2013), Pope Francis emphasized communal heritage and mutual respect for each other, writing: Similarly, the words of Cardinal Kasper, "God's grace, which is the grace of Jesus Christ according to our faith, is available to all. Therefore, the Church believes that Judaism, [as] the faithful response of the Jewish people to God's irrevocable covenant, is salvific for them, because God is faithful to his promises," highlight the covenantal relationship of God with the Jewish people, but differs from Pope Francis in calling the Jewish faith salvific. In 2011, Kasper specifically repudiated the notion of "displacement" theology, clarifying that the "New Covenant for Christians is not the replacement (substitution), but the fulfillment of the Old Covenant." These statements by Catholic officials signal a remaining point of debate, wherein some adhere to a movement away from supersessionism, and others remain with a "soft" notion of supersessionism. Traditionalist Catholic groups, such as the Society of St. Pius X, strongly oppose the theological developments concerning Judaism made at Vatican II and retain "hard" supersessionist views. Even among mainstream Catholic groups and official Catholic teaching, elements of "soft" supersessionism remain. The Catechism of the Catholic Church refers to a future corporate repentance on the part of Jews: The glorious Messiah's coming is suspended at every moment of history until his recognition by 'all Israel,' for 'a hardening has come upon part of Israel' in their 'unbelief' toward Jesus [Rom 11:20-26; cf. Mt 23:39]. ... The 'full inclusion' of the Jews in the Messiah's salvation, in the wake of 'the full number of the Gentiles' [Rom 11:12, 25; cf. Lk 21:24], will enable the People of God to achieve 'the measure of the stature of the fullness of Christ,' in which 'God may be all in all.'The Church teaches that there is an integral continuity between the covenants rather than a rupture. In the Second Vatican Council's Lumen gentium (1964), the Church stated that God "chose the race of Israel as a people" and "set up a covenant" with them, instructing them and making them holy. However, "all these things. …were done by way of preparation and as a figure of that new and perfect covenant" instituted by and ratified in Christ (no. 9). Vatican II also affirmed, "the Church is the new people of God" without being "Israel according to the flesh", the Jewish people. In Notes on the Correct Way to Present the Jews and Judaism (1985), the Church stated that the "Church and Judaism cannot then be seen as
of God. The word supersession is used by Sydney Thelwall in the title of chapter three of his 1870 translation of Tertullian's An Answer to the Jews. Christian views The New Testament In the New Testament, Jesus and others repeatedly give Jews priority in their mission, as in Jesus' expression of him coming to the Jews rather than to Gentiles and in Paul the Apostle's formula "first for the Jew, then for the Gentile." Yet after the death of Jesus, the inclusion of the Gentiles as equals in this burgeoning sect of Judaism also caused problems, particularly when it came to Gentiles keeping the Mosaic Law, which was both a major issue at the Council of Jerusalem and a theme of Paul's Epistle to the Galatians, though the relationship of Paul and Judaism is still disputed today. Paul's views on the Jews are complex, but he is generally regarded as the first person to make the claim that by not accepting claims of Jesus' divinity, Jews disqualified themselves from salvation. Paul himself was born a Jew, but after a conversion experience he came to accept Jesus' divinity later in his life. In the opinion of Roman Catholic ex-priest James Carroll, accepting Jesus' divinity, for Paul, was dichotomous with being a Jew. His personal conversion and his understanding of the dichotomy between being Jewish and accepting Jesus' divinity, was the religious philosophy he wanted to see adopted among other Jews of his time. However, New Testament scholar N.T. Wright argues that Paul saw his faith in Jesus as precisely the fulfillment of his Judaism, not that there was any tension between being Jewish and Christian. Christians quickly adopted Paul's views. For most of Christian history, supersessionism has been the mainstream interpretation of the New Testament of all three major historical traditions within Christianity – Orthodox, Roman Catholic and Protestant. The text most often evident in favor of the supersessionist view is Hebrews 8:13: "In speaking of 'a new covenant' [Jer. 31.31-32] he has made the first one obsolete." Church Fathers Many Early Christian commentators taught that the Old Covenant was fulfilled and superseded by the New Covenant in Christ, for instance Justin Martyr wrote that the "true spiritual Israel" referred to those who had "been led to God through this crucified Christ". Irenaeus taught that, while the New Covenant had superseded the old, the moral law underlying the Law of Moses continued to stand in the New Covenant. Whereas, Tertullian believed that the New Covenant brought with it a new law, writing: "Who else, therefore, are understood but we, who, fully taught by the new law, observe these practices, the old law being obliterated, the coming of whose abolition the action itself demonstrates. ...Therefore, as we have shown above that the coming cessation of the old law and of the carnal circumcision was declared, so, too, the observance of the new law and the spiritual circumcision has shone out into the voluntary observances of peace." Augustine of Hippo followed the views of the earlier Church Fathers but emphasized the importance to Christianity of the continued existence of the separate Rabbinic Jewish faith: "The Jews ... are thus by their own Scriptures a testimony to us that we have not forged the prophecies about Christ." The Catholic church built its system of eschatology on his theology, where Christ rules the earth spiritually through his triumphant church. Augustine, however, also mentioned to "love" the Jews as a means to convert them to Christianity. Jeremy Cohen, followed by John Y. B. Hood and James Carroll, sees this as having had decisive social consequences, with Carroll saying, "It is not too much to say that, at this juncture, Christianity 'permitted' Judaism to endure because of Augustine." Roman Catholicism Supersessionism is not the name of any official Roman Catholic Church doctrine and the word appears in no Church documents, but official Catholic teaching has reflected varying levels of supersessionist thought throughout its history, especially prior to the mid-twentieth century. The theology that the Jews dissent by continuing to exist outside the Church is extensive in Catholic liturgy and literature. The Second Vatican Council (1962–65) marked a shift in emphasis of official Catholic teaching about Judaism, a shift which may be described as a move from "hard" to "soft" supersessionism, to use the terminology of David Novak. Prior to Vatican II, Catholic doctrine on the matter was characterized by "displacement" or "substitution" theologies, according to which the Church and its New Covenant took the place of Judaism and its "Old Covenant", the latter being rendered void by the coming of Jesus. The nullification of the Old Covenant was often explained in terms of the "deicide charge" that Jews forfeited their covenantal relationship with God by executing the divine Christ. As recently as 1943, Pope Pius XII stated in his encyclical Mystici corporis Christi: At the Second Vatican Council, which was convened two decades after the Holocaust, a different framework emerged on how Catholics should think about the status of the Jewish covenant. The declaration Nostra aetate, which was promulgated in 1965, made several statements which signaled a shift away from "hard supersessionist" replacement thinking which posited that the Jews’ covenant was no longer acknowledged by God. Retrieving Paul's language in chapter 11 of his Epistle to the Romans, the declaration states, "God holds the Jews most dear for the sake of their Fathers; He does not repent of the gifts He makes or of the calls He issues. …Although the Church is the new people of God, the Jews should not be presented as rejected or accursed by God, as if this followed from the Holy Scriptures." Notably, a draft of the declaration contained a passage which originally called for "the entry of that [Jewish] people into the fullness of the people of God established by Christ;" however, at the suggestion of Catholic priest (and convert from Judaism) John M. Oesterreicher, it was replaced in the final promulgated version with the following language: “the Church awaits that day, known to God alone, on which all peoples will address the Lord in a single voice and ‘serve him shoulder to shoulder’ (Zeph 3:9).” Further developments in Catholic thinking on the covenantal status of Jews were led by Pope John Paul II. Among his most noteworthy statements on the matter is that which occurred during his historic visit to the synagogue in Mainz (1980), where he called Jews the "people of God of the Old Covenant, which has never been abrogated by God (cf. Romans 11:29, "for the gifts and the calling of God are irrevocable" [NRSV])." In 1997, John Paul II again affirmed the Jews’ covenantal status: “This people continues in spite of everything to be the people of the covenant and, despite human infidelity, the Lord is faithful to his covenant.” Cardinal Joseph Ratzinger, who later became Pope Benedict XVI writes in his 1999 work Many Religions - One Covenant that "the Sinai [Mosaic] Covenant is indeed superseded." The post-Vatican II shift toward acknowledging the Jews as a covenanted people has led to heated discussions in the Catholic Church over the issue of missionary activity directed toward Jews, with some Catholics theologians with Cardinal Avery Dulles reasoning that "if Christ is the redeemer of the world, every tongue should confess him", while others vehemently oppose "targeting Jews for conversion". Weighing in on this matter, Cardinal Walter Kasper, then President of the Pontifical Commission for Religious Relations with the Jews, reaffirmed the validity of the Jews’ covenant and then continued: In his apostolic exhortation Evangelii gaudium (2013), Pope Francis emphasized communal heritage and mutual respect for each other, writing: Similarly, the words of Cardinal Kasper, "God's grace, which is the grace of Jesus Christ according to our faith, is
scene" during the 1990s and is now regarded as a completely different subculture. Many software crackers have later grown into extremely capable software reverse engineers; the deep knowledge of assembly required in order to crack protections enables them to reverse engineer drivers in order to port them from binary-only drivers for Windows to drivers with source code for Linux and other free operating systems. Also because music and game intro was such an integral part of gaming the music format and graphics became very popular when hardware became affordable for the home user. With the rise of the Internet, software crackers developed secretive online organizations. In the latter half of the nineties, one of the most respected sources of information about "software protection reversing" was Fravia's website. +HCU The High Cracking University (+HCU) was founded by Old Red Cracker (+ORC), considered a genius of reverse engineering and a legendary figure in RCE, to advance research into Reverse Code Engineering (RCE). He had also taught and authored many papers on the subject, and his texts are considered classics in the field and are mandatory reading for students of RCE. The addition of the "+" sign in front of the nickname of a reverser signified membership in the +HCU. Amongst the students of +HCU were the top of the elite Windows reversers worldwide. +HCU published a new reverse engineering problem annually and a small number of respondents with the best replies qualified for an undergraduate position at the university. +Fravia was a professor at +HCU. Fravia's website was known as "+Fravia's Pages of Reverse Engineering" and he used it to challenge programmers as well as the wider society to "reverse engineer" the "brainwashing of a corrupt and rampant materialism". In its heyday, his website received millions of visitors per year and its influence was "widespread". Nowadays most of the graduates of +HCU have migrated to Linux and few have remained as Windows reversers. The information at the university has been rediscovered by a new generation of researchers and practitioners of RCE who have started new research projects in the field. Methods The most common software crack is the modification of an application's binary to cause or prevent a specific key branch in the program's execution. This is accomplished by reverse engineering the compiled program code using a debugger such as SoftICE, OllyDbg, GDB, or MacsBug until the software cracker reaches the subroutine that contains the primary method of protecting the software (or by disassembling an executable file with a program such as IDA). The binary is then modified using the debugger or a hex editor or monitor in a manner that replaces a prior branching opcode with its complement or a NOP opcode so the key branch will either always execute a specific subroutine or skip over it. Almost all common software cracks are a variation of this type. Proprietary software developers are constantly developing techniques such as code obfuscation, encryption, and self-modifying code to make this modification increasingly difficult. Even with these measures being taken, developers struggle to combat software cracking. This is because it is very common for a professional to publicly release a simple cracked EXE or Retrium Installer for public download, eliminating the need for inexperienced users to crack the software themselves. A specific example of this technique is a crack that removes the expiration period from a time-limited trial of an application. These cracks are usually programs that alter the program executable and sometimes the .dll or .so linked to the application. Similar cracks are available for software that requires a hardware dongle. A company can also break the copy protection of programs that they have legally purchased but that are licensed to particular hardware, so that there is no risk of downtime due to hardware failure (and, of course, no need to restrict oneself to running the software on bought hardware only). Another method is the use of special software such as CloneCD to scan for the use of a commercial copy protection application. After discovering the software used to protect the application, another tool may be used to remove the copy protection from the software on the CD or DVD. This may enable another program such as Alcohol 120%, CloneDVD, Game Jackal, or Daemon Tools to copy the protected software to a user's hard disk. Popular commercial copy protection applications which may be scanned for include SafeDisc and StarForce. In other cases, it might be possible to decompile a program in order to get access to the original source code or code on a level higher than machine code. This is often possible with scripting languages and languages utilizing JIT compilation. An example is cracking (or debugging) on
CPU opcodes, and this would be utilized to examine what the copy-protection was about to do next. Generally there was little to no defense available to the copy protection system, since all its secrets are made visible through the simulation. However, because the simulation itself must run on the original CPU, in addition to the software being hacked, the simulation would often run extremely slowly even at maximum speed. On Atari 8-bit computers, the most common protection method was via "bad sectors". These were sectors on the disk that were intentionally unreadable by the disk drive. The software would look for these sectors when the program was loading and would stop loading if an error code was not returned when accessing these sectors. Special copy programs were available that would copy the disk and remember any bad sectors. The user could then use an application to spin the drive by constantly reading a single sector and display the drive RPM. With the disk drive top removed a small screwdriver could be used to slow the drive RPM below a certain point. Once the drive was slowed down the application could then go and write "bad sectors" where needed. When done the drive RPM was sped up back to normal and an uncracked copy was made. Of course cracking the software to expect good sectors made for readily copied disks without the need to meddle with the disk drive. As time went on more sophisticated methods were developed, but almost all involved some form of malformed disk data, such as a sector that might return different data on separate accesses due to bad data alignment. Products became available (from companies such as Happy Computers) which replaced the controller BIOS in Atari's "smart" drives. These upgraded drives allowed the user to make exact copies of the original program with copy protections in place on the new disk. On the Commodore 64, several methods were used to protect software. For software distributed on ROM cartridges, subroutines were included which attempted to write over the program code. If the software was on ROM, nothing would happen, but if the software had been moved to RAM, the software would be disabled. Because of the operation of Commodore floppy drives, one write protection scheme would cause the floppy drive head to bang against the end of its rail, which could cause the drive head to become misaligned. In some cases, cracked versions of software were desirable to avoid this result. A misaligned drive head was rare usually fixing itself by smashing against the rail stops. Another brutal protection scheme was grinding from track 1 to 40 and back a few times. Most of the early software crackers were computer hobbyists who often formed groups that competed against each other in the cracking and spreading of software. Breaking a new copy protection scheme as quickly as possible was often regarded as an opportunity to demonstrate one's technical superiority rather than a possibility of money-making. Some low skilled hobbyists would take already cracked software and edit various unencrypted strings of text in it to change messages a game would tell a game player, often something considered vulgar. Uploading the altered copies on file sharing networks provided a source of laughs for adult users. The cracker groups of the 1980s started to advertise themselves and their skills by attaching animated screens known as crack intros in the software programs they cracked and released. Once the technical competition had expanded from the challenges of cracking to the challenges of creating visually stunning intros, the foundations for a new subculture known as demoscene were established. Demoscene started to separate itself from the illegal "warez scene" during the 1990s and is now regarded as a completely different subculture. Many software crackers have later grown into extremely capable software reverse engineers; the deep knowledge of assembly required in order to crack protections enables them to reverse engineer drivers in order to port them from binary-only drivers for Windows to drivers with source code for Linux and other free operating systems. Also because music and game intro was such an integral part of gaming the music format and graphics became very popular when hardware became affordable for the home user. With the rise of the Internet, software crackers developed secretive online organizations. In the latter half of the nineties, one of the most respected sources of information about "software protection reversing" was Fravia's website. +HCU The High Cracking University (+HCU) was founded by Old Red Cracker (+ORC), considered a genius of reverse engineering and a legendary figure in RCE, to advance research into Reverse Code Engineering (RCE). He had also taught and authored many papers on the subject, and his texts are considered classics in the field and are mandatory reading for students of RCE. The addition of the "+" sign in front of the nickname of a reverser signified membership in the +HCU. Amongst the students of +HCU were the top of the elite Windows reversers worldwide. +HCU published a new reverse engineering problem annually and a small number of respondents with the best replies qualified for an undergraduate position at the university. +Fravia was a professor at +HCU. Fravia's website was known as "+Fravia's Pages of Reverse Engineering" and he used it to challenge programmers as well as the wider society to "reverse engineer" the "brainwashing of a corrupt and rampant materialism". In its heyday, his website received millions of visitors per year and its influence was "widespread". Nowadays most of the graduates of +HCU have migrated to Linux and few have remained as Windows reversers. The information at the university has been rediscovered by a new generation of researchers and practitioners of RCE who have started new research projects in the field. Methods The most common software crack is the modification of an application's binary to cause or prevent a specific key branch in the program's execution. This is accomplished by reverse engineering the compiled program code using a debugger such as SoftICE, OllyDbg, GDB, or MacsBug until the software cracker reaches the subroutine that contains the primary method of protecting the software (or
Recommendation status, it can not be considered a "web standard" either. Version 1.2 of the specification, however, became a W3C recommendation on June 24, 2003. The SOAP specification was maintained by the XML Protocol Working Group of the World Wide Web Consortium until the group was closed 10 July 2009. SOAP originally stood for "Simple Object Access Protocol" but version 1.2 of the standard dropped this acronym. After SOAP was first introduced, it became the underlying layer of a more complex set of web services, based on WSDL, XSD and UDDI. These different services, especially UDDI, have proved to be of far less interest, but an appreciation of them gives a complete understanding of the expected role of SOAP compared to how web services have actually evolved. SOAP terminology SOAP specification can be broadly defined to be consisting of the following three conceptual components: protocol concepts, encapsulation concepts and network concepts. Protocol concepts SOAP This is a set of rules formalizing and governing the format and processing rules for information exchanged between a SOAP sender and a SOAP receiver. SOAP nodes These are physical/logical machines with processing units which are used to transmit/forward, receive and process SOAP messages. These are analogous to nodes in a network. SOAP roles Over the path of a SOAP message, all nodes assume a specific role. The role of the node defines the action that the node performs on the message it receives. For example, a role "none" means that no node will process the SOAP header in any way and simply transmit the message along its path. SOAP protocol binding A SOAP message needs to work in conjunction with other protocols to be transferred over a network. For example, a SOAP message could use TCP as a lower layer protocol to transfer messages. These bindings are defined in the SOAP protocol binding framework. SOAP features SOAP provides a messaging framework only. However, it can be extended to add features such as reliability, security etc. There are rules to be followed when adding features to the SOAP framework. SOAP module A collection of specifications regarding the semantics of SOAP header to describe any new features being extended upon SOAP. A module needs to realize zero or more features. SOAP requires modules to adhere to prescribed rules. Data encapsulation concepts SOAP message Represents the information being exchanged between 2 SOAP nodes. SOAP envelope It is the enclosing element of an XML message identifying it as a SOAP message. SOAP header block A SOAP header can contain more than one of these blocks, each being a discrete computational block within the header. In general, the SOAP role information is used to target nodes on the path. A header block is said to be targeted at a SOAP node if the SOAP role for the header block is the name of a role in which the SOAP node operates. (ex: A SOAP header block with role attribute as ultimateReceiver is targeted only at the destination node which has this role. A header with a role attribute as next is targeted at each intermediary as well as the destination node.) SOAP header A collection of one or more header blocks targeted at each SOAP receiver. SOAP body Contains the body of the message intended for the SOAP receiver. The interpretation and processing of SOAP body is defined by header blocks. SOAP fault In case a SOAP node fails to process a SOAP message, it adds the fault information to the SOAP fault element. This element is contained within the SOAP body as a child element. Message sender and receiver concepts SOAP sender The node that transmits a SOAP message. SOAP receiver The node receiving a SOAP message. (Could be an intermediary or the destination node). SOAP message path The path consisting of all the nodes that the SOAP message traversed to reach the destination node. Initial SOAP sender This is the node which originated the SOAP message to be transmitted. This is the root of the SOAP message path. SOAP intermediary All the nodes in between the SOAP originator and the intended SOAP destination. It processes the SOAP header blocks targeted at it and acts to forward a SOAP message towards an ultimate SOAP receiver. Ultimate SOAP receiver The destination receiver of the SOAP message. This node is responsible for processing the message body and any header blocks targeted at it. Specification The SOAP specification defines the messaging framework, which consists of: The SOAP processing model, defining the rules for processing a SOAP message The SOAP extensibility model defining the concepts of SOAP features and SOAP modules The SOAP underlying protocol binding framework describing the rules for defining a binding to an underlying protocol that can be used for exchanging SOAP messages between SOAP nodes The SOAP message construct defining the structure of a SOAP message SOAP building blocks A SOAP message is an ordinary XML document containing the following elements: Transport methods Both SMTP and HTTP are valid application layer protocols used as transport for SOAP, but HTTP has gained wider acceptance as it works well with today's internet infrastructure; specifically, HTTP works well with network firewalls. SOAP may also be used over HTTPS (which is the same protocol as HTTP at the application level, but uses an encrypted transport protocol underneath) with either simple or mutual authentication; this is the advocated WS-I method to provide web service security as stated in the WS-I Basic Profile 1.1. This is a major advantage over other distributed protocols like GIOP/IIOP or DCOM, which are normally filtered by firewalls. SOAP over AMQP is yet another possibility that some implementations support. SOAP also has an advantage over DCOM that it is unaffected by security rights configured on the machines that require knowledge of both transmitting and receiving nodes. This lets SOAP be loosely coupled in a way that is not possible with DCOM. There is also the SOAP-over-UDP OASIS standard. Message format XML Information
Contains the body of the message intended for the SOAP receiver. The interpretation and processing of SOAP body is defined by header blocks. SOAP fault In case a SOAP node fails to process a SOAP message, it adds the fault information to the SOAP fault element. This element is contained within the SOAP body as a child element. Message sender and receiver concepts SOAP sender The node that transmits a SOAP message. SOAP receiver The node receiving a SOAP message. (Could be an intermediary or the destination node). SOAP message path The path consisting of all the nodes that the SOAP message traversed to reach the destination node. Initial SOAP sender This is the node which originated the SOAP message to be transmitted. This is the root of the SOAP message path. SOAP intermediary All the nodes in between the SOAP originator and the intended SOAP destination. It processes the SOAP header blocks targeted at it and acts to forward a SOAP message towards an ultimate SOAP receiver. Ultimate SOAP receiver The destination receiver of the SOAP message. This node is responsible for processing the message body and any header blocks targeted at it. Specification The SOAP specification defines the messaging framework, which consists of: The SOAP processing model, defining the rules for processing a SOAP message The SOAP extensibility model defining the concepts of SOAP features and SOAP modules The SOAP underlying protocol binding framework describing the rules for defining a binding to an underlying protocol that can be used for exchanging SOAP messages between SOAP nodes The SOAP message construct defining the structure of a SOAP message SOAP building blocks A SOAP message is an ordinary XML document containing the following elements: Transport methods Both SMTP and HTTP are valid application layer protocols used as transport for SOAP, but HTTP has gained wider acceptance as it works well with today's internet infrastructure; specifically, HTTP works well with network firewalls. SOAP may also be used over HTTPS (which is the same protocol as HTTP at the application level, but uses an encrypted transport protocol underneath) with either simple or mutual authentication; this is the advocated WS-I method to provide web service security as stated in the WS-I Basic Profile 1.1. This is a major advantage over other distributed protocols like GIOP/IIOP or DCOM, which are normally filtered by firewalls. SOAP over AMQP is yet another possibility that some implementations support. SOAP also has an advantage over DCOM that it is unaffected by security rights configured on the machines that require knowledge of both transmitting and receiving nodes. This lets SOAP be loosely coupled in a way that is not possible with DCOM. There is also the SOAP-over-UDP OASIS standard. Message format XML Information Set was chosen as the standard message format because of its widespread use by major corporations and open source development efforts. Typically, XML Information Set is serialized as XML. A wide variety of freely available tools significantly eases the transition to a SOAP-based implementation. The somewhat lengthy syntax of XML can be both a benefit and a drawback. While it promotes readability
due to its rapid redistribution throughout the body (as it has a high volume of distribution). Since its half-life of 5.5 to 26 hours is quite long, consciousness would take a long time to return. In veterinary medicine, sodium thiopental is used to induce anesthesia in animals. Since it is redistributed to fat, certain lean breeds of dogs such as sighthounds will have prolonged recoveries from sodium thiopental due to their lack of body fat and their lean body mass. Conversely, obese animals will have rapid recoveries, but it will be some time before it is entirely removed (metabolized) from their bodies. Sodium thiopental is always administered intravenously, as it can be fairly irritating to tissue and a vesicant; severe tissue necrosis and sloughing can occur if it is injected incorrectly into the tissue around a vein. Medically-induced coma In addition to anesthesia induction, sodium thiopental was historically used to induce medical comas. It has now been superseded by drugs such as propofol because their effects wear off more quickly than thiopental. Patients with brain swelling, causing elevation of intracranial pressure, either secondary to trauma or following surgery, may benefit from this drug. Sodium thiopental, and the barbiturate class of drugs, decrease neuronal activity thereby decreasing cerebral metabolic rate of oxygen consumption (CMRO2), decrease the cerebrovascular response to carbon dioxide, which in turn decreases intracranial pressure. Patients with refractory elevated intracranial pressure (RICH) due to traumatic brain injury (TBI) may have improved long term outcome when barbiturate coma is added to their neurointensive care treatment. Reportedly, thiopental has been shown to be superior to pentobarbital in reducing intracranial pressure. This phenomenon is also called an inverse steal or Robin Hood effect as cerebral perfusion to all parts of the brain is reduced (due to the decreased cerebrovascular response to carbon dioxide) allowing optimal perfusion to ischaemic areas of the brain which have higher metabolic demands, since vessels supplying ischaemic areas of the brain would already be maximally dilated because of the metabolic demand. Status epilepticus In refractory status epilepticus, thiopental may be used to terminate a seizure. Euthanasia Sodium thiopental is used intravenously for the purposes of euthanasia. In both Belgium and the Netherlands, where active euthanasia is allowed by law, the standard protocol recommends sodium thiopental as the ideal agent to induce coma, followed by pancuronium bromide to paralyze muscles and stop breathing. Intravenous administration is the most reliable and rapid way to accomplish euthanasia. Death is quick. A coma is first induced by intravenous administration of 20 mg/kg thiopental sodium (Nesdonal) in a small volume (10 ml physiological saline). Then, a triple dose of a non-depolarizing neuromuscular blocking drug is given, such as 20 mg pancuronium bromide (Pavulon) or 20 mg vecuronium bromide (Norcuron). The muscle relaxant should be given intravenously to ensure optimal bioavailability but pancuronium bromide may be administered intramuscularly at an increased dosage level of 40 mg. Lethal injection Along with pancuronium bromide and potassium chloride, thiopental is used in 34 states of the US to execute prisoners by lethal injection. A very large dose is given to ensure rapid loss of consciousness. Although death usually occurs within ten minutes of the beginning of the injection process, some have been known to take longer. The use of sodium thiopental in execution protocols was challenged in court after a study in the medical journal The Lancet reported autopsies of executed inmates showed the level of thiopental in their bloodstream was insufficient to cause unconsciousness. On December 8, 2009, Ohio became the first state to use a single dose of sodium thiopental for its capital execution, following the failed use of the standard three-drug cocktail during a recent execution, due to inability to locate suitable veins. Kenneth Biros was executed using the single-drug method. Washington State became the second state in the US to use the single-dose sodium thiopental injections for executions. On September 10, 2010, the execution of Cal Coburn Brown was the first in the state to use a single-dose, single-drug injection. His death was pronounced approximately one and a half minutes after the intravenous administration of five grams of the drug. After its use for the execution of Jeffrey Landrigan in the US, the United Kingdom introduced a ban on the export of sodium thiopental in December 2010, after it was established that no European supplies to the US were being used for any other purpose. The restrictions were based on "the European Union Torture Regulation (including licensing of drugs used in execution by lethal injection)". From 21 December 2011, the EU extended trade restrictions to prevent the export of certain medicinal products for capital punishment, stating that "the Union disapproves of capital punishment in all circumstances and works towards its universal abolition". Truth serum Thiopental is still used in places such as India as a truth serum to weaken the resolve of a subject and make the individual more compliant to pressure. Barbiturates decrease both higher cortical brain function and inhibition. Some psychiatrists hypothesize that because lying is more complex than telling the truth, suppression of the higher cortical functions may lead to the uncovering of the truth. The drug tends to make subjects verbose and cooperative with interrogators; however, the reliability of confessions made under thiopental is questionable. Psychiatry Psychiatrists have used thiopental to desensitize patients with phobias and to "facilitate the recall of painful repressed memories." One psychiatrist who worked with thiopental is Jan Bastiaans, who used this procedure to help relieve trauma in surviving victims of the Holocaust. Mechanism of action Sodium thiopental is a member of the barbiturate class of drugs, which are relatively non-selective compounds that bind to an entire superfamily of ligand-gated ion channels, of which the GABAA receptor channel is one of several representatives. This superfamily of ion channels includes the neuronal nicotinic acetylcholine receptor (nAChR),
cortical functions may lead to the uncovering of the truth. The drug tends to make subjects verbose and cooperative with interrogators; however, the reliability of confessions made under thiopental is questionable. Psychiatry Psychiatrists have used thiopental to desensitize patients with phobias and to "facilitate the recall of painful repressed memories." One psychiatrist who worked with thiopental is Jan Bastiaans, who used this procedure to help relieve trauma in surviving victims of the Holocaust. Mechanism of action Sodium thiopental is a member of the barbiturate class of drugs, which are relatively non-selective compounds that bind to an entire superfamily of ligand-gated ion channels, of which the GABAA receptor channel is one of several representatives. This superfamily of ion channels includes the neuronal nicotinic acetylcholine receptor (nAChR), the 5-HT3 receptor, the glycine receptor and others. Surprisingly, while GABAA receptor currents are increased by barbiturates (and other general anesthetics), ligand-gated ion channels that are predominantly permeable for cationic ions are blocked by these compounds. For example, neuronal nAChR are blocked by clinically relevant anesthetic concentrations of both sodium thiopental and pentobarbital. Such findings implicate (non-GABAergic) ligand-gated ion channels, e.g. the neuronal nAChR, in mediating some of the (side) effects of barbiturates. The GABAA receptor is an inhibitory channel that decreases neuronal activity, and barbiturates enhance the inhibitory action of the GABAA receptor. Controversies Following a shortage that led a court to delay an execution in California, a company spokesman for Hospira, the sole American manufacturer of the drug, objected to the use of thiopental in lethal injection. "Hospira manufactures this product because it improves or saves lives, and the company markets it solely for use as indicated on the product labeling. The drug is not indicated for capital punishment and Hospira does not support its use in this procedure." On January 21, 2011, the company announced that it would stop production of sodium thiopental from its plant in Italy because Italian authorities couldn't guarantee that exported quantities of the drug would not be used in executions. Italy was the only viable place where the company could produce sodium thiopental, leaving the US without a supplier. In October 2015 the U.S. Food and Drug Administration confiscated an overseas shipment of thiopental destined for the states of Arizona and Texas. FDA spokesman Jeff Ventura said in a statement, "Courts have concluded that sodium thiopental for the injection in humans is an unapproved drug and may not be imported into the country". Metabolism Thiopental rapidly and easily crosses the blood–brain barrier as it is a lipophilic molecule. As with all lipid-soluble anaesthetic drugs, the short duration of action of sodium thiopental is due almost entirely to its redistribution away from central circulation into muscle and fatty tissue, due to its very high lipid–water partition coefficient (approximately 10), leading to sequestration in fatty tissue. Once redistributed, the free fraction in the blood is metabolized in the liver by zero-order kinetics. Sodium thiopental is mainly metabolized to pentobarbital, 5-ethyl-5-(1'-methyl-3'-hydroxybutyl)-2-thiobarbituric acid, and 5-ethyl-5-(1'-methyl-3'-carboxypropyl)-2-thiobarbituric acid. Dosage The usual dose range for induction of anesthesia using thiopental is from 3 to 6 mg/kg; however, there are many factors that can alter this. Premedication with sedatives such as benzodiazepines or clonidine will reduce requirements due to drug synergy, as do specific disease states and other patient factors. Among patient factors are: age, sex, and lean body mass. Specific disease conditions that can alter the dose requirements of thiopentone and for that matter any other intravenous anaesthetic are: hypovolemia, burns, azotemia, liver failure, hypoproteinemia, etc. Side effects As with nearly all anesthetic drugs, thiopental causes cardiovascular and respiratory depression resulting in hypotension, apnea, and airway obstruction. For these reasons, only suitably trained medical personnel should give thiopental in an environment suitably equipped to deal with these effects. Side effects include headache, agitated emergence, prolonged somnolence, and nausea. Intravenous administration of sodium thiopental is followed instantly by an odor and/or taste sensation, sometimes described as being similar to rotting onions, or to garlic. The hangover from the side effects may last up to 36 hours. Although each molecule of thiopental contains one sulfur atom, it is not a sulfonamide, and does not show the allergic reactions of sulfa/sulpha drugs. Contraindications Thiopental should be used with caution in cases of liver disease, Addison's disease, myxedema, severe heart disease, severe hypotension, a severe breathing disorder, or a family history of porphyria. Co-administration of pentoxifylline and thiopental causes death by acute pulmonary edema in rats. This pulmonary edema was not mediated by cardiac failure or by pulmonary hypertension but was due to increased pulmonary vascular permeability. History Sodium thiopental was discovered in the early 1930s by Ernest H. Volwiler and Donalee L. Tabern, working for Abbott Laboratories. It was first used in human beings on March 8, 1934, by Dr. Ralph M. Waters in an investigation of its properties, which were short-term anesthesia and surprisingly little analgesia. Three months later, Dr. John S. Lundy started a clinical trial of thiopental at the Mayo Clinic at the request of Abbott. Abbott continued to make the
Mode 1, there is a close similarity of some Oldowan and some Acheulean, which can lead to confusion. Some Oldowan tools are more carefully prepared to form a more regular edge. One distinguishing criterion is the size of the flakes. In contrast to the Oldowan "small flake" tradition, Acheulean is "large flake:" "The primary technological distinction remaining between Oldowan and the Acheulean is the preference for large flakes (>10 cm) as blanks for making large cutting tools (handaxes and cleavers) in the Acheulean." "Large Cutting Tool (LCT)" has become part of the standard terminology as well. In North Africa, the presence of Mode 2 remains a mystery, as the oldest finds are from Thomas Quarry in Morocco at 0.9 mya. Archaeological attention, however, shifts to the Jordan Rift Valley, an extension of the East African Rift Valley (the east bank of the Jordan is slowly sliding northward as East Africa is thrust away from Africa). Evidence of use of the Nile Valley is in deficit, but Hominans could easily have reached the palaeo-Jordan river from Ethiopia along the shores of the Red Sea, one side or the other. A crossing would not have been necessary, but it is more likely there than over a theoretical but unproven land bridge through either Gibraltar or Sicily. Meanwhile, Acheulean went on in Africa past the 1.0 mya mark and also past the extinction of H. erectus there. The last Acheulean in East Africa is at Olorgesailie, Kenya, dated to about 0.9 mya. Its owner was still H. erectus, but in South Africa, Acheulean at Elandsfontein, 1.0–0.6 mya, is associated with Saldanha man, classified as H. heidelbergensis, a more advanced, but not yet modern, descendant most likely of H. erectus. The Thoman Quarry Hominans in Morocco similarly are most likely Homo rhodesiensis, in the same evolutionary status as H. heidelbergensis. Acheulean out of Africa Mode 2 is first known out of Africa at 'Ubeidiya, Israel, a site now on the Jordan River, then frequented over the long term (hundreds of thousands of years) by Homo on the shore of a variable-level palaeo-lake, long since vanished. The geology was created by successive "transgression and regression" of the lake resulting in four cycles of layers. The tools are located in the first two, Cycles Li (Limnic Inferior) and Fi (Fluviatile Inferior), but mostly in Fi. The cycles represent different ecologies and therefore different cross-sections of fauna, which makes it possible to date them. They appear to be the same faunal assemblages as the Ferenta Faunal Unit in Italy, known from excavations at Selvella and Pieterfitta, dated to 1.6–1.2 mya. At 'Ubeidiya the marks on the bones of the animal species found there indicate that the manufacturers of the tools butchered the kills of large predators, an activity that has been termed "scavenging". There are no living floors, nor did they process bones to obtain the marrow. These activities cannot be understood therefore as the only or even the typical economic activity of Hominans. Their interests were selective: they were primarily harvesting the meat of Cervids, which is estimated to have been available without spoiling for up to four days after the kill. The majority of the animals at the site were of "Palaearctic biogeographic origin". However, these overlapped in range on 30–60% of "African biogeographic origin". The biome was Mediterranean, not savanna. The animals were not passing through; there was simply an overlap of normal ranges. Of the Hominans, H. erectus left several cranial fragments. Teeth of undetermined species may have been H. ergaster. The tools are classified as "Lower Acheulean" and "Developed Oldowan". The latter is a disputed classification created by Mary Leakey to describe an Acheulean-like tradition in Bed II at Olduvai. It is dated 1.53–1.27 mya. The date of the tools therefore probably does not exceed 1.5 mya; 1.4 is often given as a date. This chronology, which is definitely later than in Kenya, supports the "out of Africa" hypothesis for Acheulean, if not for the Hominans. From Southwest Asia, as the Levant is now called, the Acheulean extended itself more slowly eastward, arriving at Isampur, India, about 1.2 mya. It does not appear in China and Korea until after 1mya and not at all in Indonesia. There is a discernible boundary marking the furthest extent of the Acheulean eastward before 1 mya, called the Movius Line, after its proposer, Hallam L. Movius. On the east side of the line the small flake tradition continues, but the tools are additionally worked Mode 1, with flaking down the sides. In Athirampakkam at Chennai in Tamil Nadu the Acheulean age started at 1.51 mya and it is also prior than North India and Europe. The cause of the Movius Line remains speculative, whether it represents a real change in technology or a limitation of archeology, but after 1 mya evidence not available to Movius indicates the prevalence of Acheulean. For example, the Acheulean site at Bose, China, is dated 0.803±3K mya. The authors of this chronologically later East Asian Acheulean remain unknown, as does whether it evolved in the region or was brought in. There is no named boundary line between Mode 1 and Mode 2 on the west; nevertheless, Mode 2 is equally late in Europe as it is in the Far East. The earliest comes from a rock shelter at Estrecho de Quípar in Spain, dated to greater than 0.9 mya. Teeth from an undetermined Hominan were found there also. The last Mode 2 in Southern Europe is from a deposit at Fontana Ranuccio near Anagni in Italy dated to 0.45 mya, which is generally linked to Homo cepranensis, a "late variant of H. erectus", a fragment of whose skull was found at Ceprano nearby, dated 0.46 mya. Middle Paleolithic This period is best known as the era during which the Neanderthals lived in Europe and the Near East (c. 300,000–28,000 years ago). Their technology is mainly the Mousterian, but Neanderthal physical characteristics have been found also in ambiguous association with the more recent Châtelperronian archeological culture in Western Europe and several local industries like the Szeletian in Eastern Europe/Eurasia. There is no evidence for Neanderthals in Africa, Australia or the Americas. Neanderthals nursed their elderly and practised ritual burial indicating an organised society. The earliest evidence (Mungo Man) of settlement in Australia dates to around 40,000 years ago when modern humans likely crossed from Asia by island-hopping. Evidence for symbolic behavior such as body ornamentation and burial is ambiguous for the Middle Paleolithic and still subject to debate. The Bhimbetka rock shelters exhibit the earliest traces of human life in India, some of which are approximately 30,000 years old. Upper Paleolithic From 50,000 to 10,000 years ago in Europe, the Upper Paleolithic ends with the end of the Pleistocene and onset of the Holocene era (the end of the last ice age). Modern humans spread out further across the Earth during the period known as the Upper Paleolithic. The Upper Paleolithic is marked by a relatively rapid succession of often complex stone artifact technologies and a large increase in the creation of art and personal ornaments. During period between 35 and 10 kya evolved: from 38 to 30 kya Châtelperronian, 40–28 Aurignacian, 28–22 Gravettian, 22–17 Solutrean, and 18–10 Magdalenian. All of these industries except the Châtelperronian are associated with anatomically modern humans. Authorship of the Châtelperronian is still the subject of much debate. Most scholars date the arrival of humans in Australia at 40,000 to 50,000 years ago, with a possible range of up to 125,000 years ago. The earliest anatomically modern human remains found in Australia (and outside of Africa) are those of Mungo Man; they have been dated at 42,000 years old. The Americas were colonised via the Bering land bridge which was exposed during this period by lower sea levels. These people are called the Paleo-Indians, and the earliest accepted dates are those of the Clovis culture sites, some 13,500 years ago. Globally, societies were hunter-gatherers but evidence of regional identities begins to appear in the wide variety of stone tool types being developed to suit very different environments. Epipaleolithic/Mesolithic The period starting from the end of the last ice age, 10,000 years ago, to around 6,000 years ago was characterized by rising sea levels and a need to adapt to a changing environment and find new food sources. The development of Mode 5 (microlith) tools began in response to these changes. They were derived from the previous Paleolithic tools, hence the term Epipaleolithic, or were intermediate between the Paleolithic and the Neolithic, hence the term Mesolithic (Middle Stone Age), used for parts of Eurasia, but not outside it. The choice of a word depends on exact circumstances and the inclination of the archaeologists excavating the site. Microliths were used in the manufacture of more efficient composite tools, resulting in an intensification of hunting and fishing and with increasing social activity the development of more complex settlements, such as Lepenski Vir. Domestication of the dog as a hunting companion probably dates to this period. The earliest known battle occurred during the Mesolithic period at a site in Egypt known as Cemetery 117. Neolithic The Neolithic, or New Stone Age, was approximately characterized by the adoption of agriculture. The shift from food gathering to food producing, in itself one of the most revolutionary changes in human history, was accompanied by the so-called Neolithic Revolution: the development of pottery, polished stone tools, and construction of more complex, larger settlements such as Göbekli Tepe and Çatal Hüyük. Some of these features began in certain localities even earlier, in the transitional Mesolithic. The first Neolithic cultures started around 7000 BCE in the fertile crescent and spread concentrically to other areas of the world; however, the Near East was probably not the only nucleus of agriculture, the cultivation of maize in Meso-America and of rice in the Far East being others. Due to the increased need to harvest and process plants, ground stone and polished stone artifacts became much more widespread, including tools for grinding, cutting, and chopping. Skara Brae located in Orkney off Scotland is one of Europe's best examples of a Neolithic village. The community contains stone beds, shelves and even an indoor toilet linked to a stream. The first large-scale constructions were built, including settlement towers and walls, e.g., Jericho (Tell es-Sultan) and ceremonial sites, e.g.: Stonehenge. The Ġgantija temples of Gozo in the Maltese archipelago are the oldest surviving free standing structures in the world, erected c. 3600–2500 BCE. The earliest evidence for established trade exists in the Neolithic with newly settled people importing exotic goods over distances of many hundreds of miles. These facts show that there were sufficient resources and co-operation to enable large groups to work on these projects. To what extent this was a basis for the development of elites and social hierarchies is a matter of ongoing debate. Although some late Neolithic societies formed complex stratified chiefdoms similar to Polynesian societies such as the Ancient Hawaiians, based on the societies of modern tribesmen at an equivalent technological level, most Neolithic societies were relatively simple and egalitarian. A comparison of art in the two ages leads some theorists to conclude that Neolithic cultures were noticeably more hierarchical than the Paleolithic cultures that preceded them. African chronology Early Stone Age (ESA) The Early Stone Age in Africa is not to be identified with "Old Stone Age", a translation of Paleolithic, or with Paleolithic, or with the "Earlier Stone Age" that originally meant what became the Paleolithic and Mesolithic. In the initial decades of its definition by the Pan-African Congress of Prehistory, it was parallel in Africa to the Upper and Middle Paleolithic. However, since then Radiocarbon dating has shown that the Middle Stone Age is in fact contemporaneous with the Middle Paleolithic. The Early Stone Age therefore is contemporaneous with the Lower Paleolithic and happens to include the same main technologies, Oldowan and Acheulean, which produced Mode 1 and Mode 2 stone tools respectively. A distinct regional term is warranted, however, by the location and chronology of the sites and the exact typology. Middle Stone Age (MSA) The Middle Stone Age was a period of African prehistory between Early Stone Age and Late Stone Age. It began around 300,000 years ago and ended around 50,000 years ago. It is considered as an equivalent of European Middle Paleolithic. It is associated with anatomically modern or almost modern Homo sapiens. Early physical evidence comes from Omo and Herto, both in Ethiopia and dated respectively at c. 195 ka and at c. 160 ka. Later Stone Age (LSA) The Later Stone Age (LSA, sometimes also called the Late Stone Age) refers to a period in African prehistory. Its beginnings are roughly contemporaneous with the European Upper Paleolithic. It lasts until historical times and this includes cultures corresponding to Mesolithic and Neolithic in other regions. Material culture Tools Stone tools were made from a variety of stones. For example, flint and chert were shaped (or chipped) for use as cutting tools and weapons, while basalt and sandstone were used for ground stone tools, such as quern-stones. Wood, bone, shell, antler (deer) and other materials were widely used, as well. During the most recent part of the period, sediments (such as clay) were used to make pottery. Agriculture was developed and certain animals were domesticated as well. Some species of
is the making and often immediate use of small flakes. Another naming scheme is "Pebble Core Technology (PBC)":Pebble cores are ... artifacts that have been shaped by varying amounts of hard-hammer percussion. Various refinements in the shape have been called choppers, discoids, polyhedrons, subspheroid, etc. To date no reasons for the variants have been ascertained:From a functional standpoint, pebble cores seem designed for no specific purpose. However, they would not have been manufactured for no purpose:Pebble cores can be useful in many cutting, scraping or chopping tasks, but ... they are not particularly more efficient in such tasks than a sharp-edged rock. The whole point of their utility is that each is a "sharp-edged rock" in locations where nature has not provided any. There is additional evidence that Oldowan, or Mode 1, tools were utilized in "percussion technology"; that is, they were designed to be gripped at the blunt end and strike something with the edge, from which use they were given the name of choppers. Modern science has been able to detect mammalian blood cells on Mode 1 tools at Sterkfontein, Member 5 East, in South Africa. As the blood must have come from a fresh kill, the tool users are likely to have done the killing and used the tools for butchering. Plant residues bonded to the silicon of some tools confirm the use to chop plants. Although the exact species authoring the tools remains unknown, Mode 1 tools in Africa were manufactured and used predominantly by Homo habilis. They cannot be said to have developed these tools or to have contributed the tradition to technology. They continued a tradition of yet unknown origin. As chimpanzees sometimes naturally use percussion to extract or prepare food in the wild, and may use either unmodified stones or stones that they have split, creating an Oldowan tool, the tradition may well be far older than its current record. Towards the end of Oldowan in Africa a new species appeared over the range of Homo habilis: Homo erectus. The earliest "unambiguous" evidence is a whole cranium, KNM-ER 3733 (a find identifier) from Koobi Fora in Kenya, dated to 1.78 mya. An early skull fragment, KNM-ER 2598, dated to 1.9 mya, is considered a good candidate also. Transitions in paleoanthropology are always hard to find, if not impossible, but based on the "long-legged" limb morphology shared by H. habilis and H. rudolfensis in East Africa, an evolution from one of those two has been suggested. The most immediate cause of the new adjustments appears to have been an increasing aridity in the region and consequent contraction of parkland savanna, interspersed with trees and groves, in favor of open grassland, dated 1.8–1.7 mya. During that transitional period the percentage of grazers among the fossil species increased from 15–25% to 45%, dispersing the food supply and requiring a facility among the hunters to travel longer distances comfortably, which H. erectus obviously had. The ultimate proof is the "dispersal" of H. erectus "across much of Africa and Asia, substantially before the development of the Mode 2 technology and use of fire ...." H. erectus carried Mode 1 tools over Eurasia. According to the current evidence (which may change at any time) Mode 1 tools are documented from about 2.6 mya to about 1.5 mya in Africa, and to 0.5 mya outside of it. The genus Homo is known from H. habilis and H. rudolfensis from 2.3 to 2.0 mya, with the latest habilis being an upper jaw from Koobi Fora, Kenya, from 1.4 mya. H. erectus is dated 1.8–0.6 mya. According to this chronology Mode 1 was inherited by Homo from unknown Hominans, probably Australopithecus and Paranthropus, who must have continued on with Mode 1 and then with Mode 2 until their extinction no later than 1.1 mya. Meanwhile, living contemporaneously in the same regions H. habilis inherited the tools around 2.3 mya. At about 1.9 mya H. erectus came on stage and lived contemporaneously with the others. Mode 1 was now being shared by a number of Hominans over the same ranges, presumably subsisting in different niches, but the archaeology is not precise enough to say which. Oldowan out of Africa Tools of the Oldowan tradition first came to archaeological attention in Europe, where, being intrusive and not well defined, compared to the Acheulean, they were puzzling to archaeologists. The mystery would be elucidated by African archaeology at Olduvai, but meanwhile, in the early 20th century, the term "Pre-Acheulean" came into use in climatology. C.E.P, Brooks, a British climatologist working in the United States, used the term to describe a "chalky boulder clay" underlying a layer of gravel at Hoxne, central England, where Acheulean tools had been found. Whether any tools would be found in it and what type was not known. Hugo Obermaier, a contemporary German archaeologist working in Spain, quipped:Unfortunately, the stage of human industry which corresponds to these deposits cannot be positively identified. All we can say is that it is pre-Acheulean. This uncertainty was clarified by the subsequent excavations at Olduvai; nevertheless, the term is still in use for pre-Acheulean contexts, mainly across Eurasia, that are yet unspecified or uncertain but with the understanding that they are or will turn out to be pebble-tool. There are ample associations of Mode 2 with H. erectus in Eurasia. H. erectus – Mode 1 associations are scantier but they do exist, especially in the Far East. One strong piece of evidence prevents the conclusion that only H. erectus reached Eurasia: at Yiron, Israel, Mode 1 tools have been found dating to 2.4 mya, about 0.5 my earlier than the known H. erectus finds. If the date is correct, either another Hominan preceded H. erectus out of Africa or the earliest H. erectus has yet to be found. After the initial appearance at Gona in Ethiopia at 2.7 mya, pebble tools date from 2.0 mya at Sterkfontein, Member 5, South Africa, and from 1.8 mya at El Kherba, Algeria, North Africa. The manufacturers had already left pebble tools at Yiron, Israel, at 2.4 mya, Riwat, Pakistan, at 2.0 mya, and Renzidong, South China, at over 2 mya. The identification of a fossil skull at Mojokerta, Pernung Peninsula on Java, dated to 1.8 mya, as H. erectus, suggests that the African finds are not the earliest to be found in Africa, or that, in fact, erectus did not originate in Africa after all but on the plains of Asia. The outcome of the issue waits for more substantial evidence. Erectus was found also at Dmanisi, Georgia, from 1.75 mya in association with pebble tools. Pebble tools are found the latest first in southern Europe and then in northern. They begin in the open areas of Italy and Spain, the earliest dated to 1.6 mya at Pirro Nord, Italy. The mountains of Italy are rising at a rapid rate in the framework of geologic time; at 1.6 mya they were lower and covered with grassland (as much of the highlands still are). Europe was otherwise mountainous and covered over with dense forest, a formidable terrain for warm-weather savanna dwellers. Similarly there is no evidence that the Mediterranean was passable at Gibraltar or anywhere else to H. erectus or earlier hominans. They might have reached Italy and Spain along the coasts. In northern Europe pebble tools are found earliest at Happisburgh, United Kingdom, from 0.8 mya. The last traces are from Kent's Cavern, dated 0.5 mya. By that time H. erectus is regarded as having been extinct; however, a more modern version apparently had evolved, Homo heidelbergensis, who must have inherited the tools. He also explains the last of the Acheulean in Germany at 0.4 mya. In the late 19th and early 20th centuries archaeologists worked on the assumptions that a succession of Hominans and cultures prevailed, that one replaced another. Today the presence of multiple hominans living contemporaneously near each other for long periods is accepted as proved true; moreover, by the time the previously assumed "earliest" culture arrived in northern Europe, the rest of Africa and Eurasia had progressed to the Middle and Upper Palaeolithic, so that across the earth all three were for a time contemporaneous. In any given region there was a progression from Oldowan to Acheulean, Lower to Upper, no doubt. Acheulean in Africa The end of Oldowan in Africa was brought on by the appearance of Acheulean, or Mode 2, stone tools. The earliest known instances are in the 1.7–1.6 mya layer at Kokiselei, West Turkana, Kenya. At Sterkfontein, South Africa, they are in Member 5 West, 1.7–1.4 mya. The 1.7 is a fairly certain, fairly standard date. Mode 2 is often found in association with H. erectus. It makes sense that the most advanced tools should have been innovated by the most advanced Hominan; consequently, they are typically given credit for the innovation. A Mode 2 tool is a biface consisting of two concave surfaces intersecting to form a cutting edge all the way around, except in the case of tools intended to feature a point. More work and planning go into the manufacture of a Mode 2 tool. The manufacturer hits a slab off a larger rock to use as a blank. Then large flakes are struck off the blank and worked into bifaces by hard-hammer percussion on an anvil stone. Finally the edge is retouched: small flakes are hit off with a bone or wood soft hammer to sharpen or resharpen it. The core can be either the blank or another flake. Blanks are ported for manufacturing supply in places where nature has provided no suitable stone. Although most Mode 2 tools are easily distinguished from Mode 1, there is a close similarity of some Oldowan and some Acheulean, which can lead to confusion. Some Oldowan tools are more carefully prepared to form a more regular edge. One distinguishing criterion is the size of the flakes. In contrast to the Oldowan "small flake" tradition, Acheulean is "large flake:" "The primary technological distinction remaining between Oldowan and the Acheulean is the preference for large flakes (>10 cm) as blanks for making large cutting tools (handaxes and cleavers) in the Acheulean." "Large Cutting Tool (LCT)" has become part of the standard terminology as well. In North Africa, the presence of Mode 2 remains a mystery, as the oldest finds are from Thomas Quarry in Morocco at 0.9 mya. Archaeological attention, however, shifts to the Jordan Rift Valley, an extension of the East African Rift Valley (the east bank of the Jordan is slowly sliding northward as East Africa is thrust away from Africa). Evidence of use of the Nile Valley is in deficit, but Hominans could easily have reached the palaeo-Jordan river from Ethiopia along the shores of the Red Sea, one side or the other. A crossing would not have been necessary, but it is more likely there than over a theoretical but unproven land bridge through either Gibraltar or Sicily. Meanwhile, Acheulean went on in Africa past the 1.0 mya mark and also past the extinction of H. erectus there. The last Acheulean in East Africa is at Olorgesailie, Kenya, dated to about 0.9 mya. Its owner was still H. erectus, but in South Africa, Acheulean at Elandsfontein, 1.0–0.6 mya, is associated with Saldanha man, classified as H. heidelbergensis, a more advanced, but not yet modern, descendant most likely of H. erectus. The Thoman Quarry Hominans in Morocco similarly are most likely Homo rhodesiensis, in the same evolutionary status as H. heidelbergensis. Acheulean out of Africa Mode 2 is first known out of Africa at 'Ubeidiya, Israel, a site now on the Jordan River, then frequented over the long term (hundreds of thousands of years) by Homo on the shore of a variable-level palaeo-lake, long since vanished. The geology was created by successive "transgression and regression" of the lake resulting in four cycles of layers. The tools are located in the first two, Cycles Li (Limnic Inferior) and Fi (Fluviatile Inferior), but mostly in Fi. The cycles represent different ecologies and therefore different cross-sections of fauna, which makes it possible to date them. They appear to be the same faunal assemblages as the Ferenta Faunal Unit in Italy, known from excavations at Selvella and Pieterfitta, dated to 1.6–1.2 mya. At 'Ubeidiya the marks on the bones of the animal species found there indicate that the manufacturers of the tools butchered the kills of large predators, an activity that has been termed "scavenging". There are no living floors, nor did they process bones to obtain the marrow. These activities cannot be understood therefore as the only or even the typical economic activity of Hominans. Their interests were selective: they were primarily harvesting the meat of Cervids, which is estimated to have been available without spoiling for up to four days after the kill. The majority of the animals at the site were of "Palaearctic biogeographic origin". However, these overlapped in range on 30–60% of "African biogeographic origin". The biome was Mediterranean, not savanna. The animals were not passing through; there was simply an overlap of normal ranges. Of the Hominans, H. erectus left several cranial fragments. Teeth of undetermined species may have been H. ergaster. The tools are classified as "Lower Acheulean" and "Developed Oldowan". The latter is a disputed classification created by Mary Leakey to describe an Acheulean-like tradition in Bed II at Olduvai. It is dated 1.53–1.27 mya. The date of the tools therefore probably does not exceed 1.5 mya; 1.4 is often given as a date. This chronology, which is definitely later than in Kenya, supports the "out of Africa" hypothesis for Acheulean, if not for the Hominans. From Southwest Asia, as the Levant is now called, the Acheulean extended itself more slowly eastward, arriving at Isampur, India, about 1.2 mya. It does not appear in China and Korea until after 1mya and not at all in
Nf4 h5 6. Ng6# In 2003, ChessBase posted a fifth variation, attributed to Brian Stewart. After the first bullet took out the knight, if the second had removed the g-pawn rather than the h-pawn, Charles would be able to mate in ten. 1. hxg3 Be1 2. Rg4 Bxg3 3. Rxg3 Kh4 4. Kf4 h5 5. Rg2 Kh3 6. Kf3 h4 7. Rg4 Kh2 8. Rxh4+ Kg1 9. Rh3 Kf1 10. Rh1# Puzzles Trick Donkeys problem One of Loyd's notable puzzles was the "Trick Donkeys". It was based on a similar puzzle involving dogs published in 1857. In the problem, the solver must cut the drawing along the dotted lines and rearrange the three pieces so that the riders appear to be riding the donkeys. Vanishing area puzzle A square with a side length of 8 units ("chessboard") is dissected into four pieces, which can be assembled into a 5x13 rectangle. Since the area of the square is 64 units but the area of the rectangle is 65 units, this seems paradoxical at first. However it is just an optical illusion as the pieces don't fit exactly to form a rectangle, but leave small barely visible gap along the diagonal. This puzzle is also known as the Chessboard paradox or paradox of Loyd and Schlömilch. Back from the Klondike This is one of Sam Loyd's most famous puzzles, first printed in the New York Journal and Advertiser, April 24, 1898 (as far as available evidence indicates). Loyd's original instructions were to: Start from that heart in the center and go three steps in a straight line in any one of the eight directions, north, south, east or west, or on the bias, as the ladies say, northeast, northwest, southeast or southwest. When you have gone three steps in a straight line, you will reach a square with a number on it, which indicates the second day's journey, as many steps as it tells, in a straight line in any of the eight directions. From this new point when reached, march on again according to the number indicated, and continue on, following the requirements of the numbers reached, until you come upon a square with a number which will carry you just one step beyond the border, when you are supposed to be out of the woods and can holler all you want, as you will have solved the puzzle. Books Sam Loyd's Book of Tangram Puzzles (): by Sam Loyd
his minister, Christian Albert Grosthusen, some of the contests being mentioned by Voltaire. One day while so engaged, the game had advanced to this stage, and Charles (White) had just announced mate in three." 1. Rxg3 Bxg3 2. Nf3 Bxh2 3. g4 "Scarcely had he uttered the words, when a Turkish bullet, shattering the window, dashed the White knight off of the board in fragments. Grothusen started violently, but Charles, with utmost coolness, begged him to put back the other knight and work out the mate, observing that it was pretty enough. But another glance at the board made Charles smile. We do not need the knight. I can give it to you and still mate in four!" 1. hxg3 Be3 2. Rg4 Bg5 3. Rh4+ Bxh4 4. g4# Who would believe it, he had scarcely spoken when another bullet flew across the room, and the pawn at h2 shared the fate of the knight. Grothusen turned pale. "You have our good friends the Turks with you," said the king unconcerned, "it can scarcely be expected that I should contend against such odds; but let me see if I can dispense with that unlucky pawn. I have it!" he shouted with a tremendous laugh, "I have great pleasure in informing you that there is undoubtedly a mate in 5." 1. Rb7 Be3 2. Rb1 Bg5 3. Rh1+ Bh4 4. Rh2 gxh2 5. g4# In 1900, Friedrich Amelung pointed out that in the original position, if the first bullet had struck the rook instead of the knight, Charles would still have a mate in six. 1. Nf3 Be1 2. Nxe1 Kh4 3. h3 Kh5 4. Nd3 Kh4 5. Nf4 h5 6. Ng6# In 2003, ChessBase posted a fifth variation, attributed to Brian Stewart. After the first bullet took out the knight, if the second had removed the g-pawn rather than the h-pawn, Charles would be able to mate in ten. 1. hxg3 Be1 2. Rg4 Bxg3 3. Rxg3 Kh4 4. Kf4 h5 5. Rg2 Kh3 6. Kf3 h4 7. Rg4 Kh2 8. Rxh4+ Kg1 9. Rh3 Kf1 10. Rh1# Puzzles Trick Donkeys problem One of Loyd's notable puzzles was the "Trick Donkeys". It was based on a similar puzzle involving dogs published in 1857. In the problem, the solver must cut the drawing along the dotted lines and rearrange the three pieces so that the riders appear to be riding the donkeys. Vanishing area puzzle A square with a side length of 8 units ("chessboard") is dissected into four pieces, which can be assembled into a 5x13 rectangle. Since the area of the square is 64 units but the area of the rectangle is 65 units, this seems paradoxical at first. However it is just an optical illusion as the pieces don't fit exactly to form a rectangle, but leave small barely visible gap along the diagonal. This puzzle is also known as the Chessboard paradox or paradox of Loyd and Schlömilch. Back from the Klondike This is one of Sam Loyd's most famous puzzles, first printed in the New York Journal and Advertiser, April 24, 1898 (as far as available evidence indicates). Loyd's
Inu or Hokkaido, but the Shiba Inu is a different breed with a distinct blood line, temperament, and smaller size than other Japanese dog breeds. Appearance The Shiba's frame is compact with well-developed muscles. The Shiba Inu is double coated, with the outer coat being stiff and straight and the undercoat soft and thick. Fur is short and even on the fox-like face, ears, and legs. Guard hairs stand off the body and are about long at the withers. The purpose of the guard hairs is to protect their underlying skin and to repel rain or snow. Tail hair is slightly longer and stands open in a brush. Their tails are a defining characteristic and makes them stand apart from other dog breeds. Their tails help to protect them from the harsh winter weather. When they sleep, Shiba Inus curl up and use their tails to shield their face and nose in order to protect their sensitive areas from the cold. The cream color is considered a "major fault" by both the Japan Kennel Club and American Kennel Club. It should never be intentionally bred in a show dog, as the required markings known as are not visible; "Urajiro" literally translates to "underside white". Conversely, a white (cream) coat is perfectly acceptable according to the British Kennel Club breed standard. The urajiro (cream to white ventral color) is required in the following areas on all coat colors: on the sides of the muzzle, on the cheeks, inside the ears, on the underjaw and upper throat inside of legs, on the abdomen, around the vent and the ventral side of the tail. On reds: commonly on the throat, forechest, and chest. On blacks and sesames: commonly as a triangular mark on both sides of the forechest. Temperament Shibas tend to exhibit an independent nature. From the Japanese breed standard: The dog has a spirited boldness and is fiercely proud with a good nature and a feeling of artlessness. The Shiba is able to move quickly with nimble, elastic steps. The terms , , and have subtle interpretations that have been the subject of much commentary. The Shiba is a relatively fastidious breed and feels the need to maintain itself in a clean state. They can often be seen licking their paws and legs, much as cats do. They generally go out of their way to keep their coats clean. Because of their fastidious and proud nature, Shiba puppies are easy to housetrain and in many cases will housebreak themselves. Having their owner simply place them outside after meal times and naps is generally enough to teach the Shiba the appropriate method of toileting. A distinguishing characteristic of the breed is the so-called "shiba scream". When sufficiently provoked or unhappy, the dog will produce a loud, high-pitched scream. This can occur when attempting to handle the dog in a way that it deems unacceptable. The animal may also emit a very similar sound during periods of great joy, such as the return of the owner after an extended absence, or the arrival of a favoured human guest. History The Shiba Inu has been identified as a basal breed that predates the emergence of the modern breeds in the 19th century. Dogs with a similar appearance to the Shiba Inu were represented in dogū made during the prehistoric Jōmon period of Japanese history. The Shiba Inu was bred to hunt and flush small game, such as birds and rabbits. Shiba lived in the mountainous areas of the Chūbu region. During the Meiji Restoration, western dog breeds were imported and crosses between these and native Japanese breeds became popular. From 1912 to 1926, almost no pure Shiba remained. From around 1928, hunters and intellectuals began to show interest in the protection of the remaining pure Shiba; however, despite efforts to preserve the breed, the Shiba nearly became extinct during World War II due to a combination of food shortage and a post-war distemper epidemic. All subsequent dogs were bred
birds and rabbits. Shiba lived in the mountainous areas of the Chūbu region. During the Meiji Restoration, western dog breeds were imported and crosses between these and native Japanese breeds became popular. From 1912 to 1926, almost no pure Shiba remained. From around 1928, hunters and intellectuals began to show interest in the protection of the remaining pure Shiba; however, despite efforts to preserve the breed, the Shiba nearly became extinct during World War II due to a combination of food shortage and a post-war distemper epidemic. All subsequent dogs were bred from the only three surviving bloodlines. These bloodlines were the Shinshu Shiba from Nagano Prefecture, the Mino Shiba from the former Mino Province in the south of present-day Gifu Prefecture, and the San'in Shiba from Tottori and Shimane Prefectures. The Shinshu Shibas possessed a solid undercoat, with a dense layer of guard-hairs, and were small and red in color. The Mino Shibas tended to have thick, prick ears, and possessed a sickle tail, rather than the common curled tail found on most modern Shibas. The San'in Shibas were larger than most modern shibas, and tended to be black, without the common tan and white accents found on modern black-and-tan shibas. When the study of Japanese dogs was formalized in the early and mid-20th century, these three strains were combined into one overall breed, the Shiba Inu. The first Japanese breed standard for the Shiba, the Nippo Standard, was published in 1934. In December 1936, the Shiba Inu was recognized as a Natural Monument of Japan through the Cultural Properties Act, largely due to the efforts of Nippo (Nihon Ken Hozonkai), the Association for the Preservation of the Japanese Dog. In 1954, an armed service family brought the first Shiba Inu to the United States. In 1979, the first recorded litter was born in the United States. The Shiba was recognized by the American Kennel Club in 1992 and added to the AKC Non-Sporting Group in 1993. It is now primarily kept as a pet both in Japan and abroad. According to the American Kennel Club, the Shiba Inu is the number one companion dog in Japan. In the United States, the growing popularity of the Shiba Inu is evident as the American Kennel Club Registration Statistics ranked the breed in 44th place in 2016; a rise from 50th place in 2012. Health Overall, the Shiba Inu is a healthy dog breed. Health conditions known to affect this breed are allergies, glaucoma, cataracts, hip dysplasia, entropion, and luxating patella. Periodic joint examinations are recommended throughout the dog's life. Eye tests should be performed yearly as eye problems can develop over time. By two years of age, Shiba Inus may be considered fully free from joint problems, if none have been discovered, since at this age the skeleton is fully developed. As with most dog breeds, Shibas should be walked or otherwise exercised daily. Life span Their average life expectancy is from 12 to 15 years. Exercise, especially daily walks, is preferred for this breed to live a long and healthy life. The oldest known Shiba, Pusuke, died at age 26 in early December 2011. Pusuke was the oldest dog alive at the time and lived three years less than the world record for the longest living dog. Grooming These dogs are very clean, so grooming needs will likely be minimal. They naturally tend to hate to be wet or bathed, thus, it is very important to get them accustomed when they are young. A Shiba Inu's coat is coarse; short to medium length with the outer coat being long, and is naturally waterproof so there is little need for regular bathing. They also have a thick undercoat that can protect them
in variations on the original slot machine concept. As the player is essentially playing a video game, manufacturers are able to offer more interactive elements, such as advanced bonus rounds and more varied video graphics. Etymology The "slot machine" term derives from the slots on the machine for inserting and retrieving coins. "Fruit machine" comes from the traditional fruit images on the spinning reels such as lemons and cherries. History Sittman and Pitt of Brooklyn, New York developed a gambling machine in 1891 that was a precursor to the modern slot machine. It contained five drums holding a total of 50 card faces and was based on poker. The machine proved extremely popular, and soon many bars in the city had one or more of them. Players would insert a nickel and pull a lever, which would spin the drums and the cards that they held, the player hoping for a good poker hand. There was no direct payout mechanism, so a pair of kings might get the player a free beer, whereas a royal flush could pay out cigars or drinks; the prizes were wholly dependent upon what the establishment would offer. To improve the odds for the house, two cards were typically removed from the deck, the ten of spades and the jack of hearts, doubling the odds against winning a royal flush. The drums could also be rearranged to further reduce a player's chance of winning. Because of the vast number of possible wins in the original poker-based game, it proved practically impossible to make a machine capable of awarding an automatic payout for all possible winning combinations. At some time between 1887 and 1895, Charles Fey of San Francisco, California devised a much simpler automatic mechanism with three spinning reels containing a total of five symbols: horseshoes, diamonds, spades, hearts and a Liberty Bell; the bell gave the machine its name. By replacing ten cards with five symbols and using three reels instead of five drums, the complexity of reading a win was considerably reduced, allowing Fey to design an effective automatic payout mechanism. Three bells in a row produced the biggest payoff, ten nickels (50¢). Liberty Bell was a huge success and spawned a thriving mechanical gaming device industry. After a few years, the devices were banned in California, but Fey still could not keep up with the demand for them from elsewhere. The Liberty Bell machine was so popular that it was copied by many slot-machine manufacturers. The first of these, also called the "Liberty Bell", was produced by the manufacturer Herbert Mills in 1907. By 1908, many "bell" machines had been installed in most cigar stores, saloons, bowling alleys, brothels and barber shops. Early machines, including an 1899 Liberty Bell, are now part of the Nevada State Museum's Fey Collection. The first Liberty Bell machines produced by Mills used the same symbols on the reels as did Charles Fey's original. Soon afterward, another version was produced with patriotic symbols, such as flags and wreaths, on the wheels. Later, a similar machine called the Operator's Bell was produced that included the option of adding a gum-vending attachment. As the gum offered was fruit-flavored, fruit symbols were placed on the reels: lemons, cherries, oranges and plums. A bell was retained, and a picture of a stick of Bell-Fruit Gum, the origin of the bar symbol, was also present. This set of symbols proved highly popular and was used by other companies that began to make their own slot machines: Caille, Watling, Jennings and Pace. A commonly used technique to avoid gambling laws in a number of states was to award food prizes. For this reason, a number of gumball and other vending machines were regarded with mistrust by the courts. The two Iowa cases of State v. Ellis and State v. Striggles are both used in criminal law classes to illustrate the concept of reliance upon authority as it relates to the axiomatic ignorantia juris non excusat ("ignorance of the law is no excuse"). In these cases, a mint vending machine was declared to be a gambling device because the machine would, by internally manufactured chance, occasionally give the next user a number of tokens exchangeable for more candy. Despite the display of the result of the next use on the machine, the courts ruled that "[t]he machine appealed to the player's propensity to gamble, and that is [a] vice." In 1963, Bally developed the first fully electromechanical slot machine called Money Honey (although earlier machines such as Bally's High Hand draw-poker machine had exhibited the basics of electromechanical construction as early as 1940). Its electromechanical workings made Money Honey the first slot machine with a bottomless hopper and automatic payout of up to 500 coins without the help of an attendant. The popularity of this machine led to the increasing predominance of electronic games, with the side lever soon becoming vestigial. The first video slot machine was developed in 1976 in Kearny Mesa, California by the Las Vegas–based Fortune Coin Co. This machine used a modified Sony Trinitron color receiver for the display and logic boards for all slot-machine functions. The prototype was mounted in a full-size, show-ready slot-machine cabinet. The first production units went on trial at the Las Vegas Hilton Hotel. After some modifications to defeat cheating attempts, the video slot machine was approved by the Nevada State Gaming Commission and eventually found popularity on the Las Vegas Strip and in downtown casinos. Fortune Coin Co. and its video slot-machine technology were purchased by IGT (International Gaming Technology) in 1978. The first American video slot machine to offer a "second screen" bonus round was Reel ’Em In, developed by WMS Industries in 1996. This type of machine had appeared in Australia from at least 1994 with the Three Bags Full game. With this type of machine, the display changes to provide a different game in which an additional payout may be awarded. Operation Depending on the machine, the player can insert cash or, in "ticket-in, ticket-out" machines, a paper ticket with a barcode, into a designated slot on the machine. The machine is then activated by means of a lever or button (either physical or on a touchscreen), which activates reels that spin and stop to rearrange the symbols. If a player matches a winning combination of symbols, the player earns credits based on the paytable. Symbols vary depending on the theme of the machine. Classic symbols include objects such as fruits, bells, and stylized lucky sevens. Most slot games have a theme, such as a specific aesthetic, location, or character. Symbols and other bonus features of the game are typically aligned with the theme. Some themes are licensed from popular media franchises, including films, television series (including game shows such as Wheel of Fortune), entertainers, and musicians. Multi-line slot machines have become more popular since the 1990s. These machines have more than one payline, meaning that visible symbols that are not aligned on the main horizontal may be considered as winning combinations. Traditional three-reel slot machines commonly have one, three, or five paylines while video slot machines may have 9, 15, 25, or as many as 1024 different paylines. Most accept variable numbers of credits to play, with 1 to 15 credits per line being typical. The higher the amount bet, the higher the payout will be if the player wins. One of the main differences between video slot machines and reel machines is in the way payouts are calculated. With reel machines, the only way to win the maximum jackpot is to play the maximum number of coins (usually three, sometimes four or even five coins per spin). With video machines, the fixed payout values are multiplied by the number of coins per line that is being bet. In other words: on a reel machine, the odds are more favorable if the gambler plays with the maximum number of coins available. However, depending on the structure of the game and its bonus features, some video slots may still include features that improve chances at payouts by making increased wagers. "Multi-way" games eschew fixed paylines in favor of allowing symbols to pay anywhere, as long as there is at least one in at least three consecutive reels from left to right. Multi-way games may be configured to allow players to bet by-reel: for example, on a game with a 3x5 pattern (often referred to as a 243-way game), playing one reel allows all three symbols in the first reel to potentially pay, but only the center row pays on the remaining reels (often designated by darkening the unused portions of the reels). Other multi-way games use a 4x5 or 5x5 pattern, where there are up to five symbols in each reel, allowing for up to 1,024 and 3,125 ways to win respectively. The Australian manufacturer Aristocrat Leisure brands games featuring this system as "Reel Power", "Xtra Reel Power" and "Super Reel Power" respectively. A variation involves patterns where symbols pay adjacent to one another. Most of these games have a hexagonal reel formation, and much like multi-way games, any patterns not played are darkened out of use. Denominations can range from 1 cent ("penny slots") all the way up to $100.00 or more per credit. The latter are typically known as "high limit" machines, and machines configured to allow for such wagers are often located in dedicated areas (which may have a separate team of attendants to cater to the needs of those who play there). The machine automatically calculates the number of credits the player receives in exchange for the cash inserted. Newer machines often allow players to choose from a selection of denominations on a splash screen or menu. Terminology A bonus is a special feature of the particular game theme, which is activated when certain symbols appear in a winning combination. Bonuses and the number of bonus features vary depending upon the game. Some bonus rounds are a special session of free spins (the number of which is often based on the winning combination that triggers the bonus), often with a different or modified set of winning combinations as the main game and/or other multipliers or increased frequencies of symbols, or a "hold and re-spin" mechanic in which specific symbols (usually marked with values of credits or other prizes) are collected and locked in place over a finite number of spins. In other bonus rounds, the player is presented with several items on a screen from which to choose. As the player chooses items, a number of credits is revealed and awarded. Some bonuses use a mechanical device, such as a spinning wheel, that works in conjunction with the bonus to display the amount won. A candle is a light on top of the slot machine. It flashes to alert the operator that change is needed, hand pay is requested or a potential problem with the machine. It can be lit by the player by pressing the "service" or "help" button. Carousel refers to a grouping of slot machines, usually in a circle or oval formation. A coin hopper is a container where the coins that are immediately available for payouts are held. The hopper is a mechanical device that rotates coins into the coin tray when a player collects credits/coins (by pressing a "Cash Out" button). When a certain preset coin capacity is reached, a coin diverter automatically redirects, or "drops", excess coins into a "drop bucket" or "drop box". (Unused coin hoppers can still be found even on games that exclusively employ Ticket-In, Ticket-Out technology, as a vestige.) The credit meter is a display of the amount of money or number of credits on the machine. On mechanical slot machines, this is usually a seven-segment display, but video slot machines typically use stylized text that suits the game's theme and user interface. The drop bucket or drop box is a container located in a slot machine's base where excess coins are diverted from the hopper. Typically, a drop bucket is used for low-denomination slot machines and a drop box is used for high-denomination slot machines. A drop box contains a hinged lid with one or more locks whereas a drop bucket does not contain a lid. The contents of drop buckets and drop boxes are collected and counted by the casino on a scheduled basis. EGM is short for "Electronic Gaming Machine". Free spins are a common form of bonus, where a series of spins are automatically played at no charge at the player's current wager. Free spins are usually triggered via a scatter of at least three designated symbols (with the number of spins dependent on the number of symbols that land). Some games allow the free spins bonus to "retrigger", which adds additional spins on top of those already awarded. There is no theoretical limit to the number of free spins obtainable. Some games may have other features that can also trigger over the course of free spins. A hand pay refers to a payout made by an attendant or at an exchange point ("cage"), rather than by the slot machine itself. A hand pay occurs when the amount of the payout exceeds the maximum amount that was preset by the slot machine's operator. Usually, the maximum amount is set at the level where the operator must begin to deduct taxes. A hand pay could also be necessary as a result of a short pay. Hopper fill slip is a document used to record the replenishment of the coin in the coin hopper after it becomes depleted as a result of making payouts to players. The slip indicates the amount of coin placed into the hoppers, as well as the signatures of the employees involved in the transaction, the slot machine number and the location and the date. MEAL book (Machine entry authorization log) is a log of the employee's entries into the machine. Low-level or slant-top slot machines include a stool so the player may sit down. Stand-up or upright slot machines are played while standing. Optimal play is a payback percentage based on a gambler using the optimal strategy in a skill-based slot machine game. Payline is a line that crosses through one symbol on each reel, along which a winning combination is evaluated. Classic spinning reel machines usually have up to nine paylines, while video slot machines may have as many as one hundred. Paylines could be of various shapes (horizontal, vertical, oblique, triangular, zigzag, etc.) Persistent state refers to passive features on some slot machines, some of which able to trigger bonus payouts or other special features if certain conditions are met over time by players on that machine. Roll-up is the process of dramatizing a win by playing sounds while the meters count up to the amount that has been won. Short pay refers to a partial payout made by a slot machine, which is less than the amount due to the player. This occurs if the coin hopper has been depleted as a result of making earlier payouts to players. The remaining amount due to the player is either paid as a hand pay or an attendant will come and refill the machine. A scatter is a pay combination based on occurrences of a designated symbol landing anywhere on the reels, rather than falling in sequence on the same payline. A scatter pay usually requires a minimum of three symbols to land, and the machine may offer increased prizes or jackpots depending on the number that land. Scatters are frequently used to trigger bonus games, such as free spins (with the number of spins multiplying based on the number of scatter symbols that land). The scatter symbol usually cannot be matched using wilds, and some games may require the scatter symbols to appear on consecutive reels in order to pay. On some multiway games, scatter symbols still pay in unused areas. Taste is a reference to the small amount often paid out to keep a player seated and continuously betting. Only rarely will machines fail to pay even the minimum out over the course of several pulls. Tilt is a term derived from electromechanical slot machines' "tilt switches", which would make or break a circuit when they were tilted or otherwise tampered with that triggered an alarm. While modern machines no longer have tilt switches, any kind of technical fault (door switch in the wrong state, reel motor failure, out of paper, etc.) is still called a "tilt". A theoretical hold worksheet is a document provided by the manufacturer for every slot machine that indicates the theoretical percentage the machine should hold based on the amount paid in. The worksheet also indicates the reel strip settings, number of coins that may be played, the payout schedule, the number of reels and other information descriptive of the particular type of slot machine. Volatility or variance refers to the measure of risk associated with playing a slot machine. A low-volatility slot machine has regular but smaller wins, while a high-variance slot machine has fewer but bigger wins. Weight count is an American term referring to the total value of coins or tokens removed from a slot machine's drop bucket or drop box for counting by the casino's hard count team through the use of a weigh scale. Wild symbols substitute for most other symbols in the game (similarly to a joker card), usually excluding scatter and jackpot symbols (or offering a lower prize on non-natural combinations that include wilds). How jokers behave are dependent on the specific game and whether the player is in a bonus or free games mode. Sometimes wild symbols may only appear on certain reels, or have a chance to "stack" across the entire reel. Pay table Each machine has a table that lists the number of credits the player will receive if the symbols listed on the pay table line up on the pay line of the machine. Some symbols are wild and can represent many, or all, of the other symbols to complete a winning line. Especially on older machines, the pay table is listed on the face of the machine, usually above and below the area containing the wheels. On video slot machines, they are usually contained within a help menu, along with information on other features. Technology Reels Historically, all slot machines used revolving mechanical reels to display and determine results. Although the original slot machine used five reels, simpler, and therefore more reliable, three reel machines quickly became the standard. A problem with three reel machines is that the number of combinations is only cubic – the original slot machine with three physical reels and 10 symbols on each reel had only 103 = 1,000 possible combinations. This limited the manufacturer's ability to offer large jackpots since even the rarest event had a likelihood of 0.1%. The maximum theoretical payout, assuming 100% return to player would be 1000 times the bet, but that would leave no room for other pays, making the machine very high risk, and also quite boring. Although the number of symbols eventually increased to about 22, allowing 10,648 combinations, this still limited jackpot sizes as well as the number of possible outcomes. In the 1980s, however, slot machine manufacturers incorporated electronics into their products and programmed them to weight particular symbols. Thus the odds of losing symbols appearing on the payline became disproportionate to their actual frequency on the physical reel. A symbol would only appear once on the reel displayed to the player, but could, in fact, occupy several stops on the multiple reel. In 1984, Inge Telnaes received a patent for a device titled, "Electronic Gaming Device Utilizing a Random Number Generator for Selecting the Reel Stop Positions" (US Patent 4448419), which states: "It is important to make a machine that is perceived to present greater chances of payoff than it actually has within the legal limitations that games of chance must operate." The patent was later bought by International Game Technology and has since expired.
play the maximum number of coins (usually three, sometimes four or even five coins per spin). With video machines, the fixed payout values are multiplied by the number of coins per line that is being bet. In other words: on a reel machine, the odds are more favorable if the gambler plays with the maximum number of coins available. However, depending on the structure of the game and its bonus features, some video slots may still include features that improve chances at payouts by making increased wagers. "Multi-way" games eschew fixed paylines in favor of allowing symbols to pay anywhere, as long as there is at least one in at least three consecutive reels from left to right. Multi-way games may be configured to allow players to bet by-reel: for example, on a game with a 3x5 pattern (often referred to as a 243-way game), playing one reel allows all three symbols in the first reel to potentially pay, but only the center row pays on the remaining reels (often designated by darkening the unused portions of the reels). Other multi-way games use a 4x5 or 5x5 pattern, where there are up to five symbols in each reel, allowing for up to 1,024 and 3,125 ways to win respectively. The Australian manufacturer Aristocrat Leisure brands games featuring this system as "Reel Power", "Xtra Reel Power" and "Super Reel Power" respectively. A variation involves patterns where symbols pay adjacent to one another. Most of these games have a hexagonal reel formation, and much like multi-way games, any patterns not played are darkened out of use. Denominations can range from 1 cent ("penny slots") all the way up to $100.00 or more per credit. The latter are typically known as "high limit" machines, and machines configured to allow for such wagers are often located in dedicated areas (which may have a separate team of attendants to cater to the needs of those who play there). The machine automatically calculates the number of credits the player receives in exchange for the cash inserted. Newer machines often allow players to choose from a selection of denominations on a splash screen or menu. Terminology A bonus is a special feature of the particular game theme, which is activated when certain symbols appear in a winning combination. Bonuses and the number of bonus features vary depending upon the game. Some bonus rounds are a special session of free spins (the number of which is often based on the winning combination that triggers the bonus), often with a different or modified set of winning combinations as the main game and/or other multipliers or increased frequencies of symbols, or a "hold and re-spin" mechanic in which specific symbols (usually marked with values of credits or other prizes) are collected and locked in place over a finite number of spins. In other bonus rounds, the player is presented with several items on a screen from which to choose. As the player chooses items, a number of credits is revealed and awarded. Some bonuses use a mechanical device, such as a spinning wheel, that works in conjunction with the bonus to display the amount won. A candle is a light on top of the slot machine. It flashes to alert the operator that change is needed, hand pay is requested or a potential problem with the machine. It can be lit by the player by pressing the "service" or "help" button. Carousel refers to a grouping of slot machines, usually in a circle or oval formation. A coin hopper is a container where the coins that are immediately available for payouts are held. The hopper is a mechanical device that rotates coins into the coin tray when a player collects credits/coins (by pressing a "Cash Out" button). When a certain preset coin capacity is reached, a coin diverter automatically redirects, or "drops", excess coins into a "drop bucket" or "drop box". (Unused coin hoppers can still be found even on games that exclusively employ Ticket-In, Ticket-Out technology, as a vestige.) The credit meter is a display of the amount of money or number of credits on the machine. On mechanical slot machines, this is usually a seven-segment display, but video slot machines typically use stylized text that suits the game's theme and user interface. The drop bucket or drop box is a container located in a slot machine's base where excess coins are diverted from the hopper. Typically, a drop bucket is used for low-denomination slot machines and a drop box is used for high-denomination slot machines. A drop box contains a hinged lid with one or more locks whereas a drop bucket does not contain a lid. The contents of drop buckets and drop boxes are collected and counted by the casino on a scheduled basis. EGM is short for "Electronic Gaming Machine". Free spins are a common form of bonus, where a series of spins are automatically played at no charge at the player's current wager. Free spins are usually triggered via a scatter of at least three designated symbols (with the number of spins dependent on the number of symbols that land). Some games allow the free spins bonus to "retrigger", which adds additional spins on top of those already awarded. There is no theoretical limit to the number of free spins obtainable. Some games may have other features that can also trigger over the course of free spins. A hand pay refers to a payout made by an attendant or at an exchange point ("cage"), rather than by the slot machine itself. A hand pay occurs when the amount of the payout exceeds the maximum amount that was preset by the slot machine's operator. Usually, the maximum amount is set at the level where the operator must begin to deduct taxes. A hand pay could also be necessary as a result of a short pay. Hopper fill slip is a document used to record the replenishment of the coin in the coin hopper after it becomes depleted as a result of making payouts to players. The slip indicates the amount of coin placed into the hoppers, as well as the signatures of the employees involved in the transaction, the slot machine number and the location and the date. MEAL book (Machine entry authorization log) is a log of the employee's entries into the machine. Low-level or slant-top slot machines include a stool so the player may sit down. Stand-up or upright slot machines are played while standing. Optimal play is a payback percentage based on a gambler using the optimal strategy in a skill-based slot machine game. Payline is a line that crosses through one symbol on each reel, along which a winning combination is evaluated. Classic spinning reel machines usually have up to nine paylines, while video slot machines may have as many as one hundred. Paylines could be of various shapes (horizontal, vertical, oblique, triangular, zigzag, etc.) Persistent state refers to passive features on some slot machines, some of which able to trigger bonus payouts or other special features if certain conditions are met over time by players on that machine. Roll-up is the process of dramatizing a win by playing sounds while the meters count up to the amount that has been won. Short pay refers to a partial payout made by a slot machine, which is less than the amount due to the player. This occurs if the coin hopper has been depleted as a result of making earlier payouts to players. The remaining amount due to the player is either paid as a hand pay or an attendant will come and refill the machine. A scatter is a pay combination based on occurrences of a designated symbol landing anywhere on the reels, rather than falling in sequence on the same payline. A scatter pay usually requires a minimum of three symbols to land, and the machine may offer increased prizes or jackpots depending on the number that land. Scatters are frequently used to trigger bonus games, such as free spins (with the number of spins multiplying based on the number of scatter symbols that land). The scatter symbol usually cannot be matched using wilds, and some games may require the scatter symbols to appear on consecutive reels in order to pay. On some multiway games, scatter symbols still pay in unused areas. Taste is a reference to the small amount often paid out to keep a player seated and continuously betting. Only rarely will machines fail to pay even the minimum out over the course of several pulls. Tilt is a term derived from electromechanical slot machines' "tilt switches", which would make or break a circuit when they were tilted or otherwise tampered with that triggered an alarm. While modern machines no longer have tilt switches, any kind of technical fault (door switch in the wrong state, reel motor failure, out of paper, etc.) is still called a "tilt". A theoretical hold worksheet is a document provided by the manufacturer for every slot machine that indicates the theoretical percentage the machine should hold based on the amount paid in. The worksheet also indicates the reel strip settings, number of coins that may be played, the payout schedule, the number of reels and other information descriptive of the particular type of slot machine. Volatility or variance refers to the measure of risk associated with playing a slot machine. A low-volatility slot machine has regular but smaller wins, while a high-variance slot machine has fewer but bigger wins. Weight count is an American term referring to the total value of coins or tokens removed from a slot machine's drop bucket or drop box for counting by the casino's hard count team through the use of a weigh scale. Wild symbols substitute for most other symbols in the game (similarly to a joker card), usually excluding scatter and jackpot symbols (or offering a lower prize on non-natural combinations that include wilds). How jokers behave are dependent on the specific game and whether the player is in a bonus or free games mode. Sometimes wild symbols may only appear on certain reels, or have a chance to "stack" across the entire reel. Pay table Each machine has a table that lists the number of credits the player will receive if the symbols listed on the pay table line up on the pay line of the machine. Some symbols are wild and can represent many, or all, of the other symbols to complete a winning line. Especially on older machines, the pay table is listed on the face of the machine, usually above and below the area containing the wheels. On video slot machines, they are usually contained within a help menu, along with information on other features. Technology Reels Historically, all slot machines used revolving mechanical reels to display and determine results. Although the original slot machine used five reels, simpler, and therefore more reliable, three reel machines quickly became the standard. A problem with three reel machines is that the number of combinations is only cubic – the original slot machine with three physical reels and 10 symbols on each reel had only 103 = 1,000 possible combinations. This limited the manufacturer's ability to offer large jackpots since even the rarest event had a likelihood of 0.1%. The maximum theoretical payout, assuming 100% return to player would be 1000 times the bet, but that would leave no room for other pays, making the machine very high risk, and also quite boring. Although the number of symbols eventually increased to about 22, allowing 10,648 combinations, this still limited jackpot sizes as well as the number of possible outcomes. In the 1980s, however, slot machine manufacturers incorporated electronics into their products and programmed them to weight particular symbols. Thus the odds of losing symbols appearing on the payline became disproportionate to their actual frequency on the physical reel. A symbol would only appear once on the reel displayed to the player, but could, in fact, occupy several stops on the multiple reel. In 1984, Inge Telnaes received a patent for a device titled, "Electronic Gaming Device Utilizing a Random Number Generator for Selecting the Reel Stop Positions" (US Patent 4448419), which states: "It is important to make a machine that is perceived to present greater chances of payoff than it actually has within the legal limitations that games of chance must operate." The patent was later bought by International Game Technology and has since expired. A virtual reel that has 256 virtual stops per reel would allow up to 2563 = 16,777,216 final positions. The manufacturer could choose to offer a $1 million jackpot on a $1 bet, confident that it will only happen, over the long term, once every 16.8 million plays. Computerization With microprocessors now ubiquitous, the computers inside modern slot machines allow manufacturers to assign a different probability to every symbol on every reel. To the player, it might appear that a winning symbol was "so close", whereas in fact the probability is much lower. In the 1980s in the U.K., machines embodying microprocessors became common. These used a number of features to ensure the payout was controlled within the limits of the gambling legislation. As a coin was inserted into the machine, it could go either directly into the cashbox for the benefit of the owner or into a channel that formed the payout reservoir, with the microprocessor monitoring the number of coins in this channel. The drums themselves were driven by stepper motors, controlled by the processor and with proximity sensors monitoring the position of the drums. A "look-up table" within the software allows the processor to know what symbols were being displayed on the drums to the gambler. This allowed the system to control the level of payout by stopping the drums at positions it had determined. If the payout channel had filled up, the payout became more generous; if nearly empty, the payout became less so (thus giving good control of the odds). Video slot machines Video slot machines do not use mechanical reels, but use graphical reels on a computerized display. As there are no mechanical constraints on the design of video slot machines, games often use at least five reels, and may also use non-standard layouts. This greatly expands the number of possibilities: a machine can have 50 or more symbols on a reel, giving odds as high as 300 million to 1 against – enough for even the largest jackpot. As there are so many combinations possible with five reels, manufacturers do not need to weight the payout symbols (although some may still do so). Instead, higher paying symbols will typically appear only once or twice on each reel, while more common symbols earning a more frequent payout will appear many times. Video slot machines usually make more extensive use of multimedia, and can feature more elaborate minigames as bonuses. Modern cabinets typically use flat-panel displays, but cabinets using larger curved screens (which can provide a more immersive experience for the player) are not uncommon. Video slot machines typically encourage the player to play multiple "lines": rather than simply taking the middle of the three symbols displayed on each reel, a line could go from top left to the bottom right or any other pattern specified by the manufacturer. As each symbol is equally likely, there is no difficulty for the manufacturer in allowing the player to take as many of the possible lines on offer as desire – the long-term return to the player will be the same. The difference for the player is that the more lines they play, the more likely they are to get paid on a given spin (because they are betting more). To avoid seeming as if the player's money is simply ebbing away (whereas a payout of 100 credits on a single-line machine would be 100 bets and the player would feel they had made a substantial win, on a 20-line machine, it would only be five bets and not seem as significant), manufacturers commonly offer bonus games, which can return many times their bet. The player is encouraged to keep playing to reach the bonus: even if they are losing, the bonus game could allow them to win back their losses. Random number generators All modern machines are designed using pseudorandom number generators ("PRNGs"), which are constantly generating a sequence of simulated random numbers, at a rate of hundreds or perhaps thousands per second. As soon as the "Play" button is pressed, the most recent random number is used to determine the result. This means that the result varies depending on exactly when the game is played. A fraction of a second earlier or later and the result would be different. It is important that the machine contains a high-quality RNG implementation. Because all PRNGs must eventually repeat their number sequence and, if the period is short or the PRNG is otherwise flawed, an advanced player may be able to "predict" the next result. Having access to the PRNG code and seed values, Ronald Dale Harris, a former slot machine programmer, discovered equations for specific gambling games like Keno that allowed him to predict what the next set of selected numbers would be based on the previous games played. Most machines are designed to defeat this by generating numbers even when the machine is not being played so the player cannot tell where in the sequence they are, even if they know how the machine was programmed. Payout percentage Slot machines are typically programmed to pay out as winnings 0% to 99% of the money that is wagered by players. This is known as the "theoretical payout percentage" or RTP, "return to player". The minimum theoretical payout percentage varies among jurisdictions and is typically established by law or regulation. For example, the minimum payout in Nevada is 75%, in New Jersey 83%, and in Mississippi 80%. The winning patterns on slot machines – the amounts they pay and the frequencies of those payouts – are carefully selected to yield a certain fraction of the money paid to the "house" (the operator of the slot machine) while returning the rest to the players during play. Suppose that a certain slot machine costs $1 per spin and has a return to player (RTP) of 95%. It can be calculated that, over a sufficiently long period such as 1,000,000 spins, the machine will return an average of $950,000 to its players, who have inserted $1,000,000 during that time. In this (simplified) example, the slot machine is said to pay out 95%. The operator keeps the remaining $50,000. Within some EGM development organizations this concept is referred to simply as "par". "Par" also manifests itself to gamblers as promotional techniques: "Our 'Loose Slots' have a 93% payback! Play now!" A slot machine's theoretical payout percentage is set at the factory when the software is written. Changing the payout percentage after a slot machine has been placed on the gaming floor requires a physical swap of the software or firmware, which is usually stored on an EPROM but may be loaded onto non-volatile random access memory (NVRAM) or even stored on CD-ROM or DVD, depending on the capabilities of the machine and the applicable regulations. In certain jurisdictions, such as New Jersey, the EPROM has a tamper-evident seal and can only be changed in the presence of Gaming Control Board officials. Other jurisdictions, including Nevada, randomly audit slot machines to ensure that they contain only approved software. Historically, many casinos, both online and offline, have been unwilling to publish individual game RTP figures, making it impossible for the player to know whether they are playing a "loose" or a "tight" game. Since the turn of the century, some information regarding these figures has started to come into the public domain either through various casinos releasing them—primarily this applies to online casinos—or through studies by independent gambling authorities. The return to player is not the only statistic that is of interest. The probabilities of every payout on the pay table is also critical. For example, consider a hypothetical slot machine with a dozen different values on the pay table. However, the probabilities of getting all the payouts are zero except the largest one. If the payout is 4,000 times the input amount, and it happens every 4,000 times on average, the return to player is exactly 100%, but the game would be dull to play. Also, most people would not win anything, and having entries on the paytable that have a return of zero would be deceptive. As these individual probabilities are closely guarded secrets, it is possible that the advertised machines with high return to player simply increase the probabilities of these jackpots. The casino could legally place machines of a similar style payout and advertise that some machines have 100% return to player. The added advantage is that these large jackpots increase the excitement of the other players. The table of probabilities for a specific machine is called the Probability and Accounting Report or PAR sheet, also PARS commonly understood as Paytable and Reel Strips. Mathematician Michael Shackleford revealed the PARS for one commercial slot machine, an original International Gaming Technology Red White and Blue machine. This game, in its original form, is obsolete, so these specific probabilities do not apply. He only published the odds after a fan of his sent him some information provided on a slot machine that was posted on a machine in the Netherlands. The psychology of the machine design is quickly revealed. There are 13 possible payouts ranging from 1:1 to 2,400:1. The 1:1 payout comes every 8 plays. The 5:1 payout comes every 33 plays, whereas the 2:1 payout comes every 600 plays. Most players assume the likelihood increases proportionate to the payout. The one mid-size payout that is designed to give the player a thrill is the 80:1 payout. It is programmed to occur an average of once every 219 plays. The 80:1 payout is high enough to create excitement, but not high enough that it makes it likely that the player will take their winnings and abandon the game. More than likely the player began the game with at least 80 times his bet (for instance there are 80 quarters in $20). In contrast the 150:1 payout occurs only on average of once every 6,241 plays. The highest payout of 2,400:1 occurs only on average of once every 643 = 262,144 plays since the machine has 64 virtual stops. The player who continues to feed the machine is likely to have several mid-size payouts, but unlikely to have a large payout. He quits after he is bored or has exhausted his bankroll. Despite their confidentiality, occasionally a PAR sheet is posted on a website. They have limited value to the player, because usually a machine will have 8 to 12 different possible programs with varying payouts. In addition, slight variations of each machine (e.g., with double jackpots or five times play) are always being developed. The casino operator can choose which EPROM chip to install in any particular machine to select the payout desired. The result is that there is not really such a thing as a high payback type of machine, since every machine potentially has multiple settings. From October 2001 to February 2002, columnist Michael Shackleford obtained PAR sheets for five different nickel machines; four IGT games Austin Powers, Fortune Cookie, Leopard Spots and Wheel of Fortune and one game manufactured by WMS; Reel 'em In. Without revealing the proprietary information, he developed a program that would allow him to determine with usually less than a dozen plays on each machine which EPROM chip was installed. Then he did a survey of over 400 machines in 70 different casinos in Las Vegas. He averaged the data, and assigned an average payback percentage to the machines in each casino. The resultant list was widely publicized for marketing purposes (especially by the Palms casino which had the top ranking). One reason that the slot machine is so profitable to a casino is that the player must play the high house edge and high payout wagers along with the low house edge and low payout wagers. In a more traditional wagering game like craps, the player knows that certain wagers have almost a 50/50 chance of winning or losing, but they only pay a limited multiple of the original bet (usually no higher than three times). Other bets have a higher house edge, but the player is rewarded with a bigger win (up to thirty times in craps). The player can choose what kind of wager he wants to make. A slot machine does not afford such an opportunity. Theoretically, the operator could make these probabilities available, or allow the player to choose which one so that the player is free to make a choice. However, no operator has ever enacted this strategy. Different machines have different maximum payouts, but without knowing the odds of getting the jackpot, there is no rational way to differentiate. In many markets where central monitoring and control systems are used to link machines for auditing and security purposes, usually in wide area networks of multiple venues and thousands of machines, player return must usually be changed from a central computer rather than at each machine. A range of percentages is set in the game software and selected remotely. In 2006, the Nevada Gaming Commission began working with Las Vegas casinos on technology that would allow the casino's management to change the game, the odds, and the payouts remotely. The change cannot be done instantaneously, but only after the selected machine has been idle for at least four minutes. After the change is made, the machine must be locked to new players for four minutes and display an on-screen message informing potential players that a change is being made. Linked machines Some varieties of slot machines can be linked together in a setup sometimes known as a "community" game. The most basic form of this setup involves progressive jackpots that are shared between the bank of machines, but may include multiplayer bonuses and other features. In some cases multiple machines are linked across multiple casinos. In these cases, the machines may be owned by the manufacturer, who is responsible for paying the jackpot. The casinos lease the machines rather than owning them outright. Casinos in New Jersey, Nevada, and South Dakota now offer multi-state progressive jackpots, which now offer bigger jackpot pools. Fraud Mechanical slot machines and their coin acceptors were sometimes susceptible to cheating devices and other scams. One historical example involved spinning a coin with a short length of plastic wire. The weight and size of the coin would be accepted by the machine and credits would be granted. However, the spin created by the plastic wire would cause the coin to exit through the reject chute into the payout tray. This particular scam has become obsolete due to improvements in newer slot machines. Another obsolete method of defeating slot machines was to use a light source to confuse the optical sensor used to count coins during payout. Modern slot machines are controlled by EPROM computer chips and, in large casinos, coin acceptors have become obsolete in favor of bill acceptors. These machines and their bill acceptors are designed with advanced anti-cheating and anti-counterfeiting measures and are difficult to defraud. Early computerized slot machines were sometimes defrauded through the use of cheating devices, such as the "slider", "monkey paw", "lightwand" and "the tongue". Many of these old cheating devices were made by the late Tommy Glenn Carmichael, a slot machine fraudster who reportedly stole over
album, Becoming X (1996), and its singles "6 Underground" and "Spin Spin Sugar". The band takes its name from an article the Beastie Boys published in their Grand Royal magazine about a man they hired to track down classic sneakers. The band was founded by electronic musician Liam Howe and guitarist Chris Corner. They later recruited Kelli Ali (then known as Kelli Dayton) as lead singer, plus guitarist Joe Wilson and drummer Dave Westlake as backup musicians. After Becoming X, the band decided to replace Ali with Corner on vocals. Wilson and Westlake departed in 2002. In 2016 Howe and Corner revived the group after a lengthy hiatus. In 2021, they began releasing new music. History Chris Corner and Liam Howe met as teenagers in the 1980s, both taking an interest in recording and studio experimentation. They banded together under the name F.R.I.S.K. and produced the Soul of Indiscretion EP, an early example of what became known as trip hop. The mix of beats and acoustic folk sounds was further explored on two more instrumental EPs: F.R.I.S.K. and World as a Cone. They were signed to Clean Up Records. The duo also worked as DJs and producers under the name Line of Flight. Howe and Corner launched Sneaker Pimps as a recording group in 1994. The following year, they recruited Ian Pickering to help write lyrics for what would become Sneaker Pimps' debut album, Becoming X. Corner recorded vocals for several demo tracks, but the band decided the kind of music they were writing would better suit a female voice. At their manager's suggestion, they saw Kelli Ali (then known as Kelli Dayton) performing in a pub with her band The Lumieres, and invited her to sing on some demos, including an early version of "6 Underground". She soon joined the band, and the demos won the group a contract with Virgin Records. The group was presented as a trio featuring Howe, Corner, and Ali; while bassist Joe Wilson and drummer Dave Westlake were added as supporting musicians. Released in 1996, Becoming X sold over one million copies. The band toured for two years to support the album, including gigs alongside Aphex Twin. A "grueling" tour of the US strained relations within the band, and Howe left the tour prematurely. A remix album, Becoming Remixed, followed in 1998. Howe and Corner then developed their own studio, also called Line of Flight after their earlier
Liam Howe met as teenagers in the 1980s, both taking an interest in recording and studio experimentation. They banded together under the name F.R.I.S.K. and produced the Soul of Indiscretion EP, an early example of what became known as trip hop. The mix of beats and acoustic folk sounds was further explored on two more instrumental EPs: F.R.I.S.K. and World as a Cone. They were signed to Clean Up Records. The duo also worked as DJs and producers under the name Line of Flight. Howe and Corner launched Sneaker Pimps as a recording group in 1994. The following year, they recruited Ian Pickering to help write lyrics for what would become Sneaker Pimps' debut album, Becoming X. Corner recorded vocals for several demo tracks, but the band decided the kind of music they were writing would better suit a female voice. At their manager's suggestion, they saw Kelli Ali (then known as Kelli Dayton) performing in a pub with her band The Lumieres, and invited her to sing on some demos, including an early version of "6 Underground". She soon joined the band, and the demos won the group a contract with Virgin Records. The group was presented as a trio featuring Howe, Corner, and Ali; while bassist Joe Wilson and drummer Dave Westlake were added as supporting musicians. Released in 1996, Becoming X sold over one million copies. The band toured for two years to support the album, including gigs alongside Aphex Twin. A "grueling" tour of the US strained relations within the band, and Howe left the tour prematurely. A remix album, Becoming Remixed, followed in 1998. Howe and Corner then developed their own studio, also called Line of Flight after their earlier production work, and began sessions for the second Sneaker Pimps album. Kelli Ali had taken a break after the Becoming X tour and was away traveling, so Corner sang on the new demos. When Ali returned, she was told by Howe and Corner that her voice was no longer considered suitable for their new music, and that Corner's voice was a better fit. Due to other ongoing personality conflicts and the band's concern about being stereotyped as a faddish female-fronted trip-hop act, Ali was fired and Corner took over on lead vocals. This significant lineup change caused Virgin Records to drop the band. Their second album Splinter was released in the UK on Clean Up Records in 1999, and failed to match the commercial success of Becoming X. New songs were premiered during a 2001 European tour opening for Placebo. Their third album Bloodsport was released on Tommy Boy Records in 2002. Howe and Corner also gained notice by writing and producing for other artists, including Natalie Imbruglia, and for remixing songs under the name Line of Flight. In 2002, Joe Wilson and Dave Westlake left Sneaker
The hoplite phalanx dominated warfare among the Greek City States from the 7th into the 4th century BCE. The 4th century saw major changes. One was the greater use of peltasts, light infantry armed with spear and javelins. The other was the development of the sarissa, a two-handed pike in length, by the Macedonians under Phillip of Macedon and Alexander the Great. The pike phalanx, supported by peltasts and cavalry, became the dominant mode of warfare among the Greeks from the late 4th century onward until Greek military systems were supplanted by the Roman legions. Ancient Romans In the pre-Marian Roman armies, the first two lines of battle, the hastati and principes, often fought with a sword called a gladius and pila, heavy javelins that were specifically designed to be thrown at an enemy to pierce and foul a target's shield. Originally the principes were armed with a short spear called a hasta, but these gradually fell out of use, eventually being replaced by the gladius. The third line, the triarii, continued to use the hasta. From the late 2nd century BCE, all legionaries were equipped with the pilum. The pilum continued to be the standard legionary spear until the end of the 2nd century CE. Auxilia, however, were equipped with a simple hasta and, perhaps, javelins or darts. During the 3rd century CE, although the pilum continued to be used, legionaries usually were equipped with other forms of throwing and thrusting spear, similar to auxilia of the previous century. By the 4th century, the pilum had effectively disappeared from common use. In the late period of the Roman Empire, the spear became more often used because of its anti-cavalry capacities as the barbarian invasions were often conducted by people with a developed culture of cavalry in warfare. Medieval period After the fall of the Western Roman Empire, the spear and shield continued to be used by nearly all Western European cultures. Since a medieval spear required only a small amount of steel along the sharpened edges (most of the spear-tip was wrought iron), it was an economical weapon. Quick to manufacture, and needing less smithing skill than a sword, it remained the main weapon of the common soldier. The Vikings, for instance, although often portrayed with axe or sword in hand, were armed mostly with spears, as were their Anglo-Saxon, Irish, or continental contemporaries. Infantry Broadly speaking, spears were either designed to be used in melee, or to be thrown. Within this simple classification, there was a remarkable range of types. For example, M. J. Swanton identified thirty different spearhead categories and sub-categories in early Saxon England. Most medieval spearheads were generally leaf-shaped. Notable types of early medieval spears include the angon, a throwing spear with a long head similar to the Roman pilum, used by the Franks and Anglo-Saxons, and the winged (or lugged) spear, which had two prominent wings at the base of the spearhead, either to prevent the spear penetrating too far into an enemy or to aid in spear fencing. Originally a Frankish weapon, the winged spear also was popular with the Vikings. It would become the ancestor of later medieval polearms, such as the partisan and spetum. The thrusting spear also has the advantage of reach, being considerably longer than other weapon types. Exact spear lengths are hard to deduce as few spear shafts survive archaeologically but would seem to have been the norm. Some nations were noted for their long spears, including the Scots and the Flemish. Spears usually were used in tightly ordered formations, such as the shield wall or the schiltron. To resist cavalry, spear shafts could be planted against the ground. William Wallace drew up his schiltrons in a circle at the Battle of Falkirk in 1298 to deter charging cavalry; this was a widespread tactic sometimes known as the "crown" formation. Thomas Randolph, 1st Earl of Moray used a circular schiltron on the first day of the Battle of Bannockburn. However, the rectangular schiltron was much more common and was used by King Robert the Bruce on the second day of the Battle of Bannockburn and in the Battle of Old Byland when he defeated English armies. Throwing spears became rarer as the Middle Ages drew on, but survived in the hands of specialists such as the Catalan Almogavars. They were commonly used in Ireland until the end of the 16th century. Spears began to lose fashion among the infantry during the 14th century, being replaced by pole weapons that combined the thrusting properties of the spear with the cutting properties of the axe, such as the halberd. Where spears were retained they grew in length, eventually evolving into pikes, which would be a dominant infantry weapon in the 16th and 17th centuries. Cavalry Cavalry spears were originally the same as infantry spears and were often used with two hands or held with one hand overhead. In the 12th century, after the adoption of stirrups and a high-cantled saddle, the spear became a decidedly more powerful weapon. A mounted knight would secure the lance by holding it with one hand and tucking it under the armpit (the couched lance technique) This allowed all the momentum of the horse and knight to be focused on the weapon's tip, whilst still retaining accuracy and control. This use of the spear spurred the development of the lance as a distinct weapon that was perfected in the medieval sport of jousting. In the 14th century, tactical developments meant that knights and men-at-arms often fought on foot. This led to the practice of shortening the lance to about .) to make it more manageable. As dismounting became commonplace, specialist pole weapons such as the pollaxe were adopted by knights and this practice ceased. Introduction of gunpowder The development of both the long, two-handed pike and gunpowder firearms in Renaissance Europe saw an ever-increasing focus on integrated infantry tactics. Those infantry not armed with these weapons carried variations on the pole-arm, including the halberd and the bill. At the start of the Renaissance, cavalry remained predominantly lance-armed; gendarmes with the heavy knightly lance and lighter cavalry with a variety of lighter lances. By the 1540s, however, pistol-armed cavalry called reiters were beginning to make their mark. Cavalry armed with pistols and other lighter firearms, along with a sword, had virtually replaced lance armed cavalry in Western Europe by the beginning of the 17th century. Ultimately, the spear proper was rendered obsolete on the battlefield. Its last flowering was the half-pike or spontoon, a shortened version of the pike carried by officers of various ranks. While originally a weapon, this came to be seen more as a badge of office, or leading staff by which troops were directed. The half-pike, sometimes known as a boarding pike, was also used as a weapon on board ships until the late 19th century. Middle East Muslim warriors used a spear that was called an az-zaġāyah. Berbers pronounced it zaġāya, but the English term, derived from the Old French via Berber, is "assegai". It is a pole weapon used for throwing or hurling, usually a light spear or javelin made of hard wood and pointed with a forged iron tip. The az-zaġāyah played an important role during the Islamic conquest as well as during later periods, well into the 20th century. A longer pole az-zaġāyah was being used as a hunting weapon from horseback. The az-zaġāyah was widely used. It existed in various forms in areas stretching from Southern Africa to the Indian subcontinent, although these places already had their own variants of the spear. This javelin was the weapon of choice during the Fulani jihad as well as during the Mahdist War in Sudan. It is still being used by certain wandering Sufi ascetics (Derwishes). Asia Chinese In the Chinese martial arts, the Chinese spear (Qiang 槍) is popularly known as the "king of weapons". The spear is listed in the group of the four major weapons (along with the gun (staff), dao (a single-edged blade similar to a sabre), and the jian (sword)). Spears were used first as hunting weapons amongst the ancient Chinese. They became popular as infantry weapons during the Warring States and Qin era, when spearmen were used as especially highly disciplined soldiers in organized group attacks. When used in formation fighting, spearmen would line up their large rectangular or circular shields in a shieldwall manner. The Qin also employed long spears (more akin to a pike) in formations similar to Swiss pikemen in order to ward off cavalry. The Han Empire would use similar tactics as its Qin predecessors. Halberds, polearms, and dagger axes were also common weapons during this time. Spears were also common weaponry for Warring States, Qin, and Han era cavalry units. During these eras, the spear would develop into a longer lance-like weapon used for cavalry charges. There are many words in Chinese that would be classified as a spear in English. The Mao is the predecessor of the Qiang. The first bronze Mao appeared in the Shang dynasty. This weapon was less prominent on the battlefield than the ge (dagger-axe). In some archaeological examples two tiny holes or ears can be found in the blade of the spearhead near the socket, these holes were presumably used to attach tassels, much like modern day wushu spears. In the early Shang, the Mao appeared to have a relatively short shaft as well as a relatively narrow shaft as opposed to Mao in the later Shang and Western Zhou period. Some Mao from this era are heavily decorated as is evidenced by a Warring States period Mao from the Ba Shu area. In the Han dynasty the Mao and the Ji (戟 Ji can be loosely defined as a halberd) rose to prominence in the military. Interesting to note is that the amount of iron Mao-heads found exceeds the number of bronze heads. By the end of the Han dynasty (Eastern Han) the process of replacement of the iron Mao had been completed and the bronze Mao had been rendered completely obsolete. After the Han dynasty toward the Sui and Tang dynasties the Mao used by cavalry were fitted with much longer shafts, as is mentioned above. During this era, the use of the Shuo (矟) was widespread among the footmen. The Shuo can be likened to a pike or simply a long spear. After the Tang dynasty, the popularity of the Mao declined and was replaced by the Qiang (枪). The Tang dynasty divided the Qiang in four categories: "一曰漆枪, 二曰木枪, 三曰白杆枪, 四曰扑头枪。” Roughly translated the four categories are: Qi (a kind of wood) Spears, Wooden Spears, Bai Gan (A kind of wood) Spears and Pu Tou Qiang. The Qiang that were produced in the Song and Ming dynasties consisted of four major parts: Spearhead, Shaft, End Spike and Tassel. The types of Qiang that exist are many. Among the types there are cavalry Qiang that were the length of one zhang (eleven feet and nine inches or 3.58 m), Litte-Flower Spears (Xiao Hua Qiang 小花枪) that are the length of one person and their arm extended above his head, double hooked spears, single hooked spears, ringed spears and many more. There is some confusion as to how to distinguish the Qiang from the Mao, as they are obviously very similar. Some people say that a Mao is longer than a Qiang, others say that the main difference is between the stiffness of the shaft, where the Qiang would be flexible and the Mao would be stiff. Scholars seem to lean toward the latter explanation more than the former. Because of the difference in the construction of the Mao and the Qiang, the usage is also different, though there is no definitive answer as to what exactly the differences are between the Mao and the Qiang. India Spears are known as Bhala in Indian languages. Spears in the Indian society were used both in missile and non-missile form, both by cavalry and foot-soldiers. Mounted spear-fighting was practiced using with a ten-foot, ball-tipped wooden lance called a bothati, the end of which was covered in dye so that hits may be confirmed. Spears were constructed from a variety of materials such as the sang made completely of steel, and the ballam which had a bamboo shaft. The Arab presence in Sindh and the Mameluks of Delhi introduced the Middle Eastern javelin into India. The Rajputs wielded a type of spear for infantrymen which had a club integrated into the spearhead, and a pointed butt end. Other spears had forked blades, several spear-points, and numerous other innovations. One particular spear unique to India was the vita or corded lance. Used by the Maratha army, it had a rope connecting the spear
end of the shaft itself, as is the case with fire hardened spears, or it may be made of a more durable material fastened to the shaft, such as bone, flint, obsidian, iron, steel, or bronze. The most common design for hunting or combat spears since ancient times has incorporated a metal spearhead shaped like a triangle, lozenge, or leaf. The heads of fishing spears usually feature barbs or serrated edges. The word spear comes from the Old English spere, from the Proto-Germanic speri, from a Proto-Indo-European root *sper- "spear, pole". Spears can be divided into two broad categories: those designed for thrusting as a melee weapon and those designed for throwing as a ranged weapon (usually referred to as javelins or darts). The spear has been used throughout human history both as a hunting and fishing tool and as a weapon. Along with the club, knife, and axe, it is one of the earliest and most important tools developed by early humans. As a weapon, it may be wielded with either one or two hands. It was used in virtually every conflict up until the modern era, where even then it continues on in the form of the fixed bayonet on a long gun, and is probably the most commonly used weapon in history. In conflicts such as the 2020–2022 China–India skirmishes, where firearms are prohibited, spears continue to see military use. Origins Spear manufacture and use is not confined to humans. It is also practiced by the western chimpanzee. Chimpanzees near Kédougou, Senegal have been observed to create spears by breaking straight limbs off trees, stripping them of their bark and side branches, and sharpening one end with their teeth. They then used the weapons to hunt galagos sleeping in hollows. Prehistory Archaeological evidence found in present-day Germany documents that wooden spears have been used for hunting since at least 400,000 years ago, and a 2012 study from the site of Kathu Pan in South Africa suggests that hominids, possibly Homo heidelbergensis, may have developed the technology of hafted stone-tipped spears in Africa about 500,000 years ago. Wood does not preserve well, however, and Craig Stanford, a primatologist and professor of anthropology at the University of Southern California, has suggested that the discovery of spear use by chimpanzees means that early humans may have used wooden spears before this. Neanderthals were constructing stone spear heads from as early as 300,000 BP, and by 250,000 years ago, wooden spears were made with fire-hardened points. From circa 200,000 BCE onwards, Middle Paleolithic humans began to make complex stone blades with flaked edges which were used as spear heads. These stone heads could be fixed to the spear shaft by gum or resin or by bindings made of animal sinew, leather strips or vegetable matter. During this period, a clear difference remained between spears designed to be thrown and those designed to be used in hand-to-hand combat. By the Magdalenian period (c. 15,000–9500 BCE), spear-throwers similar to the later atlatl were in use. Military Europe Classical antiquity Ancient Greeks The spear is the main weapon of the warriors of Homer's Iliad. The use of both a single thrusting spear and two throwing spears are mentioned. It has been suggested that two styles of combat are being described; an early style, with thrusting spears, dating to the Mycenaean period in which the Iliad is set, and, anachronistically, a later style, with throwing spears, from Homer's own Archaic period. In the 7th century BCE, the Greeks evolved a new close-order infantry formation, the phalanx. The key to this formation was the hoplite, who was equipped with a large, circular, bronze-faced shield (aspis) and a spear with an iron head and bronze butt-spike (doru). The hoplite phalanx dominated warfare among the Greek City States from the 7th into the 4th century BCE. The 4th century saw major changes. One was the greater use of peltasts, light infantry armed with spear and javelins. The other was the development of the sarissa, a two-handed pike in length, by the Macedonians under Phillip of Macedon and Alexander the Great. The pike phalanx, supported by peltasts and cavalry, became the dominant mode of warfare among the Greeks from the late 4th century onward until Greek military systems were supplanted by the Roman legions. Ancient Romans In the pre-Marian Roman armies, the first two lines of battle, the hastati and principes, often fought with a sword called a gladius and pila, heavy javelins that were specifically designed to be thrown at an enemy to pierce and foul a target's shield. Originally the principes were armed with a short spear called a hasta, but these gradually fell out of use, eventually being replaced by the gladius. The third line, the triarii, continued to use the hasta. From the late 2nd century BCE, all legionaries were equipped with the pilum. The pilum continued to be the standard legionary spear until the end of the 2nd century CE. Auxilia, however, were equipped with a simple hasta and, perhaps, javelins or darts. During the 3rd century CE, although the pilum continued to be used, legionaries usually were equipped with other forms of throwing and thrusting spear, similar to auxilia of the previous century. By the 4th century, the pilum had effectively disappeared from common use. In the late period of the Roman Empire, the spear became more often used because of its anti-cavalry capacities as the barbarian invasions were often conducted by people with a developed culture of cavalry in warfare. Medieval period After the fall of the Western Roman Empire, the spear and shield continued to be used by nearly all Western European cultures. Since a medieval spear required only a small amount of steel along the sharpened edges (most of the spear-tip was wrought iron), it was an economical weapon. Quick to manufacture, and needing less smithing skill than a sword, it remained the main weapon of the common soldier. The Vikings, for instance, although often portrayed with axe or sword in hand, were armed mostly with spears, as were their Anglo-Saxon, Irish, or continental contemporaries. Infantry Broadly speaking, spears were either designed to be used in melee, or to be thrown. Within this simple classification, there was a remarkable range of types. For example, M. J. Swanton identified thirty different spearhead categories and sub-categories in early Saxon England. Most medieval spearheads were generally leaf-shaped. Notable types of early medieval spears include the angon, a throwing spear with a long head similar to the Roman pilum, used by the Franks and Anglo-Saxons, and the winged (or lugged) spear, which had two prominent wings at the base of the spearhead, either to prevent the spear penetrating too far into an enemy or to aid in spear fencing. Originally a Frankish weapon, the winged spear also was popular with the Vikings. It would become the ancestor of later medieval polearms, such as the partisan and spetum. The thrusting spear also has the advantage of reach, being considerably longer than other weapon types. Exact spear lengths are hard to deduce as few spear shafts survive archaeologically but would seem to have been the norm. Some nations were noted for their long spears, including the Scots and the Flemish. Spears usually were used in tightly ordered formations, such as the shield wall or the schiltron. To resist cavalry, spear shafts could be planted against the ground. William Wallace drew up his schiltrons in a circle at the Battle of Falkirk in 1298 to deter charging cavalry; this was a widespread tactic sometimes known as the "crown" formation. Thomas Randolph, 1st Earl of Moray used a circular schiltron on the first day of the Battle of Bannockburn. However, the rectangular schiltron was much more common and was used by King Robert the Bruce on the second day of the Battle of Bannockburn and in the Battle of Old Byland when he defeated English armies. Throwing spears became rarer as the Middle Ages drew on, but survived in the hands of specialists such as the Catalan Almogavars. They were commonly used in Ireland until the end of the 16th century. Spears began to lose fashion among the infantry during the 14th century, being replaced by pole weapons that combined the thrusting properties of the spear with the cutting properties of the axe, such as the
20 May 1882 in the small town of Kalundborg, Denmark, at the childhood home of her mother, Charlotte Undset (1855–1939, née Anna Maria Charlotte Gyth). Undset was the eldest of three daughters. She and her family moved to Norway when she was two. She grew up in the Norwegian capital, Oslo (or Kristiania, as it was known until 1925). When she was only 11 years old, her father, the Norwegian archaeologist Ingvald Martin Undset (1853–1893), died at the age of 40 after a long illness. The family's economic situation meant that Undset had to give up hope of a university education and after a one-year secretarial course she obtained work at the age of 16 as a secretary with an engineering company in Kristiania, a post she was to hold for 10 years. She joined the Norwegian Authors' Union in 1907 and from 1933 through 1935 headed its Literary Council, eventually serving as the union's chairwoman from 1936 until 1940. Writer While employed at office work, Undset wrote and studied. She was 16 years old when she made her first attempt at writing a novel set in the Nordic Middle Ages. The manuscript, a historical novel set in medieval Denmark, was ready by the time she was 22. It was turned down by the publishing house. Nonetheless, two years later, she completed another manuscript, much less voluminous than the first at only 80 pages. She had put aside the Middle Ages and had instead produced a realistic description of a woman with a middle-class background in contemporary Kristiania. This book was also refused by the publishers at first but it was subsequently accepted. The title was Fru Marta Oulie, and the opening sentence (the words of the book's main character) scandalised readers: "I have been unfaithful to my husband". Thus, at the age of 25, Undset made her literary debut with a short realistic novel on adultery, set against a contemporary background. It created a stir, and she found herself ranked as a promising young author in Norway. During the years up to 1919, Undset published a number of novels set in contemporary Kristiania. Her contemporary novels of the period 1907–1918 are about the city and its inhabitants. They are stories of working people, of trivial family destinies, of the relationship between parents and children. Her main subjects are women and their love. Or, as she herself put it—in her typically curt and ironic manner—"the immoral kind" (of love). This realistic period culminated in the novels Jenny (1911) and Vaaren (Spring) (1914). The first is about a woman painter who, as a result of romantic crises, believes that she is wasting her life, and, in the end, commits suicide. The other tells of a woman who succeeds in saving both herself and her love from a serious matrimonial crisis, finally creating a secure family. These books placed Undset apart from the incipient women's emancipation movement in Europe. Undset's books sold well from the start, and, after the publication of her third book, she left her office job and prepared to live on her income as a writer. Having been granted a writer's scholarship, she set out on a lengthy journey in Europe. After short stops in Denmark and Germany, she continued to Italy, arriving in Rome in December 1909, where she remained for nine months. Undset's parents had had a close relationship with Rome, and, during her stay there, she followed in their footsteps. The encounter with Southern Europe meant a great deal to her; she made friends within the circle of Scandinavian artists and writers in Rome. Marriage and children In Rome, Undset met Anders Castus Svarstad, a Norwegian painter, whom she married almost three years later. She was 30; Svarstad was nine years older, married, and had a wife and three children in Norway. It was nearly three years before Svarstad got his divorce from his first wife. Undset and Svarstad were married in 1912 and went to stay in London for six months. From London, they returned to Rome, where their first child was born in January 1913. A boy, he was named after his father. In the years up to 1919, she had another child, and the household also took in Svarstad's three children from his first marriage. These were difficult years: her second child, a girl, was mentally handicapped, as was one of Svarstad's sons by his first wife. She continued writing, finishing her last realistic novels and collections of short stories. She also entered the public debate on topical themes: women's emancipation and other ethical and moral issues. She had considerable polemical gifts, and was critical of emancipation as it was developing, and of the moral and ethical decline she felt was threatening in the wake of the First World War. In 1919, she moved to Lillehammer, a small town in the Gudbrand Valley in southeast Norway, taking her two children with her. She was then expecting her third child. The intention was that she should take a rest at Lillehammer and move back to Kristiania as soon as Svarstad had their new house in order. However, the marriage
marriage and the outbreak of the First World War were to change her attitudes. During those difficult years she experienced a crisis of faith, almost imperceptible at first, then increasingly strong. The crisis led her from clear agnostic skepticism, by way of painful uneasiness about the ethical decline of the age, towards Christianity. In all her writing, one senses an observant eye for the mystery of life and for that which cannot be explained by reason or the human intellect. At the back of her sober, almost brutal realism, there is always an inkling of something unanswerable. At any rate, this crisis radically changed her views and ideology. Whereas she had once believed that man created God, she eventually came to believe that God created man. However, she did not turn to the established Lutheran Church of Norway, where she had been nominally reared. She was received into the Catholic Church in November 1924, after thorough instruction from the Catholic priest in her local parish. She was 42 years old. She subsequently became a lay Dominican. It is noteworthy that The Master of Hestviken, written immediately after Undset's conversion, takes place in a historical period when Norway was Catholic, that it has very religious themes of the main character's relations with God and his deep feeling of sin, and that the Medieval Catholic Church is presented in a favorable light, with virtually all clergy and monks in the series being positive characters. In Norway, Undset's conversion to Catholicism was not only considered sensational; it was scandalous. It was also noted abroad, where her name was becoming known through the international success of Kristin Lavransdatter. At the time, there were very few practicing Catholics in Norway, which was an almost exclusively Lutheran country. Anti-Catholicism was widespread not only among the Lutheran clergy, but through large sections of the population. Likewise, there was just as much anti-Catholic scorn among the Norwegian intelligentsia, many of whom were adherents of socialism and communism The attacks against her faith and character were quite vicious at times, with the result that Undset's literary gifts were aroused in response. For many years, she participated in the public debate, going out of her way to defend the Catholic Church. In response, she was swiftly dubbed "The Mistress of Bjerkebæk" and "The Catholic Lady". Later life At the end of this creative eruption, Undset entered calmer waters. After 1929, she completed a series of novels set in contemporary Oslo, with a strong Catholic element. She selected her themes from the small Catholic community in Norway. But here also, the main theme is love. She also published a number of weighty historical works which put the history of Norway into a sober perspective. In addition, she translated several Icelandic sagas into Modern Norwegian and published a number of literary essays, mainly on English literature, of which a long essay on the Brontë sisters, and one on D. H. Lawrence, are especially worth mentioning. In 1934, she published Eleven Years Old, an autobiographical work. With a minimum of camouflage, it tells the story of her own childhood in Kristiania, of her home, rich in intellectual values and love, and of her sick father. At the end of the 1930s, she commenced work on a new historical novel set in 18th century Scandinavia. Only the first volume, Madame Dorthea, was published, in 1939. The Second World War broke out that same year and proceeded to break her, both as a writer and as a woman. She never completed her new novel. When Joseph Stalin's invasion of Finland touched off the Winter War, Undset supported the Finnish war effort by donating her Nobel Prize on 25 January 1940. Exile When Germany invaded Norway in April 1940, Undset was forced to flee. She had strongly criticised Hitler since the early 1930s, and, from an early date, her books were banned in Nazi Germany. She had no wish to become a target of the Gestapo and fled to neutral Sweden. Her eldest son, Second Lieutenant Anders Svarstad of the Norwegian Army, was killed in action at the age of 27, on 27 April 1940, in an engagement with German troops at Segalstad Bridge in Gausdal. Undset's sick daughter had died shortly before the outbreak of the war. Bjerkebæk was requisitioned by the Wehrmacht, and used as officers' quarters throughout the Occupation of Norway. In 1940, Undset and her younger son left neutral Sweden for the United States. There, she untiringly pleaded her occupied country's cause and that of Europe's Jews in writings, speeches and interviews. She lived in Brooklyn Heights, New York. She was active in St. Ansgar's Scandinavian Catholic League and wrote several articles for its bulletin. She also traveled to Florida, where she became close friends with novelist Marjorie Kinnan Rawlings. Following the German execution of the Danish Lutheran pastor Kaj Munk on 4 January 1944, the Danish resistance newspaper De frie Danske printed condemning articles from influential Scandinavians, including Undset. Return to Norway and death Undset returned to Norway after the liberation in 1945. She lived another four years but never published another word. Undset died at 67 in Lillehammer, Norway, where she had lived from 1919 through 1940. She was buried in the village of Mesnali, 15 kilometers east of Lillehammer, where also her daughter and the son who died in battle are remembered. The grave is recognizable by three black crosses. Honors Undset won the Nobel prize for literature in 1928, for which she was nominated by Helga Eng, member of the Norwegian Academy of Science and Letters. A mountain on the moon, east of crater Lambert at Mare Imbrium, was called Mons Undset, however, it was erroneously mentioned as Mons Undest on Lunar Topographic Orthophotomap 40B4. The International Astronomical Union (IAU) refused to include Mons Undset in the alphabetic gazetteer of officially named lunar formations. This mountain is nowadays known as Lambert γ (Lambert gamma). A crater on the planet Venus was named after Undset. Undset was depicted on a Norwegian 500 kroner note and a two-kroner postage stamp from 1982. Neighboring Sweden put her on a stamp in 1998. Bjerkebæk, Undset's home in Lillehammer, is now part of the Maihaugen museum. The farmhouse was listed in 1983. Efforts to restore and furnish the houses as they were during the time of her occupancy were begun in 1997. New public buildings were opened in May 2007. Undset is depicted on the tail fin of a Norwegian Air Shuttle Boeing 737-800, with the registration LN-NGY. Works Gunnar's Daughter is a brief novel set in the Saga Age. This was Undset's first historical novel, published in 1909. Gunnar's Daughter, The Master of Hestviken series is of four volumes, published 1925–27, which are listed in order below. Depending on the edition, each volume may be printed by itself, or two volumes may be combined into one book. The latter tends to result from older printings. The Axe: The Master of Hestviken, The Snake Pit: The Master of Hestviken, In the Wilderness: The Master of Hestviken, The Son Avenger: The Master of Hestviken, Kristin Lavransdatter is a trilogy of three volumes. These are listed in order as well. Written during 1920–22. In 1995 the first volume was the basis for a commercial film, Kristin Lavransdatter, directed by Liv Ullmann. Kristin Lavransdatter: The Wreath. Kristin Lavransdatter: The Wife, Kristin Lavransdatter: The Cross, Jenny was written in 1911. It is a story of a Norwegian painter who travels to Rome for inspiration. Things do not turn out as she had expected. Jenny, The Unknown Sigrid Undset, a collection of Undset's early existentialist
the University of Texas, has studied emergent properties, suggesting that they offer analogues for living systems. The distinction of autopoiesis as made by Humberto Maturana and Francisco Varela represent further developments in this field. Important names in contemporary systems science include Russell Ackoff, Ruzena Bajcsy, Béla H. Bánáthy, Gregory Bateson, Anthony Stafford Beer, Peter Checkland, Barbara Grosz, Brian Wilson, Robert L. Flood, Allenna Leonard, Radhika Nagpal, Fritjof Capra, Warren McCulloch, Kathleen Carley, Michael C. Jackson, Katia Sycara, and Edgar Morin among others. With the modern foundations for a general theory of systems following World War I, Ervin László, in the preface for Bertalanffy's book, Perspectives on General System Theory, points out that the translation of "general system theory" from German into English has "wrought a certain amount of havoc": Theorie (or Lehre) "has a much broader meaning in German than the closest English words 'theory' and 'science'," just as Wissenschaft (or 'Science'). These ideas refer to an organized body of knowledge and "any systematically presented set of concepts, whether empirically, axiomatically, or philosophically" represented, while many associate Lehre with theory and science in the etymology of general systems, though it also does not translate from the German very well; its "closest equivalent" translates to 'teaching', but "sounds dogmatic and off the mark." While the idea of a "general systems theory" might have lost many of its root meanings in the translation, by defining a new way of thinking about science and scientific paradigms, systems theory became a widespread term used for instance to describe the interdependence of relationships created in organizations. A system in this frame of reference can contain regularly interacting or interrelating groups of activities. For example, in noting the influence in the evolution of "an individually oriented industrial psychology [into] a systems and developmentally oriented organizational psychology," some theorists recognize that organizations have complex social systems; separating the parts from the whole reduces the overall effectiveness of organizations. This difference, from conventional models that center on individuals, structures, departments and units, separates in part from the whole, instead of recognizing the interdependence between groups of individuals, structures and processes that enable an organization to function. László explains that the new systems view of organized complexity went "one step beyond the Newtonian view of organized simplicity" which reduced the parts from the whole, or understood the whole without relation to the parts. The relationship between organisations and their environments can be seen as the foremost source of complexity and interdependence. In most cases, the whole has properties that cannot be known from analysis of the constituent elements in isolation. Béla H. Bánáthy, who argued—along with the founders of the systems society—that "the benefit of humankind" is the purpose of science, has made significant and far-reaching contributions to the area of systems theory. For the Primer Group at the International Society for the System Sciences, Bánáthy defines a perspective that iterates this view: Examples of applications In art In biology Systems biology is a movement that draws on several trends in bioscience research. Proponents describe systems biology as a biology-based interdisciplinary study field that focuses on complex interactions in biological systems, claiming that it uses a new perspective (holism instead of reduction). Particularly from the year 2000 onwards, the biosciences use the term widely and in a variety of contexts. An often stated ambition of systems biology is the modelling and discovery of emergent properties which represents properties of a system whose theoretical description requires the only possible useful techniques to fall under the remit of systems biology. It is thought that Ludwig von Bertalanffy may have created the term systems biology in 1928. Subdisciplines of systems biology include: Systems neuroscience Systems pharmacology Ecology Systems ecology is an interdisciplinary field of ecology that takes a holistic approach to the study of ecological systems, especially ecosystems; it can be seen as an application of general systems theory to ecology. Central to the systems ecology approach is the idea that an ecosystem is a complex system exhibiting emergent properties. Systems ecology focuses on interactions and transactions within and between biological and ecological systems, and is especially concerned with the way the functioning of ecosystems can be influenced by human interventions. It uses and extends concepts from thermodynamics and develops other macroscopic descriptions of complex systems. In chemistry Systems chemistry is the science of studying networks of interacting molecules, to create new functions from a set (or library) of molecules with different hierarchical levels and emergent properties. Systems chemistry is also related to the origin of life (abiogenesis). In engineering Systems engineering is an interdisciplinary approach and means for enabling the realisation and deployment of successful systems. It can be viewed as the application of engineering techniques to the engineering of systems, as well as the application of a systems approach to engineering efforts. Systems engineering integrates other disciplines and specialty groups into a team effort, forming a structured development process that proceeds from concept to production to operation and disposal. Systems engineering considers both the business and the technical needs of all customers, with the goal of providing a quality product that meets the user's needs. User-centered design process Systems thinking is a crucial part of user-centered design processes and is necessary to understand the whole impact of a new human computer interaction (HCI) Information System. Overlooking this and developing software without insights input from the future users (mediated by user experience designers) is a serious design flaw that can lead to complete failure of information systems, increased stress and mental illness for users of information systems leading to increased costs and a huge waste of resources. It is currently surprisingly uncommon for organizations and governments to investigate the project management decisions leading to serious design flaws and lack of usability. The Institute of Electrical and Electronics Engineers estimates that roughly 15% of the estimated $1 trillion used to develop information systems every year is completely wasted and the produced systems are discarded before implementation by entirely preventable mistakes. According to the CHAOS report published in 2018 by the Standish Group, a vast majority of information systems fail or partly fail according to their survey: In mathematics System dynamics is an approach to understanding the nonlinear behaviour of complex systems over time using stocks, flows, internal feedback loops, and time delays. In social sciences and humanities Systems theory in anthropology Systems theory in archaeology Systems theory in political science Psychology Systems psychology is a branch of psychology that studies human behaviour and experience in complex systems. It received inspiration from systems theory and systems thinking, as well as the basics of theoretical work from Roger Barker, Gregory Bateson, Humberto Maturana and others. It makes an approach in psychology in which groups and individuals receive consideration as systems
an environment. Exosystem: a relationship between two systems that has an indirect effect on a third system. Macrosystem: a larger system that influences clients, such as policies, administration of entitlement programs, and culture. Equifinality: the way systems can reach the same goal through different paths. Open and closed systems Chronosystem: a system composed of significant life events affecting adaptation. Isomorphism: structural, behavioral, and developmental features that are shared across systems. Systems architecture: Systems analysis: Overview Systems theory is manifest in the work of practitioners in many disciplines, for example the works of biologist Ludwig von Bertalanffy, linguist Béla H. Bánáthy, and sociologist Talcott Parsons; in the study of ecological systems by Howard T. Odum, Eugene Odum; in Fritjof Capra's study of organizational theory; in the study of management by Peter Senge; in interdisciplinary areas such as Human Resource Development in the works of Richard A. Swanson; and in the works of educators Debora Hammond and Alfonso Montuori. As a transdisciplinary, interdisciplinary, and multiperspectival endeavor, systems theory brings together principles and concepts from ontology, the philosophy of science, physics, computer science, biology, and engineering, as well as geography, sociology, political science, psychotherapy (especially family systems therapy), and economics. Systems theory promotes dialogue between autonomous areas of study as well as within systems science itself. In this respect, with the possibility of misinterpretations, von Bertalanffy believed a general theory of systems "should be an important regulative device in science," to guard against superficial analogies that "are useless in science and harmful in their practical consequences." Others remain closer to the direct systems concepts developed by the original systems theorists. For example, Ilya Prigogine, of the Center for Complex Quantum Systems at the University of Texas, has studied emergent properties, suggesting that they offer analogues for living systems. The distinction of autopoiesis as made by Humberto Maturana and Francisco Varela represent further developments in this field. Important names in contemporary systems science include Russell Ackoff, Ruzena Bajcsy, Béla H. Bánáthy, Gregory Bateson, Anthony Stafford Beer, Peter Checkland, Barbara Grosz, Brian Wilson, Robert L. Flood, Allenna Leonard, Radhika Nagpal, Fritjof Capra, Warren McCulloch, Kathleen Carley, Michael C. Jackson, Katia Sycara, and Edgar Morin among others. With the modern foundations for a general theory of systems following World War I, Ervin László, in the preface for Bertalanffy's book, Perspectives on General System Theory, points out that the translation of "general system theory" from German into English has "wrought a certain amount of havoc": Theorie (or Lehre) "has a much broader meaning in German than the closest English words 'theory' and 'science'," just as Wissenschaft (or 'Science'). These ideas refer to an organized body of knowledge and "any systematically presented set of concepts, whether empirically, axiomatically, or philosophically" represented, while many associate Lehre with theory and science in the etymology of general systems, though it also does not translate from the German very well; its "closest equivalent" translates to 'teaching', but "sounds dogmatic and off the mark." While the idea of a "general systems theory" might have lost many of its root meanings in the translation, by defining a new way of thinking about science and scientific paradigms, systems theory became a widespread term used for instance to describe the interdependence of relationships created in organizations. A system in this frame of reference can contain regularly interacting or interrelating groups of activities. For example, in noting the influence in the evolution of "an individually oriented industrial psychology [into] a systems and developmentally oriented organizational psychology," some theorists recognize that organizations have complex social systems; separating the parts from the whole reduces the overall effectiveness of organizations. This difference, from conventional models that center on individuals, structures, departments and units, separates in part from the whole, instead of recognizing the interdependence between groups of individuals, structures and processes that enable an organization to function. László explains that the new systems view of organized complexity went "one step beyond the Newtonian view of organized simplicity" which reduced the parts from the whole, or understood the whole without relation to the parts. The relationship between organisations and their environments can be seen as the foremost source of complexity and interdependence. In most cases, the whole has properties that cannot be known from analysis of the constituent elements in isolation. Béla H. Bánáthy, who argued—along with the founders of the systems society—that "the benefit of humankind" is the purpose of science, has made significant and far-reaching contributions to the area of systems theory. For the Primer Group at the International Society for the System Sciences, Bánáthy defines a perspective that iterates this view: Examples of applications In art In biology Systems biology is a movement that draws on several trends in bioscience research. Proponents describe systems biology as a biology-based interdisciplinary study field that focuses on complex interactions in biological systems, claiming that it uses a new perspective (holism instead of reduction). Particularly from the year 2000 onwards, the biosciences use the term widely and in a variety of contexts. An often stated ambition of systems biology is the modelling and discovery of emergent properties which represents properties of a system whose theoretical description requires the only possible useful techniques to fall under the remit of systems biology. It is thought that Ludwig von Bertalanffy may have created the term systems biology in 1928. Subdisciplines of systems biology include: Systems neuroscience Systems pharmacology Ecology Systems ecology is an interdisciplinary field of ecology that takes a holistic approach to the study of ecological systems, especially ecosystems; it can be seen as an application of general systems theory to ecology. Central to the systems ecology approach is the idea that an ecosystem is a complex system exhibiting emergent properties. Systems ecology focuses on interactions and transactions within and between biological and ecological systems, and is especially concerned with the way the functioning of ecosystems can be influenced by human interventions. It uses and extends concepts from thermodynamics and develops other macroscopic descriptions of complex systems. In chemistry Systems chemistry is the science of studying networks of interacting molecules, to create new functions from a set (or library) of molecules with different hierarchical levels and emergent properties. Systems chemistry is also related to the origin of life (abiogenesis). In engineering Systems engineering is an interdisciplinary approach and means for enabling the realisation and deployment of successful systems. It can be viewed as the application of engineering techniques to the engineering of systems, as well as the application of a systems approach to engineering efforts. Systems engineering integrates other disciplines and specialty groups into a team effort, forming a structured development process that proceeds from concept to production to operation and disposal. Systems engineering considers both the business and the technical needs of all customers, with the goal of providing a quality product that meets the user's needs. User-centered design process Systems thinking is a crucial part of user-centered design processes and is necessary to understand the whole impact of a new human computer interaction (HCI) Information System. Overlooking this and developing software without insights input from the future users (mediated by user experience designers) is a serious design flaw that can lead to complete failure of information systems, increased stress and mental illness for users of information systems leading to increased costs and a huge waste of resources. It is currently surprisingly uncommon for organizations and governments to investigate the project management decisions leading to serious design flaws and lack of usability. The Institute of Electrical and Electronics Engineers estimates that roughly 15% of the estimated $1 trillion used to develop information systems every year is completely wasted and the produced systems are discarded before implementation by entirely preventable mistakes. According to the CHAOS report published in 2018 by the Standish Group, a vast majority of information systems fail or partly fail according to their survey: In mathematics System dynamics is an approach to understanding the nonlinear behaviour of complex systems over time using stocks, flows, internal feedback loops, and time delays. In social sciences and humanities Systems theory in anthropology Systems theory in archaeology Systems theory in political science Psychology Systems psychology is a branch of psychology that studies human behaviour and experience in complex systems. It received inspiration from systems theory and systems thinking, as well as the basics of theoretical work from Roger Barker, Gregory Bateson, Humberto Maturana and others. It makes an approach in psychology in which groups and individuals receive consideration as systems in homeostasis. Systems psychology "includes the domain of engineering psychology, but in addition seems more concerned with societal systems and with the study of motivational, affective, cognitive and group behavior that holds the name engineering psychology."
proximity List of nearest stars and brown dwarfs (up to 16.3 light-years) List of star systems within 16–20 light-years List of star systems within 20–25 light-years List of star systems within 25–30 light-years List of star systems within 30–35 light-years List of star systems within 35–40 light-years List of star systems within 40–45 light-years List of star systems within 45–50 light-years List of star systems within 50–55 light-years List of star systems within 55–60 light-years List of star systems within 60–65 light-years List of star systems within 65–70 light-years List of star systems within 70–75 light-years List of star systems within 75-80 light-years List of nearest bright stars List of brightest stars List of stars more luminous than any closer star By physical characteristic List of brightest stars List of most luminous stars List of most massive stars List of largest stars List of smallest stars List of oldest stars List of least massive stars List of hottest stars By variability or other factor List of brown dwarfs List of collapsars (black holes) List of notable variable stars List of semiregular variable stars List of stars that dim oddly List of stars with confirmed extrasolar planets List of supernova candidates List of white dwarfs List of red dwarfs Other star listings List of brightest stars and other record stars List of extremes in the sky List of hypothetical stars List of selected stars for navigation List of star
of collapsars (black holes) List of notable variable stars List of semiregular variable stars List of stars that dim oddly List of stars with confirmed extrasolar planets List of supernova candidates List of white dwarfs List of red dwarfs Other star listings List of brightest stars and other record stars List of extremes in the sky List of hypothetical stars List of selected stars for navigation List of star extremes List of stars that dim oddly List of stars with resolved images List of supernovae Lists of real astronomical locations in fiction Solar twins (Solar analogs) Stars and planetary systems in fiction Other stars The following is a list of particularly notable actual or hypothetical stars that have their own articles in Wikipedia, but are not included in the lists above. BPM 37093 — a diamond star Cygnus X-1 — X-ray source EBLM J0555-57Ab — is one of the smallest stars ever discovered. HR 465 — chemically-peculiar variable star MACS J1149 Lensed Star 1 (or Icarus) — most distant star, 9 billion light years away. P Cygni — suddenly brightened in the 17th century WNC4 — Messier Object 40 Zeta Boötis — speckle binary test system See also Lists of astronomical objects Astronomical naming conventions Star Star catalogue Sun References The Bright Star Catalog, Astronomical Data Center, NSSDC/ADC, 1991. Astronomiches Rechen-Institut Heidelberg —
which results in brightly colored, toxic solutions. The oxidation of pyrite (iron sulfide) by molecular oxygen produces iron(II), or : 2 (s) + 7 + 2 → 2 + 4 + 4 The can be further oxidized to : 4 + + 4 → 4 + 2 The produced can be precipitated as the hydroxide or hydrous iron oxide: + 3 → ↓ + 3 The iron(III) ion ("ferric iron") can also oxidize pyrite: (s) + 14 + 8 → 15 + 2 + 16 When iron(III) oxidation of pyrite occurs, the process can become rapid. pH values below zero have been measured in ARD produced by this process. ARD can also produce sulfuric acid at a slower rate, so that the acid neutralizing capacity (ANC) of the aquifer can neutralize the produced acid. In such cases, the total dissolved solids (TDS) concentration of the water can be increased from the dissolution of minerals from the acid-neutralization reaction with the minerals. Sulfuric acid is used as a defense by certain marine species, for example, the phaeophyte alga Desmarestia munda (order Desmarestiales) concentrates sulfuric acid in cell vacuoles. Stratospheric aerosol In the stratosphere, the atmosphere's second layer that is generally between 10 and 50 km above Earth's surface, sulfuric acid is formed by the oxidation of volcanic sulfur dioxide by the hydroxyl radical: + HO• → + → + + → Because sulfuric acid reaches supersaturation in the stratosphere, it can nucleate aerosol particles and provide a surface for aerosol growth via condensation and coagulation with other water-sulfuric acid aerosols. This results in the stratospheric aerosol layer. Extraterrestrial sulfuric acid The permanent Venusian clouds produce a concentrated acid rain, as the clouds in the atmosphere of Earth produce water rain. Jupiter's moon Europa is also thought to have an atmosphere containing sulfuric acid hydrates. Manufacture Sulfuric acid is produced from sulfur, oxygen and water via the conventional contact process (DCDA) or the wet sulfuric acid process (WSA). Contact process In the first step, sulfur is burned to produce sulfur dioxide. S (s) + → The sulfur dioxide is oxidized to sulfur trioxide by oxygen in the presence of a vanadium(V) oxide catalyst. This reaction is reversible and the formation of the sulfur trioxide is exothermic. 2 + 2 The sulfur trioxide is absorbed into 97–98% to form oleum (), also known as fuming sulfuric acid and pyrosulphuric acid. The oleum is then diluted with water to form concentrated sulfuric acid. + → + → 2 Directly dissolving in water is not practiced. Wet sulfuric acid process In the first step, sulfur is burned to produce sulfur dioxide: S + → (−297 kJ/mol) or, alternatively, hydrogen sulfide () gas is incinerated to gas: 2 + 3 → 2 + 2 (−1036 kJ/mol) The sulfur dioxide then oxidized to sulfur trioxide using oxygen with vanadium(V) oxide as catalyst. 2 + 2 (−198 kJ/mol) (reaction is reversible) The sulfur trioxide is hydrated into sulfuric acid : + → (g) (−101 kJ/mol) The last step is the condensation of the sulfuric acid to liquid 97–98% : (g) → (l) (−69 kJ/mol) Other methods A method that is the less well-known is the metabisulfite method, in which metabisulfite is placed at the bottom of a beaker and 12.6 molar concentration hydrochloric acid is added. The resulting gas is bubbled through nitric acid, which will release brown/red vapors of nitrogen dioxide as the reaction proceeds. The completion of the reaction is indicated by the ceasing of the fumes. This method does not produce an inseparable mist, which is quite convenient. 3 SO2 + 2 HNO3 + 2 H2O → 3 H2SO4 + 2 NO Burning sulfur together with saltpeter (potassium nitrate, ), in the presence of steam, has been used historically. As saltpeter decomposes, it oxidizes the sulfur to , which combines with water to produce sulfuric acid. Alternatively, dissolving sulfur dioxide in an aqueous solution of an oxidizing metal salt such as copper (II) or iron (III) chloride: 2 FeCl3 + 2 H2O + SO2 → 2 FeCl2 + H2SO4 + 2 HCl 2 CuCl2 + 2 H2O + SO2 → 2 CuCl + H2SO4 + 2 HCl Two less well-known laboratory methods of producing sulfuric acid, albeit in dilute form and requiring some extra effort in purification. A solution of copper (II) sulfate can be electrolyzed with a copper cathode and platinum/graphite anode to give spongy copper at cathode and evolution of oxygen gas at the anode, the solution of dilute sulfuric acid indicates completion of the reaction when it turns from blue to clear (production of hydrogen at cathode is another sign): 2 CuSO4 + 2 H2O → 2 Cu + 2 H2SO4 + O2 More costly, dangerous, and troublesome yet novel is the electrobromine method, which employs a mixture of sulfur, water, and hydrobromic acid as the electrolytic solution. The sulfur is pushed to bottom of container under the acid solution. Then the copper cathode and platinum/graphite anode are used with the cathode near the surface and the anode is positioned at the bottom of the electrolyte to apply the current. This may take longer and emits toxic bromine/sulfur bromide vapors, but the reactant acid is recyclable. Overall, only the sulfur and water are converted to sulfuric acid (omitting losses of acid as vapors): 2 HBr → H2 + Br2 (electrolysis of aqueous hydrogen bromide) Br2 + Br− ↔ Br3− (initial tribromide production, eventually reverses as Br− depletes) 2 S + Br2 → S2Br2 (bromine reacts with sulfur to form disulfur dibromide) S2Br2 + 8 H2O + 5 Br2 → 2 H2SO4 + 12 HBr (oxidation and hydration of disulfur dibromide) Prior to 1900, most sulfuric acid was manufactured by the lead chamber process. As late as 1940, up to 50% of sulfuric acid manufactured in the United States was produced by chamber process plants. In the early to mid 19th century "vitriol" plants existed, among other places, in Prestonpans in Scotland, Shropshire and the Lagan Valley in County Antrim Ireland, where it was used as a bleach for linen. Early bleaching of linen was done using lactic acid from sour milk but this was a slow process and the use of vitriol sped up the bleaching process. Uses Sulfuric acid is a very important commodity chemical, and indeed, a nation's sulfuric acid production is a good indicator of its industrial strength. World production in the year 2004 was about 180 million tonnes, with the following geographic distribution: Asia 35%, North America (including Mexico) 24%, Africa 11%, Western Europe 10%, Eastern Europe and Russia 10%, Australia and Oceania 7%, South America 7%. Most of this amount (≈60%) is consumed for fertilizers, particularly superphosphates, ammonium phosphate and ammonium sulfates. About 20% is used in chemical industry for production of detergents, synthetic resins, dyestuffs, pharmaceuticals, petroleum catalysts, insecticides and antifreeze, as well as in various processes such as oil well acidicizing, aluminium reduction, paper sizing, and water treatment. About 6% of uses are related to pigments and include paints, enamels, printing inks, coated fabrics and paper, while the rest is dispersed into a multitude of applications such as production of explosives, cellophane, acetate and viscose textiles, lubricants, non-ferrous metals, and batteries. Industrial production of chemicals The major use for sulfuric acid is in the "wet method" for the production of phosphoric acid, used for manufacture of phosphate fertilizers. In this method, phosphate rock is used, and more than 100 million tonnes are processed annually. This raw material is shown below as fluorapatite, though the exact composition may vary. This is treated with 93% sulfuric acid to produce calcium sulfate, hydrogen fluoride (HF) and phosphoric acid. The HF is removed as hydrofluoric acid. The overall process can be represented as: \overset{fluorapatite}{Ca5F(PO4)3} + {5H2SO4} + 10H2O -> \overset{calcium~sulfate}{5CaSO4.2H2O} + {HF} + 3H3PO4 Ammonium sulfate, an important nitrogen fertilizer, is most commonly produced as a byproduct from coking plants supplying the iron and steel making plants. Reacting the ammonia produced in the thermal decomposition of coal with waste sulfuric acid allows the ammonia to be crystallized out as a salt (often brown because of iron contamination) and sold into the agro-chemicals industry. Another important use for sulfuric acid is for the manufacture of aluminium sulfate, also known as paper maker's alum. This can react with small amounts of soap on paper pulp fibers to give gelatinous aluminium carboxylates, which help to coagulate the pulp fibers into a hard paper surface. It is also used for making aluminium hydroxide, which is used at water treatment plants to filter out impurities, as well as to improve the taste of the water. Aluminium sulfate is made by reacting bauxite with sulfuric acid: 2 + 3 → + 4 Sulfuric acid is also important in the manufacture of dyestuffs solutions. Sulfur–iodine cycle The sulfur–iodine cycle is a series of thermo-chemical processes possibly usable to produce hydrogen from water. It consists of three chemical reactions whose net reactant is water and whose net products are hydrogen and oxygen. {| |- | 2 + 2 + 4 → 4 HI + 2 || || (120 °C, Bunsen reaction) |- | 2 → 2 + 2 + || || (830 °C) |- | 4 HI → 2 + 2 || || (320 °C) |} The compounds of sulfur and iodine are recovered and reused, hence the consideration of the process as a cycle. This process is endothermic and must occur at high temperatures, so energy in the form of heat has to be supplied. The sulfur–iodine cycle has been proposed as a way to supply hydrogen for a hydrogen-based economy. It is an alternative to electrolysis, and does not require hydrocarbons like current methods of steam reforming. But note that all of the available energy in the hydrogen so produced is supplied by the heat used to make it. The sulfur–iodine cycle is currently being researched as a feasible method of obtaining hydrogen, but the concentrated, corrosive acid at high temperatures poses currently insurmountable safety hazards if the process were built on a large scale. Hybrid sulfur cycle The hybrid sulfur cycle (HyS) is a two-step water splitting process intended to be used for hydrogen production. Based on sulfur oxidation and reduction, it is classified as a hybrid thermochemical cycle because it uses an electrochemical (instead of a thermochemical) reaction for one of the two steps. The remaining thermochemical step is shared with the sulfur-iodine cycle. Industrial cleaning agent Sulfuric acid is used in large quantities by the iron and steelmaking industry to remove oxidation, rust, and scaling from rolled sheet and billets prior to sale to the automobile and major appliances industry. Used acid is often recycled using a spent acid regeneration (SAR) plant. These plants combust spent acid with natural gas, refinery gas, fuel oil or other fuel sources. This combustion process produces gaseous sulfur dioxide () and sulfur trioxide () which are then used to manufacture "new" sulfuric acid. SAR plants are common additions to metal smelting plants, oil refineries, and other industries where sulfuric acid is consumed in bulk, as operating a SAR plant is much cheaper than the recurring costs of spent acid disposal and new acid purchases. Hydrogen peroxide () can be added to sulfuric acid to produce piranha solution, a powerful but very toxic cleaning solution with which substrate surfaces can be cleaned. Piranha solution is typically used in the microelectronics industry, and also in laboratory settings to clean glassware. Catalyst Sulfuric acid is used for a variety of other purposes in the chemical industry. For example, it is the usual acid catalyst for the conversion of cyclohexanone oxime to caprolactam, used for making nylon. It is used for making hydrochloric acid from salt via the Mannheim process. Much is used in petroleum refining, for example as a catalyst for the reaction of isobutane with isobutylene to give isooctane, a compound that raises the octane rating of gasoline (petrol). Sulfuric acid is also often used as a dehydrating or oxidizing agent in industrial reactions, such as the dehydration of various sugars to form solid carbon. Electrolyte Sulfuric acid acts as the electrolyte in lead–acid batteries (lead-acid accumulator): At anode: + 2− ⇌ + 2 e− At cathode: + 4 H+ + 2− + 2 e− ⇌ + 2 H2O Overall: + + 4 H+ + 2 2− ⇌ 2 + 2 H2O Domestic uses Sulfuric acid at high concentrations is frequently the major ingredient in acidic drain cleaners which are used to remove grease, hair, tissue paper, etc. Similar to their alkaline versions, such drain openers can dissolve fats and proteins via hydrolysis. Moreover, as concentrated sulfuric acid has a strong dehydrating property, it can remove tissue paper via dehydrating process as well. Since the acid may react with water vigorously, such acidic drain openers should be
[H3SO4]+ have been prepared using the following reaction in liquid HF: ((CH3)3SiO)2SO2 + 3 HF + SbF5 → [H3SO4]+[SbF6]− + 2 (CH3)3SiF The above reaction is thermodynamically favored due to the high bond enthalpy of the Si–F bond in the side product. Protonation using simply HF/SbF5, however, has met with failure, as pure sulfuric acid undergoes self-ionization to give [H3O]+ ions 2 H2SO4 [H3O]+ + [HS2O7]− which prevents the conversion of H2SO4 to [H3SO4]+ by the HF/SbF5 system. Reactions with metals Even dilute sulfuric acid reacts with many metals via a single displacement reaction, like other typical acids, producing hydrogen gas and salts (the metal sulfate). It attacks reactive metals (metals at positions above copper in the reactivity series) such as iron, aluminium, zinc, manganese, magnesium, and nickel. Fe + → + Concentrated sulfuric acid can serve as an oxidizing agent, releasing sulfur dioxide: Cu + 2 H2SO4 → SO2 + 2 H2O + + Cu2+ Lead and tungsten, however, are resistant to sulfuric acid. Reactions with carbon Hot concentrated sulfuric acid oxidizes carbon (as bituminous coal) and sulfur: C + 2 H2SO4 → CO2 + 2 SO2 + 2 H2O S + 2 H2SO4 → 3 SO2 + 2 H2O Reaction with sodium chloride It reacts with sodium chloride, and gives hydrogen chloride gas and sodium bisulfate: NaCl + H2SO4 → NaHSO4 + HCl Electrophilic aromatic substitution Benzene undergoes electrophilic aromatic substitution with sulfuric acid to give the corresponding sulfonic acids: Occurrence Pure sulfuric acid is not encountered naturally on Earth in anhydrous form, due to its great affinity for water. Dilute sulfuric acid is a constituent of acid rain, which is formed by atmospheric oxidation of sulfur dioxide in the presence of water – i.e., oxidation of sulfurous acid. When sulfur-containing fuels such as coal or oil are burned, sulfur dioxide is the main byproduct (besides the chief products carbon oxides and water). Sulfuric acid is formed naturally by the oxidation of sulfide minerals, such as iron sulfide. The resulting water can be highly acidic and is called acid mine drainage (AMD) or acid rock drainage (ARD). This acidic water is capable of dissolving metals present in sulfide ores, which results in brightly colored, toxic solutions. The oxidation of pyrite (iron sulfide) by molecular oxygen produces iron(II), or : 2 (s) + 7 + 2 → 2 + 4 + 4 The can be further oxidized to : 4 + + 4 → 4 + 2 The produced can be precipitated as the hydroxide or hydrous iron oxide: + 3 → ↓ + 3 The iron(III) ion ("ferric iron") can also oxidize pyrite: (s) + 14 + 8 → 15 + 2 + 16 When iron(III) oxidation of pyrite occurs, the process can become rapid. pH values below zero have been measured in ARD produced by this process. ARD can also produce sulfuric acid at a slower rate, so that the acid neutralizing capacity (ANC) of the aquifer can neutralize the produced acid. In such cases, the total dissolved solids (TDS) concentration of the water can be increased from the dissolution of minerals from the acid-neutralization reaction with the minerals. Sulfuric acid is used as a defense by certain marine species, for example, the phaeophyte alga Desmarestia munda (order Desmarestiales) concentrates sulfuric acid in cell vacuoles. Stratospheric aerosol In the stratosphere, the atmosphere's second layer that is generally between 10 and 50 km above Earth's surface, sulfuric acid is formed by the oxidation of volcanic sulfur dioxide by the hydroxyl radical: + HO• → + → + + → Because sulfuric acid reaches supersaturation in the stratosphere, it can nucleate aerosol particles and provide a surface for aerosol growth via condensation and coagulation with other water-sulfuric acid aerosols. This results in the stratospheric aerosol layer. Extraterrestrial sulfuric acid The permanent Venusian clouds produce a concentrated acid rain, as the clouds in the atmosphere of Earth produce water rain. Jupiter's moon Europa is also thought to have an atmosphere containing sulfuric acid hydrates. Manufacture Sulfuric acid is produced from sulfur, oxygen and water via the conventional contact process (DCDA) or the wet sulfuric acid process (WSA). Contact process In the first step, sulfur is burned to produce sulfur dioxide. S (s) + → The sulfur dioxide is oxidized to sulfur trioxide by oxygen in the presence of a vanadium(V) oxide catalyst. This reaction is reversible and the formation of the sulfur trioxide is exothermic. 2 + 2 The sulfur trioxide is absorbed into 97–98% to form oleum (), also known as fuming sulfuric acid and pyrosulphuric acid. The oleum is then diluted with water to form concentrated sulfuric acid. + → + → 2 Directly dissolving in water is not practiced. Wet sulfuric acid process In the first step, sulfur is burned to produce sulfur dioxide: S + → (−297 kJ/mol) or, alternatively, hydrogen sulfide () gas is incinerated to gas: 2 + 3 → 2 + 2 (−1036 kJ/mol) The sulfur dioxide then oxidized to sulfur trioxide using oxygen with vanadium(V) oxide as catalyst. 2 + 2 (−198 kJ/mol) (reaction is reversible) The sulfur trioxide is hydrated into sulfuric acid : + → (g) (−101 kJ/mol) The last step is the condensation of the sulfuric acid to liquid 97–98% : (g) → (l) (−69 kJ/mol) Other methods A method that is the less well-known is the metabisulfite method, in which metabisulfite is placed at the bottom of a beaker and 12.6 molar concentration hydrochloric acid is added. The resulting gas is bubbled through nitric acid, which will release brown/red vapors of nitrogen dioxide as the reaction proceeds. The completion of the reaction is indicated by the ceasing of the fumes. This method does not produce an inseparable mist, which is quite convenient. 3 SO2 + 2 HNO3 + 2 H2O → 3 H2SO4 + 2 NO Burning sulfur together with saltpeter (potassium nitrate, ), in the presence of steam, has been used historically. As saltpeter decomposes, it oxidizes the sulfur to , which combines with water to produce sulfuric acid. Alternatively, dissolving sulfur dioxide in an aqueous solution of an oxidizing metal salt such as copper (II) or iron (III) chloride: 2 FeCl3 + 2 H2O + SO2 → 2 FeCl2 + H2SO4 + 2 HCl 2 CuCl2 + 2 H2O + SO2 → 2 CuCl + H2SO4 + 2 HCl Two less well-known laboratory methods of producing sulfuric acid, albeit in dilute form and requiring some extra effort in purification. A solution of copper (II) sulfate can be electrolyzed with a copper cathode and platinum/graphite anode to give spongy copper at cathode and evolution of oxygen gas at the anode, the solution of dilute sulfuric acid indicates completion of the reaction when it turns from blue to clear (production of hydrogen at cathode is another sign): 2 CuSO4 + 2 H2O → 2 Cu + 2 H2SO4 + O2 More costly, dangerous, and troublesome yet novel is the electrobromine method, which employs a mixture of sulfur, water, and hydrobromic acid as the electrolytic solution. The sulfur is pushed to bottom of container under the acid solution. Then the copper cathode and platinum/graphite anode are used with the cathode near the surface and the anode is positioned at the bottom of the electrolyte to apply the current. This may take longer and emits toxic bromine/sulfur bromide vapors, but the reactant acid is recyclable. Overall, only the sulfur and water are converted to sulfuric acid (omitting losses of acid as vapors): 2 HBr → H2 + Br2 (electrolysis of aqueous hydrogen bromide) Br2 + Br− ↔ Br3− (initial tribromide production, eventually reverses as Br− depletes) 2 S + Br2 → S2Br2 (bromine reacts with sulfur to form disulfur dibromide) S2Br2 + 8 H2O + 5 Br2 → 2 H2SO4 + 12 HBr (oxidation and hydration of disulfur dibromide) Prior to 1900, most sulfuric acid was manufactured by the lead chamber process. As late as 1940, up to 50% of sulfuric acid manufactured in the United States was produced by chamber process plants. In the early to mid 19th century "vitriol" plants existed, among other places, in Prestonpans in Scotland, Shropshire and the Lagan Valley in County Antrim Ireland, where it was used as a bleach for linen. Early bleaching of linen was done using lactic acid from sour milk but this was a slow process and the use of vitriol sped up the bleaching process. Uses Sulfuric acid is a very important commodity chemical, and indeed, a nation's sulfuric acid production is a good indicator of its industrial strength. World production in the year 2004 was about 180 million tonnes, with the following geographic distribution: Asia 35%, North America (including Mexico) 24%, Africa 11%, Western Europe 10%, Eastern Europe and Russia 10%, Australia and Oceania 7%, South America 7%. Most of this amount (≈60%) is consumed for fertilizers, particularly superphosphates, ammonium phosphate and ammonium sulfates. About 20% is used in chemical industry for production of detergents, synthetic resins, dyestuffs, pharmaceuticals, petroleum catalysts, insecticides and antifreeze, as well as in various processes such as oil well acidicizing, aluminium reduction, paper sizing, and water treatment. About 6% of uses are related to pigments and include paints, enamels, printing inks, coated fabrics and paper, while the rest is dispersed into a multitude of applications such as production of explosives, cellophane, acetate and viscose textiles, lubricants, non-ferrous metals, and batteries. Industrial production of chemicals The major use for sulfuric acid is in the "wet method" for the production of phosphoric acid, used for manufacture of phosphate fertilizers. In this method, phosphate rock is used, and more than 100 million tonnes are processed annually. This raw material is shown below as fluorapatite, though the exact composition may vary. This is treated with 93% sulfuric acid to produce calcium sulfate, hydrogen fluoride (HF) and phosphoric acid. The HF is removed as hydrofluoric acid. The overall process can be represented as: \overset{fluorapatite}{Ca5F(PO4)3} + {5H2SO4} + 10H2O -> \overset{calcium~sulfate}{5CaSO4.2H2O} + {HF} + 3H3PO4 Ammonium sulfate, an important nitrogen fertilizer, is most commonly produced as a byproduct from coking plants supplying the iron and steel making plants. Reacting the ammonia produced in the thermal decomposition of coal with waste sulfuric acid allows the ammonia to be crystallized out as a salt (often brown because of iron contamination) and sold into the agro-chemicals industry. Another important use for sulfuric acid is for the manufacture of aluminium sulfate, also known as paper maker's alum. This can react with small amounts of soap on paper pulp fibers to give gelatinous aluminium carboxylates, which help to coagulate the pulp fibers into a hard paper surface. It is also used for making aluminium hydroxide, which is used at water treatment plants to filter out impurities, as well as to improve the taste of the water. Aluminium sulfate is made by reacting bauxite with sulfuric acid: 2 + 3 → + 4 Sulfuric acid is also important in the manufacture of dyestuffs solutions. Sulfur–iodine cycle The sulfur–iodine cycle is a series of thermo-chemical processes possibly usable to produce hydrogen from water. It consists of three chemical reactions whose net reactant is water and whose net products are hydrogen and oxygen. {| |- | 2 + 2 + 4 → 4 HI + 2 || || (120 °C, Bunsen reaction) |- | 2 → 2 + 2 + || || (830 °C) |- | 4 HI → 2 + 2 || || (320 °C) |} The compounds of sulfur and iodine are recovered and reused, hence the consideration of the process as a cycle. This process is endothermic and must occur at high temperatures, so energy in the form of heat has to be supplied. The sulfur–iodine cycle has been proposed as a way to supply hydrogen for a hydrogen-based economy. It is an alternative to electrolysis, and does not require hydrocarbons like current methods of steam reforming. But note that all of the available energy in the hydrogen so produced is supplied by the heat used to make it. The sulfur–iodine cycle is currently being researched as a feasible method of obtaining hydrogen, but the concentrated, corrosive acid at high temperatures poses currently insurmountable safety hazards if the process were built on a large scale. Hybrid sulfur cycle The hybrid sulfur cycle (HyS) is a two-step water splitting process intended to be used for hydrogen production. Based on sulfur oxidation and reduction, it is classified as a hybrid thermochemical cycle because it uses an electrochemical (instead of a thermochemical) reaction for one of the two steps. The remaining thermochemical step is shared with the sulfur-iodine cycle. Industrial cleaning agent Sulfuric acid is used in large quantities by the iron and steelmaking industry to remove oxidation, rust, and scaling from rolled sheet and billets prior to sale to the automobile and major appliances industry. Used acid is often recycled using a spent acid regeneration (SAR) plant. These plants combust spent acid with natural gas, refinery gas, fuel oil or other fuel sources. This combustion process produces gaseous sulfur dioxide () and sulfur trioxide () which are then used to manufacture "new" sulfuric acid. SAR plants are common additions to metal smelting plants, oil refineries, and other industries where sulfuric acid is consumed in bulk, as operating a SAR plant is much cheaper than the recurring costs of spent acid disposal and new acid purchases. Hydrogen peroxide () can be added to sulfuric acid to produce piranha solution, a powerful but very toxic cleaning solution with which substrate surfaces can be cleaned. Piranha solution is typically used in the microelectronics industry, and also in laboratory settings to clean glassware. Catalyst Sulfuric acid is used for a variety of other purposes in the chemical industry. For example, it is the usual acid catalyst for the conversion of cyclohexanone oxime to caprolactam, used for making nylon. It is used for making hydrochloric acid from salt via the Mannheim process. Much is used in petroleum refining, for example as a catalyst for the reaction of isobutane with isobutylene to give isooctane, a compound that raises the octane rating of gasoline (petrol). Sulfuric acid is also often used as a dehydrating or oxidizing agent in industrial reactions, such as the dehydration of various sugars to form solid carbon. Electrolyte Sulfuric acid acts as the electrolyte in lead–acid batteries (lead-acid accumulator): At anode: + 2− ⇌ + 2 e− At cathode: + 4 H+ + 2− + 2 e− ⇌ + 2 H2O Overall: + + 4 H+ + 2 2− ⇌ 2 + 2 H2O Domestic uses Sulfuric acid at high concentrations is frequently the major ingredient in acidic drain cleaners which are used to remove grease, hair, tissue paper, etc.
between galaxies are on the order of a million times farther than those between the stars, and thus intergalactic colonization would involve voyages of millions of years via special self-sustaining methods. Law and governance Space activity is legally based on the Outer Space Treaty, the main international treaty. But space law has become a larger legal field, which includes other international agreements such as the significantly less ratified Moon Treaty and diverse national laws. The Outer Space Treaty established the basic ramifications for space activity in article one:"The exploration and use of outer space, including the Moon and other celestial bodies, shall be carried out for the benefit and in the interests of all countries, irrespective of their degree of economic or scientific development, and shall be the province of all mankind." And continued in article two by stating:"Outer space, including the Moon and other celestial bodies, is not subject to national appropriation by claim of sovereignty, by means of use or occupation, or by any other means." The development of international space law has revolved much around outer space being defined as common heritage of mankind. The Magna Carta of Space presented by William A. Hyman in 1966 framed outer space explicitly not as terra nullius but as res communis, which subsequently influenced the work of the United Nations Committee on the Peaceful Uses of Outer Space. Reasons Survival of human civilization The primary argument calling for space colonization is the long-term survival of human civilization and terrestrial life. By developing alternative locations off Earth, the planet's species, including humans, could live on in the event of natural or human-made disasters on our own planet. On two occasions, theoretical physicist and cosmologist Stephen Hawking argued for space colonization as a means of saving humanity. In 2001, Hawking predicted that the human race would become extinct within the next thousand years, unless colonies could be established in space. In 2010, he stated that humanity faces two options: either we colonize space within the next two hundred years, or we will face the long-term prospect of extinction. In 2005, then NASA Administrator Michael Griffin identified space colonization as the ultimate goal of current spaceflight programs, saying: Louis J. Halle, formerly of the United States Department of State, wrote in Foreign Affairs (Summer 1980) that the colonization of space will protect humanity in the event of global nuclear warfare. The physicist Paul Davies also supports the view that if a planetary catastrophe threatens the survival of the human species on Earth, a self-sufficient colony could "reverse-colonize" Earth and restore human civilization. The author and journalist William E. Burrows and the biochemist Robert Shapiro proposed a private project, the Alliance to Rescue Civilization, with the goal of establishing an off-Earth "backup" of human civilization. Based on his Copernican principle, J. Richard Gott has estimated that the human race could survive for another 7.8 million years, but it is not likely to ever colonize other planets. However, he expressed a hope to be proven wrong, because "colonizing other worlds is our best chance to hedge our bets and improve the survival prospects of our species". In a theoretical study from 2019, a group of researchers have pondered the long-term trajectory of human civilization. It is argued that due to Earth's finitude as well as the limited duration of the Solar System, mankind's survival into the far future will very likely require extensive space colonization. This 'astronomical trajectory' of mankind, as it is termed, could come about in four steps: First step, plenty of space colonies could be established at various habitable locations — be it in outer space or on celestial bodies away from planet earth — and allowed to remain dependent on support from earth for a start. Second step, these colonies could gradually become self-sufficient, enabling them to survive if or when the mother civilization on earth fails or dies. Third step, the colonies could develop and expand their habitation by themselves on their space stations or celestial bodies, for example via terraforming. Fourth step, the colonies could self-replicate and establish new colonies further into space, a process that could then repeat itself and continue at an exponential rate throughout cosmos. However, this astronomical trajectory may not be a lasting one, as it will most likely be interrupted and eventually decline due to resource depletion or straining competition between various human factions, bringing about some 'star wars' scenario. In the very far future, mankind is expected to become extinct in any case, as no civilization — whether human or alien — will ever outlive the limited duration of cosmos itself. Vast resources in space Resources in space, both in materials and energy, are enormous. The Solar System alone has, according to different estimates, enough material and energy to support anywhere from several thousand to over a billion times that of the current Earth-based human population, mostly from the Sun itself. Asteroid mining will also be a key player in space colonization. Water and materials to make structures and shielding can be easily found in asteroids. Instead of resupplying on Earth, mining and fuel stations need to be established on asteroids to facilitate better space travel. Optical mining is the term NASA uses to describe extracting materials from asteroids. NASA believes by using propellant derived from asteroids for exploration to the moon, Mars, and beyond will save $100 billion. If funding and technology come sooner than estimated, asteroid mining might be possible within a decade. Although some items of the infrastructure requirements above can already be easily produced on Earth and would therefore not be very valuable as trade items (oxygen, water, base metal ores, silicates, etc.), other high value items are more abundant, more easily produced, of higher quality, or can only be produced in space. These would provide (over the long-term) a very high return on the initial investment in space infrastructure. Some of these high-value trade goods include precious metals, gemstones, power, solar cells, ball bearings, semi-conductors, and pharmaceuticals. The mining and extraction of metals from a small asteroid the size of 3554 Amun or (6178) 1986 DA, both small near-Earth asteroids, would be 30 times as much metal as humans have mined throughout history. A metal asteroid this size would be worth approximately US$20 trillion at 2001 market prices The main impediments to commercial exploitation of these resources are the very high cost of initial investment, the very long period required for the expected return on those investments (The Eros Project plans a 50-year development), and the fact that the venture has never been carried out before—the high-risk nature of the investment. Expansion with fewer negative consequences Expansion of humans and technological progress has usually resulted in some form of environmental devastation, and destruction of ecosystems and their accompanying wildlife. In the past, expansion has often come at the expense of displacing many indigenous peoples, the resulting treatment of these peoples ranging anywhere from encroachment to genocide. Because space has no known life, this need not be a consequence, as some space settlement advocates have pointed out. However, on some bodies of the Solar System, there is the potential for extant native lifeforms and so the negative consequences of space colonization cannot be dismissed. Counterarguments state that changing only the location but not the logic of exploitation will not create a more sustainable future. Alleviating overpopulation and resource demand An argument for space colonization is to mitigate proposed impacts of overpopulation of Earth, such as resource depletion. If the resources of space were opened to use and viable life-supporting habitats were built, Earth would no longer define the limitations of growth. Although many of Earth's resources are non-renewable, off-planet colonies could satisfy the majority of the planet's resource requirements. With the availability of extraterrestrial resources, demand on terrestrial ones would decline. Proponents of this idea include Stephen Hawking and Gerard K. O'Neill. Others including cosmologist Carl Sagan and science fiction writers Arthur C. Clarke, and Isaac Asimov, have argued that shipping any excess population into space is not a viable solution to human overpopulation. According to Clarke, "the population battle must be fought or won here on Earth". The problem for these authors is not the lack of resources in space (as shown in books such as Mining the Sky), but the physical impracticality of shipping vast numbers of people into space to "solve" overpopulation on Earth. Other arguments Advocates for space colonization cite a presumed innate human drive to explore and discover, and call it a quality at the core of progress and thriving civilizations. Nick Bostrom has argued that from a utilitarian perspective, space colonization should be a chief goal as it would enable a very large population to live for a very long period of time (possibly billions of years), which would produce an enormous amount of utility (or happiness). He claims that it is more important to reduce existential risks to increase the probability of eventual colonization than to accelerate technological development so that space colonization could happen sooner. In his paper, he assumes that the created lives will have positive ethical value despite the problem of suffering. In a 2001 interview with Freeman Dyson, J. Richard Gott and Sid Goldstein, they were asked for reasons why some humans should live in space. Their answers were: Spread life and beauty throughout the universe Ensure the survival of our species Make money through new forms of space commercialization such as solar-power satellites, asteroid mining, and space manufacturing Save the environment of Earth by moving people and industry into space Biotic ethics is a branch of ethics that values life itself. For biotic ethics, and their extension to space as panbiotic ethics, it is a human purpose to secure and propagate life and to use space to maximize life. Objections Space colonization has been seen as a relief to the problem of human overpopulation as early as 1758, and listed as one of Stephen Hawking's reasons for pursuing space exploration. Critics note, however, that a slowdown in population growth rates since the 1980s has alleviated the risk of overpopulation. Critics also argue that the costs of commercial activity in space are too high to be profitable against Earth-based industries, and hence that it is unlikely to see significant exploitation of space resources in the foreseeable future. Other objections include concerns that the forthcoming colonization and commodification of the cosmos is likely to enhance the interests of the already powerful, including major economic and military institutions e.g. the large financial institutions, the major aerospace companies and the military–industrial complex, to lead to new wars, and to exacerbate pre-existing exploitation of workers and resources, economic inequality, poverty, social division and marginalization, environmental degradation, and other detrimental processes or institutions. Additional concerns include creating a culture in which humans are no longer seen as human, but rather as material assets. The issues of human dignity, morality, philosophy, culture, bioethics, and the threat of megalomaniac leaders in these new "societies" would all have to be addressed in order for space colonization to meet the psychological and social needs of people living in isolated colonies. As an alternative or addendum for the future of the human race, many science fiction writers have focused on the realm of the 'inner-space', that is the computer-aided exploration of the human mind and human consciousness—possibly en route developmentally to a Matrioshka Brain. Robotic spacecraft are proposed as an alternative to gain many of the same scientific advantages without the limited mission duration and high cost of life support and return transportation involved in human missions. A corollary to the Fermi paradox—"nobody else is doing it"—is the argument that, because no evidence of alien colonization technology exists, it is statistically unlikely to even be possible to use that same level of technology ourselves. Another concern is the potential to cause interplanetary contamination on planets that may harbor hypothetical extraterrestrial life. Colonialism Space colonization has been discussed as postcolonial continuation of imperialism and colonialism, calling for decolonization instead of colonization. Critics argue that the present politico-legal regimes and their philosophic grounding advantage imperialist development of space and that key decisionmakers in space colonization are often wealthy elites affiliated with private corporations, and that space colonization would primarily appeal to their peers rather than ordinary citizens. Furthermore, it is argued that there is a need for inclusive and democratic participation and implementation of any space exploration, infrastructure or habitation. Critically it has been an issue in space law that regulations such as the Outer Space Treaty, which guarantees access to space, does not though secure international and social inclusiveness, particularly regarding private spaceflight. Particularly the narrative of the "New Frontier", has been criticized as unreflected continuation of settler colonialism and manifest destiny, continuing the narrative of exploration as fundamental to the assumed human nature. Joon Yun considers space colonization as a solution to human survival and global problems like pollution to be imperialist, as such others have identified space as a new sacrifice zone of colonialism. Natalie B. Trevino argues that not colonialism but coloniality will be carried into space if not reflected on. More specifically the advocacy for territorial colonization of Mars opposed to habitation in the atmospheric space of Venus has been called surfacism, a concept similar to Thomas Golds surface chauvinism. More generally space infrastructure such as the Mauna Kea Observatories have also been criticized and protested against as being colonialist. Guiana Space Centre has also been the sight of anti-colonial protests, connecting colonization as an issue on Earth and in space. In regard to the scenario of extraterrestrial first contact it has been argued that being used to employ colonial language would endanger such first impressions and encounters. Furthermore spaceflight as a whole and space law more particularly has been criticized as a postcolonial project by being built on a colonial legacy and by not facilitating the sharing of access to space and its benefits, too often allowing spaceflight to be used to sustain colonialism and imperialism, most of all on Earth instead. Planetary protection Robotic spacecraft to Mars are required to be sterilized, to have at most 300,000 spores on the exterior of the craft—and more thoroughly sterilized if they contact "special regions" containing water, or it could contaminate life-detection experiments or the planet iself. It is impossible to sterilize human missions to this level, as humans are host to typically a hundred trillion microorganisms of thousands of species of the human microbiome, and these cannot be removed while preserving the life of the human. Containment seems the only option, but it is a major challenge in the event of a hard landing (i.e. crash). There have been several planetary workshops on this issue, but with no final guidelines for a way forward yet. Human explorers could also inadvertently contaminate Earth if they return to the planet while carrying extraterrestrial microorganisms. Physical, mental and emotional health risks to colonizers The health of the humans who may participate in a colonization venture would be subject to increased physical, mental and emotional risks. NASA learned that – without gravity – bones lose minerals, causing osteoporosis. Bone density may decrease by 1% per month, which may lead to a greater risk of osteoporosis-related fractures later in life. Fluid shifts towards to the head may cause vision problems. NASA found that isolation in closed environments aboard the International Space Station led to depression, sleep disorders, and diminished personal interactions, likely due to confined spaces and the monotony and boredom of long space flight. Circadian rhythm may also be susceptible to the effects of space life due to the effects on sleep of disrupted timing of sunset and sunrise. This can lead to exhaustion, as well as other sleep problems such as insomnia, which can reduce their productivity and lead to mental health disorders. High-energy radiation is a health risk that colonizers would face, as radiation in deep space is deadlier than what astronauts face now in low Earth orbit. Metal shielding on space vehicles protects against only 25-30% of space radiation, possibly leaving colonizers exposed to the other 70% of radiation and its short and long-term health complications. Implementation Building colonies in space would require access to water, food, space, people, construction materials, energy, transportation, communications, life support, simulated gravity, radiation protection and capital investment. It is likely the colonies would be located near the necessary physical resources. The practice of space architecture seeks to transform spaceflight from a heroic test of human endurance to a normality within the bounds of comfortable experience. As is true of other frontier-opening endeavors, the capital investment necessary for space colonization would probably come from governments, an argument made by John Hickman and Neil deGrasse Tyson. Life support In space settlements, a life support system must recycle or import all the nutrients without "crashing." The closest terrestrial analogue to space life support is possibly that of a nuclear submarine. Nuclear submarines use mechanical life support systems to support humans for months without surfacing, and this same basic technology could presumably be employed for space use. However, nuclear submarines run "open loop"—extracting oxygen from seawater, and typically dumping carbon dioxide overboard, although they recycle existing oxygen. Another commonly proposed life-support system is a closed ecological system such as Biosphere 2. Solutions to health risks Although there are many physical, mental, and emotional health risks for future colonizers and pioneers, solutions have been proposed to correct these problems. Mars500, HI-SEAS, and SMART-OP represent efforts to help reduce the effects of loneliness and confinement for long periods of time. Keeping contact with family members, celebrating holidays, and maintaining cultural identities all had an impact on minimizing the deterioration of mental health. There are also health tools in development to help astronauts reduce anxiety,
possible to build a surface base that would produce fuel for further exploration of the Solar System. HOPE estimated a round trip time for a crewed mission of about 2–5 years, assuming significant progress in propulsion technologies. Saturnian moons Saturn has seven moons large enough to be round: in order of increasing distance from Saturn, they are Mimas, Enceladus, Tethys, Dione, Rhea, Titan, and Iapetus. Titan is the largest and the only one with a Moon-like gravity: it is the only moon in the Solar System to have a dense atmosphere and is rich in carbon-bearing compounds, suggesting it as a colonization target. Titan has water ice and large methane oceans. Robert Zubrin identified Titan as possessing an abundance of all the elements necessary to support life, making Titan perhaps the most advantageous locale in the outer Solar System for colonization. The small moon Enceladus is also of interest, having a subsurface ocean that is separated from the surface by only tens of meters of ice at the south pole, compared to kilometres of ice separating the ocean from the surface on Europa. Volatile and organic compounds are present there, and the moon's high density for an ice world (1.6 g/cm3) indicates that its core is rich in silicates. Saturn's radiation belt is much weaker than Jupiter's, so radiation is less of an issue here. Dione, Rhea, Titan, and Iapetus all orbit outside the radiation belt, and Titan's thick atmosphere would adequately shield against cosmic radiation. Trans-Neptunian region Freeman Dyson suggested that within a few centuries human civilization will have relocated to the Kuiper belt. Beyond the Solar System Looking beyond the Solar System, there are up to several hundred billion potential stars with possible colonization targets. The main difficulty is the vast distances to other stars: roughly a hundred thousand times farther away than the planets in the Solar System. This means that some combination of very high speed (some more-than-fractional percentage of the speed of light), or travel times lasting centuries or millennia, would be required. These speeds are far beyond what current spacecraft propulsion systems can provide. Space colonization technology could in principle allow human expansion at high, but sub-relativistic speeds, substantially less than the speed of light, c. An interstellar colony ship would be similar to a space habitat, with the addition of major propulsion capabilities and independent energy generation. Hypothetical starship concepts proposed both by scientists and in hard science fiction include: A generation ship would travel much slower than light, with consequent interstellar trip times of many decades or centuries. The crew would go through generations before the journey was complete, so none of the initial crew would be expected to survive to arrive at the destination, assuming current human lifespans. A sleeper ship, where most or all of the crew spend the journey in some form of hibernation or suspended animation, allowing some or all to reach the destination. An embryo-carrying interstellar starship (EIS), much smaller than a generation ship or sleeper ship, transporting human embryos or DNA in a frozen or dormant state to the destination. (Obvious biological and psychological problems in birthing, raising, and educating such voyagers, neglected here, may not be fundamental.) A nuclear fusion or fission powered ship (e.g. ion drive) of some kind, achieving velocities of up to perhaps 10% c permitting one-way trips to nearby stars with durations comparable to a human lifetime. A Project Orion-ship, a nuclear-powered concept proposed by Freeman Dyson which would use nuclear explosions to propel a starship. A special case of the preceding nuclear rocket concepts, with similar potential velocity capability, but possibly easier technology. Laser propulsion concepts, using some form of beaming of power from the Solar System might allow a light-sail or other ship to reach high speeds, comparable to those theoretically attainable by the fusion-powered electric rocket, above. These methods would need some means, such as supplementary nuclear propulsion, to stop at the destination, but a hybrid (light-sail for acceleration, fusion-electric for deceleration) system might be possible. Uploaded human minds or artificial intelligence may be transmitted via radio or laser at light speed to interstellar destinations where self-replicating spacecraft have travelled subluminally and set up infrastructure and possibly also brought some minds. Extraterrestrial intelligence might be another viable destination. The above concepts appear limited to high, but still sub-relativistic speeds, due to fundamental energy and reaction mass considerations, and all would entail trip times which might be enabled by space colonization technology, permitting self-contained habitats with lifetimes of decades to centuries. Yet human interstellar expansion at average speeds of even 0.1% of c would permit settlement of the entire Galaxy in less than one half of the Sun's galactic orbital period of ~240,000,000 years, which is comparable to the timescale of other galactic processes. Thus, even if interstellar travel at near relativistic speeds is never feasible (which cannot be clearly determined at this time), the development of space colonization could allow human expansion beyond the Solar System without requiring technological advances that cannot yet be reasonably foreseen. This could greatly improve the chances for the survival of intelligent life over cosmic timescales, given the many natural and human-related hazards that have been widely noted. If humanity does gain access to a large amount of energy, on the order of the mass-energy of entire planets, it may eventually become feasible to construct Alcubierre drives. These are one of the few methods of superluminal travel which may be possible under current physics. However it is probable that such a device could never exist, due to the fundamental challenges posed. For more on this see Difficulties of making and using an Alcubierre Drive. Intergalactic travel The distances between galaxies are on the order of a million times farther than those between the stars, and thus intergalactic colonization would involve voyages of millions of years via special self-sustaining methods. Law and governance Space activity is legally based on the Outer Space Treaty, the main international treaty. But space law has become a larger legal field, which includes other international agreements such as the significantly less ratified Moon Treaty and diverse national laws. The Outer Space Treaty established the basic ramifications for space activity in article one:"The exploration and use of outer space, including the Moon and other celestial bodies, shall be carried out for the benefit and in the interests of all countries, irrespective of their degree of economic or scientific development, and shall be the province of all mankind." And continued in article two by stating:"Outer space, including the Moon and other celestial bodies, is not subject to national appropriation by claim of sovereignty, by means of use or occupation, or by any other means." The development of international space law has revolved much around outer space being defined as common heritage of mankind. The Magna Carta of Space presented by William A. Hyman in 1966 framed outer space explicitly not as terra nullius but as res communis, which subsequently influenced the work of the United Nations Committee on the Peaceful Uses of Outer Space. Reasons Survival of human civilization The primary argument calling for space colonization is the long-term survival of human civilization and terrestrial life. By developing alternative locations off Earth, the planet's species, including humans, could live on in the event of natural or human-made disasters on our own planet. On two occasions, theoretical physicist and cosmologist Stephen Hawking argued for space colonization as a means of saving humanity. In 2001, Hawking predicted that the human race would become extinct within the next thousand years, unless colonies could be established in space. In 2010, he stated that humanity faces two options: either we colonize space within the next two hundred years, or we will face the long-term prospect of extinction. In 2005, then NASA Administrator Michael Griffin identified space colonization as the ultimate goal of current spaceflight programs, saying: Louis J. Halle, formerly of the United States Department of State, wrote in Foreign Affairs (Summer 1980) that the colonization of space will protect humanity in the event of global nuclear warfare. The physicist Paul Davies also supports the view that if a planetary catastrophe threatens the survival of the human species on Earth, a self-sufficient colony could "reverse-colonize" Earth and restore human civilization. The author and journalist William E. Burrows and the biochemist Robert Shapiro proposed a private project, the Alliance to Rescue Civilization, with the goal of establishing an off-Earth "backup" of human civilization. Based on his Copernican principle, J. Richard Gott has estimated that the human race could survive for another 7.8 million years, but it is not likely to ever colonize other planets. However, he expressed a hope to be proven wrong, because "colonizing other worlds is our best chance to hedge our bets and improve the survival prospects of our species". In a theoretical study from 2019, a group of researchers have pondered the long-term trajectory of human civilization. It is argued that due to Earth's finitude as well as the limited duration of the Solar System, mankind's survival into the far future will very likely require extensive space colonization. This 'astronomical trajectory' of mankind, as it is termed, could come about in four steps: First step, plenty of space colonies could be established at various habitable locations — be it in outer space or on celestial bodies away from planet earth — and allowed to remain dependent on support from earth for a start. Second step, these colonies could gradually become self-sufficient, enabling them to survive if or when the mother civilization on earth fails or dies. Third step, the colonies could develop and expand their habitation by themselves on their space stations or celestial bodies, for example via terraforming. Fourth step, the colonies could self-replicate and establish new colonies further into space, a process that could then repeat itself and continue at an exponential rate throughout cosmos. However, this astronomical trajectory may not be a lasting one, as it will most likely be interrupted and eventually decline due to resource depletion or straining competition between various human factions, bringing about some 'star wars' scenario. In the very far future, mankind is expected to become extinct in any case, as no civilization — whether human or alien — will ever outlive the limited duration of cosmos itself. Vast resources in space Resources in space, both in materials and energy, are enormous. The Solar System alone has, according to different estimates, enough material and energy to support anywhere from several thousand to over a billion times that of the current Earth-based human population, mostly from the Sun itself. Asteroid mining will also be a key player in space colonization. Water and materials to make structures and shielding can be easily found in asteroids. Instead of resupplying on Earth, mining and fuel stations need to be established on asteroids to facilitate better space travel. Optical mining is the term NASA uses to describe extracting materials from asteroids. NASA believes by using propellant derived from asteroids for exploration to the moon, Mars, and beyond will save $100 billion. If funding and technology come sooner than estimated, asteroid mining might be possible within a decade. Although some items of the infrastructure requirements above can already be easily produced on Earth and would therefore not be very valuable as trade items (oxygen, water, base metal ores, silicates, etc.), other high value items are more abundant, more easily produced, of higher quality, or can only be produced in space. These would provide (over the long-term) a very high return on the initial investment in space infrastructure. Some of these high-value trade goods include precious metals, gemstones, power, solar cells, ball bearings, semi-conductors, and pharmaceuticals. The mining and extraction of metals from a small asteroid the size of 3554 Amun or (6178) 1986 DA, both small near-Earth asteroids, would be 30 times as much metal as humans have mined throughout history. A metal asteroid this size would be worth approximately US$20 trillion at 2001 market prices The main impediments to commercial exploitation of these resources are the very high cost of initial investment, the very long period required for the expected return on those investments (The Eros Project plans a 50-year development), and the fact that the venture has never been carried out before—the high-risk nature of the investment. Expansion with fewer negative consequences Expansion of humans and technological progress has usually resulted in some form of environmental devastation, and destruction of ecosystems and their accompanying wildlife. In the past, expansion has often come at the expense of displacing many indigenous peoples, the resulting treatment of these peoples ranging anywhere from encroachment to genocide. Because space has no known life, this need not be a consequence, as some space settlement advocates have pointed out. However, on some bodies of the Solar System, there is the potential for extant native lifeforms and so the negative consequences of space colonization cannot be dismissed. Counterarguments state that changing only the location but not the logic of exploitation will not create a more sustainable future. Alleviating overpopulation and resource demand An argument for space colonization is to mitigate proposed impacts of overpopulation of Earth, such as resource depletion. If the resources of space were opened to use and viable life-supporting habitats were built, Earth would no longer define the limitations of growth. Although many of Earth's resources are non-renewable, off-planet colonies could satisfy the majority of the planet's resource requirements. With the availability of extraterrestrial resources, demand on terrestrial ones would decline. Proponents of this idea include Stephen Hawking and Gerard K. O'Neill. Others including cosmologist Carl Sagan and science fiction writers Arthur C. Clarke, and Isaac Asimov, have argued that shipping any excess population into space is not a viable solution to human overpopulation. According to Clarke, "the population battle must be fought or won here on Earth". The problem for these authors is not the lack of resources in space (as shown in books such as Mining the Sky), but the physical impracticality of shipping vast numbers of people into space to "solve" overpopulation on Earth. Other arguments Advocates for space colonization cite a presumed innate human drive to explore and discover, and call it a quality at the core of progress and thriving civilizations. Nick Bostrom has argued that from a utilitarian perspective, space colonization should be a chief goal as it would enable a very large population to live for a very long period of time (possibly billions of years), which would produce an enormous amount of utility (or happiness). He claims that it is more important to reduce existential risks to increase the probability of eventual colonization than to accelerate technological development so that space colonization could happen sooner. In his paper, he assumes that the created lives will have positive ethical value despite the problem of suffering. In a 2001 interview with Freeman Dyson, J. Richard Gott and Sid Goldstein, they were asked for reasons why some humans should live in space. Their answers were: Spread life and beauty throughout the universe Ensure the survival of our species Make money through new forms of space commercialization such as solar-power satellites, asteroid mining, and space manufacturing Save the environment of Earth by moving people and industry into space Biotic ethics is a branch of ethics that values life itself. For biotic ethics, and their extension to space as panbiotic ethics, it is a human purpose to secure and propagate life and to use space to maximize life. Objections Space colonization has been seen as a relief to the problem of human overpopulation as early as 1758, and listed as one of Stephen Hawking's reasons for pursuing space exploration. Critics note, however, that a slowdown in population growth rates since the 1980s has alleviated the risk of overpopulation. Critics also argue that the costs of commercial activity in space are too high to be profitable against Earth-based industries, and hence that it is unlikely to see significant exploitation of space resources in the foreseeable future. Other objections include concerns that the forthcoming colonization and commodification of the cosmos is likely to enhance the interests of the already powerful, including major
assembled on September 24, 787 at the church of Hagia Sophia. It numbered about 350 members; 308 bishops or their representatives signed. Tarasius presided, and seven sessions were held in Nicaea. Proceedings The twenty-two canons drawn up in Constantinople also served ecclesiastical reform. Careful maintenance of the ordinances of the earlier councils, knowledge of the scriptures on the part of the clergy, and care for Christian conduct are required, and the desire for a renewal of ecclesiastical life is awakened. The council also decreed that every altar should contain a relic, which remains the case in modern Catholic and Orthodox regulations (Canon VII), and made a number of decrees on clerical discipline, especially for monks when mixing with women. Acceptance by various Christian bodies The papal legates voiced their approval of the restoration of the veneration of icons in no uncertain terms, and the patriarch sent a full account of the proceedings of the council to Pope Hadrian I, who had it translated (Pope Anastasius III later replaced the translation with a better one). The papacy did not, however, formally confirm the decrees of the council till 880. In the West, the Frankish clergy initially rejected the Council at a synod in 794, and Charlemagne, then King of the Franks, supported the composition of the Libri Carolini in response, which repudiated the teachings of both the Council and the iconoclasts. A copy of the Libri was sent to Pope Hadrian, who responded with a refutation of the Frankish arguments. The Libri would thereafter remain unpublished until the Reformation, and the Council is accepted as the Seventh Ecumenical Council by the Catholic Church. The council, or rather the final defeat of iconoclasm in 843, is celebrated in the Eastern Orthodox Church, and Eastern Catholic Churches of Byzantine Rite as "The Sunday of the Triumph of Orthodoxy" each year on
monks in general. There were also political overtones to the persecution—images of emperors were still allowed by Constantine, which some opponents saw as an attempt to give wider authority to imperial power than to the saints and bishops. Constantine's iconoclastic tendencies were shared by Constantine's son, Leo IV. After the latter's early death, his widow, Irene of Athens, as regent for her son, began its restoration for personal inclination and political considerations. In 784 the imperial secretary Patriarch Tarasius was appointed successor to the Patriarch Paul IV—he accepted on the condition that intercommunion with the other churches should be reestablished; that is, that the images should be restored. However, a council, claiming to be ecumenical, had abolished the veneration of icons, so another ecumenical council was necessary for its restoration. Pope Adrian I was invited to participate, and gladly accepted, sending an archbishop and an abbot as his legates. In 786, the council met in the Church of the Holy Apostles in Constantinople. However, soldiers in collusion with the opposition entered the church, and broke up the assembly. As a result, the government resorted to a stratagem. Under the pretext of a campaign, the iconoclastic bodyguard was sent away from the capital – disarmed and disbanded. The council was again summoned to meet, this time in Nicaea, since Constantinople was still distrusted. The council assembled on September 24, 787 at the church of Hagia Sophia. It numbered about 350 members; 308 bishops or their representatives signed. Tarasius presided, and seven sessions were held in Nicaea. Proceedings The twenty-two canons drawn up in Constantinople also served ecclesiastical reform. Careful maintenance of the ordinances of the earlier councils, knowledge of the scriptures on the part of the clergy, and care for Christian conduct are required, and the desire for a renewal of ecclesiastical life is awakened. The council also decreed that every altar should contain a relic, which remains the case in modern Catholic and Orthodox regulations (Canon VII), and made a number of decrees on clerical discipline, especially for monks when mixing with women. Acceptance by various Christian bodies The papal legates voiced their approval of the restoration of the veneration of icons in no uncertain terms, and the patriarch sent a full account of the proceedings of the council to Pope Hadrian I, who had it translated (Pope Anastasius III later replaced the translation with a better one). The papacy did not, however, formally confirm the decrees of the council till 880. In the West, the Frankish clergy initially
increases with each older brother he has from the same mother. Known as the fraternal birth order (FBO) effect, scientists attribute this to a prenatal biological mechanism – specifically a maternal immune response to male fetuses – since the effect is only present in men with older biological brothers, and not present among men with older step-brothers and adoptive brothers. This process, known as the maternal immunization hypothesis (MIH), would begin when cells from a male fetus enter the mother's circulation during pregnancy. These cells carry Y-proteins, which are thought to play a role in brain masculinisation (sex-differentiation) during fetal development. The mothers immune system builds antibodies to these Y-proteins. These antibodies are later released on future male fetuses and interfere with the masculinization role of Y-proteins, leaving regions of the brain responsible for sexual orientation in the 'default' female-typical arrangement, causing the exposed son to be more attracted to men over women. Biochemical evidence for this hypothesis was identified in 2017, finding that mothers with a gay son, especially those with older brothers, had significantly higher levels of anti-bodies to the NLGN4Y Y-protein than mothers with heterosexual sons. The effect becomes stronger with each successive male pregnancy, meaning the odds of the next son being gay increase by 38–48%. This does not mean that all or most sons will be gay after several male pregnancies, but rather, the odds of having a gay son increase from approximately 2% for the first born son, to 4% for the second, 6% for the third and so on. Scientists have estimated between 15% and 29% of gay men may owe their sexual orientation to this effect, but the number may be higher, as prior miscarriages and terminations of male pregnancies may have exposed their mothers to Y-linked antigens. The fraternal birth order effect would not likely apply to first born gay sons; instead, scientists say they may owe their orientation to genes, prenatal hormones and other maternal immune responses which also influence brain development. This effect is nullified if the man is left-handed. Ray Blanchard and Anthony Bogaert are credited with discovering the effect in the 1990s. J. Michael Bailey and Jacques Balthazart say the FBO effect demonstrates that sexual orientation is heavily influenced by prenatal biological mechanisms rather than unidentified factors in socialization. Environmental factors In the field of genetics, any factor which is non-genetic is considered an environmental influence. However, environmental influence does not automatically imply that the social environment influences or contributes to the development of sexual orientation. There is a vast non-social environment that is non-genetic yet still biological, such as prenatal development, that likely helps shape sexual orientation. Social factors There is no substantive evidence to support the suggestion that early childhood experiences, parenting, sexual abuse, or other adverse life events influence sexual orientation. Hypotheses for the impact of the post-natal social environment on sexual orientation are weak, especially for males. Parental attitudes may affect whether or not children openly identify with their sexual orientation. Though it has since been found to be based on prejudice and misinformation, it was once thought that homosexuality was the result of faulty psychological development, resulting from childhood experiences and troubled relationships, including childhood sexual abuse. Such hypotheses "have been associated with highly charged political, moral and theological grounds for wanting to believe that it can". Influences: professional organizations' statements The American Academy of Pediatrics in 2004 stated: The American Psychological Association, the American Psychiatric Association, and the National Association of Social Workers in 2006 stated: The Royal College of Psychiatrists in 2007 stated: The American Psychiatric Association stated in 2011: A legal brief dated September 26, 2007, and presented on behalf of the American Psychological Association, California Psychological Association, American Psychiatric Association, National Association of Social Workers, and National Association of Social Workers, California Chapter, stated: Efforts to change sexual orientation Sexual orientation change efforts are methods that aim to change a same-sex sexual orientation. They may include behavioral techniques, cognitive behavioral therapy, reparative therapy, psychoanalytic techniques, medical approaches, and religious and spiritual approaches. No major mental health professional organization sanctions efforts to change sexual orientation and virtually all of them have adopted policy statements cautioning the profession and the public about treatments that purport to change sexual orientation. These include the American Psychiatric Association, American Psychological Association, American Counseling Association, National Association of Social Workers in the US, the Royal College of Psychiatrists, and the Australian Psychological Society. In 2009, the American Psychological Association Task Force on Appropriate Therapeutic Responses to Sexual Orientation conducted a systematic review of the peer-reviewed journal literature on sexual orientation change efforts (SOCE) and concluded: Efforts to change sexual orientation are unlikely to be successful and involve some risk of harm, contrary to the claims of SOCE practitioners and advocates. Even though the research and clinical literature demonstrate that same-sex sexual and romantic attractions, feelings, and behaviors are normal and positive variations of human sexuality, regardless of sexual orientation identity, the task force concluded that the population that undergoes SOCE tends to have strongly conservative religious views that lead them to seek to change their sexual orientation. Thus, the appropriate application of affirmative therapeutic interventions for those who seek SOCE involves therapist acceptance, support, and understanding of clients and the facilitation of clients' active coping, social support, and identity exploration and development, without imposing a specific sexual orientation identity outcome. In 2012, the Pan American Health Organization (the North and South American branch of the World Health Organization) released a statement cautioning against services that purport to "cure" people with non-heterosexual sexual orientations as they lack medical justification and represent a serious threat to the health and well-being of affected people, and noted that the global scientific and professional consensus is that homosexuality is a normal and natural variation of human sexuality and cannot be regarded as a pathological condition. The Pan American Health Organization further called on governments, academic institutions, professional associations and the media to expose these practices and to promote respect for diversity. The World Health Organization affiliate further noted that gay minors have sometimes been forced to attend these "therapies" involuntarily, being deprived of their liberty and sometimes kept in isolation for several months, and that these findings were reported by several United Nations bodies. Additionally, the Pan American Health Organization recommended that such malpractices be denounced and subject to sanctions and penalties under national legislation, as they constitute a violation of the ethical principles of health care and violate human rights that are protected by international and regional agreements. The National Association for Research & Therapy of Homosexuality (NARTH), which described itself as a "professional, scientific organization that offers hope to those who struggle with unwanted homosexuality," disagreed with the mainstream mental health community's position on conversion therapy, both on its effectiveness and by describing sexual orientation not as a binary immutable quality, or as a disease, but as a continuum of intensities of sexual attractions and emotional affect. The American Psychological Association and the Royal College of Psychiatrists expressed concerns that the positions espoused by NARTH are not supported by the science and create an environment in which prejudice and discrimination can flourish. Assessment and measurement Varying definitions and strong social norms about sexuality can make sexual orientation difficult to quantify. Early classification schemes One of the earliest sexual orientation classification schemes was proposed in the 1860s by Karl Heinrich Ulrichs in a series of pamphlets he published privately. The classification scheme, which was meant only to describe males, separated them into three basic categories: dionings, urnings and uranodionings. An urning can be further categorized by degree of effeminacy. These categories directly correspond with the categories of sexual orientation used today: heterosexual, homosexual, and bisexual. In the series of pamphlets, Ulrichs outlined a set of questions to determine if a man was an urning. The definitions of each category of Ulrichs' classification scheme are as follows: Dioning – Comparable to the modern term "heterosexual" Urning – Comparable to the modern term "homosexual" Mannling – A manly urning Weibling – An effeminate urning Zwischen – A somewhat manly and somewhat effeminate urning Virilised – An urning that sexually behaves like a dioning Urano-Dioning – Comparable to the modern term "bisexual" From at least the late nineteenth century in Europe, there was speculation that the range of human sexual response looked more like a continuum than two or three discrete categories. Berlin sexologist Magnus Hirschfeld published a scheme in 1896 that measured the strength of an individual's sexual desire on two independent 10-point scales, A (homosexual) and B (heterosexual). A heterosexual individual may be A0, B5; a homosexual individual may be A5, B0; an asexual would be A0, B0; and someone with an intense attraction to both sexes would be A9, B9. Kinsey scale The Kinsey scale, also called the Heterosexual-Homosexual Rating Scale, was first published in Sexual Behavior in the Human Male (1948) by Alfred Kinsey, Wardell Pomeroy, and Clyde Martin and also featured in Sexual Behavior in the Human Female (1953). The scale was developed to combat the assumption at the time that people are either heterosexual or homosexual and that these two types represent antitheses in the sexual world. Recognizing that a significant portion of the population is not completely heterosexual or homosexual and that such people can experience both heterosexual and homosexual behavior and psychic responses, Kinsey et al., stated: The Kinsey scale provides a classification of sexual orientation based on the relative amounts of heterosexual and homosexual experience or psychic response in one's history at a given time. The classification scheme works such that individuals in the same category show the same balance between the heterosexual and homosexual elements in their histories. The position on the scale is based on the relation of heterosexuality to homosexuality in one's history, rather than the actual amount of overt experience or psychic response. An individual can be assigned a position on the scale in accordance with the following definitions of the points of the scale: The Kinsey scale has been praised for dismissing the dichotomous classification of sexual orientation and allowing for a new perspective on human sexuality. Despite seven categories being able to provide a more accurate description of sexual orientation than a dichotomous scale, it is still difficult to determine which category individuals should be assigned to. In a major study comparing sexual response in homosexual males and females, Masters and Johnson discuss the difficulty of assigning the Kinsey ratings to participants. Particularly, they found it difficult to determine the relative amount heterosexual and homosexual experience and response in a person's history when using the scale. They report finding it difficult to assign ratings 2–4 for individuals with a large number of heterosexual and homosexual experiences. When there are a substantial number of heterosexual and homosexual experiences in one's history, it becomes difficult for that individual to be fully objective in assessing the relative amount of each. Weinrich et al. (1993) and Weinberg et al. (1994) criticized the scale for lumping individuals who are different based on different dimensions of sexuality into the same categories. When applying the scale, Kinsey considered two dimensions of sexual orientation: overt sexual experience and psychosexual reactions. Valuable information was lost by collapsing the two values into one final score. A person who has only predominantly same sex reactions is different from someone with relatively little reaction but much same sex experience. It would have been quite simple for Kinsey to have measured the two dimensions separately and report scores independently to avoid loss of information. Furthermore, there are more than two dimensions of sexuality to be considered. Beyond behavior and reactions, one could also assess attraction, identification, lifestyle, etc. This is addressed by the Klein Sexual Orientation Grid. A third concern with the Kinsey scale is that it inappropriately measures heterosexuality and homosexuality on the same scale, making one a tradeoff of the other. Research in the 1970s on masculinity and femininity found that concepts of masculinity and femininity are more appropriately measured as independent concepts on a separate scale rather than as a single continuum, with each end representing opposite extremes. When compared on the same scale, they act as tradeoffs such, whereby to be more feminine one had to be less masculine and vice versa. However, if they are considered as separate dimensions one can be simultaneously very masculine and very feminine. Similarly, considering heterosexuality and homosexuality on separate scales would allow one to be both very heterosexual and very homosexual or not very much of either. When they are measured independently, the degree of heterosexual and homosexual can be independently determined, rather than the balance between heterosexual and homosexual as determined using the Kinsey Scale. Klein Sexual Orientation Grid In response to the criticism of the Kinsey scale only measuring two dimensions of sexual orientation, Fritz Klein developed the Klein sexual orientation grid (KSOG), a multidimensional scale for describing sexual orientation. Introduced in Klein's book The Bisexual Option (1978), the KSOG uses a 7-point scale to assess seven different dimensions of sexuality at three different points in an individual's life: past (from early adolescence up to one year ago), present (within the last 12 months), and ideal (what the individual would choose if it were completely their choice). The Sell Assessment of Sexual Orientation The Sell Assessment of Sexual Orientation (SASO) was developed to address the major concerns with the Kinsey Scale and Klein Sexual Orientation Grid and as such, measures sexual orientation on a continuum, considers various dimensions of sexual orientation, and considers homosexuality and heterosexuality separately. Rather than providing a final solution to the question of how to best measure sexual orientation, the SASO is meant to provoke discussion and debate about measurements of sexual orientation. The SASO consists of 12 questions. Six of these questions assess sexual attraction, four assess sexual behavior, and two assess sexual orientation identity. For each question on the scale that measures homosexuality there is a corresponding question that measures heterosexuality giving six matching pairs of questions. Taken all together, the six pairs of questions and responses provide a profile of an individual's sexual orientation. However, results can be further simplified into four summaries that look specifically at responses that correspond to either homosexuality, heterosexuality, bisexuality or asexuality. Of all the questions on the scale, Sell considered those assessing sexual attraction to be the most important as sexual attraction is a better reflection of the concept of sexual orientation which he defined as "extent of sexual attractions toward members of the other, same, both sexes or neither" than either sexual identity or sexual behavior. Identity and behavior are measured as supplemental information because they are both closely tied to sexual attraction and sexual orientation. Major criticisms of the SASO have not been established, but a concern is that the reliability and validity remains largely unexamined. Difficulties with assessment Research focusing on sexual orientation uses scales of assessment to identify who belongs in which sexual population group. It is assumed that these scales will be able to reliably identify and categorize people by their sexual orientation. However, it is difficult to determine an individual's sexual orientation through scales of assessment, due to ambiguity regarding the definition of sexual orientation. Generally, there are three components of sexual orientation used in assessment. Their definitions and examples of how they may be assessed are as follows: Though sexual attraction, behavior, and identity are all components of sexual orientation, if a person defined by one of these dimensions were congruent with those defined by another dimension it would not matter which was used in assessing orientation, but this is not the case. There is "little coherent relationship between the amount and mix of homosexual and heterosexual behavior in a person's biography and that person's choice to label himself or herself as bisexual, homosexual, or heterosexual". Individuals typically experience diverse attractions and behaviors that may reflect curiosity, experimentation, social pressure and is not necessarily indicative of an underlying sexual orientation. For example, a woman may have fantasies or thoughts about sex with other women but never act on these thoughts and only have sex with opposite gender partners. If sexual orientation was being assessed based on one's sexual attraction then this individual would be considered homosexual, but her behavior indicates heterosexuality. As there is no research indicating which of the three components is essential in defining sexual orientation, all three are used independently and provide different conclusions regarding sexual orientation. Savin Williams (2006) discusses this issue and notes that by basing findings regarding sexual orientation on a single component, researchers may not actually capture the intended population. For example, if homosexual is defined by same sex behavior, gay virgins are omitted, heterosexuals engaging in same sex behavior for other reasons than preferred sexual arousal are miscounted, and those with same sex attraction who only have opposite-sex relations are excluded. Because of the limited populations that each component captures, consumers of research should be cautious in generalizing these findings. One of the uses for scales that assess sexual orientation is determining what the prevalence of different sexual orientations are within a population. Depending on subject's age, culture and sex, the prevalence rates of homosexuality vary depending on which component of sexual orientation is being assessed: sexual attraction, sexual behavior, or sexual identity. Assessing sexual attraction will yield the greatest prevalence of homosexuality in a population whereby the proportion of individuals indicating they are same sex attracted is two to three times greater than the proportion reporting same sex behavior or identify as gay, lesbian, or bisexual. Furthermore, reports of same sex behavior usually exceed those of gay, lesbian, or bisexual identification. The following chart demonstrates how widely the prevalence of homosexuality can vary depending on what age, location and component of sexual orientation is being assessed: The variance in prevalence rates is reflected in people's inconsistent responses to the different components of sexual orientation within a study and the instability of their responses over time. Laumann et al. (1994) found that among U.S. adults 20% of those who would be considered homosexual on one component of orientation were homosexual on the other two dimensions and 70% responded in a way that was consistent with homosexuality on only one of the three dimensions. Furthermore, sexuality may be fluid; for example, a person's sexual orientation identity is not necessarily stable or consistent over time but is subject to change throughout life. Diamond (2003) found that over seven years, two-thirds of the women changed their sexual identity at least once, with many reporting that the label was
sexual orientation in the 'default' female-typical arrangement, causing the exposed son to be more attracted to men over women. Biochemical evidence for this hypothesis was identified in 2017, finding that mothers with a gay son, especially those with older brothers, had significantly higher levels of anti-bodies to the NLGN4Y Y-protein than mothers with heterosexual sons. The effect becomes stronger with each successive male pregnancy, meaning the odds of the next son being gay increase by 38–48%. This does not mean that all or most sons will be gay after several male pregnancies, but rather, the odds of having a gay son increase from approximately 2% for the first born son, to 4% for the second, 6% for the third and so on. Scientists have estimated between 15% and 29% of gay men may owe their sexual orientation to this effect, but the number may be higher, as prior miscarriages and terminations of male pregnancies may have exposed their mothers to Y-linked antigens. The fraternal birth order effect would not likely apply to first born gay sons; instead, scientists say they may owe their orientation to genes, prenatal hormones and other maternal immune responses which also influence brain development. This effect is nullified if the man is left-handed. Ray Blanchard and Anthony Bogaert are credited with discovering the effect in the 1990s. J. Michael Bailey and Jacques Balthazart say the FBO effect demonstrates that sexual orientation is heavily influenced by prenatal biological mechanisms rather than unidentified factors in socialization. Environmental factors In the field of genetics, any factor which is non-genetic is considered an environmental influence. However, environmental influence does not automatically imply that the social environment influences or contributes to the development of sexual orientation. There is a vast non-social environment that is non-genetic yet still biological, such as prenatal development, that likely helps shape sexual orientation. Social factors There is no substantive evidence to support the suggestion that early childhood experiences, parenting, sexual abuse, or other adverse life events influence sexual orientation. Hypotheses for the impact of the post-natal social environment on sexual orientation are weak, especially for males. Parental attitudes may affect whether or not children openly identify with their sexual orientation. Though it has since been found to be based on prejudice and misinformation, it was once thought that homosexuality was the result of faulty psychological development, resulting from childhood experiences and troubled relationships, including childhood sexual abuse. Such hypotheses "have been associated with highly charged political, moral and theological grounds for wanting to believe that it can". Influences: professional organizations' statements The American Academy of Pediatrics in 2004 stated: The American Psychological Association, the American Psychiatric Association, and the National Association of Social Workers in 2006 stated: The Royal College of Psychiatrists in 2007 stated: The American Psychiatric Association stated in 2011: A legal brief dated September 26, 2007, and presented on behalf of the American Psychological Association, California Psychological Association, American Psychiatric Association, National Association of Social Workers, and National Association of Social Workers, California Chapter, stated: Efforts to change sexual orientation Sexual orientation change efforts are methods that aim to change a same-sex sexual orientation. They may include behavioral techniques, cognitive behavioral therapy, reparative therapy, psychoanalytic techniques, medical approaches, and religious and spiritual approaches. No major mental health professional organization sanctions efforts to change sexual orientation and virtually all of them have adopted policy statements cautioning the profession and the public about treatments that purport to change sexual orientation. These include the American Psychiatric Association, American Psychological Association, American Counseling Association, National Association of Social Workers in the US, the Royal College of Psychiatrists, and the Australian Psychological Society. In 2009, the American Psychological Association Task Force on Appropriate Therapeutic Responses to Sexual Orientation conducted a systematic review of the peer-reviewed journal literature on sexual orientation change efforts (SOCE) and concluded: Efforts to change sexual orientation are unlikely to be successful and involve some risk of harm, contrary to the claims of SOCE practitioners and advocates. Even though the research and clinical literature demonstrate that same-sex sexual and romantic attractions, feelings, and behaviors are normal and positive variations of human sexuality, regardless of sexual orientation identity, the task force concluded that the population that undergoes SOCE tends to have strongly conservative religious views that lead them to seek to change their sexual orientation. Thus, the appropriate application of affirmative therapeutic interventions for those who seek SOCE involves therapist acceptance, support, and understanding of clients and the facilitation of clients' active coping, social support, and identity exploration and development, without imposing a specific sexual orientation identity outcome. In 2012, the Pan American Health Organization (the North and South American branch of the World Health Organization) released a statement cautioning against services that purport to "cure" people with non-heterosexual sexual orientations as they lack medical justification and represent a serious threat to the health and well-being of affected people, and noted that the global scientific and professional consensus is that homosexuality is a normal and natural variation of human sexuality and cannot be regarded as a pathological condition. The Pan American Health Organization further called on governments, academic institutions, professional associations and the media to expose these practices and to promote respect for diversity. The World Health Organization affiliate further noted that gay minors have sometimes been forced to attend these "therapies" involuntarily, being deprived of their liberty and sometimes kept in isolation for several months, and that these findings were reported by several United Nations bodies. Additionally, the Pan American Health Organization recommended that such malpractices be denounced and subject to sanctions and penalties under national legislation, as they constitute a violation of the ethical principles of health care and violate human rights that are protected by international and regional agreements. The National Association for Research & Therapy of Homosexuality (NARTH), which described itself as a "professional, scientific organization that offers hope to those who struggle with unwanted homosexuality," disagreed with the mainstream mental health community's position on conversion therapy, both on its effectiveness and by describing sexual orientation not as a binary immutable quality, or as a disease, but as a continuum of intensities of sexual attractions and emotional affect. The American Psychological Association and the Royal College of Psychiatrists expressed concerns that the positions espoused by NARTH are not supported by the science and create an environment in which prejudice and discrimination can flourish. Assessment and measurement Varying definitions and strong social norms about sexuality can make sexual orientation difficult to quantify. Early classification schemes One of the earliest sexual orientation classification schemes was proposed in the 1860s by Karl Heinrich Ulrichs in a series of pamphlets he published privately. The classification scheme, which was meant only to describe males, separated them into three basic categories: dionings, urnings and uranodionings. An urning can be further categorized by degree of effeminacy. These categories directly correspond with the categories of sexual orientation used today: heterosexual, homosexual, and bisexual. In the series of pamphlets, Ulrichs outlined a set of questions to determine if a man was an urning. The definitions of each category of Ulrichs' classification scheme are as follows: Dioning – Comparable to the modern term "heterosexual" Urning – Comparable to the modern term "homosexual" Mannling – A manly urning Weibling – An effeminate urning Zwischen – A somewhat manly and somewhat effeminate urning Virilised – An urning that sexually behaves like a dioning Urano-Dioning – Comparable to the modern term "bisexual" From at least the late nineteenth century in Europe, there was speculation that the range of human sexual response looked more like a continuum than two or three discrete categories. Berlin sexologist Magnus Hirschfeld published a scheme in 1896 that measured the strength of an individual's sexual desire on two independent 10-point scales, A (homosexual) and B (heterosexual). A heterosexual individual may be A0, B5; a homosexual individual may be A5, B0; an asexual would be A0, B0; and someone with an intense attraction to both sexes would be A9, B9. Kinsey scale The Kinsey scale, also called the Heterosexual-Homosexual Rating Scale, was first published in Sexual Behavior in the Human Male (1948) by Alfred Kinsey, Wardell Pomeroy, and Clyde Martin and also featured in Sexual Behavior in the Human Female (1953). The scale was developed to combat the assumption at the time that people are either heterosexual or homosexual and that these two types represent antitheses in the sexual world. Recognizing that a significant portion of the population is not completely heterosexual or homosexual and that such people can experience both heterosexual and homosexual behavior and psychic responses, Kinsey et al., stated: The Kinsey scale provides a classification of sexual orientation based on the relative amounts of heterosexual and homosexual experience or psychic response in one's history at a given time. The classification scheme works such that individuals in the same category show the same balance between the heterosexual and homosexual elements in their histories. The position on the scale is based on the relation of heterosexuality to homosexuality in one's history, rather than the actual amount of overt experience or psychic response. An individual can be assigned a position on the scale in accordance with the following definitions of the points of the scale: The Kinsey scale has been praised for dismissing the dichotomous classification of sexual orientation and allowing for a new perspective on human sexuality. Despite seven categories being able to provide a more accurate description of sexual orientation than a dichotomous scale, it is still difficult to determine which category individuals should be assigned to. In a major study comparing sexual response in homosexual males and females, Masters and Johnson discuss the difficulty of assigning the Kinsey ratings to participants. Particularly, they found it difficult to determine the relative amount heterosexual and homosexual experience and response in a person's history when using the scale. They report finding it difficult to assign ratings 2–4 for individuals with a large number of heterosexual and homosexual experiences. When there are a substantial number of heterosexual and homosexual experiences in one's history, it becomes difficult for that individual to be fully objective in assessing the relative amount of each. Weinrich et al. (1993) and Weinberg et al. (1994) criticized the scale for lumping individuals who are different based on different dimensions of sexuality into the same categories. When applying the scale, Kinsey considered two dimensions of sexual orientation: overt sexual experience and psychosexual reactions. Valuable information was lost by collapsing the two values into one final score. A person who has only predominantly same sex reactions is different from someone with relatively little reaction but much same sex experience. It would have been quite simple for Kinsey to have measured the two dimensions separately and report scores independently to avoid loss of information. Furthermore, there are more than two dimensions of sexuality to be considered. Beyond behavior and reactions, one could also assess attraction, identification, lifestyle, etc. This is addressed by the Klein Sexual Orientation Grid. A third concern with the Kinsey scale is that it inappropriately measures heterosexuality and homosexuality on the same scale, making one a tradeoff of the other. Research in the 1970s on masculinity and femininity found that concepts of masculinity and femininity are more appropriately measured as independent concepts on a separate scale rather than as a single continuum, with each end representing opposite extremes. When compared on the same scale, they act as tradeoffs such, whereby to be more feminine one had to be less masculine and vice versa. However, if they are considered as separate dimensions one can be simultaneously very masculine and very feminine. Similarly, considering heterosexuality and homosexuality on separate scales would allow one to be both very heterosexual and very homosexual or not very much of either. When they are measured independently, the degree of heterosexual and homosexual can be independently determined, rather than the balance between heterosexual and homosexual as determined using the Kinsey Scale. Klein Sexual Orientation Grid In response to the criticism of the Kinsey scale only measuring two dimensions of sexual orientation, Fritz Klein developed the Klein sexual orientation grid (KSOG), a multidimensional scale for describing sexual orientation. Introduced in Klein's book The Bisexual Option (1978), the KSOG uses a 7-point scale to assess seven different dimensions of sexuality at three different points in an individual's life: past (from early adolescence up to one year ago), present (within the last 12 months), and ideal (what the individual would choose if it were completely their choice). The Sell Assessment of Sexual Orientation The Sell Assessment of Sexual Orientation (SASO) was developed to address the major concerns with the Kinsey Scale and Klein Sexual Orientation Grid and as such, measures sexual orientation on a continuum, considers various dimensions of sexual orientation, and considers homosexuality and heterosexuality separately. Rather than providing a final solution to the question of how to best measure sexual orientation, the SASO is meant to provoke discussion and debate about measurements of sexual orientation. The SASO consists of 12 questions. Six of these questions assess sexual attraction, four assess sexual behavior, and two assess sexual orientation identity. For each question on the scale that measures homosexuality there is a corresponding question that measures heterosexuality giving six matching pairs of questions. Taken all together, the six pairs of questions and responses provide a profile of an individual's sexual orientation. However, results can be further simplified into four summaries that look specifically at responses that correspond to either homosexuality, heterosexuality, bisexuality or asexuality. Of all the questions on the scale, Sell considered those assessing sexual attraction to be the most important as sexual attraction is a better reflection of the concept of sexual orientation which he defined as "extent of sexual attractions toward members of the other, same, both sexes or neither" than either sexual identity or sexual behavior. Identity and behavior are measured as supplemental information because they are both closely tied to sexual attraction and sexual orientation. Major criticisms of the SASO have not been established, but a concern is that the reliability and validity remains largely unexamined. Difficulties with assessment Research focusing on sexual orientation uses scales of assessment to identify who belongs in which sexual population group. It is assumed that these scales will be able to reliably identify and categorize people by their sexual orientation. However, it is difficult to determine an individual's sexual orientation through scales of assessment, due to ambiguity regarding the definition of sexual orientation. Generally, there are three components of sexual orientation used in assessment. Their definitions and examples of how they may be assessed are as follows: Though sexual attraction, behavior, and identity are all components of sexual orientation, if a person defined by one of these dimensions were congruent with those defined by another dimension it would not matter which was used in assessing orientation, but this is not the case. There is "little coherent relationship between the amount and mix of homosexual and heterosexual behavior in a person's biography and that person's choice to label himself or herself as bisexual, homosexual, or heterosexual". Individuals typically experience diverse attractions and behaviors that may reflect curiosity, experimentation, social pressure and is not necessarily indicative of an underlying sexual orientation. For example, a woman may have fantasies or thoughts about sex with other women but never act on these thoughts and only have sex with opposite gender partners. If sexual orientation was being assessed based on one's sexual attraction then this individual would be considered homosexual, but her behavior indicates heterosexuality. As there is no research indicating which of the three components is essential in defining sexual orientation, all three are used independently and provide different conclusions regarding sexual orientation. Savin Williams (2006) discusses this issue and notes that by basing findings regarding sexual orientation on a single component, researchers may not actually capture the intended population. For example, if homosexual is defined by same sex behavior, gay virgins are omitted, heterosexuals engaging in same sex behavior for other reasons than preferred sexual arousal are miscounted, and those with same sex attraction who only have opposite-sex relations are excluded. Because of the limited populations that each component captures, consumers of research should be cautious in generalizing these findings. One of the uses for scales that assess sexual orientation is determining what the prevalence of different sexual orientations are within a population. Depending on subject's age, culture and sex, the prevalence rates of homosexuality vary depending on which component of sexual orientation is being assessed: sexual attraction, sexual behavior, or sexual identity. Assessing sexual attraction will yield the greatest prevalence of homosexuality in a population whereby the proportion of individuals indicating they are same sex attracted is two to three times greater than the proportion reporting same sex behavior or identify as gay, lesbian, or bisexual. Furthermore, reports of same sex behavior usually exceed those of gay, lesbian, or bisexual identification. The following chart demonstrates how widely the prevalence of homosexuality can vary depending on what age, location and component of sexual orientation is being assessed: The variance in prevalence rates is reflected in people's inconsistent responses to the different components of sexual orientation within a study and the instability of their responses over time. Laumann et al. (1994) found that among U.S. adults 20% of those who would be considered homosexual on one component of orientation were homosexual on the other two dimensions and 70% responded in a way that was consistent with homosexuality on only one of the three dimensions. Furthermore, sexuality may be fluid; for example, a person's sexual orientation identity is not necessarily stable or consistent over time but is subject to change throughout life. Diamond (2003) found that over seven years, two-thirds of the women changed their sexual identity at least once, with many reporting that the label was not adequate in capturing the diversity of their sexual or romantic feelings. Furthermore, women who relinquished bisexual and lesbian identification did not relinquish same sex sexuality and acknowledged the possibility for future same sex attractions or behaviour. One woman stated "I'm mainly straight but I'm one of those people who, if the right circumstance came along, would change my viewpoint". Therefore, individuals classified as homosexual in one study might not be identified the same way in another depending on which components are assessed and when the assessment is made making it difficult to pin point who is homosexual and who is not and what the overall prevalence within a population may be. Implications Depending on which component of sexual orientation is being assessed and referenced, different conclusions can be drawn about the prevalence rate
as a "spandrel beam". In architectural ornamentation, the horizontal decorative elements that are hung over interior and exterior openings between the posts are called spandrels. They can be made of sawn out wood, ball-and-dowels, and spindles. Wooden ornamental spandrels are known as gingerbread spandrels. If they are in an arch form, they are called gingerbread arch spandrels. The spandrels over doorways in perpendicular work are generally richly decorated. At Magdalen College, Oxford, is one which is perforated. The spandrel of doors is sometimes ornamented in the Decorated Period, but seldom forms part of the composition of the doorway itself, being generally over the label. Domes Spandrels can also occur in the construction of domes and are typical in grand architecture from the medieval period onwards. Where a dome needed to rest on a square or rectangular base, the dome was raised above the level of the supporting pillars, with three-dimensional spandrels called pendentives taking the weight of the
flight of stairs. In a building with more than one floor, the term spandrel is also used to indicate the space between the top of the window in one story and the sill of the window in the story above. The term is typically employed when there is a sculpted panel or other decorative element in this space, or when the space between the windows is filled with opaque or translucent glass, in this case called "spandrel glass". In concrete or steel construction, an exterior beam extending from column to column usually carrying an exterior wall load is known as a "spandrel beam". In architectural ornamentation, the horizontal decorative elements that are hung over interior and exterior openings between the posts are called spandrels. They can be made of sawn out wood, ball-and-dowels, and spindles. Wooden ornamental spandrels are known as gingerbread spandrels. If they are in an arch form, they are called gingerbread arch spandrels. The spandrels over doorways in perpendicular work are generally richly decorated.
TeachText was the addition of text styling. The underlying OS required by SimpleText implemented a standard styled text format, which meant that SimpleText could support multiple fonts and font sizes. Prior Macintosh OS versions lacked this feature, so TeachText supported only a single font per document. Adding text styling features made SimpleText WorldScript-savvy, meaning that it can use Simplified and Traditional Chinese characters. Like TeachText, SimpleText was also limited to only 32 kB of text in a document, although images could increase the total file size beyond this limit. SimpleText style information was stored in the file's resource fork in such a way that if the resource fork was stripped (such as by uploading to a non-Macintosh server), the text information would be retained. In Mac OS X, SimpleText is replaced by the more powerful TextEdit application, which reads and writes more document formats as well as including word processor-like features such as a ruler and spell checking. TextEdit's styled text format is RTF, which is able to survive a single-forked file system intact. Apple has released the source code for a Carbon version of SimpleText in the Mac OS X Panther (10.3) Developer Tools. If the 10.3 Developer Tools are
until it was replaced in 1994 (shipped with System Update 3.0 and System 7.1.2). The need for SimpleText arose after Apple stopped bundling MacWrite, to ensure that every user could open and read Readme documents. The key improvement of SimpleText over TeachText was the addition of text styling. The underlying OS required by SimpleText implemented a standard styled text format, which meant that SimpleText could support multiple fonts and font sizes. Prior Macintosh OS versions lacked this feature, so TeachText supported only a single font per document. Adding text styling features made SimpleText WorldScript-savvy, meaning that it can use Simplified and Traditional Chinese characters. Like TeachText, SimpleText was also limited to only 32 kB of text in a document, although images could increase the total file size beyond this limit. SimpleText style information was stored in the file's resource fork in such a way that if the resource fork was stripped (such as by uploading to a non-Macintosh server), the text information would be retained. In Mac OS X, SimpleText is replaced by the more powerful TextEdit application, which reads and writes more document formats as well as including word processor-like features
making laws". Hence, even before 1931, the Irish Free State did not arrest British Army and Royal Air Force deserters on its territory, even though the UK believed post-1922 British laws gave the Free State's Garda Síochána the power to do so. The UK's Irish Free State Constitution Act 1922 said, however, " in the [Free State] Constitution shall be construed as prejudicing the power of [the British] Parliament to make laws affecting the Irish Free State in any case where, in accordance with constitutional practice, Parliament would make laws affecting other self-governing Dominions". Motions of approval of the Report of the Commonwealth Conference had been passed by the Dáil and Seanad in May 1931 and the final form of the Statute of Westminster included the Irish Free State among the Dominions the British Parliament could not legislate for without the Dominion's request and consent. Originally, the UK government had wanted to exclude from the Statute of Westminster the legislation underpinning the 1921 treaty, from which the Free State's constitution had emerged. Executive Council President (Prime Minister) W. T. Cosgrave objected, although he promised that the Executive Council would not amend the legislation unilaterally. The other Dominions backed Cosgrave and, when an amendment to similar effect was proposed at Westminster by John Gretton, parliament duly voted it down. When the statute became law in the UK, Patrick McGilligan, the Free State Minister for External Affairs, stated: "It is a solemn declaration by the British people through their representatives in Parliament that the powers inherent in the Treaty position are what we have proclaimed them to be for the last ten years." He went on to present the statute as largely the fruit of the Free State's efforts to secure for the other Dominions the same benefits it already enjoyed under the treaty. The Statute of Westminster had the effect of granting the Irish Free State internationally recognised independence. Éamon de Valera led Fianna Fáil to victory in the Free State election of 1932 on a platform of republicanising the Free State from within. Upon taking office, De Valera began removing the monarchical elements of the Constitution, beginning with the Oath of Allegiance. De Valera initially considered invoking the Statute of Westminster in making these changes, but John J. Hearne advised him not to. Abolishing the Oath of Allegiance in effect abrogated the 1921 treaty. Generally, the British thought that this was morally objectionable but legally permitted by the Statute of Westminster. Robert Lyon Moore, a Southern Unionist from County Donegal, challenged the legality of the abolition in the Irish Free State's courts and then appealed to the Judicial Committee of the Privy Council (JCPC) in London. However, the Free State had also abolished the right of appeal to the JCPC. In 1935, the JCPC ruled that both abolitions were valid under the Statute of Westminster. The Free State, which in 1937 was renamed Ireland, left the Commonwealth in 1949 upon the coming into force of its Republic of Ireland Act. New Zealand The Parliament of New Zealand adopted the Statute of Westminster by passing its Statute of Westminster Adoption Act 1947 in November 1947. The New Zealand Constitution Amendment Act, passed the same year, empowered the New Zealand Parliament to change the constitution, but did not remove the ability of the British Parliament to legislate regarding the New Zealand constitution. The remaining role of the British Parliament was removed by the New Zealand Constitution Act 1986 and the Statute of Westminster was repealed in its entirety. Newfoundland The Dominion of Newfoundland never adopted the Statute of Westminster, especially because of financial troubles and corruption there. By request of the Dominion's government, the United Kingdom established the Commission of Government in 1934, resuming direct rule of Newfoundland. That arrangement remained until Newfoundland became a province of Canada in 1949 following referendums on the issue in 1948. Union of South Africa Although the Union of South Africa was not among the Dominions that needed to adopt the Statute of Westminster for it to take effect, two laws—the Status of the Union Act, 1934, and the Royal Executive Functions and Seals Act of 1934—were passed to confirm South Africa's status as a sovereign state. Implications for succession to the throne The preamble to the Statute of Westminster sets out conventions which affect attempts to change the rules of succession to the Crown. The second paragraph of the preamble to the statute reads: This means, for example, that any change in any realm to the Act of Settlement's provisions barring Roman Catholics from the throne would require the unanimous assent of the Parliaments of all the other Commonwealth realms if the shared aspect of the Crown is to be retained. The preamble does not itself contain enforceable provisions, it merely expresses a constitutional convention, albeit one fundamental to the basis of the relationship between the Commonwealth realms. (As sovereign nations, each is free to withdraw from the arrangement, using their respective process for constitutional amendment.) Additionally, per section 4, if a realm wished for a British act amending the Act of Settlement in the UK to become part of that realm's laws, thereby amending the Act of Settlement in that realm, it would have to request and consent to the British act and the British act would have to state that such request and consent had been given. Section 4 of the Statute of Westminster has been repealed in a number of realms, however, and replaced by other constitutional clauses absolutely disallowing the British parliament from legislating for those realms. This has raised some logistical concerns, as it would mean multiple Parliaments would all have to assent to any future changes in any realm to its line of succession, as with the Perth Agreement's proposals to abolish male-preference primogeniture. Abdication of King Edward VIII During the abdication crisis in 1936, British Prime Minister Stanley Baldwin consulted the Commonwealth prime ministers at the request of King Edward VIII. The King wanted to marry Wallis Simpson, whom Baldwin and other British politicians considered unacceptable as Queen, as she was an American divorcée. Baldwin was able to get the then five Dominion prime ministers to agree with this and thus register their official
legislate with effect in Australia ended with the Australia Act 1986, the British version of which says that it was passed with the request and consent of the Australian Parliament, which had obtained the concurrence of the Parliaments of the Australian states. Canada This Statute limited the legislative authority of the British parliament over Canada, effectively giving the country legal autonomy as a self-governing Dominion, though the British Parliament retained the power to amend Canada's constitution at the request of Canada. That authority remained in effect until the Constitution Act, 1982, which transferred it to Canada, the final step to achieving full sovereignty. The British North America Acts—the written elements (in 1931) of the Canadian constitution—were excluded from the application of the statute because of disagreements between the Canadian provinces and the federal government over how the British North America Acts could be otherwise amended. These disagreements were resolved only in time for the passage of the Canada Act 1982, thus completing the patriation of the Canadian constitution to Canada. At that time, the Canadian parliament also repealed sections 4 and 7(1) of the Statute of Westminster. The Statute of Westminster remains a part of the constitution of Canada by virtue of section 52(2)(b) of the Constitution Act, 1982. As a consequence of the statute's adoption, the Parliament of Canada gained the ability to abolish appeals to the Judicial Committee of the Privy Council. Criminal appeals were abolished in 1933, while civil appeals continued until 1949. The passage of the Statute of Westminster meant that changes in British legislation governing the succession to the throne no longer automatically applied to Canada. Irish Free State The Irish Free State never formally adopted the Statute of Westminster, its Executive Council (cabinet) taking the view that the Anglo-Irish Treaty of 1921 had already ended Westminster's right to legislate for the Irish Free State. The Free State's constitution gave the Oireachtas "sole and exclusive power of making laws". Hence, even before 1931, the Irish Free State did not arrest British Army and Royal Air Force deserters on its territory, even though the UK believed post-1922 British laws gave the Free State's Garda Síochána the power to do so. The UK's Irish Free State Constitution Act 1922 said, however, " in the [Free State] Constitution shall be construed as prejudicing the power of [the British] Parliament to make laws affecting the Irish Free State in any case where, in accordance with constitutional practice, Parliament would make laws affecting other self-governing Dominions". Motions of approval of the Report of the Commonwealth Conference had been passed by the Dáil and Seanad in May 1931 and the final form of the Statute of Westminster included the Irish Free State among the Dominions the British Parliament could not legislate for without the Dominion's request and consent. Originally, the UK government had wanted to exclude from the Statute of Westminster the legislation underpinning the 1921 treaty, from which the Free State's constitution had emerged. Executive Council President (Prime Minister) W. T. Cosgrave objected, although he promised that the Executive Council would not amend the legislation unilaterally. The other Dominions backed Cosgrave and, when an amendment to similar effect was proposed at Westminster by John Gretton, parliament duly voted it down. When the statute became law in the UK, Patrick McGilligan, the Free State Minister for External Affairs, stated: "It is a solemn declaration by the British people through their representatives in Parliament that the powers inherent in the Treaty position are what we have proclaimed them to be for the last ten years." He went on to present the statute as largely the fruit of the Free State's efforts to secure for the other Dominions the same benefits it already enjoyed under the treaty. The Statute of Westminster had the effect of granting the Irish Free State internationally recognised independence. Éamon de Valera led Fianna Fáil to victory in the Free State election of 1932 on a platform of republicanising the Free State from within. Upon taking office, De Valera began removing the monarchical elements of the Constitution, beginning with the Oath of Allegiance. De Valera initially considered invoking the Statute of Westminster in making these changes, but John J. Hearne advised him not to. Abolishing the Oath of Allegiance in effect abrogated the 1921 treaty. Generally, the British thought that this was morally objectionable but legally permitted by the Statute of Westminster. Robert Lyon Moore, a Southern Unionist from County Donegal, challenged the legality of the abolition in the Irish Free State's courts and then appealed to the Judicial Committee of the Privy Council (JCPC) in London. However, the Free State had also abolished the right of appeal to the JCPC. In 1935, the JCPC ruled that both abolitions were valid under the Statute of Westminster. The Free State, which in 1937 was renamed Ireland, left the Commonwealth in 1949 upon the coming into force of its Republic of Ireland Act. New Zealand The Parliament of New Zealand adopted the Statute of Westminster by passing its Statute of Westminster Adoption Act 1947 in November 1947. The New Zealand Constitution Amendment Act, passed the same year, empowered the New Zealand Parliament to change the constitution, but did not remove the ability of the British Parliament to legislate regarding the New Zealand constitution. The remaining role of the British Parliament was removed by the New Zealand Constitution Act 1986 and the Statute of Westminster was repealed in its entirety. Newfoundland The Dominion of Newfoundland never adopted the Statute of Westminster, especially because of financial troubles and corruption there. By request of the Dominion's government, the United Kingdom established the Commission of Government in 1934, resuming direct rule of Newfoundland. That arrangement remained until Newfoundland became a province of Canada in 1949 following referendums on the issue in 1948. Union of South Africa Although the Union of South Africa was not among the Dominions that needed to adopt the Statute of Westminster for it to take effect, two laws—the Status of the Union Act, 1934, and the Royal Executive Functions and Seals Act of 1934—were passed to confirm South Africa's status as a sovereign state. Implications for succession to the throne The preamble to the Statute of Westminster sets out conventions which affect attempts to change the rules of succession to the Crown. The second paragraph of the preamble to the statute reads: This means, for example, that any change in any realm to the Act of Settlement's provisions barring Roman Catholics from the throne would require the unanimous assent of the Parliaments of all the other Commonwealth realms if the shared aspect of the Crown is to be retained. The preamble does not itself contain enforceable provisions, it merely expresses a constitutional convention, albeit one fundamental to the basis of the relationship between the Commonwealth realms. (As sovereign nations, each is free to withdraw from the arrangement, using their respective process for constitutional amendment.) Additionally, per section 4, if a realm wished for a British act amending the Act of Settlement in the UK to become part of that realm's laws, thereby amending the Act of Settlement in that realm, it would have to request and consent to the British act and the British act would have to state that such request and consent had been given. Section 4 of the Statute of Westminster has been repealed in a number of realms, however, and replaced by other constitutional clauses absolutely disallowing the British parliament from legislating for those realms. This has raised some logistical concerns, as it would mean multiple Parliaments would all have to assent to any future changes in any realm to its line of succession, as with the Perth Agreement's proposals to abolish male-preference primogeniture. Abdication of King Edward VIII During the abdication crisis
rules on matters regarding the Constitution. The President of the Republic (Predsednik Republike) is the head of state, is elected by popular vote to a five-year term and is limited by the Constitution to a maximum of two terms. In addition to being the commander in chief of the armed forces, the president has the procedural duty of appointing the prime minister with the consent of the parliament, and has some influence on foreign policy. Aleksandar Vučić of the Serbian Progressive Party is the current president following the 2017 presidential election. Seat of the presidency is Novi Dvor. The Government (Vlada) is composed of the prime minister and cabinet ministers. The Government is responsible for proposing legislation and a budget, executing the laws, and guiding the foreign and internal policies. The current prime minister is Ana Brnabić, nominated by the Serbian Progressive Party. The National Assembly (Narodna skupština) is a unicameral legislative body. The National Assembly has the power to enact laws, approve the budget, schedule presidential elections, select and dismiss the Prime Minister and other ministers, declare war, and ratify international treaties and agreements. It is composed of 250 proportionally elected members who serve four-year terms. Following the 2020 parliamentary election, the largest political parties in the National Assembly are the populist Serbian Progressive Party and Socialist Party of Serbia, that with its partners, hold more than a supermajority number of seats. In 2021, Serbia was the 5th country in Europe by the number of women holding high-ranking public functions. Law and criminal justice Serbia is the fourth modern-day European country, after France, Austria and the Netherlands, to have a codified legal system. The country has a three-tiered judicial system, made up of the Supreme Court of Cassation as the court of the last resort, Courts of Appeal as the appellate instance, and Basic and High courts as the general jurisdictions at first instance. Courts of special jurisdictions are the Administrative Court, commercial courts (including the Commercial Court of Appeal at second instance) and misdemeanor courts (including High Misdemeanor Court at second instance). The judiciary is overseen by the Ministry of Justice. Serbia has a typical civil law legal system. Law enforcement is the responsibility of the Serbian Police, which is subordinate to the Ministry of the Interior. Serbian Police fields 27,363 uniformed officers. National security and counterintelligence are the responsibility of the Security Intelligence Agency (BIA). Foreign relations Serbia has established diplomatic relations with 191 UN member states, the Holy See, the Sovereign Military Order of Malta, and the European Union. Foreign relations are conducted through the Ministry of Foreign Affairs. Serbia has a network of 65 embassies and 23 consulates internationally. There are 69 foreign embassies, 5 consulates and 4 liaison offices in Serbia. Serbian foreign policy is focused on achieving the strategic goal of becoming a member state of the European Union (EU). Serbia started the process of joining the EU by signing of the Stabilisation and Association Agreement on 29 April 2008 and officially applied for membership in the European Union on 22 December 2009. It received a full candidate status on 1 March 2012 and started accession talks on 21 January 2014. The European Commission considers accession possible by 2025. On 17 February 2008, Kosovo unilaterally declared independence from Serbia. In protest, Serbia initially recalled its ambassadors from countries that recognised Kosovo's independence. The resolution of 26 December 2007 by the National Assembly stated that both the Kosovo declaration of independence and recognition thereof by any state would be gross violation of international law. Serbia began cooperation and dialogue with NATO in 2006, when the country joined the Partnership for Peace programme and the Euro-Atlantic Partnership Council. The country's military neutrality was formally proclaimed by a resolution adopted by Serbia's parliament in December 2007, which makes joining any military alliance contingent on a popular referendum, a stance acknowledged by NATO. On the other hand, Serbia's relations with Russia are habitually described by mass media as a "centuries-old religious, ethnic and political alliance" and Russia is said to have sought to solidify its relationship with Serbia since the imposition of sanctions against Russia in 2014. Military The Serbian Armed Forces are subordinate to the Ministry of Defence, and are composed of the Army and the Air Force. Although a landlocked country, Serbia operates a River Flotilla which patrols on the Danube, Sava, and Tisza rivers. The Serbian Chief of the General Staff reports to the Defence Minister. The Chief of Staff is appointed by the President, who is the Commander-in-chief. , Serbian defence budget amounts to $804 million. Traditionally having relied on a large number of conscripts, Serbian Armed Forces went through a period of downsizing, restructuring and professionalisation. Conscription was abolished in 2011. Serbian Armed Forces have 28,000 active troops, supplemented by the "active reserve" which numbers 20,000 members and "passive reserve" with about 170,000. Serbia participates in the NATO Individual Partnership Action Plan programme, but has no intention of joining NATO, due to significant popular rejection, largely a legacy of the NATO bombing of Yugoslavia in 1999. It is an observer member of the Collective Securities Treaty Organisation (CSTO) The country also signed the Stability Pact for South Eastern Europe. The Serbian Armed Forces take part in several multinational peacekeeping missions, including deployments in Lebanon, Cyprus, Ivory Coast, and Liberia. Serbia is a major producer and exporter of military equipment in the region. Defence exports totaled around $600 million in 2018. The defence industry has seen significant growth over the years and it continues to grow on a yearly basis. Serbia is one of the countries with the largest number of firearms in the civilian population in the world. Administrative divisions Serbia is a unitary state composed of municipalities/cities, districts, and two autonomous provinces. In Serbia, excluding Kosovo, there are 145 municipalities (opštine) and 29 cities (gradovi), which form the basic units of local self-government. Apart from municipalities/cities, there are 24 districts (okruzi, 10 most populated listed below), with the City of Belgrade constituting an additional district. Except for Belgrade, which has an elected local government, districts are regional centres of state authority, but have no powers of their own; they present purely administrative divisions. The Constitution of Serbia recognizes two autonomous provinces, Vojvodina in the north, and the disputed territory of Kosovo and Metohija in the south, while the remaining area of Central Serbia never had its own regional authority. Following the Kosovo War, UN peacekeepers entered Kosovo and Metohija, as per UNSC Resolution 1244. The government of Serbia does not recognise Kosovo's February 2008 declaration of independence, considering it illegal and illegitimate. Demographics census, Serbia (excluding Kosovo) has a total population of 7,186,862 and the overall population density is medium as it stands at 92.8 inhabitants per square kilometre. The census was not conducted in Kosovo which held its own census that numbered their total population at 1,739,825, excluding Serb-inhabited North Kosovo, as Serbs from that area (about 50,000) boycotted the census. Serbia has been enduring a demographic crisis since the beginning of the 1990s, with a death rate that has continuously exceeded its birth rate. It is estimated that 300,000 people left Serbia during the 1990s, 20% of whom had a higher education. Serbia subsequently has one of the oldest populations in the world, with the average age of 42.9 years, and its population is shrinking at one of the fastest rates in the world. A fifth of all households consist of only one person, and just one-fourth of four and more persons. Average life expectancy in Serbia at birth is 76.1 years. During the 1990s, Serbia had the largest refugee population in Europe. Refugees and internally displaced persons (IDPs) in Serbia formed between 7% and 7.5% of its population at the time – about half a million refugees sought refuge in the country following the series of Yugoslav wars, mainly from Croatia (and to a lesser extent from Bosnia and Herzegovina) and the IDPs from Kosovo. Serbs with 5,988,150 are the largest ethnic group in Serbia, representing 83% of the total population (excluding Kosovo). Serbia is one of the European countries with the highest number of registered national minorities, while the province of Vojvodina is recognizable for its multi-ethnic and multi-cultural identity. With a population of 253,899, Hungarians are the largest ethnic minority in Serbia, concentrated predominantly in northern Vojvodina and representing 3.5% of the country's population (13% in Vojvodina). Romani population stands at 147,604 according to the 2011 census but unofficial estimates place their actual number between 400,000 and 500,000. Bosniaks with 145,278 are concentrated in Raška (Sandžak), in the southwest. Other minority groups include Croats, Slovaks, Albanians, Montenegrins, Vlachs, Romanians, Macedonians and Bulgarians. Chinese, estimated at 15,000, are the only significant non-European immigrant minority. The majority of the population, or 59.4%, reside in urban areas and some 16.1% in Belgrade alone. Belgrade is the only city with more than a million inhabitants and there are four more with over 100,000 inhabitants. Religion The Constitution of Serbia defines it as a secular state with guaranteed religious freedom. Orthodox Christians with 6,079,396 comprise 84.5% of country's population. The Serbian Orthodox Church is the largest and traditional church of the country, adherents of which are overwhelmingly Serbs. Other Orthodox Christian communities in Serbia include Montenegrins, Romanians, Vlachs, Macedonians and Bulgarians. In 2011, Roman Catholics numbered 356,957 in Serbia, or roughly 6% of the population, mostly in northern Vojvodina which is home to ethnic minority groups such as Hungarians, Croats, and Bunjevci, as well as to some Slovaks and Czechs. Protestantism accounts for about 1% of the country's population, chiefly Lutheranism among Slovaks in Vojvodina as well as Calvinism among Reformed Hungarians. Greek Catholic Church is adhered by around 25,000 citizens (0.37% of the population), mostly Rusyns in Vojvodina. Muslims, with 222,282 or 3% of the population, form the third largest religious group. Islam has a strong historic following in the southern regions of Serbia, primarily in southern Raška. Bosniaks are the largest Islamic community in Serbia, followed by Albanians; estimates are that around a third of the country's Roma people are Muslim. In 2011, there were only 578 Jews in Serbia, compared to over 30,000 prior to World War II. Atheists numbered 80,053, or 1.1% of the population, and an additional 4,070 declared themselves to be agnostics. Language The official language is Serbian, native to 88% of the population. Serbian is the only European language with active digraphia, using both Cyrillic and Latin alphabets. Serbian Cyrillic is designated in the Constitution as the "official script" and was devised in 1814 by Serbian philologist Vuk Karadžić, who based it on phonemic principles. A survey from 2014 showed that 47% of Serbians favour the Latin alphabet, 36% favour the Cyrillic one and 17% have no preference. Standard Serbian is based on the most widespread Shtokavian dialect (more specifically on the dialects of Šumadija-Vojvodina and Eastern Herzegovina). Recognised minority languages are: Hungarian, Bosnian, Slovak, Croatian, Albanian, Romanian, Bulgarian, Rusyn, and Macedonian. All these languages are in official use in municipalities or cities where the ethnic minority exceeds 15% of the total population. In Vojvodina, the provincial administration uses, besides Serbian, five other languages (Slovak, Hungarian, Croatian, Romanian and Rusyn). Healthcare The healthcare system in Serbia is organized and managed by the three primary institutions: The Ministry of Health, The Institute of Public Health of Serbia "Dr Milan Jovanović Batut" and the Military Medical Academy. The right to healthcare protections is defined as a constitutional right in Serbia. The Serbian public health system is based on the principles of equity and solidarity, organized on the model of compulsory health insurance contributions. Private health care is not integrated into the public health system, but certain services may be included by contracting. The Ministry of Health determines the healthcare policy and adopts standards for the work of the healthcare service. The Ministry is also in charge of the health care system, health insurance, preservation and improvement of health of citizens, health inspection, supervision over the work of the healthcare service and other tasks in the field of health care. The Institute of Public Health of Serbia "Dr Milan Jovanović Batut" is responsible for medical statistics, epidemiology and hygiene. This central, tertiary institution manages and coordinates a dense network of municipal and regional Centers of Public Health, spread across the entire country, that provide services in the domain of epidemiology and hygiene on the primary and secondary level. The Republic Health Insurance Institute finances the functioning of health care at all levels. One of the most important health institutions in Serbia is the Military Medical Academy in Belgrade. It takes care of about 30,000 patients a year (military and civilian insured). The Academy performs around 30,000 surgical interventions and more than 500,000 specialist examinations. The Clinical Centre of Serbia spreads over 34 hectares in Belgrade and consists of about 50 buildings, while also has 3,150 beds considered to be the highest number in Europe, and among highest in the world. Other important health institutions include: KBC Dr Dragiša Mišović, Cardiovascular institute Detinje, Clinical Centre of Kragujevac, Clinical Centre of Niš, Clinical Center of Vojvodina and others. Medical specialists from Serbia have performed a number of operations which have been described as "pioneer works". Economy Serbia has an emerging market economy in upper-middle income range. According to the International Monetary Fund, Serbian nominal GDP in 2018 is officially estimated at $50.651 billion or $7,243 per capita while purchasing power parity GDP stood at $122.759 billion or $17,555 per capita. The economy is dominated by services which accounts for 67.9% of GDP, followed by industry with 26.1% of GDP, and agriculture at 6% of GDP. The official currency of Serbia is Serbian dinar (ISO code: RSD), and the central bank is National Bank of Serbia. The Belgrade Stock Exchange is the only stock exchange in the country, with market capitalisation of $8.65 billion and BELEX15 as the main index representing the 15 most liquid stocks. The country is ranked 52nd on the Social Progress Index as well as 51st on the Global Peace Index. The economy has been affected by the global economic crisis. After almost a decade of strong economic growth (average of 4.45% per year), Serbia entered the recession in 2009 with negative growth of −3% and again in 2012 and 2014 with −1% and −1.8%, respectively. As the government was fighting effects of crisis the public debt has more than doubled: from pre-crisis level of just under 30% to about 70% of GDP and trending downwards recently to around 50%. Labour force stands at 3.2 million, with 56% employed in services sector, 28.1% in industry and 15.9% in the agriculture. The average monthly net salary in May 2019 stood at 47,575 dinars or $525. The unemployment remains an acute problem, with rate of 12.7% . Since 2000, Serbia has attracted over $40 billion in foreign direct investment (FDI). Blue-chip corporations making investments include: Fiat Chrysler Automobiles, Siemens, Bosch, Philip Morris, Michelin, Coca-Cola, Carlsberg and others. In the energy sector, Russian energy giants, Gazprom and Lukoil have made large investments. In metallurgy sector, Chinese steel and copper giants, Hesteel and Zijin Mining have acquired key complexes. Serbia has an unfavourable trade balance: imports exceed exports by 25%. Serbia's exports, however, recorded a steady growth in last couple of years reaching $19.2 billion in 2018. The country has free trade agreements with the EFTA and CEFTA, a preferential trade regime with the European Union, a Generalised System of Preferences with the United States, and individual free trade agreements with Russia, Belarus, Kazakhstan, and Turkey. Agriculture Serbia has very favourable natural conditions (land and climate) for varied agricultural production. It has 5,056,000 ha of agricultural land (0.7 ha per capita), out of which 3,294,000 ha is arable land (0.45 ha per capita). In 2016, Serbia exported agricultural and food products worth $3.2 billion, and the export-import ratio was 178%. Agricultural exports constitute more than one-fifth of all Serbia's sales on the world market. Serbia is one of the largest provider of frozen fruit to the EU (largest to the French market, and 2nd largest to the German market). Agricultural production is most prominent in Vojvodina on the fertile Pannonian Plain. Other agricultural regions include Mačva, Pomoravlje, Tamnava, Rasina, and Jablanica. In the structure of the agricultural production, 70% is from the crop field production and 30% is from the livestock production. Serbia is world's second largest producer of plums (582,485 tonnes; second to China), second largest of raspberries (89,602 tonnes, second to Poland), it is also a significant producer of maize (6.48 million tonnes, ranked 32nd in the world) and wheat (2.07 million tonnes, ranked 35th in the world). Other important agricultural products are: sunflower, sugar beet, soybean, potato, apple, pork meat, beef, poultry and dairy. There are 56,000 ha of vineyards in Serbia, producing about 230 million litres of wine annually. The most famous viticulture regions are located in Vojvodina and Šumadija. Industry The industry was the economic sector hardest hit by the UN sanctions and trade embargo and NATO bombing during the 1990s and transition to market economy during the 2000s. The industrial output saw dramatic downsizing: in 2013 it was expected to be only a half of that of 1989. Main industrial sectors include: automotive, mining, non-ferrous metals, food-processing, electronics, pharmaceuticals, clothes. Serbia has 14 free economic zones as of September 2017, in which many foreign direct investments are realised. Automotive industry (with Fiat Chrysler Automobiles as a forebearer) is dominated by cluster located in Kragujevac and its vicinity, and contributes to export with about $2 billion. Country is a leading steel producer in the wider region of Southeast Europe and had production of nearly 2 million tonnes of raw steel in 2018, coming entirely from Smederevo steel mill, owned by the Chinese Hesteel. Serbia's mining industry is comparatively strong: Serbia is the 18th largest producer of coal (7th in Europe) extracted from large deposits in Kolubara and Kostolac basins; it is also world's 23rd largest (3rd in Europe) producer of copper which is extracted by Zijin Bor Copper, a large copper mining company, acquired by Chinese Zijin Mining in 2018; significant gold extraction is developed around Majdanpek. Serbia notably manufactures intel smartphones named Tesla smartphones. Food industry is well known both regionally and internationally and is one of the strong points of the economy. Some of the international brand-names established production in Serbia: PepsiCo and Nestlé in food-processing sector; Coca-Cola (Belgrade), Heineken (Novi Sad) and Carlsberg (Bačka Palanka) in beverage industry; Nordzucker in sugar industry. Serbia's electronics industry had its peak in the 1980s and the industry today is only a third of what it was back then, but has witnessed a something of revival in last decade with investments of companies such as Siemens (wind turbines) in Subotica, Panasonic (lighting devices) in Svilajnac, and Gorenje (electrical home appliances) in Valjevo. The pharmaceutical industry in Serbia comprises a dozen manufacturers of generic drugs, of which Hemofarm in Vršac and Galenika in Belgrade, account for 80% of production volume. Domestic production meets over 60% of the local demand. Energy The energy sector is one of the largest and most important sectors to the country's economy. Serbia is a net exporter of electricity and importer of key fuels (such as oil and gas). Serbia has an abundance of coal, and significant reserves of oil and gas. Serbia's proven reserves of 5.5 billion tonnes of coal lignite are the 5th largest in the world (second in Europe, after Germany). Coal is found in two large deposits: Kolubara (4 billion tonnes of reserves) and Kostolac (1.5 billion tonnes). Despite being small on a world scale, Serbia's oil and gas resources (77.4 million tonnes of oil equivalent and 48.1 billion cubic metres, respectively) have a certain regional importance since they are largest in the region of former Yugoslavia as well as the Balkans (excluding Romania). Almost 90% of the discovered oil and gas are to be found in Banat and those oil and gas fields are by size among the largest in the Pannonian basin but are average on a European scale. The production of electricity in 2015 in Serbia was 36.5 billion kilowatt-hours (KWh), while the final electricity consumption amounted to 35.5 billion kilowatt-hours (KWh). Most of the electricity produced comes from thermal-power plants (72.7% of all electricity) and to a lesser degree from hydroelectric-power plants (27.3%). There are 6 lignite-operated thermal-power plants with an installed power of 3,936 MW; largest of which are 1,502 MW-Nikola Tesla 1 and 1,160 MW-Nikola Tesla 2, both in Obrenovac. Total installed power of 9 hydroelectric-power plants is 2,831 MW, largest of which is Đerdap 1 with capacity of 1,026 MW. In addition to this, there are mazute and gas-operated thermal-power plants with an installed power of 353 MW. The entire production of electricity is concentrated in Elektroprivreda Srbije (EPS), public electric-utility power company. The current oil production in Serbia amounts to over 1.1 million tonnes of oil equivalent and satisfies some 43% of country's needs while the rest is imported. National petrol company, Naftna Industrija Srbije (NIS), was acquired in 2008 by Gazprom Neft. The company's refinery in Pančevo (capacity of 4.8 million tonnes) is one of the most modern oil-refineries in Europe; it also operates network of 334 filling stations in Serbia (74% of domestic market) and additional 36 stations in Bosnia and Herzegovina, 31 in Bulgaria, and 28 in Romania. There are 155 kilometres of crude oil pipelines connecting Pančevo and Novi Sad refineries as a part of trans-national Adria oil pipeline. Serbia is heavily dependent on foreign sources of natural gas, with only 17% coming from domestic production (totalling 491 million cubic metres in 2012) and the rest is imported, mainly from Russia (via gas pipelines that run through Ukraine and Hungary). Srbijagas, public company, operates the natural gas transportation system which comprise 3,177 kilometres of trunk and regional natural gas pipelines and a 450 million cubic metre underground gas storage facility at Banatski Dvor. In November 2020 governments of Serbia and Srpska announced construction of three hydropower plants on the Drina estimated at EUR 520 million. In January 2021, Balkan Stream gas pipeline opened through Serbia. Transport Serbia has a strategic transportation location since the country's backbone, Morava Valley, represents the easiest land route from continental Europe to Asia Minor and the Near East. Serbian road network carries the bulk of traffic in the country. Total length of roads is 45,419 km of which 962 km are "class-IA state roads" (i.e. motorways); 4,517 km are "class-IB state roads" (national roads); 10,941 km are "class-II state roads" (regional roads) and 23,780 km are "municipal roads". The road network, except for the most of class-IA roads, are of comparatively lower quality to the Western European standards because of lack of financial resources for their maintenance in the last 20 years. Over 300 kilometres of new motorways were constructed in the last decade and additional 154 kilometres are currently under construction: A5 motorway (from north of Kruševac to Čačak) and 31 km-long segment of A2 (between Čačak and Požega). Coach transport is very extensive: almost every place in the country is connected by bus, from largest cities to the villages; in addition there are international routes (mainly to countries of Western Europe with large Serb diaspora). Routes, both domestic and international, are served by more than hundred intercity coach services, biggest of which are Lasta and Niš-Ekspres. , there were 1,999,771 registered passenger cars or 1 passenger car per 3.5 inhabitants. Serbia has 3,819 kilometres of rail tracks, of which 1,279 are electrified and 283 kilometres are double-track railroad. The major rail hub is Belgrade (and to a lesser degree Niš), while the most important railroads include: Belgrade–Subotica–Budapest (Hungary) (currently upgraded to high-speed status), Belgrade–Bar (Montenegro), Belgrade–Šid–Zagreb (Croatia)/Belgrade–Niš–Sofia (Bulgaria) (part of Pan-European Corridor X), and Niš–Thessaloniki (Greece). Although still a major mode of freight transportation, railroads face increasing problems with the maintenance of the infrastructure and lowering speeds. Rail services are operated by Srbija Voz (passenger transport) and Srbija Kargo (freight transport). There are three airports with regular passenger traffic. Belgrade Nikola Tesla Airport served 6.2 million passengers in 2019 and is a hub of flagship carrier Air Serbia which flies to 59 destinations in 32 countries and carried some 2.8 million passengers in 2019. Niš Constantine the Great Airport and Morava Airport are mainly catering low-cost airlines but also serving as secondary Air Serbia hubs. Serbia has a developed inland water transport since there are 1,716 kilometres of navigable inland waterways (1,043 km of navigable rivers and 673 km of navigable canals), which are almost all located in northern third of the country. The most important inland waterway is the Danube (part of Pan-European Corridor VII). Other navigable rivers include Sava, Tisza, Begej and Timiş River, all of which connect Serbia with Northern and Western Europe through the Rhine–Main–Danube Canal and North Sea route, to Eastern Europe via the Tisza, Begej and Danube Black Sea routes, and to Southern Europe via the Sava river. More than 8 million tonnes of cargo were transported on Serbian rivers and canals in 2018 while the largest river ports are: Novi Sad, Belgrade, Pančevo, Smederevo, Prahovo and Šabac. Telecommunications Fixed telephone lines connect 81% of households in Serbia, and with about 9.1 million users the number of cellphones surpasses the total population of by 28%. The largest mobile operator is Telekom Srbija with 4.2 million subscribers, followed by Telenor with 2.8 million users and A1 with about 2 million. Some 58% of households have fixed-line (non-mobile) broadband Internet connection while 67% are provided with pay television services (i.e. 38% cable television, 17% IPTV, and 10% satellite). Digital television transition has been completed in 2015 with DVB-T2 standard for signal transmission. Tourism Serbia is not a mass-tourism destination but nevertheless has a diverse range of touristic products. In 2019, total of over 3.6 million tourists were recorded in accommodations, of which half were foreign. Foreign exchange earnings from tourism were estimated at $1.5 billion. Tourism is mainly focused on the mountains and spas of the country, which are mostly visited by domestic tourists, as well as Belgrade and, to a lesser degree, Novi Sad, which are preferred choices of foreign tourists (almost two-thirds of all foreign visits are made to these two cities). The most famous mountain resorts are Kopaonik, Stara Planina and Zlatibor. There are also many spas in Serbia, the biggest of which are Vrnjačka Banja, Soko Banja, and Banja Koviljača. City-break and conference tourism is developed in Belgrade and Novi Sad. Other touristic products that Serbia offer are natural wonders like Đavolja varoš, Christian pilgrimage to the many Orthodox monasteries across the country and the river cruising along the Danube. There are several internationally popular music festivals held in Serbia, such as EXIT (with 25–30,000 foreign visitors coming from 60 different countries) and the Guča trumpet festival. Education and science According to 2011 census, literacy in Serbia stands at 98% of population while computer literacy is at 49% (complete computer literacy is at 34.2%). Same census showed the following levels of education: 16.2% of inhabitants have higher education (10.6% have bachelors or master's degrees, 5.6% have an associate degree), 49% have a secondary education, 20.7% have an elementary education, and 13.7% have not completed elementary education. Education in Serbia is regulated by the Ministry of Education and Science. Education starts in either preschools or elementary schools. Children enroll in elementary schools at the age of seven. Compulsory education consists of eight grades of elementary school. Students have the opportunity to attend gymnasiums and vocational schools for another four years, or to enroll in vocational training for 2 to 3 years. Following the completion of gymnasiums or vocational schools, students have the opportunity to attend university. Elementary and secondary education are also available in languages of recognised minorities in Serbia, where classes are held in Hungarian, Slovak, Albanian, Romanian, Rusyn, Bulgarian as
most of the warm air masses. Winters are quite harsh in the Pešter plateau, because of the mountains which encircle it. One of the climatic features of Serbia is Košava, a cold and very squally southeastern wind which starts in the Carpathian Mountains and follows the Danube northwest through the Iron Gate where it gains a jet effect and continues to Belgrade and can spread as far south as Niš. The average annual air temperature for the period 1961–1990 for the area with an altitude of up to is . The areas with an altitude of have an average annual temperature of around , and over of altitude around . The lowest recorded temperature in Serbia was on 13 January 1985, Karajukića Bunari in Pešter, and the highest was , on 24 July 2007, recorded in Smederevska Palanka. Serbia is one of few European countries with very high risk exposure to natural hazards (earthquakes, storms, floods, droughts). It is estimated that potential floods, particularly in areas of Central Serbia, threaten over 500 larger settlements and an area of 16,000 square kilometres. The most disastrous were the floods in May 2014, when 57 people died and a damage of over a 1.5 billion euro was inflicted. Hydrology Almost all of Serbia's rivers drain to the Black Sea, by way of the Danube river. The Danube, the second largest European river, passes through Serbia with 588 kilometres (21% of its overall length) and represents the major source of fresh water. It is joined by its biggest tributaries, the Great Morava (longest river entirely in Serbia with of length), Sava and Tisza rivers. One notable exception is the Pčinja which flows into the Aegean. Drina river forms the natural border between Bosnia and Herzegovina and Serbia, and represents the main kayaking and rafting attraction in both countries. Due to configuration of the terrain, natural lakes are sparse and small; most of them are located in the lowlands of Vojvodina, like the aeolian lake Palić or numerous oxbow lakes along river flows (like Zasavica and Carska Bara). However, there are numerous artificial lakes, mostly due to hydroelectric dams, the biggest being Đerdap (Iron Gates) on the Danube with on the Serbian side (a total area of is shared with Romania); Perućac on the Drina, and Vlasina. The largest waterfall, Jelovarnik, located in Kopaonik, is 71 m high. Abundance of relatively unpolluted surface waters and numerous underground natural and mineral water sources of high water quality presents a chance for export and economy improvement; however, more extensive exploitation and production of bottled water began only recently. Environment Serbia is a country of rich ecosystem and species diversity—covering only 1.9% of the whole European territory, Serbia is home to 39% of European vascular flora, 51% of European fish fauna, 40% of European reptiles and amphibian fauna, 74% of European bird fauna, and 67% European mammal fauna. Its abundance of mountains and rivers make it an ideal environment for a variety of animals, many of which are protected including wolves, lynx, bears, foxes, and stags. There are 17 snake species living all over the country, 8 of them are venomous. Mountain of Tara in western Serbia is one of the last regions in Europe where bears can still live in absolute freedom. Serbia is home to about 380 species of birds. In Carska Bara, there are over 300 bird species on just a few square kilometres. Uvac Gorge is considered one of the last habitats of the Griffon vulture in Europe. In area around the city of Kikinda, in the northernmost part of the country, some 145 endangered long-eared owls are noted, making it the world's biggest settlement of these species. The country is considerably rich with threatened species of bats and butterflies as well. There are 380 protected areas of Serbia, encompassing 4,947 square kilometres or 6.4% of the country. The "Spatial plan of the Republic of Serbia" states that the total protected area should be increased to 12% by 2021. Those protected areas include 5 national parks (Đerdap, Tara, Kopaonik, Fruška Gora and Šar Mountain), 15 nature parks, 15 "landscapes of outstanding features", 61 nature reserves, and 281 natural monuments. With 29.1% of its territory covered by forest, Serbia is considered to be a middle-forested country, compared on a global scale to world forest coverage at 30%, and European average of 35%. The total forest area in Serbia is 2,252,000 ha (1,194,000 ha or 53% are state-owned, and 1,058,387 ha or 47% are privately owned) or 0.3 ha per inhabitant. It had a 2019 Forest Landscape Integrity Index mean score of 5.29/10, ranking it 105th globally out of 172 countries. The most common trees are oak, beech, pines, and firs. Air pollution is a significant problem in Bor area, due to work of large copper mining and smelting complex, and Pančevo where oil and petrochemical industry is based. Some cities suffer from water supply problems, due to mismanagement and low investments in the past, as well as water pollution (like the pollution of the Ibar River from the Trepča zinc-lead combinate, affecting the city of Kraljevo, or the presence of natural arsenic in underground waters in Zrenjanin). Poor waste management has been identified as one of the most important environmental problems in Serbia and the recycling is a fledgling activity, with only 15% of its waste being turned back for reuse. The 1999 NATO bombing caused serious damage to the environment, with several thousand tonnes of toxic chemicals stored in targeted factories and refineries released into the soil and water basins. Politics Serbia is a parliamentary republic, with the government divided into legislative, executive, and judiciary branches. Serbia had one of the first modern constitutions in Europe, the 1835 Constitution (known as the Sretenje Constitution), which was at the time considered among the most progressive and liberal constitutions in Europe. Since then it has adopted 10 different constitutions. The current constitution was adopted in 2006 in the aftermath of Montenegro independence referendum which by consequence renewed the independence of Serbia itself. The Constitutional Court rules on matters regarding the Constitution. The President of the Republic (Predsednik Republike) is the head of state, is elected by popular vote to a five-year term and is limited by the Constitution to a maximum of two terms. In addition to being the commander in chief of the armed forces, the president has the procedural duty of appointing the prime minister with the consent of the parliament, and has some influence on foreign policy. Aleksandar Vučić of the Serbian Progressive Party is the current president following the 2017 presidential election. Seat of the presidency is Novi Dvor. The Government (Vlada) is composed of the prime minister and cabinet ministers. The Government is responsible for proposing legislation and a budget, executing the laws, and guiding the foreign and internal policies. The current prime minister is Ana Brnabić, nominated by the Serbian Progressive Party. The National Assembly (Narodna skupština) is a unicameral legislative body. The National Assembly has the power to enact laws, approve the budget, schedule presidential elections, select and dismiss the Prime Minister and other ministers, declare war, and ratify international treaties and agreements. It is composed of 250 proportionally elected members who serve four-year terms. Following the 2020 parliamentary election, the largest political parties in the National Assembly are the populist Serbian Progressive Party and Socialist Party of Serbia, that with its partners, hold more than a supermajority number of seats. In 2021, Serbia was the 5th country in Europe by the number of women holding high-ranking public functions. Law and criminal justice Serbia is the fourth modern-day European country, after France, Austria and the Netherlands, to have a codified legal system. The country has a three-tiered judicial system, made up of the Supreme Court of Cassation as the court of the last resort, Courts of Appeal as the appellate instance, and Basic and High courts as the general jurisdictions at first instance. Courts of special jurisdictions are the Administrative Court, commercial courts (including the Commercial Court of Appeal at second instance) and misdemeanor courts (including High Misdemeanor Court at second instance). The judiciary is overseen by the Ministry of Justice. Serbia has a typical civil law legal system. Law enforcement is the responsibility of the Serbian Police, which is subordinate to the Ministry of the Interior. Serbian Police fields 27,363 uniformed officers. National security and counterintelligence are the responsibility of the Security Intelligence Agency (BIA). Foreign relations Serbia has established diplomatic relations with 191 UN member states, the Holy See, the Sovereign Military Order of Malta, and the European Union. Foreign relations are conducted through the Ministry of Foreign Affairs. Serbia has a network of 65 embassies and 23 consulates internationally. There are 69 foreign embassies, 5 consulates and 4 liaison offices in Serbia. Serbian foreign policy is focused on achieving the strategic goal of becoming a member state of the European Union (EU). Serbia started the process of joining the EU by signing of the Stabilisation and Association Agreement on 29 April 2008 and officially applied for membership in the European Union on 22 December 2009. It received a full candidate status on 1 March 2012 and started accession talks on 21 January 2014. The European Commission considers accession possible by 2025. On 17 February 2008, Kosovo unilaterally declared independence from Serbia. In protest, Serbia initially recalled its ambassadors from countries that recognised Kosovo's independence. The resolution of 26 December 2007 by the National Assembly stated that both the Kosovo declaration of independence and recognition thereof by any state would be gross violation of international law. Serbia began cooperation and dialogue with NATO in 2006, when the country joined the Partnership for Peace programme and the Euro-Atlantic Partnership Council. The country's military neutrality was formally proclaimed by a resolution adopted by Serbia's parliament in December 2007, which makes joining any military alliance contingent on a popular referendum, a stance acknowledged by NATO. On the other hand, Serbia's relations with Russia are habitually described by mass media as a "centuries-old religious, ethnic and political alliance" and Russia is said to have sought to solidify its relationship with Serbia since the imposition of sanctions against Russia in 2014. Military The Serbian Armed Forces are subordinate to the Ministry of Defence, and are composed of the Army and the Air Force. Although a landlocked country, Serbia operates a River Flotilla which patrols on the Danube, Sava, and Tisza rivers. The Serbian Chief of the General Staff reports to the Defence Minister. The Chief of Staff is appointed by the President, who is the Commander-in-chief. , Serbian defence budget amounts to $804 million. Traditionally having relied on a large number of conscripts, Serbian Armed Forces went through a period of downsizing, restructuring and professionalisation. Conscription was abolished in 2011. Serbian Armed Forces have 28,000 active troops, supplemented by the "active reserve" which numbers 20,000 members and "passive reserve" with about 170,000. Serbia participates in the NATO Individual Partnership Action Plan programme, but has no intention of joining NATO, due to significant popular rejection, largely a legacy of the NATO bombing of Yugoslavia in 1999. It is an observer member of the Collective Securities Treaty Organisation (CSTO) The country also signed the Stability Pact for South Eastern Europe. The Serbian Armed Forces take part in several multinational peacekeeping missions, including deployments in Lebanon, Cyprus, Ivory Coast, and Liberia. Serbia is a major producer and exporter of military equipment in the region. Defence exports totaled around $600 million in 2018. The defence industry has seen significant growth over the years and it continues to grow on a yearly basis. Serbia is one of the countries with the largest number of firearms in the civilian population in the world. Administrative divisions Serbia is a unitary state composed of municipalities/cities, districts, and two autonomous provinces. In Serbia, excluding Kosovo, there are 145 municipalities (opštine) and 29 cities (gradovi), which form the basic units of local self-government. Apart from municipalities/cities, there are 24 districts (okruzi, 10 most populated listed below), with the City of Belgrade constituting an additional district. Except for Belgrade, which has an elected local government, districts are regional centres of state authority, but have no powers of their own; they present purely administrative divisions. The Constitution of Serbia recognizes two autonomous provinces, Vojvodina in the north, and the disputed territory of Kosovo and Metohija in the south, while the remaining area of Central Serbia never had its own regional authority. Following the Kosovo War, UN peacekeepers entered Kosovo and Metohija, as per UNSC Resolution 1244. The government of Serbia does not recognise Kosovo's February 2008 declaration of independence, considering it illegal and illegitimate. Demographics census, Serbia (excluding Kosovo) has a total population of 7,186,862 and the overall population density is medium as it stands at 92.8 inhabitants per square kilometre. The census was not conducted in Kosovo which held its own census that numbered their total population at 1,739,825, excluding Serb-inhabited North Kosovo, as Serbs from that area (about 50,000) boycotted the census. Serbia has been enduring a demographic crisis since the beginning of the 1990s, with a death rate that has continuously exceeded its birth rate. It is estimated that 300,000 people left Serbia during the 1990s, 20% of whom had a higher education. Serbia subsequently has one of the oldest populations in the world, with the average age of 42.9 years, and its population is shrinking at one of the fastest rates in the world. A fifth of all households consist of only one person, and just one-fourth of four and more persons. Average life expectancy in Serbia at birth is 76.1 years. During the 1990s, Serbia had the largest refugee population in Europe. Refugees and internally displaced persons (IDPs) in Serbia formed between 7% and 7.5% of its population at the time – about half a million refugees sought refuge in the country following the series of Yugoslav wars, mainly from Croatia (and to a lesser extent from Bosnia and Herzegovina) and the IDPs from Kosovo. Serbs with 5,988,150 are the largest ethnic group in Serbia, representing 83% of the total population (excluding Kosovo). Serbia is one of the European countries with the highest number of registered national minorities, while the province of Vojvodina is recognizable for its multi-ethnic and multi-cultural identity. With a population of 253,899, Hungarians are the largest ethnic minority in Serbia, concentrated predominantly in northern Vojvodina and representing 3.5% of the country's population (13% in Vojvodina). Romani population stands at 147,604 according to the 2011 census but unofficial estimates place their actual number between 400,000 and 500,000. Bosniaks with 145,278 are concentrated in Raška (Sandžak), in the southwest. Other minority groups include Croats, Slovaks, Albanians, Montenegrins, Vlachs, Romanians, Macedonians and Bulgarians. Chinese, estimated at 15,000, are the only significant non-European immigrant minority. The majority of the population, or 59.4%, reside in urban areas and some 16.1% in Belgrade alone. Belgrade is the only city with more than a million inhabitants and there are four more with over 100,000 inhabitants. Religion The Constitution of Serbia defines it as a secular state with guaranteed religious freedom. Orthodox Christians with 6,079,396 comprise 84.5% of country's population. The Serbian Orthodox Church is the largest and traditional church of the country, adherents of which are overwhelmingly Serbs. Other Orthodox Christian communities in Serbia include Montenegrins, Romanians, Vlachs, Macedonians and Bulgarians. In 2011, Roman Catholics numbered 356,957 in Serbia, or roughly 6% of the population, mostly in northern Vojvodina which is home to ethnic minority groups such as Hungarians, Croats, and Bunjevci, as well as to some Slovaks and Czechs. Protestantism accounts for about 1% of the country's population, chiefly Lutheranism among Slovaks in Vojvodina as well as Calvinism among Reformed Hungarians. Greek Catholic Church is adhered by around 25,000 citizens (0.37% of the population), mostly Rusyns in Vojvodina. Muslims, with 222,282 or 3% of the population, form the third largest religious group. Islam has a strong historic following in the southern regions of Serbia, primarily in southern Raška. Bosniaks are the largest Islamic community in Serbia, followed by Albanians; estimates are that around a third of the country's Roma people are Muslim. In 2011, there were only 578 Jews in Serbia, compared to over 30,000 prior to World War II. Atheists numbered 80,053, or 1.1% of the population, and an additional 4,070 declared themselves to be agnostics. Language The official language is Serbian, native to 88% of the population. Serbian is the only European language with active digraphia, using both Cyrillic and Latin alphabets. Serbian Cyrillic is designated in the Constitution as the "official script" and was devised in 1814 by Serbian philologist Vuk Karadžić, who based it on phonemic principles. A survey from 2014 showed that 47% of Serbians favour the Latin alphabet, 36% favour the Cyrillic one and 17% have no preference. Standard Serbian is based on the most widespread Shtokavian dialect (more specifically on the dialects of Šumadija-Vojvodina and Eastern Herzegovina). Recognised minority languages are: Hungarian, Bosnian, Slovak, Croatian, Albanian, Romanian, Bulgarian, Rusyn, and Macedonian. All these languages are in official use in municipalities or cities where the ethnic minority exceeds 15% of the total population. In Vojvodina, the provincial administration uses, besides Serbian, five other languages (Slovak, Hungarian, Croatian, Romanian and Rusyn). Healthcare The healthcare system in Serbia is organized and managed by the three primary institutions: The Ministry of Health, The Institute of Public Health of Serbia "Dr Milan Jovanović Batut" and the Military Medical Academy. The right to healthcare protections is defined as a constitutional right in Serbia. The Serbian public health system is based on the principles of equity and solidarity, organized on the model of compulsory health insurance contributions. Private health care is not integrated into the public health system, but certain services may be included by contracting. The Ministry of Health determines the healthcare policy and adopts standards for the work of the healthcare service. The Ministry is also in charge of the health care system, health insurance, preservation and improvement of health of citizens, health inspection, supervision over the work of the healthcare service and other tasks in the field of health care. The Institute of Public Health of Serbia "Dr Milan Jovanović Batut" is responsible for medical statistics, epidemiology and hygiene. This central, tertiary institution manages and coordinates a dense network of municipal and regional Centers of Public Health, spread across the entire country, that provide services in the domain of epidemiology and hygiene on the primary and secondary level. The Republic Health Insurance Institute finances the functioning of health care at all levels. One of the most important health institutions in Serbia is the Military Medical Academy in Belgrade. It takes care of about 30,000 patients a year (military and civilian insured). The Academy performs around 30,000 surgical interventions and more than 500,000 specialist examinations. The Clinical Centre of Serbia spreads over 34 hectares in Belgrade and consists of about 50 buildings, while also has 3,150 beds considered to be the highest number in Europe, and among highest in the world. Other important health institutions include: KBC Dr Dragiša Mišović, Cardiovascular institute Detinje, Clinical Centre of Kragujevac, Clinical Centre of Niš, Clinical Center of Vojvodina and others. Medical specialists from Serbia have performed a number of operations which have been described as "pioneer works". Economy Serbia has an emerging market economy in upper-middle income range. According to the International Monetary Fund, Serbian nominal GDP in 2018 is officially estimated at $50.651 billion or $7,243 per capita while purchasing power parity GDP stood at $122.759 billion or $17,555 per capita. The economy is dominated by services which accounts for 67.9% of GDP, followed by industry with 26.1% of GDP, and agriculture at 6% of GDP. The official currency of Serbia is Serbian dinar (ISO code: RSD), and the central bank is National Bank of Serbia. The Belgrade Stock Exchange is the only stock exchange in the country, with market capitalisation of $8.65 billion and BELEX15 as the main index representing the 15 most liquid stocks. The country is ranked 52nd on the Social Progress Index as well as 51st on the Global Peace Index. The economy has been affected by the global economic crisis. After almost a decade of strong economic growth (average of 4.45% per year), Serbia entered the recession in 2009 with negative growth of −3% and again in 2012 and 2014 with −1% and −1.8%, respectively. As the government was fighting effects of crisis the public debt has more than doubled: from pre-crisis level of just under 30% to about 70% of GDP and trending downwards recently to around 50%. Labour force stands at 3.2 million, with 56% employed in services sector, 28.1% in industry and 15.9% in the agriculture. The average monthly net salary in May 2019 stood at 47,575 dinars or $525. The unemployment remains an acute problem, with rate of 12.7% . Since 2000, Serbia has attracted over $40 billion in foreign direct investment (FDI). Blue-chip corporations making investments include: Fiat Chrysler Automobiles, Siemens, Bosch, Philip Morris, Michelin, Coca-Cola, Carlsberg and others. In the energy sector, Russian energy giants, Gazprom and Lukoil have made large investments. In metallurgy sector, Chinese steel and copper giants, Hesteel and Zijin Mining have acquired key complexes. Serbia has an unfavourable trade balance: imports exceed exports by 25%. Serbia's exports, however, recorded a steady growth in last couple of years reaching $19.2 billion in 2018. The country has free trade agreements with the EFTA and CEFTA, a preferential trade regime with the European Union, a Generalised System of Preferences with the United States, and individual free trade agreements with Russia, Belarus, Kazakhstan, and Turkey. Agriculture Serbia has very favourable natural conditions (land and climate) for varied agricultural production. It has 5,056,000 ha of agricultural land (0.7 ha per capita), out of which 3,294,000 ha is arable land (0.45 ha per capita). In 2016, Serbia exported agricultural and food products worth $3.2 billion, and the export-import ratio was 178%. Agricultural exports constitute more than one-fifth of all Serbia's sales on the world market. Serbia is one of the largest provider of frozen fruit to the EU (largest to the French market, and 2nd largest to the German market). Agricultural production is most prominent in Vojvodina on the fertile Pannonian Plain. Other agricultural regions include Mačva, Pomoravlje, Tamnava, Rasina, and Jablanica. In the structure of the agricultural production, 70% is from the crop field production and 30% is from the livestock production. Serbia is world's second largest producer of plums (582,485 tonnes; second to China), second largest of raspberries (89,602 tonnes, second to Poland), it is also a significant producer of maize (6.48 million tonnes, ranked 32nd in the world) and wheat (2.07 million tonnes, ranked 35th in the world). Other important agricultural products are: sunflower, sugar beet, soybean, potato, apple, pork meat, beef, poultry and dairy. There are 56,000 ha of vineyards in Serbia, producing about 230 million litres of wine annually. The most famous viticulture regions are located in Vojvodina and Šumadija. Industry The industry was the economic sector hardest hit by the UN sanctions and trade embargo and NATO bombing during the 1990s and transition to market economy during the 2000s. The industrial output saw dramatic downsizing: in 2013 it was expected to be only a half of that of 1989. Main industrial sectors include: automotive, mining, non-ferrous metals, food-processing, electronics, pharmaceuticals, clothes. Serbia has 14 free economic zones as of September 2017, in which many foreign direct investments are realised. Automotive industry (with Fiat Chrysler Automobiles as a forebearer) is dominated by cluster located in Kragujevac and its vicinity, and contributes to export with about $2 billion. Country is a leading steel producer in the wider region of Southeast Europe and had production of nearly 2 million tonnes of raw steel in 2018, coming entirely from Smederevo steel mill, owned by the Chinese Hesteel. Serbia's mining industry is comparatively strong: Serbia is the 18th largest producer of coal (7th in Europe) extracted from large deposits in Kolubara and Kostolac basins; it is also world's 23rd largest (3rd in Europe) producer of copper which is extracted by Zijin Bor Copper, a large copper mining company, acquired by Chinese Zijin Mining in 2018; significant gold extraction is developed around Majdanpek. Serbia notably manufactures intel smartphones named Tesla smartphones. Food industry is well known both regionally and internationally and is one of the strong points of the economy. Some of the international brand-names established production in Serbia: PepsiCo and Nestlé in food-processing sector; Coca-Cola (Belgrade), Heineken (Novi Sad) and Carlsberg (Bačka Palanka) in beverage industry; Nordzucker in sugar industry. Serbia's electronics industry had its peak in the 1980s and the industry today is only a third of what it was back then, but has witnessed a something of revival in last decade with investments of companies such as Siemens (wind turbines) in Subotica, Panasonic (lighting devices) in Svilajnac, and Gorenje (electrical home appliances) in Valjevo. The pharmaceutical industry in Serbia comprises a dozen manufacturers of generic drugs, of which Hemofarm in Vršac and Galenika in Belgrade, account for 80% of production volume. Domestic production meets over 60% of the local demand. Energy The energy sector is one of the largest and most important sectors to the country's economy. Serbia is a net exporter of electricity and importer of key fuels (such as oil and gas). Serbia has an abundance of coal, and significant reserves of oil and gas. Serbia's proven reserves of 5.5 billion tonnes of coal lignite are the 5th largest in the world (second in Europe, after Germany). Coal is found in two large deposits: Kolubara (4 billion tonnes of reserves) and Kostolac (1.5 billion tonnes). Despite being small on a world scale, Serbia's oil and gas resources (77.4 million tonnes of oil equivalent and 48.1 billion cubic metres, respectively) have a certain regional importance since they are largest in the region of former Yugoslavia as well as the Balkans (excluding Romania). Almost 90% of the discovered oil and gas are to be found in Banat and those oil and gas fields are by size among the largest in the Pannonian basin but are average on a European scale. The production of electricity in 2015 in Serbia was 36.5 billion kilowatt-hours (KWh), while the final electricity consumption amounted to 35.5 billion kilowatt-hours (KWh). Most of the electricity produced comes from thermal-power plants (72.7% of all electricity) and to a lesser degree from hydroelectric-power plants (27.3%). There are 6 lignite-operated thermal-power plants with an installed power of 3,936 MW; largest of which are 1,502 MW-Nikola Tesla 1 and 1,160 MW-Nikola Tesla 2, both in Obrenovac. Total installed power of 9 hydroelectric-power plants is 2,831 MW, largest of which is Đerdap 1 with capacity of 1,026 MW. In addition to this, there are mazute and gas-operated thermal-power plants with an installed power of 353 MW. The entire production of electricity is concentrated in Elektroprivreda Srbije (EPS), public electric-utility power company. The current oil production in Serbia amounts to over 1.1 million tonnes of oil equivalent and satisfies some 43% of country's needs while the rest is imported. National petrol company, Naftna Industrija Srbije (NIS), was acquired in 2008 by Gazprom Neft. The company's refinery in Pančevo (capacity of 4.8 million tonnes) is one of the most modern oil-refineries in Europe; it also operates network of 334 filling stations in Serbia (74% of domestic market) and additional 36 stations in Bosnia and Herzegovina, 31 in Bulgaria, and 28 in Romania. There are 155 kilometres of crude oil pipelines connecting Pančevo and Novi Sad refineries as a part of trans-national Adria oil pipeline. Serbia is heavily dependent on foreign sources of natural gas, with only 17% coming from domestic production (totalling 491 million cubic metres in 2012) and the rest is imported, mainly from Russia (via gas pipelines that run through Ukraine and Hungary). Srbijagas, public company, operates the natural gas transportation system which comprise 3,177 kilometres of trunk and regional natural gas pipelines and a 450 million cubic metre underground gas storage facility at Banatski Dvor. In November 2020 governments of Serbia and Srpska announced construction of three hydropower plants on the Drina estimated at EUR 520 million. In January 2021, Balkan Stream gas pipeline opened through Serbia. Transport Serbia has a strategic transportation location since the country's backbone, Morava Valley, represents the easiest land route from continental Europe to Asia Minor and the Near East. Serbian road network carries the bulk of traffic in the country. Total length of roads is 45,419 km of which 962 km are "class-IA state roads" (i.e. motorways); 4,517 km are "class-IB state roads" (national roads); 10,941 km are "class-II state roads" (regional roads) and 23,780 km are "municipal roads". The road network, except for the most of class-IA roads, are of comparatively lower quality to the Western European standards because of lack of financial resources for their maintenance in the last 20 years. Over 300 kilometres of new motorways were constructed in the last decade and additional 154 kilometres are currently under construction: A5 motorway (from north of Kruševac to Čačak) and 31 km-long segment of A2 (between Čačak and Požega). Coach transport is very extensive: almost every place in the country is connected by bus, from largest cities to the villages; in addition there are international routes (mainly to countries of Western Europe with large Serb diaspora). Routes, both domestic and international, are served by more than hundred intercity coach services, biggest of which are Lasta and Niš-Ekspres. , there were 1,999,771 registered passenger cars or 1 passenger car per 3.5 inhabitants. Serbia has 3,819 kilometres of rail tracks, of which 1,279 are electrified and 283 kilometres are double-track railroad. The major rail hub is Belgrade (and to a lesser degree Niš), while the most important railroads include: Belgrade–Subotica–Budapest (Hungary) (currently upgraded to high-speed status), Belgrade–Bar (Montenegro), Belgrade–Šid–Zagreb (Croatia)/Belgrade–Niš–Sofia (Bulgaria) (part of Pan-European Corridor X), and Niš–Thessaloniki (Greece). Although still a major mode of freight transportation, railroads face increasing problems with the maintenance of the infrastructure and lowering speeds. Rail services are operated by Srbija Voz (passenger transport) and Srbija Kargo (freight transport). There are three airports with regular passenger traffic. Belgrade Nikola Tesla Airport served 6.2 million passengers in 2019 and is a hub of flagship carrier Air Serbia which flies to 59 destinations in 32 countries and carried some 2.8 million passengers in 2019. Niš Constantine the Great Airport and Morava Airport are mainly catering low-cost airlines but also serving as secondary Air Serbia hubs. Serbia has a developed inland water transport since there are 1,716 kilometres of navigable inland waterways (1,043 km of navigable rivers and 673 km of navigable canals), which are almost all located in northern third of the country. The most
following the Reformation matters were even worse. The interpretations of Scripture by Luther and Calvin became as sacred to their followers as the Scripture itself. For instance, when Georg Calixtus ventured, in interpreting the Psalms, to question the accepted belief that "the waters above the heavens" were contained in a vast receptacle upheld by a solid vault, he was bitterly denounced as heretical. Today, much of the scholarship in which the conflict thesis was originally based is considered to be inaccurate. For instance, the claim that early Christians rejected scientific findings by the Greco-Romans is false, since the "handmaiden" view of secular studies was seen to shed light on theology. This view was widely adapted throughout the early medieval period and afterwards by theologians (such as Augustine) and ultimately resulted in fostering interest in knowledge about nature through time. Also, the claim that people of the Middle Ages widely believed that the Earth was flat was first propagated in the same period that originated the conflict thesis and is still very common in popular culture. Modern scholars regard this claim as mistaken, as the contemporary historians of science David C. Lindberg and Ronald L. Numbers write: "there was scarcely a Christian scholar of the Middle Ages who did not acknowledge [earth's] sphericity and even know its approximate circumference." From the fall of Rome to the time of Columbus, all major scholars and many vernacular writers interested in the physical shape of the earth held a spherical view with the exception of Lactantius and Cosmas. H. Floris Cohen argued for a biblical Protestant, but not excluding Catholicism, influence on the early development of modern science. He presented Dutch historian R. Hooykaas' argument that a biblical world-view holds all the necessary antidotes for the hubris of Greek rationalism: a respect for manual labour, leading to more experimentation and empiricism, and a supreme God that left nature open to emulation and manipulation. It supports the idea early modern science rose due to a combination of Greek and biblical thought. Oxford historian Peter Harrison is another who has argued that a biblical worldview was significant for the development of modern science. Harrison contends that Protestant approaches to the book of scripture had significant, if largely unintended, consequences for the interpretation of the book of nature. Harrison has also suggested that literal readings of the Genesis narratives of the Creation and Fall motivated and legitimated scientific activity in seventeenth-century England. For many of its seventeenth-century practitioners, science was imagined to be a means of restoring a human dominion over nature that had been lost as a consequence of the Fall. Historian and professor of religion Eugene M. Klaaren holds that "a belief in divine creation" was central to an emergence of science in seventeenth-century England. The philosopher Michael Foster has published analytical philosophy connecting Christian doctrines of creation with empiricism. Historian William B. Ashworth has argued against the historical notion of distinctive mind-sets and the idea of Catholic and Protestant sciences. Historians James R. Jacob and Margaret C. Jacob have argued for a linkage between seventeenth-century Anglican intellectual transformations and influential English scientists (e.g., Robert Boyle and Isaac Newton). John Dillenberger and Christopher B. Kaiser have written theological surveys, which also cover additional interactions occurring in the 18th, 19th, and 20th centuries. Philosopher of Religion, Richard Jones, has written a philosophical critique of the "dependency thesis" which assumes that modern science emerged from Christian sources and doctrines. Though he acknowledges that modern science emerged in a religious framework, that Christianity greatly elevated the importance of science by sanctioning and religiously legitimizing it in the medieval period, and that Christianity created a favorable social context for it to grow; he argues that direct Christian beliefs or doctrines were not primary sources of scientific pursuits by natural philosophers, nor was Christianity, in and of itself, exclusively or directly necessary in developing or practicing modern science. Oxford University historian and theologian John Hedley Brooke wrote that "when natural philosophers referred to laws of nature, they were not glibly choosing that metaphor. Laws were the result of legislation by an intelligent deity. Thus the philosopher René Descartes (1596–1650) insisted that he was discovering the "laws that God has put into nature." Later Newton would declare that the regulation of the solar system presupposed the "counsel and dominion of an intelligent and powerful Being." Historian Ronald L. Numbers stated that this thesis "received a boost" from mathematician and philosopher Alfred North Whitehead's Science and the Modern World (1925). Numbers has also argued, "Despite the manifest shortcomings of the claim that Christianity gave birth to science—most glaringly, it ignores or minimizes the contributions of ancient Greeks and medieval Muslims—it too, refuses to succumb to the death it deserves." The sociologist Rodney Stark of Baylor University, argued in contrast that "Christian theology was essential for the rise of science." Protestantism had an important influence on science. According to the Merton Thesis there was a positive correlation between the rise of Puritanism and Protestant Pietism on the one hand and early experimental science on the other. The Merton Thesis has two separate parts: Firstly, it presents a theory that science changes due to an accumulation of observations and improvement in experimental techniques and methodology; secondly, it puts forward the argument that the popularity of science in 17th-century England and the religious demography of the Royal Society (English scientists of that time were predominantly Puritans or other Protestants) can be explained by a correlation between Protestantism and the scientific values. In his theory, Robert K. Merton focused on English Puritanism and German Pietism as having been responsible for the development of the scientific revolution of the 17th and 18th centuries. Merton explained that the connection between religious affiliation and interest in science was the result of a significant synergy between the ascetic Protestant values and those of modern science. Protestant values encouraged scientific research by allowing science to study God's influence on the world and thus providing a religious justification for scientific research. Reconciliation in Britain in the early 20th century In Reconciling Science and Religion: The Debate in Early-twentieth-century Britain, historian of biology Peter J. Bowler argues that in contrast to the conflicts between science and religion in the U.S. in the 1920s (most famously the Scopes Trial), during this period Great Britain experienced a concerted effort at reconciliation, championed by intellectually conservative scientists, supported by liberal theologians but opposed by younger scientists and secularists and conservative Christians. These attempts at reconciliation fell apart in the 1930s due to increased social tensions, moves towards neo-orthodox theology and the acceptance of the modern evolutionary synthesis. In the 20th century, several ecumenical organizations promoting a harmony between science and Christianity were founded, most notably the American Scientific Affiliation, The Biologos Foundation, Christians in Science, The Society of Ordained Scientists, and The Veritas Forum. Confucianism and traditional Chinese religion The historical process of Confucianism has largely been antipathic towards scientific discovery. However the religio-philosophical system itself is more neutral on the subject than such an analysis might suggest. In his writings On Heaven, Xunzi espoused a proto-scientific world view. However, during the Han Synthesis the more anti-empirical Mencius was favored and combined with Daoist skepticism regarding the nature of reality. Likewise, during the Medieval period, Zhu Xi argued against technical investigation and specialization proposed by Chen Liang. After contact with the West, scholars such as Wang Fuzhi would rely on Buddhist/Daoist skepticism to denounce all science as a subjective pursuit limited by humanity's fundamental ignorance of the true nature of the world. The Jesuits from Europe taught Western math and science to the Chinese bureaucrats in hopes of religious conversion. This process saw several challenges of both European and Chinese spiritual and scientific beliefs. The keynote text of Chinese scientific philosophy, The Book of Changes (or Yi Jing) was initially mocked and disregarded by the Westerners. In return, Confucian scholars Dai Zhen and Ji Yun found the concept of phantoms laughable and ridiculous. The Book of Changes outlined orthodoxy cosmology in the Qing, including yin and yang and the five cosmic phases. Sometimes the missionary exploits proved dangerous for the Westerners. Jesuit missionaries and scholars Ferdinand Vervbiest and Adam Schall were punished after using scientific methods to determine the exact time of the 1664 eclipse. However, the European mission eastward did not only cause conflict. Joachim Bouvet, a theologian who held equal respect for both the Bible and the Book of Changes, was productive in his mission of spreading the Christian faith. After the May Fourth Movement, attempts to modernize Confucianism and reconcile it with scientific understanding were attempted by many scholars including Feng Youlan and Xiong Shili. Given the close relationship that Confucianism shares with Buddhism, many of the same arguments used to reconcile Buddhism with science also readily translate to Confucianism. However, modern scholars have also attempted to define the relationship between science and Confucianism on Confucianism's own terms and the results have usually led to the conclusion that Confucianism and science are fundamentally compatible. Hinduism In Hinduism, the dividing line between objective sciences and spiritual knowledge (adhyatma vidya) is a linguistic paradox. Hindu scholastic activities and ancient Indian scientific advancements were so interconnected that many Hindu scriptures are also ancient scientific manuals and vice versa. In 1835, English was made the primary language for teaching in higher education in India, exposing Hindu scholars to Western secular ideas; this started a renaissance regarding religious and philosophical thought. Hindu sages maintained that logical argument and rational proof using Nyaya is the way to obtain correct knowledge. The scientific level of understanding focuses on how things work and from where they originate, while Hinduism strives to understand the ultimate purposes for the existence of living things. To obtain and broaden the knowledge of the world for spiritual perfection, many refer to the Bhāgavata for guidance because it draws upon a scientific and theological dialogue. Hinduism offers methods to correct and transform itself in course of time. For instance, Hindu views on the development of life include a range of viewpoints in regards to evolution, creationism, and the origin of life within the traditions of Hinduism. For instance, it has been suggested that Wallace-Darwininan evolutionary thought was a part of Hindu thought centuries before modern times. The Shankara and the Sāmkhya did not have a problem with the theory of evolution, but instead, argued about the existence of God and what happened after death. These two distinct groups argued among each other's philosophies because of their texts, not the idea of evolution. With the publication of Darwin's On the Origin of Species, many Hindus were eager to connect their scriptures to Darwinism, finding similarities between Brahma's creation, Vishnu's incarnations, and evolution theories. Samkhya, the oldest school of Hindu philosophy prescribes a particular method to analyze knowledge. According to Samkhya, all knowledge is possible through three means of valid knowledge – Pratyakṣa or Dṛṣṭam – direct sense perception, Anumāna – logical inference and Śabda or Āptavacana – verbal testimony. Nyaya, the Hindu school of logic, accepts all these 3 means and in addition accepts one more – Upamāna (comparison). The accounts of the emergence of life within the universe vary in description, but classically the deity called Brahma, from a Trimurti of three deities also including Vishnu and Shiva, is described as performing the act of 'creation', or more specifically of 'propagating life within the universe' with the other two deities being responsible for 'preservation' and 'destruction' (of the universe) respectively. In this respect some Hindu schools do not treat the scriptural creation myth literally and often the creation stories themselves do not go into specific detail, thus leaving open the possibility of incorporating at least some theories in support of evolution. Some Hindus find support for, or foreshadowing of evolutionary ideas in scriptures, namely the Vedas. The incarnations of Vishnu (Dashavatara) is almost identical to the scientific explanation of the sequence of biological evolution of man and animals. The sequence of avatars starts from an aquatic organism (Matsya), to an amphibian (Kurma), to a land-animal (Varaha), to a humanoid (Narasimha), to a dwarf human (Vamana), to 5 forms of well developed human beings (Parashurama, Rama, Balarama/Buddha, Krishna, Kalki) who showcase an increasing form of complexity (Axe-man, King, Plougher/Sage, wise Statesman, mighty Warrior). In fact, many Hindu gods are represented with features of animals as well as those of humans, leading many Hindus to easily accept evolutionary links between animals and humans. In India, the home country of Hindus, educated Hindus widely accept the theory of biological evolution. In a survey of 909 people, 77% of respondents in India agreed with Charles Darwin's Theory of Evolution, and 85 per cent of God-believing people said they believe in evolution as well. As per Vedas, another explanation for the creation is based on the five elements: earth, water, fire, air and aether. The Hindu religion traces its beginnings to the Vedas. Everything that is established in the Hindu faith such as the gods and goddesses, doctrines, chants, spiritual insights, etc. flow from the poetry of Vedic hymns. The Vedas offer an honor to the sun and moon, water and wind, and to the order in Nature that is universal. This naturalism is the beginning of what further becomes the connection between Hinduism and science. Jainism Biology Jainism classifies life into two main divisions those who are static by nature (sthavar) and those who are mobile (trasa). Jain texts describes life in plant long before Jagdish Chandra Bose proved that plants have life. In the Jain philosophy the plant lives are termed as 'Vanaspatikaya' Jainism and non-creationism Jain theory of causality holds that a cause and its effect are always identical in nature and an immaterial entity like a creator God cannot be the cause of a material entity like the universe. According to Jain belief, it is not possible to create matter out of nothing. The universe and its constituents– soul, matter, space, time, and natural laws have always existed (a static universe, similar to that proposed by the steady state cosmological model). Islam From an Islamic standpoint, science, the study of nature, is considered to be linked to the concept of Tawhid (the Oneness of God), as are all other branches of knowledge. In Islam, nature is not seen as a separate entity, but rather as an integral part of Islam's holistic outlook on God, humanity, and the world. The Islamic view of science and nature is continuous with that of religion and God. This link implies a sacred aspect to the pursuit of scientific knowledge by Muslims, as nature itself is viewed in the Qur'an as a compilation of signs pointing to the Divine. It was with this understanding that science was studied and understood in Islamic civilizations, specifically during the eighth to sixteenth centuries, prior to the colonization of the Muslim world. Robert Briffault, in The Making of Humanity, asserts that the very existence of science, as it is understood in the modern sense, is rooted in the scientific thought and knowledge that emerged in Islamic civilizations during this time. Ibn al-Haytham, an Arab Muslim, was an early proponent of the concept that a hypothesis must be proved by experiments based on confirmable procedures or mathematical evidence—hence understanding the scientific method 200 years before Renaissance scientists. Ibn al-Haytham described his theology: With the decline of Islamic Civilizations in the late Middle Ages and the rise of Europe, the Islamic scientific tradition shifted into a new period. Institutions that had existed for centuries in the Muslim world looked to the new scientific institutions of European powers. This changed the practice of science in the Muslim world, as Islamic scientists had to confront the western approach to scientific learning, which was based on a different philosophy of nature. From the time of this initial upheaval of the Islamic scientific tradition to the present day, Muslim scientists and scholars have developed a spectrum of viewpoints on the place of scientific learning within the context of Islam, none of which are universally accepted or practiced. However, most maintain the view that the acquisition of knowledge and scientific pursuit in general is not in disaccord with Islamic thought and religious belief. During the thirteenth century, the Caliphate system in the Islamic Empire fell, and scientific discovery thrived. The Islamic Civilization has a long history of scientific advancement; and their theological practices catalyzed a great deal of scientific discovery. In fact, it was due to necessities of Muslim worship and their vast empire that much science and philosophy was created. People needed to know in which direction they needed to pray toward to face Mecca. Many historians through time have asserted that all modern science originates from ancient Greek scholarship; but scholars like Martin Bernal have claimed that most ancient Greek scholarship relied heavily on the work of scholars from ancient Egypt and the Levant. Ancient Egypt was the foundational site of the Hermetic School, which believed that the sun represented an invisible God. Amongst other things, Islamic civilization was key because it documented and recorded Greek scholarship. Ahmadiyya The Ahmadiyya movement emphasize that "there is no contradiction between Islam and science". For example, Ahmadi Muslims universally accept in principle the process of evolution, albeit divinely guided, and actively promote it. Over the course of several decades the movement has issued various publications in support of the scientific concepts behind the process of evolution, and frequently engages in promoting how religious scriptures, such as the Qur'an, supports the concept. For general purposes, the second Khalifa of the community, Mirza Basheer-ud-Din Mahmood Ahmad says: The Holy Quran directs attention towards science, time and again, rather than evoking prejudice against it. The Quran has never advised against studying science, lest the reader should become a non-believer; because it has no such fear or concern. The Holy Quran is not worried that if people will learn the laws of nature its spell will break. The Quran has not prevented people from science, rather it states, "Say, 'Reflect on what is happening in the heavens and the earth.'" (Al Younus) Surveys on scientists and the general public Scientists Since 1901–2013, 22% of all Nobel prizes have been awarded to Jews despite them being less than 1% of the world population. Between 1901 and 2000, 654 Laureates belonged to 28 different religions. Most (65%) have identified Christianity in its various forms as their religious preference. Specifically on the science related prizes, Christians have won a total of 73% of all the Chemistry, 65% in Physics, 62% in Medicine, and 54% in all Economics awards. Jews have won 17% of the prizes in Chemistry, 26% in Medicine, and 23% in Physics. Atheists, Agnostics, and Freethinkers have won 7% of the prizes in Chemistry, 9% in Medicine, and 5% in Physics. Muslims have won 13 prizes (three were in scientific categories). Global According to a global study on scientists, a significant portion of scientists around the world have religious identities, beliefs, and practices overall. Furthermore, the majority of scientists do not believe there is inherent conflict in being religious and a scientist and stated that "the conflict perspective on science and religion is an invention of the West" since such a view is not prevalent among most of scientists around the world. United States In 1916, 1,000 leading American scientists were randomly chosen from American Men of Science and 42% believed God existed, 42% disbelieved, and 17% had doubts/did not know; however, when the study was replicated 80 years later using American Men and Women of Science in 1996, the results were very much the same with 39% believing God exists, 45% disbelieved, and 15% had doubts/did not know. In the same 1996 survey, for scientists in the fields of biology, mathematics, and physics/astronomy, belief in a god that is "in intellectual and affective communication with humankind" was most popular among mathematicians (about 45%) and least popular among physicists (about 22%). In terms of belief in God among elite scientists, such as "great scientists" in the "American Men of Science" or members of the National Academies of Science; 53% disbelieved, 21% were agnostic, and 28% believed in 1914; 68% disbelieved, 17% were agnostic, and 15% believed in 1933; and 72% disbelieved, 21% were agnostic, and 7% believed in 1998. However Eugenie Scott argued that there are methodological issues in the study, including ambiguity in the questions such using a personal definition of God instead of broader definitions of God. A study with simplified wording to include impersonal or non-interventionist ideas of God concluded that 40% of leading scientists in the US scientists believe in a god. Other's have also observed some methodological issues in Lueba's studies and also the Larson and Witham's findings which impacted the results. A survey conducted between 2005 and 2007 by Elaine Howard Ecklund of University at Buffalo, The State University of New York of 1,646 natural and social science professors at 21 US research universities found that, in terms of belief in God or a higher power, more than 60% expressed either disbelief or agnosticism and more than 30% expressed belief. More specifically, nearly 34% answered "I do not believe in God" and about 30% answered "I do not know if there is a God and there is no way to find out." In the same study, 28% said they believed in God and 8% believed in a higher power that was not God. Ecklund stated that scientists were often able to consider themselves spiritual without religion or belief in god. Ecklund and Scheitle concluded, from their study, that the individuals from non-religious backgrounds disproportionately had self-selected into scientific professions and that the assumption that becoming a scientist necessarily leads to loss of religion is untenable since the study did not strongly support the idea that scientists had dropped religious identities due to their scientific training. Instead, factors such as upbringing, age, and family size were significant influences on religious identification since those who had religious upbringing were more likely to be religious and those who had a non-religious upbringing were more likely to not be religious. The authors also found little difference in religiosity between social and natural scientists. In terms of perceptions, most social and natural scientists from 21 American universities did not perceive conflict between science and religion, while 37% did. However, in the study, scientists who had experienced limited exposure to religion tended to perceive conflict. In the same study they found that nearly one in five atheist scientists who are parents (17%) are part of religious congregations and have attended a religious service more than once in the past year. Some of the reasons for doing so are their scientific identity (wishing to expose their children to all sources of knowledge so they can make up their own minds), spousal influence, and desire for community. A 2009 report by the Pew Research Center found that members of the American Association for the Advancement of Science (AAAS) were "much less religious than the general public," with 51% believing in some form of deity or higher power. Specifically, 33% of those polled believe in God, 18% believe in a universal spirit or higher power, and 41% did not believe in either God or a higher power. 48% say they have a religious affiliation, equal to the number who say they are not affiliated with any religious tradition. 17% were atheists, 11% were agnostics, 20% were nothing in particular, 8% were Jewish, 10% were Catholic, 16% were Protestant, 4% were Evangelical, 10% were other religion. The survey also found younger scientists to be "substantially more likely than their older counterparts to say they believe in God". Among the surveyed fields, chemists were the most likely to say they believe in God. Elaine Ecklund conducted a study from 2011 to 2014 involving the general US population, including rank and file scientists, in collaboration with the American Association for the Advancement of Science (AAAS). The study noted that 76% of the scientists identified with a religious tradition. 85% of evangelical scientists had no doubts about the existence of God, compared to 35% of the whole scientific population. In terms of religion and science, 85% of evangelical scientists saw no conflict (73% collaboration, 12% independence), while 75% of the whole scientific population saw no conflict (40% collaboration, 35% independence). Religious beliefs of US professors were examined using a nationally representative sample of more than 1,400 professors. They found that in the social sciences: 23% did not believe in God, 16% did not know if God existed, 43% believed God existed, and 16% believed in a higher power. Out of the natural sciences: 20% did not believe in God, 33% did not know if God existed, 44% believed God existed, and 4% believed in a higher power. Overall, out of the whole study: 10% were atheists, 13% were agnostic, 19% believe in a higher power, 4% believe in God some of the time, 17% had doubts but believed in God, 35% believed in God and had no doubts. In 2005, Farr Curlin, a University of Chicago Instructor in Medicine and a member of the MacLean Center for Clinical Medical Ethics, noted in a study that doctors tend to be science-minded religious people. He helped author a study that "found that 76 percent of doctors believe in God and 59 percent believe in some sort of afterlife." Furthermore, "90 percent of doctors in the United States attend religious services at least occasionally, compared to 81 percent of all adults." He reasoned, "The responsibility to care for those who are suffering and the rewards of helping those in need resonate throughout most religious traditions.". A study from 2017 showed 65% of physicians believe in God. Other countries According to the Study of Secularism in Society and Culture's report on 1,100 scientists in India: 66% are Hindu, 14% did not report a religion, 10% are atheist/no religion, 3% are Muslim, 3% are Christian, 4% are Buddhist, Sikh or other. 39% have a belief in a god, 6% have belief in a god sometimes, 30% do not believe in a god but believe in a higher power, 13% do not know if there is a god, and 12% do not believe in a god. 49% believe in the efficacy of prayer, 90% strongly agree or somewhat agree with approving degrees in Ayurvedic medicine. Furthermore, the term "secularism" is understood to have diverse and simultaneous meanings among Indian scientists: 93% believe it to be tolerance of religions and philosophies, 83% see it as involving separation of church and state, 53% see it as not identifying with religious traditions, 40% see it as absence of religious beliefs, and 20% see it as atheism. Accordingly, 75% of Indian scientists had a "secular" outlook in terms of being tolerant of other religions. According to the Religion Among Scientists in International Context (RASIC) study on 1,581 scientists from the United Kingdom and 1,763 scientists from India, along with 200 interviews: 65% of U.K. scientists identified as nonreligious and only 6% of Indian scientists identify as nonreligious, 12% of scientists in the U.K. attend religious services on a regular basis and 32% of scientists in India do. In terms of the Indian scientists, 73% of scientists responded that there are basic truths in many religions, 27% said they believe in God and 38% expressed belief in a higher power of some kind. In terms of perceptions of conflict between science and religion, less than half of both U.K. scientists (38%) and Indian scientists (18%) perceived conflict between religion and science. General public Global studies which have pooled data on religion and science from 1981 to 2001, have noted that countries with greater faith in science also often have stronger religious beliefs, while less religious countries have more skepticism of the impact of science and technology. The United States is noted there as distinctive because of greater faith in both God and scientific progress. Other research cites the National Science Foundation's finding that America has more favorable public attitudes towards science than Europe, Russia, and Japan despite differences in levels of religiosity in these cultures. Cross-cultural studies indicate that people tend to use both natural and supernatural explanations for explaining numerous things about the world such as illness, death, and origins. In other words, they do not think of natural and supernatural explanations as antagonistic or dichotomous, but instead see them as coexisting and complementary. The reconciliation of natural and supernatural explanations is normal and pervasive from a psychological standpoint across cultures. Europe A study conducted on adolescents from Christian schools in Northern Ireland, noted a positive relationship between attitudes towards Christianity and science once attitudes towards scientism and creationism were accounted for. A study on people from Sweden concludes that though the Swedes are among the most non-religious, paranormal beliefs are prevalent among both the young and adult populations. This is likely due to a loss of confidence in institutions such as the Church and Science. Concerning specific topics like creationism, it is not an exclusively American phenomenon. A poll on adult Europeans revealed that 40% believed in naturalistic evolution, 21% in theistic evolution, 20% in special creation, and 19% are undecided; with the highest concentrations of young earth creationists in Switzerland (21%), Austria (20%), Germany (18%). Other countries such as Netherlands, Britain, and Australia have experienced growth in such views as well. United States According to a 2015 Pew Research Center Study on the public perceptions on science, people's perceptions on conflict with science have more to do with their perceptions of other people's beliefs than their own personal beliefs. For instance, the majority of people with a religious affiliation (68%) saw no conflict between their own personal religious beliefs and science while the majority of those without a religious affiliation (76%) perceived science and religion to be in conflict. The study noted that people who are not affiliated with any religion, also known as "religiously unaffiliated", often have supernatural beliefs and spiritual practices despite them not being affiliated with any religion and also that "just one-in-six religiously unaffiliated adults (16%) say their own religious beliefs conflict with science." Furthermore, the study observed, "The share of all adults who perceive a conflict between science and their own religious beliefs has declined somewhat in recent years, from 36% in 2009 to 30% in 2014. Among those who are affiliated with a religion, the share of people who say there is a conflict between science and their personal religious beliefs dropped from 41% to 34% during this period." The 2013 MIT Survey on Science, Religion and Origins examined the views of religious people in America on origins science topics like evolution, the Big Bang, and perceptions of conflicts between science and religion. It found that a large majority of religious people see no conflict between science and religion and only 11% of religious people belong to religions openly rejecting evolution. The fact that the gap between personal and official beliefs of their religions is so large suggests that part of the problem, might be defused by people learning more about their own religious doctrine and the science it endorses, thereby bridging this belief gap. The study concluded that "mainstream religion and mainstream science are neither attacking one another nor perceiving a conflict." Furthermore, they note that this conciliatory view is shared by most leading science organizations such as the American Association for the Advancement of Science (AAAS). A study was made in collaboration with the American Association for the Advancement of Science (AAAS) collecting data on the general public from 2011 to 2014, with the focus on evangelicals and evangelical scientists. Even though evangelicals make up only 26% of the US population, the study found that nearly 70 percent of all evangelical Christians do not view science and religion as being in conflict with each other (48% saw them as complementary and 21% saw them as independent) while 73% of the general US population saw no conflict either. According to Elaine Ecklund's study, the majority of religious groups see religion and science in collaboration or independent of each other, while the majority of groups without religion see science and religion in conflict. Other lines of research on perceptions of science among the American public conclude that most religious groups see no general epistemological conflict with science and they have no differences with nonreligious groups in the propensity of seeking out scientific knowledge, although there may be subtle epistemic or moral conflicts when scientists make counterclaims to religious tenets. Findings from the Pew Center note similar findings and also note that the majority of Americans (80–90%) show strong support for scientific research, agree that science makes society and individual's lives better, and 8 in 10 Americans would be happy if their children were to become scientists. Even strict creationists tend to have very favorable views on science. According to a 2007 poll by the Pew Forum, "while large majorities of Americans respect science and scientists, they are not always willing to accept scientific findings that squarely contradict their religious beliefs." The Pew Forum states that specific factual disagreements are "not common today", though 40% to 50% of Americans do not accept the evolution of humans and other living things, with the "strongest opposition" coming from evangelical Christians at 65% saying life did not evolve. 51% of the population believes humans
However, the conflict thesis has lost favor among most contemporary historians of science. Many scientists, philosophers, and theologians throughout history, such as Francisco Ayala, Kenneth R. Miller, and Francis Collins, have seen compatibility or interdependence between religion and science. Biologist Stephen Jay Gould, other scientists, and some contemporary theologians regard religion and science as non-overlapping magisteria, addressing fundamentally separate forms of knowledge and aspects of life. Some historians of science and mathematicians, including John Lennox, Thomas Berry, and Brian Swimme propose an interconnection between science and religion, while others such as Ian Barbour believe there are even parallels. Public acceptance of scientific facts may sometimes be influenced by religious beliefs such as in the United States, where some reject the concept of evolution by natural selection, especially regarding Human beings. Nevertheless, the American National Academy of Sciences has written that "the evidence for evolution can be fully compatible with religious faith", a view endorsed by many religious denominations. History Concepts of science and religion The concepts of "science" and "religion" are a recent invention: "religion" emerged in the 17th century in the midst of colonization, globalization and as a consequence of the Protestant reformation. "Science" emerged in the 19th century in the midst of attempts to narrowly define those who studied nature. Originally what is now known as "science" was pioneered as "natural philosophy". It was in the 19th century that the terms "Buddhism", "Hinduism", "Taoism", "Confucianism" and "World Religions" first emerged. In the ancient and medieval world, the etymological Latin roots of both science (scientia) and religion (religio) were understood as inner qualities of the individual or virtues, never as doctrines, practices, or actual sources of knowledge. The 19th century also experienced the concept of "science" receiving its modern shape with new titles emerging such as "biology" and "biologist", "physics", and "physicist", among other technical fields and titles; institutions and communities were founded, and unprecedented applications to and interactions with other aspects of society and culture occurred. The term scientist was coined by the naturalist-theologian William Whewell in 1834 and it was applied to those who sought knowledge and understanding of nature. From the ancient world, starting with Aristotle, to the 19th century, the practice of studying nature was commonly referred to as "natural philosophy". Isaac Newton's book Philosophiae Naturalis Principia Mathematica (1687), whose title translates to "Mathematical Principles of Natural Philosophy", reflects the then-current use of the words "natural philosophy", akin to "systematic study of nature". Even in the 19th century, a treatise by Lord Kelvin and Peter Guthrie Tait's, which helped define much of modern physics, was titled Treatise on Natural Philosophy (1867). It was in the 17th century that the concept of "religion" received its modern shape despite the fact that ancient texts like the Bible, the Quran, and other texts did not have a concept of religion in the original languages and neither did the people or the cultures in which these texts were written. In the 19th century, Max Müller noted that what is called ancient religion today, would have been called "law" in antiquity. For example, there is no precise equivalent of "religion" in Hebrew, and Judaism does not distinguish clearly between religious, national, racial, or ethnic identities. The Sanskrit word "dharma", sometimes translated as "religion", also means law or duty. Throughout classical India, the study of law consisted of concepts such as penance through piety and ceremonial as well as practical traditions. Medieval Japan at first had a similar union between "imperial law" and universal or "Buddha law", but these later became independent sources of power. Throughout its long history, Japan had no concept of "religion" since there was no corresponding Japanese word, nor anything close to its meaning, but when American warships appeared off the coast of Japan in 1853 and forced the Japanese government to sign treaties demanding, among other things, freedom of religion, the country had to contend with this Western idea. Middle Ages and Renaissance The development of sciences (especially natural philosophy) in Western Europe during the Middle Ages, has a considerable foundation in the works of the Arabs who translated Greek and Latin compositions. The works of Aristotle played a major role in the institutionalization, systematization, and expansion of reason. Christianity accepted reason within the ambit of faith. In Christendom, ideas articulated via divine revelation were assumed to be true, and thus via the law of non-contradiction, it was maintained that the natural world must accord with this revealed truth. Any apparent contradiction would indicate either a misunderstanding of the natural world or a misunderstanding of revelation. The prominent scholastic Thomas Aquinas writes in the Summa Theologica concerning apparent contradictions: "In discussing questions of this kind two rules are to observed, as Augustine teaches (Gen. ad lit. i, 18). The first is, to hold the truth of Scripture without wavering. The second is that since Holy Scripture can be explained in a multiplicity of senses, one should adhere to a particular explanation, only in such measure as to be ready to abandon it, if it be proved with certainty to be false; lest Holy Scripture be exposed to the ridicule of unbelievers, and obstacles be placed to their believing." (Summa 1a, 68, 1) where the referenced text from Augustine of Hippo reads: "In matters that are obscure and far beyond our vision, even in such as we may find treated in Holy Scripture, different interpretations are sometimes possible without prejudice to the faith we have received. In such a case, we should not rush in headlong and so firmly take our stand on one side that, if further progress in the search of truth justly undermines this position, we too fall with it. That would be to battle not for the teaching of Holy Scripture but for our own, wishing its teaching to conform to ours, whereas we ought to wish ours to conform to that of Sacred Scripture." (Gen. ad lit. i, 18) In medieval universities, the faculty for natural philosophy and theology were separate, and discussions pertaining to theological issues were often not allowed to be undertaken by the faculty of philosophy. Natural philosophy, as taught in the arts faculties of the universities, was seen as an essential area of study in its own right and was considered necessary for almost every area of study. It was an independent field, separated from theology, and enjoyed a good deal of intellectual freedom as long as it was restricted to the natural world. In general, there was religious support for natural science by the late Middle Ages and a recognition that it was an important element of learning. The extent to which medieval science led directly to the new philosophy of the scientific revolution remains a subject for debate, but it certainly had a significant influence. The Middle Ages laid ground for the developments that took place in science, during the Renaissance which immediately succeeded it. By 1630, ancient authority from classical literature and philosophy, as well as their necessity, started eroding, although scientists were still expected to be fluent in Latin, the international language of Europe's intellectuals. With the sheer success of science and the steady advance of rationalism, the individual scientist gained prestige. Along with the inventions of this period, especially the printing press by Johannes Gutenberg, allowing for the dissemination of the Bible in languages of the common people (languages other than Latin). This allowed more people to read and learn from the scripture, leading to the Evangelical movement. The people who spread this message concentrated more on individual agency rather than the structures of the Church. Modern period In the 17th century, founders of the Royal Society largely held conventional and orthodox religious views, and a number of them were prominent Churchmen. While theological issues that had the potential to be divisive were typically excluded from formal discussions of the early Society, many of its fellows nonetheless believed that their scientific activities provided support for traditional religious belief. Clerical involvement in the Royal Society remained high until the mid-nineteenth century when science became more professionalized. Albert Einstein supported the compatibility of some interpretations of religion with science. In "Science, Philosophy and Religion, A Symposium" published by the Conference on Science, Philosophy and Religion in Their Relation to the Democratic Way of Life, Inc., New York in 1941, Einstein stated: Einstein thus expresses views of ethical non-naturalism (contrasted to ethical naturalism). Prominent modern scientists who are atheists include evolutionary biologist Richard Dawkins and Nobel Prize–winning physicist Steven Weinberg. Prominent scientists advocating religious belief include Nobel Prize–winning physicist and United Church of Christ member Charles Townes, evangelical Christian and past head of the Human Genome Project Francis Collins, and climatologist John T. Houghton. Perspectives The kinds of interactions that might arise between science and religion have been categorized by theologian, Anglican priest, and physicist John Polkinghorne: (1) conflict between the disciplines, (2) independence of the disciplines, (3) dialogue between the disciplines where they overlap and (4) integration of both into one field. This typology is similar to ones used by theologians Ian Barbour and John Haught. More typologies that categorize this relationship can be found among the works of other science and religion scholars such as theologian and biochemist Arthur Peacocke. Incompatibility According to Guillermo Paz-y-Miño-C and Avelina Espinosa, the historical conflict between evolution and religion is intrinsic to the incompatibility between scientific rationalism/empiricism and the belief in supernatural causation. According to evolutionary biologist Jerry Coyne, views on evolution and levels of religiosity in some countries, along with the existence of books explaining reconciliation between evolution and religion, indicate that people have trouble in believing both at the same time, thus implying incompatibility. In a debate with John Staddon, Coyne disputed the idea that the values of secular humanism are just as faith-based as frankly religious beliefs. According to physical chemist Peter Atkins, "whereas religion scorns the power of human comprehension, science respects it." Planetary scientist Carolyn Porco describes a hope that "the confrontation between science and formal religion will come to an end when the role played by science in the lives of all people is the same played by religion today." Geologist and paleontologist Donald Prothero has stated that religion is the reason "questions about evolution, the age of the earth, cosmology, and human evolution nearly always cause Americans to flunk science literacy tests compared to other nations." However, Jon Miller, who studies science literacy across nations, states that Americans in general are slightly more scientifically literate than Europeans and the Japanese. According to cosmologist and astrophysicist Lawrence Krauss, compatibility or incompatibility is a theological concern, not a scientific concern. In Lisa Randall's view, questions of incompatibility or otherwise are not answerable, since by accepting revelations one is abandoning rules of logic which are needed to identify if there are indeed contradictions between holding certain beliefs. Daniel Dennett holds that incompatibility exists because religion is not problematic to a certain point before it collapses into a number of excuses for keeping certain beliefs, in light of evolutionary implications. According to theoretical physicist Steven Weinberg, teaching cosmology and evolution to students should decrease their self-importance in the universe, as well as their religiosity. Evolutionary developmental biologist PZ Myers' view is that all scientists should be atheists, and that science should never accommodate any religious beliefs. Physicist Sean M. Carroll claims that since religion makes claims that are supernatural, both science and religion are incompatible. Evolutionary biologist Richard Dawkins is openly hostile to religion because he believes it actively debauches the scientific enterprise and education involving science. According to Dawkins, religion "subverts science and saps the intellect". He believes that when science teachers attempt to expound on evolution, there is hostility aimed towards them by parents who are skeptical because they believe it conflicts with their own religious beliefs, and that even in some textbooks have had the word 'evolution' systematically removed. He has worked to argue the negative effects that he believes religion has on education of science. According to Renny Thomas' study on Indian scientists, atheistic scientists in India called themselves atheists even while accepting that their lifestyle is very much a part of tradition and religion. Thus, they differ from Western atheists in that for them following the lifestyle of a religion is not antithetical to atheism. Criticism Others such as Francis Collins, George F. R. Ellis, Kenneth R. Miller, Katharine Hayhoe, George Coyne and Simon Conway Morris argue for compatibility since they do not agree that science is incompatible with religion and vice versa. They argue that science provides many opportunities to look for and find God in nature and to reflect on their beliefs. According to Kenneth Miller, he disagrees with Jerry Coyne's assessment and argues that since significant portions of scientists are religious and the proportion of Americans believing in evolution is much higher, it implies that both are indeed compatible. Elsewhere, Miller has argued that when scientists make claims on science and theism or atheism, they are not arguing scientifically at all and are stepping beyond the scope of science into discourses of meaning and purpose. What he finds particularly odd and unjustified is in how atheists often come to invoke scientific authority on their non-scientific philosophical conclusions like there being no point or no meaning to the universe as the only viable option when the scientific method and science never have had any way of addressing questions of meaning or God in the first place. Furthermore, he notes that since evolution made the brain and since the brain can handle both religion and science, there is no natural incompatibility between the concepts at the biological level. Karl Giberson argues that when discussing compatibility, some scientific intellectuals often ignore the viewpoints of intellectual leaders in theology and instead argue against less informed masses, thereby, defining religion by non-intellectuals and slanting the debate unjustly. He argues that leaders in science sometimes trump older scientific baggage and that leaders in theology do the same, so once theological intellectuals are taken into account, people who represent extreme positions like Ken Ham and Eugenie Scott will become irrelevant. Cynthia Tolman notes that religion does not have a method per se partly because religions emerge through time from diverse cultures, but when it comes to Christian theology and ultimate truths, she notes that people often rely on scripture, tradition, reason, and experience to test and gauge what they experience and what they should believe. Conflict thesis The conflict thesis, which holds that religion and science have been in conflict continuously throughout history, was popularized in the 19th century by John William Draper's and Andrew Dickson White's accounts. It was in the 19th century that relationship between science and religion became an actual formal topic of discourse, while before this no one had pitted science against religion or vice versa, though occasional complex interactions had been expressed before the 19th century. Most contemporary historians of science now reject the conflict thesis in its original form and no longer support it. Instead, it has been superseded by subsequent historical research which has resulted in a more nuanced understanding: Historian of science, Gary Ferngren, has stated: "Although popular images of controversy continue to exemplify the supposed hostility of Christianity to new scientific theories, studies have shown that Christianity has often nurtured and encouraged scientific endeavour, while at other times the two have co-existed without either tension or attempts at harmonization. If Galileo and the Scopes trial come to mind as examples of conflict, they were the exceptions rather than the rule." Most historians today have moved away from a conflict model, which is based mainly on two historical episodes (Galileo and Darwin), toward compatibility theses (either the integration thesis or non-overlapping magisteria) or toward a "complexity" model, because religious figures were on both sides of each dispute and there was no overall aim by any party involved to discredit religion. An often cited example of conflict, that has been clarified by historical research in the 20th century, was the Galileo affair, whereby interpretations of the Bible were used to attack ideas by Copernicus on heliocentrism. By 1616 Galileo went to Rome to try to persuade Catholic Church authorities not to ban Copernicus' ideas. In the end, a decree of the Congregation of the Index was issued, declaring that the ideas that the Sun stood still and that the Earth moved were "false" and "altogether contrary to Holy Scripture", and suspending Copernicus's De Revolutionibus until it could be corrected. Galileo was found "vehemently suspect of heresy", namely of having held the opinions that the Sun lies motionless at the center of the universe, that the Earth is not at its centre and moves. He was required to "abjure, curse and detest" those opinions. However, before all this, Pope Urban VIII had personally asked Galileo to give arguments for and against heliocentrism in a book, and to be careful not to advocate heliocentrism as physically proven since the scientific consensus at the time was that the evidence for heliocentrism was very weak. The Church had merely sided with the scientific consensus of the time. Pope Urban VIII asked that his own views on the matter be included in Galileo's book. Only the latter was fulfilled by Galileo. Whether unknowingly or deliberately, Simplicio, the defender of the Aristotelian/Ptolemaic geocentric view in Dialogue Concerning the Two Chief World Systems, was often portrayed as an unlearned fool who lacked mathematical training. Although the preface of his book claims that the character is named after a famous Aristotelian philosopher (Simplicius in Latin, Simplicio in Italian), the name "Simplicio" in Italian also has the connotation of "simpleton". Unfortunately for his relationship with the Pope, Galileo put the words of Urban VIII into the mouth of Simplicio. Most historians agree Galileo did not act out of malice and felt blindsided by the reaction to his book. However, the Pope did not take the suspected public ridicule lightly, nor the physical Copernican advocacy. Galileo had alienated one of his biggest and most powerful supporters, the Pope, and was called to Rome to defend his writings. The actual evidences that finally proved heliocentrism came centuries after Galileo: the stellar aberration of light by James Bradley in the 18th century, the orbital motions of binary stars by William Herschel in the 19th century, the accurate measurement of the stellar parallax in the 19th century, and Newtonian mechanics in the 17th century. According to physicist Christopher Graney, Galileo's own observations did not actually support the Copernican view, but were more consistent with Tycho Brahe's hybrid model where that Earth did not move and everything else circled around it and the Sun. British philosopher A. C. Grayling, still believes there is competition between science and religions and point to the origin of the universe, the nature of human beings and the possibility of miracles Independence A modern view, described by Stephen Jay Gould as "non-overlapping magisteria" (NOMA), is that science and religion deal with fundamentally separate aspects of human experience and so, when each stays within its own domain, they co-exist peacefully. While Gould spoke of independence from the perspective of science, W. T. Stace viewed independence from the perspective of the philosophy of religion. Stace felt that science and religion, when each is viewed in its own domain, are both consistent and complete. They originate from different perceptions of reality, as Arnold O. Benz points out, but meet each other, for example, in the feeling of amazement and in ethics. The USA's National Academy of Sciences supports the view that science and religion are independent. Science and religion are based on different aspects of human experience. In science, explanations must be based on evidence drawn from examining the natural world. Scientifically based observations or experiments that conflict with an explanation eventually must lead to modification or even abandonment of that explanation. Religious faith, in contrast, does not depend on empirical evidence, is not necessarily modified in the face of conflicting evidence, and typically involves supernatural forces or entities. Because they are not a part of nature, supernatural entities cannot be investigated by science. In this sense, science and religion are separate and address aspects of human understanding in different ways. Attempts to put science and religion against each other create controversy where none needs to exist. According to Archbishop John Habgood, both science and religion represent distinct ways of approaching experience and these differences are sources of debate. He views science as descriptive and religion as prescriptive. He stated that if science and mathematics concentrate on what the world ought to be, in the way that religion does, it may lead to improperly ascribing properties to the natural world as happened among the followers of Pythagoras in the sixth century B.C. In contrast, proponents of a normative moral science take issue with the idea that science has no way of guiding "oughts". Habgood also stated that he believed that the reverse situation, where religion attempts to be descriptive, can also lead to inappropriately assigning properties to the natural world. A notable example is the now defunct belief in the Ptolemaic (geocentric) planetary model that held sway until changes in scientific and religious thinking were brought about by Galileo and proponents of his views. In the view of the Lubavitcher rabbi Menachem Mendel Schneerson, non-Euclidean geometry such as Lobachevsky's hyperbolic geometry and Riemann's elliptic geometry proved that Euclid's axioms, such as, "there is only one straight line between two points", are in fact arbitrary. Therefore, science, which relies on arbitrary axioms, can never refute Torah, which is absolute truth. Parallels in method According to Ian Barbour, Thomas S. Kuhn asserted that science is made up of paradigms that arise from cultural traditions, which is similar to the secular perspective on religion. Michael Polanyi asserted that it is merely a commitment to universality that protects against subjectivity and has nothing at all to do with personal detachment as found in many conceptions of the scientific method. Polanyi further asserted that all knowledge is personal and therefore the scientist must be performing a very personal if not necessarily subjective role when doing science. Polanyi added that the scientist often merely follows intuitions of "intellectual beauty, symmetry, and 'empirical agreement'". Polanyi held that science requires moral commitments similar to those found in religion. Two physicists, Charles A. Coulson and Harold K. Schilling, both claimed that "the methods of science and religion have much in common." Schilling asserted that both fields—science and religion—have "a threefold structure—of experience, theoretical interpretation, and practical application." Coulson asserted that science, like religion, "advances by creative imagination" and not by "mere collecting of facts," while stating that religion should and does "involve critical reflection on experience not unlike that which goes on in science." Religious language and scientific language also show parallels (cf. rhetoric of science). Dialogue The religion and science community consists of those scholars who involve themselves with what has been called the "religion-and-science dialogue" or the "religion-and-science field." The community belongs to neither the scientific nor the religious community, but is said to be a third overlapping community of interested and involved scientists, priests, clergymen, theologians and engaged non-professionals. Institutions interested in the intersection between science and religion include the Center for Theology and the Natural Sciences, the Institute on Religion in an Age of Science, the Ian Ramsey Centre, and the Faraday Institute. Journals addressing the relationship between science and religion include Theology and Science and Zygon. Eugenie Scott has written that the "science and religion" movement is, overall, composed mainly of theists who have a healthy respect for science and may be beneficial to the public understanding of science. She contends that the "Christian scholarship" movement is not a problem for science, but that the "Theistic science" movement, which proposes abandoning methodological materialism, does cause problems in understanding of the nature of science. The Gifford Lectures were established in 1885 to further the discussion between "natural theology" and the scientific community. This annual series continues and has included William James, John Dewey, Carl Sagan, and many other professors from various fields. The modern dialogue between religion and science is rooted in Ian Barbour's 1966 book Issues in Science and Religion. Since that time it has grown into a serious academic field, with academic chairs in the subject area, and two dedicated academic journals, Zygon and Theology and Science. Articles are also sometimes found in mainstream science journals such as American Journal of Physics and Science. Philosopher Alvin Plantinga has argued that there is superficial conflict but deep concord between science and religion, and that there is deep conflict between science and naturalism. Plantinga, in his book Where the Conflict Really Lies: Science, Religion, and Naturalism, heavily contests the linkage of naturalism with science, as conceived by Richard Dawkins, Daniel Dennett and like-minded thinkers; while Daniel Dennett thinks that Plantinga stretches science to an unacceptable extent. Philosopher Maarten Boudry, in reviewing the book, has commented that he resorts to creationism and fails to "stave off the conflict between theism and evolution." Cognitive scientist Justin L. Barrett, by contrast, reviews the same book and writes that "those most needing to hear Plantinga's message may fail to give it a fair hearing for rhetorical rather than analytical reasons." Integration As a general view, this holds that while interactions are complex between influences of science, theology, politics, social, and economic concerns, the productive engagements between science and religion throughout history should be duly stressed as the norm. Scientific and theological perspectives often coexist peacefully. Christians and some non-Christian religions have historically integrated well with scientific ideas, as in the ancient Egyptian technological mastery applied to monotheistic ends, the flourishing of logic and mathematics under Hinduism and Buddhism, and the scientific advances made by Muslim scholars during the Ottoman empire. Even many 19th-century Christian communities welcomed scientists who claimed that science was not at all concerned with discovering the ultimate nature of reality. According to Lawrence M. Principe, the Johns Hopkins University Drew Professor of the Humanities, from a historical perspective this points out that much of the current-day clashes occur between limited extremists—both religious and scientistic fundamentalists—over a very few topics, and that the movement of ideas back and forth between scientific and theological thought has been more usual. To Principe, this perspective would point to the fundamentally common respect for written learning in religious traditions of rabbinical literature, Christian theology, and the Islamic Golden Age, including a Transmission of the Classics from Greek to Islamic to Christian traditions which helped spark the Renaissance. Religions have also given key participation in development of modern universities and libraries; centers of learning & scholarship were coincident with religious institutions – whether pagan, Muslim, or Christian. Individual religions Baháʼí Faith A fundamental principle of the Baháʼí Faith is the harmony of religion and science. Baháʼí scripture asserts that true science and true religion can never be in conflict. `Abdu'l-Bahá, the son of the founder of the religion, stated that religion without science is superstition and that science without religion is materialism. He also admonished that true religion must conform to the conclusions of science. Buddhism Buddhism and science have been regarded as compatible by numerous authors. Some philosophic and psychological teachings found in Buddhism share points in common with modern Western scientific and philosophic thought. For example, Buddhism encourages the impartial investigation of nature (an activity referred to as Dhamma-Vicaya in the Pali Canon)—the principal object of study being oneself. Buddhism and science both show a strong emphasis on causality. However, Buddhism does not focus on materialism. Tenzin Gyatso, the 14th Dalai Lama, mentions that empirical scientific evidence supersedes the traditional teachings of Buddhism when the two are in conflict. In his book The Universe in a Single Atom he wrote, "My confidence in venturing into science lies in my basic belief that as in science, so in Buddhism, understanding the nature of reality is pursued by means of critical investigation." He also stated, "If scientific analysis were conclusively to demonstrate certain claims in Buddhism to be false," he says, "then we must accept the findings of science and abandon those claims." Christianity Among early Christian teachers, Tertullian (c. 160–220) held a generally negative opinion of Greek philosophy, while Origen (c. 185–254) regarded it much more favorably and required his students to read nearly every work available to them. Earlier attempts at reconciliation of Christianity with Newtonian mechanics appear quite different from later attempts at reconciliation with the newer scientific ideas of evolution or relativity. Many early
(Buddy DeSylva, Lew Brown, and Ray Henderson). They then proceeded to other forms of music (such as Mozart's Jupiter Symphony), critiquing them the same way. Babbitt and Sondheim, fascinated by mathematics, studied songs by a variety of composers (especially Jerome Kern). Sondheim told Secrest that Kern had the ability "to develop a single motif through tiny variations into a long and never boring line and his maximum development of the minimum of material". He said about Babbitt, "I am his maverick, his one student who went into the popular arts with all his serious artillery". At Williams, Sondheim wrote a musical adaption of Beggar on Horseback (a 1924 play by George S. Kaufman and Marc Connelly, with permission from Kaufman) which had three performances. A member of the Beta Theta Pi fraternity, he graduated magna cum laude in 1950. "A few painful years of struggle" followed, when Sondheim auditioned songs, lived in his father's dining room to save money, and spent time in Hollywood writing for the television series Topper. He devoured 1940s and 1950s films, and called cinema his "basic language"; his film knowledge got him through The $64,000 Question contestant tryouts. Sondheim disliked movie musicals, favoring classic dramas such as Citizen Kane, The Grapes of Wrath, and A Matter of Life and Death: "Studio directors like Michael Curtiz and Raoul Walsh ... were heroes of mine. They went from movie to movie to movie, and every third movie was good and every fifth movie was great. There wasn't any cultural pressure to make art". At age 22, Sondheim had finished the four shows requested by Hammerstein. Screenwriters Julius and Philip Epstein's Front Porch in Flatbush, unproduced at the time, was being shopped around by designer and producer Lemuel Ayers. Ayers approached Frank Loesser and another composer who both turned him down. Ayers and Sondheim met as ushers at a wedding, and Ayers commissioned Sondheim for three songs for the show; Julius Epstein flew in from California and hired Sondheim, who worked with him in California for four or five months. After eight auditions for backers, half the money needed was raised. The show, retitled Saturday Night, was intended to open during the 1954–55 Broadway season; however, Ayers died of leukemia in his early forties. The production rights transferred to his widow, Shirley, and due to her inexperience the show did not continue as planned; it opened off-Broadway in 2000. Sondheim later said, "I don't have any emotional reaction to Saturday Night at all – except fondness. It's not bad stuff for a 23-year-old. There are some things that embarrass me so much in the lyrics – the missed accents, the obvious jokes. But I decided, leave it. It's my baby pictures. You don't touch up a baby picture – you're a baby!" Career 1954–1959: Early Broadway success Burt Shevelove invited Sondheim to a party where Sondheim arrived before him but knew no one else well. He saw a familiar face, Arthur Laurents, who had seen one of the auditions of Saturday Night, and they began talking. Laurents told him he was working on a musical version of Romeo and Juliet with Leonard Bernstein, but they needed a lyricist; Betty Comden and Adolph Green, who were supposed to write the lyrics, were under contract in Hollywood. He said that although he was not a big fan of Sondheim's music, he enjoyed the lyrics from Saturday Night and he could audition for Bernstein. The following day, Sondheim met and played for Bernstein, who said he would let him know. Sondheim wanted to write music and lyrics; he consulted with Hammerstein, who said, as Sondheim related in a 2008 New York Times video interview, "Look, you have a chance to work with very gifted professionals on a show that sounds interesting, and you could always write your own music eventually. My advice would be to take the job." West Side Story, directed by Jerome Robbins, opened in 1957 and ran for 732 performances. Sondheim expressed dissatisfaction with his lyrics, saying that they did not always fit the characters and were sometimes too consciously poetic. Initially Bernstein was also credited as a co-writer of the lyrics; later, however, Bernstein offered Sondheim solo credit, as Sondheim had essentially done all of them. The New York Times review of the show never even mentioned the lyrics. Sondheim described the division of the royalties, saying that Bernstein received three percent and he received one percent. Bernstein suggested evening the percentage at two percent each, but Sondheim refused because he was satisfied just getting the credit. Sondheim later said he wished "someone stuffed a handkerchief in my mouth because it would have been nice to get that extra percentage". After West Side Story opened, Shevelove lamented the lack of "low-brow comedy" on Broadway and mentioned a possible musical based on Plautus' Roman comedies. When Sondheim was interested in the idea he called a friend, Larry Gelbart, to co-write the script. The show went through a number of drafts, and was interrupted briefly by Sondheim's next project. In 1959, Sondheim was approached by Laurents and Robbins for a musical version of Gypsy Rose Lee's memoir after Irving Berlin and Cole Porter turned it down. Sondheim agreed, but Ethel Merman – cast as Mama Rose – had just finished Happy Hunting with an unknown composer (Harold Karr) and lyricist (Matt Dubey). Although Sondheim wanted to write the music and lyrics, Merman refused to let another first-time composer write for her and demanded that Jule Styne write the music. Sondheim, concerned that writing lyrics again would pigeonhole him as a lyricist, called his mentor for advice. Hammerstein told him he should take the job, because writing a vehicle for a star would be a good learning experience. Sondheim agreed; Gypsy opened on May 21, 1959, and ran for 702 performances. 1962–1966: Music and lyrics The first musical for which Sondheim wrote the music and lyrics was A Funny Thing Happened on the Way to the Forum, which opened in 1962 and ran for 964 performances. The book, based on farces by Plautus, was written by Burt Shevelove and Larry Gelbart. The show won six Tony Awards (including Best Musical) and ran for 964 performances, the longest Broadway run of any show for which Sondheim wrote both music and lyrics. Sondheim had participated in three straight hits, but his next show – 1964's Anyone Can Whistle – was a nine-performance bomb (although it introduced Angela Lansbury to musical theater). Do I Hear a Waltz?, based on Arthur Laurents' 1952 play The Time of the Cuckoo, was intended as another Rodgers and Hammerstein musical with Mary Martin in the lead. A new lyricist was needed, and Laurents and Rodgers' daughter, Mary, asked Sondheim to fill in. Although Richard Rodgers and Sondheim agreed that the original play did not lend itself to musicalization, they began writing the musical version. The project had many problems, Rodgers' alcoholism among them; Sondheim, calling it the one project he regretted, then decided to work only when he could write both music and lyrics. He asked author and playwright James Goldman to join him as bookwriter for a new musical. Inspired by a New York Times article about a gathering of former Ziegfeld Follies showgirls, it was entitled The Girls Upstairs (and would later become Follies). In 1966, Sondheim semi-anonymously provided lyrics for "The Boy From...", a parody of "The Girl from Ipanema" in the off-Broadway revue The Mad Show. The song was credited to "Esteban Río Nido", Spanish for "Stephen River Nest", and in the show's playbill the lyrics were credited to "Nom De Plume". That year Goldman and Sondheim hit a creative wall on The Girls Upstairs, and Goldman asked Sondheim about writing a TV musical. The result was Evening Primrose, with Anthony Perkins and Charmian Carr. Written for the anthology series ABC Stage 67 and produced by Hubbell Robinson, it was broadcast on November 16, 1966. According to Sondheim and director Paul Bogart, the musical was written only because Goldman needed money for rent. The network disliked the title and Sondheim's alternative, A Little Night Music. After Sondheim finished Evening Primrose, Jerome Robbins asked him to adapt Bertolt Brecht's The Measures Taken despite the composer's general dislike of Brecht's work. Robbins wanted to adapt another Brecht play, The Exception and the Rule, and asked John Guare to adapt the book. Leonard Bernstein had not written for the stage in some time, and his contract as conductor of the New York Philharmonic was ending. Sondheim was invited to Robbins' house in the hope that Guare would convince him to write the lyrics for a musical version of The Exception and the Rule; according to Robbins, Bernstein would not work without Sondheim. When Sondheim agreed, Guare asked: "Why haven't you all worked together since West Side Story?" Sondheim answered, "You'll see". Guare said that working with Sondheim was like being with an old college roommate, and he depended on him to "decode and decipher their crazy way of working"; Bernstein worked only after midnight, and Robbins only in the early morning. Bernstein's score, which was supposed to be light, was influenced by his need to make a musical statement. Stuart Ostrow, who worked with Sondheim on The Girls Upstairs, agreed to produce the musical (now entitled A Pray By Blecht and, later, The Race to Urga). An opening night was scheduled, but during auditions Robbins asked to be excused for a moment. When he did not return, a doorman said he had gotten into a limousine to go to John F. Kennedy International Airport. Bernstein burst into tears and said, "It's over". Sondheim later said of this experience: "I was ashamed of the whole project. It was arch and didactic in the worst way." He wrote one-and-a-half songs and threw them away, the only time he has ever done that. Eighteen years later, Sondheim refused Bernstein and Robbins' request to retry the show. Sondheim lived in a Turtle Bay, Manhattan brownstone from his writing of Gypsy in 1959. Ten years later, while he was playing music he heard a knock on the door. His neighbor, Katharine Hepburn, was in "bare feet – this angry, red-faced lady" and told him "You have been keeping me awake all night!" (she was practicing for her musical debut in Coco). "I remember asking Hepburn why she didn't just call me, but she claimed not to have my phone number. My guess is that she wanted to stand there in her bare feet, suffering for her art". 1970–1981: Collaborations with Hal Prince After Do I Hear a Waltz?, Sondheim devoted himself solely to writing both music and lyrics for the theater – and in 1970, he began a collaboration with director Harold Prince that would result in a body of work that is considered one of the high water marks of musical theater history, with critic Howard Kissel writing that the duo had set "Broadway's highest standards". Their first show with Prince as director was the 1970 concept musical Company. A show about a single man and his married friends, Company (with a book by George Furth) lacked a straightforward plot, and was instead centered around themes such as marriage and the difficulty of making an emotional connection with another person. It opened on April 26, 1970, at the Alvin Theatre, where it ran for 705 performances after seven previews, and won Tony Awards for Best Musical, Best Music, and Best Lyrics. Company was revived on Broadway in 1995 and 2006, then in an updated version (with a gender-swapped protagonist) in 2021. Follies (1971), with a book by James Goldman, opened on April 4, 1971, at the Winter Garden Theatre and ran for 522 performances after 12 previews. The plot centers on a reunion, in a crumbling Broadway theater scheduled for demolition, of performers in Weismann's Follies (a musical revue, based on the Ziegfeld Follies, which played in that theater between the world wars). The production also featured choreography and co-direction by Michael Bennett, who went on to create A Chorus Line (1975). The show was revived on Broadway in 2001 and 2011. A Little Night Music (1973), with a more traditional plot based on Ingmar Bergman's Smiles of a Summer Night and a score primarily in waltz time, was one of the composer's greatest commercial successes. Time magazine called it "Sondheim's most brilliant accomplishment to date". "Send in the Clowns", a song from the musical, was a hit for Judy Collins and became Sondheim's best-known song. The show opened on Broadway at the Shubert Theatre on February 25, 1973, and ran for 601 performances and 12 previews. It was revived on Broadway in 2009. Pacific Overtures (1976), with a book by John Weidman, explored the westernization of Japan, and was originally presented in a mock-Kabuki style. The show closed after a run of 193 performances, and was revived on Broadway in 2004. Sweeney Todd: The Demon Barber of Fleet Street (1979), with a score by Sondheim and a book by Hugh Wheeler, is based on Christopher Bond's 1973 stage version of the Victorian original. Merrily We Roll Along (1981), with a book by George Furth, is one of Sondheim's more traditional scores; Frank Sinatra and Carly Simon have recorded songs from the musical. According to Sondheim's music director, Paul Gemignani, "Part of Steve's ability is this extraordinary versatility". However, the show was not the success their previous collaborations had been: after a chaotic series of preview performances, the show opened to widely negative reviews, and closed after a run of less than two weeks. Due to the high quality of Sondheim's score, however, the show has been repeatedly revised and produced in the ensuing years. Martin Gottfried wrote, "Sondheim had set out to write traditional songs ... But [despite] that there is nothing ordinary about the music." Sondheim later said: "Did I feel betrayed? I'm not sure I would put it like that. What did surprise me was the feeling around the Broadway community – if you can call it that, though I guess I will for lack of a better word – that they wanted Hal and me to fail." An acclaimed feature documentary on the show and its aftermath, Best Worst Thing That Ever Could Have Happened, directed by Merrily cast member Lonny Price, and produced by Bruce David Klein, Kitt Lavoie, and Ted Schillinger premiered at the New York Film Festival on November 18, 2016. A film adaptation of Merrily We Roll Along, directed by Richard Linklater, began production in 2019 and is expected to continue periodically over the following two decades, to allow the actors to age in real time. 1984–1994: Collaborations with James Lapine Merrilys failure greatly affected Sondheim; he was ready to quit theater and do movies, create video games or write mysteries: "I wanted to find something to satisfy myself that does not involve Broadway and dealing with all those people who hate me and hate Hal." Following Merrily, Sondheim and Prince did not collaborate again until their 2003 production of Bounce. However, Sondheim decided "that there are better places to start a show" and found a new collaborator in James Lapine after he saw Lapine's Twelve Dreams off-Broadway in 1981: "I was discouraged, and I don't know what would have happened if I hadn't discovered Twelve Dreams at the Public Theatre"; Lapine has a taste "for the avant-garde and for visually-oriented theatre in particular". Their first collaboration was Sunday in the Park with George (1984), with Sondheim's music evoking Georges Seurat's pointillism. Sondheim and Lapine won the 1985 Pulitzer Prize for Drama for the play, and it was revived on Broadway in 2008, and again in a limited run in 2017. They collaborated on Into the Woods (1987), a musical based on several Brothers Grimm fairy tales. Although Sondheim has been called the first composer to bring rap music to Broadway (with the Witch in the opening number of "Into the Woods"), he attributed the first rap in theater to Meredith Willson's "Rock Island" from The Music Man (1957). Into the Woods was revived on Broadway in 2002. Sondheim and Lapine's last collaboration on a musical was the rhapsodic Passion (1994), adapted from Ettore Scola's Italian film Passione D'Amore. With a run of 280 performances, Passion was the shortest-running show to win a Tony Award for Best Musical. In 2013, Lapine directed the HBO feature-length documentary Six by Sondheim, which he executive produced with former New York Times theater critic Frank Rich, an old friend and longtime champion of Sondheim's work. Sondheim himself acts and sings in the documentary as Joe, the cynical theater producer in the song "Opening Doors". 1990–2021: Continued work Assassins opened off-Broadway at Playwrights Horizons on December 18, 1990, with a book by John Weidman. The show explored, in revue form, a group of historical figures who tried (either with success or without) to assassinate the President of the United States. The musical closed on February 16, 1991, after 73 performances. The Los Angeles Times reported the show "has been sold out since previews began, reflecting the strong appeal of Sondheim's work among the theater crowd." Frank Rich in his review for The New York Times wrote that "Assassins will have to fire with sharper aim and fewer blanks if it is to shoot to kill." Assassins eventually had a Broadway run in 2004. Saturday Night was shelved until its 1997 production at London's Bridewell Theatre. The following year, its score was recorded; a revised version, with two new songs, ran off-Broadway at Second Stage Theatre in 2000 and at London's Jermyn Street Theatre in 2009. During the late 1990s, Sondheim and Weidman reunited for Wise Guys, a musical comedy based on the lives of colorful businessmen Addison and Wilson Mizner. A Broadway production, starring Nathan Lane and Victor Garber, directed by Sam Mendes and planned for the spring of 2000, was delayed. Renamed Bounce in 2003, it was produced at the Goodman Theatre in Chicago and the Kennedy Center in Washington, D.C., in a production directed by Harold Prince, his first collaboration with Sondheim since 1981. Although after poor reviews Bounce never reached Broadway, a revised version opened off-Broadway as Road Show at the Public Theater on October 28, 2008. Directed by John Doyle, it closed December 28, 2008. The production won the 2009 Obie Award for Music and Lyrics, and the Drama Desk Award for Outstanding Lyrics. Asked about writing new work, Sondheim replied in 2006: "No ... It's age. It's a diminution of energy and the worry that there are no new ideas. It's also an increasing lack of confidence. I'm not the only one. I've checked with other people. People expect more of you and you're aware of it and you shouldn't be." In December 2007 he said that in addition to continuing work on Bounce, he was "nibbling at a couple of things with John Weidman and James Lapine". Lapine created a multimedia production, originally entitled Sondheim: a Musical Revue, which was scheduled to open in April 2009 at the Alliance Theatre in Atlanta; however, it was canceled due to "difficulties encountered by the commercial producers attached to the project ... in raising the necessary funds". A revised version, Sondheim on Sondheim, was produced at Studio 54 by the Roundabout Theatre Company; previews began on March 19, 2010, and it ran from April 22 to June 13. The revue's cast included Barbara Cook, Vanessa L. Williams, Tom Wopat, Norm Lewis, and Leslie Kritzer. Sondheim collaborated with Wynton Marsalis on A Bed and a Chair: A New York Love Affair, an Encores! concert on November 13–17, 2013 at New York City Center. Directed by John Doyle with choreography by Parker Esse, it consisted of "more than two dozen Sondheim compositions, each piece newly re-imagined by Marsalis". The concert featured Bernadette Peters, Jeremy Jordan, Norm Lewis, Cyrille Aimée, four dancers and the Jazz at Lincoln Center Orchestra conducted by David Loud. In Playbill, Steven Suskin described the concert as "neither a new musical, a revival, nor a standard songbook revue; it is, rather, a staged-and-sung chamber jazz rendition of a string of songs ... Half of the songs come from Company and Follies; most of the other Sondheim musicals are represented, including the lesser-known Passion and Road Show". For the 2014 film adaptation of Into the Woods, Sondheim wrote the new song "She'll Be Back", sung by The Witch, which was eventually cut from the film. In February 2012, it was announced that Sondheim would collaborate on a new musical with David Ives, and he had "about 20–30 minutes of the musical completed". The show, tentatively called All Together Now, was assumed to follow the format of Merrily We Roll Along. Sondheim described the project as "two people and what goes into their relationship ... We'll write for a couple of months, then have a workshop. It seemed experimental and fresh 20 years ago. I have a feeling it may not be experimental and fresh any more". On October 11, 2014, it was confirmed the Sondheim and Ives musical would be based on two Luis Buñuel films (The Exterminating Angel and The Discreet Charm of the Bourgeoisie) and would reportedly open (in previews) at the Public Theater in 2017. In August 2016, a reading for the musical was held at the Public Theater, and it was reported that only the first act was finished, which cast doubt on the speculated 2017 start of previews. There was a workshop in November 2016, with the participation of Matthew Morrison, Shuler Hensley, Heidi Blickenstaff, Sierra Boggess, Gabriel Ebert, Sarah Stiles, Michael Cerveris, and Jennifer Simard. The working title was reported to be Buñuel by the New York Post and other outlets, but Sondheim later clarified that they still had no title. In June 2019, the Public Theatre denied reports that it would be part of its 2019–2020 season, as it was still in development, but would be produced "when it is ready". On April 27, 2021, it was reported that the musical was no longer in development. While appearing on The Late Show with Stephen Colbert on September 15, 2021, Sondheim announced he was working on a new musical called Square One in collaboration with Ives. The same day, Nathan Lane revealed that he and Bernadette Peters were involved in a reading of this new work. In Sondheim's final interview given before his death, he confirmed that Square One was adapted from the Buñuel films. Other projects Conversations with Frank Rich and others The Kennedy Center staged a 15-week repertory festival of six Sondheim musicals—Sweeney Todd, Company, Sunday in the Park with George, Merrily We Roll Along, Passion, and A Little Night Music—from May to August 2002. The Kennedy Center Sondheim Celebration also included Pacific Overtures, a junior version of Into the Woods, and Frank Rich of The New York Times speaking with the composer for Sondheim on Sondheim on April 28, 2002. The two subsequently took their discussion, dubbed "A Little Night Conversation with Stephen Sondheim", on a West Coast tour of different U.S. cities including Santa Barbara, San Francisco, Los Angeles, and Portland, Oregon in March 2008, then to Oberlin College in September. The Cleveland Jewish News reported on their Oberlin appearance: "Sondheim said: 'Movies are photographs; the stage is larger than life.' What musicals does Sondheim admire the most? Porgy and Bess tops a list which includes Carousel, She Loves Me, and The Wiz, which he saw six times. Sondheim took a dim view of today's musicals. What works now, he said, are musicals that are easy to take; audiences don't want to be challenged". Sondheim and Rich had additional conversations: January 18, 2009, at Avery Fisher Hall; February 2 at the Landmark Theatre in Richmond, Virginia; February 21 at the Kimmel Center in Philadelphia; and April 20 at the University of Akron in Ohio. The conversations were reprised at Tufts and Brown University in February 2010, at the University of Tulsa in April, and at Lafayette College in March 2011. Sondheim had another "conversation with" Sean Patrick Flahaven (associate editor of The Sondheim Review) at the Kravis Center in West Palm Beach on February 4, 2009, in which he discussed many of his songs and shows: "On the perennial struggles of Broadway: 'I don't see any solution for Broadway's problems except subsidized theatre, as in most civilized countries of the world.'" On February 1, 2011, Sondheim joined former Salt Lake Tribune theater critic Nancy Melich before an audience of 1,200 at Kingsbury Hall. Melich described the evening: He was visibly taken by the university choir, who sang two songs during the evening, "Children Will Listen" and "Sunday", and then returned to reprise "Sunday". During that final moment, Sondheim and I were standing, facing the choir of students from the University of Utah's opera program, our backs to the audience, and I could see tears welling in his eyes as the voices rang out. Then, all of a sudden, he raised his arms and began conducting, urging the student singers to go full out, which they did, the crescendo building, their eyes locked with his, until the final "on an ordinary Sunday" was sung. It was thrilling, and a perfect conclusion to a remarkable evening – nothing ordinary about it. On March 13, 2008, A Salon With Stephen Sondheim (which sold out in three minutes) was hosted by the Academy for New Musical Theatre in Hollywood. Work away from Broadway Sondheim was an avid fan of puzzles and games. He is credited with introducing cryptic crosswords, a British invention, to American audiences through a series of cryptic crossword puzzles he created for New York magazine in 1968 and 1969. In 1987 Time called his love of puzzlemaking "legendary in theater circles", adding that the central character of Anthony Shaffer's play Sleuth was inspired by the composer. According to a rumor (denied by Shaffer in a March 10, 1996 New York Times interview), Sleuth had the working title Who's Afraid of Stephen Sondheim? Sondheim's love of puzzles and mysteries is evident in The Last of Sheila, an intricate whodunit written with longtime friend Anthony Perkins. The 1973 film, directed by Herbert Ross, featured Dyan Cannon, Joan Hackett, Raquel Welch, James Mason, James Coburn, Ian McShane, and Richard Benjamin. Sondheim also composed music for the screen, notably for Warren Beatty's 1990 film Dick Tracy, which included the song "Sooner or Later (I Always Get My Man)" that earned Sondheim an Oscar. Sondheim collaborated with Company librettist George Furth to write the play Getting Away with Murder in 1996, though the Broadway production closed after 31 previews and only 17 performances. In 2003, he was invited to serve as guest curator for the Telluride Film Festival. Mentoring After he was mentored by Oscar Hammerstein II Sondheim returned the favor, saying that he loved "passing on what Oscar passed on to me". In an interview with Sondheim for The Legacy Project, composer-lyricist Adam Guettel (son of Mary Rodgers and grandson of Richard Rodgers) recalled how as a 14-year-old boy he showed Sondheim his work. Guettel was "crestfallen" since he had come in "sort of all puffed up thinking [he] would be rained with compliments and things", which was not the case since Sondheim had some "very direct things to say". Later, Sondheim wrote and apologized to Guettel for being "not very encouraging" when he was actually trying to be "constructive". Sondheim also mentored a fledgling Jonathan Larson, attending Larson's workshop for his Superbia (a musical loosely based on Nineteen Eighty-Four). In Larson's musical Tick, Tick... Boom!, the phone message is played in which Sondheim apologizes for leaving early, says he wants to meet him and is impressed with his work. After Larson's death, Sondheim called him one of the few composers "attempting to blend contemporary pop music with theater music, which doesn't work very well; he was on his way to finding a real synthesis. A good deal of pop music has interesting lyrics, but they are not theater lyrics". A musical-theatre composer "must have a
show closed after a run of 193 performances, and was revived on Broadway in 2004. Sweeney Todd: The Demon Barber of Fleet Street (1979), with a score by Sondheim and a book by Hugh Wheeler, is based on Christopher Bond's 1973 stage version of the Victorian original. Merrily We Roll Along (1981), with a book by George Furth, is one of Sondheim's more traditional scores; Frank Sinatra and Carly Simon have recorded songs from the musical. According to Sondheim's music director, Paul Gemignani, "Part of Steve's ability is this extraordinary versatility". However, the show was not the success their previous collaborations had been: after a chaotic series of preview performances, the show opened to widely negative reviews, and closed after a run of less than two weeks. Due to the high quality of Sondheim's score, however, the show has been repeatedly revised and produced in the ensuing years. Martin Gottfried wrote, "Sondheim had set out to write traditional songs ... But [despite] that there is nothing ordinary about the music." Sondheim later said: "Did I feel betrayed? I'm not sure I would put it like that. What did surprise me was the feeling around the Broadway community – if you can call it that, though I guess I will for lack of a better word – that they wanted Hal and me to fail." An acclaimed feature documentary on the show and its aftermath, Best Worst Thing That Ever Could Have Happened, directed by Merrily cast member Lonny Price, and produced by Bruce David Klein, Kitt Lavoie, and Ted Schillinger premiered at the New York Film Festival on November 18, 2016. A film adaptation of Merrily We Roll Along, directed by Richard Linklater, began production in 2019 and is expected to continue periodically over the following two decades, to allow the actors to age in real time. 1984–1994: Collaborations with James Lapine Merrilys failure greatly affected Sondheim; he was ready to quit theater and do movies, create video games or write mysteries: "I wanted to find something to satisfy myself that does not involve Broadway and dealing with all those people who hate me and hate Hal." Following Merrily, Sondheim and Prince did not collaborate again until their 2003 production of Bounce. However, Sondheim decided "that there are better places to start a show" and found a new collaborator in James Lapine after he saw Lapine's Twelve Dreams off-Broadway in 1981: "I was discouraged, and I don't know what would have happened if I hadn't discovered Twelve Dreams at the Public Theatre"; Lapine has a taste "for the avant-garde and for visually-oriented theatre in particular". Their first collaboration was Sunday in the Park with George (1984), with Sondheim's music evoking Georges Seurat's pointillism. Sondheim and Lapine won the 1985 Pulitzer Prize for Drama for the play, and it was revived on Broadway in 2008, and again in a limited run in 2017. They collaborated on Into the Woods (1987), a musical based on several Brothers Grimm fairy tales. Although Sondheim has been called the first composer to bring rap music to Broadway (with the Witch in the opening number of "Into the Woods"), he attributed the first rap in theater to Meredith Willson's "Rock Island" from The Music Man (1957). Into the Woods was revived on Broadway in 2002. Sondheim and Lapine's last collaboration on a musical was the rhapsodic Passion (1994), adapted from Ettore Scola's Italian film Passione D'Amore. With a run of 280 performances, Passion was the shortest-running show to win a Tony Award for Best Musical. In 2013, Lapine directed the HBO feature-length documentary Six by Sondheim, which he executive produced with former New York Times theater critic Frank Rich, an old friend and longtime champion of Sondheim's work. Sondheim himself acts and sings in the documentary as Joe, the cynical theater producer in the song "Opening Doors". 1990–2021: Continued work Assassins opened off-Broadway at Playwrights Horizons on December 18, 1990, with a book by John Weidman. The show explored, in revue form, a group of historical figures who tried (either with success or without) to assassinate the President of the United States. The musical closed on February 16, 1991, after 73 performances. The Los Angeles Times reported the show "has been sold out since previews began, reflecting the strong appeal of Sondheim's work among the theater crowd." Frank Rich in his review for The New York Times wrote that "Assassins will have to fire with sharper aim and fewer blanks if it is to shoot to kill." Assassins eventually had a Broadway run in 2004. Saturday Night was shelved until its 1997 production at London's Bridewell Theatre. The following year, its score was recorded; a revised version, with two new songs, ran off-Broadway at Second Stage Theatre in 2000 and at London's Jermyn Street Theatre in 2009. During the late 1990s, Sondheim and Weidman reunited for Wise Guys, a musical comedy based on the lives of colorful businessmen Addison and Wilson Mizner. A Broadway production, starring Nathan Lane and Victor Garber, directed by Sam Mendes and planned for the spring of 2000, was delayed. Renamed Bounce in 2003, it was produced at the Goodman Theatre in Chicago and the Kennedy Center in Washington, D.C., in a production directed by Harold Prince, his first collaboration with Sondheim since 1981. Although after poor reviews Bounce never reached Broadway, a revised version opened off-Broadway as Road Show at the Public Theater on October 28, 2008. Directed by John Doyle, it closed December 28, 2008. The production won the 2009 Obie Award for Music and Lyrics, and the Drama Desk Award for Outstanding Lyrics. Asked about writing new work, Sondheim replied in 2006: "No ... It's age. It's a diminution of energy and the worry that there are no new ideas. It's also an increasing lack of confidence. I'm not the only one. I've checked with other people. People expect more of you and you're aware of it and you shouldn't be." In December 2007 he said that in addition to continuing work on Bounce, he was "nibbling at a couple of things with John Weidman and James Lapine". Lapine created a multimedia production, originally entitled Sondheim: a Musical Revue, which was scheduled to open in April 2009 at the Alliance Theatre in Atlanta; however, it was canceled due to "difficulties encountered by the commercial producers attached to the project ... in raising the necessary funds". A revised version, Sondheim on Sondheim, was produced at Studio 54 by the Roundabout Theatre Company; previews began on March 19, 2010, and it ran from April 22 to June 13. The revue's cast included Barbara Cook, Vanessa L. Williams, Tom Wopat, Norm Lewis, and Leslie Kritzer. Sondheim collaborated with Wynton Marsalis on A Bed and a Chair: A New York Love Affair, an Encores! concert on November 13–17, 2013 at New York City Center. Directed by John Doyle with choreography by Parker Esse, it consisted of "more than two dozen Sondheim compositions, each piece newly re-imagined by Marsalis". The concert featured Bernadette Peters, Jeremy Jordan, Norm Lewis, Cyrille Aimée, four dancers and the Jazz at Lincoln Center Orchestra conducted by David Loud. In Playbill, Steven Suskin described the concert as "neither a new musical, a revival, nor a standard songbook revue; it is, rather, a staged-and-sung chamber jazz rendition of a string of songs ... Half of the songs come from Company and Follies; most of the other Sondheim musicals are represented, including the lesser-known Passion and Road Show". For the 2014 film adaptation of Into the Woods, Sondheim wrote the new song "She'll Be Back", sung by The Witch, which was eventually cut from the film. In February 2012, it was announced that Sondheim would collaborate on a new musical with David Ives, and he had "about 20–30 minutes of the musical completed". The show, tentatively called All Together Now, was assumed to follow the format of Merrily We Roll Along. Sondheim described the project as "two people and what goes into their relationship ... We'll write for a couple of months, then have a workshop. It seemed experimental and fresh 20 years ago. I have a feeling it may not be experimental and fresh any more". On October 11, 2014, it was confirmed the Sondheim and Ives musical would be based on two Luis Buñuel films (The Exterminating Angel and The Discreet Charm of the Bourgeoisie) and would reportedly open (in previews) at the Public Theater in 2017. In August 2016, a reading for the musical was held at the Public Theater, and it was reported that only the first act was finished, which cast doubt on the speculated 2017 start of previews. There was a workshop in November 2016, with the participation of Matthew Morrison, Shuler Hensley, Heidi Blickenstaff, Sierra Boggess, Gabriel Ebert, Sarah Stiles, Michael Cerveris, and Jennifer Simard. The working title was reported to be Buñuel by the New York Post and other outlets, but Sondheim later clarified that they still had no title. In June 2019, the Public Theatre denied reports that it would be part of its 2019–2020 season, as it was still in development, but would be produced "when it is ready". On April 27, 2021, it was reported that the musical was no longer in development. While appearing on The Late Show with Stephen Colbert on September 15, 2021, Sondheim announced he was working on a new musical called Square One in collaboration with Ives. The same day, Nathan Lane revealed that he and Bernadette Peters were involved in a reading of this new work. In Sondheim's final interview given before his death, he confirmed that Square One was adapted from the Buñuel films. Other projects Conversations with Frank Rich and others The Kennedy Center staged a 15-week repertory festival of six Sondheim musicals—Sweeney Todd, Company, Sunday in the Park with George, Merrily We Roll Along, Passion, and A Little Night Music—from May to August 2002. The Kennedy Center Sondheim Celebration also included Pacific Overtures, a junior version of Into the Woods, and Frank Rich of The New York Times speaking with the composer for Sondheim on Sondheim on April 28, 2002. The two subsequently took their discussion, dubbed "A Little Night Conversation with Stephen Sondheim", on a West Coast tour of different U.S. cities including Santa Barbara, San Francisco, Los Angeles, and Portland, Oregon in March 2008, then to Oberlin College in September. The Cleveland Jewish News reported on their Oberlin appearance: "Sondheim said: 'Movies are photographs; the stage is larger than life.' What musicals does Sondheim admire the most? Porgy and Bess tops a list which includes Carousel, She Loves Me, and The Wiz, which he saw six times. Sondheim took a dim view of today's musicals. What works now, he said, are musicals that are easy to take; audiences don't want to be challenged". Sondheim and Rich had additional conversations: January 18, 2009, at Avery Fisher Hall; February 2 at the Landmark Theatre in Richmond, Virginia; February 21 at the Kimmel Center in Philadelphia; and April 20 at the University of Akron in Ohio. The conversations were reprised at Tufts and Brown University in February 2010, at the University of Tulsa in April, and at Lafayette College in March 2011. Sondheim had another "conversation with" Sean Patrick Flahaven (associate editor of The Sondheim Review) at the Kravis Center in West Palm Beach on February 4, 2009, in which he discussed many of his songs and shows: "On the perennial struggles of Broadway: 'I don't see any solution for Broadway's problems except subsidized theatre, as in most civilized countries of the world.'" On February 1, 2011, Sondheim joined former Salt Lake Tribune theater critic Nancy Melich before an audience of 1,200 at Kingsbury Hall. Melich described the evening: He was visibly taken by the university choir, who sang two songs during the evening, "Children Will Listen" and "Sunday", and then returned to reprise "Sunday". During that final moment, Sondheim and I were standing, facing the choir of students from the University of Utah's opera program, our backs to the audience, and I could see tears welling in his eyes as the voices rang out. Then, all of a sudden, he raised his arms and began conducting, urging the student singers to go full out, which they did, the crescendo building, their eyes locked with his, until the final "on an ordinary Sunday" was sung. It was thrilling, and a perfect conclusion to a remarkable evening – nothing ordinary about it. On March 13, 2008, A Salon With Stephen Sondheim (which sold out in three minutes) was hosted by the Academy for New Musical Theatre in Hollywood. Work away from Broadway Sondheim was an avid fan of puzzles and games. He is credited with introducing cryptic crosswords, a British invention, to American audiences through a series of cryptic crossword puzzles he created for New York magazine in 1968 and 1969. In 1987 Time called his love of puzzlemaking "legendary in theater circles", adding that the central character of Anthony Shaffer's play Sleuth was inspired by the composer. According to a rumor (denied by Shaffer in a March 10, 1996 New York Times interview), Sleuth had the working title Who's Afraid of Stephen Sondheim? Sondheim's love of puzzles and mysteries is evident in The Last of Sheila, an intricate whodunit written with longtime friend Anthony Perkins. The 1973 film, directed by Herbert Ross, featured Dyan Cannon, Joan Hackett, Raquel Welch, James Mason, James Coburn, Ian McShane, and Richard Benjamin. Sondheim also composed music for the screen, notably for Warren Beatty's 1990 film Dick Tracy, which included the song "Sooner or Later (I Always Get My Man)" that earned Sondheim an Oscar. Sondheim collaborated with Company librettist George Furth to write the play Getting Away with Murder in 1996, though the Broadway production closed after 31 previews and only 17 performances. In 2003, he was invited to serve as guest curator for the Telluride Film Festival. Mentoring After he was mentored by Oscar Hammerstein II Sondheim returned the favor, saying that he loved "passing on what Oscar passed on to me". In an interview with Sondheim for The Legacy Project, composer-lyricist Adam Guettel (son of Mary Rodgers and grandson of Richard Rodgers) recalled how as a 14-year-old boy he showed Sondheim his work. Guettel was "crestfallen" since he had come in "sort of all puffed up thinking [he] would be rained with compliments and things", which was not the case since Sondheim had some "very direct things to say". Later, Sondheim wrote and apologized to Guettel for being "not very encouraging" when he was actually trying to be "constructive". Sondheim also mentored a fledgling Jonathan Larson, attending Larson's workshop for his Superbia (a musical loosely based on Nineteen Eighty-Four). In Larson's musical Tick, Tick... Boom!, the phone message is played in which Sondheim apologizes for leaving early, says he wants to meet him and is impressed with his work. After Larson's death, Sondheim called him one of the few composers "attempting to blend contemporary pop music with theater music, which doesn't work very well; he was on his way to finding a real synthesis. A good deal of pop music has interesting lyrics, but they are not theater lyrics". A musical-theatre composer "must have a sense of what is theatrical, of how you use music to tell a story, as opposed to writing a song. Jonathan understood that instinctively." Around 2008, Sondheim approached Lin-Manuel Miranda to work with him translating West Side Story lyrics into Spanish for an upcoming Broadway revival. Miranda then approached Sondheim with his new project Hamilton, then called The Hamilton Mixtape, which Sondheim gave notes on. Sondheim was originally wary of the project saying he was "worried that an evening of rap might get monotonous". However, Sondheim believed Miranda's attention to, and respect for, good rhyming made it work. Sondheim provided a voice cameo for the 2021 film adaptation of Tick, Tick... Boom!, directed by Miranda, for the scene in which a fictionalized version of himself leaves a phone message. Sondheim worked on a revised text of the message and voiced it himself after Bradley Whitford, who portrays him, was unavailable to re-record the line. Dramatists Guild A supporter of writers' rights in the theater industry, Sondheim was an active member of the Dramatists Guild of America. In 1973, he was elected as the Guild's sixteenth president, and he continued his presidency of the non-profit organization until 1981. Unrealized projects According to Sondheim, he was asked to translate Mahagonny-Songspiel: "But, I'm not a Brecht/Weill fan and that's really all there is to it. I'm an apostate: I like Weill's music when he came to America better than I do his stuff before ... I love The Threepenny Opera but, outside of The Threepenny Opera, the music of his I like is the stuff he wrote in America – when he was not writing with Brecht, when he was writing for Broadway." He turned down an offer to musicalize Nathanael West's A Cool Million with James Lapine around 1982. Around 1960, Sondheim and Burt Shevelove considered making a musical of the film Sunset Boulevard, and had sketched out the opening scenes when they approached the film's director Billy Wilder at a cocktail party on the possibility. Wilder rejected the idea, believing the story was more suited to opera than musical theater. Sondheim agreed, and resisted a later offer from Hal Prince and Hugh Wheeler to create a musical version starring Angela Lansbury. This occurred several years before a musical version was produced by Andrew Lloyd Webber. Sondheim and Leonard Bernstein wrote The Race to Urga, scheduled for Lincoln Center in 1969, but when Jerome Robbins left the project it was not produced. After writing The Last of Sheila together, Sondheim and Anthony Perkins then went on to try to collaborate again two more times, but the projects were ultimately unrealized. In 1975, Tony Perkins said he and Sondheim were working on another script, The Chorus Girl Murder Case. "It's a sort of stew based on all those Bob Hope wartime comedies, plus a little Lady of Burlesque and a little Orson Welles magic show, all cooked into a Last of Sheila-type plot", said Perkins. He later said other inspirations were They Got Me Covered, The Ipcress File, and Cloak and Dagger. They had sold the synopsis in October 1974. At one point, Michael Bennett was to direct, with Tommy Tune to star. In November 1979, Sondheim said they had finished it. However, the film was never made. In the 1980s, Perkins and Sondheim collaborated on another project, the seven part Crime and Variations for Motown Productions. In October 1984 they had submitted a treatment to Motown. It was a 75-page treatment set in the New York socialite world about a crime puzzle – another writer was to write the script. It, too, was never made. In 1991, Sondheim worked with Terrence McNally on a musical, All Together Now. McNally said, "Steve was interested in telling the story of a relationship from the present back to the moment when the couple first met. We worked together a while, but we were both involved with so many other projects that this one fell through". The story follows Arden Scott, a 30-something female sculptor, and Daniel Nevin, a slightly-younger, sexually attractive restaurateur. Its script, with concept notes by McNally and Sondheim, is archived in the Harry Ransom Center at the University of Texas at Austin. Sondheim worked with William Goldman on Singing Out Loud, a musical film, in 1992, penning the song "Water Under the Bridge". According to the composer, Goldman wrote one or two drafts of the script and Sondheim wrote six-and-a-half songs when director Rob Reiner lost interest in the project. "Dawn" and "Sand", from the film, were recorded for the albums Sondheim at the Movies and Unsung Sondheim. In August 2003, Sondheim expressed interest in the idea of creating a musical adaptation of the 1993 comedy film Groundhog Day. However, in a 2008 live chat, he said that "to make a musical of Groundhog Day would be to gild the lily. It cannot be improved." The musical was later created and premiered in 2016 with music and lyrics by Tim Minchin and book by Danny Rubin (screenwriter of the film) with Sondheim's blessing. Nathan Lane mentioned that he once approached Sondheim on the possibility of creating a musical based on the film Being There with Lane starring as the central character of Chance. Sondheim declined on the basis that the central character is essentially a cipher, whom an audience would not accept expressing himself through song. Major works Published works Stephen Sondheim's Crossword Puzzles: From New York Magazine (1980) Finishing the Hat: Collected Lyrics (1954–1981) with Attendant Comments, Principles, Heresies, Grudges, Whines and Anecdotes (2010) Look, I Made a Hat: Collected Lyrics (1981–2011) with Attendant Comments, Amplifications, Dogmas, Harangues, Digressions, Anecdotes and Miscellany (2011) Honors and legacy Sondheim is recognized as one of the most important figures in 20th-century musical theatre, praised for having "reinvented the American musical" with shows that tackled "unexpected themes that range far beyond the [genre's] traditional subjects" with "music and lyrics of unprecedented complexity and sophistication". His shows addressed "darker, more harrowing elements of the human experience", with songs often tinged with "ambivalence towards love." Over Sondheim's prolific career in stage and film, he received an Academy Award, 8 Tony Awards, and 8 Grammy Awards. He also received the Pulitzer Prize for Drama for Sunday in the Park with George (1985, shared with James Lapine) and was honored with the Kennedy Center Honors, Lifetime Achievement (1993). He received the Hutchinson Prize for Music Composition (1950) and was elected to the American Academy of Arts and Letters (1983). He was also awarded the Golden Plate Award of the American Academy of Achievement presented by Awards Council member James Earl Jones (2005), the Algur H. Meadows Award from Southern Methodist University (1994), a Special Laurence Olivier Award (2011) "in recognition of his contribution to London theatre", and a Critics' Circle Theatre Award (March 2012), which according to drama section chair Mark Shenton "is effectively a lifetime achievement award." He became a member of the American Theater Hall of Fame (2014). In November 2015, Sondheim was awarded the Presidential Medal of Freedom by President Barack Obama in a ceremony at the White House. Sondheim founded Young Playwrights Inc. in 1981 to introduce young people to writing for the theater, and was the organization's executive vice-president. The Stephen Sondheim Center for the Performing Arts, at the Fairfield Arts and Convention Center in Fairfield, Iowa, opened in December 2007 with performances by Len Cariou, Liz Callaway, and Richard Kind (all of whom had participated in Sondheim musicals). The Stephen Sondheim Society was established in 1993 to provide information about his work, with its Sondheim – the Magazine provided to its membership. The society maintains a database, organizes productions, meetings, outings, and other events, and assists with publicity. Its annual Student Performer of the Year Competition awards a £1,000 prize to one of twelve musical-theatre students from UK drama schools and universities. At Sondheim's request, an additional prize is offered for a new song by a young composer. Judged by George Stiles and Anthony Drewe, each contestant performs a Sondheim song and a new song. Most episode titles of the television series Desperate Housewives refer to Sondheim's song titles or
the Basque Country was 45% when the Spanish overall turnover was 67.9%. The derived autonomous regime for the BAC was approved by Spanish Parliament and also by the Basque citizens in referendum. The autonomous statute of Navarre (Amejoramiento del Fuero: "improvement of the charter") was approved by the Spanish Parliament and, like the statutes of 13 out of 17 Spanish autonomous communities, it did not need a referendum to enter into force. Euskadi Ta Askatasuna or ETA (; pronounced ), was an armed Basque nationalist, separatist and terrorist organization that killed more than 800 people. Founded in 1959, it evolved from a group advocating traditional cultural ways to a paramilitary group with the goal of Basque independence. Its ideology was Marxist–Leninist. Biafra The Nigerian Civil War was fought between Biafran secessionists of the Republic of Biafra and the Nigerian central government. From 1999 to the present day, the indigenous people of Biafra have been agitating for independence to revive their country. They have registered a human rights organization known as Bilie Human Rights Initiative both in Nigeria and in the United Nations to advocate for their right to self-determination and achieve independence by the rule of law. Catalonia After the 2012 Catalan march for independence, in which between 600,000 and 1.5 million citizens marched, the President of Catalonia, Artur Mas, called for new parliamentary elections on 25 November 2012 to elect a new parliament that would exercise the right of self-determination for Catalonia, a right not recognised under the Spanish Cortes Generales. The Parliament of Catalonia voted to hold a vote in the next four-year legislature on the question of self-determination. The parliamentary decision was approved by a large majority of MPs: 84 voted for, 21 voted against, and 25 abstained. The Catalan Parliament applied to the Spanish Parliament for the power to call a referendum to be devolved, but this was turned down. In December 2013 the President of the Generalitat Artur Mas and the governing coalition agreed to set the referendum for self-determination on 9 November 2014, and legislation specifically saying that the consultation would not be a "referendum" was enacted, only to be blocked by the Spanish Constitutional Court, at the request of the Spanish government. Given the block, the Government turned it into a simple "consultation to the people" instead. The question in the consultation was "Do you want Catalonia to be a State?" and, if the answer to this question was yes, "Do you want this State to be an independent State?". However, as the consultation was not a formal referendum, these (printed) answers were just suggestions and other answers were also accepted and catalogued as "other answers" instead as null votes. The turnout in this consultation was about 2·3m people out of 6·2m people that were called to vote (this figure does not coincide with the census figure of 5·3m for two main reasons: first, because organisers had no access to an official census due to the non-binding character of the consultation, and second, because the legal voting age was set to 16 rather than 18). Due to the lack of an official census, potential voters were assigned to electoral tables according to home address and first family name. Participants had to sign up first with their full name and national ID in a voter registry before casting their ballot, which prevented participants from potentially casting multiple ballots. The overall result was 80·76% in favor of both questions, 11% in favor of the first question but not of the second questions, 4·54% against both; the rest were classified as "other answers". The voter turnout was around 37% (most people against the consultation did not go to vote). Four top members of Catalonia's political leadership were barred from public office for having defied the Constitutional court's last-minute ban. Almost three years later (1 October 2017), the Catalan government called a referendum for independence under legislation adopted in September 2017, despite this legislation had been suspended by the Constitutional Court for "violating fundamental rights of citizens", with the question "Do you want Catalonia to become an independent state in the form of a Republic?". On polling day, the Catalan regional police, which had been accused in the past of police brutality and impunity during the 15-M protests, prevented voting in over 500 polling stations without incidents. In some voting stations, the Catalan regional police did not intervene, while in other stations they directly confronted the Spanish CNP (National Police Corps) to allow voters to participate. The CNP confiscated ballot boxes and closed down 92, voting centres with violent truncheon charges. The opposition parties had called for non-participation. The turnout (according to the votes that were counted) was 2.3m out of 5.3m (43.03% of the census), and 90.18% of the ballots were in favour of independence. The turnout, ballot count and results were similar to those of the 2014 "consultation". Chechnya Under Dzhokhar Dudayev, Chechnya declared independence as the Chechen Republic of Ichkeria, using self-determination, Russia's history of bad treatment of Chechens, and a history of independence before invasion by Russia as main motives. Russia has restored control over Chechnya, but the separatist government functions still in exile, though it has been split into two entities: the Akhmed Zakayev-run secular Chechen Republic (based in Poland, the United Kingdom, and the United States), and the Islamic Caucasus Emirate. Eastern Ukraine There is an active secessionist movement based on the self-determination of the residents of the Donetsk and Luhansk regions of eastern Ukraine. However, many in the international community assert that referendums held there in 2014 regarding independence from Ukraine were illegitimate and undemocratic. Similarly, there are reports that presidential elections in May 2014 were prevented from taking place in the two regions after armed gunmen took control of polling stations, kidnapped election officials, and stole lists of electors, thus denying the population the chance to express their will in a free, fair, and internationally recognised election. There are also arguments that the de facto separation of Eastern Ukraine from the rest of the country is not an expression of self-determination, but rather a manipulation through pro-Soviet sentiment revival and an invasion by neighbouring Russia, with Ukrainian President Petro Poroshenko claiming in 2015 that up to 9,000 Russian soldiers were deployed in Ukraine. Falkland Islands Self-determination is referred to in the Falkland Islands Constitution and is a factor in the Falkland Islands sovereignty dispute. The population has existed for over nine generations, continuously for over 185 years. In the 2013 referendum organised by the Falkland Islands Government, 99.8% voted to remain British. As administering power, the British Government considers since the majority of inhabitants wish to remain British, transfer of sovereignty to Argentina would be counter to their right to self-determination. Argentina states the principle of self-determination is not applicable since the current inhabitants are not aboriginal and were brought to replace the Argentine population, which was expelled by an 'act of force', forcing the Argentinian inhabitants to directly leave the islands. This refers to the re-establishment of British rule in the year 1833 during which Argentina claims the existing population living in the islands was expelled. Argentina thus argues that, in the case of the Falkland Islands, the principle of territorial integrity should have precedence over self-determination. Historical records dispute Argentina's claims and whilst acknowledging the garrison was expelled note the existing civilian population remained at Port Louis and there was no attempt to settle the islands until 1841. Gibraltar The right to self-determination is referred to in the pre-amble of Chapter 1 of the Gibraltar constitution, and, since the United Kingdom also gave assurances that the right to self-determination of Gibraltarians would be respected in any transfer of sovereignty over the territory, is a factor in the dispute with Spain over the territory. The impact of the right to self-determination of Gibraltarians was seen in the 2002 Gibraltar sovereignty referendum, where Gibraltarian voters overwhelmingly rejected a plan to share sovereignty over Gibraltar between the UK and Spain. However, the UK government differs with the Gibraltarian government in that it considers Gibraltarian self-determination to be limited by the Treaty of Utrecht, which prevents Gibraltar achieving independence without the agreement of Spain, a position that the Gibraltarian government does not accept. The Spanish government denies that Gibraltarians have the right to self-determination, considering them to be "an artificial population without any genuine autonomy" and not "indigenous". However, the Partido Andalucista has agreed to recognise the right to self-determination of Gibraltarians. Greenland Hong Kong Before the United Nations's adoption of resolution 2908 (XXVII) on 2 November 1972, The People's Republic of China vetoed the former British colony of Hong Kong's right to self-determination on 8 March 1972. This sparked several nations' protest along with Great Britain's declaration on 14 December that the decision is invalid. Decades later, an independence movement, dubbed as the Hong Kong independence movement emerged in the now Communist Chinese controlled territory. It advocates the autonomous region to become a fully independent sovereign state. The city is considered a special administrative region (SAR) which, according to the PRC, enjoys a high degree of autonomy under the People's Republic of China (PRC), guaranteed under Article 2 of Hong Kong Basic Law[1] (which is ratified under the Sino-British Joint Declaration), since the handover of Hong Kong from the United Kingdom to the PRC in 1997. Since the handover, many Hongkongers are increasingly concerned about Beijing's growing encroachment on the territory's freedoms and the failure of the Hong Kong government to deliver 'true' democracy.[2] The 2014–15 Hong Kong electoral reform package deeply divided the city, as it allowed Hongkongers to have universal suffrage, but Beijing would have authority to screen the candidates to restrict the electoral method for the Chief Executive of Hong Kong (CE), the highest-ranking official of the territory. This sparked the 79-day massive peaceful protests which was dubbed as the "Umbrella Revolution" and the pro-independence movement emerged on the Hong Kong political scene.[2] Since then, localism has gained momentum, particularly after the failure of the peaceful Umbrella Movement. Young localist leaders have led numerous protest actions against pro-Chinese policies to raise awareness of social problems of Hong Kong under Chinese rule. These include the sit-in protest against the Bill to Strengthen Internet Censorship, demonstrations against Chinese political interference in the University of Hong Kong, the Recover Yuen Long protests and the 2016 Mong Kok civil unrest. According to a survey conducted by the Chinese University of Hong Kong (CUHK) in July 2016, 17.4% of respondents supported the city becoming an independent entity after 2047, while 3.6% stated that it is "possible".[3] Indigenous peoples Indigenous peoples have claimed through the 2007 Declaration on the Rights of Indigenous Peoples the term peoples, and gaining with it the right to self-determination. Though it was also established that it is merely a right within existing sovereign states, afterall peoples also need territory and a central government to reach sovereignty in international politics. Israel Zionism is the Jewish national movement of self-determination in the land of Israel. Modern Zionism was founded as a movement by Theodor Herzl in his 1896 pamphlet Der Judenstaat in order to restore Jewish self-determination to the land in modern times. The State of Israel established its independence in 1948. Kashmir Ever since Pakistan and India's inception in 1947 the legal state of Jammu and Kashmir, the land between India and Pakistan, has been contested as Britain was resigning from their rule over this land. Maharaja Hari Singh, the ruler of Kashmir at the time of accession, signed the Instrument of Accession Act on October 26, 1947, as his territory was being attacked by Pakistani tribesmen. The passing of this Act allowed Jammu and Kashmir to accede to India on legal terms. When this Act was taken to Lord Mountbatten, the last viceroy of British India, he agreed to it and stated that a referendum needed to be held by the citizens in India, Pakistan, and Kashmir so that they could vote as to where Kashmir should accede to. This referendum that Mountbatten called for never took place and framed one of the legal disputes for Kashmir. In 1948 the United Nations intervened and ordered a plebiscite to be taken in order to hear the voices of the Kashmiris if they would like to accede to Pakistan or India. This plebiscite left out the right for Kashmiris to have the right of self-determination and become an autonomous state. To this date the Kashmiris have been faced with numerous human rights violations committed by both India and Pakistan and have yet to gain complete autonomy which they have been seeking through self-determination. The insurgency in Kashmir against Indian rule has existed in various forms. A widespread armed insurgency started in Kashmir against India rule in 1989 after allegations of rigging by the Indian government in the 1987 Jammu and Kashmir state election. This led to some parties in the state assembly forming militant wings, which acted as a catalyst for the emergence of armed insurgency in the region. The conflict over Kashmir has resulted in tens of thousands of deaths. The Inter-Services Intelligence of Pakistan has been accused by India of supporting and training both pro-Pakistan and pro-independence militants to fight Indian security forces in Jammu and Kashmir, a charge that Pakistan denies. According to official figures released in the Jammu and Kashmir assembly, there were 3,400 disappearance cases and the conflict has left more than 47,000 to 100,000 people dead as of July 2009. However, violence in the state had fallen sharply after the start of a slow-moving peace process between India and Pakistan. After the peace process failed in 2008, mass demonstrations against Indian rule, and low-scale militancy emerged again. However, despite boycott calls by separatist leaders in 2014, the Jammu and Kashmir Assembly elections saw highest voters turnout in last 25 years since insurgency erupted. As per the Indian government, it recorded more than 65% of voters turnout which was more than usual voters turnout in other state assembly elections of India. It considered as increase in faith of Kashmiri people in democratic process of India. However, activists say that the voter turnout is highly exaggerated and that elections are held under duress. Votes are cast because the people want stable governance of the state and this cannot be mistaken as an endorsement of Indian rule. Kurdistan Kurdistan is a historical region primarily inhabited by the Kurdish people of the Middle East. The territory is currently part of Turkey, Iraq, Syria and Iran. There are Kurdish self-determination movements in each of the 4 states. Iraqi Kurdistan has to date achieved the largest degree of self-determination through the formation of the Kurdistan Regional Government, an entity recognised by the Iraqi Federal Constitution. Although the right of the creation of a Kurdish state was recognized following World War I in the Treaty of Sèvres, the treaty was then annulled by the Treaty of Lausanne (1923). To date two separate Kurdish republics and one Kurdish Kingdom have declared sovereignty. The Republic of Ararat (Ağrı Province, Turkey), the Republic of Mehabad (West Azerbaijan Province, Iran) and the Kingdom of Kurdistan (Sulaymaniyah Governorate, Iraqi Kurdistan, Iraq), each of these fledgling states was crushed by military intervention. The Patriotic Union of Kurdistan which currently holds the Iraqi presidency and the Kurdistan Democratic Party which governs the Kurdistan Regional Government both explicitly commit themselves to the development of Kurdish self-determination, but opinions vary as to the question of self-determination sought within the current borders and countries. Efforts towards Kurdish self-determination are considered illegal separatism by the governments of Turkey and Iran, and the movement is politically repressed in both states. This is intertwined with Kurdish nationalist insurgencies in Iran and in Turkey, which in turn justify and are justified by the repression of peaceful advocacy. In Syria, a self-governing local Kurdish-dominated polity was established in 2012, amongst the upheaval of the Syrian Civil War, but has not been recognized by any foreign state. Nagalim Naga refers to a vaguely-defined conglomeration of distinct tribes living on the border of India and Burma. Each of these tribes lived in a sovereign village before the arrival of the British, but developed a common identity as the area was Christianized. After the British left India, a section of Nagas under the leadership of Angami Zapu Phizo sought to establish a separate country for the Nagas. Phizo's group, the Naga National Council (NNC), claimed that 99. 9% of the Nagas wanted an independent Naga country according to a referendum conducted by it. It waged a secessionist insurgency against the Government of India. The NNC collapsed after Phizo got his dissenters killed or forced them to seek refuge with the Government. Phizo escaped to London, while NNC's successor secessionist groups continued to stage violent attacks against the Indian Government. The Naga People's Convention (NPC), another major Naga organization, was opposed to the secessionists. Its efforts led to the creation of a separate Nagaland state within India in 1963. The secessionist violence declined considerably after the Shillong Accord of 1975. However, three factions of the National Socialist Council of Nagaland (NSCN) continue to seek an independent country which would include parts of India and Burma. They envisage a sovereign, predominantly Christian nation called "Nagalim". North Borneo and Sarawak Another controversial episode with perhaps more relevance was the British beginning their exit from British Malaya. An experience concerned the findings of a United Nations Assessment Team that led the British territories of North Borneo and Sarawak in 1963 to determine whether or not the populations wished to become a part of the new Malaysia Federation. The United Nation Team's mission followed on from an earlier assessment by the British-appointed Cobbold Commission which had arrived in the territories in 1962 and held hearings to determine public opinion. It also sifted through 1600 letters and memoranda submitted by individuals, organisations and political parties. Cobbold concluded that around two thirds of the population favoured to the formation of Malaysia while the remaining third wanted either independence or continuing control by the United Kingdom. The United Nations team largely confirmed these findings, which were later accepted by the General Assembly, and both territories subsequently wish to form the new Federation of Malaysia. The conclusions of both the Cobbold Commission and the United Nations team were arrived at without any referendums self-determination being held. Unlike in Singapore, however, no referendum was ever conducted in Sarawak and North Borneo. they sought to consolidate several of the previous ruled entities then there was Manila Accord, an agreement between the Philippines, Federation of Malaya and Indonesia on 31 July 1963 to abide by the wishes of the people of North Borneo and Sarawak within the context of United Nations General Assembly Resolution 1541 (XV), Principle 9 of the Annex taking into account referendums in North Borneo and Sarawak that would be free and without coercion. This also triggered the Indonesian confrontation because Indonesia opposed the violation of the agreements. Northern Cyprus Cyprus was settled by Mycenaean Greeks in two waves in the 2nd millennium BC. As a strategic location in the Middle East, it was subsequently occupied by several major powers, including the empires of the Assyrians, Egyptians and Persians, from whom the island was seized in 333 BC by Alexander the Great. Subsequent rule by Ptolemaic Egypt, the Classical and Eastern Roman Empire, Arab caliphates for a short period and the French Lusignan dynasty. Following the death in 1473 of James II, the last Lusignan king, the Republic of Venice assumed control of the island, while the late king's Venetian widow, Queen Catherine Cornaro, reigned as figurehead. Venice formally annexed the Kingdom of Cyprus in 1489, following the abdication of Catherine. The Venetians fortified Nicosia by building the Walls of Nicosia, and used it as an important commercial hub. Although the Lusignan French aristocracy remained the dominant social class in Cyprus throughout the medieval period, the former assumption that Greeks were treated only as serfs on the island is no longer considered by academics to be accurate. It is now accepted that the medieval period saw increasing numbers of Greek Cypriots elevated to the upper classes, a growing Greek middle ranks, and the Lusignan royal household even marrying Greeks. This included King John II of Cyprus who married Helena Palaiologina. Throughout Venetian rule, the Ottoman Empire frequently raided Cyprus. In 1539 the Ottomans destroyed Limassol and so fearing the worst, the Venetians also fortified Famagusta and Kyrenia. Having invaded in 1570, Turks controlled and solely governed all of the Cyprus island from 1571 until its leasing to the British Empire in 1878. Cyprus was placed under British administration based on Cyprus Convention in 1878 and formally annexed by Britain at the beginning of World War I in 1914. While Turkish Cypriots made up 18% of the population, the partition of Cyprus and creation of a Turkish state in the north became a policy of Turkish Cypriot leaders and the Republic of Turkey in the 1950s. Politically, there was no majority/minority relation between Greek Cypriots and Turkish Cypriots; and hence, in 1960, Republic of Cyprus was founded by the constituent communities in Cyprus (Greek Cypriots and Turkish Cypriots) as a non-unitary state; the 1960 Constitution set both Turkish and Greek as the official languages. During 1963–74, the island experienced ethnic clashes and turmoil, following the Greek nationalists' coup to unify the island to Greece, which led to the eventual Turkish invasion in 1974. Turkish Republic of Northern Cyprus was declared in 1983 and recognized only by Turkey. Monroe Leigh, 1990, The Legal Status in International Law of the Turkish Cypriot and the Greek Cypriot Communities in Cyprus. The Greek Cypriot and Turkish Cypriot regimes participating in these negotiations, and the respective communities which they represent, are presently entitled to exercise equal rights under international law, including rights of self-determination. Before the Turkey's invasion in 1974, Turkish Cypriots were concentrated in Turkish Cypriot enclaves in the island. Northern Cyprus fulfills all the classical criteria of statehood. United Nations Peace Force in Cyprus (UNFICYP) operates based on the laws of Northern Cyprus in north of Cyprus island. According to European Court of Human Rights (ECtHR), the laws of Northern Cyprus is valid in the north of Cyprus. ECtHR did not accept the claim that the Courts of Northern Cyprus lacked "independence and/or impartiality". ECtHR directed all Cypriots to exhaust "domestic remedies" applied by Northern Cyprus before taking their cases to ECtHR. In 2014, United States' Federal Court qualified Turkish Republic of Northern Cyprus as a "democratic country". In 2017, United Kingdom's High Court decided that "There was no duty in UK law upon the UK's Government to refrain from recognising Northern Cyprus. The United Nations itself works with Northern Cyprus law enforcement agencies and facilitates cooperation between the two parts of the island." UK's High Court also dismissed the claim that "cooperation between UK police and law agencies in northern Cyprus was illegal". Palestine Quebec In Canada, many Francophone citizens in the Province of Quebec have wanted the province to separate from Confederation. The Parti Québécois has asserted Quebec's "right to self-determination. " There is debate on under which conditions would this right be realized. French-speaking Quebec nationalism and support for maintaining Québécois culture would inspire Quebec nationalists, many of whom were supporters of the Quebec sovereignty movement during the late-20th century. Scotland Scotland ceased to exist as a sovereign state in 1707, as did England, when the Acts of Union (1707) created the
United Kingdom agreed to accept the existing border. Notable cases There have been a number of notable cases of self-determination. For more information on past movements see list of historical separatist movements and lists of decolonized nations. Also see list of autonomous areas by country and lists of active separatist movements. Artsakh The Republic of Artsakh (also known as the Nagorno-Karabakh Republic), in the Caucasus region, declared its independence basing on self-determination rights on 2 September 1991, but remains unrecognized by UN states today. It is a member of the Community for Democracy and Rights of Nations along with three other Post-Soviet disputed republics. Assyria The Assyrian independence movement is a political movement and nationalist desire of the Assyrian people to live in their traditional Assyrian homeland under the self-governance of an Assyrian State. The Assyrian territory is currently in parts of Syria, Iraq, Iran, and Turkey. Australia Self-determination has become the topic of some debate in Australia in relation to Aboriginal Australians and Torres Strait Islanders. In the 1970s, Aboriginal requested the right to administer their own remote communities as part of the homelands movement, also known as the outstation movement. These grew in number through the 1980s, but funding dried up in the 2000s. Azawad The traditional homeland of the Tuareg peoples was divided up by the modern borders of Mali, Algeria and Niger. Numerous rebellions occurred over the decades, but in 2012 the Tuaregs succeeded in occupying their land and declaring the independence of Azawad. However, their movement was hijacked by the Islamist terrorist group Ansar Dine. Basque Country The Basque Country (, , ) as a cultural region (not to be confused with the homonym Autonomous Community of the Basque country) is a European region in the western Pyrenees that spans the border between France and Spain, on the Atlantic coast. It comprises the autonomous communities of the Basque Country and Navarre in Spain and the Northern Basque Country in France. Since the 19th century, Basque nationalism has demanded the right of some kind of self-determination. This desire for independence is particularly stressed among leftist Basque nationalists. The right of self-determination was asserted by the Basque Parliament in 1990, 2002 and 2006. Since self-determination is not recognized in the Spanish Constitution of 1978, some Basques abstained and some voted against it in the referendum of December 6 of that year. It was approved by a clear majority at the Spanish level, and with 74.6% of the votes in the Basque Country. However, the overall turnout in the Basque Country was 45% when the Spanish overall turnover was 67.9%. The derived autonomous regime for the BAC was approved by Spanish Parliament and also by the Basque citizens in referendum. The autonomous statute of Navarre (Amejoramiento del Fuero: "improvement of the charter") was approved by the Spanish Parliament and, like the statutes of 13 out of 17 Spanish autonomous communities, it did not need a referendum to enter into force. Euskadi Ta Askatasuna or ETA (; pronounced ), was an armed Basque nationalist, separatist and terrorist organization that killed more than 800 people. Founded in 1959, it evolved from a group advocating traditional cultural ways to a paramilitary group with the goal of Basque independence. Its ideology was Marxist–Leninist. Biafra The Nigerian Civil War was fought between Biafran secessionists of the Republic of Biafra and the Nigerian central government. From 1999 to the present day, the indigenous people of Biafra have been agitating for independence to revive their country. They have registered a human rights organization known as Bilie Human Rights Initiative both in Nigeria and in the United Nations to advocate for their right to self-determination and achieve independence by the rule of law. Catalonia After the 2012 Catalan march for independence, in which between 600,000 and 1.5 million citizens marched, the President of Catalonia, Artur Mas, called for new parliamentary elections on 25 November 2012 to elect a new parliament that would exercise the right of self-determination for Catalonia, a right not recognised under the Spanish Cortes Generales. The Parliament of Catalonia voted to hold a vote in the next four-year legislature on the question of self-determination. The parliamentary decision was approved by a large majority of MPs: 84 voted for, 21 voted against, and 25 abstained. The Catalan Parliament applied to the Spanish Parliament for the power to call a referendum to be devolved, but this was turned down. In December 2013 the President of the Generalitat Artur Mas and the governing coalition agreed to set the referendum for self-determination on 9 November 2014, and legislation specifically saying that the consultation would not be a "referendum" was enacted, only to be blocked by the Spanish Constitutional Court, at the request of the Spanish government. Given the block, the Government turned it into a simple "consultation to the people" instead. The question in the consultation was "Do you want Catalonia to be a State?" and, if the answer to this question was yes, "Do you want this State to be an independent State?". However, as the consultation was not a formal referendum, these (printed) answers were just suggestions and other answers were also accepted and catalogued as "other answers" instead as null votes. The turnout in this consultation was about 2·3m people out of 6·2m people that were called to vote (this figure does not coincide with the census figure of 5·3m for two main reasons: first, because organisers had no access to an official census due to the non-binding character of the consultation, and second, because the legal voting age was set to 16 rather than 18). Due to the lack of an official census, potential voters were assigned to electoral tables according to home address and first family name. Participants had to sign up first with their full name and national ID in a voter registry before casting their ballot, which prevented participants from potentially casting multiple ballots. The overall result was 80·76% in favor of both questions, 11% in favor of the first question but not of the second questions, 4·54% against both; the rest were classified as "other answers". The voter turnout was around 37% (most people against the consultation did not go to vote). Four top members of Catalonia's political leadership were barred from public office for having defied the Constitutional court's last-minute ban. Almost three years later (1 October 2017), the Catalan government called a referendum for independence under legislation adopted in September 2017, despite this legislation had been suspended by the Constitutional Court for "violating fundamental rights of citizens", with the question "Do you want Catalonia to become an independent state in the form of a Republic?". On polling day, the Catalan regional police, which had been accused in the past of police brutality and impunity during the 15-M protests, prevented voting in over 500 polling stations without incidents. In some voting stations, the Catalan regional police did not intervene, while in other stations they directly confronted the Spanish CNP (National Police Corps) to allow voters to participate. The CNP confiscated ballot boxes and closed down 92, voting centres with violent truncheon charges. The opposition parties had called for non-participation. The turnout (according to the votes that were counted) was 2.3m out of 5.3m (43.03% of the census), and 90.18% of the ballots were in favour of independence. The turnout, ballot count and results were similar to those of the 2014 "consultation". Chechnya Under Dzhokhar Dudayev, Chechnya declared independence as the Chechen Republic of Ichkeria, using self-determination, Russia's history of bad treatment of Chechens, and a history of independence before invasion by Russia as main motives. Russia has restored control over Chechnya, but the separatist government functions still in exile, though it has been split into two entities: the Akhmed Zakayev-run secular Chechen Republic (based in Poland, the United Kingdom, and the United States), and the Islamic Caucasus Emirate. Eastern Ukraine There is an active secessionist movement based on the self-determination of the residents of the Donetsk and Luhansk regions of eastern Ukraine. However, many in the international community assert that referendums held there in 2014 regarding independence from Ukraine were illegitimate and undemocratic. Similarly, there are reports that presidential elections in May 2014 were prevented from taking place in the two regions after armed gunmen took control of polling stations, kidnapped election officials, and stole lists of electors, thus denying the population the chance to express their will in a free, fair, and internationally recognised election. There are also arguments that the de facto separation of Eastern Ukraine from the rest of the country is not an expression of self-determination, but rather a manipulation through pro-Soviet sentiment revival and an invasion by neighbouring Russia, with Ukrainian President Petro Poroshenko claiming in 2015 that up to 9,000 Russian soldiers were deployed in Ukraine. Falkland Islands Self-determination is referred to in the Falkland Islands Constitution and is a factor in the Falkland Islands sovereignty dispute. The population has existed for over nine generations, continuously for over 185 years. In the 2013 referendum organised by the Falkland Islands Government, 99.8% voted to remain British. As administering power, the British Government considers since the majority of inhabitants wish to remain British, transfer of sovereignty to Argentina would be counter to their right to self-determination. Argentina states the principle of self-determination is not applicable since the current inhabitants are not aboriginal and were brought to replace the Argentine population, which was expelled by an 'act of force', forcing the Argentinian inhabitants to directly leave the islands. This refers to the re-establishment of British rule in the year 1833 during which Argentina claims the existing population living in the islands was expelled. Argentina thus argues that, in the case of the Falkland Islands, the principle of territorial integrity should have precedence over self-determination. Historical records dispute Argentina's claims and whilst acknowledging the garrison was expelled note the existing civilian population remained at Port Louis and there was no attempt to settle the islands until 1841. Gibraltar The right to self-determination is referred to in the pre-amble of Chapter 1 of the Gibraltar constitution, and, since the United Kingdom also gave assurances that the right to self-determination of Gibraltarians would be respected in any transfer of sovereignty over the territory, is a factor in the dispute with Spain over the territory. The impact of the right to self-determination of Gibraltarians was seen in the 2002 Gibraltar sovereignty referendum, where Gibraltarian voters overwhelmingly rejected a plan to share sovereignty over Gibraltar between the UK and Spain. However, the UK government differs with the Gibraltarian government in that it considers Gibraltarian self-determination to be limited by the Treaty of Utrecht, which prevents Gibraltar achieving independence without the agreement of Spain, a position that the Gibraltarian government does not accept. The Spanish government denies that Gibraltarians have the right to self-determination, considering them to be "an artificial population without any genuine autonomy" and not "indigenous". However, the Partido Andalucista has agreed to recognise the right to self-determination of Gibraltarians. Greenland Hong Kong Before the United Nations's adoption of resolution 2908 (XXVII) on 2 November 1972, The People's Republic of China vetoed the former British colony of Hong Kong's right to self-determination on 8 March 1972. This sparked several nations' protest along with Great Britain's declaration on 14 December that the decision is invalid. Decades later, an independence movement, dubbed as the Hong Kong independence movement emerged in the now Communist Chinese controlled territory. It advocates the autonomous region to become a fully independent sovereign state. The city is considered a special administrative region (SAR) which, according to the PRC, enjoys a high degree of autonomy under the People's Republic of China (PRC), guaranteed under Article 2 of Hong Kong Basic Law[1] (which is ratified under the Sino-British Joint Declaration), since the handover of Hong Kong from the United Kingdom to the PRC in 1997. Since the handover, many Hongkongers are increasingly concerned about Beijing's growing encroachment on the territory's freedoms and the failure of the Hong Kong government to deliver 'true' democracy.[2] The 2014–15 Hong Kong electoral reform package deeply divided the city, as it allowed Hongkongers to have universal suffrage, but Beijing would have authority to screen the candidates to restrict the electoral method for the Chief Executive of Hong Kong (CE), the highest-ranking official of the territory. This sparked the 79-day massive peaceful protests which was dubbed as the "Umbrella Revolution" and the pro-independence movement emerged on the Hong Kong political scene.[2] Since then, localism has gained momentum, particularly after the failure of the peaceful Umbrella Movement. Young localist leaders have led numerous protest actions against pro-Chinese policies to raise awareness of social problems of Hong Kong under Chinese rule. These include the sit-in protest against the Bill to Strengthen Internet Censorship, demonstrations against Chinese political interference in the University of Hong Kong, the Recover Yuen Long protests and the 2016 Mong Kok civil unrest. According to a survey conducted by the Chinese University of Hong Kong (CUHK) in July 2016, 17.4% of respondents supported the city becoming an independent entity after 2047, while 3.6% stated that it is "possible".[3] Indigenous peoples Indigenous peoples have claimed through the 2007 Declaration on the Rights of Indigenous Peoples the term peoples, and gaining with it the right to self-determination. Though it was also established that it is merely a right within existing sovereign states, afterall peoples also need territory and a central government to reach sovereignty in international politics. Israel Zionism is the Jewish national movement of self-determination in the land of Israel. Modern Zionism was founded as a movement by Theodor Herzl in his 1896 pamphlet Der Judenstaat in order to restore Jewish self-determination to the land in modern times. The State of Israel established its independence in 1948. Kashmir Ever since Pakistan and India's inception in 1947 the legal state of Jammu and Kashmir, the land between India and Pakistan, has been contested as Britain was resigning from their rule over this land. Maharaja Hari Singh, the ruler of Kashmir at the time of accession, signed the Instrument of Accession Act on October 26, 1947, as his territory was being attacked by Pakistani tribesmen. The passing of this Act allowed Jammu and Kashmir to accede to India on legal terms. When this Act was taken to Lord Mountbatten, the last viceroy of British India, he agreed to it and stated that a referendum needed to be held by the citizens in India, Pakistan, and Kashmir so that they could vote as to where Kashmir should accede to. This referendum that Mountbatten called for never took place and framed one of the legal disputes for Kashmir. In 1948 the United Nations intervened and ordered a plebiscite to be taken in order to hear the voices of the Kashmiris if they would like to accede to Pakistan or India. This plebiscite left out the right for Kashmiris to have the right of self-determination and become an autonomous state. To this date the Kashmiris have been faced with numerous human rights violations committed by both India and Pakistan and have yet to gain complete autonomy which they have been seeking through self-determination. The insurgency in Kashmir against Indian rule has existed in various forms. A widespread armed insurgency started in Kashmir against India rule in 1989 after allegations of rigging by the Indian government in the 1987 Jammu and Kashmir state election. This led to some parties in the state assembly forming militant wings, which acted as a catalyst for the emergence of armed insurgency in the region. The conflict over Kashmir has resulted in tens of thousands of deaths. The Inter-Services Intelligence of Pakistan has been accused by India of supporting and training both pro-Pakistan and pro-independence militants to fight Indian security forces in Jammu and Kashmir, a charge that Pakistan denies. According to official figures released in the Jammu and Kashmir assembly, there were 3,400 disappearance cases and the conflict has left more than 47,000 to 100,000 people dead as of July 2009. However, violence in the state had fallen sharply after the start of a slow-moving peace process between India and Pakistan. After the peace process failed in 2008, mass demonstrations against Indian rule, and low-scale militancy emerged again. However, despite boycott calls by separatist leaders in 2014, the Jammu and Kashmir Assembly elections saw highest voters turnout in last 25 years since insurgency erupted. As per the Indian government, it recorded more than 65% of voters turnout which was more than usual voters turnout in other state assembly elections of India. It considered as increase in faith of Kashmiri people in democratic process of India. However, activists say that the voter turnout is highly exaggerated and that elections are held under duress. Votes are cast because the people want stable governance of the state and this cannot be mistaken as an endorsement of Indian rule. Kurdistan Kurdistan is a historical region primarily inhabited by the Kurdish people of the Middle East. The territory is currently part of Turkey, Iraq, Syria and Iran. There are Kurdish self-determination movements in each of the 4 states. Iraqi Kurdistan has to date achieved the largest degree of self-determination through the formation of the Kurdistan Regional Government, an entity recognised by the Iraqi Federal Constitution. Although the right of the creation of a Kurdish state was recognized following World War I in the Treaty of Sèvres, the treaty was then annulled by the Treaty of Lausanne (1923). To date two separate Kurdish republics and one Kurdish Kingdom have declared sovereignty. The Republic of Ararat (Ağrı Province, Turkey), the Republic of Mehabad (West Azerbaijan Province, Iran) and the Kingdom of Kurdistan (Sulaymaniyah Governorate, Iraqi Kurdistan, Iraq), each of these fledgling states was crushed by military intervention. The Patriotic Union of Kurdistan which currently holds the Iraqi presidency and the Kurdistan Democratic Party which governs the Kurdistan Regional Government both explicitly commit themselves to the development of Kurdish self-determination, but opinions vary as to the question of self-determination sought within the current borders and countries. Efforts towards Kurdish self-determination are considered illegal separatism by the governments of Turkey and Iran, and the movement is politically repressed in both states. This is intertwined with Kurdish nationalist insurgencies in Iran and in Turkey, which in turn justify and are justified by the repression of peaceful advocacy. In Syria, a self-governing local Kurdish-dominated polity was established in 2012, amongst the upheaval of the Syrian Civil War, but has not been recognized by any foreign state. Nagalim Naga refers to a vaguely-defined conglomeration of distinct tribes living on the border of India and Burma. Each of these tribes lived in a sovereign village before the arrival of the British, but developed a common identity as the area was Christianized. After the British left India, a section of Nagas under the leadership of Angami Zapu Phizo sought to establish a separate country for the Nagas. Phizo's group, the Naga National Council (NNC), claimed that 99. 9% of the Nagas wanted an independent Naga country according to a referendum conducted by it. It waged a secessionist insurgency against the Government of India. The NNC collapsed after Phizo got his dissenters killed or forced them to seek refuge with the Government. Phizo escaped to London, while NNC's successor secessionist groups continued to stage violent attacks against the Indian Government. The Naga People's Convention (NPC), another major Naga organization, was opposed to the secessionists. Its efforts led to the creation of a separate Nagaland state within India in 1963. The secessionist violence declined considerably after the Shillong Accord of 1975. However, three factions of the National Socialist Council of Nagaland (NSCN) continue to seek an independent country which would include parts of India and Burma. They envisage a sovereign, predominantly Christian nation called "Nagalim". North Borneo and Sarawak Another controversial episode with perhaps more relevance was the British beginning their exit from British Malaya. An experience concerned the findings of a United Nations Assessment Team that led the British territories of North Borneo and Sarawak in 1963 to determine whether or not the populations wished to become a part of the new Malaysia Federation. The United Nation Team's mission followed on from an earlier assessment by the British-appointed Cobbold Commission which had arrived in the territories in 1962 and held hearings to determine public opinion. It also sifted through 1600 letters and memoranda submitted by individuals, organisations and political parties. Cobbold concluded that around two thirds of the population favoured to the formation of Malaysia while the remaining third wanted either independence or continuing control by the United Kingdom. The United Nations team largely confirmed these findings, which were later accepted by the General Assembly, and both territories subsequently wish to form the new Federation of Malaysia. The conclusions of both the Cobbold Commission and the United Nations team were arrived at without any referendums self-determination being held. Unlike in Singapore, however, no referendum was ever conducted in Sarawak and North Borneo. they sought to consolidate several of the previous ruled entities then there was Manila Accord, an agreement between the Philippines, Federation of Malaya and Indonesia on 31 July 1963 to abide by the wishes of the people of North Borneo and Sarawak within the context of United Nations General Assembly Resolution 1541 (XV), Principle 9 of the Annex taking into account referendums in North Borneo and Sarawak that would be free and without coercion. This also triggered the Indonesian confrontation because Indonesia opposed the violation of the agreements. Northern Cyprus Cyprus was settled by Mycenaean Greeks in two waves in the 2nd millennium BC. As a strategic location in the Middle East, it was subsequently occupied by several major powers, including the empires of the Assyrians, Egyptians and Persians, from whom the island was seized in 333 BC by Alexander the Great. Subsequent rule by Ptolemaic Egypt, the Classical and Eastern Roman Empire, Arab caliphates for a short period and the French Lusignan dynasty. Following the death in 1473 of James II, the last Lusignan king, the Republic of Venice assumed control of the island, while the late king's Venetian widow, Queen Catherine Cornaro, reigned as figurehead. Venice formally annexed the Kingdom of Cyprus in 1489, following the abdication of Catherine. The Venetians fortified Nicosia by building the Walls of Nicosia, and used it as an important commercial hub. Although the Lusignan French aristocracy remained the dominant social class in Cyprus throughout the medieval period, the former assumption that Greeks were treated only as serfs on the island is no longer considered by academics to be accurate. It is now accepted that the medieval period saw increasing numbers of Greek Cypriots elevated to the upper classes, a growing Greek middle ranks, and the Lusignan royal household even marrying Greeks. This included King John II of Cyprus who married Helena Palaiologina. Throughout Venetian rule, the Ottoman Empire frequently raided Cyprus. In 1539 the Ottomans destroyed Limassol and so fearing the worst, the Venetians also fortified Famagusta and Kyrenia. Having invaded in 1570, Turks controlled and solely governed all of the Cyprus island from 1571 until its leasing to the British Empire in 1878. Cyprus was placed under British administration based on Cyprus Convention in 1878 and formally annexed by Britain at the beginning of World War I in 1914. While Turkish Cypriots made up 18% of the population, the partition of Cyprus and creation of a Turkish state in the north became a policy of Turkish Cypriot leaders and the Republic of Turkey in the 1950s. Politically, there was no majority/minority relation between Greek Cypriots and Turkish Cypriots; and hence, in 1960, Republic of Cyprus was founded by the constituent communities in Cyprus (Greek Cypriots and Turkish Cypriots) as a non-unitary state; the 1960 Constitution set both Turkish and Greek as the official languages. During 1963–74, the island experienced ethnic clashes and turmoil, following the Greek nationalists' coup to unify the island to Greece, which led to the eventual Turkish invasion in 1974. Turkish Republic of Northern Cyprus was declared in 1983 and recognized only by Turkey. Monroe Leigh, 1990, The Legal Status in International Law of the Turkish Cypriot and the Greek Cypriot Communities in Cyprus. The Greek Cypriot and Turkish Cypriot regimes participating in these negotiations, and the respective communities which they represent, are presently entitled to exercise equal rights under international law, including rights of self-determination. Before the Turkey's invasion in 1974, Turkish Cypriots were concentrated in Turkish Cypriot enclaves in the island. Northern Cyprus fulfills all the classical criteria of statehood. United Nations Peace Force in Cyprus (UNFICYP) operates based on the laws of Northern Cyprus in north of Cyprus island. According to European Court of Human Rights (ECtHR), the laws of Northern Cyprus is valid in the north of Cyprus. ECtHR did not accept the claim that the Courts of Northern Cyprus lacked "independence and/or impartiality". ECtHR directed all Cypriots to exhaust "domestic remedies" applied by Northern Cyprus before taking their cases to ECtHR. In 2014, United States' Federal Court qualified Turkish Republic of Northern Cyprus as a "democratic country". In 2017, United Kingdom's High Court decided that "There was no duty in UK law upon the UK's Government to refrain from recognising Northern Cyprus. The United Nations itself works with Northern Cyprus law enforcement agencies and facilitates cooperation between the two parts of the island." UK's High Court also dismissed the claim that "cooperation between UK police and law agencies in northern Cyprus was illegal". Palestine Quebec In Canada, many Francophone citizens in the Province of Quebec have wanted the province to separate from Confederation. The Parti Québécois has asserted Quebec's "right to self-determination. " There is debate on under which conditions would this right be realized. French-speaking Quebec nationalism and support for maintaining Québécois culture would inspire Quebec nationalists, many of whom were supporters of the Quebec sovereignty movement during the late-20th century. Scotland Scotland ceased to exist as a sovereign state in 1707, as did England, when the Acts of Union (1707) created the unified Kingdom of Great Britain, but has a long-standing Scottish independence movement, with polls suggesting in January 2020 that 52% of eligible voters would vote for an independent Scotland. The country's largest political party, the Scottish National Party, campaigns for Scottish independence. A referendum on independence was held in 2014, where it was rejected by 55% of voters. The Independence debate continued throughout the UK referendum on EU membership where the electorate in Scotland voted by 62% to remain a member of the EU. Results in the rest of the UK, however, led to the whole of Great Britain leaving the EU. In late 2019 the Scottish Government announced plans to demand a second referendum on Scottish Independence. This was given assent by the Scottish Parliament but, as of February 2020, British Prime Minister Boris Johnson has refused to grant the powers required to hold another referendum on the argument that both sides accepted beforehand
feature of the wings of moths and butterflies Scale, a type of trichome, any flat epidermal outgrowth in botany Bulb scale, the storage layers of a plant bulb Scale insect, a waxy coated animal that resembles a fish scale Chemistry and materials science Fouling, sometimes called , a buildup of unwanted substances on a submerged surface Limescale, a hard, chalky deposit that often builds up inside kettles, hot water boilers, and pipework Mill scale, the flaky surface on hot rolled steel, consisting of iron oxides Scale (chemistry), the range of mass or volume of a chemical reaction or process Other sciences Scale (analytical tool), a concept in the study of complex systems and hierarchy theory Scale (social sciences), a tool for ordering entities by quantitative attributes Places Scales, California, a community in the United States Scales, South Lakeland, Cumbria, England, a village The Scales, the initial climb of the Chilkoot Pass Other uses Scales (surname) Scales (film), a 2019 Saudi Arabian film Baron Scales, a title in the Peerage of England Libra (constellation), also known as "the scales", or the namesake astrological sign Mizan (Scale in English), a treatise on Islam by Javed Ahmed Ghamidi Pay scale, a system or structure of compensation for work Scale armour, an early form of armor Southern California Linux Expo, an open-source software conference held in Los Angeles, California See also Scala (disambiguation) Scalability, a concept in business, computer
for measuring lengths and transferring measurements at a fixed ratio of length Vernier scale, the scale on calipers Music Scale (music), a sequence of ordered musical notes Scale (string instruments), the sounding length of the strings of an instrument Scale (album), a 2006 album by electronic artist Matthew Herbert "The Scale", a song from Our Love to Admire by Interpol Musicians scale, the pay scale set by unions of musicians Science Biology Scale (anatomy), a rigid plate which grows out of the skin of various animals Scale (dermatology), a secondary skin lesion in humans that resembles animal scales Scale (insect anatomy), a feature of the wings of moths and butterflies Scale, a type of trichome, any flat epidermal outgrowth in botany Bulb scale, the storage layers of a plant bulb Scale insect, a waxy coated animal that resembles a fish scale Chemistry and materials science Fouling, sometimes called , a buildup of unwanted substances on a submerged surface Limescale, a hard, chalky deposit that often builds up inside kettles, hot water boilers, and pipework Mill scale, the flaky surface on hot rolled steel, consisting of iron oxides Scale (chemistry), the range of mass or volume of a chemical reaction or process Other sciences Scale (analytical tool), a concept in the study of complex systems and hierarchy theory Scale (social sciences), a tool for ordering entities
Alaska. Most of the population of the state lives in this region, concentrated in and around the city of Anchorage. The area includes Cook Inlet, the Matanuska-Susitna Valley, the Kenai Peninsula, Prince William Sound, and the Copper River Valley. Tourism, fisheries, and petroleum production are important economic activities. Cities The major city is Anchorage. Other towns include Palmer, Wasilla, Kenai, Soldotna, Homer, Seward, Valdez, and Cordova. Climate The climate of Southcentral Alaska is subarctic. Temperatures range from an average high of in July to an average low of in December. The hours of daylight per day varies from 20 hours in June and July to 6 hours in December and January. The coastal areas consist of temperate rainforests and alder shrublands. The interior areas are covered by boreal forests. Mountains The terrain of Southcentral Alaska
petroleum production are important economic activities. Cities The major city is Anchorage. Other towns include Palmer, Wasilla, Kenai, Soldotna, Homer, Seward, Valdez, and Cordova. Climate The climate of Southcentral Alaska is subarctic. Temperatures range from an average high of in July to an average low of in December. The hours of daylight per day varies from 20 hours in June and July to 6 hours in December and January. The coastal areas consist of temperate rainforests and alder shrublands. The interior areas are covered by boreal forests. Mountains The terrain of Southcentral Alaska is shaped by seven mountain ranges: Alaska Range Talkeetna Mountains Wrangell Mountains Chugach Mountains Kenai Mountains Tordrillo Mountains Aleutian Range Southcentral Alaska contains several dormant and active volcanoes. The Wrangell Volcanoes are older, lie in the
covers are Lie groups, called the spin groups or . All the properties of spinors, and their applications and derived objects, are manifested first in the spin group. Representations of the double covers of these groups yield double-valued projective representations of the groups themselves. (This means that the action of a particular rotation on vectors in the quantum Hilbert space is only defined up to a sign.) From a geometrical point of view, one can explicitly construct the spinors and then examine how they behave under the action of the relevant Lie groups. This latter approach has the advantage of providing a concrete and elementary description of what a spinor is. However, such a description becomes unwieldy when complicated properties of the spinors, such as Fierz identities, are needed. Clifford algebras The language of Clifford algebras (sometimes called geometric algebras) provides a complete picture of the spin representations of all the spin groups, and the various relationships between those representations, via the classification of Clifford algebras. It largely removes the need for ad hoc constructions. In detail, let V be a finite-dimensional complex vector space with nondegenerate symmetric bilinear form g. The Clifford algebra is the algebra generated by V along with the anticommutation relation . It is an abstract version of the algebra generated by the gamma or Pauli matrices. If V = , with the standard form we denote the Clifford algebra by Cℓn(). Since by the choice of an orthonormal basis every complex vectorspace with non-degenerate form is isomorphic to this standard example, this notation is abused more generally if . If is even, Cℓn() is isomorphic as an algebra (in a non-unique way) to the algebra of complex matrices (by the Artin-Wedderburn theorem and the easy to prove fact that the Clifford algebra is central simple). If is odd, Cℓ2k+1() is isomorphic to the algebra of two copies of the complex matrices. Therefore, in either case has a unique (up to isomorphism) irreducible representation (also called simple Clifford module), commonly denoted by Δ, of dimension 2[n/2]. Since the Lie algebra is embedded as a Lie subalgebra in equipped with the Clifford algebra commutator as Lie bracket, the space Δ is also a Lie algebra representation of called a spin representation. If n is odd, this Lie algebra representation is irreducible. If n is even, it splits further into two irreducible representations called the Weyl or half-spin representations. Irreducible representations over the reals in the case when V is a real vector space are much more intricate, and the reader is referred to the Clifford algebra article for more details. Spin groups Spinors form a vector space, usually over the complex numbers, equipped with a linear group representation of the spin group that does not factor through a representation of the group of rotations (see diagram). The spin group is the group of rotations keeping track of the homotopy class. Spinors are needed to encode basic information about the topology of the group of rotations because that group is not simply connected, but the simply connected spin group is its double cover. So for every rotation there are two elements of the spin group that represent it. Geometric vectors and other tensors cannot feel the difference between these two elements, but they produce opposite signs when they affect any spinor under the representation. Thinking of the elements of the spin group as homotopy classes of one-parameter families of rotations, each rotation is represented by two distinct homotopy classes of paths to the identity. If a one-parameter family of rotations is visualized as a ribbon in space, with the arc length parameter of that ribbon being the parameter (its tangent, normal, binormal frame actually gives the rotation), then these two distinct homotopy classes are visualized in the two states of the belt trick puzzle (above). The space of spinors is an auxiliary vector space that can be constructed explicitly in coordinates, but ultimately only exists up to isomorphism in that there is no "natural" construction of them that does not rely on arbitrary choices such as coordinate systems. A notion of spinors can be associated, as such an auxiliary mathematical object, with any vector space equipped with a quadratic form such as Euclidean space with its standard dot product, or Minkowski space with its Lorentz metric. In the latter case, the "rotations" include the Lorentz boosts, but otherwise the theory is substantially similar. Spinor fields in physics The constructions given above, in terms of Clifford algebra or representation theory, can be thought of as defining spinors as geometric objects in zero-dimensional space-time. To obtain the spinors of physics, such as the Dirac spinor, one extends the construction to obtain a spin structure on 4-dimensional space-time (Minkowski space). Effectively, one starts with the tangent manifold of space-time, each point of which is a 4-dimensional vector space with SO(3,1) symmetry, and then builds the spin group at each point. The neighborhoods of points are endowed with concepts of smoothness and differentiability: the standard construction is one of a fibre bundle, the fibers of which are affine spaces transforming under the spin group. After constructing the fiber bundle, one may then consider differential equations, such as the Dirac equation, or the Weyl equation on the fiber bundle. These equations (Dirac or Weyl) have solutions that are plane waves, having symmetries characteristic of the fibers, i.e. having the symmetries of spinors, as obtained from the (zero-dimensional) Clifford algebra/spin representation theory described above. Such plane-wave solutions (or other solutions) of the differential equations can then properly be called fermions; fermions have the algebraic qualities of spinors. By general convention, the terms "fermion" and "spinor" are often used interchangeably in physics, as synonyms of one-another. It appears that all fundamental particles in nature that are spin-1/2 are described by the Dirac equation, with the possible exception of the neutrino. There does not seem to be any a priori reason why this would be the case. A perfectly valid choice for spinors would be the non-complexified version of , the Majorana spinor. There also does not seem to be any particular prohibition to having Weyl spinors appear in nature as fundamental particles. The Dirac, Weyl, and Majorana spinors are interrelated, and their relation can be elucidated on the basis of real geometric algebra. Dirac and Weyl spinors are complex representations while Majorana spinors are real representations. Weyl spinors are insufficient to describe massive particles, such as electrons, since the Weyl plane-wave solutions necessarily travel at the speed of light; for massive particles, the Dirac equation is needed. The initial construction of the Standard Model of particle physics starts with both the electron and the neutrino as massless Weyl spinors; the Higgs mechanism gives electrons a mass; the classical neutrino remained massless, and was thus an example of a Weyl spinor. However, because of observed neutrino oscillation, it is now believed that they are not Weyl spinors, but perhaps instead Majorana spinors. It is not known whether Weyl spinor fundamental particles exist in nature. The situation for condensed matter physics is different: one can construct two and three-dimensional "spacetimes" in a large variety of different physical materials, ranging from semiconductors to far more exotic materials. In 2015, an international team led by Princeton University scientists announced that they had found a quasiparticle that behaves as a Weyl fermion. Spinors in representation theory One major mathematical application of the construction of spinors is to make possible the explicit construction of linear representations of the Lie algebras of the special orthogonal groups, and consequently spinor representations of the groups themselves. At a more profound level, spinors have been found to be at the heart of approaches to the Atiyah–Singer index theorem, and to provide constructions in particular for discrete series representations of semisimple groups. The spin representations of the special orthogonal Lie algebras are distinguished from the tensor representations given by Weyl's construction by the weights. Whereas the weights of the tensor representations are integer linear combinations of the roots of the Lie algebra, those of the spin representations are half-integer linear combinations thereof. Explicit details can be found in the spin representation article. Attempts at intuitive understanding The spinor can be described, in simple terms, as "vectors of a space the transformations of which are related in a particular way to rotations in physical space". Stated differently: Several ways of illustrating everyday analogies have been formulated in terms of the plate trick, tangloids and other examples of orientation entanglement. Nonetheless, the concept is generally considered notoriously difficult to understand, as illustrated by Michael Atiyah's statement that is recounted by Dirac's biographer Graham Farmelo: History The most general mathematical form of spinors was discovered by Élie Cartan in 1913. The word "spinor" was coined by Paul Ehrenfest in his work on quantum physics. Spinors were first applied to mathematical physics by Wolfgang Pauli in 1927, when he introduced his spin matrices. The following year, Paul Dirac discovered the fully relativistic theory of electron spin by showing the connection between spinors and the Lorentz group. By the 1930s, Dirac, Piet Hein and others at the Niels Bohr Institute (then known as the Institute for Theoretical Physics of the University of Copenhagen) created toys such as Tangloids to teach and model the calculus of spinors. Spinor spaces were represented as left ideals of a matrix algebra in 1930, by G. Juvet and by Fritz Sauter. More specifically, instead of representing spinors as complex-valued 2D column vectors as Pauli had done, they represented them as complex-valued 2 × 2 matrices in which only the elements of the left column are non-zero. In this manner the spinor space became a minimal left ideal in . In 1947 Marcel Riesz constructed spinor spaces as elements of a minimal left ideal of Clifford algebras. In 1966/1967, David Hestenes replaced spinor spaces by the even subalgebra Cℓ01,3() of the spacetime algebra Cℓ1,3(). As of the 1980s, the theoretical physics group at Birkbeck College around David Bohm and Basil Hiley has been developing algebraic approaches to quantum theory that build on Sauter and Riesz' identification of spinors with minimal left ideals. Examples Some simple examples of spinors in low dimensions arise from considering the even-graded subalgebras of the Clifford algebra . This is an algebra built up from an orthonormal basis of mutually orthogonal vectors under addition and multiplication, p of which have norm +1 and q of which have norm −1, with the product rule for the basis vectors Two dimensions The Clifford algebra Cℓ2,0() is built up from a basis of one unit scalar, 1, two orthogonal unit vectors, σ1 and σ2, and one unit pseudoscalar . From the definitions above, it is evident that , and . The even subalgebra Cℓ02,0(), spanned by even-graded basis elements of Cℓ2,0(), determines the space of spinors via its representations. It is made up of real linear combinations of 1 and σ1σ2. As a real algebra, Cℓ02,0() is isomorphic to the field of complex numbers . As a result, it admits a conjugation operation (analogous to complex conjugation), sometimes called the reverse of a Clifford element, defined by which, by the Clifford relations, can be written The action of an even Clifford element on vectors, regarded as 1-graded elements of Cℓ2,0(), is determined by mapping a general vector to the vector where γ∗ is the conjugate of γ, and the product is Clifford multiplication. In this situation, a spinor is an ordinary complex number. The action of γ on a spinor φ is given by ordinary complex multiplication: . An important feature of this definition is the distinction between ordinary vectors and spinors, manifested in how the even-graded elements act on each of them in different ways. In general, a quick check of the Clifford relations reveals that even-graded elements conjugate-commute with ordinary vectors: On the other hand, comparing with the action on spinors , γ on ordinary vectors acts as the square of its action on spinors. Consider, for example, the implication this has for plane rotations. Rotating a vector through an angle of θ corresponds to , so that the corresponding action on spinors is via . In general, because of logarithmic branching, it is impossible to choose a sign in a consistent way. Thus the representation of plane rotations on spinors is two-valued. In applications of spinors in two dimensions, it is common to exploit the fact that the algebra of even-graded elements (that is just the ring of complex numbers) is identical to the space of spinors. So, by abuse of language, the two are often conflated. One may then talk about "the action of a spinor on a vector". In a general setting, such statements are meaningless. But in dimensions 2 and 3 (as applied, for example, to computer graphics) they make sense. Examples The even-graded element corresponds to a vector rotation of 90° from σ1 around towards σ2, which can be checked by confirming that It corresponds to a spinor rotation of only 45°, however: Similarly the even-graded element corresponds to a vector rotation of 180°: but a spinor rotation of only 90°: Continuing on further, the even-graded element corresponds to a vector rotation of 360°: but a spinor rotation of 180°. Three dimensions The Clifford algebra Cℓ3,0() is built up from a basis of one unit scalar, 1, three orthogonal unit vectors, σ1, σ2 and σ3, the three unit bivectors σ1σ2, σ2σ3, σ3σ1 and the pseudoscalar . It is straightforward to show that , and . The sub-algebra of even-graded elements is made up of scalar dilations, and vector rotations where (1) corresponds to a vector rotation through an angle θ about an axis defined by a unit vector . As a special case, it is easy to see that, if , this reproduces the σ1σ2 rotation considered in the previous section; and that such rotation leaves the coefficients of vectors in the σ3 direction invariant, since The bivectors σ2σ3, σ3σ1 and σ1σ2 are in fact Hamilton's quaternions i, j, and k, discovered in 1843: With the identification of the even-graded elements with the algebra of quaternions, as in the case of two dimensions the only representation of the algebra of even-graded elements is on itself. Thus the (real) spinors in three-dimensions are quaternions, and the action of an even-graded element on a spinor is given by ordinary quaternionic multiplication. Note that the expression (1) for a vector rotation through an angle , the angle appearing in γ was halved. Thus the spinor rotation (ordinary quaternionic multiplication) will rotate the spinor through an angle one-half the measure of the angle of the corresponding vector rotation. Once again, the problem of lifting a vector rotation to a spinor rotation is two-valued: the expression (1) with in place of θ/2 will produce the same vector rotation, but the negative of the spinor rotation. The spinor/quaternion representation of rotations in 3D is becoming increasingly prevalent in computer geometry and other applications, because of the notable brevity of the corresponding spin matrix, and the simplicity with which they can be multiplied together to calculate the combined effect of successive rotations about different axes. Explicit constructions A space of spinors can be constructed explicitly with concrete and abstract constructions. The equivalence of these constructions are a consequence of the uniqueness of the spinor representation of the complex Clifford algebra. For a complete example in dimension 3, see spinors in three dimensions. Component spinors Given a vector space V and a quadratic form g an explicit matrix representation of the Clifford algebra can be defined as follows. Choose an orthonormal basis for V i.e. where and for . Let . Fix a set of matrices such that (i.e. fix a convention for the gamma matrices). Then the assignment extends uniquely to an algebra homomorphism by sending the monomial in the Clifford algebra to the product of matrices and extending linearly. The space on which the gamma matrices act is now a space of spinors. One needs to construct such matrices explicitly, however. In dimension 3, defining the gamma matrices to be the Pauli sigma matrices gives rise to the familiar two component spinors used in non relativistic quantum mechanics. Likewise using the Dirac gamma matrices gives rise to the 4 component Dirac spinors used in 3+1 dimensional relativistic quantum field theory. In general, in order to define gamma matrices of the required kind, one can use the Weyl–Brauer matrices. In this construction the representation of the Clifford algebra , the Lie algebra , and the Spin group , all depend on the choice of the orthonormal basis and the choice of the gamma matrices. This can cause confusion over conventions, but invariants like traces are independent of choices. In particular, all physically observable quantities must be independent of such choices. In this construction a spinor can be represented as a vector of 2k complex numbers and is denoted with spinor indices (usually α, β, γ). In the physics literature, abstract spinor indices are often used to denote spinors even when an abstract spinor construction is used. Abstract spinors There are at least two different, but essentially equivalent, ways to define spinors abstractly. One approach seeks to identify the minimal ideals for the left action of on itself. These are subspaces of the Clifford algebra of the form , admitting the evident action of by left-multiplication: . There are two variations on this theme: one can either find a primitive element that is a nilpotent element of the Clifford algebra, or one that is an idempotent. The construction via nilpotent elements is more fundamental in the sense that an idempotent may then be produced from it. In this way, the spinor representations are identified with certain subspaces of the Clifford algebra itself. The second approach is to construct a vector space using a distinguished subspace of , and then specify the action of the Clifford algebra externally to that vector space. In either approach, the fundamental notion is that of an isotropic subspace . Each construction depends on an initial freedom in choosing this subspace. In physical terms, this corresponds to the fact that there is no measurement protocol that
the Atiyah–Singer index theorem, and to provide constructions in particular for discrete series representations of semisimple groups. The spin representations of the special orthogonal Lie algebras are distinguished from the tensor representations given by Weyl's construction by the weights. Whereas the weights of the tensor representations are integer linear combinations of the roots of the Lie algebra, those of the spin representations are half-integer linear combinations thereof. Explicit details can be found in the spin representation article. Attempts at intuitive understanding The spinor can be described, in simple terms, as "vectors of a space the transformations of which are related in a particular way to rotations in physical space". Stated differently: Several ways of illustrating everyday analogies have been formulated in terms of the plate trick, tangloids and other examples of orientation entanglement. Nonetheless, the concept is generally considered notoriously difficult to understand, as illustrated by Michael Atiyah's statement that is recounted by Dirac's biographer Graham Farmelo: History The most general mathematical form of spinors was discovered by Élie Cartan in 1913. The word "spinor" was coined by Paul Ehrenfest in his work on quantum physics. Spinors were first applied to mathematical physics by Wolfgang Pauli in 1927, when he introduced his spin matrices. The following year, Paul Dirac discovered the fully relativistic theory of electron spin by showing the connection between spinors and the Lorentz group. By the 1930s, Dirac, Piet Hein and others at the Niels Bohr Institute (then known as the Institute for Theoretical Physics of the University of Copenhagen) created toys such as Tangloids to teach and model the calculus of spinors. Spinor spaces were represented as left ideals of a matrix algebra in 1930, by G. Juvet and by Fritz Sauter. More specifically, instead of representing spinors as complex-valued 2D column vectors as Pauli had done, they represented them as complex-valued 2 × 2 matrices in which only the elements of the left column are non-zero. In this manner the spinor space became a minimal left ideal in . In 1947 Marcel Riesz constructed spinor spaces as elements of a minimal left ideal of Clifford algebras. In 1966/1967, David Hestenes replaced spinor spaces by the even subalgebra Cℓ01,3() of the spacetime algebra Cℓ1,3(). As of the 1980s, the theoretical physics group at Birkbeck College around David Bohm and Basil Hiley has been developing algebraic approaches to quantum theory that build on Sauter and Riesz' identification of spinors with minimal left ideals. Examples Some simple examples of spinors in low dimensions arise from considering the even-graded subalgebras of the Clifford algebra . This is an algebra built up from an orthonormal basis of mutually orthogonal vectors under addition and multiplication, p of which have norm +1 and q of which have norm −1, with the product rule for the basis vectors Two dimensions The Clifford algebra Cℓ2,0() is built up from a basis of one unit scalar, 1, two orthogonal unit vectors, σ1 and σ2, and one unit pseudoscalar . From the definitions above, it is evident that , and . The even subalgebra Cℓ02,0(), spanned by even-graded basis elements of Cℓ2,0(), determines the space of spinors via its representations. It is made up of real linear combinations of 1 and σ1σ2. As a real algebra, Cℓ02,0() is isomorphic to the field of complex numbers . As a result, it admits a conjugation operation (analogous to complex conjugation), sometimes called the reverse of a Clifford element, defined by which, by the Clifford relations, can be written The action of an even Clifford element on vectors, regarded as 1-graded elements of Cℓ2,0(), is determined by mapping a general vector to the vector where γ∗ is the conjugate of γ, and the product is Clifford multiplication. In this situation, a spinor is an ordinary complex number. The action of γ on a spinor φ is given by ordinary complex multiplication: . An important feature of this definition is the distinction between ordinary vectors and spinors, manifested in how the even-graded elements act on each of them in different ways. In general, a quick check of the Clifford relations reveals that even-graded elements conjugate-commute with ordinary vectors: On the other hand, comparing with the action on spinors , γ on ordinary vectors acts as the square of its action on spinors. Consider, for example, the implication this has for plane rotations. Rotating a vector through an angle of θ corresponds to , so that the corresponding action on spinors is via . In general, because of logarithmic branching, it is impossible to choose a sign in a consistent way. Thus the representation of plane rotations on spinors is two-valued. In applications of spinors in two dimensions, it is common to exploit the fact that the algebra of even-graded elements (that is just the ring of complex numbers) is identical to the space of spinors. So, by abuse of language, the two are often conflated. One may then talk about "the action of a spinor on a vector". In a general setting, such statements are meaningless. But in dimensions 2 and 3 (as applied, for example, to computer graphics) they make sense. Examples The even-graded element corresponds to a vector rotation of 90° from σ1 around towards σ2, which can be checked by confirming that It corresponds to a spinor rotation of only 45°, however: Similarly the even-graded element corresponds to a vector rotation of 180°: but a spinor rotation of only 90°: Continuing on further, the even-graded element corresponds to a vector rotation of 360°: but a spinor rotation of 180°. Three dimensions The Clifford algebra Cℓ3,0() is built up from a basis of one unit scalar, 1, three orthogonal unit vectors, σ1, σ2 and σ3, the three unit bivectors σ1σ2, σ2σ3, σ3σ1 and the pseudoscalar . It is straightforward to show that , and . The sub-algebra of even-graded elements is made up of scalar dilations, and vector rotations where (1) corresponds to a vector rotation through an angle θ about an axis defined by a unit vector . As a special case, it is easy to see that, if , this reproduces the σ1σ2 rotation considered in the previous section; and that such rotation leaves the coefficients of vectors in the σ3 direction invariant, since The bivectors σ2σ3, σ3σ1 and σ1σ2 are in fact Hamilton's quaternions i, j, and k, discovered in 1843: With the identification of the even-graded elements with the algebra of quaternions, as in the case of two dimensions the only representation of the algebra of even-graded elements is on itself. Thus the (real) spinors in three-dimensions are quaternions, and the action of an even-graded element on a spinor is given by ordinary quaternionic multiplication. Note that the expression (1) for a vector rotation through an angle , the angle appearing in γ was halved. Thus the spinor rotation (ordinary quaternionic multiplication) will rotate the spinor through an angle one-half the measure of the angle of the corresponding vector rotation. Once again, the problem of lifting a vector rotation to a spinor rotation is two-valued: the expression (1) with in place of θ/2 will produce the same vector rotation, but the negative of the spinor rotation. The spinor/quaternion representation of rotations in 3D is becoming increasingly prevalent in computer geometry and other applications, because of the notable brevity of the corresponding spin matrix, and the simplicity with which they can be multiplied together to calculate the combined effect of successive rotations about different axes. Explicit constructions A space of spinors can be constructed explicitly with concrete and abstract constructions. The equivalence of these constructions are a consequence of the uniqueness of the spinor representation of the complex Clifford algebra. For a complete example in dimension 3, see spinors in three dimensions. Component spinors Given a vector space V and a quadratic form g an explicit matrix representation of the Clifford algebra can be defined as follows. Choose an orthonormal basis for V i.e. where and for . Let . Fix a set of matrices such that (i.e. fix a convention for the gamma matrices). Then the assignment extends uniquely to an algebra homomorphism by sending the monomial in the Clifford algebra to the product of matrices and extending linearly. The space on which the gamma matrices act is now a space of spinors. One needs to construct such matrices explicitly, however. In dimension 3, defining the gamma matrices to be the Pauli sigma matrices gives rise to the familiar two component spinors used in non relativistic quantum mechanics. Likewise using the Dirac gamma matrices gives rise to the 4 component Dirac spinors used in 3+1 dimensional relativistic quantum field theory. In general, in order to define gamma matrices of the required kind, one can use the Weyl–Brauer matrices. In this construction the representation of the Clifford algebra , the Lie algebra , and the Spin group , all depend on the choice of the orthonormal basis and the choice of the gamma matrices. This can cause confusion over conventions, but invariants like traces are independent of choices. In particular, all physically observable quantities must be independent of such choices. In this construction a spinor can be represented as a vector of 2k complex numbers and is denoted with spinor indices (usually α, β, γ). In the physics literature, abstract spinor indices are often used to denote spinors even when an abstract spinor construction is used. Abstract spinors There are at least two different, but essentially equivalent, ways to
are identified for each piece-part component (such as a valve, connector, resistor, or diode). The effects of the failure mode are described, and assigned a probability based on the failure rate and failure mode ratio of the function or component. This quantization is difficult for software ---a bug exists or not, and the failure models used for hardware components do not apply. Temperature and age and manufacturing variability affect a resistor; they do not affect software. Failure modes with identical effects can be combined and summarized in a Failure Mode Effects Summary. When combined with criticality analysis, FMEA is known as Failure Mode, Effects, and Criticality Analysis or FMECA, pronounced "fuh-MEE-kuh". Fault tree analysis Fault tree analysis (FTA) is a top-down, deductive analytical method. In FTA, initiating primary events such as component failures, human errors, and external events are traced through Boolean logic gates to an undesired top event such as an aircraft crash or nuclear reactor core melt. The intent is to identify ways to make top events less probable, and verify that safety goals have been achieved. Fault trees are a logical inverse of success trees, and may be obtained by applying de Morgan's theorem to success trees (which are directly related to reliability block diagrams). FTA may be qualitative or quantitative. When failure and event probabilities are unknown, qualitative fault trees may be analyzed for minimal cut sets. For example, if any minimal cut set contains a single base event, then the top event may be caused by a single failure. Quantitative FTA is used to compute top event probability, and usually requires computer software such as CAFTA from the Electric Power Research Institute or SAPHIRE from the Idaho National Laboratory. Some industries use both fault trees and event trees. An event tree starts from an undesired initiator (loss of critical supply, component failure etc.) and follows possible further system events through to a series of final consequences. As each new event is considered, a new node on the tree is added with a split of probabilities of taking either branch. The probabilities of a range of "top events" arising from the initial event can then be seen. Oil and gas industry offshore (API 14C; ISO 10418) The offshore oil and gas industry uses a qualitative safety systems analysis technique to ensure the protection of offshore production systems and platforms. The analysis is used during the design phase to identify process engineering hazards together with risk mitigation measures. The methodology is described in the American Petroleum Institute Recommended Practice 14C Analysis, Design, Installation, and Testing of Basic Surface Safety Systems for Offshore Production Platforms. The technique uses system analysis methods to determine the safety requirements to protect any individual process component, e.g. a vessel, pipeline, or pump. The safety requirements of individual components are integrated into a complete platform safety system, including liquid containment and emergency support systems such as fire and gas detection. The first stage of the analysis identifies individual process components, these can include: flowlines, headers, pressure vessels, atmospheric vessels, fired heaters, exhaust heated components, pumps, compressors, pipelines and heat exchangers. Each component is subject to a safety analysis to identify undesirable events (equipment failure, process upsets, etc.) for which protection must be provided. The analysis also identifies a detectable condition (e.g. high pressure) which is used to initiate actions to prevent or minimize the effect of undesirable events. A Safety Analysis Table (SAT) for pressure vessels includes the following details. Other undesirable events for a pressure vessel are under-pressure, gas blowby, leak, and excess temperature together with their associated causes and detectable conditions. Once the events, causes and detectable conditions have been identified the next stage of the methodology uses a Safety Analysis Checklist (SAC) for each component. This lists the safety devices that may be required or factors that negate the need for such a device. For example, for the case of liquid overflow from a vessel (as above) the SAC identifies: A4.2d - High level sensor (LSH) 1. LSH installed. 2. Equipment downstream of gas outlet is not a flare or vent system and can safely handle maximum liquid carry-over. 3. Vessel function does not require handling of separate fluid phases. 4. Vessel is a small trap from which liquids are manually drained. The analysis ensures that two levels of protection are provided to mitigate each undesirable event. For example, for a pressure vessel subjected to over-pressure the primary protection would be a PSH (pressure switch high) to shut off inflow to the vessel, secondary protection would be provided by a pressure safety valve (PSV) on the vessel. The next stage of the analysis relates all the sensing devices, shutdown valves (ESVs), trip systems and emergency support systems in the form of a Safety Analysis Function Evaluation (SAFE) chart. X denotes that the detection device on the left (e.g. PSH) initiates the shutdown or warning action on the top right (e.g. ESV closure). The SAFE chart constitutes the basis of Cause and Effect Charts which relate the sensing devices to shutdown valves and plant trips which defines the functional architecture of the process shutdown system. The methodology also specifies the systems testing that is necessary to ensure the functionality of the protection systems. API RP 14C was first published in June 1974. The 8th edition was published in February 2017. API RP 14C was adapted as ISO standard ISO 10418 in 1993 entitled Petroleum and natural gas industries — Offshore production installations — Analysis, design, installation and testing of basic surface process safety systems. The latest 2003 edition of ISO 10418 is currently (2019) undergoing revision. Safety certification Typically, safety guidelines prescribe a set of steps, deliverable documents, and exit criterion focused around planning, analysis and design, implementation, verification and
applying de Morgan's theorem to success trees (which are directly related to reliability block diagrams). FTA may be qualitative or quantitative. When failure and event probabilities are unknown, qualitative fault trees may be analyzed for minimal cut sets. For example, if any minimal cut set contains a single base event, then the top event may be caused by a single failure. Quantitative FTA is used to compute top event probability, and usually requires computer software such as CAFTA from the Electric Power Research Institute or SAPHIRE from the Idaho National Laboratory. Some industries use both fault trees and event trees. An event tree starts from an undesired initiator (loss of critical supply, component failure etc.) and follows possible further system events through to a series of final consequences. As each new event is considered, a new node on the tree is added with a split of probabilities of taking either branch. The probabilities of a range of "top events" arising from the initial event can then be seen. Oil and gas industry offshore (API 14C; ISO 10418) The offshore oil and gas industry uses a qualitative safety systems analysis technique to ensure the protection of offshore production systems and platforms. The analysis is used during the design phase to identify process engineering hazards together with risk mitigation measures. The methodology is described in the American Petroleum Institute Recommended Practice 14C Analysis, Design, Installation, and Testing of Basic Surface Safety Systems for Offshore Production Platforms. The technique uses system analysis methods to determine the safety requirements to protect any individual process component, e.g. a vessel, pipeline, or pump. The safety requirements of individual components are integrated into a complete platform safety system, including liquid containment and emergency support systems such as fire and gas detection. The first stage of the analysis identifies individual process components, these can include: flowlines, headers, pressure vessels, atmospheric vessels, fired heaters, exhaust heated components, pumps, compressors, pipelines and heat exchangers. Each component is subject to a safety analysis to identify undesirable events (equipment failure, process upsets, etc.) for which protection must be provided. The analysis also identifies a detectable condition (e.g. high pressure) which is used to initiate actions to prevent or minimize the effect of undesirable events. A Safety Analysis Table (SAT) for pressure vessels includes the following details. Other undesirable events for a pressure vessel are under-pressure, gas blowby, leak, and excess temperature together with their associated causes and detectable conditions. Once the events, causes and detectable conditions have been identified the next stage of the methodology uses a Safety Analysis Checklist (SAC) for each component. This lists the safety devices that may be required or factors that negate the need for such a device. For example, for the case of liquid overflow from a vessel (as above) the SAC identifies: A4.2d - High level sensor (LSH) 1. LSH installed. 2. Equipment downstream of gas outlet is not a flare or vent system and can safely handle maximum liquid carry-over. 3. Vessel function does not require handling of separate fluid phases. 4. Vessel is a small trap from which liquids are manually drained. The analysis ensures that two levels of protection are provided to mitigate each undesirable event. For example, for a pressure vessel subjected to over-pressure the primary protection would be a PSH (pressure switch high) to shut off inflow to the vessel, secondary protection would be provided by a pressure safety valve (PSV) on the vessel. The next stage of the analysis relates all the sensing devices, shutdown valves (ESVs), trip systems and emergency support systems in the form of a Safety Analysis Function Evaluation (SAFE) chart. X denotes that the detection device on the left (e.g. PSH) initiates the shutdown or warning action on the top right (e.g. ESV closure). The SAFE chart constitutes the basis of Cause and Effect Charts which relate the sensing devices to shutdown valves and plant trips which defines the functional architecture of the process shutdown system. The methodology also specifies the systems testing that is necessary to ensure the functionality of the protection systems. API RP 14C was first published in June 1974. The 8th edition was published in February 2017. API RP 14C was adapted as ISO standard ISO 10418 in 1993 entitled Petroleum and natural gas industries — Offshore production installations — Analysis, design, installation and testing of basic surface process safety systems. The latest 2003 edition of ISO 10418 is currently (2019) undergoing revision. Safety certification Typically, safety guidelines prescribe a set of steps, deliverable documents, and exit criterion focused around planning, analysis and design, implementation, verification and validation, configuration management, and quality assurance activities for the development of a safety-critical system. In addition, they typically formulate
conference held annually, has been held since 2008 in countries throughout Asia. Overview The conference incorporates both academic presentations as well as an industry trade show. Other events at the conference include educational courses and panel discussions on recent topics in computer graphics and interactive techniques. SIGGRAPH Proceedings The SIGGRAPH conference proceedings, which are published in the ACM Transactions on Graphics, has one of the highest impact factors among academic publications in the field of computer graphics. The paper acceptance rate for SIGGRAPH has historically been between 17% and 29%, with the average acceptance rate between 2015 and 2019 of 27%. The submitted papers are peer-reviewed under a process that was historically single-blind, but was changed in 2018 to double-blind. The papers accepted for presentation at SIGGRAPH are printed since 2003 in a special issue of the ACM Transactions on Graphics journal. Prior to 1992, SIGGRAPH papers were printed as part of the Computer Graphics publication; between 1993 and 2001, there was a dedicated SIGGRAPH Conference Proceedings series of
Outstanding Creative Contributions to Computer Graphics. It has been awarded every two years since 1983 to recognize an individual's lifetime achievement in computer graphics. Conference The SIGGRAPH conference experienced significant growth starting in the 1970s, peaking around the turn of the century. A second conference, SIGGRAPH Asia, started in 2008. See also Association for Computing Machinery ACM SIGGRAPH ACM Transactions on Graphics Computer Graphics, a publication of ACM SIGGRAPH The list of computer science conferences contains other academic conferences in computer science. References External links ACM SIGGRAPH website ACM SIGGRAPH conference publications (ACM Digital Library) ACM SIGGRAPH YouTube SIGGRAPH 2017 Conference,
their use. The 1A (or 10) variant is used for mining, and is based mostly on crystalline PETN. The versions 1AP and 2P are formed as hexagonal booster charges; a special assembly of PETN and wax inside the charge assures high reliability for detonating cord or detonator. The H (or SE) variant is intended for explosion hardening. History Semtex was invented in the late 1950s by Stanislav Brebera and Radim Fukátko, chemists at VCHZ Synthesia, Czechoslovakia (now Czech Republic). The explosive is named after Semtín, a suburb of Pardubice where the mixture was first manufactured starting in 1964. The plant was later renamed to become Explosia a.s., a subsidiary of Synthesia. Semtex was very similar to other plastic explosives, especially C-4, in being highly malleable; but it is usable over a greater temperature range than other plastic explosives, since it stays plastic between −40 and +60 °C. It is also waterproof. There are visual differences between Semtex and other plastic explosives, too: while C-4 is off-white in colour, Semtex is red or brick-orange. The new explosive was widely exported, notably to the government of North Vietnam, which received 14 tons during the Vietnam War. However, the main consumer was Libya; about 700 tons of Semtex were exported to Libya between 1975 and 1981 by Omnipol. It has also been used by Islamic militants in the Middle East and by the Provisional Irish Republican Army (PIRA) and the Irish National Liberation Army in Northern Ireland. Sales declined after Semtex became closely associated with terrorist attacks. Rules governing the explosive's exportation were progressively tightened over the years, and since 2002 all of Explosia's trading has been controlled by a
C-4, in being highly malleable; but it is usable over a greater temperature range than other plastic explosives, since it stays plastic between −40 and +60 °C. It is also waterproof. There are visual differences between Semtex and other plastic explosives, too: while C-4 is off-white in colour, Semtex is red or brick-orange. The new explosive was widely exported, notably to the government of North Vietnam, which received 14 tons during the Vietnam War. However, the main consumer was Libya; about 700 tons of Semtex were exported to Libya between 1975 and 1981 by Omnipol. It has also been used by Islamic militants in the Middle East and by the Provisional Irish Republican Army (PIRA) and the Irish National Liberation Army in Northern Ireland. Sales declined after Semtex became closely associated with terrorist attacks. Rules governing the explosive's exportation were progressively tightened over the years, and since 2002 all of Explosia's trading has been controlled by a government ministry. , only approximately 10 tons of Semtex were produced annually, almost all for domestic use. On 21 December 1988, 340 g (12 ounces) of Semtex brought down a Boeing 747 over Lockerbie, Scotland killing all 259 passengers and crew aboard the aircraft and 11 bystanders on the ground. Also in response to international agreements, Semtex has a detection taggant added to produce a distinctive vapor signature to aid detection. First, ethylene glycol dinitrate was used, but was later switched to 2,3-dimethyl-2,3-dinitrobutane (DMDNB) or p-mononitrotoluene (1-methyl-4-nitrobenzene), which is used currently. According to the manufacturer, the taggant agent was voluntarily being added by 1991, years before the protocol became compulsory. Batches of Semtex made before 1990, however, are untagged, though it is not known whether there are still major stocks of such old batches of Semtex. According to the manufacturer, even this untagged Semtex can now be detected. The shelf life of Semtex was reduced from ten years before the 1990s to five years now. Explosia states that there is no compulsory tagging allowing reliable post-detonation detection of a certain plastic explosive (such as incorporating a
an Austrian composer Karl E. Schedl (1898–1979), an Austrian entomologist, specialist on Coleoptera Klaus Schedl (born 1966), a German composer Paul Schedl (born 1947), an American Professor of Molecular Biology
E. Schedl (1898–1979), an Austrian entomologist, specialist on Coleoptera Klaus Schedl (born 1966), a German composer
of hesitation in regard to an enemy whose moral perversion is admitted by all. The article described the goals of terror: It demonstrates ... against the true terrorist who hides behind his piles of papers and the laws he has legislated. It is not directed against people, it is directed against representatives. Therefore it is effective. If it also shakes the Yishuv from their complacency, good and well. Yitzhak Shamir, one of the three leaders of Lehi after Avraham Stern's assassination, argued for the legitimacy of Lehi's actions: There are those who say that to kill [T.G.] Martin [a CID sergeant who had recognised Shamir in a lineup] is terrorism, but to attack an army camp is guerrilla warfare and to bomb civilians is professional warfare. But I think it is the same from the moral point of view. Is it better to drop an atomic bomb on a city than to kill a handful of persons? I don't think so. But nobody says that President Truman was a terrorist. All the men we went for individually – Wilkin, Martin, MacMichael and others – were personally interested in succeeding in the fight against us. So it was more efficient and more moral to go for selected targets. In any case, it was the only way we could operate, because we were so small. For us it was not a question of the professional honor of a soldier, it was the question of an idea, an aim that had to be achieved. We were aiming at a political goal. There are many examples of what we did to be found in the Bible – Gideon and Samson, for instance. This had an influence on our thinking. And we also learned from the history of other peoples who fought for their freedom – the Russian and Irish revolutionaries, Giuseppe Garibaldi and Josip Broz Tito. 18 Principles of Rebirth Avraham Stern laid out the ideology of Lehi in the essay 18 Principles of Rebirth: THE NATION: The Jewish people is a covenanted people, the originator of monotheism, formulator of the prophetic teachings, standard bearer of human culture, guardian of glorious patrimony. The Jewish people is schooled in self-sacrifice and suffering; its vision, survivability and faith in redemption are indestructible. THE HOMELAND: The homeland in the Land of Israel within the borders delineated in the Bible ("To your descendants, I shall give this land, from the River of Egypt to the great Euphrates River." Genesis 15:18) This is the land of the living, where the entire nation shall live in safety. THE NATION AND ITS LAND: Israel conquered the land with the sword. There it became a great nation and only there it will be reborn. Hence Israel alone has a right to that land. This is an absolute right. It has never expired and never will. THE GOALS: Redemption of the land. Establishment of sovereignty. Revival of the nation. There is no sovereignty without the redemption of the land, and there is no national revival without sovereignty. These are the goals of the organization during the period of war and conquest: EDUCATION: Educate the nation to love freedom and zealously guard Israel's eternal patrimony. Inculcate the idea that the nation is master to its own fate. Revive the doctrine that "The sword and the book came bound together from heaven." (Midrash Vayikra Rabba 35:8) UNITY: The unification of the entire nation around the banner of the Hebrew freedom movement. The use of the genius, status and resources of individuals and the channeling of the energy, devotion and revolutionary fervour of the masses for the war of liberation. PACTS: Make pacts with all those who are willing to help the struggle of the organization and provide direct support. FORCE: Consolidate and increase the fighting force in the homeland and in the Diaspora, in the underground and in the barracks, to become the Hebrew army of liberation with its flag, arms, and commanders. WAR: Constant war against those who stand in the way of fulfilling the goals. CONQUEST: The conquest of the homeland from foreign rule and its eternal possession. These are the tasks of the movement during the period of sovereignty and redemption: SOVEREIGNTY: Renewal of Hebrew sovereignty over the redeemed land. RULE OF JUSTICE: The establishment of a social order in the spirit of Jewish morality and prophetic justice. Under such an order no one will go hungry or unemployed. All will live in harmony, mutual respect and friendship as an example to the world. REVIVING THE WILDERNESS: Build the ruins and revive the wilderness for mass immigration and population increase. ALIENS: Solve the problem of alien population [i.e. the Arab inhabitants of Palestine] by exchange of population. INGATHERING OF THE EXILES: Total in-gathering of the exiles to their sovereign state. POWER: The Hebrew nation shall become a first-rate military, political, cultural and economical entity in the Middle East and around the Mediterranean Sea. REVIVAL: The revival of the Hebrew language as a spoken language by the entire nation, the renewal of the historical and spiritual might of Israel. The purification of the national character in the fire of revival. THE TEMPLE: The building of the Third Temple as a symbol of the new era of total redemption. Relationship with fascism and socialism Unlike the left-wing Haganah and right-wing Irgun, Lehi members were not a homogeneous collective with a single political, religious, or economic ideology. They were a combination of militants united by the goal of liberating the land of Israel from British rule. Most Lehi leaders defined their organization as an anti-imperialism movement and stated that their opposition to British colonial rule in Palestine was not based on a particular policy but rather on the presence of a foreign power over the homeland of the Jewish people. Avraham Stern defined the British Mandate as "foreign rule" regardless of British policies and took a radical position against such imperialism even if it were to be benevolent. In the early years of the state of Israel Lehi veterans could be found supporting nearly all political parties and some Lehi leaders founded a left-wing political party called the Fighters' List with Natan Yellin-Mor as its head. The party took part in the elections in January 1949 and won a single parliamentary seat. A number of Lehi veterans established the Semitic Action movement in 1956 which sought the creation of a regional federation encompassing Israel and its Arab neighbors on the basis of an anti-colonialist alliance with other indigenous inhabitants of the Middle East. Some writers have stated that Lehi's true goals were the creation of a totalitarian state. Perlinger and Weinberg write that the organisation's ideology placed "its world view in the quasi-fascist radical Right, which is characterised by xenophobia, a national egotism that completely subordinates the individual to the needs of the nation, anti-liberalism, total denial of democracy and a highly centralised government." Perliger and Weinberg state that most Lehi members were admirers of the Italian Fascist movement. According to Kaplan and Penslar, Lehi's ideology was a mix of fascist and communist thought combined with racism and universalism. Others counter these claims. They note that when Lehi founder Avraham Stern went to study in fascist Italy, he refused to join the Gruppo Universitario Fascista for foreign students, even though members got large reductions in tuition. Racism According to Yaacov Shavit, professor at the Department of Jewish History, Tel Aviv University, articles in Lehi publications contained references to a Jewish "master race", contrasting the Jews with Arabs who were seen as a "nation of slaves". Sasha Polakow-Suransky writes that "Lehi was also unabashedly racist towards Arabs. Their publications described Jews as a master race and Arabs as a slave race." Lehi advocated mass expulsion of all Arabs from Palestine and Transjordan or even their physical annihilation. Evolution and tactics of the organization Many Lehi combatants had received military training. Some had attended the Military Engineers School in Civitavecchia, in Fascist Italy. Others received military training from instructors of the Polish Armed Forces in 1938–1939. This training was conducted in Trochenbrod (Zofiówka) in Wołyń Voivodeship, Podębin near Łódź, and the forests around Andrychów. They were taught how to use explosives. One of them reported later: "Poles treated terrorism as a science. We have mastered mathematical principles of demolishing constructions made of concrete, iron, wood, bricks and dirt." The group was initially unsuccessful. Early attempts to raise funds through criminal activities, including a bank robbery in Tel Aviv in 1940 and another robbery on 9 January 1942 in which Jewish passers-by were killed, brought about the temporary collapse of the group. An attempt to assassinate the head of the British secret police in Lod in which three police personnel were killed, two Jewish and one British, elicited a severe response from the British and Jewish establishments who collaborated against Lehi. Stern's group was seen as a terrorist organisation by the British authorities, who instructed the Defence Security Office (the colonial branch of MI5) to track down its leaders. In 1942, Stern, after he was arrested, was shot dead in disputed circumstances by Inspector Geoffrey J. Morton of the CID. The arrest of several other members led momentarily to the group's eclipse, until it was revived after the September 1942 escape of two of its leaders, Yitzhak Shamir and Eliyahu Giladi, aided by two other escapees Natan Yellin-Mor (Friedman) and Israel Eldad (Sheib). (Giladi was later killed by Lehi under circumstances that remain mysterious.) Shamir's codename was "Michael", a reference to one of Shamir's heroes, Michael Collins. Lehi was guided by spiritual and philosophical leaders such as Uri Zvi Greenberg and Israel Eldad. After the killing of Giladi, the organization was led by a triumvirate of Eldad, Shamir, and Yellin-Mor. Lehi adopted a non-socialist platform of anti-imperialist ideology. It viewed the continued British rule of Palestine as a violation of the Mandate's provision generally, and its restrictions on Jewish immigration to be an intolerable breach of international law. However they also targeted Jews whom they regarded as traitors, and during the 1948 Arab-Israeli War they joined in operations with the Haganah and Irgun against Arab targets, for example Deir Yassin. According to a compilation by Nachman Ben-Yehuda, Lehi was responsible for 42 assassinations, more than twice as many as the Irgun and Haganah combined during the same period. Of those Lehi assassinations that Ben-Yehuda classified as political, more than half the victims were Jews. Lehi also rejected the authority of the Jewish Agency for Israel and related organizations, operating entirely on its own throughout nearly all of its existence. Lehi prisoners captured by the British generally refused to employ lawyers in their defense. The defendants would conduct their own defense, and would deny the right of the military court to try them, saying that in accordance with the Hague Convention they should be accorded the status of prisoners of war. For the same reason, Lehi prisoners refused to plead for amnesty, even when it was clear that this would have spared them the death penalty. Moshe Barazani, a Lehi member, and Meir Feinstein, an Irgun member, took their own lives in prison with a grenade smuggled inside an orange so the British could not hang them. Wartime contacts with Italy and Nazi Germany Italy In mid-1940, Stern became convinced that the Italians were interested in the establishment of a fascist Jewish state in Palestine. He conducted negotiations, he thought, with the Italians via an intermediary Moshe Rotstein, and drew up a document that became known as the "Jerusalem Agreement". In exchange for Italy's recognition of, and aid in obtaining, Jewish sovereignty over Palestine, Stern promised that Zionism would come under the aegis of Italian fascism, with Haifa as its base, and the Old City of Jerusalem under Vatican control, except for the Jewish quarter. In Heller's words, Stern's proposal would "turn the 'Kingdom of Israel' into a satellite of the Axis powers." However, the "intermediary" Rotstein was in fact an agent of the Irgun, conducting a sting operation under the direction of the Irgun intelligence leader in Haifa, Israel Pritzker, in cooperation with the British. Secret British documents about the affair were uncovered by historian Eldad Harouvi (now director of the Palmach Archives) and confirmed by former Irgun intelligence officer Yitzhak Berman. When Rotstein's role later became clear, Lehi sentenced him to death and assigned Yaacov Eliav to kill him, but the assassination never took place. However, Pritzker was killed by Lehi in 1943. Nazi Germany Late in 1940, Lehi, having identified a common interest between the intentions of the new German order and Jewish national aspirations, proposed forming an alliance in World War II with Nazi Germany. The organization offered cooperation in the following terms: Lehi would rebel against the British, while Germany would recognize an independent Jewish state in Palestine/Eretz Israel, and all Jews leaving their homes in Europe, by their own will or because of government injunctions, could enter Palestine with no restriction of numbers. Late in 1940, Lehi representative Naftali Lubenchik went to Beirut to meet German official Werner Otto von Hentig. The Lehi documents outlined that its rule would be authoritarian and indicated similarities between the organization and Nazis. Israel Eldad, one of the leading members of Lehi, wrote about Hitler "it is not Hitler who is the hater of the kingdom of Israel and the return to Zion, it is not Hitler who
the latter manipulated. In 1940, the idea of the Final Solution was still "unthinkable", and Stern believed that Hitler wanted to make Germany judenrein through emigration, as opposed to extermination. In December 1940, Lehi even contacted Germany with a proposal to aid German conquest in the Middle East in return for recognition of a Jewish state open to unlimited immigration. Goals and methods Lehi had three main goals: To bring together all those interested in liberation (that is, those willing to join in active fighting against the British). To appear before the world as the only active Jewish military organization. To take over Eretz Yisrael (the Land of Israel) by armed force. Lehi believed in its early years that its goals would be achieved by finding a strong international ally that would expel the British from Palestine, in return for Jewish military help; this would require the creation of a broad and organised military force "demonstrating its desire for freedom through military operations." Lehi also referred to themselves as 'terrorists' and may have been one of the last organizations to do so. An article titled "Terror" in the Lehi underground newspaper He Khazit (The Front) argued as follows: Neither Jewish ethics nor Jewish tradition can disqualify terrorism as a means of combat. We are very far from having any moral qualms as far as our national war goes. We have before us the command of the Torah, whose morality surpasses that of any other body of laws in the world: "Ye shall blot them out to the last man." But first and foremost, terrorism is for us a part of the political battle being conducted under the present circumstances, and it has a great part to play: speaking in a clear voice to the whole world, as well as to our wretched brethren outside this land, it proclaims our war against the occupier. We are particularly far from this sort of hesitation in regard to an enemy whose moral perversion is admitted by all. The article described the goals of terror: It demonstrates ... against the true terrorist who hides behind his piles of papers and the laws he has legislated. It is not directed against people, it is directed against representatives. Therefore it is effective. If it also shakes the Yishuv from their complacency, good and well. Yitzhak Shamir, one of the three leaders of Lehi after Avraham Stern's assassination, argued for the legitimacy of Lehi's actions: There are those who say that to kill [T.G.] Martin [a CID sergeant who had recognised Shamir in a lineup] is terrorism, but to attack an army camp is guerrilla warfare and to bomb civilians is professional warfare. But I think it is the same from the moral point of view. Is it better to drop an atomic bomb on a city than to kill a handful of persons? I don't think so. But nobody says that President Truman was a terrorist. All the men we went for individually – Wilkin, Martin, MacMichael and others – were personally interested in succeeding in the fight against us. So it was more efficient and more moral to go for selected targets. In any case, it was the only way we could operate, because we were so small. For us it was not a question of the professional honor of a soldier, it was the question of an idea, an aim that had to be achieved. We were aiming at a political goal. There are many examples of what we did to be found in the Bible – Gideon and Samson, for instance. This had an influence on our thinking. And we also learned from the history of other peoples who fought for their freedom – the Russian and Irish revolutionaries, Giuseppe Garibaldi and Josip Broz Tito. 18 Principles of Rebirth Avraham Stern laid out the ideology of Lehi in the essay 18 Principles of Rebirth: THE NATION: The Jewish people is a covenanted people, the originator of monotheism, formulator of the prophetic teachings, standard bearer of human culture, guardian of glorious patrimony. The Jewish people is schooled in self-sacrifice and suffering; its vision, survivability and faith in redemption are indestructible. THE HOMELAND: The homeland in the Land of Israel within the borders delineated in the Bible ("To your descendants, I shall give this land, from the River of Egypt to the great Euphrates River." Genesis 15:18) This is the land of the living, where the entire nation shall live in safety. THE NATION AND ITS LAND: Israel conquered the land with the sword. There it became a great nation and only there it will be reborn. Hence Israel alone has a right to that land. This is an absolute right. It has never expired and never will. THE GOALS: Redemption of the land. Establishment of sovereignty. Revival of the nation. There is no sovereignty without the redemption of the land, and there is no national revival without sovereignty. These are the goals of the organization during the period of war and conquest: EDUCATION: Educate the nation to love freedom and zealously guard Israel's eternal patrimony. Inculcate the idea that the nation is master to its own fate. Revive the doctrine that "The sword and the book came bound together from heaven." (Midrash Vayikra Rabba 35:8) UNITY: The unification of the entire nation around the banner of the Hebrew freedom movement. The use of the genius, status and resources of individuals and the channeling of the energy, devotion and revolutionary fervour of the masses for the war of liberation. PACTS: Make pacts with all those who are willing to help the struggle of the organization and provide direct support. FORCE: Consolidate and increase the fighting force in the homeland and in the Diaspora, in the underground and in the barracks, to become the Hebrew army of liberation with its flag, arms, and commanders. WAR: Constant war against those who stand in the way of fulfilling the goals. CONQUEST: The conquest of the homeland from foreign rule and its eternal possession. These are the tasks of the movement during the period of sovereignty and redemption: SOVEREIGNTY: Renewal of Hebrew sovereignty over the redeemed land. RULE OF JUSTICE: The establishment of a social order in the spirit of Jewish morality and prophetic justice. Under such an order no one will go hungry or unemployed. All will live in harmony, mutual respect and friendship as an example to the world. REVIVING THE WILDERNESS: Build the ruins and revive the wilderness for mass immigration and population increase. ALIENS: Solve the problem of alien population [i.e. the Arab inhabitants of Palestine] by exchange of population. INGATHERING OF THE EXILES: Total in-gathering of the exiles to their sovereign state. POWER: The Hebrew nation shall become a first-rate military, political, cultural and economical entity in the Middle East and around the Mediterranean Sea. REVIVAL: The revival of the Hebrew language as a spoken language by the entire nation, the renewal of the historical and spiritual might of Israel. The purification of the national character in the fire of revival. THE TEMPLE: The building of the Third Temple as a symbol of the new era of total redemption. Relationship with fascism and socialism Unlike the left-wing Haganah and right-wing Irgun, Lehi members were not a homogeneous collective with a single political, religious, or economic ideology. They were a combination of militants united by the goal of liberating the land of Israel from British rule. Most Lehi leaders defined their organization as an anti-imperialism movement and stated that their opposition to British colonial rule in Palestine was not based on a particular policy but rather on the presence of a foreign power over the homeland of the Jewish people. Avraham Stern defined the British Mandate as "foreign rule" regardless of British policies and took a radical position against such imperialism even if it were to be benevolent. In the early years of the state of Israel Lehi veterans could be found supporting nearly all political parties and some Lehi leaders founded a left-wing political party called the Fighters' List with Natan Yellin-Mor as its head. The party took part in the elections in January 1949 and won a single parliamentary seat. A number of Lehi veterans established the Semitic Action movement in 1956 which sought the creation of a regional federation encompassing Israel and its Arab neighbors on the basis of an anti-colonialist alliance with other indigenous inhabitants of the Middle East. Some writers have stated that Lehi's true goals were the creation of a totalitarian state. Perlinger and Weinberg write that the organisation's ideology placed "its world view in the quasi-fascist radical Right, which is characterised by xenophobia, a national egotism that completely subordinates the individual to the needs of the nation, anti-liberalism, total denial of democracy and a highly centralised government." Perliger and Weinberg state that most Lehi members were admirers of the Italian Fascist movement. According to Kaplan and Penslar, Lehi's ideology was a mix of fascist and communist thought combined with racism and universalism. Others counter these claims. They note that when Lehi founder Avraham Stern went to study in fascist Italy, he refused to join the Gruppo Universitario Fascista for foreign students, even though members got large reductions in tuition. Racism According to Yaacov Shavit, professor at the Department of Jewish History, Tel Aviv University, articles in Lehi publications contained references to a Jewish "master race", contrasting the Jews with Arabs who were seen as a "nation of slaves". Sasha Polakow-Suransky writes that "Lehi was also unabashedly racist towards Arabs. Their publications described Jews as a master race and Arabs as a slave race." Lehi advocated mass expulsion of all Arabs from Palestine and Transjordan or even their physical annihilation. Evolution and tactics of the organization Many Lehi combatants had received military training. Some had attended the Military Engineers School in Civitavecchia, in Fascist Italy. Others received military training from instructors of the Polish Armed Forces in 1938–1939. This training was conducted in Trochenbrod (Zofiówka) in Wołyń Voivodeship, Podębin near Łódź, and the forests around Andrychów. They were taught how to use explosives. One of them reported later: "Poles treated terrorism as a science. We have mastered mathematical principles of demolishing constructions made of concrete, iron, wood, bricks and dirt." The group was initially unsuccessful. Early attempts to raise funds through criminal activities, including a bank robbery in Tel Aviv in 1940 and another robbery on 9 January 1942 in which Jewish passers-by were killed, brought about
a "Distinguished Inventor" for his work on server-side scripting. Explanation In the earlier days of the web, server-side scripting was almost exclusively performed by using a combination of C programs, Perl scripts, and shell scripts using the Common Gateway Interface (CGI). Those scripts were executed by the operating system, and the results were served back by the webserver. Many modern web servers can directly execute on-line scripting languages such as ASP, JSP, Perl, PHP and Ruby either by the web server itself or via extension modules (e.g. mod_perl or mod_php) to the webserver. For example, WebDNA includes its own embedded database system. Either form of scripting (i.e., CGI or direct execution) can be used to build up complex multi-page sites, but direct execution usually results in less overhead because of the lower number of calls to external interpreters. Dynamic websites sometimes use custom web application servers, such as Glassfish, Plack and Python's "Base HTTP Server" library, although some may not consider this to be server-side scripting. When using dynamic web-based scripting techniques, developers must have a keen understanding of the logical, temporal, and physical separation between the client and the server. For a user's action to trigger the execution of server-side code, for example, a developer working with classic ASP must explicitly cause the user's browser to make a request back to the webserver. Server-side scripts are completely processed by the servers instead of clients. When clients request a page containing server-side scripts, the application server processes the scripts and returns an HTML page to the client. Server-side rendering In the beginning of the web content was generated purely on the back end. After the big adoption of front end single-page applications, a new approach was introduced to generate the HTML using the client application, but on the back end. Examples
sending or receiving data over a network are not considered clients, and so the operations of such programs would not be considered client-side operations. History Netscape introduced an implementation of JavaScript for server-side scripting with Netscape Enterprise Server, first released in December, 1994 (soon after releasing JavaScript for browsers). Server-side scripting was later used in early 1995 by Fred DuFrense while developing the first website for Boston, MA television station WCVB. The technology is described in US patent 5835712. The patent was issued in 1998 and is now owned by Open Invention Network (OIN). In 2010 OIN named Fred DuFresne a "Distinguished Inventor" for his work on server-side scripting. Explanation In the earlier days of the web, server-side scripting was almost exclusively performed by using a combination of C programs, Perl scripts, and shell scripts using the Common Gateway Interface (CGI). Those scripts were executed by the operating system, and the results were served back by the webserver. Many modern web servers can directly execute on-line scripting languages such as ASP, JSP, Perl, PHP and Ruby either by the web server itself or via extension modules (e.g. mod_perl or mod_php) to the webserver. For example, WebDNA includes its own embedded database system. Either form of scripting (i.e., CGI or direct execution) can be used to build up complex multi-page sites, but direct execution usually results in less overhead because of the lower number of calls to external interpreters. Dynamic websites sometimes use custom web application servers, such as Glassfish, Plack and Python's "Base HTTP Server" library, although some may not consider this to be server-side scripting. When using dynamic web-based scripting techniques, developers must have a keen understanding of the logical, temporal, and physical separation between the client and the server. For a user's action to trigger the execution of server-side code, for example, a developer working with classic ASP must explicitly cause the user's browser to make a request back to the webserver. Server-side scripts are completely processed by the servers instead of clients. When clients request a page containing server-side scripts, the application server processes the scripts and returns an HTML page to the client. Server-side rendering In the beginning of the web content was generated purely on the back end. After the big adoption of front end single-page applications, a new approach was introduced to generate the HTML using the client application, but on the back end. Examples of frameworks that use
of Ohio Samuel P. Huntington (1927–2008), American political scientist and historian SS Samuel Huntington, an American liberty ship See also Sam Huntington
(1765–1817), American jurist, Governor of Ohio Samuel P. Huntington (1927–2008), American political scientist and historian SS Samuel Huntington, an American liberty ship
a distinctive writing system, based on a repertoire of specific elements or symbols, or that repertoire Script (styles of handwriting) Script (Unicode), historical and modern scripts as organised in Unicode glyph encoding Script typeface, a typeface with characteristics of handwriting Arts, entertainment, and media Script (comics), the dialogue for a comic book or comic strip Script (video games), the narrative and text of a video game Manuscript, any written document, often story-based and unpublished Play (theatre), the dialogue and stage directions for a theatrical production Rob Wagner's Script, a defunct literary
to: Writing systems Script, a distinctive writing system, based on a repertoire of specific elements or symbols, or that repertoire Script (styles of handwriting) Script (Unicode), historical and modern scripts as organised in Unicode glyph encoding Script typeface, a typeface with characteristics of handwriting Arts, entertainment, and media Script (comics), the dialogue for a comic book or comic strip Script (video games), the narrative and text of a video game Manuscript, any written document, often story-based and unpublished Play (theatre), the dialogue and stage directions for a theatrical production Rob Wagner's Script, a defunct literary magazine edited by Rob Wagner Screenplay, the dialogue, action and locations for film or television Scripted sequence, a predefined series of events in a video game triggered by player location or actions The Script, an Irish
polarization state. The independent variable is usually the wavelength of the light or a unit directly proportional to the photon energy, such as reciprocal centimeters or electron volts, which has a reciprocal relationship to wavelength. A spectrometer is used in spectroscopy for producing spectral lines and measuring their wavelengths and intensities. Spectrometers may operate over a wide range of non-optical wavelengths, from gamma rays and X-rays into the far infrared. If the instrument is designed to measure the spectrum on an absolute scale rather than a relative one, then it is typically called a spectrophotometer. The majority of spectrophotometers are used in spectral regions near the visible spectrum. In general, any particular instrument will operate over a small portion of this total range because of the different techniques used to measure different portions of the spectrum. Below optical frequencies (that is, at microwave and radio frequencies), the spectrum analyzer is a closely related electronic device. Spectrometers are used in many fields. For example, they are used in astronomy to analyze the radiation from objects and deduce their chemical composition. The spectrometer uses a prism or a grating to spread the light into a spectrum. This allows astronomers to detect many of the chemical elements by their characteristic spectral lines. These lines are named for the elements which cause them, such as the hydrogen alpha, beta, and gamma lines. A glowing object will show bright spectral lines. Dark lines are made by absorption, for example by light passing through a gas cloud, and these absorption lines can also identify chemical compounds. Much of our knowledge of the chemical makeup of the universe comes from spectra. Spectroscopes Spectroscopes are often used in astronomy and some branches of chemistry. Early spectroscopes were simply prisms with graduations marking wavelengths of light. Modern spectroscopes generally use a diffraction grating, a movable slit, and some kind of photodetector, all automated and controlled by a computer. Recent advances have seen increasing reliance of computational algorithms in a range of miniaturised spectrometers without diffraction gratings, for example, through the use of quantum dot-based filter arrays on to a CCD chip or a series of photodetectors realised on a single nanostructure. Joseph von Fraunhofer developed the first modern spectroscope by combining a prism, diffraction slit and telescope in a manner that increased the spectral resolution and was reproducible in other laboratories. Fraunhofer also went on to invent the first diffraction spectroscope. Gustav Robert Kirchhoff and Robert Bunsen discovered the application of spectroscopes to chemical analysis and used this approach to discover caesium and rubidium. Kirchhoff and Bunsen's analysis also enabled a chemical explanation of stellar spectra, including Fraunhofer lines. When a material is heated to incandescence it emits light that is characteristic of the atomic makeup of the material. Particular light frequencies give rise to sharply defined bands on the scale which can be thought of as fingerprints. For example, the element sodium has a very characteristic double yellow band known as the Sodium D-lines at 588.9950 and 589.5924 nanometers, the color of which will be familiar to anyone who has seen a low pressure sodium vapor lamp. In the original spectroscope design in the early 19th century, light entered a slit and a collimating lens transformed the light into a thin beam of parallel rays. The light then passed through a prism (in hand-held spectroscopes, usually an Amici prism) that refracted the beam into a spectrum because different wavelengths were refracted different amounts due to dispersion. This image was then viewed through a tube with a scale that was transposed upon the spectral image, enabling its direct measurement. With the development of photographic film, the more accurate spectrograph was created. It was based on the same principle as the spectroscope, but it had a camera in place of
of photosensors are also used in place of film in spectrographic systems. Such spectral analysis, or spectroscopy, has become an important scientific tool for analyzing the composition of unknown material and for studying astronomical phenomena and testing astronomical theories. In modern spectrographs in the UV, visible, and near-IR spectral ranges, the spectrum is generally given in the form of photon number per unit wavelength (nm or μm), wavenumber (μm−1, cm−1), frequency (THz), or energy (eV), with the units indicated by the abscissa. In the mid- to far-IR, spectra are typically expressed in units of Watts per unit wavelength (μm) or wavenumber (cm−1). In many cases, the spectrum is displayed with the units left implied (such as "digital counts" per spectral channel). In Gemology Gemologists frequently use spectroscopes to determine the absorption spectra of gemstones, thereby allowing them to make inferences about what kind of gem they are examining. A gemologist may compare the absoprtion spectrum they observe with a catalogue of spectra for various gems to help narrow down the exact identity of the gem. Spectrographs A spectrograph is an instrument that separates light by its wavelengths and records this data. A spectrograph typically has a multi-channel detector system or camera that detects and records the spectrum of light. The term was first used in 1876 by Dr. Henry Draper when he invented the earliest version of this device, and which he used to take several photographs of the spectrum of Vega. This earliest version of the spectrograph was cumbersome to use and difficult to manage. There are several kinds of machines referred to as spectrographs, depending on the precise nature of the waves. The first spectrographs used photographic paper as the detector. The plant pigment phytochrome was discovered using a spectrograph that used living plants as the detector. More recent spectrographs use electronic detectors, such as CCDs which can be used for both visible and UV light. The exact choice of detector depends on the wavelengths of light to be recorded. A spectrograph is sometimes called polychromator, as an analogy to monochromator. Stellar and solar spectrograph The star spectral classification and discovery of the main sequence, Hubble's law and the Hubble sequence were all made with spectrographs that used photographic paper. The forthcoming James Webb Space Telescope will contain both a near-infrared spectrograph (NIRSpec) and a mid-infrared spectrograph (MIRI). Echelle spectrograph An Echelle spectrograph uses two diffraction gratings, rotated 90 degrees with respect to each other and placed close to one another. Therefore, an entrance point and not a slit is used and a 2d CCD-chip records the spectrum. Usually one would guess to retrieve a spectrum on the diagonal, but when both gratings have a wide spacing and one is blazed so that only the first order is visible and the other is blazed that a lot of higher orders are visible, one gets a very fine spectrum nicely folded onto a small common CCD-chip. The small chip also means that the collimating optics need not to be optimized for coma or astigmatism, but the spherical aberration can be set to zero. See also Circular dichroism Cosmic Origins Spectrograph Czerny-Turner monochromator Imaging spectrometer List of astronomical instruments List of light sources Long-slit spectroscopy Prism spectrometer Scanning mobility particle sizer Spectrogram Spectrometer Spectroradiometer Spectroscopy Virtually imaged phased array References Bibliography J. F. James and R. S. Sternberg (1969), The Design of Optical Spectrometers (Chapman and Hall Ltd) James, John (2007), Spectrograph Design Fundamentals (Cambridge University Press) Browning, John (1882), How to work with the spectroscope : a manual of practical manipulation with spectroscopes of all kinds External links Spectrograph for astronomical Spectra
"FF." Thus, tape drives on System/360 were commonly addressed at 0C0-0C7. Other common byte-multiplexer addresses are: 00A: 2501 Card Reader, 00C/00D: 2540 Reader/Punch, 00E/00F: 1403-N1 Printers, 010-013: 3211 Printers, 020-0BF: 2701/2703 Telecommunications Units. These addresses are still commonly used in z/VM virtual machines. System/360 models 40 and 50 have an integrated 1052-7 console that is usually addressed as 01F, however, this was not connected to the byte-multiplexer channel, but rather, had a direct internal connection to the mainframe. The model 30 attached a different model of 1052 through a 1051 control unit. The models 60 through 75 also use the 1052-7. Selector channels enabled I/O to high speed devices. These storage devices were attached to a control unit and then to the channel. The control unit let clusters of devices be attached to the channels. On higher speed models, multiple selector channels, which could operate simultaneously or in parallel, improved overall performance. Control units are connected to the channels with "bus and tag" cable pairs. The bus cables carried the address and data information and the tag cables identified what data was on the bus. The general configuration of a channel is to connect the devices in a chain, like this: Mainframe—Control Unit X—Control Unit Y—Control Unit Z. Each control unit is assigned a "capture range" of addresses that it services. For example, control unit X might capture addresses 40-4F, control unit Y: C0-DF, and control unit Z: 80-9F. Capture ranges had to be a multiple of 8, 16, 32, 64, or 128 devices and be aligned on appropriate boundaries. Each control unit in turn has one or more devices attached to it. For example, you could have control unit Y with 6 disks, that would be addressed as C0-C5. There are three general types of bus-and-tag cables produced by IBM. The first is the standard gray bus-and-tag cable, followed by the blue bus-and-tag cable, and finally the tan bus-and-tag cable. Generally, newer cable revisions are capable of higher speeds or longer distances, and some peripherals specified minimum cable revisions both upstream and downstream. The cable ordering of the control units on the channel is also significant. Each control unit is "strapped" as High or Low priority. When a device selection was sent out on a mainframe's channel, the selection was sent from X->Y->Z->Y->X. If the control unit was "high" then the selection was checked in the outbound direction, if "low" then the inbound direction. Thus, control unit X was either 1st or 5th, Y was either 2nd or 4th, and Z was 3rd in line. It is also possible to have multiple channels attached to a control unit from the same or multiple mainframes, thus providing a rich high-performance, multiple-access, and backup capability. Typically the total cable length of a channel is limited to 200 feet, less being preferred. Each control unit accounts for about 10 "feet" of the 200-foot limit. Block multiplexer channel IBM first introduced a new type of I/O channel on the Model 85 and Model 195, the 2880 block multiplexer channel, and then made them standard on the System/370. This channel allowed a device to suspend a channel program, pending the completion of an I/O operation and thus to free the channel for use by another device. A block multiplexer channel can support either standard 1.5 MB/second connections or, with the 2-byte interface feature, 3 MB/second; the latter use one tag cable and two bus cables. On the S/370 there is an option for a 3.0 MB/s data streaming channel with one bus cable and one tag cable. The initial use for this was the 2305 fixed-head disk, which has 8 "exposures" (alias addresses) and rotational position sensing (RPS). Block multiplexer channels can operate as a selector channel to allow compatible attachment of legacy subsystems. Basic hardware components Being uncertain of the reliability and availability of the then new monolithic integrated circuits, IBM chose instead to design and manufacture its own custom hybrid integrated circuits. These were built on 11 mm square ceramic substrates. Resistors were silk screened on and discrete glass encapsulated transistors and diodes were added. The substrate was then covered with a metal lid or encapsulated in plastic to create a "Solid Logic Technology" (SLT) module. A number of these SLT modules were then flip chip mounted onto a small multi-layer printed circuit "SLT card". Each card had one or two sockets on one edge that plugged onto pins on one of the computer's "SLT boards". This was the reverse of how most other company's cards were mounted, where the cards had pins or printed contact areas and plugged into sockets on the computer's boards. Up to twenty SLT boards could be assembled side-by-side (vertically and horizontally) to form a "logic gate". Several gates mounted together constituted a box-shaped "logic frame". The outer gates were generally hinged along one vertical edge so they could be swung open to provide access to the fixed inner gates. The larger machines could have more than one frame bolted together to produce the final unit, such as a multi-frame Central Processing Unit (CPU). Operating system software The smaller System/360 models used the Basic Operating System/360 (BOS/360), Tape Operating System (TOS/360), or Disk Operating System/360 (DOS/360, which evolved into DOS/VS, DOS/VSE, VSE/AF, VSE/SP, VSE/ESA, and then z/VSE). The larger models used Operating System/360 (OS/360). IBM developed several levels of OS/360, with increasingly powerful features: Primary Control Program (PCP), Multiprogramming with a Fixed number of Tasks (MFT), and Multiprogramming with a Variable number of Tasks (MVT). MVT took a long time to develop into a usable system, and the less ambitious MFT was widely used. PCP was used on intermediate machines too small to run MFT well, and on larger machines before MFT was available; the final releases of OS/360 included only MFT and MVT. For the System/370 and later machines, MFT evolved into OS/VS1, while MVT evolved into OS/VS2 (SVS) (Single Virtual Storage), then various versions of MVS (Multiple Virtual Storage) culminating in the current z/OS. When it announced the Model 67 in August 1965, IBM also announced TSS/360 (Time-Sharing System) for delivery at the same time as the 67. TSS/360, a response to Multics, was an ambitious project that included many advanced features. It had performance problems, was delayed, canceled, reinstated, and finally canceled again in 1971. Customers migrated to CP-67, MTS (Michigan Terminal System), TSO (Time Sharing Option for OS/360), or one of several other time-sharing systems. CP-67, the original virtual machine system, was also known as CP/CMS. CP/67 was developed outside the IBM mainstream at IBM's Cambridge Scientific Center, in cooperation with MIT researchers. CP/CMS eventually won wide acceptance, and led to the development of VM/370 (Virtual Machine) which had a primary interactive "sub" operating system known as VM/CMS (Conversational Monitoring System). This evolved into today's z/VM. The Model 20 offered a simplified and rarely used tape-based system called TPS (Tape Processing System), and DPS (Disk Processing System) that provided support for the 2311 disk drive. TPS could run on a machine with 8 KB of memory; DPS required 12 KB, which was pretty hefty for a Model 20. Many customers ran quite happily with 4 KB and CPS (Card Processing System). With TPS and DPS, the card reader was used to read the Job Control Language cards that defined the stack of jobs to run and to read in transaction data such as customer payments. The operating system was held on tape or disk, and results could also be stored on the tapes or hard drives. Stacked job processing became an exciting possibility for the small but adventurous computer user. A little-known and little-used suite of 80-column punched-card utility programs known as Basic Programming Support (BPS) (jocularly: Barely Programming Support), a precursor of TOS, was available for smaller systems. Component names IBM created a new naming system for the new components created for System/360, although well-known old names, like IBM 1403 and IBM 1052, were retained. In this new naming system, components were given four-digit numbers starting with 2. The second digit described the type of component, as follows: Peripherals IBM developed a new family of peripheral equipment for System/360, carrying over a few from its older 1400 series. Interfaces were standardized, allowing greater flexibility to mix and match processors, controllers and peripherals than in the earlier product lines. In addition, System/360 computers could use certain peripherals that were originally developed for earlier computers. These earlier peripherals used a different numbering system, such as the IBM 1403 chain printer. The 1403, an extremely reliable device that had already earned a reputation as a workhorse, was sold as the 1403-N1 when adapted for the System/360. Also available were optical character recognition (OCR) readers IBM 1287 and IBM 1288 which could read Alpha Numeric (A/N) and Numeric Hand Printed (NHP/NHW) Characters from Cashier's rolls of tape to full legal size pages. At the time this was done with very large optical/logic readers. Software was too slow and expensive at that time. Models 65 and below sold with an IBM 1052-7 as the console typewriter. The 360/85 with feature 5450 uses a display console that was not compatible with anything else in the line; the later 3066 console for the 370/165 and 370/168 use the same basic display design as the 360/85. The IBM System/360 models 91 and 195 use a graphical display similar to the IBM 2250 as their primary console. Additional operator consoles were also available. Certain high-end machines could optionally be purchased with a 2250 graphical display, costing upwards of US $100,000; smaller machines could use the less expensive 2260 display or later the 3270. Direct access storage devices (DASD) The first disk drives for System/360 were IBM 2302s and IBM 2311s. The first drum for System/360 was the IBM 7320. The 156 KB/second 2302 was based on the earlier 1302 and was available as a model 3 with two 112.79 MB modules or as a model 4 with four such modules. The 2311, with a removable 1316 disk pack, was based on the IBM 1311 and had a theoretical capacity of 7.2 MB, although actual capacity varied with record design. (When used with a 360/20, the 1316 pack was formatted into fixed-length 270 byte sectors, giving a maximum capacity of 5.4MB.) In 1966, the first 2314s shipped. This device had up to eight usable disk drives with an integral control unit; there were nine drives, but one was reserved as a spare. Each drive used a removable 2316 disk pack with a capacity of nearly 28 MB. The disk packs for the 2311 and 2314 were physically large by today's standards — e.g., the 1316 disk pack was about in diameter and had six platters stacked on a central spindle. The top and bottom outside platters did not store data. Data were recorded on the inner sides of the top and bottom platters and both sides of the inner platters, providing 10 recording surfaces. The 10 read/write heads moved together across the surfaces of the platters, which were formatted with 203 concentric tracks. To reduce the amount of head movement (seeking), data was written in a virtual cylinder from inside top platter down to inside bottom platter. These disks were not usually formatted with fixed-sized sectors as are today's hard drives (though this was done with CP/CMS). Rather, most System/360 I/O software could customize the length of the data record (variable-length records), as was the case with magnetic tapes. Some of the most powerful early System/360s used high-speed head-per-track drum storage devices. The 3,500 RPM 2301, which replaced the 7320, was part of the original System/360 announcement, with a capacity of 4 MB. The 303.8 KB/second IBM 2303 was announced on January 31, 1966, with a capacity of 3.913 MB. These were the only drums announced for System/360 and System/370, and their niche was later filled by fixed-head disks. The 6,000 RPM 2305 appeared in 1970, with capacities of 5 MB (2305-1) or 11 MB (2305-2) per module. Although these devices did not have large capacity, their speed and transfer rates made them attractive for high-performance needs. A typical use was overlay linkage (e.g. for OS and application subroutines) for program sections written to alternate in the same memory regions. Fixed head disks and drums were particularly effective as paging devices on the early virtual memory systems. The 2305, although often called a "drum" was actually a head-per-track disk device, with 12 recording surfaces and a data transfer rate up to 3 MB per second. Rarely seen was the IBM 2321 Data Cell, a mechanically complex device that contained multiple magnetic strips to hold data; strips could be randomly accessed, placed upon a cylinder-shaped drum for read/write operations; then returned to an internal storage cartridge. The IBM Data Cell [noodle picker] was among several IBM trademarked "speedy" mass online direct-access storage peripherals (reincarnated in recent years as "virtual tape" and automated tape librarian peripherals). The 2321 file had a capacity of 400 MB, at the time when the 2311 disk drive only had 7.2 MB. The IBM Data Cell was proposed to fill cost/capacity/speed gap between magnetic tapes—which had high capacity with relatively low cost per stored byte—and disks, which had higher expense per byte. Some installations also found the electromechanical operation less dependable and opted for less mechanical forms of direct-access storage. The Model 44 was unique in offering an integrated single-disk drive as a standard feature. This drive used the 2315 "ramkit" cartridge and provided 1,171,200 bytes of storage. Tape drives The 2400 tape drives consisted of a combined drive and control unit, plus individual 1/2" tape drives attached. With System/360, IBM switched from IBM 7 track to 9 track tape format. 2400 drives could be purchased that read and wrote 7-track tapes for compatibility with the older IBM 729 tape drives. In 1967, a slower and cheaper pair of tape drives with integrated control unit was introduced: the 2415. In 1968, the IBM 2420 tape system was released, offering much higher data rates, self-threading tape operation and 1600bpi packing density. It remained in the product line until 1979. Unit record devices Punched card devices included the 2501 card reader and the 2540 card reader punch. Virtually every System/360 had a 2540. The 2560 MFCM ("Multi-Function Card Machine") reader/sorter/punch, listed above, was for the Model 20 only. It was notorious for reliability problems (earning humorous acronyms often involving "...Card Muncher" or "Mal-Function Card Machine"). Line printers were the IBM 1403 and the slower IBM 1443. A paper tape reader, the IBM 2671, was introduced in 1964. It had a rated speed of 1,000 cps. There were also a paper tape reader and paper tape punch from an earlier era, available only as RPQs (Request Price Quotation). The 1054 (reader) and 1055 (punch), which were carried forward (like the 1052 console typewriter) from the IBM 1050 Teleprocessing System. All these devices operated at a maximum of 15.5 characters per second. The paper tape punch from the IBM 1080 System was also available by RPQ, but at a prohibitively expensive price. Optical character recognition (OCR) devices 1287 and later the 1288 were available on the 360's. The 1287 could read handwritten numerals, some OCR fonts, and cash register OCR paper tape reels. The 1288 'page reader' could handle up to legal size OCR font typewritten pages, as well as handwritten numerals. Both of these OCR devices employed a 'flying spot' scanning principle, with the raster scan provided by a large CRT, and the reflected light density changes were picked up by a high gain photomultiplier tube. Magnetic ink character recognition (MICR) was provided by the IBM 1412 and 1419 cheque sorters, with magnetic ink printing (for cheque books) on 1445 printers (a modified 1443 that used an MICR ribbon). 1412/1419 and 1445 were mainly used by banking institutions. Remaining machines Despite having been sold or leased in very large numbers for a mainframe system of its era only a few of System/360 computers remain mainly as non-operating property of museums or collectors. Examples of existing systems include: The Computer History Museum in Mountain View, California has a non-working Model 30 on display, as do the Museum of Transport and Technology (Motat) in Auckland, New Zealand and the Vienna University of Technology in Austria. The University of Western Australia Computer Club has a complete Model 40 in storage. The KCG Computer Museum of Kyoto Computer Gakuin, Japan's first computer school in town, has an IBM System/360 Model 40 on display. Two IBM System/360 Model 20 processors along with numerous peripherals (forming at least one complete system) located in Nuremberg, Germany were purchased on eBay in April/May 2019 for €3710 by two UK enthusiasts who, over the course of some months, moved the machine to Creslow Park in Buckinghamshire, United Kingdom. The system was in a small, abandoned building left untouched for decades, and apparently had been used in that building since all peripherals were still fully wired and interconnected. The systems are now in a dedicated machine room, and are undergoing
in 1964. Application-level compatibility (with some restrictions) for System/360 software is maintained to the present day with the System z mainframe servers. System/360 history A family of computers Contrasting with industry practice of the day, IBM created an entire new series of computers, from small to large, low- to high-performance, all using the same instruction set (with two exceptions for specific markets). This feat allowed customers to use a cheaper model and then upgrade to larger systems as their needs increased without the time and expense of rewriting software. Before the introduction of System/360, business and scientific applications used different computers with different instruction sets and operating systems. Different-sized computers also had their own instruction sets. IBM was the first manufacturer to exploit microcode technology to implement a compatible range of computers of widely differing performance, although the largest, fastest models had hard-wired logic instead. This flexibility greatly lowered barriers to entry. With most other vendors customers had to choose between machines they could outgrow and machines that were potentially too powerful and thus too costly. This meant that many companies simply did not buy computers. Models IBM initially announced a series of six computers and forty common peripherals. IBM eventually delivered fourteen models, including rare one-off models for NASA. The least expensive model was the Model 20 with as little as 4096 bytes of core memory, eight 16-bit registers instead of the sixteen 32-bit registers of other System/360 models, and an instruction set that was a subset of that used by the rest of the range. The initial announcement in 1964 included Models 30, 40, 50, 60, 62, and 70. The first three were low- to middle-range systems aimed at the IBM 1400 series market. All three first shipped in mid-1965. The last three, intended to replace the 7000 series machines, never shipped and were replaced with the 65 and 75, which were first delivered in November 1965, and January 1966, respectively. Later additions to the low-end included models 20 (1966, mentioned above), 22 (1971), and 25 (1968). The Model 20 had several sub-models; sub-model 5 was at the higher end of the model. The Model 22 was a recycled Model 30 with minor limitations: a smaller maximum memory configuration, and slower I/O channels, which limited it to slower and lower-capacity disk and tape devices than on the 30. The Model 44 (1966) was a specialized model, designed for scientific computing and for real-time computing and process control, featuring some additional instructions, and with all storage-to-storage instructions and five other complex instructions eliminated. A succession of high-end machines included the Model 67 (1966, mentioned below, briefly anticipated as the 64 and 66), 85 (1969), 91 (1967, anticipated as the 92), 95 (1968), and 195 (1971). The 85 design was intermediate between the System/360 line and the follow-on System/370 and was the basis for the 370/165. There was a System/370 version of the 195, but it did not include Dynamic Address Translation. The implementations differed substantially, using different native data path widths, presence or absence of microcode, yet were extremely compatible. Except where specifically documented, the models were architecturally compatible. The 91, for example, was designed for scientific computing and provided out-of-order instruction execution (and could yield "imprecise interrupts" if a program trap occurred while several instructions were being read), but lacked the decimal instruction set used in commercial applications. New features could be added without violating architectural definitions: the 65 had a dual-processor version (M65MP) with extensions for inter-CPU signalling; the 85 introduced cache memory. Models 44, 75, 91, 95, and 195 were implemented with hardwired logic, rather than microcoded as all other models. The Model 67, announced in August 1965, was the first production IBM system to offer dynamic address translation (virtual memory) hardware to support time-sharing. "DAT" is now more commonly referred to as an MMU. An experimental one-off unit was built based on a model 40. Before the 67, IBM had announced models 64 and 66, DAT versions of the 60 and 62, but they were almost immediately replaced with the 67 at the same time that the 60 and 62 were replaced with the 65. DAT hardware would reappear in the S/370 series in 1972, though it was initially absent from the series. Like its close relative, the 65, the 67 also offered dual CPUs. IBM stopped marketing all System/360 models by the end of 1977. Backward compatibility IBM's existing customers had a large investment in software that executed on second-generation machines. Several models offered the option of emulation of the customer's previous computer using a combination of special hardware, special microcode and an emulation program that used the emulation instructions to simulate the target system, so that old programs could run on the new machine. Customers initially had to halt the computer and load the emulation program. IBM later added features and modified emulator programs to allow emulation of the 1401, 1440, 1460, 1410 and 7010 under the control of an operating system. The Model 85 and later System/370 maintained the precedent, retaining emulation options and allowing emulator programs to execute under operating system control alongside native programs. Successors and variants System/360 (excepting the Model 20) was replaced with the compatible System/370 range in 1970 and Model 20 users were targeted to move to the IBM System/3. (The idea of a major breakthrough with FS technology was dropped in the mid-1970s for cost-effectiveness and continuity reasons.) Later compatible IBM systems include the 4300 family, the 308x family, the 3090, the ES/9000 and 9672 families (System/390 family), and the IBM Z series. Computers that were mostly identical or compatible in terms of the machine code or architecture of the System/360 included Amdahl's 470 family (and its successors), Hitachi mainframes, the UNIVAC 9000 series, Fujitsu as the Facom, the RCA Spectra 70 series, and the English Electric System 4. The System 4 machines were built under license to RCA. RCA sold the Spectra series to what was then UNIVAC, where they became the UNIVAC Series 70. UNIVAC also developed the UNIVAC Series 90 as successors to the 9000 series and Series 70. The Soviet Union produced a System/360 clone named the ES EVM. The IBM 5100 portable computer, introduced in 1975, offered an option to execute the System/360's APL.SV programming language through a hardware emulator. IBM used this approach to avoid the costs and delay of creating a 5100-specific version of APL. Special radiation-hardened and otherwise somewhat modified System/360s, in the form of the System/4 Pi avionics computer, are used in several fighter and bomber jet aircraft. In the complete 32-bit AP-101 version, 4 Pi machines were used as the replicated computing nodes of the fault-tolerant Space Shuttle computer system (in five nodes). The U.S. Federal Aviation Administration operated the IBM 9020, a special cluster of modified System/360s for air traffic control, from 1970 until the 1990s. (Some 9020 software is apparently still used via emulation on newer hardware.) Table of System/360 models Model summary Six of the twenty IBM System/360 models announced either were never shipped or were never released. Fourteen of the twenty IBM System/360 models announced shipped. Technical description Influential features The System/360 introduced a number of industry standards to the marketplace, such as: The 8-bit byte (against financial pressure during development to reduce the byte to 4 or 6 bits), rather than adopting the 7030 concept of accessing bytes of variable size at arbitrary bit addresses. Byte-addressable memory (as opposed to bit-addressable or word-addressable memory) 32-bit words The Bus and Tag I/O channel standardized in FIPS-60 Commercial use of microcoded CPUs The IBM Floating Point Architecture The EBCDIC character set Nine track magnetic tape Architectural overview The System/360 series has a computer system architecture specification. This specification makes no assumptions on the implementation itself, but rather describes the interfaces and expected behavior of an implementation. The architecture describes mandatory interfaces that must be available on all implementations, and optional interfaces. Some aspects of this architecture are: Big endian byte ordering A processor with 16 32-bit general purpose registers (R0-R15) A 64-bit program status word (PSW), which describes (among other things) Interrupt masks Privilege states A condition code A 24-bit instruction address An interruption mechanism, maskable and unmaskable interruption classes and subclasses An instruction set. Each instruction is wholly described and also defines the conditions under which an exception is recognized in the form of program interruption. A memory (called storage) subsystem with 8 bits per byte A special processor communication area starting at address 0 24-bit addressing Manual control operations that allow A bootstrap process (a process called Initial Program Load or IPL) Operator-initiated interrupts Resetting the system Basic debugging facilities Manual display and modifications of the system's state (memory and processor) An Input/Output mechanism - which does not describe the devices themselves Some of the optional features are: Binary-coded decimal instructions Floating point instructions Timing facilities (interval timer) Key-controlled memory protection All models of System/360, except for the Model 20 and Model 44, implemented that specification. Binary arithmetic and logical operations are performed as register-to-register and as memory-to-register/register-to-memory as a standard feature. If the Commercial Instruction Set option was installed, packed decimal arithmetic could be performed as memory-to-memory with some memory-to-register operations. The Scientific Instruction Set feature, if installed, provided access to four floating point registers that could be programmed for either 32-bit or 64-bit floating point operations. The Models 85 and 195 could also operate on 128-bit extended-precision floating point numbers stored in pairs of floating point registers, and software provided emulation in other models. The System/360 used an 8-bit byte, 32-bit word, 64-bit double-word, and 4-bit nibble. Machine instructions had operators with operands, which could contain register numbers or memory addresses. This complex combination of instruction options resulted in a variety of instruction lengths and formats. Memory addressing was accomplished using a base-plus-displacement scheme, with registers 1 through F (15). A displacement was encoded in 12 bits, thus allowing a 4096-byte displacement (0-4095), as the offset from the address put in a base register. Register 0 could not be used as a base register nor as an index register (nor as a branch address register), as "0" was reserved to indicate an address in the first 4 KB of memory, that is, if register 0 was specified as described, the value 0x00000000 was implicitly input to the effective address calculation in place of whatever value might be contained within register 0 (or if specified as a branch address register, then no branch was taken, and the content of register 0 was ignored, but any side effect of the instruction was performed). This specific behavior permitted initial execution of an interrupt routines, since base registers would not necessarily be set to 0 during the first few instruction cycles of an interrupt routine. It isn't needed for IPL ("Initial Program Load" or boot), as one can always clear a register without the need to save it. With the exception of the Model 67, all addresses were real memory addresses. Virtual memory was not available in most IBM mainframes until the System/370 series. The Model 67 introduced a virtual memory architecture, which MTS, CP-67, and TSS/360 used—but not IBM's mainline System/360 operating systems. The System/360 machine-code instructions are 2 bytes long (no memory operands), 4 bytes long (one operand), or 6 bytes long (two operands). Instructions are always situated on 2-byte boundaries. Operations like MVC (Move-Characters) (Hex: D2) can only move at most 256 bytes of information. Moving more than 256 bytes of data required multiple MVC operations. (The System/370 series introduced a family of more powerful instructions such as the MVCL "Move-Characters-Long" instruction, which supports moving up to 16 MB as a single block.) An operand is two bytes long, typically representing an address as a 4-bit nibble denoting a base register and a 12-bit displacement relative to the contents of that register, in the range 000–FFF (shown here as hexadecimal numbers). The address corresponding to that operand is the contents of the specified general-purpose register plus the displacement. For example, an MVC instruction that moves 256 bytes (with length code 255 in hexadecimal as FF) from base register 7, plus displacement 000, to base register 8, plus displacement 001, would be coded as the 6-byte instruction "D2FF 8001 7000" (operator/length/address1/address2). The System/360 was designed to separate the system state from the problem state. This provided a basic level of security and recoverability from programming errors. Problem (user) programs could not modify data or program storage associated with the system state. Addressing, data, or operation exception errors made the machine enter the system state through a controlled routine so the operating system could try to correct or terminate the program in error. Similarly, it could recover certain processor hardware errors through the machine check routines. Channels Peripherals interfaced to
abolished the stipulation that the husband had the sole power to administer the children's property. in the 1980s. In various marriage laws around the world, however, the husband continues to have authority; for instance the Civil Code of Iran states at Article 1105: "In relations between husband and wife; the position of the head of the family is the exclusive right of the husband". Depending on jurisdiction, the refusal or inability of a spouse to perform the marital obligations may constitute a ground for divorce, legal separation or annulment. The latter two options are more prevalent in countries where the dominant religion is Roman Catholicism, some of which introduced divorce only recently (i.e. Italy in 1970, Portugal in 1975, Brazil in 1977, Spain in 1981, Argentina in 1987, Paraguay in 1991, Colombia in 1991, Ireland in 1996, Chile in 2004 and Malta in 2011). In recent years, many Western countries have adopted no fault divorce. In some parts of the world, the formal dissolution of a marriage is complicated by the payments and goods which have been exchanged between families (this is common where marriages are arranged). This often makes it difficult to leave a marriage, especially for the woman: in some parts of Africa, once the bride price has been paid, the wife is seen as belonging to the husband and his family; and if she wants to leave, the husband may demand back the bride price that he had paid to the girl's family. The girl's family often cannot or does not want to pay it back. Regardless of legislation, personal relations between spouses may also be influenced by local culture and religion. Minimum age There is often a minimum legal marriageable age. The United Nations Population Fund stated the following: "In 2010, 158 countries reported that 18 years was the minimum legal age for marriage for women without parental consent or approval by a pertinent authority. However, in 146 countries, state or customary law allows girls younger than 18 to marry with the consent of parents or other authorities; in 52 countries, girls under age 15 can marry with parental consent. In contrast, 18 is the legal age for marriage without consent among males in 180 countries. Additionally, in 105 countries, boys can marry with the consent of a parent or a pertinent authority, and in
the husband may demand back the bride price that he had paid to the girl's family. The girl's family often cannot or does not want to pay it back. Regardless of legislation, personal relations between spouses may also be influenced by local culture and religion. Minimum age There is often a minimum legal marriageable age. The United Nations Population Fund stated the following: "In 2010, 158 countries reported that 18 years was the minimum legal age for marriage for women without parental consent or approval by a pertinent authority. However, in 146 countries, state or customary law allows girls younger than 18 to marry with the consent of parents or other authorities; in 52 countries, girls under age 15 can marry with parental consent. In contrast, 18 is the legal age for marriage without consent among males in 180 countries. Additionally, in 105 countries, boys can marry with the consent of a parent or a pertinent authority, and in 23 countries, boys under age 15 can marry with parental consent." Procreation In Western countries, spouses sometimes choose not to have children. In some other parts of the world, there are greater expectations that heterosexual couples will procreate. In some cultures and religions, it is an obligation. In northern Ghana, for example, the payment of bride price signifies a woman's requirement to bear children, and women using birth control are at risks of threats and coercion. Choosing a spouse There are many ways in which a spouse is chosen, which vary across the world, and include love marriage, arranged marriage, and forced marriage. The latter is
(orientation) Sexualities (journal), an academic journal Sexuality (album), a 2008 album by Sébastien Tellier "Sexuality" (Billy Bragg song) (1991) "Sexuality" (Prince song) (1981) "Sexuality", a 1995 song by k.d. lang from All You Can Eat See also
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involves conceptual and textual analysis as well as experimental investigations. Cognitive semiotics initially was developed at the Center for Semiotics at Aarhus University (Denmark), with an important connection with the Center of Functionally Integrated Neuroscience (CFIN) at Aarhus Hospital. Amongst the prominent cognitive semioticians are Per Aage Brandt, Svend Østergaard, Peer Bundgård, Frederik Stjernfelt, Mikkel Wallentin, Kristian Tylén, Riccardo Fusaroli, and Jordan Zlatev. Zlatev later in co-operation with Göran Sonesson established the Center for Cognitive Semiotics (CCS) at Lund University, Sweden. Comics semiotics: the study of the various codes and signs of comics and how they are understood. Computational semiotics: attempts to engineer the process of semiosis, in the study of and design for human–computer interaction or to mimic aspects of human cognition through artificial intelligence and knowledge representation. See also cybercognition. Cultural and literary semiotics: examines the literary world, the visual media, the mass media, and advertising in the work of writers such as Roland Barthes, Marcel Danesi, and Juri Lotman (e.g., Tartu–Moscow Semiotic School).: built on two already-generated interdisciplinary approaches: cybernetics and systems theory, including information theory and science; and Peircean semiotics, including phenomenology and pragmatic aspects of linguistics, attempts to make the two interdisciplinary paradigms—both going beyond mechanistic and pure constructivist ideas—complement each other in a common framework. Design semiotics or product semiotics: the study of the use of signs in the design of physical products; introduced by Martin Krampen and in a practitioner-oriented version by Rune Monö while teaching industrial design at the Institute of Design, Umeå University, Sweden. Ethnosemiotics: a disciplinary perspective which links semiotics concepts to ethnographic methods. Film semiotics: the study of the various codes and signs of film and how they are understood. Key figures include Christian Metz. Finite semiotics: an approach to the semiotics of technology developed by Cameron Shackell. It is used to both trace the effects of technology on human thought and to develop computational methods for performing semiotic analysis. Gregorian chant semiology: a current avenue of palaeographical research in Gregorian chant which is revising the Solesmes school of interpretation. Law and semiotics: one of the more accomplished publications in this field is the International Journal for the Semiotics of Law, published by International Association for the Semiotics of Law. Marketing semiotics (or commercial semiotics): an application of semiotic methods and semiotic thinking to the analysis and development of advertising and brand communications in cultural context. Key figures include Virginia Valentine, Malcolm Evans, Greg Rowland, Georgios Rossolatos. International annual conferences (Semiofest) have been held since 2012. Music semiology: the study of signs as they pertain to music on a variety of levels. Organisational semiotics: the study of semiotic processes in organizations (with strong ties to computational semiotics and human–computer interaction). Pictorial semiotics: an application of semiotic methods and semiotic thinking to art history. Semiotics of music videos: semiotics in popular music. Social semiotics: expands the interpretable semiotic landscape to include all cultural codes, such as in slang, fashion, tattoos, and advertising. Key figures include Roland Barthes, Michael Halliday, Bob Hodge, Chris William Martin and Christian Metz. Structuralism and post-structuralism in the work of Jacques Derrida, Michel Foucault, Louis Hjelmslev, Roman Jakobson, Jacques Lacan, Claude Lévi-Strauss, Roland Barthes, etc.''': an application of semiotic methods and semiotic thinking to theatre studies. Key figures include Keir Elam. Urban semiotics: the study of meaning in urban form as generated by signs, symbols, and their social connotations. Visual semiotics: analyses visual signs; prominent modern founders to this branch are Groupe µ and Göran Sonesson (see also visual rhetoric). Semiotics of photography: is the observation of symbolism used within photography. Artificial Intelligence Semiotics: is the observation of visual symbols and such symbols recognition by machine learning systems. The phrase was coined by Daniel Hoeg in Semiotics Mobility's design process for autonomous recognition and perception. The phrase also refers to machine learning and neural nets application of semiotic methods and semiotic machine learning to the analysis and development of robotics commands and instructions with subsystem communications in autonomous systems context. Semiotics of Mathematics: the study of signs, symbols, sign systems and their structure, meaning and use in mathematics and mathematics education. Notable semioticians Charles Sanders Peirce (1839–1914), a noted logician who founded philosophical pragmatism, defined semiosis as an irreducibly triadic process wherein something, as an object, logically determines or influences something as a sign to determine or influence something as an interpretation or interpretant, itself a sign, thus leading to further interpretants. Semiosis is logically structured to perpetuate itself. The object may be quality, fact, rule, or even fictional (Hamlet), and may be "immediate" to the sign, the object as represented in the sign, or "dynamic", the object as it really is, on which the immediate object is founded. The interpretant may be "immediate" to the sign, all that the sign immediately expresses, such as a word's usual meaning; or "dynamic", such as a state of agitation; or "final" or "normal", the ultimate ramifications of the sign about its object, to which inquiry taken far enough would be destined and with which any interpretant, at most, may coincide. His semiotic covered not only artificial, linguistic, and symbolic signs, but also semblances such as kindred sensible qualities, and indices such as reactions. He came c. 1903 to classify any sign by three interdependent trichotomies, intersecting to form ten (rather than 27) classes of sign. Signs also enter into various kinds of meaningful combinations; Peirce covered both semantic and syntactical issues in his speculative grammar. He regarded formal semiotic as logic per se and part of philosophy; as also encompassing study of arguments (hypothetical, deductive, and inductive) and inquiry's methods including pragmatism; and as allied to, but distinct from logic's pure mathematics. In addition to pragmatism, Peirce provided a definition of "sign" as a representamen, in order to bring out the fact that a sign is something that "represents" something else in order to suggest it (that is, "re-present" it) in some way: Ferdinand de Saussure (1857–1913), the "father" of modern linguistics, proposed a dualistic notion of signs, relating the signifier as the form of the word or phrase uttered, to the signified as the mental concept. According to Saussure, the sign is completely arbitrary—i.e., there is no necessary connection between the sign and its meaning. This sets him apart from previous philosophers, such as Plato or the scholastics, who thought that there must be some connection between a signifier and the object it signifies. In his Course in General Linguistics, Saussure credits the American linguist William Dwight Whitney (1827–1894) with insisting on the arbitrary nature of the sign. Saussure's insistence on the arbitrariness of the sign also has influenced later philosophers and theorists such as Jacques Derrida, Roland Barthes, and Jean Baudrillard. Ferdinand de Saussure coined the term sémiologie while teaching his landmark "Course on General Linguistics" at the University of Geneva from 1906 to 1911. Saussure posited that no word is inherently meaningful. Rather a word is only a "signifier." i.e., the representation of something, and it must be combined in the brain with the "signified", or the thing itself, in order to form a meaning-imbued "sign." Saussure believed that dismantling signs was a real science, for in doing so we come to an empirical understanding of how humans synthesize physical stimuli into words and other abstract concepts. Jakob von Uexküll (1864–1944) studied the sign processes in animals. He used the German word umwelt, "environment," to describe the individual's subjective world, and he invented the concept of functional circle (funktionskreis) as a general model of sign processes. In his Theory of Meaning (Bedeutungslehre, 1940), he described the semiotic approach to biology, thus establishing the field that now is called biosemiotics. Valentin Voloshinov (1895–1936) was a Soviet-Russian linguist, whose work has been influential in the field of literary theory and Marxist theory of ideology. Written in the late 1920s in the USSR, Voloshinov's Marxism and the Philosophy of Language () developed a counter-Saussurean linguistics, which situated language use in social process rather than in an entirely decontextualized Saussurean langue. Louis Hjelmslev (1899–1965) developed a formalist approach to Saussure's structuralist theories. His best known work is Prolegomena to a Theory of Language, which was expanded in Résumé of the Theory of Language, a formal development of glossematics, his scientific calculus of language. Charles W. Morris (1901–1979): Unlike his mentor George Herbert Mead, Morris was a behaviorist and sympathetic to the Vienna Circle positivism of his colleague, Rudolf Carnap. Morris was accused by John Dewey of misreading Peirce. In his 1938 Foundations of the Theory of Signs, he defined semiotics as grouped into three branches: Semantics: deals with the formal properties and interrelation of signs and symbols, without regard to meaning. Syntactics/syntax: deals with the formal structures of signs, particularly the relation between signs and the objects to which they apply (i.e. signs to their designata, and the objects that they may or do denote). Pragmatics: deals with the biotic aspects of semiosis, including all the psychological, biological, and sociological phenomena that occur in the functioning of signs. Pragmatics is concerned with the relation between the sign system and sign-using agents or interpreters (i.e., the human or animal users). Thure von Uexküll (1908–2004), the "father" of modern psychosomatic medicine, developed a diagnostic method based on semiotic and biosemiotic analyses. Roland Barthes (1915–1980) was a French literary theorist and semiotician. He often would critique pieces of cultural material to expose how bourgeois society used them to impose its values upon others. For instance, the portrayal of wine drinking in French society as a robust and healthy habit would be a bourgeois ideal perception contradicted by certain realities (i.e. that wine can be unhealthy and inebriating). He found semiotics useful in conducting these critiques. Barthes explained that these bourgeois cultural myths were second-order signs, or connotations. A picture of a full, dark bottle is a sign, a signifier relating to a signified: a fermented, alcoholic beverage—wine. However, the bourgeois take this signified and apply their own emphasis to it, making "wine" a new signifier, this time relating to a new signified: the idea of healthy, robust, relaxing wine. Motivations for such manipulations vary from a desire to sell products to a simple desire to maintain the status quo. These insights brought Barthes very much in line with similar Marxist theory. Algirdas Julien Greimas (1917–1992) developed a structural version of semiotics named, "generative semiotics", trying to shift the focus of discipline from signs to systems of signification. His theories develop the ideas of Saussure, Hjelmslev, Claude Lévi-Strauss, and Maurice Merleau-Ponty. Thomas A. Sebeok (1920–2001), a student of Charles W. Morris, was a prolific and wide-ranging American semiotician. Although he insisted that animals are not capable of language, he expanded the purview of semiotics to include non-human signaling and communication systems, thus raising some of the issues addressed by philosophy of mind and coining the term zoosemiotics. Sebeok insisted that all communication was made possible by the relationship between an organism and the environment in which it lives. He also posed the equation between semiosis (the activity of interpreting signs) and life—a view that the Copenhagen-Tartu biosemiotic school has further developed. Juri Lotman (1922–1993) was the founding member of the Tartu (or Tartu-Moscow) Semiotic School. He developed a semiotic approach to the study of culture—semiotics of culture—and established a communication model for the study of text semiotics. He also introduced the concept of the semiosphere. Among his Moscow colleagues were Vladimir Toporov, Vyacheslav Ivanov and Boris Uspensky. Christian Metz (1931–1993) pioneered the application of Saussurean semiotics to film theory, applying syntagmatic analysis to scenes of films and grounding film semiotics in greater context. Eliseo Verón (1935–2014) developed his "Social Discourse Theory" inspired in the Peircian conception of "Semiosis." Groupe µ (founded 1967) developed a structural version of rhetorics, and the visual semiotics. Umberto Eco (1932–2016) was an Italian novelist, semiotician and academic. He made a wider audience aware of semiotics by various publications, most notably A Theory of Semiotics and his novel, The Name of the Rose, which includes (second to its plot) applied semiotic operations. His most important contributions to the field bear on interpretation, encyclopedia, and model reader. He also criticized in several works (A theory of semiotics, La struttura assente, Le signe, La production de signes) the "iconism" or "iconic signs" (taken from Peirce's most famous triadic relation, based on indexes, icons, and symbols), to which he proposed four modes of sign production: recognition, ostension, replica, and invention. Julia Kristeva (born 1941), a student of Lucien Goldmann and Roland Barthes, Bulgarian-French semiotician, literary critic, psychoanalyst, feminist, and novelist. She uses psychoanalytical concepts together with the semiotics, distinguishing the two components in the signification, the symbolic and the semiotic. Kristeva also studies the representation of women and women's bodies in popular culture, such as horror films and has had a remarkable influence on feminism and feminist literary studies. Michael Silverstein (1945–2020), a theoretician of semiotics and linguistic anthropology. Over the course of his career he created an original synthesis of research on the semiotics of communication, the sociology of interaction, Russian formalist literary theory, linguistic pragmatics, sociolinguistics, early anthropological linguistics and structuralist grammatical theory, together with his own theoretical contributions, yielding a comprehensive account of the semiotics of human communication and its relation to culture. His main influence was Charles Sanders Peirce, Ferdinand de Saussure, and Roman Jakobson. Current applications Some applications of semiotics include: Representation of a methodology for the analysis of "texts" regardless of the medium in which it is presented. For these purposes, "text" is any message preserved in a form whose existence is independent of both sender and receiver; By scholars and professional researchers as a method to interpret meanings behind symbols and how the meanings are created; Potential improvement of ergonomic design in situations where it is important to ensure that human beings are able to interact more effectively with their environments, whether it be on a large scale, as in architecture, or on a small scale, such as the configuration of instrumentation for human use; and Marketing: Epure, Eisenstat, and Dinu (2014) express that "semiotics allows for the practical distinction of persuasion from manipulation in marketing communication." Semiotics are used in marketing as a persuasive device to influence buyers to change their attitudes and behaviors in the market place. There are two ways that Epure, Eisenstat, and Dinu (2014), building on the works of Roland Barthes, state in which semiotics are used in marketing: Surface: signs are used to create personality for the product, creativity plays its foremost role at this level; Underlying: the concealed meaning of the text, imagery, sounds, etc. Semiotics can also be used to analyze advertising effectiveness and meaning. Cian (2020), for instance, analyzed a specific printed advertisement from two different semiotic points of view. He applied the interpretative instruments provided by the Barthes' school of thinking (focused on the description of explicit signs taken in isolation). He then analyzed the same advertising using Greimas' structural semiotics (where a sign has meaning only when it is interpreted as part of a system). In some countries, the role of semiotics is limited to literary criticism and an appreciation of audio and visual media. This narrow focus may inhibit a more general study of the social and political forces shaping how different media are used and their dynamic status within modern culture. Issues of technological determinism in the choice of media and the design of communication strategies assume new importance in this age of mass media. Main institutions A world organisation of semioticians, the International Association for Semiotic Studies, and its journal Semiotica, was established in 1969. The larger research centers together with teaching program include the semiotics departments at the University of Tartu, University of Limoges, Aarhus University, and Bologna University. Publications Publication of research is both in dedicated journals such as Sign Systems Studies, established by Juri Lotman and published by Tartu University Press; Semiotica, founded by Thomas A. Sebeok and published by Mouton de Gruyter; Zeitschrift für Semiotik; European Journal of Semiotics; Versus (founded and directed by Umberto Eco), et al.; The American Journal of Semiotics; and as articles accepted in periodicals of other disciplines, especially journals oriented toward philosophy and cultural criticism. The major semiotic book series Semiotics, Communication, Cognition, published by De Gruyter Mouton (series editors Paul Cobley and Kalevi Kull) replaces the former "Approaches to Semiotics" (more than 120 volumes) and "Approaches to Applied Semiotics" (series editor Thomas A. Sebeok). Since 1980 the Semiotic Society of America has produced an annual conference series: Semiotics: The Proceedings of the Semiotic Society of America. See also Ethnosemiotics Index of semiotics articles Language-game (philosophy) Medical sign Outline of semiotics Private language argument Semiofest Semiotic elements and classes of signs Structuralist semiotics Universal language Social semiotics References Footnotes Citations Bibliography Atkin, Albert. (2006). "Peirce's Theory of Signs", Stanford Encyclopedia of Philosophy. Barthes, Roland. ([1957] 1987). Mythologies. New York: Hill & Wang. Barthes, Roland ([1964] 1967). Elements of Semiology. (Translated by Annette Lavers & Colin Smith). London: Jonathan Cape. Chandler, Daniel. (2001/2007). Semiotics: The Basics. London: Routledge. Clarke, D. S. (1987). Principles of Semiotic. London: Routledge & Kegan Paul. Clarke, D. S. (2003). Sign Levels. Dordrecht: Kluwer. Culler, Jonathan (1975). Structuralist Poetics: Structuralism, Linguistics and the Study of Literature. London: Routledge & Kegan Paul. Danesi, Marcel & Perron, Paul. (1999). Analyzing Cultures: An Introduction and Handbook. Bloomington: Indiana UP. Danesi, Marcel. (1994). Messages and Meanings: An Introduction to Semiotics. Toronto: Canadian Scholars' Press. Danesi, Marcel. (2002). Understanding Media Semiotics. London: Arnold; New York: Oxford UP. Danesi, Marcel. (2007). The Quest for Meaning: A Guide to Semiotic Theory and Practice. Toronto: University of Toronto Press. Decadt, Yves. 2000. On the Origin and Impact of Information in the Average Evolution: From Bit to Attractor, Atom and Ecosystem [Dutch]. Summary in English available at The Information Philosopher. Deely, John. (2005 [1990]). Basics of Semiotics. 4th ed. Tartu: Tartu University Press. Deely, John. (2000), The Red Book: The Beginning of Postmodern Times or: Charles Sanders Peirce and the Recovery of Signum. Sonesson, Göran, 1989, Pictorial concepts. Inquiries into the semiotic heritage and its relevance for the analysis of the visual world, Lund: Lund University Press.Pictorial concepts. Inquiries into the semiotic heritage and its relevance for the analysis of the visual world . Deely, John. (2001). Four Ages of Understanding. Toronto: University of Toronto Press. Deely, John. (2003), "On the Word Semiotics, Formation and Origins", Semiotica 146.1/4, 1–50. Deely, John. (2003). The Impact on Philosophy of Semiotics. South Bend: St. Augustine Press. Deely, John. (2004), "'Σημειον' to 'Sign' by Way of 'Signum': On the Interplay of Translation and Interpretation in the Establishment of Semiotics", Semiotica 148–1/4, 187–227. Deely, John. (2006), "On 'Semiotics' as Naming the Doctrine of Signs", Semiotica 158.1/4 (2006), 1–33. Derrida, Jacques (1981). Positions. (Translated by Alan Bass). London: Athlone Press. Eagleton, Terry. (1983). Literary Theory: An Introduction. Oxford: Basil Blackwell. Eco, Umberto. (1976). A Theory of Semiotics. London: Macmillan. Eco, Umberto. (1986) Semiotics and the Philosophy of Language. Bloomington: Indiana University Press. Eco, Umberto. (2000) Kant and the Platypus. New York, Harcourt Brace & Company. Eco, Umberto. (1976) A Theory of Semiotics. Indiana, Indiana University Press. Emmeche, Claus; Kull, Kalevi (eds.) (2011) Towards a Semiotic Biology: Life is the Action of Signs. London: Imperial College Press. pdf Foucault, Michel. (1970). The Order of Things: An Archaeology of the Human Sciences. London: Tavistock. Greimas, Algirdas. (1987). On Meaning: Selected Writings in Semiotic Theory. (Translated by Paul J Perron & Frank H Collins). London: Frances Pinter. Herlihy, David. 1988–present. "2nd year class of semiotics". CIT. Hjelmslev, Louis (1961). Prolegomena to a Theory of Language. (Translated by Francis J. Whitfield). Madison: University of Wisconsin Press Hodge, Robert & Kress, Gunther. (1988). Social Semiotics. Ithaca: Cornell UP. Lacan, Jacques. (1977) Écrits: A Selection. (Translated by Alan Sheridan). New York: Norton. Lidov, David (1999) Elements of Semiotics. New York: St. Martin's Press. Liszka, J. J. (1996) A General Introduction to the Semeiotic of C.S. Peirce. Indiana University Press. Locke, John, The Works of John Locke, A New Edition, Corrected, In Ten Volumes, Vol.III, T. Tegg, (London), 1823. (facsimile reprint by Scientia, (Aalen), 1963.) Lotman, Yuri M. (1990). Universe of the Mind: A Semiotic Theory of Culture. (Translated by Ann Shukman). London: I.B. Tauris. Morris, Charles W. (1971). Writings on the general theory of signs. The Hague: Mouton. Nattiez, Jean-Jacques. (1990). Music and Discourse: Toward a Semiology of Music. Translated by Carolyn Abbate. Princeton: Princeton University Press. (Translation of: Musicologie générale et sémiologue. Collection Musique/Passé/Présent 13. Paris: C. Bourgois, 1987). Peirce, Charles S. (1934). Collected papers: Volume V. Pragmatism and pragmaticism. Cambridge, MA, USA: Harvard University Press. Ponzio, Augusto & S. Petrilli (2007) Semiotics Today. From Global Semiotics to Semioethics, a Dialogic Response. New York, Ottawa, Toronto: Legas. 84 pp. Romeo, Luigi (1977), "The Derivation of 'Semiotics' through
this branch are Groupe µ and Göran Sonesson (see also visual rhetoric). Semiotics of photography: is the observation of symbolism used within photography. Artificial Intelligence Semiotics: is the observation of visual symbols and such symbols recognition by machine learning systems. The phrase was coined by Daniel Hoeg in Semiotics Mobility's design process for autonomous recognition and perception. The phrase also refers to machine learning and neural nets application of semiotic methods and semiotic machine learning to the analysis and development of robotics commands and instructions with subsystem communications in autonomous systems context. Semiotics of Mathematics: the study of signs, symbols, sign systems and their structure, meaning and use in mathematics and mathematics education. Notable semioticians Charles Sanders Peirce (1839–1914), a noted logician who founded philosophical pragmatism, defined semiosis as an irreducibly triadic process wherein something, as an object, logically determines or influences something as a sign to determine or influence something as an interpretation or interpretant, itself a sign, thus leading to further interpretants. Semiosis is logically structured to perpetuate itself. The object may be quality, fact, rule, or even fictional (Hamlet), and may be "immediate" to the sign, the object as represented in the sign, or "dynamic", the object as it really is, on which the immediate object is founded. The interpretant may be "immediate" to the sign, all that the sign immediately expresses, such as a word's usual meaning; or "dynamic", such as a state of agitation; or "final" or "normal", the ultimate ramifications of the sign about its object, to which inquiry taken far enough would be destined and with which any interpretant, at most, may coincide. His semiotic covered not only artificial, linguistic, and symbolic signs, but also semblances such as kindred sensible qualities, and indices such as reactions. He came c. 1903 to classify any sign by three interdependent trichotomies, intersecting to form ten (rather than 27) classes of sign. Signs also enter into various kinds of meaningful combinations; Peirce covered both semantic and syntactical issues in his speculative grammar. He regarded formal semiotic as logic per se and part of philosophy; as also encompassing study of arguments (hypothetical, deductive, and inductive) and inquiry's methods including pragmatism; and as allied to, but distinct from logic's pure mathematics. In addition to pragmatism, Peirce provided a definition of "sign" as a representamen, in order to bring out the fact that a sign is something that "represents" something else in order to suggest it (that is, "re-present" it) in some way: Ferdinand de Saussure (1857–1913), the "father" of modern linguistics, proposed a dualistic notion of signs, relating the signifier as the form of the word or phrase uttered, to the signified as the mental concept. According to Saussure, the sign is completely arbitrary—i.e., there is no necessary connection between the sign and its meaning. This sets him apart from previous philosophers, such as Plato or the scholastics, who thought that there must be some connection between a signifier and the object it signifies. In his Course in General Linguistics, Saussure credits the American linguist William Dwight Whitney (1827–1894) with insisting on the arbitrary nature of the sign. Saussure's insistence on the arbitrariness of the sign also has influenced later philosophers and theorists such as Jacques Derrida, Roland Barthes, and Jean Baudrillard. Ferdinand de Saussure coined the term sémiologie while teaching his landmark "Course on General Linguistics" at the University of Geneva from 1906 to 1911. Saussure posited that no word is inherently meaningful. Rather a word is only a "signifier." i.e., the representation of something, and it must be combined in the brain with the "signified", or the thing itself, in order to form a meaning-imbued "sign." Saussure believed that dismantling signs was a real science, for in doing so we come to an empirical understanding of how humans synthesize physical stimuli into words and other abstract concepts. Jakob von Uexküll (1864–1944) studied the sign processes in animals. He used the German word umwelt, "environment," to describe the individual's subjective world, and he invented the concept of functional circle (funktionskreis) as a general model of sign processes. In his Theory of Meaning (Bedeutungslehre, 1940), he described the semiotic approach to biology, thus establishing the field that now is called biosemiotics. Valentin Voloshinov (1895–1936) was a Soviet-Russian linguist, whose work has been influential in the field of literary theory and Marxist theory of ideology. Written in the late 1920s in the USSR, Voloshinov's Marxism and the Philosophy of Language () developed a counter-Saussurean linguistics, which situated language use in social process rather than in an entirely decontextualized Saussurean langue. Louis Hjelmslev (1899–1965) developed a formalist approach to Saussure's structuralist theories. His best known work is Prolegomena to a Theory of Language, which was expanded in Résumé of the Theory of Language, a formal development of glossematics, his scientific calculus of language. Charles W. Morris (1901–1979): Unlike his mentor George Herbert Mead, Morris was a behaviorist and sympathetic to the Vienna Circle positivism of his colleague, Rudolf Carnap. Morris was accused by John Dewey of misreading Peirce. In his 1938 Foundations of the Theory of Signs, he defined semiotics as grouped into three branches: Semantics: deals with the formal properties and interrelation of signs and symbols, without regard to meaning. Syntactics/syntax: deals with the formal structures of signs, particularly the relation between signs and the objects to which they apply (i.e. signs to their designata, and the objects that they may or do denote). Pragmatics: deals with the biotic aspects of semiosis, including all the psychological, biological, and sociological phenomena that occur in the functioning of signs. Pragmatics is concerned with the relation between the sign system and sign-using agents or interpreters (i.e., the human or animal users). Thure von Uexküll (1908–2004), the "father" of modern psychosomatic medicine, developed a diagnostic method based on semiotic and biosemiotic analyses. Roland Barthes (1915–1980) was a French literary theorist and semiotician. He often would critique pieces of cultural material to expose how bourgeois society used them to impose its values upon others. For instance, the portrayal of wine drinking in French society as a robust and healthy habit would be a bourgeois ideal perception contradicted by certain realities (i.e. that wine can be unhealthy and inebriating). He found semiotics useful in conducting these critiques. Barthes explained that these bourgeois cultural myths were second-order signs, or connotations. A picture of a full, dark bottle is a sign, a signifier relating to a signified: a fermented, alcoholic beverage—wine. However, the bourgeois take this signified and apply their own emphasis to it, making "wine" a new signifier, this time relating to a new signified: the idea of healthy, robust, relaxing wine. Motivations for such manipulations vary from a desire to sell products to a simple desire to maintain the status quo. These insights brought Barthes very much in line with similar Marxist theory. Algirdas Julien Greimas (1917–1992) developed a structural version of semiotics named, "generative semiotics", trying to shift the focus of discipline from signs to systems of signification. His theories develop the ideas of Saussure, Hjelmslev, Claude Lévi-Strauss, and Maurice Merleau-Ponty. Thomas A. Sebeok (1920–2001), a student of Charles W. Morris, was a prolific and wide-ranging American semiotician. Although he insisted that animals are not capable of language, he expanded the purview of semiotics to include non-human signaling and communication systems, thus raising some of the issues addressed by philosophy of mind and coining the term zoosemiotics. Sebeok insisted that all communication was made possible by the relationship between an organism and the environment in which it lives. He also posed the equation between semiosis (the activity of interpreting signs) and life—a view that the Copenhagen-Tartu biosemiotic school has further developed. Juri Lotman (1922–1993) was the founding member of the Tartu (or Tartu-Moscow) Semiotic School. He developed a semiotic approach to the study of culture—semiotics of culture—and established a communication model for the study of text semiotics. He also introduced the concept of the semiosphere. Among his Moscow colleagues were Vladimir Toporov, Vyacheslav Ivanov and Boris Uspensky. Christian Metz (1931–1993) pioneered the application of Saussurean semiotics to film theory, applying syntagmatic analysis to scenes of films and grounding film semiotics in greater context. Eliseo Verón (1935–2014) developed his "Social Discourse Theory" inspired in the Peircian conception of "Semiosis." Groupe µ (founded 1967) developed a structural version of rhetorics, and the visual semiotics. Umberto Eco (1932–2016) was an Italian novelist, semiotician and academic. He made a wider audience aware of semiotics by various publications, most notably A Theory of Semiotics and his novel, The Name of the Rose, which includes (second to its plot) applied semiotic operations. His most important contributions to the field bear on interpretation, encyclopedia, and model reader. He also criticized in several works (A theory of semiotics, La struttura assente, Le signe, La production de signes) the "iconism" or "iconic signs" (taken from Peirce's most famous triadic relation, based on indexes, icons, and symbols), to which he proposed four modes of sign production: recognition, ostension, replica, and invention. Julia Kristeva (born 1941), a student of Lucien Goldmann and Roland Barthes, Bulgarian-French semiotician, literary critic, psychoanalyst, feminist, and novelist. She uses psychoanalytical concepts together with the semiotics, distinguishing the two components in the signification, the symbolic and the semiotic. Kristeva also studies the representation of women and women's bodies in popular culture, such as horror films and has had a remarkable influence on feminism and feminist literary studies. Michael Silverstein (1945–2020), a theoretician of semiotics and linguistic anthropology. Over the course of his career he created an original synthesis of research on the semiotics of communication, the sociology of interaction, Russian formalist literary theory, linguistic pragmatics, sociolinguistics, early anthropological linguistics and structuralist grammatical theory, together with his own theoretical contributions, yielding a comprehensive account of the semiotics of human communication and its relation to culture. His main influence was Charles Sanders Peirce, Ferdinand de Saussure, and Roman Jakobson. Current applications Some applications of semiotics include: Representation of a methodology for the analysis of "texts" regardless of the medium in which it is presented. For these purposes, "text" is any message preserved in a form whose existence is independent of both sender and receiver; By scholars and professional researchers as a method to interpret meanings behind symbols and how the meanings are created; Potential improvement of ergonomic design in situations where it is important to ensure that human beings are able to interact more effectively with their environments, whether it be on a large scale, as in architecture, or on a small scale, such as the configuration of instrumentation for human use; and Marketing: Epure, Eisenstat, and Dinu (2014) express that "semiotics allows for the practical distinction of persuasion from manipulation in marketing communication." Semiotics are used in marketing as a persuasive device to influence buyers to change their attitudes and behaviors in the market place. There are two ways that Epure, Eisenstat, and Dinu (2014), building on the works of Roland Barthes, state in which semiotics are used in marketing: Surface: signs are used to create personality for the product, creativity plays its foremost role at this level; Underlying: the concealed meaning of the text, imagery, sounds, etc. Semiotics can also be used to analyze advertising effectiveness and meaning. Cian (2020), for instance, analyzed a specific printed advertisement from two different semiotic points of view. He applied the interpretative instruments provided by the Barthes' school of thinking (focused on the description of explicit signs taken in isolation). He then analyzed the same advertising using Greimas' structural semiotics (where a sign has meaning only when it is interpreted as part of a system). In some countries, the role of semiotics is limited to literary criticism and an appreciation of audio and visual media. This narrow focus may inhibit a more general study of the social and political forces shaping how different media are used and their dynamic status within modern culture. Issues of technological determinism in the choice of media and the design of communication strategies assume new importance in this age of mass media. Main institutions A world organisation of semioticians, the International Association for Semiotic Studies, and its journal Semiotica, was established in 1969. The larger research centers together with teaching program include the semiotics departments at the University of Tartu, University of Limoges, Aarhus University, and Bologna University. Publications Publication of research is both in dedicated journals such as Sign Systems Studies, established by Juri Lotman and published by Tartu University Press; Semiotica, founded by Thomas A. Sebeok and published by Mouton de Gruyter; Zeitschrift für Semiotik; European Journal of Semiotics; Versus (founded and directed by Umberto Eco), et al.; The American Journal of Semiotics; and as articles accepted in periodicals of other disciplines, especially journals oriented toward philosophy and cultural criticism. The major semiotic book series Semiotics, Communication, Cognition, published by De Gruyter Mouton (series editors Paul Cobley and Kalevi Kull) replaces the former "Approaches to Semiotics" (more than 120 volumes) and "Approaches to Applied Semiotics" (series editor Thomas A. Sebeok). Since 1980 the Semiotic Society of America has produced an annual conference series: Semiotics: The Proceedings of the Semiotic Society of America. See also Ethnosemiotics Index of semiotics articles Language-game (philosophy) Medical sign Outline of semiotics Private language argument Semiofest Semiotic elements and classes of signs Structuralist semiotics Universal language Social semiotics References Footnotes Citations Bibliography Atkin, Albert. (2006). "Peirce's Theory of Signs", Stanford Encyclopedia of Philosophy. Barthes, Roland. ([1957] 1987). Mythologies. New York: Hill & Wang. Barthes, Roland ([1964] 1967). Elements of Semiology. (Translated by Annette Lavers & Colin Smith). London: Jonathan Cape. Chandler, Daniel. (2001/2007). Semiotics: The Basics. London: Routledge. Clarke, D. S. (1987). Principles of Semiotic. London: Routledge & Kegan Paul. Clarke, D. S. (2003). Sign Levels. Dordrecht: Kluwer. Culler, Jonathan (1975). Structuralist Poetics: Structuralism, Linguistics and the Study of Literature. London: Routledge & Kegan Paul. Danesi, Marcel & Perron, Paul. (1999). Analyzing Cultures: An Introduction and Handbook. Bloomington: Indiana UP. Danesi, Marcel. (1994). Messages and Meanings: An Introduction to Semiotics. Toronto: Canadian Scholars' Press. Danesi, Marcel. (2002). Understanding Media Semiotics. London: Arnold; New York: Oxford UP. Danesi, Marcel. (2007). The Quest for Meaning: A Guide to Semiotic Theory and Practice. Toronto: University of Toronto Press. Decadt, Yves. 2000. On the Origin and Impact of Information in the Average Evolution: From Bit to Attractor, Atom and Ecosystem [Dutch]. Summary in English available at The Information Philosopher. Deely, John. (2005 [1990]). Basics of Semiotics. 4th ed. Tartu: Tartu University Press. Deely, John. (2000), The Red Book: The Beginning of Postmodern Times or: Charles Sanders Peirce and the Recovery of Signum. Sonesson, Göran, 1989, Pictorial concepts. Inquiries into the semiotic heritage and its relevance for the analysis of the visual world, Lund: Lund University Press.Pictorial concepts. Inquiries into the semiotic heritage and its relevance for the analysis of the visual world . Deely, John. (2001). Four Ages of Understanding. Toronto: University of Toronto Press. Deely, John. (2003), "On the Word Semiotics, Formation and Origins", Semiotica 146.1/4, 1–50. Deely, John. (2003). The Impact on Philosophy of Semiotics. South Bend: St. Augustine Press. Deely, John. (2004), "'Σημειον' to 'Sign' by Way of 'Signum': On the Interplay of Translation and Interpretation in the Establishment of Semiotics", Semiotica 148–1/4, 187–227. Deely, John. (2006), "On 'Semiotics' as Naming the Doctrine of Signs", Semiotica 158.1/4 (2006), 1–33. Derrida, Jacques (1981). Positions. (Translated by Alan Bass). London: Athlone Press. Eagleton, Terry. (1983). Literary Theory: An Introduction. Oxford: Basil Blackwell. Eco, Umberto. (1976). A Theory of Semiotics. London: Macmillan. Eco, Umberto. (1986) Semiotics and the Philosophy of Language. Bloomington: Indiana University Press. Eco, Umberto. (2000) Kant and the Platypus. New York, Harcourt Brace & Company. Eco, Umberto. (1976) A Theory of Semiotics. Indiana, Indiana University Press. Emmeche, Claus; Kull, Kalevi (eds.) (2011) Towards a Semiotic Biology: Life is the Action of Signs. London: Imperial College Press. pdf Foucault, Michel. (1970). The Order of Things: An Archaeology of the Human Sciences. London: Tavistock. Greimas, Algirdas. (1987). On Meaning: Selected Writings in Semiotic Theory. (Translated by Paul J Perron & Frank H Collins). London: Frances Pinter. Herlihy, David. 1988–present. "2nd year class of semiotics". CIT. Hjelmslev, Louis (1961). Prolegomena to a Theory of Language. (Translated by Francis J. Whitfield). Madison: University of Wisconsin Press Hodge, Robert & Kress, Gunther. (1988). Social Semiotics. Ithaca: Cornell UP. Lacan, Jacques. (1977) Écrits: A Selection. (Translated by Alan Sheridan). New York: Norton. Lidov, David (1999) Elements of Semiotics. New York: St. Martin's Press. Liszka, J. J. (1996) A General Introduction to the Semeiotic of C.S. Peirce. Indiana University Press. Locke, John, The Works of John Locke, A New Edition, Corrected, In Ten Volumes, Vol.III, T. Tegg, (London), 1823. (facsimile reprint by Scientia, (Aalen), 1963.) Lotman, Yuri M. (1990). Universe of the Mind: A Semiotic Theory of Culture. (Translated by Ann Shukman). London: I.B. Tauris. Morris, Charles W. (1971). Writings on the general theory of signs. The Hague: Mouton. Nattiez, Jean-Jacques. (1990). Music and Discourse: Toward a Semiology of Music. Translated by Carolyn Abbate. Princeton: Princeton University Press. (Translation of: Musicologie générale et sémiologue. Collection Musique/Passé/Présent 13. Paris: C. Bourgois, 1987). Peirce, Charles S. (1934). Collected papers: Volume V. Pragmatism and pragmaticism. Cambridge, MA, USA: Harvard University Press. Ponzio, Augusto & S. Petrilli (2007) Semiotics Today. From Global Semiotics to Semioethics, a Dialogic Response. New York, Ottawa, Toronto: Legas. 84 pp. Romeo, Luigi (1977), "The Derivation of 'Semiotics' through the History of the Discipline", Semiosis, v. 6 pp. 37–50. Sebeok, T.A. (1976), Contributions to the Doctrine of Signs, Indiana University Press, Bloomington, IN. Sebeok, Thomas A. (Editor) (1977). A Perfusion of Signs. Bloomington, IN: Indiana University Press. Signs and Meaning: 5 Questions, edited by Peer Bundgaard and Frederik Stjernfelt, 2009 (Automatic Press / VIP). (Includes interviews with 29 leading semioticians of the world.) Short, T.L. (2007), Peirce's Theory of Signs, Cambridge University Press. Stubbe, Henry (Henry Stubbe), The Plus Ultra reduced to a Non Plus: Or, A Specimen of some Animadversions upon the Plus Ultra of Mr. Glanvill, wherein sundry Errors of some Virtuosi are discovered, the Credit of the Aristotelians in part Re-advanced; and Enquiries made...., (London), 1670. Williamson, Judith. (1978). Decoding Advertisements: Ideology and Meaning in Advertising. London: Boyars. Zlatev, Jordan. (2009). "The Semiotic Hierarchy: Life, Consciousness, Signs and Language, Cognitive Semiotics". Sweden: Scania. External links Signo — presents semiotic theories and theories closely related to semiotics. The Semiotics of the Web Center for Semiotics — Denmark: Aarhus University Semiotic Society of America Open Semiotics Resource Center — includes journals, lecture courses, etc. Peircean focus Arisbe: The Peirce Gateway Semiotics according to Robert Marty, with 76 definitions of the sign by C. S. Peirce The Commens Dictionary of Peirce's Terms Journals and book series American Journal of Semiotics, edited by J. Deely and C. Morrissey. US: Semiotic Society of America.Applied Semiotics / Sémiotique appliquée (AS/SA), edited by P. G. Marteinson & P. G. Michelucci. CA: University of Toronto.Approaches to Applied Semiotics (2000–09 series), edited by T. Sebeok, et al. Berlin: De Gruyter.Approaches to Semiotics (1969–97 series), edited by T. A. Sebeok, A. Rey, R. Posner,
buzzard.In contrast to Robinson's report, Gage's 1863 version included Truth saying her 13 children were sold away from her into slavery. Truth is widely believed to have had five children, with one sold away, and was never known to boast more children. Gage's 1863 recollection of the convention conflicts with her own report directly after the convention: Gage wrote in 1851 that Akron in general and the press, in particular, were largely friendly to the woman's rights convention, but in 1863 she wrote that the convention leaders were fearful of the "mobbish" opponents. Other eyewitness reports of Truth's speech told a calm story, one where all faces were "beaming with joyous gladness" at the session where Truth spoke; that not "one discordant note" interrupted the harmony of the proceedings. In contemporary reports, Truth was warmly received by the convention-goers, the majority of whom were long-standing abolitionists, friendly to progressive ideas of race and civil rights. In Gage's 1863 version, Truth was met with hisses, with voices calling to prevent her from speaking. Other interracial gatherings of black and white abolitionist women had in fact been met with violence, including the burning of Pennsylvania Hall. According to Frances Gage's recount in 1863, Truth argued, "That man over there says that women need to be helped into carriages, and lifted over ditches, and to have the best place everywhere. Nobody helps me any best place. And ain't I a woman?" Truth's "Ain't I a Woman" showed the lack of recognition that black women received during this time and whose lack of recognition will continue to be seen long after her time. "Black women, of course, were virtually invisible within the protracted campaign for woman suffrage", wrote Angela Davis, supporting Truth's argument that nobody gives her "any best place"; and not just her, but black women in general. Over the next 10 years, Truth spoke before dozens, perhaps hundreds, of audiences. From 1851 to 1853, Truth worked with Marius Robinson, the editor of the Ohio Anti-Slavery Bugle, and traveled around that state speaking. In 1853, she spoke at a suffragist "mob convention" at the Broadway Tabernacle in New York City; that year she also met Harriet Beecher Stowe. In 1856, she traveled to Battle Creek, Michigan, to speak to a group called the Friends of Human Progress. Other speeches Northampton Camp Meeting – 1844, Northampton, Massachusetts: At a camp meeting where she was participating as an itinerant preacher, a band of "wild young men" disrupted the camp meeting, refused to leave, and threatened to burn down the tents. Truth caught the sense of fear pervading the worshipers and hid behind a trunk in her tent, thinking that since she was the only black person present, the mob would attack her first. However, she reasoned with herself and resolved to do something: as the noise of the mob increased and a female preacher was "trembling on the preachers' stand", Truth went to a small hill and began to sing "in her most fervid manner, with all the strength of her most powerful voice, the hymn on the resurrection of Christ". Her song, "It was Early in the Morning", gathered the rioters to her and quieted them. They urged her to sing, preach, and pray for their entertainment. After singing songs and preaching for about an hour, Truth bargained with them to leave after one final song. The mob agreed and left the camp meeting. Abolitionist Convention – 1840s, Boston, Massachusetts: William Lloyd Garrison invited Sojourner Truth to give a speech at an annual antislavery convention. Wendell Phillips was supposed to speak after her, which made her nervous since he was known as such a good orator. So Truth sang a song, "I am Pleading for My people", which was her own original composition sung to the tune of Auld Lang Syne. Mob Convention – September 7, 1853: At the convention, young men greeted her with "a perfect storm", hissing and groaning. In response, Truth said, "You may hiss as much as you please, but women will get their rights anyway. You can't stop us, neither". Sojourner, like other public speakers, often adapted her speeches to how the audience was responding to her. In her speech, Sojourner speaks out for women's rights. She incorporates religious references in her speech, particularly the story of Esther. She then goes on to say that, just as women in scripture, women today are fighting for their rights. Moreover, Sojourner scolds the crowd for all their hissing and rude behavior, reminding them that God says to "Honor thy father and thy mother". American Equal Rights Association – May 9–10, 1867: Her speech was addressed to the American Equal Rights Association, and divided into three sessions. Sojourner was received with loud cheers instead of hisses, now that she had a better-formed reputation established. The Call had advertised her name as one of the main convention speakers. For the first part of her speech, she spoke mainly about the rights of black women. Sojourner argued that because the push for equal rights had led to black men winning new rights, now was the best time to give black women the rights they deserve too. Throughout her speech she kept stressing that "we should keep things going while things are stirring" and fears that once the fight for colored rights settles down, it would take a long time to warm people back up to the idea of colored women's having equal rights. In the second sessions of Sojourner's speech, she utilized a story from the Bible to help strengthen her argument for equal rights for women. She ended her argument by accusing men of being self-centered, saying: "Man is so selfish that he has got women's rights and his own too, and yet he won't give women their rights. He keeps them all to himself." For the final session of Sojourner's speech, the center of her attention was mainly on women's right to vote. Sojourner told her audience that she owned her own house, as did other women, and must, therefore, pay taxes. Nevertheless, they were still unable to vote because they were women. Black women who were enslaved were made to do hard manual work, such as building roads. Sojourner argues that if these women were able to perform such tasks, then they should be allowed to vote because surely voting is easier than building roads. Eighth Anniversary of Negro Freedom – New Year's Day, 1871: On this occasion the Boston papers related that "...seldom is there an occasion of more attraction or greater general interest. Every available space of sitting and standing room was crowded". She starts off her speech by giving a little background about her own life. Sojourner recounts how her mother told her to pray to God that she may have good masters and mistresses. She goes on to retell how her masters were not good to her, about how she was whipped for not understanding English, and how she would question God why he had not made her masters be good to her. Sojourner admits to the audience that she had once hated white people, but she says once she met her final master, Jesus, she was filled with love for everyone. Once enslaved folks were emancipated, she tells the crowd she knew her prayers had been answered. That last part of Sojourner's speech brings in her main focus. Some freed enslaved people were living on government aid at that time, paid for by taxpayers. Sojourner announces that this is not any better for those colored people than it is for the members of her audience. She then proposes that black people are given their own land. Because a portion of the South's population contained rebels that were unhappy with the abolishment of slavery, that region of the United States was not well suited for colored people. She goes on to suggest that colored people be given land out west to build homes and prosper on. Second Annual Convention of the American Woman Suffrage Association – Boston, 1871: In a brief speech, Truth argued that women's rights were essential, not only to their own well-being, but "for the benefit of the whole creation, not only the women, but all the men on the face of the earth, for they were the mother of them". On a mission Truth dedicated her life to fighting for a more equal society for African Americans and for women, including abolition, voting rights, and property rights. She was at the vanguard of efforts to address intersecting social justice issues. As historian Martha Jones wrote, "[w]hen Black women like Truth spoke of rights, they mixed their ideas with challenges to slavery and to racism. Truth told her own stories, ones that suggested that a women’s movement might take another direction, one that championed the broad interests of all humanity." In 1856, Truth bought a neighboring lot in Northampton, but she did not keep the new property for long. On September 3, 1857, she sold all her possessions, new and old, to Daniel Ives and moved to Battle Creek, Michigan, where she rejoined former members of the Millerite movement who had formed the Seventh-day Adventist Church. Antislavery movements had begun early in Michigan and Ohio. Here, she also joined the nucleus of the Michigan abolitionists, the Progressive Friends, some who she had already met at national conventions. From 1857 to 1867 Truth lived in the village of Harmonia, Michigan, a Spiritualist utopia. She then moved into nearby Battle Creek, Michigan, living at her home on 38 College St. until her death in 1883. According to the 1860 census, her household in Harmonia included her daughter, Elizabeth Banks (age 35), and her grandsons James Caldwell (misspelled as "Colvin"; age 16) and Sammy Banks (age 8). During the Civil War, Truth helped recruit black troops for the Union Army. Her grandson, James Caldwell, enlisted in the 54th Massachusetts Regiment. In 1864, Truth was employed by the National Freedman's Relief Association in Washington, D.C., where she worked diligently to improve conditions for African-Americans. In October of that year, she met President Abraham Lincoln. In 1865, while working at the Freedman's Hospital in Washington, Truth rode in the streetcars to help force their desegregation. Truth is credited with writing a song, "The Valiant Soldiers", for the 1st Michigan Colored Regiment; it was said to be composed during the war and sung by her in Detroit and Washington, D.C. It is sung to the tune of "John Brown's Body" or "The Battle Hymn of the Republic". Although Truth claimed to have written the words, it has been disputed (see "Marching Song of the First Arkansas"). In 1867, Truth moved from Harmonia to Battle Creek. In 1868, she traveled to western New York and visited with Amy Post, and continued traveling all over the East Coast. At a speaking engagement in Florence, Massachusetts, after she had just returned from a very tiring trip, when Truth was called upon to speak she stood up and said, "Children, I have come here like the rest of you, to hear what I have to say." In 1870, Truth tried to secure land grants from the federal government to former enslaved people, a project she pursued for seven years without success. While in Washington, D.C., she had a meeting with President Ulysses S. Grant in the White House. In 1872, she returned to Battle Creek, became active in Grant's presidential re-election campaign, and even tried to vote on Election Day, but was turned away at the polling place. Truth spoke about abolition, women's rights, prison reform, and preached to the Michigan Legislature against capital punishment. Not everyone welcomed her preaching and lectures, but she had many friends and staunch support among many influential people at the time, including Amy Post, Parker Pillsbury, Frances Gage, Wendell Phillips, William Lloyd Garrison, Laura Smith Haviland, Lucretia Mott, Ellen G. White, and Susan B. Anthony. Illness and death Truth was cared for by two of her daughters in the last years of her life. Several days before Sojourner Truth died, a reporter came from the Grand Rapids Eagle to interview her. "Her face was drawn and emaciated and she was apparently suffering great pain. Her eyes were very bright and mind alert although it was difficult for her to talk." Truth died early in the morning on November 26, 1883, at her Battle Creek home. On November 28, 1883, her funeral was held at the Congregational-Presbyterian Church officiated by its pastor, the Reverend Reed Stuart. Some of the prominent citizens of Battle Creek acted as pall-bearers; nearly one thousand people attended the service. Truth was buried in the city's Oak Hill Cemetery. Frederick Douglass offered a eulogy for her in Washington, D.C. "Venerable for age, distinguished for insight into human nature, remarkable for independence and courageous self-assertion, devoted to the welfare of her race, she has been for the last forty years an object of respect and admiration to social reformers everywhere." Legacy Monuments and statues There have been many memorials erected in honor of Sojourner Truth, commemorating her life and work. These include memorial plaques, busts, and full-sized statues. Michigan The first historical marker honoring Truth was established in Battle Creek, Michigan, in 1935, when a stone memorial was placed in Stone History Tower, in Monument Park. In 1976, the State of Michigan further recognized her legacy by naming Interstate 194 in Calhoun County, Michigan, the Sojourner Truth Downtown Parkway. 1999 marked the estimated bicentennial of Sojourner's birth. To honor the occasion, a larger-than-life sculpture of Sojourner Truth by Tina Allen was added to Monument Park in Battle Creek. The 12-foot tall Sojourner monument is cast in bronze. Ohio In 1981, an Ohio Historical Marker was unveiled on the site of the Universalist "Old Stone" Church in Akron, Ohio, where Sojourner Truth gave her famous "And aren't (ain't) I a woman?" speech on May 29, 1851. New York In 1983, a plaque honoring Sojourner Truth was unveiled in front of the historic Ulster County Courthouse in Kingston, New York. The plaque was given by the Sojourner Truth Day Committee to commemorate the centennial of her death. In 1998, on the 150th anniversary of the Seneca Falls Convention, a life-sized, terracotta statue of Truth by artists A. Lloyd Lillie, Jr., and Victoria Guerina was unveiled at the Women's Rights National Historical Park visitor's center. Although Truth did not attend the convention, the statue marked Truth's famous 1851 speech in Akron, Ohio, and recognized her important role in the fight for women's suffrage. In 2013, a bronze statue of Truth as an 11-year-old girl was installed at Port Ewen, New York, where Truth lived for several years while still enslaved. The sculpture was created by New Paltz, New York, sculptor Trina Green. In 2015, the Klyne Esopus Museum installed a historical marker in Ulster Park, New York commemorating Truth's walk to freedom in 1826. She walked about 14 miles from Esopus, up what is now Floyd Ackert Road, to Rifton, New York. In 2020, a statue was unveiled at the Walkway Over the Hudson park in Highland, New York. It was created by Yonkers sculptor Vinnie Bagwell, commissioned by the New York State Women's Suffrage Commission. The statue includes text, braille, and symbols. The folds of her skirt act as a canvas to depict Sojourner’s life experiences, including images of a young enslaved mother comforting her child, a slavery sale sign, images of her abolitionist peers, and a poster for a women’s suffrage march. On August 26, 2020, on the 100th anniversary of the passage of the 19th Amendment to the U.S. Constitution, a statue honoring Truth, Elizabeth Cady Stanton, and Susan B. Anthony was unveiled in Central Park in New York City. The sculpture, entitled "Women's Rights Pioneers Monument", was created by American artist Meredith Bergmann. It is the first sculpture in Central Park to depict historical women. A statue to the fictional character Alice in Wonderland is the only other female figure depicted in the park. Original plans for the memorial included only Stanton and Anthony, but after critics raised objections to the lack of inclusion of women of color, Truth was added to the design. On February 28, 2022, New York Governor Kathy Hochul dedicated Sojourner Truth State Park near the site of her birthplace. California In 1999, Sojourner, a Mexican limestone statue of Sojourner Truth by sculptor Elizabeth Catlett, was unveiled in Sacramento, California on the corner of K and 13th Street. It was vandalized in 2013, where it was found smashed into pieces. A bronze statue by San Diego sculptor Manuelita Brown was dedicated on January 22, 2015, on the campus of the Thurgood Marshall College of Law, of the University of California, San Diego, California. The artist donated the sculpture to the college. Massachusetts In 2002, the Sojourner Truth Memorial statue by Oregon sculptor Thomas "Jay" Warren was installed in Florence, Massachusetts, in a small park located on Pine Street and Park
First Arkansas"). In 1867, Truth moved from Harmonia to Battle Creek. In 1868, she traveled to western New York and visited with Amy Post, and continued traveling all over the East Coast. At a speaking engagement in Florence, Massachusetts, after she had just returned from a very tiring trip, when Truth was called upon to speak she stood up and said, "Children, I have come here like the rest of you, to hear what I have to say." In 1870, Truth tried to secure land grants from the federal government to former enslaved people, a project she pursued for seven years without success. While in Washington, D.C., she had a meeting with President Ulysses S. Grant in the White House. In 1872, she returned to Battle Creek, became active in Grant's presidential re-election campaign, and even tried to vote on Election Day, but was turned away at the polling place. Truth spoke about abolition, women's rights, prison reform, and preached to the Michigan Legislature against capital punishment. Not everyone welcomed her preaching and lectures, but she had many friends and staunch support among many influential people at the time, including Amy Post, Parker Pillsbury, Frances Gage, Wendell Phillips, William Lloyd Garrison, Laura Smith Haviland, Lucretia Mott, Ellen G. White, and Susan B. Anthony. Illness and death Truth was cared for by two of her daughters in the last years of her life. Several days before Sojourner Truth died, a reporter came from the Grand Rapids Eagle to interview her. "Her face was drawn and emaciated and she was apparently suffering great pain. Her eyes were very bright and mind alert although it was difficult for her to talk." Truth died early in the morning on November 26, 1883, at her Battle Creek home. On November 28, 1883, her funeral was held at the Congregational-Presbyterian Church officiated by its pastor, the Reverend Reed Stuart. Some of the prominent citizens of Battle Creek acted as pall-bearers; nearly one thousand people attended the service. Truth was buried in the city's Oak Hill Cemetery. Frederick Douglass offered a eulogy for her in Washington, D.C. "Venerable for age, distinguished for insight into human nature, remarkable for independence and courageous self-assertion, devoted to the welfare of her race, she has been for the last forty years an object of respect and admiration to social reformers everywhere." Legacy Monuments and statues There have been many memorials erected in honor of Sojourner Truth, commemorating her life and work. These include memorial plaques, busts, and full-sized statues. Michigan The first historical marker honoring Truth was established in Battle Creek, Michigan, in 1935, when a stone memorial was placed in Stone History Tower, in Monument Park. In 1976, the State of Michigan further recognized her legacy by naming Interstate 194 in Calhoun County, Michigan, the Sojourner Truth Downtown Parkway. 1999 marked the estimated bicentennial of Sojourner's birth. To honor the occasion, a larger-than-life sculpture of Sojourner Truth by Tina Allen was added to Monument Park in Battle Creek. The 12-foot tall Sojourner monument is cast in bronze. Ohio In 1981, an Ohio Historical Marker was unveiled on the site of the Universalist "Old Stone" Church in Akron, Ohio, where Sojourner Truth gave her famous "And aren't (ain't) I a woman?" speech on May 29, 1851. New York In 1983, a plaque honoring Sojourner Truth was unveiled in front of the historic Ulster County Courthouse in Kingston, New York. The plaque was given by the Sojourner Truth Day Committee to commemorate the centennial of her death. In 1998, on the 150th anniversary of the Seneca Falls Convention, a life-sized, terracotta statue of Truth by artists A. Lloyd Lillie, Jr., and Victoria Guerina was unveiled at the Women's Rights National Historical Park visitor's center. Although Truth did not attend the convention, the statue marked Truth's famous 1851 speech in Akron, Ohio, and recognized her important role in the fight for women's suffrage. In 2013, a bronze statue of Truth as an 11-year-old girl was installed at Port Ewen, New York, where Truth lived for several years while still enslaved. The sculpture was created by New Paltz, New York, sculptor Trina Green. In 2015, the Klyne Esopus Museum installed a historical marker in Ulster Park, New York commemorating Truth's walk to freedom in 1826. She walked about 14 miles from Esopus, up what is now Floyd Ackert Road, to Rifton, New York. In 2020, a statue was unveiled at the Walkway Over the Hudson park in Highland, New York. It was created by Yonkers sculptor Vinnie Bagwell, commissioned by the New York State Women's Suffrage Commission. The statue includes text, braille, and symbols. The folds of her skirt act as a canvas to depict Sojourner’s life experiences, including images of a young enslaved mother comforting her child, a slavery sale sign, images of her abolitionist peers, and a poster for a women’s suffrage march. On August 26, 2020, on the 100th anniversary of the passage of the 19th Amendment to the U.S. Constitution, a statue honoring Truth, Elizabeth Cady Stanton, and Susan B. Anthony was unveiled in Central Park in New York City. The sculpture, entitled "Women's Rights Pioneers Monument", was created by American artist Meredith Bergmann. It is the first sculpture in Central Park to depict historical women. A statue to the fictional character Alice in Wonderland is the only other female figure depicted in the park. Original plans for the memorial included only Stanton and Anthony, but after critics raised objections to the lack of inclusion of women of color, Truth was added to the design. On February 28, 2022, New York Governor Kathy Hochul dedicated Sojourner Truth State Park near the site of her birthplace. California In 1999, Sojourner, a Mexican limestone statue of Sojourner Truth by sculptor Elizabeth Catlett, was unveiled in Sacramento, California on the corner of K and 13th Street. It was vandalized in 2013, where it was found smashed into pieces. A bronze statue by San Diego sculptor Manuelita Brown was dedicated on January 22, 2015, on the campus of the Thurgood Marshall College of Law, of the University of California, San Diego, California. The artist donated the sculpture to the college. Massachusetts In 2002, the Sojourner Truth Memorial statue by Oregon sculptor Thomas "Jay" Warren was installed in Florence, Massachusetts, in a small park located on Pine Street and Park Street, on which she lived for ten years. Washington, D.C. In 2009, a bust of Sojourner Truth was installed in the U.S. Capitol. The bust was sculpted by noted artist Artis Lane. It is in Emancipation Hall of the U.S. Capitol Visitor Center. With this installation, Truth became the first black woman to be honored with a statue in the Capitol building. Additional recognition In regard to the magazine Ms., which began in 1972, Gloria Steinem has stated, "We were going to call it Sojourner, after Sojourner Truth, but that was perceived as a travel magazine. Truth was posthumously inducted into the National Women's Hall of Fame in Seneca Falls, New York, in 1981. She was also inducted to the Michigan Women's Hall of Fame, in Lansing, Michigan. She was part of the inaugural class of inductees when the museum was established in 1983. The U.S. Postal Service issued a commemorative, 22-cent postage stamp honoring Sojourner Truth in 1986. The original artwork was created by Jerry Pinkney, and features a double portrait of Truth. The stamp was part of the Black Heritage series. The first day of issue was February 4, 1986. Truth was included in a monument of "Michigan Legal Milestones" erected by the State Bar of Michigan in 1987, honoring her historic court case. The calendar of saints of the Episcopal Church remembers Sojourner Truth annually, together with Elizabeth Cady Stanton, Amelia Bloomer and Harriet Ross Tubman, on July 20. She is also recognized individually on Nov 26. The calendar of saints of the Lutheran Church remembers Sojourner Truth together with Harriet Tubman on March 10. In 1997, The NASA Mars Pathfinder mission's robotic rover was named "Sojourner". The following year, S.T. Writes Home appeared on the web offering "Letters to Mom from Sojourner Truth", in which the Mars Pathfinder Rover at times echoes its namesake. In 2002, Temple University scholar Molefi Kete Asante published a list of 100 Greatest African Americans, which includes Sojourner Truth. In 2014, the asteroid 249521 Truth was named in her honor. Truth was included in the Smithsonian Institution's list of the "100 Most Significant Americans", published 2014. The U.S. Treasury Department announced in 2016 that an image of Sojourner Truth will appear on the back of a newly designed $10 bill along with Lucretia Mott, Susan B. Anthony, Elizabeth Cady Stanton, Alice Paul and the 1913 Woman Suffrage Procession. Designs for new $5, $10 and $20 bills were originally scheduled to be unveiled in 2020 in conjunction with the 100th anniversary of American women winning the right to vote via the Nineteenth Amendment to the United States Constitution. Treasury Secretary Steve Mnuchin announced that plans for the $20 redesign, which was to feature Harriet Tubman, have been postponed. On September 19, 2018, the U.S. Secretary of the Navy Ray Mabus announced the name of the last ship of a six unit construction contract as USNS Sojourner Truth (T-AO 210). This ship with be part of the latest John Lewis-class of Fleet Replenishment Oilers named in honor of U.S. civil and human rights heroes currently under construction at General Dynamics NASSCO in San Diego, CA. A Google Doodle was featured on February 1, 2019, in honor of Sojourner Truth. The doodle was showcased in Canada, United States, United Kingdom, Switzerland, Israel, Ireland and Germany. For their first match of March 2019, the women of the United States women's national soccer team each wore a jersey with the name of a woman they were honoring on the back; Christen Press chose the name of Sojourner Truth. Works of art In 1862, American sculptor William Wetmore Story completed a marble statue, inspired by Sojourner Truth, named The Libyan Sibyl. The work won an award at the London World Exhibition. The original sculpture was gifted to the Metropolitan Museum of Art, in New York City, by the Erving Wolf Foundation in 1978. In 1892, Albion artist Frank Courter was commissioned by Frances Titus to paint the meeting between Truth and President Abraham Lincoln that occurred on October 29, 1864. In 1945, Elizabeth Catlett created a print entitled I'm Sojourner Truth as part of a series honoring the labor of black women. The print is in the Metropolitan Museum of Art's collection. She would later create a full-size statue of Truth, which was displayed in Sacramento, California. In 1958, African-American artist John Biggers created a mural called the Contribution of Negro Woman to American Life and Education as his doctoral dissertation. It was unveiled at the Blue Triangle Community Center (former YWCA) – Houston, Texas and features Sojourner Truth, Harriet Tubman, and Phillis Wheatley. Inspired by the work of pioneer women's historian Gerda Lerner, feminist artist Judy Chicago (Judith Sylvia Cohen) created a collaborative masterpiece – The Dinner Party, a mixed-media art installation, between the years 1974 and 1979. The Sojourner Truth placesetting is one of 39. The Dinner Party is gifted by the Elizabeth Sackler Foundation to the Elizabeth A. Sackler Center for Feminist Art, Brooklyn Museum – New York in 2000. Feminist theorist and author bell hooks titled her first major work after Truth's "Ain't I a Woman?" speech. The book was published in 1981. New York Governor Mario Cuomo presented a two-foot statue of Sojourner Truth, made by New York sculptor Ruth Inge Hardison, to Nelson Mandela during his visit to New York City, in 1990. African-American composer Gary Powell Nash composed In Memoriam: Sojourner Truth, in 1992.The Broadway musical The Civil War, which premiered in 1999, includes an abridged version of Truth's "Ain't I a Woman?" speech as a spoken-word segment. On the 1999 cast recording, the track was performed by Maya Angelou. In 2018, a crocheted mural, Sojourner Truth: Ain't I A Woman?, was hung on display at the Akron Civic Theatre's outer wall at Lock 3 Park in Ohio. It was one of four projects in New York and North Carolina as part of the "Love Across the U.S.A.", spearheaded by fiber artist OLEK. Before her death, Dr. Faye Hersh Dambrot commissioned notable artist Woodrow Nash to create a prototype of a Sojourner Truth sculpture. The sculpture is expected to be completed and installed in Akron, Ohio, by 2021. Libraries, schools, and buildings Sojourner Truth Library at New Paltz State University of New York was named in Truth's honor in 1971. In 1980, the Inter Cooperative Council at the University of Michigan and the residents of the then Lenny Bruce House rename it as Sojourner Truth House in her honor. In 1991, Summit County, Ohio, dedicates the renovated Danner Press Building as the Sojourner Truth Building in Akron and unveils the reinstalled Ohio Historical Marker on the building wall. The King's College, located inside the Empire State Building in New York City, names one of their houses "The House of Sojourner Truth" in 2004. In recognition that Truth and her parents were enslaved by people related to their first president, Rutgers University renamed its College Avenue Apartments to the Sojourner Truth Apartments. Sojourner–Douglass College in Baltimore, which closed in 2019, was named after Truth and Frederick Douglass. As of February 2020, elementary schools and K-12 schools in several states are named after Truth. Organizations In 1969, the left-wing political group Sojourner Truth Organization was established. In 1996, visual artist and community activist Shonna McDaniels establishes the Sojourner Truth African American (Art) Heritage Museum in South Sacramento, California (popularly known as "SOJO" Museum). In 1998, Dr. Velma
took off vertically in 1960, and demonstrated conventional take-off in 1961. It was developed into the Hawker Siddeley Harrier which flew in 1967. In 1962, Lockheed built the XV-4 Hummingbird for the U.S. Army. It sought to "augment" available thrust by injecting the engine exhaust into an ejector pump in the fuselage. First flying vertically in 1963, it suffered a fatal crash in 1964. It was converted into the XV-4B Hummingbird for the U.S. Air Force as a testbed for separate, vertically mounted lift engines, similar to those used in the Yak-38 Forger. That plane flew and later crashed in 1969. The Ryan XV-5 Vertifan, which was also built for the U.S. Army at the same time as the Hummingbird, experimented with gas-driven lift fans. That plane used fans in the nose and each wing, covered by doors which resembled half garbage can lids when raised. However, it crashed twice, and proved to generate a disappointing amount of lift, and was difficult to transition to horizontal flight. Of dozens of VTOL and V/STOL designs tried from the 1950s to 1980s, only the subsonic Hawker Siddeley Harrier and Yak-38 Forger reached operational status, with the Forger being withdrawn after the fall of the Soviet Union. Rockwell International built, and then abandoned, the Rockwell XFV-12 supersonic fighter which had an unusual wing which opened up like window blinds to create an ejector pump for vertical flight. It never generated enough lift to get off the ground despite developing 20,000 lbf of thrust. The French had a nominally Mach 2 Dassault Mirage IIIV fitted with no less than 8 lift engines that flew (and crashed), but did not have enough space for fuel or payload for combat missions. The German EWR VJ 101 used swiveling engines mounted on the wingtips with fuselage mounted lift engines, and the VJ 101C X1 reached supersonic flight (Mach 1.08) on 29 July 1964. The supersonic Hawker Siddeley P.1154, which competed with the Mirage IIIV for use in NATO, was cancelled
STOVL. History In 1951, the Lockheed XFV and the Convair XFY Pogo tailsitters were both designed around the Allison YT40 turboprop engine driving contra-rotating propellers. The British Hawker P.1127 took off vertically in 1960, and demonstrated conventional take-off in 1961. It was developed into the Hawker Siddeley Harrier which flew in 1967. In 1962, Lockheed built the XV-4 Hummingbird for the U.S. Army. It sought to "augment" available thrust by injecting the engine exhaust into an ejector pump in the fuselage. First flying vertically in 1963, it suffered a fatal crash in 1964. It was converted into the XV-4B Hummingbird for the U.S. Air Force as a testbed for separate, vertically mounted lift engines, similar to those used in the Yak-38 Forger. That plane flew and later crashed in 1969. The Ryan XV-5 Vertifan, which was also built for the U.S. Army at the same time as the Hummingbird, experimented with gas-driven lift fans. That plane used fans in the nose and each wing, covered by doors which resembled half garbage can lids when raised. However, it crashed twice, and proved to generate a disappointing amount of lift, and was difficult to transition to horizontal flight. Of dozens of VTOL and V/STOL designs tried from the 1950s to 1980s, only the subsonic Hawker Siddeley Harrier and Yak-38 Forger reached operational status, with the Forger being withdrawn after the fall of the Soviet Union. Rockwell International built, and then abandoned, the Rockwell XFV-12 supersonic fighter which had an unusual wing which opened up like window blinds to create an ejector
1991, she sailed from the Black Sea to join the Northern Fleet. Only from 1993 on did she receive aircraft. From 23 December 1995 through 22 March 1996 Admiral Kuznetsov made her first 90-day Mediterranean deployment with 13 Su-33, 2 Su-25 UTG, and 11 helicopters aboard. The deployment of the Russian Navy's flagship was undertaken to mark the 300th anniversary of the establishment of the Russian Navy in October 1696. The deployment was to allow the carrier, which was accompanied by a frigate, destroyer and oiler, to adapt to the Mediterranean climate and to perform continuous flight operations until 21:00 each day, as the Barents Sea only receives about one hour of sunlight during this time of year. During that period the carrier lay at anchor off the port of Tartus, Syria. Her aircraft often made flights close to the Israeli shore line and were escorted by Israeli F-16s. During the deployment, a severe water shortage occurred due to evaporators breaking down. At the end of 1997 she remained immobilized in a Northern Fleet shipyard, awaiting funding for major repairs, which were halted when they were only 20% complete. The overhaul was completed in July 1998, and the ship returned to active service in the Northern fleet on 3 November 1998. 2000–2010 Admiral Kuznetsov remained in port for two years before preparing for another Mediterranean deployment scheduled for the winter of 2000–2001. This deployment was cancelled due to the explosion and sinking of the nuclear-powered submarine . Admiral Kuznetsov participated in the Kursk rescue and salvage operations in late 2000. Plans for further operations were postponed or cancelled. In late 2003 and early 2004, Admiral Kuznetsov went to sea for inspection and trials. In October 2004, she participated in a fleet exercise of the Russian Navy in the Atlantic Ocean. During a September 2005 exercise, a Su-33 accidentally fell from the carrier into the Atlantic Ocean. On 27 September 2006, it was announced that Admiral Kuznetsov would return to service in the Northern Fleet by the year's end, following another modernization to correct some technical issues. Admiral Vladimir Masorin, Commander-in-Chief of the Russian Navy, also stated that Su-33 fighters assigned to her would return after undergoing their own maintenance and refits. From 5 December 2007 through 3 February 2008 Admiral Kuznetsov made its second Mediterranean deployment. On 11 December 2007, Admiral Kuznetsov passed by Norwegian oil platforms in the North Sea, outside Bergen, Norway. Su-33 fighters and Kamov helicopters were launched from Admiral Kuznetsov while within international waters; Norwegian helicopter services to the rigs were halted due to the collision risk with the Russian aircraft. Admiral Kuznetsov later participated in an exercise on the Mediterranean Sea, together with 11 other Russian surface ships and 47 aircraft, performing three tactical training missions using live and simulated air and surface missile launches. Admiral Kuznetsov and her escorts returned to Severomorsk on 3 February 2008. Following maintenance, she returned to sea on 11 October 2008 for the Stability 2008 strategic exercises held in the Barents Sea. On 12 October 2008, Russian President Dmitry Medvedev visited the ship during the exercise. From 5 December 2008 through 2 March 2009, Admiral Kuznetsov made her third Mediterranean deployment. On 5 December 2008, she and several other vessels left Severomorsk for the Atlantic for a combat training tour, including joint drills with Russia's Black Sea Fleet and visits to several Mediterranean ports. On 7 January 2009, a small fire broke out onboard Admiral Kuznetsov while anchored off Turkey. The fire, caused by a short circuit, led to the death of one crew member by carbon monoxide poisoning. On 16 February 2009, she was involved in a large oil spill, along with other Russian naval vessels, while refuelling off the south coast of Ireland. On 2 March 2009, Admiral Kuznetsov returned to Severomorsk, and in September 2010 she left dry dock after scheduled repairs and preparations for a training mission in the Barents Sea, later that month. 2011–2012 Mediterranean deployment The Russian Main Navy Staff announced that Admiral Kuznetsov would begin a deployment to the Atlantic and Mediterranean in December 2011. In November 2011, it was announced that Admiral Kuznetsov would lead a squadron to Russia's naval facility in Tartus. A Russian naval spokesman announced via the Izvestia daily that "The call of the Russian ships in Tartus should not be seen as a gesture towards what is going on in Syria... This was planned already in 2010 when there were no such events there" noting that Admiral Kuznetsov would also be making port calls in Beirut, Genoa and Cyprus. On 29 November 2011, Army General Nikolay Makarov, Chief of the Russian General Staff, said that Russian ships in the Mediterranean were due to exercises rather than events in Syria, and noted that Admiral Kuznetsovs size does not allow her to moor in Tartus. On 6 December 2011, Admiral Kuznetsov and her escort ships departed the Northern Fleet home base for a Mediterranean deployment to exercise with ships from the Russian Baltic and Black Sea Fleets. On 12 December 2011, Admiral Kuznetsov and her escorts, were spotted northeast of Orkney off the coast of northern Scotland, the first such time she had deployed near the UK. shadowed the group for a week; due to severe weather, the group took shelter in international waters in the Moray Firth, some from the UK coast. Admiral Kuznetsov then sailed around the top of Scotland and into the Atlantic past western Ireland, where she conducted flight operations with her Sukhoi Su-33 'Flanker' jets and Kamov Ka-27 helicopters in international airspace. On 8 January 2012, Admiral Kuznetsov anchored near shore outside Tartus while other ships from her escort entered the port to use the leased Russian naval support facility to replenish their supplies, after which all ships continued their deployment on 9 January. In February 2012, Admiral Kuznetsov returned to her home base of Severomorsk, having lost propulsion during the return voyage in the Bay of Biscay. The tugboat took the vessel in tow and aided Admiral Kuznetsovs return. 2013–2014 deployment On 1 June 2013, it was announced that the ship would return to the Mediterranean by the end of the year, and on 17 December, Admiral Kuznetsov departed her home base for the Mediterranean. On 1 January 2014, Admiral Kuznetsov celebrated New Year's Day while at anchor in international waters of the Moray Firth off northeast Scotland. The anchorage allowed replenishment of ship's supplies and respite for the crew from stormy weather off the southwest coast of Norway. She then proceeded to the Mediterranean Sea, docking in Cyprus on 28 February. In May 2014, the ship and her task group: the Kirov-class nuclear-powered cruiser Petr Velikiy; tankers Sergey Osipov, Kama and Dubna; the ocean-going tug Altay and the Minsk (part of the Black Sea Fleet), passed the UK while sailing for home. Despite financial and technical problems, resulting in limited operations for the ship, it was expected that Admiral Kuznetsov would remain in active service until at least 2030. Mid-life refit In April 2010, it was announced that by late 2012, the ship would enter Severodvinsk Sevmash shipyard for a major refit and modernization, including upgrades to obsolete electronics and sensor equipment, installation of a new anti-aircraft system (Pantsir-M) and an increase of the air wing with the removal of the P-700 Granit anti-ship missiles. Possible upgrades include exchanging the troublesome steam powerplant to gas-turbine, or even nuclear propulsion, and installation of catapults to the angled deck. The Navy expected to acquire Mikoyan MiG-29K aircraft for Admiral Kuznetsov by 2011; this later was confirmed by a defense sub-contractor The MiG-29Ks would replace the 19 carrier-based Su-33 fighters, a resource set to become obsolete by 2015. Producing more Su-33s is possible but not cost-effective for such small volumes; the MiG-29K is more convenient as the Indian Navy also placed an order for a total of 45 aircraft, thereby reducing development and manufacturing costs. India paid $730 million for the development and delivery of 16 MiG-29Ks; 24 additional aircraft for the Russian Navy would cost about $1 billion. 2016 Syrian campaign Following ongoing maintenance, Admiral Kuznetsov set sail on 15 October 2016 from the Kola Bay for the Mediterranean, accompanied by seven other Russian Navy vessels including the nuclear-powered battlecruiser and two s. The carrier was accompanied by an ocean-going tugboat, as a precaution due to potential propulsion failure. The airwing included 6-8 Su-33 fighters, four Mig-29KR/KUBR multi-role aircraft, Ka-52K "Katran" navalised attack helicopters, Ka-31R "Helix" AEW&C helicopters and Ka-27PS "Helix-D" search and rescue helicopters. All the Su-33 aircraft had been upgraded with the Gefest SVP-24 bombsights for free-fall bombs, giving them a limited ground-attack capability. Analysts, including Mikhail Barabanov of the Moscow Defense Brief, suggested that a lack of trained pilots restricted the number of fixed-wing aircraft that could be deployed from the carrier. On 21 October, the Admiral Kuznetsov battle group sailed through the English Channel, escorted by Royal Navy ships, while UK Defence Minister Michael Fallon speculated that the taskforce was designed to "test" the British naval response. On 26 October 2016, the ship was reported to have passed through the Strait of Gibraltar and refuelled at sea off North Africa the following day. On 3 November 2016, the Admiral Kuznetsov battle group paused off the east coast of Crete. On 14 November 2016, a MiG-29K crashed into the sea after taking off from the carrier. The pilot ejected safely from the plane and was rescued by helicopter. According to initial reports from Russian officials, the crash was a result of technical malfunction, but it was later revealed that the plane had actually run out of fuel waiting to land while the crew was attempting to repair a broken arresting wire. The carrier commander could have diverted the aircraft to land at a nearby airbase, but hesitated in the hope that the arrestor gear would be repaired in time. On 15 November 2016, Admiral Kuznetsov, took part in "a large-scale operation against the positions of terrorist groups Islamic State and Al-Nusra, in the provinces of Idlib and Homs" in Syria by launching Su-33 fighter strikes. This was the first time the Russian aircraft carrier would take part in combat operations. The Russian Defence Ministry later reported that at least 30 militants had been
of the establishment of the Russian Navy in October 1696. The deployment was to allow the carrier, which was accompanied by a frigate, destroyer and oiler, to adapt to the Mediterranean climate and to perform continuous flight operations until 21:00 each day, as the Barents Sea only receives about one hour of sunlight during this time of year. During that period the carrier lay at anchor off the port of Tartus, Syria. Her aircraft often made flights close to the Israeli shore line and were escorted by Israeli F-16s. During the deployment, a severe water shortage occurred due to evaporators breaking down. At the end of 1997 she remained immobilized in a Northern Fleet shipyard, awaiting funding for major repairs, which were halted when they were only 20% complete. The overhaul was completed in July 1998, and the ship returned to active service in the Northern fleet on 3 November 1998. 2000–2010 Admiral Kuznetsov remained in port for two years before preparing for another Mediterranean deployment scheduled for the winter of 2000–2001. This deployment was cancelled due to the explosion and sinking of the nuclear-powered submarine . Admiral Kuznetsov participated in the Kursk rescue and salvage operations in late 2000. Plans for further operations were postponed or cancelled. In late 2003 and early 2004, Admiral Kuznetsov went to sea for inspection and trials. In October 2004, she participated in a fleet exercise of the Russian Navy in the Atlantic Ocean. During a September 2005 exercise, a Su-33 accidentally fell from the carrier into the Atlantic Ocean. On 27 September 2006, it was announced that Admiral Kuznetsov would return to service in the Northern Fleet by the year's end, following another modernization to correct some technical issues. Admiral Vladimir Masorin, Commander-in-Chief of the Russian Navy, also stated that Su-33 fighters assigned to her would return after undergoing their own maintenance and refits. From 5 December 2007 through 3 February 2008 Admiral Kuznetsov made its second Mediterranean deployment. On 11 December 2007, Admiral Kuznetsov passed by Norwegian oil platforms in the North Sea, outside Bergen, Norway. Su-33 fighters and Kamov helicopters were launched from Admiral Kuznetsov while within international waters; Norwegian helicopter services to the rigs were halted due to the collision risk with the Russian aircraft. Admiral Kuznetsov later participated in an exercise on the Mediterranean Sea, together with 11 other Russian surface ships and 47 aircraft, performing three tactical training missions using live and simulated air and surface missile launches. Admiral Kuznetsov and her escorts returned to Severomorsk on 3 February 2008. Following maintenance, she returned to sea on 11 October 2008 for the Stability 2008 strategic exercises held in the Barents Sea. On 12 October 2008, Russian President Dmitry Medvedev visited the ship during the exercise. From 5 December 2008 through 2 March 2009, Admiral Kuznetsov made her third Mediterranean deployment. On 5 December 2008, she and several other vessels left Severomorsk for the Atlantic for a combat training tour, including joint drills with Russia's Black Sea Fleet and visits to several Mediterranean ports. On 7 January 2009, a small fire broke out onboard Admiral Kuznetsov while anchored off Turkey. The fire, caused by a short circuit, led to the death of one crew member by carbon monoxide poisoning. On 16 February 2009, she was involved in a large oil spill, along with other Russian naval vessels, while refuelling off the south coast of Ireland. On 2 March 2009, Admiral Kuznetsov returned to Severomorsk, and in September 2010 she left dry dock after scheduled repairs and preparations for a training mission in the Barents Sea, later that month. 2011–2012 Mediterranean deployment The Russian Main Navy Staff announced that Admiral Kuznetsov would begin a deployment to the Atlantic and Mediterranean in December 2011. In November 2011, it was announced that Admiral Kuznetsov would lead a squadron to Russia's naval facility in Tartus. A Russian naval spokesman announced via the Izvestia daily that "The call of the Russian ships in Tartus should not be seen as a gesture towards what is going on in Syria... This was planned already in 2010 when there were no such events there" noting that Admiral Kuznetsov would also be making port calls in Beirut, Genoa and Cyprus. On 29 November 2011, Army General Nikolay Makarov, Chief of the Russian General Staff, said that Russian ships in the Mediterranean were due to exercises rather than events in Syria, and noted that Admiral Kuznetsovs size does not allow her to moor in Tartus. On 6 December 2011, Admiral Kuznetsov and her escort ships departed the Northern Fleet home base for a Mediterranean deployment to exercise with ships from the Russian Baltic and Black Sea Fleets. On 12 December 2011, Admiral Kuznetsov and her escorts, were spotted northeast of Orkney off the coast of northern Scotland, the first such time she had deployed near the UK. shadowed the group for a week; due to severe weather, the group took shelter in international waters in the Moray Firth, some from the UK coast. Admiral Kuznetsov then sailed around the top of Scotland and into the Atlantic past western Ireland, where she conducted flight operations with her Sukhoi Su-33 'Flanker' jets and Kamov Ka-27 helicopters in international airspace. On 8 January 2012, Admiral Kuznetsov anchored near shore outside Tartus while other ships from her escort entered the port to use the leased Russian naval support facility to replenish their supplies, after which all ships continued their deployment on 9 January. In February 2012, Admiral Kuznetsov returned to her home base of Severomorsk, having lost propulsion during the return voyage in the Bay of Biscay. The tugboat took the vessel in tow and aided Admiral Kuznetsovs return. 2013–2014 deployment On 1 June 2013, it was announced that the ship would return to the Mediterranean by the end of the year, and on 17 December, Admiral Kuznetsov departed her home base for the Mediterranean. On 1 January 2014, Admiral Kuznetsov celebrated New Year's Day while at anchor in international waters of the Moray Firth off northeast Scotland. The anchorage allowed replenishment of ship's supplies and respite for the crew from stormy weather off the southwest coast of Norway. She then proceeded to the Mediterranean Sea, docking in Cyprus on 28 February. In May 2014, the ship and her task group: the Kirov-class nuclear-powered cruiser Petr Velikiy; tankers Sergey Osipov, Kama and Dubna; the ocean-going tug Altay and the Minsk (part of the Black Sea Fleet), passed the UK while sailing for home. Despite financial and technical problems, resulting in limited operations for the ship, it was expected that Admiral Kuznetsov would remain in active service until at least 2030. Mid-life refit In April 2010, it was announced that by late 2012, the ship would enter Severodvinsk Sevmash shipyard for a major refit and modernization, including upgrades to obsolete electronics and sensor equipment, installation of a new anti-aircraft system (Pantsir-M) and an increase of the air wing with the removal of the P-700 Granit anti-ship missiles. Possible upgrades include exchanging the troublesome steam powerplant to gas-turbine, or even nuclear propulsion, and installation of catapults to the angled deck. The Navy expected to acquire Mikoyan MiG-29K aircraft for Admiral Kuznetsov by 2011; this later was confirmed by a defense sub-contractor The MiG-29Ks would replace the 19 carrier-based Su-33 fighters, a resource set to become obsolete by 2015. Producing more Su-33s is possible but not cost-effective for such small volumes; the MiG-29K is more convenient as the Indian Navy also placed an order for a total of 45 aircraft, thereby reducing development and manufacturing costs. India paid $730 million for the development and delivery of 16 MiG-29Ks; 24 additional aircraft for the Russian Navy would cost about $1 billion. 2016 Syrian campaign Following ongoing maintenance, Admiral Kuznetsov set sail on 15 October 2016 from the Kola Bay for the Mediterranean, accompanied by seven other Russian Navy vessels including the nuclear-powered battlecruiser and two s. The carrier was accompanied by an ocean-going tugboat, as a precaution due to potential propulsion failure. The airwing included 6-8 Su-33 fighters, four Mig-29KR/KUBR multi-role aircraft, Ka-52K "Katran" navalised attack helicopters, Ka-31R "Helix" AEW&C helicopters and Ka-27PS "Helix-D" search and rescue helicopters. All the Su-33 aircraft had been upgraded with the Gefest SVP-24 bombsights for free-fall bombs, giving them a limited ground-attack capability. Analysts, including Mikhail Barabanov of the Moscow Defense Brief, suggested that a lack of trained pilots restricted the number of fixed-wing aircraft that could be deployed from the carrier. On 21 October, the Admiral Kuznetsov battle group sailed through the English Channel, escorted by Royal Navy ships, while UK Defence Minister Michael Fallon speculated that the taskforce was designed to "test" the British naval response. On 26 October 2016, the ship was reported to have passed through the Strait of Gibraltar and refuelled at sea off North Africa the following day. On 3 November 2016, the Admiral Kuznetsov battle group paused off the east coast of Crete. On 14 November 2016, a MiG-29K crashed into the sea after taking off from the carrier. The pilot
aspirated version of the Forester in 2006. This increased horsepower and torque figures to 173 HP and 166 ft-lbs. The 2006 XT received a higher compression ratio to 8.4:1 from 8.2:1. This increased the XT's power to 230 HP and 235 ft-lbs. For the 2006 model year, Subaru gave the SG a facelift, using redesigned headlights, tail-lights, bonnet, grille, front bumper, and side-moldings. Safety MY03-04 Models has a 4-Star ANCAP safety rating. MY05 Forester Model had a mid-life update, which increased its ANCAP safety rating to 5 Stars. In 2006, the turbocharged engine (powering the Forester XT) was awarded International Engine of the Year. This engine is also used in the Subaru Impreza WRX, as well as the re-badged Saab 9-2XAero. Maintenance All of the 2.5-liter 4-cylinder engines for this generation have a timing belt made of rubber and cord. A belt must be replaced at . These engines are interference engines, meaning that if the timing belt breaks or stretches, the pistons will hit the valves, requiring an engine teardown, and a likely rebuild. Also, if this belt is replaced around 105,000 miles, it is a good idea to change the water pump, thermostat, belt tensioner and all the idler pulleys for this belt. The water pump and thermostat are behind this belt. In Australia for the Series II (MY06) cars, Subaru changed the recommended service interval for the timing belt replacement from 100,000 kilometers to 125,000 kilometers. The 2.5-liter 4-cylinder engine in the first-generation Foresters featured head gaskets which were prone to premature failure. For 2003 and later, this problem was addressed with a revised, higher performing design, but is still a problem. United States The U.S. Market was offered the car with either the 2.5 SOHC naturally aspirated engine, or the 2.5 DOHC turbocharged version added in 2004. In 2005, the L.L. Bean edition is added. In 2006, styling is updated, Active valve lift system is added to non-turbo engines to improve power and efficiency, XS model deleted, and Premium model added. In 2007, a bottle holder was added to front door panels, the 'Sports' trim level was added, which changed some interior and exterior features and added the VDT/VDC transmission to the XT Sports turbo Automatic model: In 2008, TPMS was added, L.L. Bean model deletes rear load-leveling suspension, but gains radio upgrade, the XT Turbo Limited models gets the VDT/VDC Auto transmission as well. Australia The Forester had three main models available in Australia until July 2005: X - naturally aspirated 2.5 L flat-4, XS - naturally aspirated 2.5 L flat-4, XT - turbocharged 2.5 L flat-4, The Forester at the time had three main models available in Australia from August 2005 Series II: X - naturally aspirated 2.5 L flat-4, XS - naturally aspirated 2.5 L flat-4, XT - turbocharged 2.5 L flat-4, The Luxury Pack edition was an option on all models, allowing for leather seats and a sunroof. These options were also included with the Columbia edition. The Weekender edition included fog lights, roof racks, and alloy wheels. Standard with the Manufacture Year 2006 (MY06) Forester came with larger side mirrors with indicator lights, curtain airbags receiving a 5-star safety rating, a remodeled center console, an updated front fascia, and the removal of the large Subaru badge under the rear window. X - Air conditioning, CD player, power windows, ABS, and cruise control. XS - Auto leveling rear suspension, 16-inch Alloy Wheels, Fog lights, Climate Control, and Cd Stacker - 6 Disc in Dash. XT - As the XS but with 17-inch Alloy Wheels, high-intensity discharge (HID) headlights, Momo steering wheel, and 7 Speaker Stereo. India The Forester was sold in India as a Chevrolet alongside other unique Chevrolet models sold there. However, since General Motors no longer holds an ownership stake in Subaru's parent company, Fuji Heavy Industries, sales in India of the Chevrolet-badged Forester have ended. China A look-alike was produced by Yema and known as the Yema F99 in China. It was a similar design to the pre-facelifted model. Production ran from 2012 to 2014. The engine was a 1.5l 4 cylinder mated to a 5-speed manual gearbox. The car was not related to the Forester even though they look very similar. The Forester was imported to China from 2004 until 2007 in the following models: 2004 Version sold in China: 2.5XT Automatic 2006 Version (Facelift) sold in China: 2.0X Manual 2.0X Automatic 2.5XT Automatic 2007 Version (Facelift) sold in China: 2.0X Manual 2.0X Automatic 2.5XT Automatic Forester STi (SF and SG; 2000) In 2004, Subaru launched the Forester STI for the Japanese Market only. A "sportier" version of the standard second-gen (SG) Forester, the Forester STi incorporated most of the running components from the WRX STi, with several other changes. The base price for the Forester STi (new) was about in 2005 or about The Forester STi has AWD and a front-mounted engine. The Forester STi was never exported to any other markets. It was only distributed in Japan. Exterior changes The Forester STi exterior was modified with additions such as a redesigned front fascia with new headlights, front bumper, grille and "STi" badged covered fog lights, like those seen on the Impreza WRX STi. The rear fascia was also redesigned with revised taillights, a revised rear bumper, and an added rear spoiler. Engine and mechanical changes Multiple changes were made to the engine and the mechanical components of the Forester to create the Forester STi. They include: Engine The Forester STi received the 2.5-liter turbocharged flat-four from the WRX STi, making and 186.0 lb-ft of torque. A six-speed manual gearbox, a larger intercooler, and a low-back-pressure exhaust system were also added. The top three ratios of the gearbox are 14 percent taller to match the engine's torque curve. Mechanical components Multiple changes were made to the mechanical components of the Forester to create the Forester STi. They include: Suspension To cope with the extra power made by the new engine, the Forester STi got many upgraded suspension components including STi sport springs, revised struts at each corner, and bigger anti-roll bars and cross-members. These changes resulted in a 1.2 inch lower ride height and improved resistance to torsional forces. Rolling resistance was also improved, but the higher center of gravity of the Forester still remained. Steering The Forester STi had a new rack with a quicker ratio that leads to a more deliberate turn-in. Wheels and tires The Forester STi gets 18-inch, 10-spoke alloy wheels with 225/45R-18 Bridgestone Potenzas. Four-piston Brembo brakes are employed on the front wheels, and two-piston units are used on the back. Interior The Forester STi has special STi bucket seats with red inserts, a smaller leather steering wheel, and a shift knob with red stitching. Performance The 2006 Forester STi accelerates from 0-60 (0-96.6 kph) mph in 5.2 seconds, 0-62 mph (0-100 kph) in 5.4 seconds, and does the quarter mile in 14.1 seconds @ 97.0 mph (156.11 kph). The Forester STi can go on to reach a top speed of 140 mph (225.3 kph) The Forester STi has a power to weight ratio of 174 hp per ton. Third generation (SH; 2008) The third-generation Forester began to move away from a traditional wagon design towards becoming a crossover SUV. It was larger in nearly every dimension and featured a sloping roofline with more cargo space. Subaru unveiled the model year 2008 Forester in Japan on December 25, 2007. The North American version made its debut at the 2008 North American International Auto Show in Detroit. Styling was by Subaru Chief Designer Mamoru Ishii. The dimensions derive from engineers using the basic body structure of the Japanese-spec Impreza wagon with the rear platform of the U.S.-spec Impreza sedan. The Forester's wheelbase was increased , with overall increases of in length, in width and in height. The independent double-wishbone rear suspension was redesigned for better handling and a smoother ride. A "Sportshift" mode was added to the four-speed computer-controlled automatic transmission. The in-dash, touch-screen satellite navigation system became Bluetooth compatible, and integrated with a premium stereo. A six-speaker surround sound enhancement was optional. The new model added to the Forester's wheelbase, improving interior space and cargo room ( expandable to ). Ground clearance was . Europe The Forester was available in Europe from 2008 with either the 2.0-liter EJ20 () 196 Nm gasoline engine with Active Valve Control System (AVCS) matched to either five-speed manual or four-speed automatic gearbox, or an all-new diesel-powered horizontally opposed Subaru EE boxer engine, and six-speed manual gearbox. The new model was introduced at the 2008 Paris Motor Show in October. The diesel engine produces a power output of and 350 Nm. The EE20 diesel engine in the Euro 4 guise was plagued by crankshaft failure caused by cracks forming when operated in cold climate. Although Subaru never acknowledged this defect, the engine was reworked for the Euro 5 model in 2011 to eliminate this issue. In the UK, the gasoline-powered Forester was offered in
employed the slogan "SUV tough, Car Easy". It used the Impreza platform but with the larger 2.5-liter DOHC EJ25D four-cylinder boxer engine from the Subaru Outback, making at 5,600 rpm and of torque at 4,000 rpm. Japan In its domestic market the Forester replaced the Subaru Impreza Gravel Express, known in the US as the Subaru Outback Sport. However, the Outback Sport remained in production for the U.S. market. The Forester appeared after the introduction of the Nissan Rasheen in Japan with a similar appearance, and the Forester's Japanese competitors include the Toyota RAV4, Mitsubishi RVR, and the Suzuki Grand Vitara. Because of the Forester's low center of gravity, it meets the United States federal safety standards for passenger vehicles and does not require a "risk of rollover" warning label on the driver's visor. Size- and price-wise, it fits between the shared Impreza platform and the larger Legacy. The automatic transmissions used on AWD-equipped vehicles will normally send 60% of the engine's torque to the front wheels and 40% to the rear wheels, using a computer-controlled, continuously variable, multi-plate transfer clutch. When the transmission detects a speed difference between the front and rear axle sets, the transmission progressively sends power to the rear wheels. Under slip conditions, it can achieve an equal split in front and rear axle speeds. When accelerating or driving uphill, the vehicle's weight shifts rearward, reducing front-wheel traction, causing the transmission to automatically send torque to the rear wheels to compensate. When braking or driving downhill, the vehicle's weight shifts towards the front, reducing rear-wheel traction. The transmission again compensates by sending torque to the front wheels for better steering control and braking performance. If the automatic is placed in reverse or first gear, the transmission divides the torque 50/50 to both front and rear wheels. The manual transmission cars are set up with a near 50/50 torque split as a base setting, and it varies from there. Essentially, manual cars are set up with more bias towards the rear than automatic cars. Australia There was a change in body styling for all 2001–2002 models, and the 2001/2002 GT spec also had a change in engine management and power output was increased from 125 to . United States The U.S. market first got the car starting in 1997 with either the 2.5-liter DOHC (MY1998 only), and in 1999+ models changed to a 2.5-liter SOHC naturally aspirated engine (no turbocharged engines). In 2000, for MY2001, Subaru updated the exterior with a modest facelift to the front, rear, sides, and the interior's dashboard. The trim levels were the basic model "L" and the fully equipped "S" for the USA versions. Forester L came with a high level of standard equipment, including ABS, air conditioning, power windows, power locks, cruise control, digital temperature gauge, multi-reflector halogen headlights, fog lights, roof rack, rear window defogger, trailer harness connector, reclining front bucket seats with adjustable lumbar support, tilt steering, tinted glass, AM/FM/cassette stereo with its antenna laminated in the left-rear quarter window. Notably new in 2001 were the three-point seatbelts for all five seating positions, including force limiters in front and height-adjustable shoulder belt anchors for front and rear outboard positions, plus rear seat headrests for all three seating positions. Forester S adds a viscous limited-slip differential for the 2000 Model Year, rear disc brakes, 16 × 6.5-inch alloy wheels with 215/60R16 tires (the L uses 15 × 6-inch steel wheels), upgraded moquette upholstery, heated front seats with net storage pockets in back, dual vanity mirrors, heated side-view mirrors, heated windshield wipers, and keyless entry. New equipment for 2001 included Titanium pearl paint for the bumpers and cladding; six-disc in-dash CD sound system; leather-wrapped steering wheel, shift knob, and handbrake handle; variable intermittent wipers with de-icers and driver's side fin; and the five-spoke alloy wheels. Some models were equipped with the $1,000 optional premium package on the Forester S, including monotone paint (Sedona Red Pearl), power moonroof, front side-impact airbags, and gold accent wheels. Other options were the $800 automatic transmission, $39 chrome tailpipe cover, and $183 auto-dimming rear-view mirror with compass, bringing the sticker price to $25,412 including $495 delivery (U.S. dollars quoted). Second generation (SG; 2002) The second generation was introduced as a 2003 model at the 2002 Chicago Auto Show, based on the new Impreza platform, featuring several fine-tune improvements over the past model. The 2003 Forester features weight-saving refinements such as an aluminum hood, perforated rails, and a hydro-formed front sub-frame. The most noticeable change was the offering of 2.5 L versions (normally aspirated and turbocharged) and in the U.S. the introduction of the turbocharged 2.5-liter model. In the United States, the naturally aspirated X (previously L) and XS (previously S) were released in 2003. In 2004, the turbocharged XT trim was released. However, the same model had been available since the late 1990s elsewhere in the world. The X and XS models feature a 2.5 L SOHC EJ253 engine, while the XT model features a 2.5 L turbocharged DOHC engine. Both engines have timing belt (camshaft). The XT model uses the same Mitsubishi Motors TD04 turbocharger used in the Subaru Impreza WRX. All Forester 2.5 L engines are of the interference engine type. Starting with the 2004 XT, the turbocharged version had Active valve control system cylinder heads. The i-AVLS (active valve lift system) became standard on the naturally aspirated version of the Forester in 2006. This increased horsepower and torque figures to 173 HP and 166 ft-lbs. The 2006 XT received a higher compression ratio to 8.4:1 from 8.2:1. This increased the XT's power to 230 HP and 235 ft-lbs. For the 2006 model year, Subaru gave the SG a facelift, using redesigned headlights, tail-lights, bonnet, grille, front bumper, and side-moldings. Safety MY03-04 Models has a 4-Star ANCAP safety rating. MY05 Forester Model had a mid-life update, which increased its ANCAP safety rating to 5 Stars. In 2006, the turbocharged engine (powering the Forester XT) was awarded International Engine of the Year. This engine is also used in the Subaru Impreza WRX, as well as the re-badged Saab 9-2XAero. Maintenance All of the 2.5-liter 4-cylinder engines for this generation have a timing belt made of rubber and cord. A belt must be replaced at . These engines are interference engines, meaning that if the timing belt breaks or stretches, the pistons will hit the valves, requiring an engine teardown, and a likely rebuild. Also, if this belt is replaced around 105,000 miles, it is a good idea to change the water pump, thermostat, belt tensioner and all the idler pulleys for this belt. The water pump and thermostat are behind this belt. In Australia for the Series II (MY06) cars, Subaru changed the recommended service interval for the timing belt replacement from 100,000 kilometers to 125,000 kilometers. The 2.5-liter 4-cylinder engine in the first-generation Foresters featured head gaskets which were prone to premature failure. For 2003 and later, this problem was addressed with a revised, higher performing design, but is still a problem. United States The U.S. Market was offered the car with either the 2.5 SOHC naturally aspirated engine, or the 2.5 DOHC turbocharged version added in 2004. In 2005, the L.L. Bean edition is added. In 2006, styling is updated, Active valve lift system is added to non-turbo engines to improve power and efficiency, XS model deleted, and Premium model added. In 2007, a bottle holder was added to front door panels, the 'Sports' trim level was added, which changed some interior and exterior features and added the VDT/VDC transmission to the XT Sports turbo Automatic model: In 2008, TPMS was added, L.L. Bean model deletes rear load-leveling suspension, but gains radio upgrade, the XT Turbo Limited models gets the VDT/VDC Auto transmission as well. Australia The Forester had three main models available in Australia until July 2005: X - naturally aspirated 2.5 L flat-4, XS - naturally aspirated 2.5 L flat-4, XT - turbocharged 2.5 L flat-4, The Forester at the time had three main models available in Australia from August 2005 Series II: X - naturally aspirated 2.5 L flat-4, XS - naturally aspirated 2.5 L flat-4, XT - turbocharged 2.5 L flat-4, The Luxury Pack edition was an option on all models, allowing for leather seats and a sunroof. These options were also included with the Columbia edition. The Weekender edition included fog lights, roof racks, and alloy wheels. Standard with the Manufacture Year 2006 (MY06) Forester came with larger side mirrors with indicator lights, curtain airbags receiving a 5-star safety rating, a remodeled center console, an updated front fascia, and the removal of the large Subaru badge under the rear window. X - Air conditioning, CD player, power windows, ABS, and cruise control. XS - Auto leveling rear suspension, 16-inch Alloy Wheels, Fog lights, Climate Control, and Cd Stacker - 6 Disc in Dash. XT - As the XS but with 17-inch Alloy Wheels, high-intensity discharge (HID) headlights, Momo steering wheel, and 7 Speaker Stereo. India The Forester was sold in India as a Chevrolet alongside other unique Chevrolet models sold there. However, since General Motors no longer holds an ownership stake in Subaru's parent company, Fuji Heavy Industries, sales in India of the Chevrolet-badged Forester have ended. China A look-alike was produced by Yema and known as the Yema F99 in China. It was a similar design to the pre-facelifted model. Production ran from 2012 to 2014. The engine was a 1.5l 4 cylinder mated to a 5-speed manual gearbox. The car was not related to the Forester even though they look very similar. The Forester was imported to China from 2004 until 2007 in the following models: 2004 Version sold in China: 2.5XT Automatic 2006 Version (Facelift) sold in China: 2.0X Manual 2.0X Automatic 2.5XT Automatic 2007 Version (Facelift) sold in China: 2.0X Manual 2.0X Automatic 2.5XT Automatic Forester STi (SF and SG; 2000) In 2004, Subaru launched the Forester STI for the Japanese Market only. A "sportier" version of the standard second-gen (SG) Forester, the Forester STi incorporated most of the running components from the WRX STi, with several other changes. The base price for the Forester STi (new) was about in 2005 or about The Forester STi has AWD and a front-mounted engine. The Forester STi was never exported to any other markets. It was only distributed in Japan. Exterior changes The Forester STi exterior was modified with additions such as a redesigned front fascia with new headlights, front bumper, grille and "STi" badged covered fog lights, like those seen on the Impreza WRX STi. The rear fascia was also redesigned with revised taillights, a revised rear bumper, and an added rear spoiler. Engine and mechanical changes Multiple changes were made to the engine and the mechanical components of the Forester to create the Forester STi. They include: Engine The Forester STi received the 2.5-liter turbocharged flat-four from the WRX STi, making and 186.0 lb-ft of torque. A six-speed manual gearbox, a larger intercooler, and a low-back-pressure exhaust system were also added. The top three ratios of the gearbox are 14 percent taller to match the engine's torque curve. Mechanical components Multiple changes were made to the mechanical components of the Forester to create the Forester STi. They include: Suspension To cope with the extra power made by the new engine, the Forester STi got many upgraded suspension components including STi sport springs, revised struts at each corner, and bigger anti-roll bars and cross-members. These changes resulted in a 1.2 inch lower ride height and improved resistance to torsional forces. Rolling resistance was also improved, but the higher center of gravity of the Forester still remained. Steering The Forester STi had a new rack with a quicker ratio that leads to a more deliberate turn-in. Wheels and tires The Forester STi gets 18-inch, 10-spoke alloy wheels with 225/45R-18 Bridgestone Potenzas. Four-piston Brembo brakes are employed on the front wheels, and two-piston units are used on the back. Interior The Forester STi has special STi bucket seats with red inserts, a smaller leather steering wheel, and a shift knob with red stitching. Performance The 2006 Forester STi accelerates from 0-60 (0-96.6 kph) mph in 5.2 seconds, 0-62 mph (0-100 kph) in 5.4 seconds, and does the quarter mile in 14.1 seconds @ 97.0 mph (156.11 kph). The Forester STi can go on to reach a top speed of 140 mph (225.3 kph) The Forester STi has a power to weight ratio of 174 hp per ton. Third generation (SH; 2008) The third-generation Forester began to move away from a traditional wagon design towards becoming a crossover SUV. It was larger in nearly every dimension and featured a sloping roofline with more cargo space. Subaru unveiled the model year 2008 Forester in Japan on December 25, 2007. The North American version made its debut at the 2008 North American International Auto Show in Detroit. Styling was by Subaru Chief Designer Mamoru Ishii. The dimensions derive from engineers using the basic body structure of the Japanese-spec Impreza wagon with the rear platform of the U.S.-spec Impreza sedan. The Forester's wheelbase was increased , with overall increases of in length, in width and in height. The independent double-wishbone rear suspension was redesigned for better handling and a smoother ride. A "Sportshift" mode was added to the four-speed computer-controlled automatic transmission. The in-dash, touch-screen satellite navigation system became Bluetooth compatible, and integrated with a premium stereo. A six-speaker surround sound enhancement was optional. The new model added to the Forester's wheelbase, improving interior space and cargo room ( expandable to ). Ground clearance was . Europe The Forester was available in Europe from 2008 with either the 2.0-liter EJ20 () 196 Nm gasoline engine with Active Valve Control System (AVCS) matched to either five-speed manual or four-speed automatic gearbox,
bloated systems, due to inflated expectations and overconfidence. The phrase was first used by Fred Brooks in his book The Mythical Man-Month, first published in 1975. It described the jump from a set of simple operating systems on the IBM 700/7000 series to
from a set of simple operating systems on the IBM 700/7000 series to OS/360 on the 360 series, which happened in 1964. See also
scarce resources. International pressure and domestic opposition eventually pressed the government toward a national election. Tomás Borge warned that the elections were a concession, an act of generosity and of political necessity. On the other hand, the Sandinistas had little to fear from the election given the advantages of incumbency and the restrictions on the opposition, and they hoped to discredit the armed efforts to overthrow them. A broad range of political parties, ranging in political orientation from far-left to far-right, competed for power. Following promulgation of a new populist constitution, Nicaragua held national elections in 1984. Independent electoral observers from around the world—including groups from the UN as well as observers from Western Europe—found that the elections had been fair. Several groups, however, disputed this, including UNO, a broad coalition of anti-Sandinista activists, COSEP, an organization of business leaders, the Contra group "FDN", organized by former Somozan-era National Guardsmen, landowners, businessmen, peasant highlanders, and what some claimed as their patron, the U.S. government. Although initially willing to stand in the 1984 elections, the UNO, headed by Arturo Cruz (a former Sandinista), declined participation in the elections based on their own objections to the restrictions placed on the electoral process by the State of Emergency and the official advisement of President Ronald Reagan's State Department, who wanted to de-legitimize the election process. Among other parties that abstained was COSEP, who had warned the FSLN that they would decline participation unless freedom of the press was reinstituted. Coordinadora Democrática (CD) also refused to file candidates and urged Nicaraguans not to take part in the election. The Independent Liberal Party (PLI), headed by Virgilio Godoy Reyes, announced its refusal to participate in October. Consequently, when the elections went ahead the U.S. raised objections based upon political restrictions instituted by the State of Emergency (e.g., censorship of the press, cancellation of habeas corpus, and the curtailing of free assembly). Daniel Ortega and Sergio Ramírez were elected president and vice-president, and the FSLN won an overwhelming 61 out of 96 seats in the new National Assembly, having taken 67% of the vote on a turnout of 75%. Despite international validation of the elections by multiple political and independent observers (virtually all from among U.S. allies), the United States refused to recognize the elections, with President Ronald Reagan denouncing the elections as a sham. According to a study, since the 1984 election was for posts subordinate to the Sandinista Directorate, the elections were no more subject to approval by vote than the Central Committee of the Communist Party is in countries of the East Bloc. Daniel Ortega began his six-year presidential term on January 10, 1985. After the United States Congress turned down continued funding of the Contras in April 1985, the Reagan administration ordered a total embargo on United States trade with Nicaragua the following month, accusing the Sandinista government of threatening United States security in the region. 1990 election The elections of 1990, which had been mandated by the constitution passed in 1987, saw the Bush administration funnel $49.75 million of 'non-lethal' aid to the Contras, as well as $9 million to the opposition UNO—equivalent to $2 billion worth of intervention by a foreign power in a US election at the time, and proportionately five times the amount George Bush had spent on his own election campaign. When Violeta Chamorro visited the White House in November 1989, the US pledged to maintain the embargo against Nicaragua unless Violeta Chamorro won. There were reports of intimidation and violence during the election campaign by the contras, with a Canadian observer mission claiming that 42 people were killed by the contras in "election violence" in October 1989. Sandinistas were also accused of intimidation and violence during the election campaign. According to the Puebla Institute, by mid-December 1989, seven opposition leaders had been murdered, 12 had disappeared, 20 had been arrested, and 30 others assaulted. In late January 1990, the OAS observer team reported that “a convoy of troops attacked four truckloads of UNO sympathizers with bayonets and rifle butts, threatening to kill them." Years of conflict had left 50,000 casualties and $12 billion of damages in a society of 3.5 million people and an annual GNP of $2 billion. After the election, a survey was taken of voters: 75.6% agreed that if the Sandinistas had won, the war would never have ended. 91.8% of those who voted for the UNO agreed with this (William I Robinson, op cit). The Library of Congress Country Studies on Nicaragua states: Despite limited resources and poor organization, the UNO coalition under Violeta Chamorro directed a campaign centered around the failing economy and promises of peace. Many Nicaraguans expected the country's economic crisis to deepen and the Contra conflict to continue if the Sandinistas remained in power. Chamorro promised to end the unpopular military draft, bring about democratic reconciliation, and promote economic growth. In the February 25, 1990, elections, Violeta Barrios de Chamorro carried 55 percent of the popular vote against Daniel Ortega's 41 percent. Opposition (1990–2006) In 1987, due to a stalemate with the Contras, the Esquipulas II treaty was brokered by Costa Rican President Óscar Arias Sánchez. The treaty's provisions included a call for a cease-fire, freedom of expression, and national elections. After the February 26, 1990 elections, the Sandinistas lost and peacefully passed power to the National Opposition Union (UNO), an alliance of 14 opposition parties ranging from the conservative business organization COSEP to Nicaraguan communists. UNO's candidate, Violeta Barrios de Chamorro, replaced Daniel Ortega as president of Nicaragua. Reasons for the Sandinista loss in 1990 are disputed. Defenders of the defeated government assert that Nicaraguans voted for the opposition due to the continuing U.S. economic embargo and potential Contra threat. Others have alleged that the United States threatened to continue to support the Contras and continue the civil war if the regime was not voted out of power. After their loss, the Sandinista leaders held most of the private property and businesses that had been confiscated and nationalized by the FSLN government. This process became known as the "piñata" and was tolerated by the new Chamorro government. Ortega also claimed to "rule from below" through groups he controls such as labor unions and student groups. Prominent Sandinistas also created nongovernmental organizations to promote their ideas and social goals. Ortega remained the head of the FSLN, but his brother Humberto resigned from the party and remained at the head of the Sandinista Army, becoming a close confidante and supporter of Chamorro. The party also experienced internal divisions, with prominent Sandinistas such as Ernesto Cardenal and Sergio Ramírez resigning to protest what they described as heavy-handed domination of the party by Daniel Ortega. Ramírez also founded a separate political party, the Sandinista Renovation Movement (MRS); his faction came to be known as the , who favor a more social democratic approach than the ortodoxos, or hardliners. In the 1996 Nicaraguan election, Ortega and Ramírez both campaigned unsuccessfully as presidential candidates on behalf of their respective parties, with Ortega receiving 43% of the vote while Arnoldo Alemán of the Constitutional Liberal Party received 51%. The Sandinistas won second place in the congressional elections, with 36 of 93 seats. Ortega was re-elected as leader of the FSLN in 1998. Municipal elections in November 2000 saw a strong Sandinista vote, especially in urban areas, and former Tourism Minister Herty Lewites was elected mayor of Managua. This result led to expectations of a close race in the presidential elections scheduled for November 2001. Daniel Ortega and Enrique Bolaños of the Constitutional Liberal Party (PLC) ran neck-and-neck in the polls for much of the campaign, but in the end the PLC won a clear victory. The results of these elections were that the FSLN won 42.6% of the vote for parliament (versus 52.6% for the PLC), giving them 41 out of the 92 seats in the National Assembly (versus 48 for the PLC). In the presidential race, Ortega lost to Bolaños 46.3% to 53.6%. Daniel Ortega was once again re-elected as leader of the FSLN in March 2002 and re-elected as president of Nicaragua in November 2006. Return to government In 2006, Daniel Ortega was elected president with 38% of the vote (see 2006 Nicaraguan general election). This occurred despite the fact that the breakaway Sandinista Renovation Movement continued to oppose the FSLN, running former Mayor of Managua Herty Lewites as its candidate for president. However, Lewites died several months before the elections. The FSLN also won 38 seats in the congressional elections, becoming the party with the largest representation in parliament. The split in the Constitutionalist Liberal Party helped to allow the FSLN to become the largest party in Congress. The Sandinista vote was also split between the FSLN and MRS, but the split was more uneven, with limited support for the MRS. The vote for the two liberal parties combined was larger than the vote for the two Sandinista parties. In 2010, several liberal congressmen raised accusations about the FSLN presumably attempting to buy votes in order to pass constitutional reforms that would allow Ortega to run for office for the 6th time since 1984. In 2011, Ortega was re-elected as president. Ortega was allowed by Nicaraguan Supreme Court to run again as president, despite having already served two mandates, in a move which was strongly criticized by the opposition. The Supreme Court also banned the leader of the Independent Liberal Party Eduardo Montealegre from running in the election. Ortega was re-elected as president, amid claims of electoral fraud; data about turnout were unclear: while the Supreme Electoral Council claimed a turnout of 66% of voters, the opposition claimed only 30% of voters actually went to the polls. 2018 protests The year 2018 was marked by particular unrest in Nicaragua that had not been seen in the country in three decades. It came in two different phases, with initial unrest in the context of a fire at the Indio Maíz Biological Reserve in the Río San Juan department (which came to an end when rain abruptly put the fire out), leading on to an outbreak of violence a few weeks later after social security reforms were announced by the government. During this unrest there were many deaths linked to the violence, as well as many instances of torture, sexual assaults, death threats, ransacking and burning of buildings and violence against journalists. Opposition figures argued that the government was responsible for the violence, a view supported by some press outlets and NGOs such as Amnesty International. Many opposition figures and independent journalists have been arrested and police raids of opposition forces and independent media have occurred frequently. On September 29, 2018, President Ortega declared that political protests were "illegal" in Nicaragua, stating that demonstrators would "respond to justice" if they attempted to publicly voice their opinions. The United Nations condemned the actions as being a violation of human rights regarding freedom of assembly. Carlos Fernando Chamorro, son of former president Violeta Chamorro and editor of Confidencial, left the country after his office was subject to police search in December 2018. In December 2018, the government revoked the licenses of five human rights organizations, closed the offices of the cable news and online show Confidencial, and beat journalists when they protested. The Confidential newspaper and other media were seized and taken by the government of Daniel Ortega Several service stations of the Puma brand were closed on the afternoon, December 20, by representatives of the Nicaraguan Energy Institute (INE), a state entity that has the mandate to regulate, among others, the hydrocarbons sector. Puma Energy entered the Nicaraguan oil and fuel derivatives market at the end of March 2011, when it bought the entire network of Esso stations in Nicaragua, as part of a regional operation that involved the purchase of 290 service stations and eight storage terminals of fuel in four countries of Central America. On December 21, 2018, the Nicaraguan police raided the offices of the 100% News Channel. They arrested Miguel Mora, owner of the Canal; Lucía Pineda, Head of Press of 100% Noticias and Verónica Chávez, wife of Miguel Mora and host of the Ellas Lo Dicen Program. Subsequently, Verónica Chávez was released. Miguel Mora and Lucia Pineda were accused of terrorist crimes and provoking hatred and discrimination between the police and Sandinistas. On January 30, 2019, the FSLN was expelled from the Socialist International citing "gross violations of human rights and democratic values committed by the government of Nicaragua". The ruling Democratic Revolutionary Party of Panama, also a member of the Socialist International, rejected the expulsion of the FSLN and threatened to leave the International, saying that it has abandoned its principles and made a decision regarding Latin America without consulting the Latin American parties, and referred to a "history of brotherhood in the struggle for social justice in Central America" between the two parties . Ideology Through the media and the works of FSLN leaders such as Carlos Fonseca, the life and times of Augusto César Sandino became its unique symbol in Nicaragua. The ideology of Sandinismo gained momentum in 1974, when a Sandinista-initiated hostage situation resulted in the Somoza government adhering to FSLN demands and publicly printing and airing work on Sandino in well known newspapers and media outlets. During the struggle against Somoza, the FSLN leaders' internal disagreements over strategy and tactics were reflected in three main factions: The (GPP, "protracted people's war") faction was rural-based and sought long-term "silent accumulation of forces" within the country's large peasant population, which it saw as the main social base for the revolution. The (TP, "proletarian tendency"), led by Jaime Wheelock, reflected an orthodox Marxist approach that sought to organize urban workers. The / (TI, "third way/insurrectionist") faction, led by Humberto, Casimiro A. Sotelo, and Daniel Ortega, was ideologically eclectic, favoring a more rapid insurrectional strategy in alliance with diverse sectors of the country, including business owners, churches, students, the middle class, unemployed youth and the inhabitants of shantytowns. The also helped attract popular and international support by organizing a group of prominent Nicaraguan professionals, business leaders, and clergymen (known as "the Twelve"), who called for Somoza's removal and sought to organize a provisional government from Costa Rica. Nevertheless, while ideologies varied between FSLN leaders, all leaders essentially agreed that Sandino provided a path for the Nicaragua masses to take charge, and the FSLN would act as the legitimate vanguard. The extreme end of the ideology links Sandino to Roman Catholicism and portrays him as descending from the mountains in Nicaragua knowing he would be betrayed and killed. Generally however, most Sandinistas associated Sandino on a more practical level, as a heroic and honest person who tried to combat the evil forces of imperialist national and international governments that existed in Nicaragua's history. Principles of government For purposes of making sense of how to govern, the FSLN drew four fundamental principles from the work of Carlos Fonseca and his understanding of the lessons of Sandino. According to Bruce E. Wright, "the Governing Junta of National Reconstruction agreed, under Sandinista leadership, that these principles had guided it in putting into practice a form of government that was characterized by those principles." It is generally accepted that these following principles have evolved the "ideology of Sandinismo". Three of these (excluding popular participation, which was presumably contained in Article 2 of the Constitution of Nicaragua) were to ultimately be guaranteed by Article 5 of the Constitution of Nicaragua. They are as follows: Political Pluralism – The ultimate success of the Sandinista Front in guiding the insurrection and in obtaining the leading fore within it was based on the fact that the FSLN, through the tercerista guidance, had worked with many sectors of the population in defeating the Somoza dictatorship. The FSLN and all those whom would constitute the new provisional government were called diverse; "they were plural in virtually all senses". Mixed Economy – Fonseca's understanding that Nicaragua was not, in spite of Browderist interpretations, simply a feudal country and that it had also never really developed its own capitalism made it clear that a simple feudalism-capitalism-socialism path was not a rational way to think about the future development of Nicaragua. The FSLN was not necessarily seen simply as the vanguard of the proletariat revolution. The proletariat was but a minor fraction of the population. A complex class structure in a revolution based on unity among people from various class positions suggested more that it made sense to see the FSLN as the "vanguard of the people". Popular Participation and Mobilization – This calls for more than simple representative democracy. The inclusion of the mass organizations in the Council of State clearly manifested this conception. In Article 2 of the Constitution this is spelled out as follows: "The people exercise democracy, freely participating and deciding in the construction of the economic, political and social system what is most appropriate to their interest. The people exercise power directly and by their means of their representatives, freely elected in accord with universal, equal, direct, free, and secret suffrage." International Non-alignment – This is a result of the fundamentally Bolivarist conceptions of Sandino as distilled through the modern understanding of Fonseca. The U.S. government and large U.S. economic entities were a significant part of the problem for Nicaragua. But experiences with the traditional parties allied with the Soviet Union had also been unsatisfactory. Thus it was clear that Nicaragua must seek its own road. Bruce E. Wright claims that "this was a crucial contribution from Fonseca's work that set the template for FSLN governance during the revolutionary years and beyond". Policies and programs Foreign policy Cuban assistance Beginning in 1967, the Cuban General Intelligence Directorate, or DGI, had begun to establish ties with Nicaraguan revolutionary organizations. By 1970 the DGI had managed to train hundreds of Sandinista guerrilla leaders and had vast influence over the organization. After the successful ousting of Somoza, DGI involvement in the new Sandinista government expanded rapidly. An early indication of the central role that the DGI would play in the Cuban-Nicaraguan relationship is a meeting in Havana on July 27, 1979, at which diplomatic ties between the two countries were re-established after more than 25 years. Julián López Díaz, a prominent DGI agent, was named Ambassador to Nicaragua. Cuban military and DGI advisors, initially brought in during the Sandinista insurgency, would swell to over 2,500 and operated at all levels of the new Nicaraguan government. The Cubans would like to have helped more in the development of Nicaragua towards socialism. Following the US invasion of Grenada, countries previously looking for support from Cuba saw that the United States was likely to take violent action to discourage this. Cuban assistance after the revolution The early years of the Nicaraguan revolution had strong ties to Cuba. The Sandinista leaders acknowledged that the FSLN owed a great debt to the socialist island. Once the Sandinistas assumed power, Cuba gave Nicaragua military advice, as well as aid in education, health care, vocational training and industry building for the impoverished Nicaraguan economy. In return, Nicaragua provided Cuba with grains and other foodstuffs to help Cuba overcome the effects of the US embargo. Relationship with eastern bloc intelligence agencies Pre-Revolution According to Cambridge University historian Christopher Andrew, who undertook the task of processing the Mitrokhin Archive, Carlos Fonseca Amador, one of the original three founding members of the FSLN had been recruited by the KGB in 1959 while on a trip to Moscow. This was one part of Aleksandr Shelepin's 'grand strategy' of using national liberation movements as a spearhead of the Soviet Union's foreign policy in the Third World, and in 1960 the KGB organized funding and training for twelve individuals that Fonseca handpicked. These individuals were to be the core of the new Sandinista organization. In the following several years, the FSLN tried with little success to organize guerrilla warfare against the government of Luis Somoza Debayle. After several failed attempts to attack government strongholds and little initial support from the local population, the National Guard nearly annihilated the Sandinistas in a series of attacks in 1963. Disappointed with the performance of Shelepin's new Latin American "revolutionary vanguard", the KGB reconstituted its core of the Sandinista leadership into the ISKRA group and used them for other activities in Latin America. According to Andrew, Mitrokhin says during the following three years the KGB handpicked several dozen Sandinistas for intelligence and sabotage operations in the United States. Andrew and Mitrokhin say that in 1966, this KGB-controlled Sandinista sabotage and intelligence group was sent to northern Mexico near the US border to conduct surveillance for possible sabotage. In July 1961 during the Berlin Crisis of 1961 KGB chief Alexander Shelepin sent a memorandum to Soviet premier Nikita Khrushchev containing proposals to create a situation in various areas of the world which would favor dispersion of attention and forces by the US and their satellites, and would tie them down during the settlement of the question of a German peace treaty and West Berlin. It was planned, inter alia, to organize an armed mutiny in Nicaragua in coordination with Cuba and with the "Revolutionary Front Sandino". Shelepin proposed to make appropriations from KGB funds in addition to the previous assistance $10,000 for purchase of arms. Khrushchev sent the memo with his approval to his deputy Frol Kozlov and on August 1 it was, with minor revisions, passed as a CPSU Central Committee directive. The KGB and the Soviet Ministry of Defense were instructed to work out more specific measures and present them for consideration by the Central Committee. Cooperation with foreign intelligence agencies during the 1980s Other researchers have documented the contribution made from other Warsaw Pact intelligence agencies to the fledgling Sandinista government including the East German Stasi, by using recently declassified documents from Berlin as well as from former Stasi spymaster Markus Wolf who described the Stasi's assistance in the creation of a secret police force modeled on East Germany's. Educational assistance Cuba was instrumental in the Nicaraguan Literacy Campaign. Nicaragua was a country with a very high rate of illiteracy, but the campaign succeeded in lowering the rate from 50% to 12%. The revolution in Cuban education since the ousting of the US-backed Batista regime not only served as a model for Nicaragua but also provided technical assistance and advice. Cuba played an important part in the Campaign, providing teachers on a yearly basis after the revolution. Prevost states that "Teachers were not the only ones studying in Cuba, about 2,000 primary and secondary students were studying on the Isle of Youth and the cost was covered by the host country (Cuba)". 1980 literacy campaign The goals of the 1980 Literacy Campaign were socio-political, strategic as well as educational. It was the most prominent campaign with regards to the new education system. Illiteracy in Nicaragua was significantly reduced from 50.3% to 12.9%. One of the government's major concerns was the previous education system under the Somoza regime which did not see education as a major factor on the development of the country. As mentioned in the Historical Program of the FSLN of 1969, education was seen as a right and the pressure to stay committed to the promises made in the program was even stronger. 1980 was declared the "Year of Literacy" and the major goals of the campaign that started only 8 months after the FSLN took over. This included the eradication of illiteracy and the integration of different classes, races, gender and age. Political awareness and the strengthening of political and economic participation of the Nicaraguan people was also a central goal of the Literacy Campaign. The campaign was a key component of the FSLN's cultural transformation agenda. The basic reader which was disseminated and used by teacher was called "Dawn of the People" based on the themes of Sandino, Carlos Fonseca, and the Sandinista struggle against imperialism and defending the revolution. Political education was aimed at creating a new social values based on the principles of Sandinista socialism, such as social solidarity, worker's democracy, egalitarianism, and anti-imperialism. Health care Health conditions in Somoza era Nicaragua were abysmal according to a report published in the New England Journal of Medicine. Vaccine coverage of babies under a year old was 88% immunised against polio and 78% against measles in 1983. Despite the turmoil caused by the Contra War under-fire mortality was reduced by approximately half during this period. In this area Cuba played a role by again offering expertise to Nicaragua. Over 1,500 Cuban doctors worked in Nicaragua and provided more than five million consultations. Cuban personnel were essential in the elimination of polio, the decrease in whooping cough, rubella, measles and the lowering of the infant mortality rate. Gary Prevost states that Cuban personnel made it possible for Nicaragua to have a national health care system that reached the majority of its citizens. Vocational assistance Cuba has participated in the training of Nicaraguan workers in the use of new machinery imported to Nicaragua. The Nicaraguan revolution caused the United States to oppose the country's government; therefore the Sandinistas would not receive any aid from the United States. The United States embargo against Nicaragua, imposed by the Reagan administration in May 1985, made it impossible for Nicaragua to receive spare parts for US-made machines, so this led Nicaragua to look to other countries for help. Cuba was the best choice because of the shared language and proximity and also because it had imported similar machinery over the years. Nicaraguans went to Cuba for short periods of three to six months and this training involved close to 3,000 workers. Countries such as the UK, sent farm equipment to Nicaragua. Industry and infrastructure Cuba helped Nicaragua in large projects such as building roads, power plants and sugar mills. Cuba also attempted to help Nicaragua build the first overland route linking Nicaraguas Atlantic and Pacific coasts. The road was meant to traverse 420 kilometres (260 mi) of jungle, but completion of the road and usage was hindered by the Contra war, and it was never completed. Another significant feat was the building of the Tipitapa-Malacatoya sugar mill. It was completed and inaugurated during a visit by Fidel Castro in January 1985. The plant used the newest technology available and was built by workers trained in Cuba. Also during this visit Castro announced that all debts incurred on this project were absolved. Cuba also provided technicians to aid in the sugar harvest and assist in the rejuvenation of several old sugar mills. Cubans also assisted in building schools and similar projects. Ministry of Culture After the Nicaraguan revolution, the Sandinista government established a Ministry of Culture in 1980. The ministry was spearheaded by Ernesto Cardenal, a poet and priest. The ministry was established in order to socialize the modes of cultural production. This extended to art forms including dance, music, art, theatre and poetry. The project was created to democratize culture on a national level. The aim of the ministry was to "democratize art" by making it accessible to all social classes as well as protecting the right of the oppressed to produce, distribute and receive art. In particular, the ministry was devoted to the development of working class and campesino, or peasant culture. Therefore, the ministry sponsored cultural workshops throughout the country until October 1988 when the Ministry of Culture was integrated into the Ministry of Education because of financial troubles. The objective of the workshops was to recognize and celebrate neglected forms of artistic expression. The ministry created a program of cultural workshops known as, Casas de Cultura and Centros Populares de Cultura. The workshops were set up in poor neighbourhoods and rural areas and advocated universal access and consumption of art in Nicaragua. The ministry assisted in the creation of theatre groups, folklore and artisanal production, song groups, new journals of creation and cultural criticism, and training programs for cultural workers. The ministry created a Sandinista daily newspaper named Barricada and its weekly cultural addition named Ventana along with the Television Sandino, Radio Sandino and the Nicaraguan film production unit called the INCINE. There were existing papers which splintered after the revolution and produced other independent, pro-Sandinista newspapers, such as El Nuevo Diario and its literary addition Nuevo Amanecer Cultural. Editorial Nueva Nicaragua, a state publishing house for literature, was also created. The ministry collected and published political poetry of the revolutionary period, known as testimonial narrative, a form of literary genre that recorded the experiences of individuals in the course of the revolution. The ministry developed a new anthology of Rubén Darío, a Nicaraguan poet and writer, established a Rubén Darío prize for Latin American writers, the Leonel Rugama prize for young Nicaraguan writers, as well as public poetry readings and contests, cultural festivals and concerts. The Sandinista regime tried to keep the revolutionary spirit alive by empowering its citizens artistically. At the time of its inception, the Ministry of Culture needed, according to Cardenal, "to bring a culture to the people who were marginalized from it. We want a culture that is not the culture of an elite, of a group that is considered 'cultivated', but rather of an entire people." Nevertheless, the success of the Ministry of Culture had mixed results and by 1985 criticism arose over artistic freedom in the poetry workshops. The poetry workshops became a matter for criticism and debate. Critics argued that the ministry imposed too many principles and guidelines for young writers in the workshop, such as, asking them to avoid metaphors in their poetry and advising them to write about events in their everyday life. Critical voices came from established poets and writers represented by the Asociacion Sandinista de Trabajadores de la Cultura (ASTC) and from the Ventana both of which were headed by Rosario Murillo. They argued that young writers should be exposed to different poetic styles of writing and resources developed in Nicaragua and elsewhere. Furthermore, they argued that the ministry exhibited a tendency that favored and fostered political and testimonial literature in post-revolutionary Nicaragua. Economy The new government, formed in 1979 and dominated by the Sandinistas, resulted in a socialist model of economic development. The new leadership was conscious of the social inequities produced during the previous thirty years of unrestricted economic growth and was determined to make the country's workers and peasants, the "economically underprivileged", the prime beneficiaries of the new society. Consequently, in 1980 and 1981, unbridled incentives to private investment gave way to institutions designed to redistribute wealth and income. Private property would continue to be allowed, but all land belonging to the Somozas was confiscated. By 1990 the agrarian reform had affected half of the country's arable land benefiting some 60% of rural families. However, the ideology of the Sandinistas put the future of the private sector and of private ownership of the means of production in doubt. Although under the new government both public and private ownership were accepted, government spokespersons occasionally referred to a reconstruction phase in the country's development, in which property owners and the professional class would be tapped for their managerial and technical expertise. After reconstruction and recovery, the private sector would give way to expanded public ownership in most areas of the economy. Despite such ideas, which represented the point of view of a faction of the government, the Sandinista government remained officially committed to a mixed economy. The Sandinista government also significantly expanded workers rights in particular the right to form a union and collective bargaining. Some trade union rights however, like the right to strike were suspended during the Contra War, but strikes still occurred throughout the 1980s, most labour strikes were settled through dialogue with the FSLN. Economic growth was uneven in the 1980s. Restructuring of the economy and the rebuilding immediately following the end of the civil war caused the GDP to rise about 5 percent in 1980 and 1981. Each year from 1984 to 1990, however, showed a drop in the GDP. Reasons for the contraction included the reluctance of foreign banks to offer new loans, the diversion of funds to fight the new insurrection against the government, and, after 1985, the total embargo on trade with the United States, formerly Nicaragua's largest trading partner. After 1985 the government chose to fill the gap between decreasing revenues and mushrooming military expenditures by printing large amounts of paper money. Inflation rose rapidly, peaking in 1988 at more than 14,000 percent annually. Measures taken by the government to lower inflation were hampered by natural disaster. In early 1988, the administration of Daniel José Ortega Saavedra (Sandinista junta coordinator 1979–85, president 1985–90) established an austerity program to lower inflation. Price controls were tightened, and a new currency was introduced. As a result, by August 1988, inflation had dropped to an annual rate of 240 percent. The following month, however, Hurricane Joan cut a path directly across the center of the country. Damage was extensive, and the government's program of large spending to repair the infrastructure destroyed its anti-inflation measures. In its eleven years in power, the Sandinista government never overcame most of the economic inequalities that it inherited from the Somoza era. Years of war, policy missteps, natural disasters, and the effects of the United States trade embargo all hindered economic development. Despite these problems however, the Nicaragua economy saw a transformation in a direction to satisfy the needs of Nicaragua's poor majority. Women in revolutionary Nicaragua The women of Nicaragua prior to, during and after the revolution played a prominent role within the nation's society as they have commonly been recognized, throughout history and across all Latin American states, as its backbone. Nicaraguan women were therefore directly affected by all of the positive and negative events that took place during this revolutionary period. The victory of the Sandinista National Liberation Front (FSLN) in 1979 brought about major changes and gains for women, mainly in legislation, broad educational opportunities, training programs for working women, childcare programs to help women enter the work force and greatly increased participation and leadership positions in a range of political activities. This, in turn, reduced the burdens that the women of Nicaragua were faced with prior to the revolution. During the Sandinista government, women were more active politically. The large majority of members of the neighborhood committees (Comités de Defensa Sandinista) were women. By 1987, 31% of the executive positions in the Sandinista government, 27% of the leadership positions of the FSLN, and 25% of the FSLN's active membership were women. Supporters of the Sandinistas see their era as characterized by the creation and implementation of successful social programs which were free and made widely available to the entire nation. Some of the more successful programs for women that were implemented by the Sandinistas were in the areas of education (see: Nicaraguan Literacy Campaign), health, and housing. Providing subsidies for basic foodstuffs and the introduction of mass employment were also contributions of the FSLN. The Sandinistas were particularly advantageous for the women of Nicaraguan as they promoted progressive views on gender as early as 1969 claiming that the revolution would "abolish the detestable discrimination that women have suffered with regard to men and establish economic, political and cultural equality between men and women". This was evident as the FSLN began integrating women into their ranks by 1967, unlike other left-wing guerilla groups in the region. This goal was not fully reached because the roots of gender inequality were not explicitly challenged. Women's participation within the public sphere was also substantial, as many took part in the armed struggle as part of the FSLN or as part of counter-revolutionary forces. Nicaraguan women organized independently in support of the revolution and their cause. Some of those organizations were the Socialist Party (1963), Federación Democrática (which support the FSLN in rural areas), and Luisa Amanda Espinoza Association of Nicaraguan Women (, AMNLAE). However, since Daniel Ortega, was defeated in the 1990 election by the United Nicaraguan Opposition (UNO) coalition headed by Violeta Chamorro, the situation for women in Nicaragua was seriously altered. In terms of women and the labor market, by the end of 1991 AMNLAE reported that almost 16,000 working women—9,000 agricultural laborers, 3,000 industrial workers, and 3,800 civil servants, including 2,000 in health, 800 in education, and 1,000 in administration—had lost their jobs. The change in government also resulted in the drastic reduction or suspension of all Nicaraguan social programs, which brought back the burdens characteristic of pre-revolutionary Nicaragua. The women were forced to maintain and supplement community social services on their own without economic aid or technical and human resource. Between 2007 and 2018 under Sandinista administrations, Nicaragua has advanced from 62nd to 6th in the world in terms of gender equality, according to the Global Gender Gap Report from the World Economic Forum. Relationship with the Catholic Church The Roman Catholic Church's relationship with the Sandinistas was extremely complex. Initially, the Church was committed to supporting the Somoza regime. The Somoza dynasty was willing to secure the Church a prominent place in society as long as it did not attempt to subvert the authority of the regime. Under the constitution of 1950 the Roman Catholic Church was recognized as the official religion and church-run schools flourished. It was not until the late 1970s that the Church began to speak out against the corruption and human rights abuses that characterized the Somoza regime. The Catholic hierarchy initially disapproved of the Sandinistas' revolutionary struggle against the Somoza dynasty. The revolutionaries were perceived as proponents of "godless communism" that posed a threat to the traditionally privileged place that the Church occupied within Nicaraguan society. Nevertheless, the increasing corruption and repression characterizing the Somoza rule and the likelihood that the Sandinistas would emerge victorious ultimately influenced Archbishop Miguel Obando y Bravo to declare formal support for the Sandinistas' armed struggle. Throughout the revolutionary struggle, the Sandinistas had the grassroots support of clergy who were influenced by the reforming zeal of Vatican II and dedicated to a "preferential option for the poor" (for comparison, see liberation theology). Numerous Christian base communities (CEBs) were created in which lower level clergy and laity took part in consciousness raising initiatives to educate the peasants about the institutionalized violence they were suffering from. Some priests took a more active role in supporting the revolutionary struggle. For example, Father Gaspar García Laviana took up arms and became a member of FSLN. Soon after the Sandinistas assumed power, the hierarchy began to oppose the Sandinistas government. The Archbishop was a vocal source of domestic opposition. The hierarchy was alleged to be motivated by fear of the emergence of the 'popular church' which challenged their centralized authority. The hierarchy also opposed social reforms implemented by the Sandinistas to aid the poor, allegedly because they saw it as a threat to their traditionally privileged position within society. In response to this perceived opposition, the Sandinistas shut down the church-run Radio Católica radio station on multiple occasions. The Sandinistas' relationship with the Roman Catholic Church deteriorated as the Contra War continued. The hierarchy refused to speak out against the counterrevolutionary activities of the contras and failed to denounce American military aid. State media accused the Catholic Church of being reactionary and supporting the Contras. According to former President Ortega, "The conflict with the church was strong, and it costs us, but I don't think it was our fault. ... There were so many people being wounded every day, so many people dying, and it was hard for us to understand the position of the church hierarchy in refusing to condemn the contras." The hierarchy-state tensions were brought to the fore with Pope John Paul II 1983 visit to Nicaragua. Hostility to the Catholic Church became so great that at one point, FSLN militants shouted down Pope John Paul II as he tried to say Mass. Therefore, while the activities of the Catholic church contributed to the success of the Sandinista revolution, the hierarchy's opposition was a major factor in the downfall of the revolutionary government. On August 23, 2020, Bishop Silvio Báez, who had been outside of Nicaragua for reasons of security since April 23, 2019, accused President Ortega of being a dictator. The Centro Nicaragüense de Derechos Humanos (Nicaraguan Human Rights Center, Cenidh) said that the Catholic Church had been the victim of 24 attacks since April 2018, including a fire that began in the Immaculate Conception Cathedral when a Molotov cocktail was thrown at a sacred image of the Blood of Christ on July 31, 2020. Human rights violations by the Sandinistas Time magazine in 1983 published reports of human rights violations in an article which stated that "According to Nicaragua's Permanent Commission on Human Rights, the regime detains several hundred people a month; about half of them are eventually released, but the rest simply disappear." Time also interviewed a former deputy chief of Nicaraguan military counterintelligence, who stated that he had fled Nicaragua after being ordered to kill 800 Miskito prisoners and make it look like they had died in combat. Another article described Sandinista neighbourhood "Defense Committees", modeled on similar Cuban Committees for the Defense of the Revolution, which according to critics were used to unleash mobs on anyone who was labeled a counterrevolutionary. Nicaragua's only opposition newspaper, La Prensa, was subject to strict censorship. The newspaper's editors were forbidden to print anything negative about the Sandinistas either at home or abroad. Nicaragua's Permanent Commission on Human Rights reported 2,000 murders in the first six months and 3,000 disappearances in the first few years. It has since documented 14,000 cases of torture, rape, kidnapping, mutilation and murder. The Inter-American Commission on Human Rights (IACHR) in a 1981 report found evidence for mass executions in the period following the revolution. It stated: "In the Commission's view, while the government of Nicaragua clearly intended to respect the lives of all those defeated in the civil war, during the weeks immediately subsequent to the Revolutionary triumph, when the government was not in effective control, illegal executions took place which violated the right to life, and these acts have not been investigated and the persons responsible have not been punished." The IACHR also stated that: "The Commission is of the view that the new regime did not have, and does not now have, a policy of violating the right to life of political enemies, including among the latter the former guardsmen of the Government of General Somoza, whom a large sector of the population of Nicaragua held responsible for serious human rights violations during the former regime; proof of the foregoing is the abolition of the death penalty and the high number of former guardsmen who were prisoners and brought to trial for crimes that constituted violations of human rights." A 1983 IACHR report documented allegations of human rights violations against the Miskito Indians, which were alleged to have taken place after opposition forces (the Contras) infiltrated a Miskito village in order to launch attacks against government soldiers, and as part of a subsequent forced relocation program. Allegations included arbitrary imprisonment without trial, "disappearances" of such prisoners, forced relocation, and destruction of property. A 1984 IACHR report accused the Sandinistas of having "repeatedly violated the basic rights of Miskito Indians living there, including instances of "illegal killings" and torture". The report accused them of executing 35 to 40 Miskitos in Leimus in December 1981. The U.S. government accused Nicaragua of genocide. The U.S. Secretary of State Alexander Haig pointed to a photo published in Le Figaro alleged to show Miskito bodies being burned by Sandinista troops as evidence; however, the photo was actually of people killed by Somoza's National Guard in 1978. The IACHR's 1991 annual report states: "In 1990, the Commission was informed of the discovery
Edén Pastora cited below) to the south. As was typical in guerrilla warfare, they were engaged in a campaign of economic sabotage in an attempt to combat the Sandinista government and disrupted shipping by planting underwater mines in Nicaragua's Corinto harbour, an action condemned by the International Court of Justice as illegal. The U.S. also sought to place economic pressure on the Sandinistas, and, as with Cuba, the Reagan administration imposed a full trade embargo. The Contras also carried out a systematic campaign to disrupt the social reform programs of the government. This campaign included attacks on schools, health centers and the majority of the rural population that was sympathetic to the Sandinistas. Widespread murder, rape, and torture were also used as tools to destabilize the government and to "terrorize" the population into collaborating with the Contras. Throughout this campaign, the Contras received military and financial support from the CIA and the Reagan Administration. This campaign has been condemned internationally for its many human rights violations. Contra supporters have often tried to downplay these violations, or countered that the Sandinista government carried out much more. In particular, the Reagan administration engaged in a campaign to alter public opinion on the Contras that has been termed "white propaganda". In 1984, the International Court of Justice judged that the United States Government had been in violation of International law when it supported the Contras. After the U.S. Congress prohibited federal funding of the Contras through the Boland Amendment in 1983, the Reagan administration continued to back the Contras by raising money from foreign allies and covertly selling arms to Iran (then engaged in a war with Iraq), and channelling the proceeds to the Contras (see the Iran–Contra affair). When this scheme was revealed, Reagan admitted that he knew about Iranian "arms for hostages" dealings but professed ignorance about the proceeds funding the Contras; for this, National Security Council aide Lt. Col. Oliver North took much of the blame. Senator John Kerry's 1988 U.S. Senate Committee on Foreign Relations report on links between the Contras and drug imports to the US concluded that "senior U.S. policy makers were not immune to the idea that drug money was a perfect solution to the Contras' funding problems". According to the National Security Archive, Oliver North had been in contact with Manuel Noriega, the US-backed president of Panama. The Reagan administration's support for the Contras continued to stir controversy well into the 1990s. In August 1996, San Jose Mercury News reporter Gary Webb published a series titled Dark Alliance, linking the origins of crack cocaine in California to the CIA-Contra alliance. Webb's allegations were repudiated by reports from the Los Angeles Times, The New York Times, and The Washington Post, and the San Jose Mercury News eventually disavowed his work. An investigation by the United States Department of Justice also stated that their "review did not substantiate the main allegations stated and implied in the Mercury News articles". Regarding the specific charges towards the CIA, the DOJ wrote "the implication that the drug trafficking by the individuals discussed in the Mercury News articles was connected to the CIA was also not supported by the facts". The CIA also investigated and rejected the allegations. The Contra war unfolded differently in the northern and southern zones of Nicaragua. Contras based in Costa Rica operated on Nicaragua's Caribbean coast, which is sparsely populated by indigenous groups including the Miskito, Sumo, Rama, Garifuna, and Mestizo. Unlike Spanish-speaking western Nicaragua, the Caribbean Coast also has lots of speakers of indigenous languages and English-based creoles, and was largely ignored by the Somoza regime. The costeños did not participate in the uprising against Somoza and viewed Sandinismo with suspicion from the outset. Elections 1984 election While the Sandinistas encouraged grassroots pluralism, they were perhaps less enthusiastic about national elections. They argued that popular support was expressed in the insurrection and that further appeals to popular support would be a waste of scarce resources. International pressure and domestic opposition eventually pressed the government toward a national election. Tomás Borge warned that the elections were a concession, an act of generosity and of political necessity. On the other hand, the Sandinistas had little to fear from the election given the advantages of incumbency and the restrictions on the opposition, and they hoped to discredit the armed efforts to overthrow them. A broad range of political parties, ranging in political orientation from far-left to far-right, competed for power. Following promulgation of a new populist constitution, Nicaragua held national elections in 1984. Independent electoral observers from around the world—including groups from the UN as well as observers from Western Europe—found that the elections had been fair. Several groups, however, disputed this, including UNO, a broad coalition of anti-Sandinista activists, COSEP, an organization of business leaders, the Contra group "FDN", organized by former Somozan-era National Guardsmen, landowners, businessmen, peasant highlanders, and what some claimed as their patron, the U.S. government. Although initially willing to stand in the 1984 elections, the UNO, headed by Arturo Cruz (a former Sandinista), declined participation in the elections based on their own objections to the restrictions placed on the electoral process by the State of Emergency and the official advisement of President Ronald Reagan's State Department, who wanted to de-legitimize the election process. Among other parties that abstained was COSEP, who had warned the FSLN that they would decline participation unless freedom of the press was reinstituted. Coordinadora Democrática (CD) also refused to file candidates and urged Nicaraguans not to take part in the election. The Independent Liberal Party (PLI), headed by Virgilio Godoy Reyes, announced its refusal to participate in October. Consequently, when the elections went ahead the U.S. raised objections based upon political restrictions instituted by the State of Emergency (e.g., censorship of the press, cancellation of habeas corpus, and the curtailing of free assembly). Daniel Ortega and Sergio Ramírez were elected president and vice-president, and the FSLN won an overwhelming 61 out of 96 seats in the new National Assembly, having taken 67% of the vote on a turnout of 75%. Despite international validation of the elections by multiple political and independent observers (virtually all from among U.S. allies), the United States refused to recognize the elections, with President Ronald Reagan denouncing the elections as a sham. According to a study, since the 1984 election was for posts subordinate to the Sandinista Directorate, the elections were no more subject to approval by vote than the Central Committee of the Communist Party is in countries of the East Bloc. Daniel Ortega began his six-year presidential term on January 10, 1985. After the United States Congress turned down continued funding of the Contras in April 1985, the Reagan administration ordered a total embargo on United States trade with Nicaragua the following month, accusing the Sandinista government of threatening United States security in the region. 1990 election The elections of 1990, which had been mandated by the constitution passed in 1987, saw the Bush administration funnel $49.75 million of 'non-lethal' aid to the Contras, as well as $9 million to the opposition UNO—equivalent to $2 billion worth of intervention by a foreign power in a US election at the time, and proportionately five times the amount George Bush had spent on his own election campaign. When Violeta Chamorro visited the White House in November 1989, the US pledged to maintain the embargo against Nicaragua unless Violeta Chamorro won. There were reports of intimidation and violence during the election campaign by the contras, with a Canadian observer mission claiming that 42 people were killed by the contras in "election violence" in October 1989. Sandinistas were also accused of intimidation and violence during the election campaign. According to the Puebla Institute, by mid-December 1989, seven opposition leaders had been murdered, 12 had disappeared, 20 had been arrested, and 30 others assaulted. In late January 1990, the OAS observer team reported that “a convoy of troops attacked four truckloads of UNO sympathizers with bayonets and rifle butts, threatening to kill them." Years of conflict had left 50,000 casualties and $12 billion of damages in a society of 3.5 million people and an annual GNP of $2 billion. After the election, a survey was taken of voters: 75.6% agreed that if the Sandinistas had won, the war would never have ended. 91.8% of those who voted for the UNO agreed with this (William I Robinson, op cit). The Library of Congress Country Studies on Nicaragua states: Despite limited resources and poor organization, the UNO coalition under Violeta Chamorro directed a campaign centered around the failing economy and promises of peace. Many Nicaraguans expected the country's economic crisis to deepen and the Contra conflict to continue if the Sandinistas remained in power. Chamorro promised to end the unpopular military draft, bring about democratic reconciliation, and promote economic growth. In the February 25, 1990, elections, Violeta Barrios de Chamorro carried 55 percent of the popular vote against Daniel Ortega's 41 percent. Opposition (1990–2006) In 1987, due to a stalemate with the Contras, the Esquipulas II treaty was brokered by Costa Rican President Óscar Arias Sánchez. The treaty's provisions included a call for a cease-fire, freedom of expression, and national elections. After the February 26, 1990 elections, the Sandinistas lost and peacefully passed power to the National Opposition Union (UNO), an alliance of 14 opposition parties ranging from the conservative business organization COSEP to Nicaraguan communists. UNO's candidate, Violeta Barrios de Chamorro, replaced Daniel Ortega as president of Nicaragua. Reasons for the Sandinista loss in 1990 are disputed. Defenders of the defeated government assert that Nicaraguans voted for the opposition due to the continuing U.S. economic embargo and potential Contra threat. Others have alleged that the United States threatened to continue to support the Contras and continue the civil war if the regime was not voted out of power. After their loss, the Sandinista leaders held most of the private property and businesses that had been confiscated and nationalized by the FSLN government. This process became known as the "piñata" and was tolerated by the new Chamorro government. Ortega also claimed to "rule from below" through groups he controls such as labor unions and student groups. Prominent Sandinistas also created nongovernmental organizations to promote their ideas and social goals. Ortega remained the head of the FSLN, but his brother Humberto resigned from the party and remained at the head of the Sandinista Army, becoming a close confidante and supporter of Chamorro. The party also experienced internal divisions, with prominent Sandinistas such as Ernesto Cardenal and Sergio Ramírez resigning to protest what they described as heavy-handed domination of the party by Daniel Ortega. Ramírez also founded a separate political party, the Sandinista Renovation Movement (MRS); his faction came to be known as the , who favor a more social democratic approach than the ortodoxos, or hardliners. In the 1996 Nicaraguan election, Ortega and Ramírez both campaigned unsuccessfully as presidential candidates on behalf of their respective parties, with Ortega receiving 43% of the vote while Arnoldo Alemán of the Constitutional Liberal Party received 51%. The Sandinistas won second place in the congressional elections, with 36 of 93 seats. Ortega was re-elected as leader of the FSLN in 1998. Municipal elections in November 2000 saw a strong Sandinista vote, especially in urban areas, and former Tourism Minister Herty Lewites was elected mayor of Managua. This result led to expectations of a close race in the presidential elections scheduled for November 2001. Daniel Ortega and Enrique Bolaños of the Constitutional Liberal Party (PLC) ran neck-and-neck in the polls for much of the campaign, but in the end the PLC won a clear victory. The results of these elections were that the FSLN won 42.6% of the vote for parliament (versus 52.6% for the PLC), giving them 41 out of the 92 seats in the National Assembly (versus 48 for the PLC). In the presidential race, Ortega lost to Bolaños 46.3% to 53.6%. Daniel Ortega was once again re-elected as leader of the FSLN in March 2002 and re-elected as president of Nicaragua in November 2006. Return to government In 2006, Daniel Ortega was elected president with 38% of the vote (see 2006 Nicaraguan general election). This occurred despite the fact that the breakaway Sandinista Renovation Movement continued to oppose the FSLN, running former Mayor of Managua Herty Lewites as its candidate for president. However, Lewites died several months before the elections. The FSLN also won 38 seats in the congressional elections, becoming the party with the largest representation in parliament. The split in the Constitutionalist Liberal Party helped to allow the FSLN to become the largest party in Congress. The Sandinista vote was also split between the FSLN and MRS, but the split was more uneven, with limited support for the MRS. The vote for the two liberal parties combined was larger than the vote for the two Sandinista parties. In 2010, several liberal congressmen raised accusations about the FSLN presumably attempting to buy votes in order to pass constitutional reforms that would allow Ortega to run for office for the 6th time since 1984. In 2011, Ortega was re-elected as president. Ortega was allowed by Nicaraguan Supreme Court to run again as president, despite having already served two mandates, in a move which was strongly criticized by the opposition. The Supreme Court also banned the leader of the Independent Liberal Party Eduardo Montealegre from running in the election. Ortega was re-elected as president, amid claims of electoral fraud; data about turnout were unclear: while the Supreme Electoral Council claimed a turnout of 66% of voters, the opposition claimed only 30% of voters actually went to the polls. 2018 protests The year 2018 was marked by particular unrest in Nicaragua that had not been seen in the country in three decades. It came in two different phases, with initial unrest in the context of a fire at the Indio Maíz Biological Reserve in the Río San Juan department (which came to an end when rain abruptly put the fire out), leading on to an outbreak of violence a few weeks later after social security reforms were announced by the government. During this unrest there were many deaths linked to the violence, as well as many instances of torture, sexual assaults, death threats, ransacking and burning of buildings and violence against journalists. Opposition figures argued that the government was responsible for the violence, a view supported by some press outlets and NGOs such as Amnesty International. Many opposition figures and independent journalists have been arrested and police raids of opposition forces and independent media have occurred frequently. On September 29, 2018, President Ortega declared that political protests were "illegal" in Nicaragua, stating that demonstrators would "respond to justice" if they attempted to publicly voice their opinions. The United Nations condemned the actions as being a violation of human rights regarding freedom of assembly. Carlos Fernando Chamorro, son of former president Violeta Chamorro and editor of Confidencial, left the country after his office was subject to police search in December 2018. In December 2018, the government revoked the licenses of five human rights organizations, closed the offices of the cable news and online show Confidencial, and beat journalists when they protested. The Confidential newspaper and other media were seized and taken by the government of Daniel Ortega Several service stations of the Puma brand were closed on the afternoon, December 20, by representatives of the Nicaraguan Energy Institute (INE), a state entity that has the mandate to regulate, among others, the hydrocarbons sector. Puma Energy entered the Nicaraguan oil and fuel derivatives market at the end of March 2011, when it bought the entire network of Esso stations in Nicaragua, as part of a regional operation that involved the purchase of 290 service stations and eight storage terminals of fuel in four countries of Central America. On December 21, 2018, the Nicaraguan police raided the offices of the 100% News Channel. They arrested Miguel Mora, owner of the Canal; Lucía Pineda, Head of Press of 100% Noticias and Verónica Chávez, wife of Miguel Mora and host of the Ellas Lo Dicen Program. Subsequently, Verónica Chávez was released. Miguel Mora and Lucia Pineda were accused of terrorist crimes and provoking hatred and discrimination between the police and Sandinistas. On January 30, 2019, the FSLN was expelled from the Socialist International citing "gross violations of human rights and democratic values committed by the government of Nicaragua". The ruling Democratic Revolutionary Party of Panama, also a member of the Socialist International, rejected the expulsion of the FSLN and threatened to leave the International, saying that it has abandoned its principles and made a decision regarding Latin America without consulting the Latin American parties, and referred to a "history of brotherhood in the struggle for social justice in Central America" between the two parties . Ideology Through the media and the works of FSLN leaders such as Carlos Fonseca, the life and times of Augusto César Sandino became its unique symbol in Nicaragua. The ideology of Sandinismo gained momentum in 1974, when a Sandinista-initiated hostage situation resulted in the Somoza government adhering to FSLN demands and publicly printing and airing work on Sandino in well known newspapers and media outlets. During the struggle against Somoza, the FSLN leaders' internal disagreements over strategy and tactics were reflected in three main factions: The (GPP, "protracted people's war") faction was rural-based and sought long-term "silent accumulation of forces" within the country's large peasant population, which it saw as the main social base for the revolution. The (TP, "proletarian tendency"), led by Jaime Wheelock, reflected an orthodox Marxist approach that sought to organize urban workers. The / (TI, "third way/insurrectionist") faction, led by Humberto, Casimiro A. Sotelo, and Daniel Ortega, was ideologically eclectic, favoring a more rapid insurrectional strategy in alliance with diverse sectors of the country, including business owners, churches, students, the middle class, unemployed youth and the inhabitants of shantytowns. The also helped attract popular and international support by organizing a group of prominent Nicaraguan professionals, business leaders, and clergymen (known as "the Twelve"), who called for Somoza's removal and sought to organize a provisional government from Costa Rica. Nevertheless, while ideologies varied between FSLN leaders, all leaders essentially agreed that Sandino provided a path for the Nicaragua masses to take charge, and the FSLN would act as the legitimate vanguard. The extreme end of the ideology links Sandino to Roman Catholicism and portrays him as descending from the mountains in Nicaragua knowing he would be betrayed and killed. Generally however, most Sandinistas associated Sandino on a more practical level, as a heroic and honest person who tried to combat the evil forces of imperialist national and international governments that existed in Nicaragua's history. Principles of government For purposes of making sense of how to govern, the FSLN drew four fundamental principles from the work of Carlos Fonseca and his understanding of the lessons of Sandino. According to Bruce E. Wright, "the Governing Junta of National Reconstruction agreed, under Sandinista leadership, that these principles had guided it in putting into practice a form of government that was characterized by those principles." It is generally accepted that these following principles have evolved the "ideology of Sandinismo". Three of these (excluding popular participation, which was presumably contained in Article 2 of the Constitution of Nicaragua) were to ultimately be guaranteed by Article 5 of the Constitution of Nicaragua. They are as follows: Political Pluralism – The ultimate success of the Sandinista Front in guiding the insurrection and in obtaining the leading fore within it was based on the fact that the FSLN, through the tercerista guidance, had worked with many sectors of the population in defeating the Somoza dictatorship. The FSLN and all those whom would constitute the new provisional government were called diverse; "they were plural in virtually all senses". Mixed Economy – Fonseca's understanding that Nicaragua was not, in spite of Browderist interpretations, simply a feudal country and that it had also never really developed its own capitalism made it clear that a simple feudalism-capitalism-socialism path was not a rational way to think about the future development of Nicaragua. The FSLN was not necessarily seen simply as the vanguard of the proletariat revolution. The proletariat was but a minor fraction of the population. A complex class structure in a revolution based on unity among people from various class positions suggested more that it made sense to see the FSLN as the "vanguard of the people". Popular Participation and Mobilization – This calls for more than simple representative democracy. The inclusion of the mass organizations in the Council of State clearly manifested this conception. In Article 2 of the Constitution this is spelled out as follows: "The people exercise democracy, freely participating and deciding in the construction of the economic, political and social system what is most appropriate to their interest. The people exercise power directly and by their means of their representatives, freely elected in accord with universal, equal, direct, free, and secret suffrage." International Non-alignment – This is a result of the fundamentally Bolivarist conceptions of Sandino as distilled through the modern understanding of Fonseca. The U.S. government and large U.S. economic entities were a significant part of the problem for Nicaragua. But experiences with the traditional parties allied with the Soviet Union had also been unsatisfactory. Thus it was clear that Nicaragua must seek its own road. Bruce E. Wright claims that "this was a crucial contribution from Fonseca's work that set the template for FSLN governance during the revolutionary years and beyond". Policies and programs Foreign policy Cuban assistance Beginning in 1967, the Cuban General Intelligence Directorate, or DGI, had begun to establish ties with Nicaraguan revolutionary organizations. By 1970 the DGI had managed to train hundreds of Sandinista guerrilla leaders and had vast influence over the organization. After the successful ousting of Somoza, DGI involvement in the new Sandinista government expanded rapidly. An early indication of the central role that the DGI would play in the Cuban-Nicaraguan relationship is a meeting in Havana on July 27, 1979, at which diplomatic ties between the two countries were re-established after more than 25 years. Julián López Díaz, a prominent DGI agent, was named Ambassador to Nicaragua. Cuban military and DGI advisors, initially brought in during the Sandinista insurgency, would swell to over 2,500 and operated at all levels of the new Nicaraguan government. The Cubans would like to have helped more in the development of Nicaragua towards socialism. Following the US invasion of Grenada, countries previously looking for support from Cuba saw that the United States was likely to take violent action to discourage this. Cuban assistance after the revolution The early years of the Nicaraguan revolution had strong ties to Cuba. The Sandinista leaders acknowledged that the FSLN owed a great debt to the socialist island. Once the Sandinistas assumed power, Cuba gave Nicaragua military advice, as well as aid in education, health care, vocational training and industry building for the impoverished Nicaraguan economy. In return, Nicaragua provided Cuba with grains and other foodstuffs to help Cuba overcome the effects of the US embargo. Relationship with eastern bloc intelligence agencies Pre-Revolution According to Cambridge University historian Christopher Andrew, who undertook the task of processing the Mitrokhin Archive, Carlos Fonseca Amador, one of the original three founding members of the FSLN had been recruited by the KGB in 1959 while on a trip to Moscow. This was one part of Aleksandr Shelepin's 'grand strategy' of using national liberation movements as a spearhead of the Soviet Union's foreign policy in the Third World, and in 1960 the KGB organized funding and training for twelve individuals that Fonseca handpicked. These individuals were to be the core of the new Sandinista organization. In the following several years, the FSLN tried with little success to organize guerrilla warfare against the government of Luis Somoza Debayle. After several failed attempts to attack government strongholds and little initial support from the local population, the National Guard nearly annihilated the Sandinistas in a series of attacks in 1963. Disappointed with the performance of Shelepin's new Latin American "revolutionary vanguard", the KGB reconstituted its core of the Sandinista leadership into the ISKRA group and used them for other activities in Latin America. According to Andrew, Mitrokhin says during the following three years the KGB handpicked several dozen Sandinistas for intelligence and sabotage operations in the United States. Andrew and Mitrokhin say that in 1966, this KGB-controlled Sandinista sabotage and intelligence group was sent to northern Mexico near the US border to conduct surveillance for possible sabotage. In July 1961 during the Berlin Crisis of 1961 KGB chief Alexander Shelepin sent a memorandum to Soviet premier Nikita Khrushchev containing proposals to create a situation in various areas of the world which would favor dispersion of attention and forces by the US and their satellites, and would tie them down during the settlement of the question of a German peace treaty and West Berlin. It was planned, inter alia, to organize an armed mutiny in Nicaragua in coordination with Cuba and with the "Revolutionary Front Sandino". Shelepin proposed to make appropriations from KGB funds in addition to the previous assistance $10,000 for purchase of arms. Khrushchev sent the memo with his approval to his deputy Frol Kozlov and on August 1 it was, with minor revisions, passed as a CPSU Central Committee directive. The KGB and the Soviet Ministry of Defense were instructed to work out more specific measures and present them for consideration by the Central Committee. Cooperation with foreign intelligence agencies during the 1980s Other researchers have documented the contribution made from other Warsaw Pact intelligence agencies to the fledgling Sandinista government including the East German Stasi, by using recently declassified documents from Berlin as well as from former Stasi spymaster Markus Wolf who described the Stasi's assistance in the creation of a secret police force modeled on East Germany's. Educational assistance Cuba was instrumental in the Nicaraguan Literacy Campaign. Nicaragua was a country with a very high rate of illiteracy, but the campaign succeeded in lowering the rate from 50% to 12%. The revolution in Cuban education since the ousting of the US-backed Batista regime not only served as a model for Nicaragua but also provided technical assistance and advice. Cuba played an important part in the Campaign, providing teachers on a yearly basis after the revolution. Prevost states that "Teachers were not the only ones studying in Cuba, about 2,000 primary and secondary students were studying on the Isle of Youth and the cost was covered by the host country (Cuba)". 1980 literacy campaign The goals of the 1980 Literacy Campaign were socio-political, strategic as well as educational. It was the most prominent campaign with regards to the new education system. Illiteracy in Nicaragua was significantly reduced from 50.3% to 12.9%. One of the government's major concerns was the previous education system under the Somoza regime which did not see education as a major factor on the development of the country. As mentioned in the Historical Program of the FSLN of 1969, education was seen as a right and the pressure to stay committed to the promises made in the program was even stronger. 1980 was declared the "Year of Literacy" and the major goals of the campaign that started only 8 months after the FSLN took over. This included the eradication of illiteracy and the integration of different classes, races, gender and age. Political awareness and the strengthening of political and economic participation of the Nicaraguan people was also a central goal of the Literacy Campaign. The campaign was a key component of the FSLN's cultural transformation agenda. The basic reader which was disseminated and used by teacher was called "Dawn of the People" based on the themes of Sandino, Carlos Fonseca, and the Sandinista struggle against imperialism and defending the revolution. Political education was aimed at creating a new social values based on the principles of Sandinista socialism, such as social solidarity, worker's democracy, egalitarianism, and anti-imperialism. Health care Health conditions in Somoza era Nicaragua were abysmal according to a report published in the New England Journal of Medicine. Vaccine coverage of babies under a year old was 88% immunised against polio and 78% against measles in 1983. Despite the turmoil caused by the Contra War under-fire mortality was reduced by approximately half during this period. In this area Cuba played a role by again offering expertise to Nicaragua. Over 1,500 Cuban doctors worked in Nicaragua and provided more than five million consultations. Cuban personnel were essential in the elimination of polio, the decrease in whooping cough, rubella, measles and the lowering of the infant mortality rate. Gary Prevost states that Cuban personnel made it possible for Nicaragua to have a national health care system that reached the majority of its citizens. Vocational assistance Cuba has participated in the training of Nicaraguan workers in the use of new machinery imported to Nicaragua. The Nicaraguan revolution caused the United States to oppose the country's government; therefore the Sandinistas would not receive any aid from the United States. The United States embargo against Nicaragua, imposed by the Reagan administration in May 1985, made it impossible for Nicaragua to receive spare parts for US-made machines, so this led Nicaragua to look to other countries for help. Cuba was the best choice because of the shared language and proximity and also because it had imported similar machinery over the years. Nicaraguans went to Cuba for short periods of three to six months and this training involved close to 3,000 workers. Countries such as the UK, sent farm equipment to Nicaragua. Industry and infrastructure Cuba helped Nicaragua in large projects such as building roads, power plants and sugar mills. Cuba also attempted to help Nicaragua build the first overland route linking Nicaraguas Atlantic and Pacific coasts. The road was meant to traverse 420 kilometres (260 mi) of jungle, but completion of the road and usage was hindered by the Contra war, and it was never completed. Another significant feat was the building of the Tipitapa-Malacatoya sugar mill. It was completed and inaugurated during a visit by Fidel Castro in January 1985. The plant used the newest technology available and was built by workers trained in Cuba. Also during this visit Castro announced that all debts incurred on this project were absolved. Cuba also provided technicians to aid in the sugar harvest and assist in the rejuvenation of several old sugar mills. Cubans also assisted in building schools and similar projects. Ministry of Culture After the Nicaraguan revolution, the Sandinista government established a Ministry of Culture in 1980. The ministry was spearheaded by Ernesto Cardenal, a poet and priest. The ministry was established in order to socialize the modes of cultural production. This extended to art forms including dance, music, art, theatre and poetry. The project was created to democratize culture on a national level. The aim of the ministry was to "democratize art" by making it accessible to all social classes as well as protecting the right of the oppressed to produce, distribute and receive art. In particular, the ministry was devoted to the development of working class and campesino, or peasant culture. Therefore, the ministry sponsored cultural workshops throughout the country until October 1988 when the Ministry of Culture was integrated into the Ministry of Education because of financial troubles. The objective of the workshops was to recognize and celebrate neglected forms of artistic expression. The ministry created a program of cultural workshops known as, Casas de Cultura and Centros Populares de Cultura. The workshops were set up in poor neighbourhoods and rural areas and advocated universal access and consumption of art in Nicaragua. The ministry assisted in the creation of theatre groups, folklore and artisanal production, song groups, new journals of creation and cultural criticism, and training programs for cultural workers. The ministry created a Sandinista daily newspaper named Barricada and its weekly cultural addition named Ventana along with the Television Sandino, Radio Sandino and the Nicaraguan film production unit called the INCINE. There were existing papers which splintered after the revolution and produced other independent, pro-Sandinista newspapers, such as El Nuevo Diario and its literary addition Nuevo Amanecer Cultural. Editorial Nueva Nicaragua, a state publishing house for literature, was also created. The ministry collected and published political poetry of the revolutionary period, known as testimonial narrative, a form of literary genre that recorded the experiences of individuals in the course of the revolution. The ministry developed a new anthology of Rubén Darío, a Nicaraguan poet and writer, established a Rubén Darío prize for Latin American writers, the Leonel Rugama prize for young Nicaraguan writers, as well as public poetry readings and contests, cultural festivals and concerts. The Sandinista regime tried to keep the revolutionary spirit alive by empowering its citizens artistically. At the time of its inception, the Ministry of Culture needed, according to Cardenal, "to bring a culture to the people who were marginalized from it. We want a culture that is not the culture of an elite, of a group that is considered 'cultivated', but rather of an entire people." Nevertheless, the success of the Ministry of Culture had mixed results and by 1985 criticism arose over artistic freedom in the poetry workshops. The poetry workshops became a matter for criticism and debate. Critics argued that the ministry imposed too many principles and guidelines for young writers in the workshop, such as, asking them to avoid metaphors in their poetry and advising them to write about events in their everyday life. Critical voices came from established poets and writers represented by the Asociacion Sandinista de Trabajadores de la Cultura (ASTC) and from the Ventana both of which were headed by Rosario Murillo. They argued that young writers should be exposed to different poetic styles of writing and resources developed in Nicaragua and elsewhere. Furthermore, they argued that the ministry exhibited a tendency that favored and fostered political and testimonial literature in post-revolutionary Nicaragua. Economy The new government, formed in 1979 and dominated by the Sandinistas, resulted in a socialist model of economic development. The new leadership was conscious of the social inequities produced during the previous thirty years of unrestricted economic growth and was determined to make the country's workers and peasants, the "economically underprivileged", the prime beneficiaries of the new society. Consequently, in 1980 and 1981, unbridled incentives to private investment gave way to institutions designed to redistribute wealth and income. Private property would continue to be allowed, but all land belonging to the Somozas was confiscated. By 1990 the agrarian reform had affected half of the country's arable land benefiting some 60% of rural families. However, the ideology of the Sandinistas put the future of the private sector and of private ownership of the means of production in doubt. Although under the new government both public and private ownership were accepted, government spokespersons occasionally referred to a reconstruction phase in the country's development, in which property owners and the professional class would be tapped for their managerial and technical expertise. After reconstruction and recovery, the private sector would give way to expanded public ownership in most areas of the economy. Despite such ideas, which represented the point of view of a faction of the government, the Sandinista government remained officially committed to a mixed economy. The Sandinista government also significantly expanded workers rights in particular the right to form a union and collective bargaining. Some trade union rights however, like the right to strike were suspended during the Contra War, but strikes still occurred throughout the 1980s, most labour strikes were settled through dialogue with the FSLN. Economic growth was uneven in the 1980s. Restructuring of the economy and the rebuilding immediately following the end of the civil war caused the GDP to rise about 5 percent in 1980 and 1981. Each year from 1984 to 1990, however, showed a drop in the GDP. Reasons for the contraction included the reluctance of foreign banks to offer new loans, the diversion of funds to fight the new insurrection against the government, and, after 1985, the total embargo on trade with the United States, formerly Nicaragua's largest trading partner. After 1985 the government chose to fill the gap between decreasing revenues and mushrooming military expenditures by printing large amounts of paper money. Inflation rose rapidly, peaking in 1988 at more than 14,000 percent annually. Measures taken by the government to lower inflation were hampered by natural disaster. In early 1988, the administration of Daniel José Ortega Saavedra (Sandinista junta coordinator 1979–85, president 1985–90) established an austerity program to lower inflation. Price controls were tightened, and a new currency was introduced. As a result, by August 1988, inflation had dropped to an annual rate of 240 percent. The following month, however, Hurricane Joan cut a path directly across the center of the country. Damage was extensive, and the government's program of large spending to repair the infrastructure destroyed its anti-inflation measures. In its eleven years in power, the Sandinista government never overcame most of the economic inequalities that it inherited from the Somoza era. Years of war, policy missteps, natural disasters, and the effects of the United States trade embargo all hindered economic development. Despite these problems however, the Nicaragua economy saw a transformation in a direction to satisfy the needs of Nicaragua's poor majority. Women in revolutionary Nicaragua The women of Nicaragua prior to, during and after the revolution played a prominent role within the nation's society as they have commonly been recognized, throughout history and across all Latin American states, as its backbone. Nicaraguan women were therefore directly affected by all of the positive and negative events that took place during this revolutionary period. The victory of the Sandinista National Liberation Front (FSLN) in 1979 brought about major changes and gains for women, mainly in legislation, broad educational opportunities, training programs for working women, childcare programs to help women enter the work force and greatly increased participation and leadership positions in a range of political activities. This, in turn, reduced the burdens that the women of Nicaragua were faced with prior to the revolution. During the Sandinista government, women were more active politically. The large majority of members of the neighborhood committees (Comités de Defensa Sandinista) were women. By 1987, 31% of the executive positions in the Sandinista government, 27% of the leadership positions of the FSLN, and 25% of the FSLN's active membership were women. Supporters of the Sandinistas see their era as characterized by the creation and implementation of successful social programs which were free and made widely available to the entire nation. Some of the more successful programs for women that were implemented by the Sandinistas were in the areas of education (see: Nicaraguan Literacy Campaign), health, and housing. Providing subsidies for basic foodstuffs and the introduction of mass employment were also contributions of the FSLN. The Sandinistas were particularly advantageous for the women of Nicaraguan as they promoted progressive views on gender as early as 1969 claiming that the revolution would "abolish the detestable discrimination that women have suffered with regard to men and establish economic, political and cultural equality between men and women". This was evident as the FSLN began integrating women into their ranks by 1967, unlike other left-wing guerilla groups in the region. This goal was not fully reached because the roots of gender inequality were not explicitly challenged. Women's participation within the public sphere was also substantial, as many took part in the armed struggle as part of the FSLN or as part of counter-revolutionary forces. Nicaraguan women organized independently in support of the revolution and their cause. Some of those organizations were the Socialist Party (1963), Federación Democrática (which support the FSLN in rural areas), and Luisa Amanda Espinoza Association of Nicaraguan Women (, AMNLAE). However, since Daniel Ortega, was defeated in the 1990 election by the United Nicaraguan Opposition (UNO) coalition headed by Violeta Chamorro, the situation for women in Nicaragua was seriously altered. In terms of women and the labor market, by the end of 1991 AMNLAE reported that almost 16,000 working women—9,000 agricultural laborers, 3,000 industrial workers, and 3,800 civil servants, including 2,000 in health, 800 in education, and 1,000 in administration—had lost their jobs. The change in government also resulted in the drastic reduction or suspension of all Nicaraguan social programs, which brought back the burdens characteristic of pre-revolutionary Nicaragua. The women were forced to maintain and supplement community social services on their own without economic aid or technical and human resource. Between 2007 and 2018 under Sandinista administrations, Nicaragua has advanced from 62nd to 6th in the world in terms of gender equality, according to the Global Gender Gap Report from the World Economic Forum. Relationship with the Catholic Church The Roman Catholic Church's relationship with the Sandinistas was extremely complex. Initially, the Church was committed to supporting the Somoza regime. The Somoza dynasty was willing to secure the Church a prominent place in society as long as it did not attempt to subvert the authority of the regime. Under the constitution of 1950 the Roman Catholic Church was recognized as the official religion and church-run schools flourished. It was not until the late 1970s that the Church began to speak out against the corruption and human rights abuses that characterized the Somoza regime. The Catholic hierarchy initially disapproved of the Sandinistas' revolutionary struggle against the Somoza dynasty. The revolutionaries were perceived as proponents of "godless communism" that posed a threat to the traditionally privileged place that the Church occupied within Nicaraguan society. Nevertheless, the increasing corruption and repression characterizing the Somoza rule and the likelihood that the Sandinistas would emerge victorious ultimately influenced Archbishop Miguel Obando y Bravo to declare formal support for the Sandinistas' armed struggle. Throughout the revolutionary struggle, the Sandinistas had the grassroots support of clergy who were influenced by the reforming zeal of Vatican II and dedicated to a "preferential option for the poor" (for comparison, see liberation theology). Numerous Christian base communities (CEBs) were created in which lower level clergy and laity took part in consciousness raising initiatives to educate the peasants about the institutionalized violence they were suffering from. Some priests took a more active role in supporting the revolutionary struggle. For example, Father Gaspar García Laviana took up arms and became a member of FSLN. Soon after the Sandinistas assumed power, the hierarchy began to oppose the Sandinistas government. The Archbishop was a vocal source of domestic opposition. The hierarchy was alleged to be motivated by fear of the emergence of the 'popular church' which challenged their centralized authority. The hierarchy also opposed social reforms implemented by the Sandinistas to aid the poor, allegedly because they saw it as a threat to their traditionally privileged position within society. In response to this perceived opposition, the Sandinistas shut down the church-run Radio Católica radio station on multiple occasions. The Sandinistas' relationship with the Roman Catholic Church deteriorated as the Contra War continued. The hierarchy refused to speak out against the counterrevolutionary activities of the contras and failed to denounce American military aid. State media accused the Catholic Church of being reactionary and supporting the Contras. According to former President Ortega, "The conflict with the church was strong, and it costs us, but I don't think it was our fault. ... There were so many people being wounded every day, so many people dying, and it was hard for us to understand the position of the church hierarchy in refusing to condemn the contras." The hierarchy-state tensions were brought to the fore with Pope John Paul II 1983 visit to Nicaragua. Hostility to the Catholic Church became so great that at one point, FSLN militants shouted down Pope John Paul II as he tried to say Mass. Therefore, while the activities of the Catholic church contributed to the success of the Sandinista revolution, the hierarchy's opposition was a major factor in the downfall of the revolutionary government. On August 23, 2020, Bishop Silvio Báez, who had been outside of Nicaragua for reasons of security since April 23, 2019, accused President Ortega of being a dictator. The Centro Nicaragüense de Derechos Humanos (Nicaraguan Human Rights Center, Cenidh) said that the Catholic Church had been the victim of 24 attacks since April 2018, including a fire that began in the Immaculate Conception Cathedral when a Molotov cocktail was thrown at a sacred image of the Blood of Christ on July 31, 2020. Human rights violations by the Sandinistas Time magazine in 1983 published reports of human rights violations in an article which stated that "According to Nicaragua's Permanent Commission on Human Rights, the regime detains several hundred people a month; about half of them are eventually released, but the rest simply disappear." Time also interviewed a former deputy chief of Nicaraguan military counterintelligence, who stated that he had fled Nicaragua after being ordered to kill 800 Miskito prisoners and make it look like they had died in combat. Another article described Sandinista neighbourhood "Defense Committees", modeled on similar Cuban Committees for the Defense of the Revolution, which according to critics were used to unleash mobs on anyone who was labeled a counterrevolutionary. Nicaragua's only opposition newspaper, La Prensa, was subject to strict censorship. The newspaper's editors were forbidden to print anything negative about the Sandinistas either at home or abroad. Nicaragua's Permanent Commission on Human Rights reported 2,000 murders in the first six months and 3,000 disappearances in the first few years. It has since documented 14,000 cases of torture, rape, kidnapping, mutilation and murder. The Inter-American Commission on Human Rights (IACHR) in a 1981 report found evidence for mass executions in the period following the revolution.